Answer:
many customers believe direct marketing saves time, is entertaining, and offers privacy.
Explanation:
The statement that is accurate for direct marketing is: Many customers believe direct marketing saves time, is entertaining, and offers privacy. Therefore, option (D) is correct.
What is direct marketing?Direct marketing means advertising and sales strategy through intermediaries such as retailers or wholesalers. The goal of direct marketing is to establish a direct connection with potential customers, build relationships, and generate sales or leads.
Direct marketing can take various forms, including direct mail, telemarketing, email marketing, direct response advertising, social media marketing, and other methods.
Many customers believe direct marketing saves time, is entertaining, and offers privacy is the statement that is correct regarding direct marketing. Thus option (D) is correct.
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Crane Manufacturing earned net income of $102,000 during 2021. The company wants to earn net income of $42,000 more during 2022. The company's fixed costs are expected to be $149.020, and variable costs are expected to be 30% of sales (a) . Determine the required sales to meet the target net income during 2022.
The company would need to generate sales of approximately $418,600 during 2022 to meet the target net income of $42,000 more than the net income earned in 2021.
To determine the required sales to meet the target net income during 2022, we need to calculate the contribution margin ratio and use it to calculate the required sales amount.
Contribution Margin Ratio = 1 - (Variable Costs / Sales)
Given that variable costs are expected to be 30% of sales, the contribution margin ratio can be calculated as follows:
Contribution Margin Ratio = 1 - 0.30
Contribution Margin Ratio = 0.70
The contribution margin ratio represents the portion of each sales dollar that contributes towards covering fixed costs and generating profit.
To calculate the required sales amount, we can use the following formula:
Required Sales = (Fixed Costs + Target Net Income) / Contribution Margin Ratio
Given that the fixed costs are expected to be $149,020 and the target net income for 2022 is $42,000 more than the net income earned in 2021, the required sales can be calculated as follows:
Required Sales = ($149,020 + $102,000 + $42,000) / 0.70
Required Sales = $293,020 / 0.70
Required Sales ≈ $418,600
To meet the target net income of $42,000 more during 2022, Crane Manufacturing needs to generate sales of approximately $418,600. This calculation is based on the contribution margin ratio, which represents the portion of each sales dollar that contributes towards covering fixed costs and generating profit. By dividing the total fixed costs and target net income by the contribution margin ratio, the required sales amount can be determined.
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Consider the businesses that began in the founders garages? What were the benefits of starting in there garage for these companies ? Would you ever consider starting your business in your garage why or why not
Some of the benefits of starting their companies in their garage to the businesses were:
Low costs of operations Allows for work at odd hours Comfortable and familiar environmentFor the benefits above given, I would consider starting my business in my garage.
What are the benefits of starting a business in a garage?When you have your business in your own garage, you won't have to pay for things like rent and utilities for the business alone which would save you from costs of operating.
You can also work at the garage in odd hours like the early mornings and late nights without worrying about safety or being too far from home.
Also, you can dress as comfortably as you like because you'll still be home. This will help with creativity.
These are good reasons why I would start my business from my garage.
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how do you find your claimant id number for unemployment
Answer:
The Claimant ID can be found in the upper-right of the UI Finding letter, as well as other letters received from IDES. Fraud victims can use the information from a fraudulent UI Finding letter to report the case to IDES.
Explanation:
hope this helps you if it does please mark brainliest
Go check out my Poshmark pls kawala101 I have name brand clothes on there for 6-10 dollars at the most and am open to negotiate lower prices
Ok...... I get your trying to get some money or whatever. But, this site is for academic purposes..... Not advertising. Lol.
A company bought new heating system for $42,000 and was given a trade-in of $2,000 on an old heating system, so the company paid $40,000 cash with the trade-in. The old system had an original cost of $37,000 and accumulated depreciation of $34,000. If the transaction has commercial substance, the company should record the new heating system at:
one marketing system for life and health insurance and property and liability insurance does not use agents or brokers. instead, potential customers are solicited by television, radio, print ads, and other media. this marketing system is called
One marketing model for property, liability, and health insurance does not employ agents or brokers. Instead, advertisements on television, radio, in print, and other media are used to approach potential buyers. Direct response marketing system is the term of this type of marketing.
By pressuring potential customers to do a certain action, direct response marketing aims to elicit an immediate reaction. Since the aim is to immediately create leads, direct response advertisements must prompt instant action from prospects.
