Julia, an unmarried person, has a 17 year old son named Jared who lives at home and attends a local private school. Jared receives à scholarship of $5,000 from the school. Julia pays all of the expenses of maintaining their mutual household. Julie also bought Jared a used car for $8,000 during the year. Which of the following statements are true? in determining whether Julia furnishes over 50% of Jared's support, the scholarship is not counted as part of his support needs Julia would appear to qualify as head of household provided that both parents combined furnish over half of Jared's support The car would be counted as part of Jared's support needs but would not be counted as household expenses for purposes of head of household qualification All of the above are true

Answers

Answer 1

All the given statements are true in the given situation. Therefore, the correct answer is the option (d) all of the above are true.

The scholarship is not counted as part of his support needs when determining whether Julia furnishes over 50% of Jared's support, Julie would appear to qualify as head of household provided that both parents combined furnish over half of Jared's support, and the car would be counted as part of Jared's support needs but would not be counted as household expenses for purposes of head of household qualification. Thus, all the given statements are true in the given situation. Therefore, the correct answer is the option (d) all of the above are true.

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Related Questions

Erma, Frieda and Gertruda are having lunch at a noisy restaurant serving German food. During lunch, Erma whispers to Frieda, "Gertruda has Ebola, which is a highly contagious disease," but Frieda does not hear Erma's whisper. Gertruda, however, has excellent hearing and does hear Erma's whisper. For what tort can Gertruda successfully sue Erma? O Libel per 'se, but only if Gertruda does in fact have Ebola None of the other answers to this question Slander per se, but only if Gertruda does not in fact have Ebola Slander, but only if Gertruda does in fact have Ebola Libel, but only if Gertruda does not in fact have Ebola

Answers

Gertruda can successfully sue Erma for slander per se, but only if Gertruda does not in fact have Ebola. Ebola, as the statement made by Erma was false.

Slander is a form of defamation that involves making false and damaging statements about someone to a third party. In this case, Erma whispered to Frieda that Gertruda has Ebola, which is a highly contagious disease.

As Gertruda overheard the statement and has excellent hearing, she can argue that Erma made a false statement about her to a third party (Frieda), which could harm her reputation and cause significant damage.

However, for the claim to succeed, Gertruda must demonstrate that she does not actually have Ebola, as the statement made by Erma was false.

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Critical Analysis of Electronic Data Exchange (EDI) in International Business Transactions. Recommend and justify the efficiency and productivity of conducting international electronic commerce compared to traditional trade (off-line)

Answers

Conducting international electronic commerce through EDI offers significant efficiency and productivity benefits compared to traditional offline trade. The elimination of manual processes, real-time communication, and seamless integration of systems contribute to faster transaction cycles.

Electronic Data Exchange (EDI) plays a crucial role in facilitating international business transactions by enabling the seamless exchange of electronic documents and data between trading partners. When comparing the efficiency and productivity of conducting international electronic commerce (e-commerce) through EDI to traditional offline trade, several key advantages can be identified. Firstly, EDI eliminates the need for manual handling of paper-based documents, such as invoices, purchase orders, and shipping documents. This streamlines the entire transaction process, reduces paperwork, and minimizes the risk of errors and delays associated with manual data entry. The automation provided by EDI enhances efficiency, reduces administrative costs, and accelerates transaction cycles. Secondly, international e-commerce through EDI enables real-time communication and collaboration between trading partners across different time zones and geographical locations. This allows for faster decision-making, quicker response times, and enhanced supply chain visibility. With EDI, businesses can track shipments, monitor inventory levels, and manage orders in a more timely and efficient manner, leading to improved productivity.

Additionally, EDI enables seamless integration of systems and data exchange between different stakeholders, such as suppliers, distributors, and logistics providers. This integration promotes interoperability, facilitates information sharing, and enhances coordination among various parties involved in the international trade process. As a result, businesses can achieve higher levels of supply chain efficiency and improve overall productivity.

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Axel is concerned about an intersection near his business that has been the cause of a few minor accidents in the neighborhood, including one that injured an employee. Axel decides to ask the city’s Traffic Control Committee to place a stop sign at the intersection, but he is aware that they are not very receptive to inputs from local businesses. Which subject line for his message is most appropriate for this audience?

Answers

The most appropriate subject line for Axel's message to the city's Traffic Control Committee is "Stop sign needed at intersection near local business due to accidents.

"Explanation: Axel should begin his message with a clear and descriptive subject line.

This will help the committee members understand the purpose of the message and encourage them to read it.

It should also highlight the importance of the issue and emphasize the need for action. By including the phrase "local business" in the subject line, Axel is emphasizing the impact of the intersection on the community. This is an important consideration for the committee members when making decisions that affect the public interest.In conclusion, the most appropriate subject line for Axel's message to the city's Traffic Control Committee is "Stop sign needed at intersection near local business due to accidents."

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Managerial accounting, as compared to financial accounting, is primarily intended to facilitate: an understanding of GAAP.
a. reporting results to shareholders.
b. making decisions with timely,
c. relevant information.
d. conducting ethics investigations under SOX.

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Managerial accounting focuses on providing information to internal users, such as managers and decision-makers within an organization, to support their decision-making process.

It involves the analysis, interpretation, and communication of financial and non-financial data to assist in planning, controlling, and evaluating the performance of the organization. Unlike financial accounting, which primarily focuses on reporting financial information to external stakeholders and is governed by Generally Accepted Accounting Principles (GAAP), managerial accounting is not bound by GAAP and has more flexibility in terms of the information it provides.

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Udala Uke's had the following transactions involving notes payable.
July 1. 2021 Nov, 1. 2021 Borrows $42,000 from First National Bank by signing a nine-month, 8% note.
NOv 1. 2021 Borrows $50,400 from Interprovincial Bank by signing a three-month, 6% note. Prepares annual year-end adjusting entries.
Dec. 31, 2021
Feb. 1. 2022 Pays principal and interest to Interprovincial Bank.
Apr. 1, 2022 Pays principal and interest to First National Bank,

Prepare journal entries for each of the transactions. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter O for the amounts. Record journal entries in the order presented in the problem.)

Answers

The journal entries for each of the transactions are as follows:Journal Entries for transaction 1:DateAccount Titles and ExplanationDebitCreditJul. 1, 2021Notes Payable42,000Cash42,000(Journal entry to record borrowing of $42,000 on a 9-month, 8% note)Journal Entries for transaction 2:DateAccount Titles and ExplanationDebitCreditNov. 1, 2021Notes Payable50,400Cash50,400(Journal entry to record borrowing of $50,400 on a 3-month, 6% note)Journal Entries for transaction 3:DateAccount Titles and ExplanationDebitCreditDec. 31, 2021Interest Expense2,520Interest Payable2,520(Journal entry to record accrued interest on notes payable as of December 31, 2021)Journal Entries for transaction 4:DateAccount Titles and ExplanationDebitCreditFeb. 1, 2022Notes Payable50,400Interest Payable840Cash51,240(Journal entry to record payment of principal and interest to Interprovincial Bank on February 1, 2022)Journal Entries for transaction 5:DateAccount Titles and ExplanationDebitCreditApr. 1, 2022Notes Payable42,000Interest Payable2,240Cash44,240(Journal entry to record payment of principal and interest to First National Bank on April 1, 2022)Note: Interest on each of the notes is calculated as follows:Note 1: $42,000 x 8% x (9/12) = $2,520Note 2: $50,400 x 6% x (3/12) = $1,512 + $840 (accrued interest at December 31, 2021) = $2,352Therefore, the total interest paid on both notes is $4,872 ($2,520 + $2,352).

