If velocity = 3.5, the quantity of money = 15,000, and the price level = 1.2, then the real value of output is:______

Answers

Answer 1

The real value of output can be calculated using the equation of the quantity theory of money, which states that the money supply multiplied by the velocity of money is equal to the price level multiplied by the real value of output. the real value of output is $43,750.

Given that the velocity is 3.5, the quantity of money is 15,000, and the price level is 1.2, we can use these values to find the real value of output.

Using the equation, we have:

Money Supply * Velocity = Price Level * Real Value of Output

15,000 * 3.5 = 1.2 * Real Value of Output

52,500 = 1.2 * Real Value of Output

To find the real value of output, we divide both sides of the equation by 1.2:

Real Value of Output = 52,500 / 1.2

Real Value of Output = 43,750

Therefore, the real value of output is $43,750.

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Related Questions

when interest rates and inflation rates are blank______, the approximation of the real interest rate becomes blank______. multiple select question. high; good low; poor low; good high; poor

Answers

When interest rates and inflation rates are high the approximation of the real interest rate becomes poor.

When interest rates and inflation rates are high, the approximation of the real interest rate becomes poor. This is because the nominal interest rate is already taking into account the expected rate of inflation. So, when inflation is high, the real interest rate is actually lower than the nominal interest rate.

For example, if the nominal interest rate is 5% and the inflation rate is 3%, the real interest rate is only 2%. This means that the purchasing power of your money is actually decreasing by 1% per year.

On the other hand, when interest rates and inflation rates are low, the approximation of the real interest rate becomes good. This is because the nominal interest rate is not as high, so the real interest rate is closer to the actual rate of return on your investment.

For example, if the nominal interest rate is 2% and the inflation rate is 1%, the real interest rate is 1%. This means that the purchasing power of your money is actually increasing by 0% per year.

So, the approximation of the real interest rate is better when interest rates and inflation rates are low.

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Oscar received his credit report and sees that his VantageScore is 400. Which factor could be the cause?


a

He filed for bankruptcy 15 years ago.


b

He has five credits cards with high balances.


c

He has a low debt-to-credit ratio.


d

He has applied for his first loan in his life.

Answers

Answer:

b. He has five credits cards with high balances.

Explanation:

A VantageScore is a credit score model that shows the probability that someone will pay the loans. A 400 VantageScore is very poor and people can get this score for different situations like bankruptcies as they will appear in your report for up to 10 years, having high utilization rates on your credit card and missing payments. According to this, the answer is that the factor that could be the cause is: he has five credits cards with high balances because he would have a high utilization rate which hurts the credit score.

The other options are not right because a bankruptcy appears in the report for up to 10 years, a low debt to credit ratio shows that you use your credit in a responsible form and it won't hurt your credit acore. Also, if someone doesn't have a credit history, there is no score because there is no data to define that.

According to the​ leader-member exchange​ (LMX) theory,​ _______________________. A. Leaders develop ingroup and outgroup relationships with followers B. Leader behavior is contingent on follower behavior C. Leaders are born with certain leadership characteristics and acquire others over time D. The appropriate leadership style depends on the follower readiness level E. Leader behavior adjusts to the task structure

Answers

According to the leader-member exchange (LMX) theory, leaders develop ingroup and outgroup relationships with followers. This means that leaders tend to form closer, more positive relationships with certain followers, known as the ingroup, while maintaining more distant or neutral relationships with others, known as the outgroup.

The LMX theory suggests that leaders establish these different relationships based on factors such as trust, communication, and shared goals. The members of the ingroup typically receive more attention, support, and opportunities for growth from the leader, while those in the outgroup may receive less of these benefits.

This theory recognizes that leader behavior is contingent on follower behavior. In other words, the leader's actions and decisions are influenced by how the followers behave and respond.

If followers are engaged, proactive, and perform well, the leader is more likely to provide them with opportunities and support.

On the other hand, if followers are disengaged or exhibit negative behavior, the leader may be less inclined to invest in them.

In conclusion, the LMX theory emphasizes that leaders do not treat all followers the same way. They develop different levels of relationships with their followers, establishing closer connections with the ingroup and more distant relationships with the outgroup.

The theory also recognizes that leader behavior is influenced by follower behavior, as leaders respond to the actions and attitudes of their followers.