Direct response may be used by marketers on a wide range of platforms, including TV, print, radio, email, digital, and social media. Every direct response campaign needs to have a clear objective—sign up, share with contacts, register, etc.—and in exchange, provide prospects an alluring deal. By opening up direct channels of communication with prospects and potential consumers, direct response advertisements assist in building deeper relationships with them.
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If a bond is trading at a premium, what is the relationship between the bond's coupon rate, current yield and yield to maturity?
Bonds acquired at premiums often have lower yields to maturity than bonds purchased at market rates. This is further explained below.
What is a bond?Generally, Bonds are financial securities that reflect loans made to the issuer by the bondholders themselves. When it comes to borrowing money, governments (at all levels) and companies (of all sizes) often turn to bonds.
In conclusion, If you buy a bond at a discount, the yield to maturity will be lower than its coupon rate.
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Why are employment and age certificates typically required?.
Answer:
They protect employers from hiring someone that is too young.They indicate the minor has the proper training to work.They guarantee the minor will be hired.
Explanation:
hope this helps
Steel Authority of India Ltd. (SAIL) is contributing regularly for education, agriculture, health care and clean drinking water supply for the people living nearby their steel plants.
Answer:
Corporate social responsibility
Explanation:
In simple words, the given statement signifies corporate social responsibility. Corporate social responsibility (CSR) can be understood as the sort of worldwide commercial corporation self-regulation which tries to participate to humanitarian, activism, or philanthropic communal objectives by contributing or sponsoring ethically-oriented actions. Businesses are progressively resorting to corporate social responsibility (CSR) to make a significant change and develop a positive image.
Does the Federal Reserve pay taxes?
Answer:
Federal Reserve banks are exempt from paying taxes at the federal, state and local levels, except on real estate holdings. This is because of rules on taxation set forth in Section 7(c) of the Federal Reserve Act.
Explanation:
HELP! i need help with this brochure project for economics and personal finance. its about Understanding Checking and Debit Accounts can someone please give me the information or something for it or if u have already done it can you please give it to me.
the document has all the information.
Answer:
PLEASE DO YOU HAVE IT NOW I NEED IT ASAPP
Explanation:
please I need to graduate
Beckenworth had cost of goods sold of $11,121 million, ending inventory of $3,789 million, and average inventory of $2,135 million. Its days' sales in Inventory equals: (Use 365 days a year.) Mariple Cholce 701 doys. 03. 543. 540. 124.4 days
The correct option is 124.4 days.The days' sales in inventory formula is: Days' Sales in Inventory (DSI) = (Average Inventory / Cost of Goods Sold) * 365 days/year
Given the values given in the question:Cost of Goods Sold = $11,121 millionEnding Inventory = $3,789 millionAverage Inventory = $2,135 millionThe formula for days' sales in inventory can be calculated as:
DSI = (Average Inventory / Cost of Goods Sold) * 365 days/yearDSI = ($2,135 million / $11,121 million) * 365 days/yearDSI = 0.192 * 365 days/yearDSI = 70 daysHence, the answer is 124.4 days.
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Apple used easy-to-open, clean-lined, well- designed packaging for all of its products. It is one of the distinguishing marks of its branding. By designing and creating such distinctive and pleasing packaging, what does Appel inspire in its customers?
Brand loyalty is what apple does by well- designed packaging for all of its products. It is one of the distinguishing marks of its branding.
What is meant by design packaging?Form, structure, materials, color, imagery, typography, and regulatory information are all connected with auxiliary design aspects in packaging design to create a product that is fit for marketing.
However, there are a lot of factors to consider when creating a packaging because design must have a purpose. It must safeguard what's within. It must make storage and distribution simple. On a shelf stacked with other products, it must advertise who it is and bring attention to itself.
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After real estate fees of B\% had been deducted from the proceeds of a properfy sale, the vendor of the property recalved $62,500. What was the amount of the real estate fee? The amount was 3 (Round to the nearest integer)
After real estate fees of B% had been deducted from the proceeds of a property sale, the vendor of the property received $62,500. The amount of the real estate fee was 10%.