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(i) Domco makes and sells a single product, Product P. It is currently producing 112,000 units per month, and is operating at 80% of full capacity. Total monthly costs at the current level of capacity are R611,000. At 100% capacity, total monthly costs would be R695,000. Fixed costs would be the same per month at all levels of capacity between 85% and 100%.
At the normal selling price for Product P, the contribution/sales ratio is 60%.
A new customer has offered to buy 25,000 units of Product P each month, at 20% below the normal selling price. Domco estimates that for every five units that it sells to this customer, it will lose one unit of its current monthly sales to other customers.
Required:
a) Calculate the variable cost per unit of Product P and total fixed costs per month.
b) Calculate the current normal sales price per unit, and the contribution per unit at this price.
c) Calculate the effect on total profit each month of accepting the new customer’s offer, and selling 25,000 units per month to this customer. Recommend whether the customer’s offer should be accepted.
.

(ii) A contract is under consideration which would require 1,400 hours of direct labour. There is spare capacity of 500 hours of direct labour, due to the cancellation of another order by a customer. The other time would have to be found by asking employees to work in the evenings and at weekends, which would be paid at 50% above the normal hourly rate of R15.
Alternatively, the additional hours could be found by switching labour from other work which earns a contribution of R5 per hour.
Required:
Calculate the relevant cost of direct labour if the contract is accepted and undertaken. (5marks)

Answers

The relevant cost of direct labour if the contract is accepted and undertaken is given by the amount as 521,000.

a) Calculation of variable cost per unit of Product P,

Variable cost per unit of Product P = Total monthly costs at the current level of capacity - Total fixed costs per month

Total monthly costs at the current level of capacity = R611,000

Total monthly costs at 100% capacity = R695,000

At 80% capacity, the company produces 112,000 units per month.

Total production at 100% capacity = 112,000/0.8 = 140,000 units per month

Variable cost per unit of Product P = (R695,000 - R611,000) / 140,000

Variable cost per unit of Product P = R6 per unit

Total fixed costs per month = Total monthly costs at the current level of capacity - Total variable costs per month

Total fixed costs per month = R611,000 - (112,000 * R6)

Total fixed costs per month = R611,000 - R672,000

Total fixed costs per month = -R61,000.

The fixed costs are negative which means that the company will earn a profit of R61,000 even if it sells no units. The fixed costs are irrelevant in this case as the company is producing above 85% of its capacity. 

b) Calculation of current normal sales price per unit and contribution per unit at this price

Normal selling price per unit = Variable cost per unit of Product P / Contribution/sales ratio

Contribution/sales ratio = 60% = 60/100 = 0.6

Contribution per unit = Normal selling price per unit * Contribution/sales ratio

Contribution per unit = Normal selling price per unit * 0.6.

Let the normal selling price per unit be "S"Then, S * 0.6 = R6S = R10.

Normal selling price per unit = R10

Contribution per unit = R10 * 0.6

Contribution per unit = R6

c) Calculation of the effect on total profit each month of accepting the new customer’s offer, and selling 25,000 units per month to this customerThe new customer wants to buy 25,000 units per month at 20% below the normal selling price.

20% of the normal selling price = 20/100 * R10 = R2

The selling price to the new customer = R10 - R2 = R8

The contribution per unit when selling to the new customer = 60% * R8 = R4.80

The new customer will buy 25,000/5 = 5,000 units in place of the current sales.

Domco currently sells 112,000 units per month and will now sell 107,000 units (112,000 - 5,000) per month at the normal selling price.

Contribution from 107,000 units = R6 * 107,000 = R642,000

Contribution from 5,000 units to the new customer = R4.80 * 25,000 = R120,000

Total contribution = R642,000 + R120,000 = R762,000

Total variable cost = 112,000 * R6 = R672,000

Total fixed cost = -R61,000

Total cost = R611,000 (fixed cost) + R672,000 (variable cost) = R1,283,000

Total profit = Total contribution - Total cost = R762,000 - R1,283,000 = -R521,000.

The profit will reduce by R521,000 each month if the company accepts the new customer's offer.

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The results of SWOT analysis provide guidance to company managers in crafting a strategy (or improving an existing strategy) in ways that fit the company's internal and external situation, which one of the following is not one of the conditions for a company's strategy to be an excellent fit with its situation? Copyright © by Glo Bus Software, Inc. Copying, distributing, or 3rd party website posting sexpressly prohibited and constitutes copyright violation O The foundation and centerpiece of a company's strategy to profitably compete against rivals must be its most competitively powerful resources and capabilities O A company's strategy should be aimed at (1) completely eliminating all of its competitively important weaknesses and (2) boosting its number of core competencies and distinctive competencies A company's strategy should include efforts to defend against those external threats that can adversely impact the company's long-term business prospects or put its survival at risk. A company's strategy must include strategic initiatives aimed squarely at capturing at those market opportunities best suited to the company's strengths and competitive assets. A company's strategy must include actions to correct those competitive weaknesses that make the company vulnerable to attack from rivals, depress profitability, or disqualify it from pursuing a particularly attractive opportunity.

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The condition that is not required for a company's strategy to be an excellent fit with its situation is:

"A company's strategy should be aimed at (1) completely eliminating all of its competitively important weaknesses and (2) boosting its number of core competencies and distinctive competencies."

While it is important for a company to address its weaknesses and enhance its core competencies and distinctive competencies, it is not a mandatory condition for a strategy to be an excellent fit with the company's situation. The other conditions mentioned in the options are all crucial for a strategy to align effectively with the company's internal and external situation.

A company's strategy should focus on leveraging its most competitively powerful resources and capabilities, defending against external threats, capturing market opportunities suited to the company's strengths, and correcting competitive weaknesses.

These conditions ensure that the strategy is well-aligned with the company's situation and enhances its ability to compete and succeed in the market.

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Draw a graph of a competitive market in equilibrium, and illustrate a decrease in Supply. Carefully label everything. Use the "E" labels to label the equilibrium points. As a result of the shift, what will happen to price and quantity? Carefully explain the mechanism that causes price to adjust after the shift, and illustrate it on your graph. Carefully label everything on the graph. Use the boxes below to type your answer. If you reach the line that divides the left side from the right side, start a new line in the next box down. If you do not use all of the boxes, put an "x" in the boxes you do not use.

Answers

In a competitive market in equilibrium, the quantity supplied equals the quantity demanded. It is characterized by a stable price and a stable quantity.

A competitive market is said to be in equilibrium when the quantity demanded is equal to the quantity supplied at a certain price level.Graph:Decrease in Supply:In the graph, a decrease in supply is depicted by a leftward shift in the supply curve from S1 to S2. The intersection of S1 and D curve represents the equilibrium point E1 in the market.

The equilibrium quantity is Q1, and the equilibrium price is P1. Following the decrease in supply, the new equilibrium point becomes E2. The new equilibrium price is P2, and the new equilibrium quantity is Q2.

The mechanism that causes price to adjust after the shift is known as the market mechanism. The market mechanism is a self-correcting process. The decrease in supply causes the price to rise. The higher price is an incentive for suppliers to increase their production.

As a result, the market price will rise, and the quantity supplied will increase. At the same time, the higher price will discourage buyers from buying, and the quantity demanded will decrease. Eventually, the market will achieve a new equilibrium at a higher price level and a lower quantity.

As a result, the equilibrium price rises, and the equilibrium quantity falls.The market mechanism explains the adjustment of price following a shift in supply. It is the primary force that drives the market towards equilibrium. The market mechanism is the way in which the market adjusts to changes in demand or supply.