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Assume the market interest rate is 8% per year and inflation averages 4% per year. (a) Calculate the perpetual equivalent annual worth in future dollars for years 1 through co for an income of $50,000 now and $5000 per year thereafter. (b) If the amounts had been quoted in CV dollars, what is the annual worth in future dollars?

Answers

$46,296.30 plus $62,500 equals $108,796.30 in total present value for the income stream.

Determine the annual perpetual equivalent value in future dollars for years 1 through co for an initial income of $50,000 and a yearly income of $5,000.

We must first determine the present value of the income stream in order to determine the perpetual equivalent annual worth in future dollars. The following formula can be used to determine the initial $50,000 income's present value:

PV is the present value, FV is the future value, r is the interest rate, and n is the number of years. PV = FV / (1 + r) n.

So, PV = $50,000 / (1 + 0.08) ^ 1 = $46,296.30

The following formula can be used to determine the present value of the annuity of $5,000 per year:

PV equals A / r, where r is the interest rate and A is the annual sum.

So, PV = $5,000 / 0.08 = $62,500

Therefore, $46,296.30 plus $62,500 equals $108,796.30 in total present value for the income stream.

We can use the following formula to determine the perpetual equivalent annual worth in future dollars:

Where AE is the annual equivalent, PV is the present value, r is the interest rate, and n is the number of years, AE = (PV * r) / (1 - (1 + r) -n.

We can set n to infinity assuming a continuous income stream. Thus,

AE = ($108,796.30 * 0.08) / (1 - (1 + 0.08) ^ -∞)

AE = $8,703.70

As a result, $8,703.70 represents the perpetual equivalent annual worth in future dollars for years 1 through infinity.

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How much money will you have in the bank 22 years from today if you invest $1,980 and earn 6% interest compounded quarterly. How many years will it take you to accumulate $76,795 if you have $18,755 in your account today and earn 16% (This 16% is the annual rate) compounded semi-annually on that $18,755 over the foreseeable future? (Always round the years UP: e.g., 1.4 years should be written as 2 years approximately)

Answers

Calculation of the future value of $1980 invested at 6% interest compounded quarterly for 22 years In this case, the principal amount is $1980, the annual interest rate is 6% and the frequency of compounding is quarterly.

The quarterly interest rate will be 6% / 4 = 1.5%.

Now, we can calculate the future value of the investment as:

\(FV = P(1+r/n)^(nt)\)

\(case, FV = $1980(1+0.015)^(4*22) = $1980(1.015)^88 = $4629.79\)

Therefore, you will have $4629.79 in your bank account 22 years from today if you invest $1,980 at 6% interest compounded quarterly.   Calculation of the time it will take to accumulate

\(\($76,795 if $18,755\)\)

In this case, the principal amount is $18,755, the annual interest rate is 16% and the frequency of compounding is semi-annually, the semi-annual interest rate will be 16% / 2 = 8%.

Now, we can calculate the time it will take to accumulate

\(ln($76,795) = ln($18,755) + ln(1.04^(2t))ln($76,795) = ln\)

(\($18,755) + 2t * ln(1.04)2t = [ln($76,795) - ln($18,755)] /\)

\(ln(1.04)2t = 12.08 years (approximately)\)

Iit will take approximately 13 years to accumulate

\($76,795\)

if you have

\($18,755\)

in your account today and earn 16% compounded semi-annually on that

\($18,755\)

over the foreseeable future.

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He common stock of mill stones has a beta of 1.08. currently, the market risk premium is 7.65 percent while the u.s. treasury bill is yielding 4.3 percent. what is the cost of equity for this firm?

Answers

The cost of equity for this firm is 12.56%.

Equity represents the price that could be lower back to an organization's shareholders if all of the property has been liquidated and all the organization's debts had been paid off. We also can consider fairness as a diploma of residual possession in a company or asset after subtracting all debts related to that asset. Equity is the ownership of any asset after any liabilities associated with the asset are cleared.

Computation of cost of equity:-

Beta = 1.08

The market risk premium = 7.65 %

Cost of equity = Risk-free rate + Beta * Market risk premium

                      = 4.3% + 1.08 * 7.65%

                       = 12.562% or 12.56%

             

Hence, the cost of equity for this firm is 12.56%.