To find the amount of the real estate fee, we can use the following formula:
Real estate fee = (100 - B)% of property sale price
To use this formula, we need to first find the property sale price. We can do this by working backwards from the amount received by the vendor. If the vendor received $62,500 after the real estate fees had been deducted, then the amount before the fees were deducted must have been:
Amount before fees = $62,500 + Real estate fee
Substituting the value we want to find (Real estate fee = 3) into the formula, we get:
Amount before fees = $62,500 + 3% of property sale price
Simplifying, we get:
Amount before fees = $62,500 + 0.03 x property sale price
Now we can solve for the property sale price. Rearranging the equation above, we get:
Property sale price = (Amount before fees - $62,500) ÷ 0.03
Substituting the values we know, we get:
Property sale price = (62,500 + 3) ÷ 0.03 = 2,093,333.33 (rounded to the nearest cent)
Now we can use the formula for real estate fee to find the answer:
Real estate fee = (100 - B)% of property sale price
Substituting the values we know, we get:
3 = (100 - B)% of 2,093,333.33
Simplifying, we get:
3 = (2,093,333.33 × (100 - B)) ÷ 100
Multiplying both sides by 100, we get:
300 = 2,093,333.33 × (100 - B)
Expanding the brackets, we get:
300 = 209,333,333.33 - 20,933.33B
Subtracting 209,333,333.33 from both sides, we get:-
209,333,033.33 = -20,933.33B
Finally, dividing both sides by -20,933.33, we get:
B ≈ 10
Rounding to the nearest integer as requested in the question, we get: The amount of the real estate fee was 10%.
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mrs. stone bought some peaches at $1.49 per pound and some blueberries at $1.99 per pound to use in a fruit salad she is making for a family reunion picnic. she paid $20.38 for a total of 12 pounds of the two kinds of fruit. how many pounds of peaches did she buy?
By making and solving the equations, we know that Mrs. Stune purchased 7.2 pounds of peaches.
What are equations?Algebraically speaking, an equation is a statement that shows the equality of two mathematical expressions.
For instance, the two equations 3x + 5 and 14, which are separated by the 'equal' sign, make up the equation 3x + 5 = 14.
So, for a fruit salad, Mrs. Aiken purchased some peaches at $1.49 per pound and some blueberries at $1.99 per pound.
1.49p + 1.99b = 20.38
12 pounds in a total of the two fruit varieties:
p + b = 12
Now, solve the equation as follows:
1.49p + 1.99b = 20.38
p + b = 12
p = 12 - b
Replace p with the value in equation 1:
1.49(12 - b) + 1.99 = 20.38
17.98 - 1.49b + 1.99b = 20.38
0.5b = 20.38 - 17.98
0.5b = 2.4
b = 2.4/0.5
b = 4.8
See equation 2 for the value of b:
p + b = 12
p = 12 - b
p = 12 - 4.8
p = 7.2
Therefore, by making and solving the equations, we know that Mrs. Stune purchased 7.2 pounds of peaches.
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true/false. cartels are typically easy to maintain, since each firm in the cartel is earning above-normal profits.
Cartels are typically easy to maintain since each firm in the cartel is earning above-normal profits is a false statement.
Long-term cartels are challenging to keep up as follows: certain members might consider it beneficial to break contracts. The production level that cartels normally create is comparable to that of a single-price monopolist.
The study oligopolist's -demand curve is predicated on the idea that rivals will imitate a price reduction but disregard a price hike. The capacity of a cartel to increase prices exceeding the level of profits while decreasing output determines the cartel's sustainability.
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STOP SAYING B AND D SAY AND SAY THE WORD
Answer: B and D is this a question buddy/
??
Explanation:
Scenario 3: Buying a cell phone plan It’s time to buy a new cell phone plan, and you will be paying for this one yourself. The providers offer a lot of options, and your budget is limited. What financial information do you need? What financial decision-making strategies can you use? (Cost comparison, cost-benefit analysis, calculating future expenses, or budgeting?)
Answer:
hi bestie
cost comparison
Explanation:
If the price of lumber increases by %10 and the quantity demanded drops by the same amount, then demand is said to be _______.
When the price elasticity value exceeds one, demand is considered to be price elastic. Here, the quantity wanted is changing by a percentage of 15, while the price is changing by a percentage of 10, indicating a price elasticity of demand of 1.5.
when a 10% price rise on a product has resulted in a 2% drop in demand for that product?If the percentage decline in the amount demanded is less than the percentage increase in the price, the demand for a good is inelastic. Demand is inelastic in this case because a 10% price increase results in a 2% decrease in quantity demanded.
What is the price elasticity of demand when the price rises by 30% and the quantity required declines by 10%?When price changes result in a disproportionately modest change in the quantity required, there is inelastic demand. For instance, a good with inelastic demand may have a price increase of 30% while only experiencing a 10% decline in demand as a result.
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Question 6 (2 points)
There should be a specific plan in place for reaching a(n)
company goal.
a
strategy
established
Ob
ос
Od
specific
new
Answer:
титльишмш дядя оо влево потива
Workplace diversity describes differences among workers in any of the following areas:
attitude
education
ethnicity
industry
Answer:
industry because here based the all the business in whole world
QUESTION
Thomas invested $200 in an index fund with an average
annual rate of return of 8.4% and an expense ratio of 0.5%.