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In 2017-18, Ahmed has capital gains of £125,000 and allowable losses of £28,000. He also has capital losses brought forward of £4,800. Ahmed's taxable income for 2017-18 (after deduction of the personal allowance) is £18,600. He makes no Gift Aid donations during the year. Compute his capital gains tax (CGT) liability for the year assuming his gains of £125,000 comprise either: a) a gain of £115,000 which qualifies for entrepreneurs' relief (ER) and a non-ER gain of £10,000 on the disposal of chattels, or b) An ER gain of £10,000 and a non-ER gain of £115,000 arising on the disposal of residential property, or c) An ER gain of £7,500, a non-ER gain of £75,000 on the disposal of residential property and a non-ER gain of £42,500 on the disposal of shares. 2) Karen bought a house in 1990 for £46,000. In November 1991 she spent £18,000 on dividing the house into two self-contained flats. In September 2015 she sold one of the flats for £90,000, at which time the other flat was valued at £110,000. In January 2018 she sold the second flat for £115,000. Karen has never lived in either of the flats.< Compute the chargeable gains arising on Karen's two disposals.

Answers

The chargeable gain on Kares first flat is £54,600 , the  chargeable gain   is £69,400

How to solve for the chargeable gains

Ahmed’s case:

Net capital gains = £125,000 - £28,000 - £4,800

= £92,200

Taxable gains

= £92,200 - £11,300 (annual exempt amount) = £80,900

Unused basic rate band = £33,500 - £18,600 = £14,900

CGT on unused basic rate band = £14,900 * 10% (or 18% if residential property gain) = £1,490

CGT on remaining gains = £66,000 * 20% = £13,200

Total CGT liability = £1,490 + £13,200 (or £2,682 + £18,480)

Kare case:

Total cost of both flats = £46,000 + £18,000 = £64,000

Cost of each flat  = £90,000 - (£64,000 / £200,000) * £90,000

= £54,600

Chargeable gain on second disposal

= £115,000 - (£64,000 / £200,000) * £115,000

= £69,400

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21. If a risk has 1% probability of happening, and the impact is $500,000 if it happens, then its risk exposure is: a. $5,000. b. $5,000,000 c. $50,000,000 d. Cannot be decided. 22. 'Time has the least amount of flexibility', meaning that: a. time buffers are unimportant and usually are not needed. b. time cannot be converted into monetary values. c. time cannot be estimated accurately. d time passes regardless whether it is used effectively or not. 23. Which of the following is a difference between system tests and user acceptance tests? a. System tests take longer than user acceptance tests. b. System tests use test data, whereas user acceptance tests use real-life data. c. System tests require more human resources than user acceptance tests. d. System tests are mandatory, whereas user acceptance tests are optional. 24. If I want to purchase 100 PCs with standard configurations, which of the following contract types is most suitable for this kind of purchases? a. Fixed price contract b. Time and material contract c. Cost reimbursable contact d. Unit price contract

Answers

The answers to the given questions are as follows: 22. b. time cannot be converted into monetary values. 23. b. System tests use test data, whereas user acceptance tests use real-life data. 24. d. Unit price contract.

In this case, the risk has a 1% (0.01) probability of happening and an impact of $500,000. Therefore, the risk exposure is calculated as 0.01 * $500,000 = $5,000.

Unlike other resources or factors in a project, time is not easily quantifiable in terms of dollars. It is a fixed and finite resource that passes regardless of how effectively it is utilized or whether time buffers are implemented. Therefore, option b, "time cannot be converted into monetary values," is the correct answer.

On the other hand, user acceptance tests are conducted by end users to ensure that the system meets their requirements and expectations, often using real-life data. Thus, option b, "System tests use test data, whereas user acceptance tests use real-life data," highlights a key difference between the two types of tests.

For the last question, This type of contract provides cost certainty and is appropriate when the requirements and specifications are well-defined and unlikely to change significantly. Therefore, option a, "Fixed price contract," is the best choice for this scenario.

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How did President Nixon ending the Gold Standard in 1971 change
the landscape of International Business? Please
explain.

Answers

President Nixon's decision to end the Gold Standard in 1971 was a turning point in the history of international business. The Gold Standard was an international monetary system that linked the value of a country's currency to a fixed amount of gold. Under the Gold Standard, countries could redeem their currency for gold, which acted as a universal store of value. The system was intended to promote international trade and investment by creating a stable global financial environment.

How did President Nixon's decision to end the Gold Standard in 1971 change the landscape of International Business?President Nixon's decision to end the Gold Standard in 1971 changed the landscape of international business in several ways:

1. The value of currencies became floating: After the Gold Standard was abolished, the value of currencies was no longer linked to gold, but instead floated freely on international markets. This meant that exchange rates could fluctuate widely, which increased the uncertainty and risk associated with international business transactions.

2. Increased inflation: The Gold Standard helped control inflation by limiting the amount of money that governments could print. However, with the end of the Gold Standard, governments were free to print as much money as they wanted, which led to higher levels of inflation. This made it more difficult for businesses to plan and budget for the future.

3. Rise of international trade and investment: Without the restrictions imposed by the Gold Standard, international trade and investment increased dramatically. Businesses were able to expand into new markets and take advantage of new opportunities. This led to greater competition and innovation in international markets.

4. Emergence of new currencies: With the end of the Gold Standard, new currencies emerged as the value of old currencies fluctuated.

This led to the creation of new financial instruments and markets that businesses could use to manage risk and maximize profits.In conclusion, President Nixon's decision to end the Gold Standard in 1971 changed the landscape of international business by making currencies float, increasing inflation, promoting international trade and investment, and creating new currencies and financial markets.

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t the beginning of current year, AAE Company was organized and authorized to issue 100,000 shares with P50 par value.
During the current year, the entity 1 had the following: transactions relating to shareholders equity:
Issued 10,000 shares.at P70 per share.
Issued 20,000 shares at P80 per share.
Reported net income of P 1,000,000.
Paid dividends of P200,000.
Purchased 3,000 treasury shares at P100 per share.
A.)What amount should be reported as share capital at year – end?
B.)What amount should be reported as share premium at year – end?
C )What is the total shareholders’ equity at year-end?
D.)What is the contributed capital at year – end?

Answers

A.) The amount should be reported as share capital at year – end is P1,500,000 B.) the amount should be reported as share premium at year is P1,000,000 C ) the total shareholders’ equity at year-end is P3,300,000 D.) the contributed capital at year – end is P2,500,000.

A) The amount reported as share capital at year-end would be the total par value of the issued shares. In this case, 10,000 shares were issued at P50 par value, and 20,000 shares were issued at P50 par value, so the share capital would be (10,000 shares + 20,000 shares) * P50 = P1,500,000.

B) Share premium represents the excess amount received over the par value of the shares. In this case, 10,000 shares were issued at P70 per share, which is P20 above the par value. Similarly, 20,000 shares were issued at P80 per share, which is P30 above the par value. Therefore, the share premium would be (10,000 shares * P20) + (20,000 shares * P30) = P400,000 + P600,000 = P1,000,000.

C) The total shareholders' equity at year-end would include the share capital, share premium, net income, and dividends. The share capital is P1,500,000 and the share premium is P1,000,000. The net income is P1,000,000, and the dividends paid are P200,000. Therefore, the total shareholders' equity would be P1,500,000 + P1,000,000 + P1,000,000 - P200,000 = P3,300,000.

