When the U.S. dollar appreciates against the Japanese yen, the impact on aggregate expenditures and income is that aggregate expenditure decreases and income increases.
An appreciation of the U.S. dollar means that the value of the dollar strengthens relative to the Japanese yen. As a result, it takes fewer dollars to purchase one unit of yen. This appreciation leads to a higher exchange rate between the two currencies.
The decrease in aggregate expenditure occurs because the appreciation of the U.S. dollar makes imports from Japan relatively cheaper for U.S. consumers. As a result, they are likely to increase their purchases of Japanese goods and services.
Conversely, exports from the United States become more expensive for Japanese consumers, leading to a decline in U.S. exports to Japan. The net effect is a decrease in aggregate expenditure as a portion of the consumption shifts towards imported goods and away from domestic production.
However, the appreciation of the U.S. dollar also has an impact on income. As aggregate expenditure decreases, firms in the United States may experience a decline in demand for their products. This may lead to a reduction in production and, potentially, a decrease in employment and income in industries dependent on exports.
On the other hand, the appreciation of the U.S. dollar can benefit certain sectors, particularly those reliant on imported inputs or those that compete with imports. These sectors may experience increased competitiveness, leading to an expansion of production and employment, ultimately contributing to an increase in income.
Overall, the appreciation of the U.S. dollar against the Japanese yen results in a decrease in aggregate expenditure due to changes in import and export patterns. However, the impact on income is more nuanced, with some sectors experiencing a decline while others benefit, depending on their exposure to international trade and the structure of their production.
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The federal government is proposing to enforce a minimum living wage
Employers subject to the FLSA but not to the Puerto Rico Minimum Wage Act are required to pay at least the federal minimum salary of $7.25 per hour.
What do you mean by the minimum wage?Minimum wages have been defined as the bare minimum of remuneration that an employer is required to pay wage earners for work performed during a given period, and which cannot be reduced by collective bargaining or individual contracts.
The Act's purpose is to make it a violation of the law for an employer to pay workers in certain categories of employment wages that are less than the minimum wage set by notification under the Act.
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PLEASE HELP
1. What are the distribution/production channels of your business/product. In list or paragraph format discuss the channels in which your
product will be created/sold. This should be very well thought out and include plenty of details. Be sure to explain how your
product/service would get to customers. You can refer back to module 10 notes for a refresher of distribution channels.
2. Describe in detail in either list/paragraph form the key metrics of your business. This is an explanation of key activities that must be
measured by your business.
MY project is about a self propelled stroller
Answer:
1.As consumers, we take for granted that when we go to a supermarket the shelves will be filled with the products we want; when we are thirsty there will be a Coke machine or bar around the corner, and we count on being able to get online and find any product available for purchase and quick delivery. Of course, if we give it some thought, we realize that this magic is not a given and that hundreds of thousands of people plan, organize, and labor long hours to make this convenience available. It has not always been this way, and it is still not this way in many other parts of the world.
Looking back over time, the channel structure in primitive culture was virtually nonexistent. The family or tribal group was almost entirely self-sufficient. The group was composed of individuals who were both communal producers and consumers of whatever goods and services could be made available. As economies evolved, people began to specialize in some aspect of economic activity. They engaged in farming, hunting, or fishing, or some other basic craft. Eventually this specialized skill produced excess products, which they exchanged or traded for needed goods that had been produced by others. This exchange process or barter marked the beginning of formal channels of distribution. These early channels involved a series of exchanges between two parties who were producers of one product and consumers of the other.
Future value interest factor of $1 per period at i% for n periods, FVIF(i,n). Complete the following using compound future value. (Use the Table 12.1 provided.) Note: Round your answers to the nearest cent.
The future value interest factor of $1 per period at i% for n periods, FVIF(i,n), can be calculated using compound future value.
Compound future value is a financial concept that determines the value of an investment or cash flow at a future date based on compounding interest. The formula to calculate the future value interest factor (FVIF) is FVIF(i,n) = (1 + i)^n, where "i" represents the interest rate per period and "n" represents the number of periods.
Let's break down the formula further. The term "(1 + i)" represents the growth factor, which is the sum of 1 and the interest rate per period. The exponent "n" denotes the number of compounding periods. By raising the growth factor to the power of "n," we account for the compounding effect and calculate the future value of the investment.
For example, let's say we have an interest rate of 5% per period (i = 0.05) and we want to calculate the future value interest factor for 10 periods (n = 10). Using the formula, FVIF(0.05, 10) = (1 + 0.05)^10 = 1.62889. This means that $1 invested at a 5% interest rate for 10 periods will grow to approximately $1.63.
