what would be the most cost effective channel of distribution for a very complex product, developed for a specific target market?

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Answer 1

A very sophisticated product produced for a particular target market would have the most cost-effective distribution method as the direct channel.

Which distribution channel is the most efficient?

One of the most well-liked and successful distribution methods is the shop. Stores that sell goods include grocery stores, department stores, specialist shops, and big-box stores. Retailers and marketers working together today have the option of putting their products in both physical and online storefronts.

Which mode of distribution is the quickest and most affordable?

The best distribution method a company has at its disposal is e-commerce. The requirement for using various warehouses, distributors, and brokers to connect you with retailers and sell your product line rapidly declines.

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absolute advantage is found by comparing different producers os

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Absolute advantage refers to a producer's capacity to create an item or service more efficiently than another producer.

What is absolute advantage?

Absolute advantage refers to a situation in which one producer can manufacture an item or service more efficiently than another producer, which means they can produce the same commodity or service with less inputs or resources. This advantage might be attributed to a variety of variables such as technology, skills, experience, or access to resources. Absolute advantage is an essential notion in international commerce because it helps countries select which items to produce and sell based on their comparative advantage. Firms can utilise the idea of absolute benefit to decide which commodities to create in-house and which to outsource.

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Materials that become an important component of the finished product whose cost can be easily and conveniently traced to the finished product are _____________ materials.

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The solution will be Direct. Direct materials are those that can be directly and conveniently linked to the finished product and that are integrated into it.

What does "independent component" mean to you?

A machine learning method called Distinct Component Analysis (ICA) is used to distinguish independent sources from a mixed input. In contrast to principal component analysis, which emphasises maximising data point variance, independent component analysis emphasises independence, or independent components.

Which are the three interconnected components?

A receptor, a control centre, and an effector are the minimum number of interdependent components present in all homeostatic control mechanisms for the variable under control. The receptor is a detecting element that keeps track of and responds to environmental changes on both an internal and external level.

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blum corporation, a calendar year corporation, acquires $2,790,000 in 5-year class assets in 2022. blum's taxable income before any cost recovery deductions in 2022 is $950,000. what is the maximum deduction that blum can take for a section 179 deduction for 2022?

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The maximum deduction that Blum Corporation can take for a section 179 deduction for 2022 is limited to the taxable income before any cost recovery deductions.

In this case, the taxable income before any cost recovery deductions for Blum Corporation is $950,000. Therefore, the maximum section 179 deduction that Blum Corporation can take for 2022 is $950,000.

It is important to note that the section 179 deduction is subject to several limitations and rules, including annual limits on the total amount that can be deducted and restrictions on the types of property that qualify for the deduction. Taxpayers should consult with a tax professional to determine their eligibility for and the amount of the section 179 deduction.

               Taxable income refers to the base upon which an income tax system imposes tax. In other words, the income over which the government imposed tax. Generally, it includes some or all items of income and is reduced by expenses and other deductions.

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a decrease in the current price of a good would group of answer choices increase the demand for the good. increase the quantity demanded for the good. decrease the demand for the good. decrease the quantity demanded for the good.

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A decrease in the current price of a good would  an increase in the quantity demanded .

What Kind of Quantity Is Needed?

The phrase "quantity demanded" is used in economics to refer to the overall quantity of an item or service that consumers demand over a specific period of time. Whether or not a market is in equilibrium is irrelevant; what matters is the cost of an item or service.

What occurs when a good's price is reduced?

When a good's price declines, more of that good is being demanded. the correlation between a good's price and demand when all other factors influencing purchase decisions are constant.

                                      The demand curve serves as an example of demand, which is a list of quantities at various prices.

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this court case determined that sellers, and their agents, must disclose all material facts that they knew, or should have reasonably known about the property?

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This case is perhaps referring to the famous "Freeman v. Famous Amos Cookie Co." decision, in which a California appeals court developed the maxim "caveat venditor," or "let the seller beware."

In this case, the court decided that even if the buyer did not directly request information on a fact, the seller and their representatives were nevertheless required to disclose all material facts regarding the property that they knew or should have reasonably known.

Later, several state and federal legislation, such as the Truth in Lending Act, the Uniform Residential Landlord and Tenant Act, and the Real Estate Settlement Procedures Act (RESPA) codified this notion (TILA). Generally speaking, the necessity of providing material facts serves to ensure that buyers are fully informed.