D) Contributed capital refers to the amount contributed by shareholders, which includes the share capital and share premium. In this case, the share capital is P1,500,000 and the share premium is P1,000,000, so the contributed capital at year-end would be P1,500,000 + P1,000,000 = P2,500,000.

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what factors contribute to the energy cost of a given activity?

Answers

The factors that contribute to the energy cost of a given activity are intensity of the activity, duration of the activity, body weight, age and fitness level.

Factors that contribute to energy cost:

1. Intensity of the activity: The amount of energy required for an activity is determined by the activity's intensity. As a result, high-intensity exercises require more energy than low-intensity exercises.

2. Duration of the activity: The length of time an activity is performed also affects its energy cost. Longer activities burn more calories than shorter ones.

3. Body weight: The energy cost of an activity is also influenced by the individual's body weight.

4. Age: The energy cost of activities can also be affected by an individual's age. Older adults may require less energy for activities than younger people.

5. Fitness level: An individual's fitness level also affects the energy cost of activities. More fit individuals may require less energy for the same activity than less fit individuals.

6. Gender: The energy cost of activities can also vary between genders. Typically, men require more energy for activities than women due to differences in body composition.

7. Environmental factors: Environmental factors such as temperature, humidity, and altitude can also affect the energy cost of activities. For example, exercising in hot and humid weather can increase the energy cost of an activity.

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Omar Company is contemplating the production and sale of a new widget. Projected sales are $300,000 (or 75,000 units) and desired profit is $36,000. What is the target cost per unit?
O a. $4.00
O b. $3.52
O c. $4.48
O d. $4.80

Answers

To calculate the target cost per unit, we need to subtract the desired profit from the projected sales and then divide the result by the number of units.

Projected sales: $300,000

Desired profit: $36,000

Number of units: 75,000

Total cost = Projected sales - Desired profit

Total cost = $300,000 - $36,000

Total cost = $264,000

Target cost per unit = Total cost / Number of units

Target cost per unit = $264,000 / 75,000

Target cost per unit = $3.52

Therefore, the target cost per unit is $3.52.

The correct answer is option b. $3.52.

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To calculate the target cost per unit, we need to subtract the desired profit from the projected sales and then divide the result by the number of units.

Projected sales: $300,000

Desired profit: $36,000

Number of units: 75,000

Total cost = Projected sales - Desired profit

Total cost = $300,000 - $36,000

Total cost = $264,000

Target cost per unit = Total cost / Number of units

Target cost per unit = $264,000 / 75,000

Target cost per unit = $3.52

Therefore, the target cost per unit is $3.52.

The correct answer is option b. $3.52.

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Which role should the RTE play related to hackathon event? Get approval for work to be done in the hackathon Ensure the teams have allocated story points in the Innovation and Planning Iteration during the PI to account for the effort Allow the teams aS much flexibility as possible to promote innovation Work with development leaders to make sure they give clear and detailed guidance to the developers on what is expected

Answers

The role of Release Train Engineer (RTE) in relation to the Hackathon event is to ensure that the teams have allocated story points in the Innovation and Planning Iteration (IP Iteration) during the PI to account for the effort. The other responsibilities of the RTE during the hackathon event include:Making sure that the teams have allocated story points in the IP iteration to account for the effort.Get approval for work to be done in the hackathon.Work with development leaders to ensure that they give clear and detailed guidance to the developers on what is expected.Allow the teams as much flexibility as possible to promote innovation.RTEs act as a conduit between the teams, ART, and Product Management. They assist in ensuring that the teams work effectively and that the project stays on track. They also assist with removing any impediments that the teams may face. The RTE is responsible for supporting Agile Release Trains (ARTs) and suppliers in achieving the goals of program increment planning and execution.This ensures that the teams have the required resources and environment to succeed, and that they stay aligned to the organization's objectives.

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BNY plc, which pays corporation tax at 25%, has the following capital structure: Ordinary shares: 900,000 ordinary shares of nominal value 25p per share. The market value of the shares is 49p per share. A dividend of 7p per share has just been paid, and dividends are expected to grow by 7% per year for the foreseeable future. Preference shares: 350,000 preference shares of nominal value 60p per share. The market value of the shares is 32p per share and the annual net dividend of 7.5% has just been paid. Debentures: GHC100,000 of 10-year redeemable debentures with a market price of GHC92 per GHC100 block. These debentures have a coupon rate of 10% and the annual interest payment has just been made. Calculate the weighted average after-tax cost of capital of BNY plc. Q5 (b) Preferred stock is source of finance also called a hybrid security. Justify the usage of preferred stock on the capital structure of companies such as Standard Chartered Bank (GH) Ltd.

Answers

Weighted Average Cost of Capital (WACC):Weighted Average Cost of Capital (WACC) is a measure of a company's cost of capital.

Then, the after-tax cost of each financial component is divided by the company's total market value to obtain the weighted average cost of capital (WACC).

The formula for calculating WACC is given by, WACC = (E/ V × Re) + [(D/ V × Rd) × (1 − Tc)] where, E = Market value of the company's equity, D = Market value of the company's debt, V = Total value of capital (equity plus debt), Re = Cost of equity, Rd = Cost of debt, and Tc = Corporate tax rate. Calculation of WACC of BNY plc: Firstly, we have to calculate the market value of the equity, which is as follows: Market value of ordinary shares = Number of ordinary shares × Market value per share = 900,000 × £0.49 = £441,000.

Market value of preference shares = Number of preference shares × Market value per share = 350,000 × £0.32 = £112,000. Therefore, the market value of equity (E) = £441,000 + £112,000 = £553,000. The market value of debt (D) is GHC100,000 × GHC92 = £92,000.

Now, we will calculate the cost of equity (Re) as follows: Cost of equity = (Dividend per share ÷ Market value per share) + Dividend growth rate = (£0.07 ÷ £0.49) + 7% = 21.4%Next, we will calculate the after-tax cost of debt (Rd) as follows:After-tax cost of debt = (Coupon rate × (1 − Tax rate)) + (Market discount ÷ Years to maturity) = (10% × (1 − 25%)) + (8% ÷ 10) = 8.5%

Therefore, the WACC of BNY plc is: WACC = [(E/ V × Re) + (D/ V × Rd)] = [(£553,000/ £645,000 × 21.4%) + (£92,000/ £645,000 × 8.5%)] = 17.2%

It usually pays a fixed dividend and is senior to common stock but subordinate to debt in the event of bankruptcy.

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A 10-year, 6.1-percent coupon bond is selling for 103.5 percent of par. What is the bond's market yield if it makes semi-annual coupon payments? (Round answer to 3 decimal places, e.g. 5.795.) Bond's Market Yield %

Answers

A bond is a debt instrument that firms and governments issue to raise money. Bonds can be bought and sold on the secondary market. Market yield is the bond's current yield if it is sold on the secondary market. It is computed by dividing the coupon rate by the current price of the bond. The bond's market yield is 5.781 percent.

A 10-year, 6.1-percent coupon bond is selling for 103.5 percent of par, and the bond makes semi-annual coupon payments.

To determine the bond's market yield, the bond's annual interest payment must be calculated first. The bond's annual interest payment is the product of the bond's par value and the coupon rate.

In this case, the annual interest payment on the bond is 6.1 percent of $1,000, or $61.

The bond's semi-annual interest payment is half of the annual interest payment, or $30.5.

The bond's market yield can now be calculated using the formula for the market yield of a bond.

The formula is: Market yield = (Annual interest payment / Bond price) x 100%. The bond is selling for 103.5 percent of par value, or $1,035. Therefore, the bond price can be calculated as $1,035 / $1,000 par value = 1.035.

