list and describe at least five marketing research and evaluation components to be included in a business plan.

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Answer 1

Marketing research and evaluation components to be included in a business plan include market segmentation, market research, competitive analysis, customer feedback, and market forecasting.

Any successful business must have marketing research and evaluation sections in its business plan.

These elements include market segmentation, which divides the market into smaller segments based on specific characteristics; market research; competitive analysis; studying the products and services of competitors; customer feedback; which assists in identifying customer needs and expectations; and market forecasting, which entails predicting future market trends and conditions.

All of these elements aid in developing a solid marketing strategy and a deeper understanding of the industry.

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Related Questions

fabricating finished 60,000 units and transferred them to the packaging department. at september 30, 30,000 units were still in work-in-process inventory. the degree of completion of work-in-process inventory at september 30 was as follows:

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On September 30, there were 30,000 units in the work-in-process inventory with a certain degree of completion.

Fabricating finished 60,000 units and transferred them to the packaging department. At the end of September, 30,000 units were still in the work-in-process inventory. To determine the degree of completion of the work-in-process inventory, you need to provide information about the percentage completion for each component, such as materials, labor, and overhead costs.

To accurately assess the degree of completion of the 30,000 work-in-process units at September 30, you need to provide more information about the completion percentages for materials, labor, and overhead costs. Once you have this information, you can determine the value of the work-in-process inventory and how close it is to being completed.

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which individuals are most likely to use non-gaap financial measures? multiple select question. the average stockholder rating agencies research analysts financial professionals

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Individuals who are most likely to use non-GAAP financial measures include financial professionals, research analysts, and rating agencies. These individuals typically have a deeper understanding of financial reporting and analysis and are therefore better equipped to interpret non-GAAP measures. Financial professionals such as CFOs and financial analysts often use non-GAAP measures to help them make strategic decisions and evaluate financial performance. Research analysts also commonly use non-GAAP measures to help them evaluate a company's financial health and make investment recommendations to their clients. Rating agencies, such as Moody's and Standard & Poor's, use non-GAAP measures to assess a company's creditworthiness and financial stability.

On the other hand, the average stockholder may not have the same level of financial expertise and may rely more heavily on traditional GAAP financial measures. While non-GAAP measures can provide valuable insights into a company's financial performance, it is important to note that they can also be more subjective and open to interpretation than GAAP measures. As such, it is important for individuals using non-GAAP measures to have a clear understanding of how they are being calculated and what they represent.

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if a bond is to pay off $324 in exactly one year from now, and the market interest rate is 8 percent, the price of the bond today is

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The main answer to your question is that the price of the bond today would be $300. To calculate the price of a bond, we use the present value formula, which is:

PV = FV / (1 + r)^n

Where:
PV = present value of the bond
FV = future value of the bond
r = market interest rate
n = number of years until maturity

In this case, the FV of the bond is $324, the market interest rate is 8%, and the number of years until maturity is 1. Plugging these values into the formula, we get:

PV = $324 / (1 + 0.08)^1
PV = $300

Therefore, the price of the bond today is $300.
To calculate the price of the bond today, given that it will pay off $324 in exactly one year and the market interest rate is 8 percent, you can use the following formula:

Price of bond today = Future value / (1 + interest rate)

The price of the bond today is $300.

1. Convert the interest rate to a decimal: 8% = 0.08
2. Add 1 to the interest rate: 1 + 0.08 = 1.08
3. Divide the future value of the bond ($324) by the result from step 2 (1.08): $324 / 1.08 = $300

So, the price of the bond today is $300, considering the market interest rate of 8 percent.

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if a company has total assets of $13,000,000, ending inventory of $2,000,000, average inventory of $1,900,000, sales of $18,000,000, and cost of goods sold of $11,685,000, what is its average days to sell inventory?