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!!PLEASE HELP!! Identify at least five different careers in the Health Science or Hospitality and Tourism clusters that you could pursue in your home state, and choose the three that appeal to you the most. Of the three, write a one-page essay describing which one would be your career choice and the educational pathway that you would have to follow In order to obtain that career. Finally, Identify at least three colleges, universities, or training programs that are suited to that career choice.​

Answers

Answer:

The five different careers in Health Science that I would like to purse are nurse practioner, nutritionist, radiology technologist, physicians assistant and emergency medical technician. The three that appeal most to me is the nurse practioner, radiology technologist, and emercengy medical technician. The career choice and educational pathway that appeals to me the most is radiology technologist.

A radiology technologist is responsible for taking a picture of the patients x-ray, examining it and treating it. As a radiologic technologist I would need to check to make sure all the equipment is operational before taking any images. They work in anatomy and use many different equipment such as x-rays, MRI, computed tomography, etc. Sometimes before creating the image I would need to prepare and inject radiopharmaceutical agents into patients. Also, I may help physicians perform procedures such as angioplasty or stent insertion. I like this career because I am intereseted in learning about the human body and I want to help patients.

The colleges or universities that have the program to become a radiology technologist are Long Island University, University of Wisconsin La Crosse and Manhattan College. In order to purse this career I would need a associate's and bachelor's degree which takes about four years. Also, it would be a good idea to go training and attend certificate programs for radiology techs that take around a year. The best credentials are combinations of formal training, a professional license and work experience.

Explanation:

Who among the following are the key to stimulating profit growth within a company?

A. Top managers

B.Middle managers

C. Sales personnel

D. First-line managers

Answers

All of the options mentioned (A. Top managers, B. Middle managers, C. Sales personnel, D. First-line managers) can play a role in stimulating profit growth within a company. However, the specific key individuals or groups may vary depending on the organizational structure, industry, and specific circumstances.

Here's a breakdown of their potential contributions:

A. Top managers: Top managers, such as CEOs and other executives, play a crucial role in setting the strategic direction and goals of the company. They are responsible for making high-level decisions that can impact profitability, such as overall business strategies, resource allocation, and investment decisions.

B. Middle managers: Middle managers are responsible for implementing the strategies and plans formulated by top management. They oversee various departments or teams and are involved in day-to-day operations, resource management, and performance monitoring. Their ability to effectively execute strategies and optimize operational processes can contribute to profit growth.

C. Sales personnel: Sales personnel, including sales representatives, account managers, and sales teams, play a vital role in generating revenue and driving profitability. Their focus is on acquiring new customers, maintaining existing relationships, and closing sales. By effectively selling products or services, they directly contribute to the company's revenue and ultimately its profitability.

D. First-line managers: First-line managers are typically responsible for supervising and coordinating the work of frontline employees. While their primary focus may not be on profit growth at an organizational level, their role in ensuring operational efficiency, productivity, and customer satisfaction can indirectly contribute to profitability. They can also provide valuable insights and feedback to higher-level managers for improving processes and identifying opportunities for growth.

It's important to note that profit growth is a multifaceted outcome influenced by various factors and the collective effort of individuals at different levels within the organization. The specific key individuals or groups and their contributions to profit growth can vary depending on the company's industry, structure, and strategic priorities.

Therefore, all four options (A,B, C, D) are correct.

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A company purchare a compocacut for e manufacture if beat it main product directly from suppliess. The production which is operated at a constaut rate will require 1020 componers per months through out e year. Ordering cost per order is f2so and each component cost $25. Annual holding cost is esfimated to be 20% e purchase pria, lead time is Sdays and there are 250 working days in a year. Calculate
a. Economic order quantity/sia
b. The voder cycled time
c. Re-order level
d. Total mivimam annul anventory costs

Answers

The Total Minimum Annual Inventory Cost is approximately $6058.95. The Reorder Level is approximately 245 components.

a. To calculate the Economic Order Quantity (EOQ), we can use the EOQ formula:
EOQ = √((2 * D * S) / H)

Where D is the annual demand (1020 components per month * 12 months), S is the ordering cost per order, and H is the annual holding cost (20% of the purchase price per component).