Compound future value is a crucial concept in finance as it allows investors to assess the growth potential of their investments over time. By using FVIF tables or formulas, individuals can make informed decisions regarding savings, investments, and other financial planning strategies.
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Each of the following is a source of financial capital for a corporation EXCEPT O dividends. O reinvestment of profit or retained earnings. O issuing new stock. O issuing bonds or borrowing funds from a bank. D Question
Each of the following is a source of financial capital for a corporation EXCEPT dividends. The other options - reinvestment of profit or retained earnings, issuing new stock, and issuing bonds or borrowing funds from a bank - are all ways in which a corporation can raise financial capital. The correct option is Dividend.
Financial capital refers to the funds or monetary resources that are available for investment, production, or other economic activities. It represents the money or financial assets that individuals, businesses, or governments use to generate income, create wealth, or support their operations.
Dividends are cash payments made by a corporation to its shareholders as a distribution of profits. When a corporation earns profits, it can choose to distribute a portion of those profits to its shareholders in the form of dividends. Dividends are typically paid on a regular basis, such as quarterly or annually, but it ultimately depends on the corporation's dividend policy.
The decision to pay dividends is made by the corporation's board of directors, and it is influenced by various factors, including the financial performance of the company, its cash flow, capital requirements, growth opportunities, and the preferences of shareholders.
The correct option is Dividend.
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Pablo gets his dog’s hair cut every month. He pays $10 a cut, once a month. The salon is offering a new sale. The sale offers 1 cut per month, for 3 months for $25. Should Pablo get this new sale price?
Answer:
Yes , Pablo should get the new sale price
Explanation:
Before the new offer, Pablo spends a total of $30 for three months.
( $10 x 3 months).
With the new offer, It will cost Pablo $25 in hair cuts for three months.
The new price is cheaper by $5.
Pablo will save $5 with the new sale price.
You are going into business with 4 equal partners (not counting yourself). If in 6 years, the business is making a profit of $1,000,000, what is your share?.
Answer:
5p=1000000
p=1000000/5
p=200000
Why do you think most of the careers in finance or business require a four-year
college degree?
Economies of scale means that a group physician practice is likely to return more income to physicians than would an individual practice.True or false
Answer:
TRUE
Explanation:
In economics, economies of scale refer to cost savings received by increasing output. Specifically, economies of scale exist if the average cost decreases as output increases.
Answer:
TRUE
Explanation:
In economics, economies of scale refer to cost savings received by increasing output. Specifically, economies of scale exist if the average cost decreases as output increases.
Emilio is photographing a series of hills on his uncle's farm. He remembers that he needs to try to add a foreground to his image to make it appear three dimensional. How is he MOST LIKELY to add this foreground? A. B. C. D. He might change his position to include some foreground items such as rocks or grasses. He might tilt his camera up to better capture the tops of the hills. He might add some framing trees in the middleground of his image. He might circle around to the side of the hills to capture the cows standing on top. PLS HELP!!
Emilio is photographing a series of hills on his uncle's farm. He remembers that he needs to try to add a foreground to his image to make it appear three-dimensional. He is most likely to add this foreground Option A. He might change his position to include some foreground items such as rocks or grasses.
The foreground of an image is usually the element that is closest to the viewer. The foreground is often used to add depth to an image. If a photographer wants to create a 3D appearance in his image, he must ensure that the image has a foreground, mid-ground, and background. It is possible to include a foreground in a photo by modifying the angle of the shot and including elements in the foreground.
Emilio might change his position to include some foreground items such as rocks or grasses. By doing so, he will be adding depth to his image. Another way to add foreground to an image is to use framing trees in the middle ground of the image, but this may not provide the depth required. Tilt his camera up to better capture the tops of the hills or circling around to the side of the hills to capture the cows standing on top are not recommended, as the question seeks to add a foreground.
Therefore, Emilio is most likely to add the foreground by changing his position to include some foreground items such as rocks or grasses. Therefore, the correct option is A.
The question was incomplete, Find the full content below:
Emilio is photographing a series of hills on his uncle's farm. He remembers that he needs to try to add a foreground to his image to make it appear three-dimensional. How is he MOST LIKELY to add this foreground?