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To calculate the average days to sell inventory, we first need to determine the inventory turnover ratio. The inventory turnover ratio is calculated by dividing the cost of goods sold by the average inventory Inventory turnover ratio = Cost of goods sold / Average inventory Average inventory = (Beginning inventory + Ending inventory) / 2

In this case, we are given the ending inventory, but not the beginning inventory. However, we can use the ending inventory and the inventory turnover ratio to calculate the average inventory.
Inventory turnover ratio = Cost of goods sold / Average inventory
11,685,000 / Average inventory = 11,685,000 / [(2,000,000 + Beginning inventory) / 2]
11,685,000 / Average inventory = 2.95
Average inventory = (2,000,000 + Beginning inventory) / 2
2.95 x Average inventory = 11,685,000
Average inventory = 3,964,406

Now that we have the average inventory, we can calculate the average days to sell inventory using the following formula:
Average days to sell inventory = 365 / Inventory turnover ratio
Average days to sell inventory = 365 / (11,685,000 / 3,964,406)
Average days to sell inventory = 107.54 days
Therefore, the company's average days to sell inventory is approximately 107.54 days.

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adam believes that in the long run all prices are flexible and that any increase in the money supply will lead only to inflation, not to an increase in aggregate output. because the economy would self-correct to long-run equilibrium output, there is no role for either fiscal or monetary policy. adam is best described as a:

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Adam believes that in the long run all prices are flexible and that any increase in the money supply will lead only to inflation, not to an increase in aggregate output. because the economy would self-correct to long-run equilibrium output, there is no role for either fiscal or monetary policy. Adam is best described as an economist.

Economists are mostly investigative persons, which means they are inquisitive and curious individuals who enjoy spending time alone with their ideas. They are also frequently highly adventurous, which means they are natural leaders who excel at influencing and convincing others.

At its most fundamental, thinking like an economist is analyzing facts without regard for opinion or logical errors. In the face of shortage, economists assess the "cost" of individual and society decisions in order to find the best options for themselves or others. Making more informed judgments in both the business and private lives can be facilitated by building an intellectual toolbox like to the economist's.

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The referenced account is currently locked out and may not be logged on to:.

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It seems like you're experiencing a situation where a referenced account is locked out. When an account is "referenced," it typically means that it's the one being talked about or accessed. If the referenced account is "locked out," it means that the user is temporarily unable to log in due to security reasons, such as entering an incorrect password multiple times.

To resolve this issue, follow these steps:

1. Wait for a predetermined time, usually set by the system administrator, for the account to automatically unlock.
2. Contact your system administrator or IT support team and request them to unlock the account manually.
3. If possible, reset your password through an authorized self-service portal or by contacting IT support.

Always remember to use secure and unique passwords to minimize the risk of being locked out.

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Certain charitable contributions of capital gain property do not qualify for a fair market value deduction. Which of the following characteristic of capital gain property will definitely cause it to qualify for a fair market value deduction?
a. It has appreciated in value
b. It is intangible property
c. It is personal property
d. It is tangible property
e. It is NOT used by the charity for a related purpose

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The characteristic of capital gain property that will definitely cause it to qualify for a fair market value deduction is that it is tangible property. Therefore, the correct answer is option D.

Under US tax laws, certain charitable contributions of capital gain property do not qualify for a fair market value deduction. However, contributions of tangible personal property are an exception to this rule.

If a donor contributes tangible personal property that is used by the charity for a related purpose, the donor is eligible for a fair market value deduction for the contributed property.

Tangible personal property includes items such as artwork, antiques, equipment, and vehicles, and the fair market value of the property is determined based on its current market value. In contrast, intangible property such as patents, copyrights, and trademarks, do not qualify for a fair market value deduction.

In conclusion, if a donor contributes tangible personal property to a charity for a related purpose, they are eligible for a fair market value deduction. Therefore, option D, "It is tangible property," is characteristic of capital gain property that will definitely cause it to qualify for a fair market value deduction.

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They deal with fewer and larger buyers than consumer marketers.

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The statement is referring to the characteristics of business-to-business (B2B) marketing. B2B marketers typically deal with fewer and larger buyers than consumer marketers.

This is because B2B marketing involves selling products or services to other businesses rather than to individual consumers. B2B transactions tend to involve larger volumes of goods or services, and the buyers are often organizations or government agencies that require more complex and sophisticated solutions than individual consumers. As a result, B2B marketers must focus on building relationships with a smaller number of key buyers and decision-makers, rather than trying to appeal to a broad consumer audience.

In contrast, consumer marketers typically deal with a larger number of individual buyers, and their marketing efforts are often focused on creating brand awareness and appealing to the emotional or personal needs of consumers. They may use mass media advertising, social media, and other tactics to reach a broad audience of potential buyers.