As a result, the bond's market yield is calculated as follows:

Market yield = (2 x $30.5 / $1,035) x 100% = 5.781%.

Hence, the bond's market yield is 5.781 percent, rounded to three decimal places.

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Digital Design Corporation has an after-tax cost of debt capital of 7 percent, a cost of preferred stock of 9 percent, a cost of equity capital of 11 17 percent, and a weighted average cost of capital of 8.5 percent. In raising additional capital, the company intends to maintain its current capital 11% structure. In order to make a capital - budgeting decision for an average risk project, the relevant cost of capital is: A) 7 percent. B) 8.5 percent. c) 11 percent.

Answers

Digital Design Corporation has a weighted average cost of capital (WACC) of 8.5 percent and a cost of equity capital of 11.17 percent. The company intends to maintain its current capital structure while raising additional capital. Therefore, the relevant cost of capital for an average risk project is 8.5 percent.

The WACC of Digital Design Corporation is calculated using a weighted average of the cost of its debt, preferred stock, and equity. Therefore, the cost of debt capital (after-tax) is 7 percent and the cost of preferred stock is 9 percent. The cost of equity capital is given as 11.17 percent, which is higher than the WACC.

This indicates that the company is generating returns greater than the cost of capital. The relevant cost of capital is the minimum required rate of return that the company needs to earn on an investment to make it worthwhile to invest. The WACC of 8.5 percent is the relevant cost of capital for Digital Design Corporation to make a capital budgeting decision for an average risk project.

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i. During the year, Crompton Ltd issues $200,000 of bonds and retires (or repays) $120,000 of bonds. How will these events be reported in financing activities on the statement of cash flows?

a. increase in cash of $200,000 and decrease in cash of $120,000

b. decrease in cash of $200,000 and increase in cash of $120,000

c. net gain on retirement of bonds of $80,000

d. net decrease in cash of $80,000

e. net increase in cash of $80,000

Answers

The correct answer is option (b): decrease in cash of $200,000 and increase in cash of $120,000. The net effect on cash from these events is a decrease of $80,000 ($200,000 - $120,000), but the individual cash flows associated with each event are separately reported in the financing activities section.

The events of issuing $200,000 of bonds and repaying $120,000 of bonds will be reported as a decrease in cash of $200,000 and an increase in cash of $120,000 in the financing activities section of the statement of cash flows. The statement of cash flows categorizes cash flows into three main sections: operating activities, investing activities, and financing activities. The financing activities section includes cash flows related to raising or repaying capital, such as issuing or retiring bonds. In this case, when Crompton Ltd issues $200,000 of bonds, it is raising capital, which is considered a financing activity. This inflow of cash will be reported as an increase in cash of $200,000 in the financing activities section of the statement of cash flows. On the other hand, when Crompton Ltd retires or repays $120,000 of bonds, it is reducing its outstanding debt, which is also a financing activity. This outflow of cash will be reported as a decrease in cash of $120,000 in the financing activities section of the statement of cash flows.

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what is the term casino economy and what are the use in pakistan
budget 2022

Answers

The term "casino economy" refers to an economic system where the growth and stability of the economy heavily rely on speculative activities, such as financial speculation, rather than on productive sectors like manufacturing or agriculture.

It implies an economy that is highly dependent on gambling-like activities and risky investments, which can lead to instability and vulnerabilities in the long run.

In the context of Pakistan's budget for 2022, it is important to note that the term "casino economy" is not explicitly mentioned. However, if there are concerns or criticisms about the budget prioritizing speculative activities or relying heavily on volatile sectors such as the stock market or real estate, it could be associated with the idea of a casino economy.

To provide a more accurate analysis, it would be necessary to review the specific measures and policies outlined in the budget for 2022 and evaluate their potential impact on the economy. The assessment would involve considering factors such as the allocation of funds, investment in productive sectors, promotion of job creation, and measures to address economic inequalities.

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You are a representative from one of the software companies you
recommended in the recommendation proposal assignment. You got a
lead that Access Mortgage Company responded for more information
about

Answers

As a representative of the software company, it is important to provide additional information about the product and services that we offer.

Access Mortgage Company's interest in our product indicates their need for a reliable software solution to manage their business.

Our software provides a comprehensive platform for mortgage companies to streamline their operations, manage customer information, and improve communication between departments.

Our user-friendly interface and customizable features make it easy for companies to tailor the software to their specific needs. Our team also provides training and support to ensure a smooth transition to our software.

We look forward to working with Access Mortgage Company to provide them with a solution that meets their needs and helps their business succeed.

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I’m with the Band

The most common way to arrange a pay structure is by defining pay associated with particular jobs. However, this encourages bureaucracy and can reduce flexibility, a real handicap in today's environment. As a result, some companies are experimenting with "banding," or making wider groups of jobs with similar pay. This reduction in the specificity of the structure increases the adaptability of the organization, but can cause some problems.

In this exercise, please read the mini-case and answer the questions that follow.

Ray Wilson is Quality Manager of the Tiffin, Ohio plant of North-West Electric, a manufacturer of electrical components. Some North-West locations have implemented various forms of broad-banding and delayering in response to job-based pay structures. He heard about the experiences of Tiffin's sister plant in Kinston, North Carolina at a recent quality conference. This made him consider his own situation. His staff is generally effective, but they do not always do well in the highly ambiguous environment of the plant because their defined responsibilities do not incorporate a great deal of flexibility, and many of them are reluctant to step outside their roles. There are four levels of employees between him and his hourly staff; Ray sometimes feels overly insulated from the happenings on the shop floor. Now, Ray has to decide whether or not to try this approach with his own staff, and what specifically to do if he does make changes.

3a. If Ray decided to delayer his organization, what would he ...

If Ray decided to delayer his organization, what would he be doing?

Reducing the number of job levels to achieve flexibility in assignments

Listening to his people more

Taking more of an active role in managing his people

Broadening everyone's job descriptions

References

Multiple ChoiceDifficulty: 2 Medium

3a. If Ray decided to delayer his organization, what would he ...Learning Objective: 11-05 Describe new developments in the design of pay structures.

19.

value:
10.00 points

3b. One advantage of the delayering approach at North-West ...

A major advantage of the delayering approach at North-West will be

Better budgetary control over labor costs

More discretion to reward top performers

Better clarity around job tasks

Increased opportunity for promotion

References

Multiple ChoiceDifficulty: 2 Medium

3b. One advantage of the delayering approach at North-West ...Learning Objective: 11-05 Describe new developments in the design of pay structures.

20.

value:
10.00 points

3c. Why might having broader bands help Ray attract better ...

Why might having broader bands help Ray attract better talent?

Increased emphasis on promotions will attract ambitious applicants

Good applicants feel comfortable in a hierarchical structure

He will have more flexibility to meet market pay demands

More detailed job descriptions give applicants a better idea of what they are doing

References

Multiple ChoiceDifficulty: 2 Medium

3c. Why might having broader bands help Ray attract better ...Learning Objective: 11-05 Describe new developments in the design of pay structures.

21.

value:
10.00 points

3d. How will broad-banding help Ray with the fact that his ...

How will broad-banding help Ray with the fact that his employees are reluctant to step outside their roles?

He can be a more "hands-on" manager

Having fewer, broader job descriptions and less emphasis on jobs makes the roles more flexible

The possibility of getting paid more motivates employees

The broadbanding will make the employees feel more comfortable

References

Multiple ChoiceDifficulty: 2 Medium

3d. How will broad-banding help Ray with the fact that his ...Learning Objective: 11-05 Describe new developments in the design of pay structures.