A. He might change his position to include some foreground items such as rocks or grasses.
B. He might tilt his camera up to better capture the tops of the hills.
C. He might add some framing trees in the middle ground of his image.
D. He might circle around to the side of the hills to capture the cows standing on top.
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Lack of downtime negative or positive
Which of the following statements is TRUE of qualitative research? Samples for qualitative studies are large and do not require participants to be screened based on important attributes. With a qualitative study, detalled, rich data is usually collected by atking general, open-ended questlons. Findings from qualitative data are generafizable to the population as a whole, informing a marketing manager's final strategle dedslon. Conducting a qualitative study prevents researchers from probing more deeply into areas such as subconscious, psychological consumer motivations. Qualitative study designs are typically informed/influenced by findings from quantitative research. In evaluating your secondary data sources, you are sure to check your news sources to make sure they come from reputable onganizations and that they do not feature sponsored content. This is in keeping with which evaluation criterla discussed in class? Consistency Methodology Purpose Influence Credibility Which of the following is true of independent variables? Their values remain constant throughout an experiment. They do not affect the outcome of an experiment. They are also called criterion variables. Their values are directly manipulated by a researcher. Their values change only with changes in the values of dependent variables. When researchers perform a they gather and synthesize background information, as well as internal and external secondary data to famillarize themselves with the overall complexity of the problem. Data check Background check Situation analysis Theory definition Anatomy screening Which of the following is true of marketing research? It is exclusively used by large businesses. It was originally developed to manage the activities in a supply chain to maximize product value. It solely relies on quantitative techniques. It draws heavily on the social sciences both for methods and theory. It solely relies on observational techniques.
Qualitative research involves collecting detailed, rich data by asking general, open-ended questions. The findings from qualitative data cannot be easily generalized to the entire population, limiting their applicability to a marketing manager's final strategic decision.
In qualitative research, detailed, rich data is collected through methods such as interviews, focus groups, and observations. These methods allow researchers to explore participants' perspectives, experiences, and behaviors in depth. The sample sizes in qualitative studies are typically small and not selected based on specific attributes, as the goal is to gain in-depth insights rather than generalizability. This approach restricts the ability to make broad claims about the population as a whole. Nonetheless, qualitative research can complement quantitative research by providing a deeper understanding of consumer motivations, preferences, and attitudes.
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How many different federal taxes are listed?
Answer:
There are two types of taxes namely, direct taxes and indirect taxes.
Explanation:
12 specific taxes, four within each main category—earn: individual income taxes, corporate income taxes, payroll taxes, and capital gains taxes; buy: sales taxes, gross receipts taxes, value-added taxes, and excise taxes; and own: property taxes, tangible personal property taxes, estate and inheritance taxes, and wealth taxes.
Answer:
2!
Explanation:
direct taxes and indirect taxes! hope this helps! plz mark as brainliest!
The formula for applying overhead to a specific job is ______.
The formula for applying overhead to a specific job is predetermined overhead rate × amount of allocation base incurred by job. Thus, option (d) is correct.
The estimated manufacturing overhead is divided by the estimated allocation base to arrive at the predetermined overhead rate. The work's overhead can be calculated once the specified overhead rate is established by multiplying it by the amount of allocation base incurred by the job.
Another formula for applied overhead involves dividing the number of hours worked or pieces of equipment used by the overhead allocation rate.
Therefore, option (d) is correct.
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Your question is incomplete, but most probably the full question was.
The formula for applying overhead to a specific job is ______.
Estimated manufacturing overhead ÷ amount of allocation base incurred by job
Estimated manufacturing overhead ÷ estimated allocation base
Estimated manufacturing overhead × amount of allocation base incurred by job
Predetermined overhead rate × amount of allocation base incurred by job.
Which of these stores uses a fulfillment center? A: 7-11 B: Dunkin' Donuts C: Amazon D: Comet Dry Cleaner
The store which uses a fulfillment center is: C. Amazon.
What is supply chain management?Supply chain management can be defined as an effective and efficient management of the supply or flow of goods and services, as well as all of the production processes that are involved in the transformation of raw materials into finished products, in order to meet the insatiable want and need of the consumers on a timely basis.
This ultimately implies that, the supply chain management (SCM) simply refers to a strategic process which encompasses all of the activities that are associated with planning, innovation, execution, frequent communications, and supply of finished goods and services to the consumers on a timely basis.
What is a fulfillment center?A fulfillment center is also referred to as a packaging warehouse and it can be defined as a portion of the supply chain which primarily serves as the central hub for all logistics processes that are required to get a product (good) from the seller to the consumer (buyer).
In conclusion, Amazon is a typical example of a store that makes use of a fulfillment center.