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Which is not a reason that mybad boards might choose to source globally?.

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One reason that mybad boards might choose to source globally is to reduce costs by taking advantage of lower labor and material costs in other countries.

Another reason might be to access a wider range of suppliers and products, which can improve the quality and variety of their offerings.

A third reason might be to diversify their supply chain and reduce their dependence on any one supplier or region. However, it is not a reason for mybad boards to source globally simply because it is a trend or fashion.

Hence they should have a strategic rationale for doing so, such as improving their competitiveness or responding to changing market conditions.

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Generally, when a lower-level employee commits a crime, that employee will be individually liable for the crime, and under the commercial impracticability doctrine, the employee's manager, and any other corporate official who could have prevented the crime, can also be held liable for their failure to prevent the crime. T/F

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False. Generally, when a lower-level employee commits a crime, that employee will be individually liable for the crime.

However, the manager or other corporate official may be held liable under certain circumstances, such as if they were directly involved in the crime, authorized or directed the crime, or knew about the crime but failed to report it or take action to prevent it.

The concept of commercial impracticability relates to the performance of a contract, not to criminal liability. Under the doctrine of commercial impracticability, a party to a contract may be excused from performing their obligations if an unforeseeable event or circumstance arises that makes performance impractical or impossible.

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under monopolistic competition, entry to the industry ismultiple choicecompletely free of barriers.blocked.more difficult than under pure competition but not nearly as difficult as under pure monopoly.more difficult than under pure monopoly.

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Entry to the industry under monopolistic competition is more difficult than under pure competition but not nearly as difficult as under pure monopoly.

Monopolistic competition is a market structure in which there are many firms that sell differentiated products. This means that each firm has some degree of market power, as consumers may prefer one firm's product over another's. However, because there are many firms in the industry, there is still some degree of competition. In this context, entry to the industry is not completely free of barriers, as it may be in pure competition. However, it is also not blocked, as it may be in pure monopoly. Instead, entry to the industry is more difficult than under pure competition, as firms must differentiate their products in order to be successful. However, it is not nearly as difficult as under pure monopoly, as there are still multiple firms in the industry and consumers have some choice.

Monopolistic competition lies between pure competition and pure monopoly in terms of barriers to entry. While there are still some barriers, such as product differentiation and brand loyalty, they are not as significant as the barriers present in a pure monopoly, where a single firm dominates the market. This means that it's easier for new firms to enter the market under monopolistic competition than under a pure monopoly, but not as easy as under pure competition, where there are virtually no barriers to entry.

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When the contract rate of the bonds is higher than the market rate, the bond sells at a higher price than par value. the amount by which the bond price exceeds par value is the on bonds. T/F

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True, when the contract rate of the bonds is higher than the market rate, it means that the bond is offering a higher interest rate than what is currently available in the market.

This makes the bond more attractive to investors, which in turn drives up the demand for the bond. When demand for a bond increases, its price goes up as well. If the bond price goes up above its par value, then it is said to be selling at a premium. Therefore, the statement "When the contract rate of the bonds is higher than the market rate, the bond sells at a higher price than par value. The amount by which the bond price exceeds par value is the premium on bonds." is true.

Bonds are financial instruments that are used by companies and governments to raise capital. When a company issues a bond, it agrees to pay a fixed interest rate to the bondholder for a specific period of time. This interest rate is known as the contract rate or coupon rate. The bond also has a par value, which is the face value of the bond. This is the amount that the bondholder will receive when the bond matures.

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The percent markup on cost is calculated with the ______________________ formula.
A) Portion Markup on Cost
B) Percent Formula
C) Portion Formula
D) Percent Markup on Cost

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The percent markup on cost is calculated with the formula called "Percent Markup on Cost". This formula is commonly used by businesses to determine the price at which they should sell their products or services in order to make a profit.