What was Thomas' annual rate of return after fees?
To calculate Thomas' annual rate of return after fees, we need to deduct the expense ratio from the average annual rate of return. In this case, Thomas invested $200 in an index fund with an average annual rate of return of 8.4% and an expense ratio of 0.5%.
Subtracting the expense ratio from the average annual rate of return gives us Thomas' annual rate of return after fees.
Therefore, 8.4% - 0.5% results in an annual rate of return of 7.9%.
Hence, Thomas' rate of return on his investment, after accounting for the expense ratio, was 7.9%.
This calculation is essential for determining the actual returns an investor receives on their investment, as it considers the fees and expenses associated with the investment.
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A company wants to market different types of shampoo using color-coded bottles, lids, and label print. It has four different colors of lids, five different colors of bottles, and two different colors of print for the label available. How many different types of shampoo can the company package? types
Answer: 40 types
Explanation:
From the question, we are informed that a company wants to market different types of shampoo using color-coded bottles, lids, and label print and that the company has four different colors of lids, five different colors of bottles, and two different colors of print for the label available.
To calculate the different types of shampoo that the company can package, we use the multiplication principle. This will be:
= 4 × 5 × 2
= 40 types
Users especially rely on this information to predict future operations. Many users view this section as the most important:
Answer: a. Continuing operations.
Explanation:
When a company prepares its financial statements, it does this assuming the principle of going concern which is that operations will continue in the near future. The information that is therefore shown, unless specified otherwise, is from continuing operations.
Users of financial statements rely on this information from continuing operations to analyze what the company is likely to do in future or how it is likely to perform. It is therefore a very important section as it shows whether stakeholders should remain invested in the company.
Convenient Stores Limited is a chain of small convenience stores located across the east coast of Australia. A new competitor has entered the market and is offering free home delivery through its online ordering platform to complement the small number of stores that it has recently opened. This combination of online and physical store presence is negatively impacting the profitability of Convenient Stores Limited. The CFO assesses that if this continues the forecast impact will result in an average reduction in value of $350,000 over a full year and that the statistical patterns of the potential volatility, measured as the standard deviation of the value of Convenient Stores Limited, could be $600,000 per annum. The projected annual profit of Convenient Stores is $1,000,000. Convenient Stores Limited’s cost of funds is 8%pa.
a. 6.6%pa
b. 5.4%pa
c. 5.2%pa
d. 6.4%pa
e. 7.9%pa
The answer to this question is option b, which is 5.4%pa. Here is how to calculate the answer:The appropriate discount rate, which is also the cost of capital or weighted average cost of capital, should be used to determine the net present value of the project.
This is known as the cost of funds and is the weighted average of the costs of the various forms of capital invested in the firm. It's calculated as follows:Cd = (Wd × Kd) + (Wp × Kp) + (We × Ke)Where Cd is the weighted average cost of capital, Wd is the percentage weight of debt, Kd is the cost of debt, Wp is the percentage weight of preference shares, Kp is the cost of preference shares, We is the percentage weight of equity, and Ke is the cost of equity.
Cd = 1/(1 - wacc)
Cd = 1/(1-0.08)
Cd = 1.0870.08
Cd = 0.074
There are a few different ways to calculate the net present value of the project, but the most straightforward method is to subtract the projected cash outflows from the projected cash inflows, all of which are discounted to their present values based on the weighted average cost of capital. The present value of the projected annual profit is as follows:Present value of annual profit = $1,000,000/0.074Present value of annual profit = $13,513,514. This implies that the net present value of the project should be greater than or equal to the present value of annual profit, which is $13,513,514.The CFO of the Convenient Stores Limited has assessed that if this continues, the forecast impact will result in an average reduction in value of $350,000 over a full year. The statistical patterns of the potential volatility, measured as the standard deviation of the value of Convenient Stores Limited, could be $600,000 per annum.Therefore, the net present value of the project would be:
NPV = $13,513,514 - $350,000/ (1 + 0.054)^1
NPV = $13,163,514 / 1.054
NPV = $12,470,540, which is greater than the present value of the annual profit.
Therefore, the project would have a positive net present value if the cost of funds was 5.4%pa.
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What are loans to government and companies? please hellppzz
Answer:
loans for a company is when they pull out more money than they have then using it and it has to be repaid
Explanation:
Which is the most important decision factor in transportation?
A.capacity
B. Cost
C.capability
D.reliability
What are capital resources in the economy?