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The production era marked a time when companies were able to increase their profits because they were able to decrease their production costs.
True
False
Answer:
true
Explanation:
it was the time of the production line making it easy to make expensive things with people that are lower skilled and cheaper overall
Answer:
True
Explanation:
have a good day
A company is considering a 5.year project to expand production with the purchase of a new automated machine using the latest technology. The new machine would cost 5190,000 FOB 5 t. Louis, with a shipping cost of $5,000 to the plant location, installation expenses of 510,000 would also be required. This new machine would be classified as 7-year property for MACRS depreciation purposes. The project engineers anticipate that this equipment could be sold for salvage for $38,000 at the end of the project. If the corporate tax rate is 25%. what is the after tax salvage cash flow for this new machine at the end of the project? (Answer to the nearest dollar.) MACRS percentages for depreciation each year are as follows:
The salvage value of the machine is $38,000. To determine the tax implications, we need to calculate the depreciation expense for each year using the MACRS percentages.
Year 1 depreciation expense: $195,000 * 20.00% = $39,000
Year 2 depreciation expense: $195,000 * 32.00% = $62,400
Year 3 depreciation expense: $195,000 * 19.20% = $37,440
Year 4 depreciation expense: $195,000 * 11.52% = $21,264
Year 5 depreciation expense: $195,000 * 11.52% = $21,264
Year 6 depreciation expense: $195,000 * 5.76% = $11,232
To calculate the tax savings from depreciation, we multiply each year's depreciation expense by the tax rate of 25%:
Year 1 tax savings: $39,000 * 25% = $9,750
Year 2 tax savings: $62,400 * 25% = $15,600
Year 3 tax savings: $37,440 * 25% = $9,360
Year 4 tax savings: $21,264 * 25% = $5,316
Year 5 tax savings: $21,264 * 25% = $5,316
Year 6 tax savings: $11,232 * 25% = $2,808
The after-tax salvage cash flow is calculated by adding the salvage value to the total tax savings:
After-tax salvage cash flow = Salvage value + Total tax savings
After-tax salvage cash flow = $38,000 + ($9,750 + $15,600 + $9,360 + $5,316 + $5,316 + $2,808)
After-tax salvage cash flow = $38,000 + $48,150
After-tax salvage cash flow = $86,150
Therefore, the after-tax salvage cash flow for the new machine at the end of the project is $86,150.
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When employees at all occupational levels are asked to rank what is important tothem, the order that they put them in is:
When employees at all occupational levels are asked to rank what is important to them, the order in which they prioritize factors can vary based on individual values and circumstances.
Some common elements tend to emerge. Compensation and benefits often top the list, as employees seek fair and competitive pay along with comprehensive benefits packages. Work-life balance is another key consideration, with employees valuing flexibility in working hours and arrangements to meet personal and family needs.
Career growth and development opportunities also hold significance, as employees seek avenues for professional advancement, skill-building, and meaningful work.
Therefore, factors such as a positive work environment, recognition, and alignment with organizational values may play vital roles in shaping employees' priorities.
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When employees are asked to rank what is important to them, the order in which they prioritize these factors can vary. Some common factors that employees often consider important include job satisfaction, work-life balance, career growth opportunities, compensation and benefits, workplace culture, and job security.
When employees are asked to rank what is important to them, the order in which they prioritize these factors can vary. Different individuals may have different priorities based on their personal values, needs, and goals. Some common factors that employees often consider important include:
job satisfactionwork-life balancecareer growth opportunitiescompensation and benefitsworkplace culturejob securityHowever, it is important to note that the specific order in which employees rank these factors can vary depending on their individual circumstances and preferences. For example, some employees may prioritize job security over career growth opportunities, while others may prioritize work-life balance over compensation and benefits.
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Why is it important to plan early for your retirement?
That way you can choose the right major in college.
In order to take advantage of the power of compounding.
Planning early will allow you to invest in new companies.
Taxes on retirement investments increase as you get older.
It is quite important to begin to plan early for your retirement In order to take advantage of the power of compounding.
Why should you plan early for retirement?When you start planning early for retirement, you get to invest funds earlier and leave them to grow for longer.
This means that you can take advantage of the power of compounding, in that your investment will compound for longer and accumulate to higher levels.
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Which government tax incentive retirement account allows a person to contribute after-tax earnings?
Answer:
Roth IRA accounts
Explanation:
You are a shareholder in a C corporation, The corporation earns $1.65 per share before taxes. Once it has paid taxes, it will distribute the rest of its eamings to. you as a dividend. The corporate tax rate is 21%, and your personal tax rate on (both dividend and non-dividend) income is 20%. How much is left for you alter all taxes are paid? The amount that remains is $ per share. (Round to the nearest cent.)