The percent markup on cost is calculated by taking the difference between the selling price and the cost of the item, dividing that amount by the cost of the item, and then multiplying the result by 100. This will give the percentage of markup on the cost of the item.For example, if a business purchases a product for $50 and wants to mark it up by 25%, they would use the percent markup on cost formula as follows:
Markup = Selling price - Cost price
Markup = 50 x 25% = $12.50
Selling price = Cost price + Markup
Selling price = $50 + $12.50 = $62.50
Therefore, the selling price of the product would be $62.50, which represents a 25% markup on the cost of the item.In conclusion, the percent markup on cost formula is an essential tool for businesses in determining their pricing strategies and ensuring profitability.

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human capital includes select one: a. the relationships between people. b. an improved product or service. c. capabilities, knowledge, and skills of an individual. d. the output from assembly line employees. question 43 not yet answered points out of 1.00 flag question question text

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Human capital is the capabilities, knowledge, and skills of an individual that can be used in the production of economic value.

It includes the education, training, and experience that an individual has gained, as well as any other intangible assets such as creativity and problem-solving abilities. Human capital is important for businesses and organizations because it enables them to improve their products and services, create new solutions, and increase efficiency.

It also contributes to the development of relationships between people, as well as their personal and professional growth. Human capital is a valuable asset, and it can be a great source of competitive advantage for companies that invest in developing and nurturing the skills of their employees and encouraging them to build relationships.

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what would be the value added by a market analysis undertaken, if the expected value with sample information is $17.4 million and the expected value without sample information is $11.4 million?

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The value added by the market analysis undertaken is $6 million. A market analysis undertaken would provide valuable insights into the market conditions and trends that could impact the expected value.

With the sample information, the expected value is significantly higher at $17.4 million compared to the expected value without sample information of $11.4 million. The market analysis would provide information on customer needs, preferences, and behavior, as well as competitor activities and market opportunities.

This information would enable businesses to make informed decisions about their marketing and sales strategies, product development, pricing, and distribution. The analysis would also help businesses identify potential risks and challenges in the market and develop contingency plans. Overall, the market analysis would add significant value to the decision-making process and increase the chances of achieving business success.
A market analysis undertaken using sample information provides added value by improving the accuracy of your predictions. In this case, the expected value with sample information is $17.4 million, while the expected value without sample information is $11.4 million. The value added by the market analysis can be calculated by subtracting the expected value without sample information from the expected value with sample information.

Value added = Expected value with sample information - Expected value without sample information
Value added = $17.4 million - $11.4 million
Value added = $6 million

Therefore, the value added by the market analysis undertaken is $6 million. This means that using sample information in the market analysis can potentially lead to more informed decisions and better financial outcomes.

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What are the two main categories of participants in​ markets?

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They may include manufacturers, retailers, wholesalers, or other intermediaries. The two main categories of participants in markets are buyers and sellers.

Buyers are individuals or entities that purchase goods or services in a market. They may include consumers, businesses, governments, or other organizations. Buyers typically seek to acquire goods or services that will satisfy their needs or wants at the lowest possible price.Sellers, on the other hand, are individuals or entities that offer goods or services for sale in a market. Sellers seek to earn a profit by selling goods or services at a price higher than the cost of production. They may also engage in marketing and advertising efforts to promote their products and attract buyers. The interaction between buyers and sellers in a market is what determines the prices of goods and services and the quantity of goods and services that are produced and consumed.

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1. please explain the concepts of price floor and price ceiling and provide an example of each case. 2. please explain the unintended outcomes of the price ceiling and price floor.

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Price floor and price ceiling are both government interventions that aim to control prices in a market. A price floor is the minimum price that can be charged for a good or service, while a price ceiling is the maximum price that can be charged.

An example of a price floor is the minimum wage, which is the minimum hourly rate that employers must pay their employees. The government sets a price floor for the minimum wage to ensure that workers are not paid below a certain amount. Another example is the agricultural price support program, where the government sets a minimum price for crops to ensure that farmers earn a certain income.

An example of a price ceiling is rent control, where the government sets a maximum price that landlords can charge for rent. This is done to prevent landlords from raising rents too high and making housing unaffordable for low-income families. Another example is price controls on essential goods like medicine or gasoline, where the government sets a maximum price to ensure affordability.