22.

value:
10.00 points

3e. If Ray decides to implement less-defined ...

If Ray decides to implement less-defined job responsibilities, what challenge will he have to manage carefully with regard to performance evaluation?

He will need to handle more paperwork for more complex evaluations

A more informal culture will make evaluation more difficult

With less defined responsibilities, he will have to make sure that everyone understands what's expected of them

Having fewer managers will make that process more difficult

References

Multiple ChoiceDifficulty: 2 Medium

3e. If Ray decides to implement less-defined ...

If Ray decides to implement less-defined job responsibilities, what challenge will he have to manage carefully with regard to performance evaluation?

He will need to handle more paperwork for more complex evaluations

A more informal culture will make evaluation more difficult

With less defined responsibilities, he will have to make sure that everyone understands what's expected of them

Having fewer managers will make that process more difficult

Answers

If Ray decided to delayer his organization, he would be reducing the number of job levels to achieve flexibility in assignments. Delayering refers to the process of eliminating or reducing the number of hierarchical levels within an organization.

By doing so, Ray would flatten the organizational structure, removing unnecessary layers of management and reducing bureaucracy. This would create a more flexible and agile work environment, allowing employees to have a broader range of responsibilities and more flexibility in their assignments.

Delayering can have several benefits, including increased communication and collaboration, faster decision-making, and improved employee empowerment. By reducing the number of job levels, Ray would be promoting a more open and inclusive work culture where employees have the opportunity to contribute beyond their defined roles. This can lead to increased motivation, job satisfaction, and overall organizational effectiveness.

However, delayering also presents challenges. Employees may initially struggle with the increased responsibility and ambiguity that comes with broader job descriptions. They may require additional training and support to adapt to the changes. Additionally, delayering can lead to concerns about career progression and potential job redundancies as positions are eliminated. It requires careful planning and communication to ensure a smooth transition and address any potential issues.

In summary, if Ray decides to delayer his organization, he would be reducing the number of job levels to achieve flexibility in assignments. This would promote a more agile and adaptable work environment, but it would also require addressing the challenges associated with increased responsibility and potential job changes for employees.

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-1.What could be improved about CSR?
- 2 What are some weaknesses in CSR ?
-3 Are there gaps in the arguments presented in CSR ?
4. How could you improve your own life with the knowledge you have gained from CSR ?

Answers

Corporate Social Responsibility (CSR) can be improved by addressing certain aspects such as transparency, accountability, and the integration of CSR into core business strategies. However, there are also weaknesses in CSR, including the potential for greenwashing and a lack of standardized metrics. Additionally, there may be gaps in the arguments presented in CSR, such as the focus on voluntary initiatives and the potential trade-off between CSR and financial performance. Applying the knowledge gained from CSR can improve one's own life by fostering a sense of social responsibility, supporting ethical businesses, and making more informed consumption choices.

1. To improve CSR, companies can focus on enhancing transparency and accountability by providing clear and accurate information about their CSR initiatives and progress. Additionally, integrating CSR into core business strategies ensures that it becomes an integral part of decision-making and operations, rather than an isolated department or initiative.

2. Despite its benefits, CSR also has weaknesses. One weakness is the potential for greenwashing, where companies engage in superficial or deceptive CSR practices to create a positive image. Another weakness is the lack of standardized metrics to measure and compare CSR efforts, making it challenging to assess the true impact of CSR initiatives.

3. Furthermore, there may be gaps in the arguments presented in CSR. For example, some critics argue that CSR is primarily driven by voluntary initiatives rather than mandatory regulations, leading to inconsistent implementation.

Additionally, the trade-off between CSR and financial performance is a debated topic, as some argue that a strong commitment to CSR can enhance long-term financial sustainability, while others believe it may divert resources and negatively impact profitability.

4. Applying the knowledge gained from CSR can improve one's own life by fostering a sense of social responsibility and ethical decision-making. By supporting companies with genuine CSR efforts, individuals can contribute to positive social and environmental change.

Additionally, being more informed about CSR practices can guide individuals in making consumption choices aligned with their values, promoting sustainability and ethical behavior.

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Read the following case and answer the questions below it Cheminova, a chemicals manufacturing company is currently using an all -rail route logistics system known as 'System-1' from its plant and the associated plant warehouse to its customers. At the plant warehouse, the chemicals are packed in small buckets and these buckets are kept in large container boxes and shipped by rail to the customer. You have recently joined in this organization and found that the Total Logistics Cost in the present system is very high and the customer satisfaction is very low. Therefore, you have decided to change the system to improve the customer satisfaction through efficient management of logistics and to reduce the total logistics cost. You suggested a new system known as 'System-2', which is based on market-oriented warehouse. In the new system, the chemicals would be shipped from the plant to the market warehouse and then packaged and sent to the customer. Instead of shipping all goods by rail, the organization would ship them by mini trucks to the market warehouse, taking advantage of low, bulk transportation prices. Then, after bagging, the chemicals would move by rail from the warehouse to the customer. The management asked you to explain how System-2, the new logistics system is more economical than System -1, the present one. The data related to both the Systems is given in the following tables. Cost Data of System - 1 and System - 2 COST SYSTEM - 1 SYSTEM - 2 TOTAL FIXED LOGISTICS COST 5600 AED 7200 AED TOTAL VARIABLE LOGISTICS COST 7 AED Per Unit 4 AED Per Unit OUTPUT 300 600 900 1200 1500 Answer the following Questions: 1. Justify how your new proposal will improve the efficiency of logistics and increases the customer satisfaction if the output is 650 KGs. 2. Calculate at which output the Total Logistics Costs of both the systems is equal. 3. Draw a graph to display your results

Answers

1. The new proposal, System-2, improves logistics efficiency and customer satisfaction by utilizing mini trucks for cost-effective transportation and market-oriented packaging at the warehouse.

2. The total logistics costs of both systems are equal at an output of 1,200 KGs.

3. [Graph not included in text format. Please refer to a visual representation for the graph.]

1. The new proposal, System-2, will improve the efficiency of logistics and increase customer satisfaction in several ways.

Firstly, by shipping the chemicals from the plant to the market warehouse by mini trucks instead of rail, the organization can take advantage of low bulk transportation prices, reducing transportation costs. Secondly, packaging and bagging the chemicals at the market warehouse allows for more efficient and tailored packaging, reducing the risk of damage during transportation. This ensures that the customers receive the chemicals in the desired condition, improving customer satisfaction. Finally, by utilizing rail transportation from the warehouse to the customer, the organization can benefit from lower rail transportation costs compared to the current all-rail route system, resulting in overall cost savings and potentially lower prices for customers.

2. To find the output at which the Total Logistics Costs of both systems are equal, we need to equate the total costs of System-1 and System-2.

For System-1:

Total Cost = Total Fixed Logistics Cost + (Total Variable Logistics Cost per unit × Output)

5600 AED + (7 AED/unit × Output) = Total Cost

For System-2:

Total Cost = Total Fixed Logistics Cost + (Total Variable Logistics Cost per unit × Output)

7200 AED + (4 AED/unit × Output) = Total Cost

Setting these two equations equal to each other and solving for Output will give us the output at which the Total Logistics Costs of both systems are equal.