The amount left for you after all taxes are paid is $1.30 per share.
The corporation has earned $1.65 per share before taxes. After the corporation pays taxes at 21% of the $1.65 per share earnings: 0.21 × $1.65 = $0.3465, which leaves $1.65 - $0.3465 = $1.3035 per share to be distributed as dividends.Since the shareholder's personal tax rate on both dividend and non-dividend income is 20%, the shareholder will pay an additional tax of 20% × $1.3035 = $0.2607 per share. Therefore, the amount left for the shareholder is $1.3035 - $0.2607 = $1.0428 per share. Rounded to the nearest cent, the answer is $1.04.
However, since the question asks for the amount per share to the nearest cent, the final answer is $1.30 per share.
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which statement best explains the relationship between points A and B?
these are chains of organizations that are concerned with the management of the processes and activities involved in creating and moving products from producers and manufacturers to end-user customers. the organizations involved with any one journey, are collectively termed as a: a. distribution b. vendor c. communication d. selling
According to the given the correct answer to your question is option is ( a) distribution
The chains of organizations involved in the management of product creation and movement from producers to end-users are commonly known as supply chains. These supply chains involve a series of activities and processes such as procurement, production, transportation, and distribution.
The organizations involved in a specific journey, from production to consumption, are collectively referred to as a distribution chain. This distribution chain is responsible for coordinating all the activities and processes involved in getting the product to the end-user customer.
Therefore, the correct answer to your question is (a) distribution. Effective management of supply chains and distribution chains is crucial for businesses to ensure the timely delivery of quality products to their customers. This involves managing inventory levels, optimizing transportation routes, and ensuring that the right products enter the supply chain to meet customer demand.
You asked about chains of organizations that manage processes and activities involved in creating and moving products from producers and manufacturers to end-user customers. These organizations involved with any one journey are collectively termed: a. distribution. This refers to the entire process of getting products from the producer to the end-user, encompassing various stages such as transportation, warehousing, and retail.
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f a company is in the situation of having unlimited capital funds, the best decision rule, considering only financial factors, is for the company to invest in all projects in which:
The payback period is short.
The accounting (book) rate of return (ARR) is greater than its current return on invested capital (ROI).
The net present value (NPV) is greater than the cost of capital.
The internal rate of return (IRR) is greater than zero.
The NPV is greater than zero.
The best decision rule for a company with unlimited capital funds is to invest in projects that meet the criteria of short payback period, high ARR, positive NPV greater than the cost of capital, positive IRR, and positive NPV.
When a company has unlimited capital funds, it can invest in any project that meets its financial criteria without being constrained by a limited budget. In this case, the company should evaluate potential projects using multiple financial criteria to ensure that it is making the most profitable investments.
The payback period is a measure of how quickly a project will generate cash flows to recoup its initial investment, while the ARR compares the expected profits to the initial investment.
The NPV compares the present value of expected cash flows to the initial investment, while the IRR calculates the rate of return on the investment. The company should invest in all projects that meet all of these criteria to maximize its profitability.
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A conservative investor has $100,000 to invest. the investor has decided to use three vehicles for generating income: municipal bonds, a certificate of deposit (cd), and a money market account. after reading a financial newsletter, the investor also has identified several additional restrictions on the investments
The LP model for the problem on the conservative investor and the vehicles for generating income would give :
Z = 0.09A + 0.08B + 0.07CThis would be subject to the constraints :
A + B + C = 100, 000 B ≤ 40, 000C = 2AA, B, C ≥ 0How to formulate the LP model ?The LP model would be based on the interest rates to be made from the various investment vehicles as shown in the question. 8 % for bonds, 9 % for CDs and 7 % for money market account returns.
Then, these returns and the investment in the investment vehicles, need to be subject to certain restrictions such as no more than 40%, which is 40, 000 being in bonds. The money market should be at least double the CD and all of the money should be invested.
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The full question is:
A conservative investor has $100,000 to invest. The investor has decided to use three vehicles for generating income: municipal bonds, a certificate of deposit (CD), and a money market account. After reading a financial newsletter, the investor has also identified several additional restrictions on the investments. 1-No more than 40 percent of the investment should be in bonds. 2-The proportion allocated to the money market account should be at least double the amount in the CD. The annual return will be 8 percent for bonds, 9 percent for the CD, and 7 percent for the money market account. Assume the entire amount will be invested. Formulate the LP model for this problem, ignoring any transaction costs and the potential for different investment lives. Assume that the investor wants to maximize the total annual return.
a company has a beta of 3.25. if the market return is expected to be 14 percent and the risk-free rate is 5.5 percent, what is the company's required return?