However, both price floors and price ceilings can have unintended outcomes. Price floors can lead to surpluses, where there is an excess supply of goods or services that cannot be sold at the minimum price. This can lead to inefficiencies, as resources are wasted in producing goods that are not in demand. Price ceilings can lead to shortages, where there is an excess demand for goods or services that cannot be met at the maximum price. This can lead to inefficiencies, as producers may cut back on production, leading to lower quality or even a black market.
Hi! A price floor is a minimum price set by the government for a product or service, preventing it from falling below this level. An example is the minimum wage, which is the lowest amount an employer can legally pay an employee. A price ceiling, on the other hand, is the maximum price set by the government, preventing it from rising above this level. An example is rent control, where the government limits how much landlords can charge for housing.

Unintended outcomes of a price floor may include a surplus in the market as producers are willing to supply more at the higher price, but consumers are less likely to buy. In the case of the minimum wage, it could lead to higher unemployment as employers may be unable to afford to hire more workers. For price ceilings, unintended outcomes may include a shortage in the market, as producers may be unwilling to supply the product at a lower price, leading to insufficient supply for consumer demand. In the case of rent control, it could lead to a shortage of housing, as landlords might be less incentivized to provide rental units at the capped price.

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which of the following genetic disorders are inherited in an autosomal (not x- or y-linked) recessive fashion?

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The genetic disorder that is inherited in an autosomal (not x- or y-linked) recessive fashion is cystic fibrosis. Here option C is the correct answer.

Cystic fibrosis is caused by mutations in the cystic fibrosis transmembrane conductance regulator (CFTR) gene. This gene provides instructions for making a protein that regulates the movement of salt and water in and out of cells in the body. In people with cystic fibrosis, the CFTR protein is not functioning properly, leading to the production of thick, sticky mucus that can clog the lungs, pancreas, and other organs.

Cystic fibrosis is inherited in an autosomal recessive pattern, which means that an individual must inherit two copies of the mutated gene (one from each parent) to develop the disorder. Individuals with one mutated gene are carriers of the disorder but do not typically experience symptoms. If both parents are carriers, each of their children has a 25% chance of inheriting two mutated genes and developing cystic fibrosis.

Hemophilia A and Duchenne muscular dystrophy are inherited in an X-linked recessive pattern, while color blindness and Fragile X syndrome are also X-linked but can have different inheritance patterns.

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Complete question:

Which of the following genetic disorders is inherited in an autosomal (not x- or y-linked) recessive fashion?

A) Hemophilia A

B) Duchenne muscular dystrophy

C) Cystic fibrosis

D) Color blindness

E) Fragile X syndrome

what are the components of the m1 money supply? multiple choice 1 currency in circulation and savings deposits atm deposits and checkable deposits savings deposits and checkable deposits currency in circulation and checkable deposits b. what is the largest component of m1? multiple choice 2 coins currency savings deposits checkable deposits c. which of the components of m1 is legal tender? multiple choice 3 checkable deposits coins savings deposits currency d. why is the face value of a coin greater than its intrinsic value? multiple choice 4 there are too few resources to make coins that have intrinsic value people would sell it for its intrinsic value people would not be able to use the coins the law requires this e. what near-monies are included in the m2 money supply? multiple choice 5 non checkable savings deposits, money market deposit accounts, small time deposits, and money market mutual fund balances checkable savings deposits, interest deposit accounts, large time deposits, and money market mutual fund balances no checkable savings deposits, money market deposit accounts, large time deposits, and money market mutual fund balances checkable savings deposits, money management accounts, small time deposits, and stock market balances

Answers

a. The components of the M1 money supply include currency in circulation and checkable deposits. Therefore, the correct answer is (c) currency in circulation and checkable deposits.

b. Checkable deposits are the largest component of M1. This is because checkable deposits are highly liquid and easily accessible for use in transactions, making them a preferred form of money for individuals and businesses. Therefore, the correct answer is (d) checkable deposits.
c. Currency is legal tender. Legal tender is a form of payment that must be accepted by law to settle a debt. Therefore, the correct answer is (a) currency.
d. The face value of a coin is greater than its intrinsic value because the government that issues the coin gives it a legal tender status. The face value of a coin represents the amount of currency that can be exchanged for the coin, while the intrinsic value represents the value of the metal used to make the coin. The government can create value for the coin by giving it a legal tender status, which ensures that it can be used to settle debts and taxes. Therefore, the correct answer is none of the choices given.
e. Near-monies that are included in the M2 money supply include non-checkable savings deposits, money market deposit accounts, small time deposits, and money market mutual fund balances. These forms of money are not as liquid as checkable deposits but can be quickly converted into cash if needed. Therefore, the correct answer is (a) non-checkable savings deposits, money market deposit accounts, small time deposits, and money market mutual fund balances.