Using the given values, we have:
D = 1020 * 12

= 12240 components per year
S = $250
H = 0.2 * $25

= $5

Plugging in the values into the formula, we get:
EOQ = √((2 * 12240 * 250) / 5)

= √(6120000)

≈ 2474

Therefore, the Economic Order Quantity is approximately 2474 components.

b. The Vendor Cycle Time (VCT) can be calculated using the formula:
VCT = EOQ / D

Plugging in the values, we get:
VCT = 2474 / 12240

≈ 0.202 years

Therefore, the Vendor Cycle Time is approximately 0.202 years.

c. The Reorder Level (ROL) can be calculated using the formula:
ROL = D * LT

Where LT is the lead time in years. Given that the lead time is 5 days and there are 250 working days in a year, we have:
LT = 5 / 250

= 0.02 years

Plugging in the values, we get:
ROL = 12240 * 0.02

= 244.8

≈ 245 components

d. The Total Minimum Annual Inventory Cost can be calculated using the formula:
Total Minimum Annual Inventory Cost = (D / EOQ) * S + (EOQ / 2) * H

Plugging in the values, we get:
Total Minimum Annual Inventory Cost = (12240 / 2474) * 250 + (2474 / 2) * 5

≈ 6058.95

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Sun Inc. assigns $6,000,000 of its accounts receivables as collateral for a $2 million 8% loan with a bank. Sun Inc. also pays a finance fee of 1% on the transaction upfront. What would be recorded as a gain (loss) on the transfer of receivables

Answers

Answer:

The answer is: Assigning accounts receivables as collateral for a bank is not a asset transfer.

Explanation:

Even as the bank offers Sun Inc. with a factoring limit, the accounts receivables are still in the firm's accounting book. The firm has the obligations to go after their debtors for collections. The account receivables are transferred to creditors when a company becomes defaulted or bankrupted.

Determining the needed requirements and desired requirements are both part of what project management phase? (a) planning Ob) organizing Oc) monitoring d) adjusting

Answers

(a) Planning. Determining the needed and desired requirements is an essential part of the planning phase in project management, where project managers gather information and define project objectives to establish a roadmap for successful project completion.

Determining the needed requirements and desired requirements are part of the planning phase in project management. During this phase, project managers gather information, define project objectives, and identify the specific requirements that need to be met in order to successfully complete the project. This includes identifying the essential requirements that are necessary for project success (needed requirements) as well as additional requirements that are desirable but not critical (desired requirements). By determining these requirements during the planning phase, project managers can create a roadmap for the project and establish the necessary resources and strategies to meet those requirements.

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How do bonds earn income

Answers

Answer:

The owner of the bond receives interest payments, known as the coupon, throughout the life of a bond, at the interest rate that was determined when it was issued.

Explanation:

They are debt obligations, meaning that the investor loans a sum of money (the principal) to a company or a government for a set period of time, and in return receives a series of interest payments (the yield).

Determine the characteristic for each market segment. This segment contains a common element that unifies its members. This segment contains an element that separates it from other segments. This segment is based on the response of members with a certain outlook. distinction arrowRight homogeneity arrowRight reaction

Answers

Answer:

Market segmentation is a marketing term that refers to aggregating prospective buyers into groups or segments with common needs and who respond similarly to a marketing action. Market segmentation enables companies to target different categories of consumers who perceive the full value of certain products and services differently from one another.

KEY TAKEAWAYS

Market segmentation seeks to identify targeted groups of consumers to tailor products and branding in a way that is attractive to the group.

Markets can be segmented in several ways such as geographically, demographically, or behaviorally.

Market segmentation helps companies minimize risk by figuring out which products are the most likely to earn a share of a target market and the best ways to market and deliver those products to the market.

With risk minimized and clarity about the marketing and delivery of a product heightened, a company can then focus its resources on efforts likely to be the most profitable.

Explanation: I was Just taking a test on this

Answer:

Got this correct on the Test.

Explanation:

distinction--->this segment contains an element that separates it from other segments.

homogeneity--->this segment contains a common element that unifies its members.

reaction--->this segment is based on the response of members with a certain outlook.

What are the major provisions of the Equal Credit Opportunity Act? Respond in 3-4 sentences.