If a company has a beta of 3.25. if the market return is expected to be 14 percent and the risk-free rate is 5.5 percent, the company's required return is 33.13%.
How to find the Required rate of return?Using this formula to find the Required rate of return
Required rate of return = Risk-free rate + (Market return - Risk-free rate) x beta
Where:
Risk-free rate = 5.5%
Market return = 14%
beta = 3.25
Let plug in the formula
Required rate of return = 5.5% + (14% - 5.5%) x 3.25
Required rate of return = 5.5% + 8.5% x 3.25
Required rate of return = 5.5% + 27.625%
Required rate of return = 33.125%
Required rate of return = 33.13% (Approximately)
Therefore the Required rate of return is 33.13%.
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is your name darel 1234567890
which is a list of pages that will be included in a website?
Answer:
car max
Explanation:
1. Homepage
The homepage is where all the action happens on your site. It’s the first thing visitors see, and it determines if an individual will browse around or say goodbye.
When crafting your homepage, you must think from the customer’s perspective. From navigation bars to images to copy, you control your visitors’ first impression.
Visitors should clearly understand the objective of your homepage in just a few seconds. You want them to see your logo with a visible call-to-action button.
CarMax implements this strategy flawlessly with simple copy and a self-explanatory header photo. Both new visitors and returning customers get user-friendly directions.
A firm using a(n) _____ essentially adopts a mass-market philosophy, viewing the market as one big market with no individual segments.
A firm using an undifferentiated target strategy is essentially adopts a mass-market philosophy, viewing the market as one big market with no individual segments.
What is target strategy?It involves selecting potential customers that have been identified for a target market.
This people are the individual that a business wish to sell products or services..
Therefore, A firm using an undifferentiated target strategy is essentially adopts a mass-market philosophy, viewing the market as one big market with no individual segments.
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Your project team has expressed their communal position that they would prefer not to have a review meeting at the end of the project. As project manager, how should you respond to show the value of this meeting?
How you respond should show the value of this meeting is: To tell the team that lessons learnt from the project process can be used in other projects.
A project manager is a person whose sole responsibility is to:
Plan the projectDirect the projectManage the projectMonitor the projectExecute the project etcSince the team said they would not have a review meeting at the end of the completion of the project the best decision as a project manager is to tell the team member that lessons learnt from the project process can be used in other projects since the project is a special or unique project.
Inconclusion the project manager should tell the team that lessons learnt from the project process can be used in other projects.
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My response to the expressed communal position of the project team's preference of not holding project review meetings is to stress its importance with regard to lessons for future projects.
The lessons that come from review meetings help the team to correct mistakes, realign processes, and improve performance.
Thus, since review meetings help to re-enforce the team's learning, I will reassure the team that the meeting would not take more time than necessary. I will also ensure that each team member participate actively.
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A company has three product lines, one of which reflects the following results: Sales HK$215,000 125,000 Variable expenses Contribution margin. 90,000 130,000 Fixed expenses Net loss HK$ (40,000) this product line is eliminated, 60% of the fixed expenses can be eliminated and the other 40% will be allocated to other product lines. If management decides to eliminate this product line, the company's net income will O increase by HK$40,000. O decrease by HK$90,000. O decrease by HK$12,000. O increase by HK$12,000.
If the company decides to eliminate the product line with a net loss of HK$40,000, the impact on the company's net income can be determined.
When the product line is eliminated, 60% of the fixed expenses associated with that product line can be eliminated as well. This means that HK$40,000 * 0.6 = HK$24,000 of fixed expenses will be eliminated from the company's costs. However, the remaining 40% of fixed expenses, which amount to HK$40,000 * 0.4 = HK$16,000, will be allocated to the other product lines.
As a result, the net impact on the company's net income will be the difference between the eliminated fixed expenses and the allocated expenses. The eliminated expenses (HK$24,000) will reduce the net loss, while the allocated expenses (HK$16,000) will increase the net loss. Therefore, the net income will increase by HK$24,000 - HK$16,000 = HK$8,000.
Thus, if management decides to eliminate this product line, the company's net income will increase by HK$8,000, not decrease or increase by HK$12,000, HK$40,000, or HK$90,000.
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