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which of the following was a technique used to by xerox to overstate reported earnings? multiple choice question. using cookie-jar reserves for low earnings years accelerating multiple deliverable arrangements recording fictitious transactions delay recording expenses in high earnings years

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The technique used by Xerox to overstate reported earnings was using cookie-jar reserves for low earnings years. In order to appear as though its earnings were bigger than they actually were, a corporation may claim savings from prior quarters as earnings in current quarters.

A corporation accountant may eat cookies from the cookie jar to exaggerate the stats when an organisation doesn't fulfil its earnings target. It goes without saying that government regulators disapprove of cookie jar accounting since it deceives investors about a company's success. Xerox used cookie-jar reserves as a technique to overstate reported earnings by setting aside excess funds in low earnings years that could be used to boost earnings in future years. This allowed Xerox to manipulate their earnings and present a more favorable financial position to investors. By delaying the recording of expenses in high earnings years, Xerox was able to make their financial performance appear better than it actually was, which is a method of financial manipulation.

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When computing the amount of interest cost to be capitalized, the concept of avoidable interest refers to:.

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When computing the amount of interest cost to be capitalized, the concept of avoidable interest refers to the interest expense that a company could have avoided if it had not made the expenditures for the asset in question.

In accounting, interest costs can be capitalized if they are directly related to the acquisition or construction of a qualifying asset. However, only the interest costs that are directly attributable to the asset can be capitalized, not all interest costs incurred during the period. Avoidable interest is the interest cost that could have been avoided if the asset had not been acquired or constructed. This concept is important because it ensures that only the interest costs that are directly related to the asset are capitalized, and not all interest costs incurred by the company. By excluding avoidable interest, the capitalized interest amount accurately reflects the true cost of financing the asset.

To compute avoidable interest, you need to consider the weighted-average accumulated expenditure for the asset and multiply it by the interest rate(s) applicable to the borrowings.

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Lorraine moved to a new city she was not familiar with, so whenever she needed advice on where to buy something she asked her neighbor Dolores, who always had an answer. Doris knew the best restaurants, car dealerships, shopping malls, parks, plumbers, etc. Dolores was very connected to the community, and always getting more information. Dolores can best be described as a An Opinion Leader b An Associate c An Aspirant d A Market Maven e A Dissociate

Answers

Dolores can best be described as an Opinion Leader. Opinion leaders are individuals who exert significant influence on others' attitudes or behaviors based on their expertise, knowledge, or social status.

They are often seen as credible sources of information and are perceived to be knowledgeable about certain products or services. In this scenario, Dolores has a wealth of knowledge about the new city, making her a valuable source of information for Lorraine when it comes to buying goods and services. Opinion leaders are individuals who have a significant influence on the attitudes and behaviors of others in their social circle or community. They are often seen as experts or knowledgeable about a particular product, service, or topic, and their opinions are highly respected and valued by those around them. Opinion leaders can be found in various contexts, including business, politics, social media, and everyday life.

It is essential to note that opinion leaders are not always positive or supportive of a brand or product. In some cases, they may be critical or even hostile toward a product, which can have a detrimental impact on sales. Therefore, it is important for marketers to identify not only who the opinion leaders are but also what their views are and how they can influence their target audience.

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unnotion corporation is considering making an investment in telecommunication project. the t-bill rate is 4.5% and the market risk premium is 7.5%. what is the discount rate for the project based on capm? a. beta of verizon

Answers

The discount rate for the project based on CAPM can be calculated using the formula Discount Rate = Risk-Free Rate + Beta * Market Risk Premium. In this case, the Risk-Free Rate is given as the T-bill rate of 4.5% and the Market Risk Premium is 7.5%.

However we need to know the Beta of the project.  Without knowing the Beta of the project, we cannot calculate the discount rate. Therefore, the main answer to your question is that we cannot determine the discount rate for the project based on CAPM without knowing the Beta of the project.