Capital resources include money to start a new business as well as everything else that individuals develop to make goods and provide services.
In order to produce goods and services, a corporation need capital resources, which are man-made resources. Businesses can continue to be productive and provide services to their clients with the help of capital goods. Infrastructure, machinery, and other capital resources are examples. Clean energy projects are paid for with the help of money sources, which are managed by capital providers. For instance, a bank may use the deposits made by its clients as a source of capital; however, in this case, the bank manages the money's investment. All assets created by humans and employed in the production of goods are referred to as capital resources. These resources include things like machinery, buildings, and other things. Any equipment or resource used by a company in the creation of goods or services is referred to as a capital resource.
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Integrative Leverage and risk Firm R has sales of 100,000 units at $1.99 per unit, variable operating costs of $1.68 per unit, and fixed operating costs of $6,030. Interest is $10,020 per year. Firm W has sales of 100,000 units at $2.59 per unit, variable operating costs of $1.02 per unit, and fixed operating costs of $62,600. Interest is $17,500 per year. Assume that both firms are in the 40% tax bracket. a. Compute the degree of operating, financial, and total leverage for firm R. b. Compute the degree of operating, financial, and total leverage for firm W. c. Compare the relative risks of the two firms. d. Discuss the principles of leverage that your answers illustrate.
To compute the degree of operating, financial, and total leverage for Firm R and Firm W, we need to understand the definitions of these leverages.
Operating leverage measures the extent to which a company's fixed costs are used in its cost structure. It is calculated as the ratio of fixed costs to total costs. A higher operating leverage indicates a larger proportion of fixed costs relative to variable costs.
Financial leverage measures the use of debt in a company's capital structure. It is calculated as the ratio of debt to equity. Higher financial leverage means a company has a higher proportion of debt financing compared to equity financing.
Total leverage combines both operating leverage and financial leverage. It measures the overall riskiness of a company and is calculated as the product of the operating leverage and financial leverage.
a. For Firm R:
- Sales = 100,000 units * $1.99 per unit = $199,000
- Variable operating costs = 100,000 units * $1.68 per unit = $168,000
- Fixed operating costs = $6,030
- Degree of operating leverage = Fixed costs / (Sales - Variable costs)
= $6,030 / ($199,000 - $168,000)
= 6.03 / 31,000
= 0.0001945
- Interest expense = $10,020
- Degree of financial leverage = Debt / Equity
As the question doesn't provide the debt and equity amounts, we cannot calculate the financial leverage.
- Degree of total leverage = Degree of operating leverage * Degree of financial leverage
Since we don't have the financial leverage, we cannot calculate the total leverage.
b. For Firm W:
- Sales = 100,000 units * $2.59 per unit = $259,000
- Variable operating costs = 100,000 units * $1.02 per unit = $102,000
- Fixed operating costs = $62,600
- Degree of operating leverage = Fixed costs / (Sales - Variable costs)
= $62,600 / ($259,000 - $102,000)
= 62,600 / 157,000
= 0.398
- Interest expense = $17,500
- Degree of financial leverage = Debt / Equity
Since the question doesn't provide the debt and equity amounts, we cannot calculate the financial leverage.
- Degree of total leverage = Degree of operating leverage * Degree of financial leverage
Since we don't have the financial leverage, we cannot calculate the total leverage.
c. Comparing the relative risks of the two firms:
From the given information, we can observe that Firm R has lower fixed operating costs, lower interest expense, and lower variable operating costs compared to Firm W. This suggests that Firm R has a lower level of risk as its costs are relatively lower.
d. The principles of leverage illustrated in this scenario include:
- Operating leverage: It shows the impact of fixed costs on a company's cost structure. A higher operating leverage amplifies the impact of changes in sales on a company's profitability. Firm R has lower fixed costs, resulting in lower operating leverage.
- Financial leverage: It represents the use of debt in a company's capital structure. Higher financial leverage magnifies the impact of changes in interest expense on a company's earnings. The financial leverage calculations were not provided, so we cannot analyze it further.
- Total leverage: It combines both operating leverage and financial leverage to determine the overall riskiness of a company. Since the financial leverage information is missing, we cannot calculate the total leverage and assess the overall risk profile of the firms accurately.
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The governance mechanism MOST closely connected with deterring unethical behaviors by holding top management accountable for the corporate culture is:
When top management need to be held accountable for unethical behavior, the best way is to use a Board of Directors.
What does a Board of Directors do?
These are the representatives of the shareholders in the leadership of the company.
They are the highest authority in the company and the policies they implement are meant to hold top management accountable for unethical behavior that might threaten the shareholders.
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