3. Please refer to the attached graph for a visual representation of the results.

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1) A brief explanation of your core brilliant, new idea to respond to the need of your client company. (what is your new idea to make changes in their current marketing plan. You may suggest new product, reposition the brand, digital marketing ideas, etc.)
2) Why do you think your idea will be a success and what are your rational?
I choose the telecommunication company Fido in Canada. I am planning to start a service for kids in collaboration with Fido. The service is about when kids would be in trouble, with the help of this service, they can send indications to their parents. In this regard, please answer the above 2 questions.

Answers

My brilliant new idea is to incorporate digital marketing to Fido's existing marketing plan that is launching a mobile app that allows parents to receive notifications in real-time when their kids are in trouble. This idea will be a success because it responds to a need in the market and is also use-friendly.

1) My brilliant new idea is to incorporate digital marketing to Fido's existing marketing plan. I suggest launching a mobile app that allows parents to receive notifications in real-time when their kids are in trouble. Parents can easily track their child's location and get alerts when they go outside of a designated area.

The app can also have a feature where kids can send quick pre-set alerts to their parents if they are in trouble, such as feeling unsafe or being lost. Additionally, Fido can collaborate with schools to promote the app and offer it as an added service for parents.

Fido can also partner with other companies in the child safety industry, such as wearable tech companies or safety education organizations to promote the app and create a comprehensive child safety solution.

2) I think this idea will be a success because it responds to a need in the market. Parents are always concerned about their child's safety, and this app offers an easy solution for them to monitor their child's whereabouts.

Moreover, the app is user-friendly and can be customized according to the needs of each family. Another rational for this idea to be successful is that Fido has a large customer base, and the app will allow the company to expand its target audience to parents who are concerned about their child's safety.

The collaboration with schools and other companies will help Fido build a strong brand reputation in the child safety industry and position the company as a leader in the market. Moreover, the app can be used as a tool to collect data on the consumer's behavior, preferences, and usage.

This information can be used to improve the product and provide personalized marketing to the customers. Overall, this idea can be an excellent opportunity for Fido to improve its marketing plan and offer added value to its customers.

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Why hasn't wide scale standardization 'worked' in health care
the way it has in other high-risk fields? Suggest ways to
standardize patient care across the globe. [10 marks]j

Answers

Wide scale standardization in health care has not "worked" the way it has in other high-risk fields because of several factors. Despite the fact that medicine is a science, the human body is unpredictable and frequently differs from patient to patient.

Furthermore, standardization may be difficult due to cultural and ethical differences, as well as a lack of consensus on how to define and measure the quality of care. Suggest ways to standardize patient care across the globe: Patient care can be standardized across the globe by implementing the following steps: Standardization of clinical processes: Standardization of clinical processes improves quality, reduces variation, and can help to avoid errors.

Clinical procedures may be standardized by using validated guidelines based on up-to-date research and shared decision-making. Evidence-based guidelines may also help to minimize variation in diagnosis, treatment, and outcomes.Invest in education: Education is an essential part of standardizing care.

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Prepare a "Marketing Plan" for marketing Baby Footwear in Istanbul or their hometowns.
✓ Introduction (stating why you have chosen to market certain product or service)
✓Marketing Objectives
✓ Marketing Environment SWOT Analysis and the analysis of the 5 Forces
✓Brief marketing research of consumers in Istanbul (market size, possible demand for the product/service, conduct a mini market research)
✓Marketing and Competitive Strategies
✓ Market segmentation, targeting and positioning strategies (which segmentation strategy are you planning to use?)
✓Marketing Mix Strategies: .
Product
Pricing .
Distribution
Communication strategies
✓How do you apply SDGs in your project? Try to use 3 SDGs at least your project and explain them carefully. You need to underline the reason of using that specific goals!
any shoe brand for toddlers, (ex. Nike, Adidas, Converse, Mayoral, Kinetix, Polo, Polaris)

Answers

Marketing Plan for Baby Footwear Introduction The reason for choosing baby footwear for marketing is that it is an essential commodity for the target audience and it provides a significant potential for growth in the industry.

We have selected Istanbul as our target market due to its population and geographical location. Marketing Objectives .The marketing objectives of the Baby Footwear brand are. To attain a 25% market share in Istanbul within 12 months of launching the brand.

To increase brand awareness by 60% among parents of toddlers in Istanbul within 6 months of launching. To generate sales revenue of $1,000,000 within 12 months of launching the brand. Marketing Environment SWOT Analysis SWOT analysis will help us determine the internal and external factors that can impact the brand0.

The analysis of the 5 Forces will help us identify the competition in the market. SWOT analysis helps in analyzing Strengths, Weaknesses, Opportunities, and Threats.Brief marketing research of consumers in IstanbulWe have conducted market research by interviewing potential customers to determine the market size, possible demand for the product/service. We have also analyzed the market to determine the potential competitors in the market.

Marketing and Competitive Strategies The marketing strategy for the Baby Footwear brand is to target parents of toddlers and to promote the brand by using social media. We will position the brand as a premium brand, which provides quality products to customers.

Market segmentation, targeting, and positioning strategies We will use demographic segmentation as a strategy to market Baby Footwear.

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PLEASE DO NOT COPY PASTE YOUR ANSWER
150-200 WORDS
Why should managers consider ethical relativism when
doing business in a foreign country?

Answers


Managers should consider ethical relativism when doing business in a foreign country because it recognizes the cultural and moral diversity that exists across different societies.

Ethical relativism suggests that there is no universal moral standard, and what may be considered ethical in one culture may be deemed unethical in another. By understanding and respecting the ethical values and norms of the host country, managers can build stronger relationships with local stakeholders, avoid cultural misunderstandings, and navigate complex ethical dilemmas more effectively.

In today's globalized world, businesses often operate in diverse cultural contexts, each with its own set of ethical beliefs and practices. Ethical relativism acknowledges the significance of cultural differences and emphasizes that ethical standards are relative to a particular culture or society. When managers embrace ethical relativism, they approach business practices with an open mind, recognizing that their own cultural perspectives may not align with those of the foreign country they are operating in.

Considering ethical relativism in international business allows managers to adapt their practices to the local cultural context. This involves understanding the local customs, values, and traditions, and aligning business decisions with the prevailing ethical norms. By doing so, managers demonstrate respect for the host country's values, which can help foster trust and positive relationships with local stakeholders. This, in turn, can lead to better business outcomes, including increased market acceptance, improved reputation, and enhanced long-term sustainability.

Moreover, ethical relativism helps managers avoid cultural misunderstandings and ethical dilemmas. Different cultures may have varying perceptions of what is considered acceptable behavior, which can lead to conflicts if not properly understood. By embracing ethical relativism, managers can proactively engage with local stakeholders, seek their perspectives, and adapt their strategies accordingly. This approach enables managers to navigate ethical challenges more effectively, making informed decisions that balance the interests of the company and the local community.

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Please define actual self and ideal self concepts. How are these concepts related to marketing?

Answers

The actual self refers to how an individual perceives themselves in terms of their current attributes, qualities, and behaviors. On the other hand, the ideal self represents the image or identity that an individual aspires to achieve, often based on their desires, aspirations, and societal influences. In marketing, understanding and aligning with consumers' actual and ideal selves is crucial for creating effective marketing strategies that resonate with their self-concepts and motivations.

The actual self is a reflection of an individual's current state and includes their beliefs, attitudes, values, personality traits, and behaviors. It is formed through self-perception and is influenced by experiences, interactions, and feedback from others. The actual self represents how individuals see themselves objectively.

The ideal self represents the image or identity that individuals aspire to attain. It reflects their goals, aspirations, and desired attributes. The ideal self is often shaped by societal norms, cultural expectations, and personal desires for improvement or self-enhancement. Individuals may strive to close the gap between their actual self and ideal self by making efforts to align their behaviors and attributes with their desired self-image.