Also research what creditors look for? Explain in detail

Answers

Answer:

Explanation:

The major provisions of the Equal Credit Opportunity Act are that it is against the established law for any creditor to differentiate against any applicant, based on certain characteristics such as race, color, religion, national origin, sex, marital status, or age

It is also considered illegal for any creditors to ask questions such as "their marital status or if they have the intention to have children.

Also, the usual practice is to inform any applicants of the status of their credit application, whether it is granted or otherwise within 30 days of application.

Generally, creditors look for information that may suggest that the applicants can easily repay their loan or credit facilities. Such as your income level, and age.

Read the stage direction: As the first of the mob reaches the bottom steps. The screen door opens and Goodman comes out, a man in his early forties who first greets them smiling and then letting the smile fade as he sees the faces. Based on the stage direction, what should the reader visualize? *


a group of people calmly approaching Goodman’s home
a group of confused people rushing to safety at Goodman’s home
a group of angry people approaching Goodman’s home
a group of people rushing to save Goodman from the outage

Answers

Answer:

C.

Explanation:

A group of angry people. L(-_-)\

                                                     \

Answer:c lol angry people

Explanation:

4)which of the following is correct when bad debt expense is recorded at year-end? b) net accounts receivable will decrease.

Answers

Bad debt expense is an operating expense. An increase in operating expenses decreases income from operations.

When a receivable is no longer collectible as a result of a customer's inability to pay an outstanding debt due to bankruptcy or other financial issues, a bad debt expense is recorded. Companies that offer credit to their customers record bad debts as an allowance for doubtful accounts, also referred to as a provision for credit losses, on their balance sheet.

The basic idea behind bad debt expense is the same as that behind all accounting principles: it enables businesses to completely and accurately report their financial position. Almost every business will encounter a customer who is unable to pay at some point, and they will need to record a bad debt expense.

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What helps a consumer determine the quantity of something to buy?
marginal cost
marginal error
marginal benefit
marginal comparison

Answers

Answer:

marginal cost

Explanation:

"Marginal cost" plays a role when it comes to the quantity that consumers may actually buy for a particular product. If a company decides to produce many bags of good quality at a lower price, the company will be able to save money because over time, they will tend to choose a bulk purchase in which they'll be able to save money. Thus, their marginal cost will decrease. In this case, they can also lower the price for each bag. So, this means that their bags will not be expensive for consumers to buy and the more quantity the consumers will be willing to purchase.

Answer: The answer should be:

A: marginal cost

Explanation:

Edge 2023

Hope this helps! (^_^)

which statement best explains the relationship between points A and B?

which statement best explains the relationship between points A and B?

Answers

It’s b because u can tell it is

The demographic information will tell you where to find the customers.

T
True
or
F
False

Answers

It should be F because the graphic information tells how many males and females there are so it doesn’t tell you where to find customers. It tell how many customers are there in percentages. If I’m wrong I am sorry

I WILL GIVE BRAINLIEST!!!

What needs to happen to prevent scarcity from re-occurring in the future?

Answers

Answer:

Government shouldn't increase the rate of tax

plants should be planted

Natural resources should be utilize properly

water resources should be kept clean

Explanation:

........

why do many people have a fraught relationship with money?

Answers

Answer:

They often put their wants before their needs

PLEASE HELP FAST!!! What is the MOST likely reason that lottery winners often end up with serious financial problems?
They make financial decisions that are not based on their emotions.
They become victims of fraud by those looking to take advantage of the wealthy.
They think over their financial decisions too thoroughly.
The weigh their long- and short-term financial goals before making any decisions.

Answers

Answer:

They become victims of fraud by those looking to take advantage of the wealthy.

Explanation:

The most likely reason that lottery winners often end up with serious financial problems is: “They become victims of fraud by those looking to take advantage of the wealthy.” Hence, Option B is correct.

What does financial problems mean?

Financial difficulty is the inability to make either short-term or long-term debt payments. Debt makes managing money more difficult and reduces one's purchasing power.

Up until all obligations are paid, financial issues become a source of worry. It is necessary to find a solution so that debts can be paid back. Students frequently struggle to pay their bills and afford their education, and many of them have poor incomes, limited financial literacy, and many more.