The CAPM model is used to calculate the expected return on an investment based on the risk-free rate, market risk premium, and the Beta of the investment. The Beta measures the volatility of the investment compared to the overall market. Without knowing the Beta of the project, we cannot calculate the discount rate using the CAPM formula. Therefore, it is essential to have complete information to apply the CAPM model accurately.
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FILL IN THE BLANK. Electrical forces ____.
(static electricity)
a. can cause objects to only attract each other
b. can cause objects to only repel each other
c. can cause objects to attract or repel each other
d. have no effect on objects

Answers

Electrical forces can cause objects to attract or repel each other.

Option C is correct.

Electrical forces are one of the fundamental forces of nature that govern the behavior of electrically charged particles, such as protons and electrons. These forces arise due to the interaction between the electrically charged particles and are responsible for the attraction or repulsion of particles.

The strength of the electrical force is determined by the magnitude of the charge on the particles and the distance between them. Like charges (i.e., positive-positive or negative-negative) repel each other, while opposite charges (i.e., positive-negative) attract each other. The magnitude of the force decreases as the distance between the particles increases.

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At the shut-down point, the:
a. firm is making an accounting profit.
b. firm is indifferent to whether it operates or shuts down.
c. firm is making a normal profit.
d. industry will attract new entrants.
Which of the inputs can be altered in the short run?
a. The number of hours that existing employees work.
b. The amount of heavy machinery used in the plant.
c. The total number of plants in operation.
d. The capacity of the plant.
In what type of market structure does a firm have no close substitutes for its product?
a. monopolistic competition
b. oligopoly
c. perfect competition
d. monopoly
By producing a number of products that are interdependent, firms are able to produce and market these goods at lower costs. This is known as:
a. economies of scope.
b. diseconomies of scale.
c. constant returns to scale.
d. economies of scale.
Corn is a perfectly competitive commodity. In the marketplace, the demand curve for corn is:
a. upward sloping.
b. downward sloping.
c. perfectly inelastic.
d. perfectly elastic.

Answers

b. firm is indifferent to whether it operates or shuts down.

a. The number of hours that existing employees work.

d. monopoly

a. economies of scope.

b. downward sloping.

At the shut-down point, a firm is indifferent to whether it operates or shuts down because it is not covering its variable costs. In other words, the revenue earned is only sufficient to cover the variable costs and not the fixed costs. In this situation, the firm is not making any profit and would prefer to shut down rather than incur losses by continuing to operate.

In the short run, the number of hours that existing employees work can be altered. This is because labor is a variable input in the short run, whereas capital and plant size are fixed inputs.

A firm has no close substitutes for its product in a monopoly market structure. In this market structure, there is only one seller and the firm has significant market power to set prices.

By producing a number of products that are interdependent, firms are able to produce and market these goods at lower costs. This is known as economies of scope.

Corn is a perfectly competitive commodity, and in the marketplace, the demand curve for corn is downward sloping. This means that as the price of corn increases, the quantity demanded decreases. The demand curve for a perfectly elastic commodity would be horizontal, while the demand curve for a perfectly inelastic commodity would be vertical.

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among other concerns, when seeking to achieve the best coverage of the target market, marketing executives will pay attention to blank, the number of stores in a geographical area. multiple choice density channel risk cannibalization positioning channel conflict

Answers

When seeking to achieve the best coverage of the target market, marketing executives will pay attention to the geographical density, which refers to the number of stores in a specific geographical area.

It is important to have enough stores in a particular area to ensure that the target market can easily access the product or service. However, having too many stores in a small area can lead to cannibalization, which means that sales are being taken away from each other rather than increasing overall sales.

This can lead to a decrease in profitability and market share. Marketing executives must also consider the potential risk of channel conflict when choosing the number and location of stores. In conclusion, while having a high geographical density may be desirable, it is important to balance this with the risk of cannibalization and channel conflict.

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You buy a car for $24,260 and the dealer gives you a $11,800 trade-in on your old car. What is the net amount you owe the dealer after the trade-in is deducted?

Answers

The net amount that you would owe the dealer after the trade-in is deducted is $12,460.

The net amount refers to the final amount owed or received after all applicable deductions, credits, or fees have been accounted for. In the context of a purchase or sale transaction, the net amount is the amount of money that remains after any discounts, returns, or trade-ins have been applied.