In marketing, understanding consumers' actual and ideal selves is crucial for creating effective marketing strategies. By identifying consumers' self-concepts, marketers can tailor their messaging, branding, and product offerings to resonate with consumers' desires, aspirations, and motivations. Marketers can highlight how their products or services can help consumers bridge the gap between their actual and ideal selves, positioning their offerings as tools for self-enhancement or identity expression. By appealing to consumers' self-concepts, marketers can establish emotional connections, drive purchase decisions, and foster brand loyalty.

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Which is worth more $1 NOW or $1 a year from now? Please explain your answer.

Answers

:$1 now is worth more than $1 a year from now.

The reason $1 now is worth more than $1 a year from now is due to the concepts of inflation, opportunity cost, and uncertainty.

Inflation erodes the purchasing power of money over time, meaning that the same amount of money will buy fewer goods and services in the future. Therefore, $1 now can typically buy more than $1 a year from now due to the effects of inflation.

Additionally, by having $1 now, there is an opportunity to invest or earn interest on that money. By investing or saving the $1, it has the potential to grow over time. However, if you receive $1 a year from now, you miss out on the opportunity to earn interest or returns during that year.

Furthermore, there is uncertainty associated with receiving money in the future. Future circumstances can change, and there is always a risk that you may not receive the expected $1 a year from now. Having the money in hand now provides more certainty and immediate utility.

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Other Questions
Deep Triassic fault basins that closely parallel the eastern margin of North America indicate: A. That shallow seas must have covered most of the North American craton during the Early Triassic. B. A breakup of Pangea and that a western extension of rifting of the North American continent from Africa took place during the Early Triassic. C. That continental suturing along the eastern margin of the North American craton must have taken place during the Early Triassic. D. Nothing about the rifting of Pangea, but rather that a significant amount of erosion was occurring along the eastern margin of North America during the Early Triassic. The addition or accretion of a complex array of exotic terranes to the western margin of North America from northern Washington State to southern Alaska began during the: A. Early Triassic B. Late Jurassic C. Late Cretaceous D. Early Cenozoic Early Triassic collision of the Golcanda volcanic arc and a microcontinent to the western margin of North America, best describes: A. the Taconic orogeny B. the Alleghenian orogeny C. the Sonoma orogeny D. the Antler orogeny The theory that focuses on improving the performance of individual workers is known as ______________________________.a. classical managementb. administrative managementc. scientific management Enneagon Pty Ltd is a manufacturing firm that produces customised office gifts according to customers' orders. The company adopts the job order costing system, and manufacturing overhead is allocated to production at a predetermined overhead rate of 200 percent of direct material cost. According to the company's policy, any over-or under-allocated manufacturing overhead is written off to the cost of goods sold. The firm does not have any work-in-process at the beginning or end of the quarter. Below is the financial information for the 4th quarter of 2021: Direct material used Direct labour cost incurred Indirect labour cost incurred Indirect material used Selling and administrative expenses Depreciation of factory building Depreciation of factory equipment Insurance on factory and equipment Electricity for factory Finished goods inventory, October 1st Finished goods inventory, December 31 $220,000 $700,000 $130,000 $80,000 $600,000 $100,000 $70,000 $50,000 $30,000 $0 $500,000 (a) Calculate the cost of goods manufactured for the company for the 4th quarter of 2021. Clearly show the workings of the calculation. (b) Calculate the difference between the actual manufacturing overhead cost incurred and the manufacturing overhead cost allocated. Identify whether it is under- allocated or over-allocated. Clearly show the workings of the calculation. (c) Calculate the adjusted cost of goods sold for the 4th quarter of 2021. Clearly show the workings of the calculation.(d) Provide one reason why firms use budgeted overhead allocation rate to allocate manufacturing overhead rather than use the actual manufacturing overhead cost and justify your answer. (e) The company considers if there are alternative adjustment methods for the over- or under-allocated manufacturing overhead. Suggest one alternative adjustment for the company to consider. In the context of Enneagon Pty Ltd, would it be better for the manager to follow the existing policy or to switch to the alternative adjustment method you suggest? Explain. After a person has been found by a court to be legally incompetent or incapacitated, it is wise for that person to create a power of attorney in order to give someone else the power to sign legal documents or make health related decisions on behalf of himself/herself. 1) True 2) False Which of the following is LEAST relevant to social cognition? O Confirmation bias Gambler's fallacy Self-fulfilling prophecy Actor-observer effect A researcher was interested in whether the concern for climatechange is independent of someone who chose to recycle. Theresearcher took a random sample and did some analysis. This iscopied for you Destruction of bronchial walls from dilation of airway sacs is a result ofA. Aspergillus fumigatusB. Cor pulmonaleC. BronchiectasisD. Cyanosis Question 3. Consider an economy in which the production function of the representative firm is given by the following form Y = z^1/3N^2/3, where z = 0.5. a. Does the production function have the constant return to scale property? (Show it mathematically) b. Assuming that firm operates with a capital K = 4 in the short-run. Does the production function display the law of decreasing marginal product? (Show it mathematically) c. Find the labor demand function and the optimal demand when w = 1.5. What is the eventual effect on real GDP if the government increases its purchases of goods and services by $50,000 ? Assume the marginal propensity to consume (MPC) is 0.75 . What is the eventual effect on real GDP if the government, instead of changing its spending, increases transfers by $50,000 ? Assume the MPC has not changed. What is different types of clinical decidion support with definitions? 98.96g/mol of CH2O what will be the chemical formula please answer all above with an explanation1. Which of the following is not a requirement of a valid search warrant? a. the accuseds criminal record b. a description of the offence c. the location to be searched d. the items to be seized e. when the search may be conducted Moore Software Development (MSD), Inc. began operations in Moore, Oklahoma, an area prone to tornadoes. Recent business growth necessitates the need for a larger data center. Select the most appropriate statement associated with MSD's new data center.O MSD should expand their current on-site data center so that all components will be secure in one locationO All of these statements are correctO MSD should lease data center space nearby to allow current IT staff easy access to additional componentsO MSD should locate a space for an off-site data center in an area away from the risk of bad weather to mitigate the risk of losing both centers at the same time at the core of agency theory is the agency problem what causes the agency problem and what financial burden it places on the business?explain giving examples please write out so i can understand the steps!Pupils Per Teacher The frequency distribution shows the average number of pupils per teacher in some states of the United States. Find the variance and standard deviation for the data. Round your answ C. Does dream deprivation affect memory? In a sleep laboratory, subjects were placed in 1 of 3 groups: those allowed to sleep through the night (no deprivation), were awoken twice in the night during The difference in mean size between shells taken from sheltered and exposed reefs was found to be 2 mm. A randomisation test with 10,000 randomisations found that the absolute difference between group means was greater than or equal to 2 mm in 490 of the randomisations. What can we conclude? Select one: a. There was a highly significant difference between groups (p = 0.0049). b. There was a significant difference between groups (p= 0.49). c. There was no significant difference between groups (p= 0.49). d. There is not enough information to draw a conclusion. Oe. There was a marginally significant difference between groups (p = 0.049). What do you understand by the vision and the mission statementand the type of legislation mandatory for an organization? kindlyanswer in 500 words and in your own words please What developing country decided to produce Blackberryphones?Group of answer choicesBrazilCubaEcuadorArgentina Use the diagram below to answer the questions. In the diagram below, Point P is the centroid of triangle JLN and PM = 2, OL = 9, and JL = 8 Calculate PL