Families are vulnerable to the destructive effects of economic hardship and financial turmoil. Many families lose their houses, automobiles, retirement accounts, valuables, money, health insurance, and other things during hard economic times.

Therefore, Option B is correct.

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if wages and salaries payable is debited, what account would most likely be credited?

Answers

If wages and salaries payable is debited, the most likely account to be credited would be a liability account called "Cash" or "Bank."

When the company records the debit entry for wages and salaries payable, it signifies an increase in the amount owed to employees for their work.

To balance the accounting equation, an equal and opposite credit entry is required. This credit entry would typically be made to the Cash or Bank account because it represents the outflow of funds when paying the employees their wages or salaries.

By crediting the Cash or Bank account, it reduces the company's available cash or bank balance to reflect the payment made to settle the wages and salaries payable liability. This ensures that the accounting equation (Assets = Liabilities + Equity) remains balanced.

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give the two main Problem statements often have three elements:

Answers

Answer:

what subject is this for

Explanation:

Extended warranty prices __________ depending on the type of car and coverage.

Answers

Answer:

vary

Explanation:

Need to get to the 20 letter limit lol

Which business model is followed by media companies that print magazines and newspapers?

Companies offer consumers magazines and newspapers at a monthly or annual fee. Therefore, such companies follow the_______

business model.

Answers

The business model that media companies that print magazines and newspapers followed are:

Content, Advertising, and Classified.

This is because print magazines and newspapers sell news content, they also advertise for producers or suppliers products. And they bring a supply of products and demand of services together

Companies that offer consumers magazines and newspapers at a monthly or annual fee are said to follow a Subscription business model.

This is because a subscription model is a type of business model whereby consumers are required to pay a recurring price at periodic intervals to get the products delivered.

Hence, in this case, it is concluded that there are various types of business models various companies can utilize to make sales.

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Answer:           Subscription

Will you act immediately on the business opportunity \that you have identified?

Answers

Answer:

Yes because once one has found an opportunity one must seize it.

Explanation:

It is not advisable to act immediately on the business opportunity that is determined.  

A business opportunity includes the lease or sale of any specific product, equipment, or service that will help or make it possible for the purchaser-licensee to begin a business. It is important to consider certain other factors before immediately acting on the business opportunity that is determined. They are:

Size of the Market Relationships with potential investors or customers Capability to manage the Cash Flow Persistence and Passion Management skills  

Thus, we can conclude that one must not act immediately on the business opportunity that is determined before properly analyzing different factors associated with it.

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your company is manufacturing a new product , you need to establish a product quality control process. what are three things you must do to create/ establish. your product quality control process? (choose 3). 1.) developing the product website and social media campaign ? 2.) setting up your test market strategy ? 3.) review the results of internal quality assurance testing ? 4.) establish the method to use or testing product quality ? 5.) determine what standards have to be met based on the product and industry ? 6.) publish your test results in a popular professional journal?

Answers

Answer:5,4,and1

Explanation:

Question 1
25 pts
Client 1: When I was three years old, I started making candy with my grandrłother.
I am now 10 and I want to sell chocolate candy with a farm theme to my friends and
family. My product ideas include Brown Cows (chocolate cows on a stick), Pigs in
Mud (marshmallow dipped in caramel, nuts and chocolate) and Farm Eggs (jelly
beans dipped in chocolate). The start-up expenses for my business are pretty small: a
few candy molds, candy and chocolate.) My parents have agreed to loan me the
money I will need and to let me work in the family kitchen. Schoolwork has to take
priority over business so if I have more sales than I can handle, I will probably ask
friends or my older brother to help. My brother is also pretty good at math and
computers so he could help me with keeping track of my expenses and advertising. I
really like the product development and packaging part of the business.

Answers

Answer:

This is an absolutely  great idea. The only problem is where are you planning to hold your Business? Where are you selling these candies? How will you spread the word? What can you do to make sure people come back and want more of your product?