To determine the net amount that you owe the dealer after the trade-in is deducted, you would subtract the trade-in value from the purchase price of the new car:

Purchase price of new car - Trade-in value of old car = Net amount owed

$24,260 - $11,800 = $12,460

Therefore, the net amount is $12,460.

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explain how an adjustment to macroeconomics equilibrium occurs if spending in the economy is less than production. be sure to discuss the role of inventories, and state what happens to gdp and employment. provide a graph to explain your answer.

Answers

When spending in the economy is less than production, the macroeconomic equilibrium adjusts through changes in inventories, GDP, and employment levels. Inventories accumulate, GDP decreases, and employment levels fall.


1. When spending is less than production, it means that consumers and businesses are not purchasing enough goods and services to match the supply. This situation leads to a surplus of goods and services in the market.
2. Due to this surplus, businesses start accumulating inventories as their products remain unsold. These inventories represent unsold goods, and their increase reflects a decline in aggregate demand.
3. As inventories continue to build up, businesses will eventually cut back on production to avoid further losses. This reduction in production leads to a decrease in GDP (Gross Domestic Product) since GDP is the total value of goods and services produced in an economy.
4. The decline in production also impacts employment levels. When businesses cut back on production, they usually lay off workers or freeze hiring, which results in higher unemployment rates.

In conclusion, when spending is less than production, the macroeconomic equilibrium adjusts through an accumulation of inventories, a decrease in GDP, and a fall in employment levels. A graph illustrating this relationship would show a shift in the aggregate demand curve to the left, resulting in a lower equilibrium level of GDP and employment.

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Manco Manufacturing Company paid cash for wages of production workers. Which of the following choices reflects how this event would affect the Company's balance sheet and income statement? Assets + Net Income Equity n/a Expense

Answers

If Manco Manufacturing Company paid cash for wages of production workers, it would result in a decrease in cash (an asset) on the balance sheet and an increase in expenses on the income statement.

The equity and net income of the company would not be affected by this transaction. This is because wages paid to employees are considered an operating expense and are subtracted from revenue to calculate net income. Overall, this event would have a negative impact on the company's cash balance and profitability, as it represents a cost of doing business.
When Manco Manufacturing Company pays cash for wages of production workers, the effect on the company's balance sheet and income statement can be summarized as follows:

1. Balance Sheet: The cash payment for wages will cause a decrease in the company's assets (specifically, cash). There will be no change in equity, as the cash outflow affects the liabilities and assets only.

2. Income Statement: The wages paid are considered an expense, which will be recorded as an increase in the "wages expense" or "production wages expense" category. This will result in a decrease in the company's net income, as expenses are subtracted from revenues to calculate the net income.

In summary, paying cash for wages of production workers affects the balance sheet by decreasing assets, and the income statement by increasing expenses and decreasing net income.

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A cash equivalent is a short-term, highly liquid investment that is readily convertible into known amounts of cash and.

Answers

An investment that has a short maturity and is readily convertible into known sums of cash is known as a cash equivalent. It is also short-term, highly liquid, and readily convertible. Here option C is the correct answer.

A cash equivalent is a type of investment that is highly liquid and can be easily converted into known amounts of cash. Cash equivalents are typically short-term investments, with maturities of 90 days or less, that provide a low-risk and low-return option for investors. Examples of cash equivalents include treasury bills, commercial paper, and money market funds.

One of the main characteristics of a cash equivalent is its high liquidity, meaning that the investment can be quickly and easily converted into cash without significant loss of value. This makes cash equivalents an ideal option for investors who may need access to their funds in the short term.

Cash equivalents are also typically low-risk investments, meaning that they have a low probability of default. This makes them a popular choice for investors who prioritize safety over high returns. However, because cash equivalents offer low returns, they may not be suitable for investors with long-term investment goals who are seeking higher returns.

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Complete question:

A cash equivalent is a short-term, highly liquid investment that is readily convertible into known amounts of cash and.

A) An investment that generates high returns over a long-term period.

B) An investment that is highly volatile and risky.

C) An investment that is readily convertible into known amounts of cash and has a short-term maturity.

D) An investment that requires a long lock-in period before it can be liquidated.

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