Explanation: I always wanted to sell candy when I was little but never pulled the trigger on it. For starters I think you should make the names a bit more of a friendly connotation so people don't assume the worst of your product. Your best bet to sell your items and candies would be at school. Now to be honest more kids are carrying money around now than they ever had when I was in elementary-middle school. This is your best bet. Make sure when you are selling your candies to not go in debt with your business, so many people I know tried this and failed because they put way more money then they were making because they thought it would pay off. Yes sometimes take the risk but almost always if your just trying to make a couple bucks, take it easy and sell for a reasonable price. If it costs about $10 to make "Brown Cows" for about 20 people then sell each brown cow for $1.25 per stick. If you have 20 people who are willing to buy you would make 15 dollars profit. Final thing is actually finding people to sell to. Most people go at these type of things alone which I think is a great idea. But if you want to get the word out even more tell a popular kid that you will pay him 5  for every 20 "Brown Cows" he sells. You can really pay him anything you want as long as your not going over your profit margin! Good luck and I would love to know how this goes!

John F. Kennedy believed that a leader should be ?

Answers

Answer:

kn

Explanation:

Answer:  B

Explanation:

Other Questions
One benefit of having a syllabus is that it can:A. show you the answers to tests in advance.B. tell you how to do online research.C. help you avoid turning in assignments late.D. connect you with other students.I think it's C. please provide a statement that addresses your reasons for transferring and the objectives you hope to achieve___ How many charged groups do all isolated amino acids have at physiological ph? a. more than 1 b. more than 2 c. not all amino acids are charged Why is Mexico's PEA 58.2 million?Help me please. It's urgent. April has joined a team with members from the sales, customer service, and shipping and receiving departments. Which term best describes the team April joined? OA. Work team OB. Cross-functional teamOC. Self-managing team O D. Problem-solving team Find the balance in the account after the given period.$4000 principal earning 7% compounded annually, 8 years Element X is a radioactive isotope such that every 6 years, its mass decreases by a half. Given that the initial mass of a sample ofElement X is 46 grams, write a function to model the mass of the element. During the process that forms sedimentary rocks, how does compaction affect sediment?-It decreases the amount of calcite in the sediment.-It changes the shape of sand grains.-It decreases the size of interlocking crystals.-It decreases the volume of pore spaces.-It decreases the ion concentration in groundwater. Convert (4,300) to rectangular form.O A.(2v3,-2) B.(-23,2) C.(-2,-2v3) D.(2,2v3)O E.(2,-2V3) Pls help!!!!!!!!!!!!!!!! Which imagery from the text helps the reader understand that Bagheera is a character that other animals in the jungle fear? like the pattern of watered silkpanther markings showing up in certain lightsinky and black all overa black shadow dropped down into the circle HELP ASAP!!!!!WILL GIVE BRAINLIEST!!!Write about your feelings about the elections. If you were able to vote, which candidate would you vote for? In addition, if you were able to ask each candidate a questions, what would you ask each candidate? Complete in two or more paragraphs. Fast pleaseQ4. As a graphic designer you are expecled to convert window to viewport transformation with the given values. for window, \( X \) wmin \( =20, X \) wmax \( =80 \), Ywmin \( =40 \), Ywmax \( =80 \). f write the expression below as a product of two factors 9 x + 3 y + 12 Which playwright wrote the play The Little Clay Cart? *KalidasaMotokiyoYuBhasa (b) Monochromatic light (wavelength 2) is incident in a normal direction onto a system of six identical narrow parallel slits, with the common slit separation being d. (i) Using a series of appropriat a,b and c are any three integers, then according to associative property,(a+b)+c= How do you distinguish tornado and down burst at a givenlocation after the event had occurred? Describe in detail the roleof vorticity in the formation of the supercells A Company manufactures 10,000 sub-assemblies per year for one of its products. Management is considering outsourcing the sub-assemblies. Here are the manufacturing costs for the sub-assemblies: Direct materials $200 Direct labor $400 Variable manufacturing overhead $100 Average fixed manufacturing overhead $100 Total $800 The company can purchase the sub-assemblies from an outside vendor for $700 per unit. If the company outsources the sub-assemblies, $250,000 of fixed overhead will be eliminated. Which of the following is the best decision and net benefit?Group of answer choicesOutsource, net benefit $1 millionOutsource, net benefit $750,000Outsource, net benefit $250,000Don't outsource, net benefit $250,000 People are often legally required to purchase home and auto insurance. Which BEST explains why this is the case? A. Most people have houses and cars. B. The government needs to prop up these industries. C. These are usually small investments for individuals. D. These kinds of investments pose a high risk for lenders.