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gross profit is calculated by question content area bottom part 1 a. adding sales to operating expenses. b. subtracting cost of goods sold from sales. c. subtracting operating expenses from sales. d. adding profit to sales.

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Gross profit is calculated by question content area bottom part by subtracting cost of goods sold from sales.

Gross profit is an important metric used to measure a company's financial performance. It is calculated by subtracting the cost of goods sold from the total sales. It is important to calculate the gross profit.

This calculation provides an indication of how much money a company is making after accounting for the cost of the goods sold. Knowing the gross profit of a business is essential for understanding the overall profitability of the company.

Hence, the correct option is "B".

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a standardized format used to accumulate data about each item reported on financial statements

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Account. ( Accounts refer to assets, liabilities, income, expenses, and equity, represented by individual ledger pages where changes in value are recorded chronologically with debit and credit entries. )

What is your another account name?

Another name for T account is a ledger account. For asset accounts, a debit (left side) always indicates an increase in the account and a credit (right) indicates a decrease in the account.

What is the main purpose of your account?

The purpose of accounting is to collect and report financial information about a company's performance, financial condition and cash flow. This information is used to determine how the company is run, invested or financed.

What kind of account is cash?

A cash account is a type of custody account in which an investor must deposit the full amount of the securities purchased. An investor with a cash account cannot borrow money from a brokerage firm to pay for transactions on the account (margin trading).

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in 1961, john f. kennedy said, 'i believe that this nation should commit itself to achieving the goal, before this decade is out, of landing a man on the moon and returning him safely to the earth.' rather than a goal, this statement is more of a: mission. vision. strategy. value.

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Rather than a goal, this John F Kennedy statement is more of a vision.

The moment of landing on the Moon

Reported from the NASA website, the historic moment of humankind's landing on the Moon began in the morning of July 16, 1969. At that time, Apollo 11 astronauts Neil Armstrong, Buzz Aldrin and Michael Collins sat on the Saturn V rocket at Launch Complex 39A in Kennedy Space Center. The 110-meter rockets will use 7.5 million pounds of thrust to propel them into space and into the history books. At 09:32 EDT, the engines started and Apollo 11 lifted off. About 12 minutes later, the crew was in Earth orbit.

After one and a half orbits, Apollo 11 received clearance from the command center for a "Translunar Injection" or in other words, it was time to head for the Moon. Three days later the crew was in lunar orbit. The day after that, Armstrong and Aldrin boarded the Eagle lunar module, while Collins orbited in the Columbia command module. As the Eagle module landed on July 20, 1969 at 4:17 PM EDT, Armstrong reported to command center.

The report was met with cheers and joy. "Houston, Tranquility Base here. Eagle has landed," Armstrong said. At 22:56 EDT Armstrong was ready to set foot on the first human on the Moon. With over half a billion people watching on television, he's headed down the ladder. Aldrin soon joined him, and the two explored the lunar surface for two and a half hours, collecting samples and taking photographs.

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a corporation is considering the purchase of an interest in a real estate syndication at a price of $76,000. in return, the syndication promises to pay $1,020 at the end of each month for the next 25 years (300 months). required: a. if the interest in a real estate syndication is purchased, what is the expected internal rate of return, compounded monthly? note: do not round intermediate calculations and round your final answer to 2 decimal places. b. how much total cash would be received on the investment? note: round your final answer to the nearest whole dollar amount. c1. how much is profit? note: round your final answer to the nearest whole dollar amount. c2. how much is return of capital? note: round your final answer to the nearest whole dollar amount.

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The expected internal rate of return (IRR) of the investment, Therefore, the return of capital on the investment is $76,000.

we can use the present value formula and solve for the rate that makes the present value of the cash flows equal to the initial investment. Let r be the monthly rate (in decimal form) that we are solving for, then we have:

$76,000 = $1,020 * ((1 - (1+r)^-300)/r)

Solving for r using a financial calculator or spreadsheet, we get:

r = 0.6667% (rounded to 4 decimal places)

Therefore, the expected internal rate of return, compounded monthly, is 0.6667%.

b. The total cash received on the investment will be the monthly payment multiplied by the number of months. Thus, we have:

Total cash = $1,020 * 300 = $306,000

Therefore, the total cash received on the investment is $306,000.

c1. To calculate the profit, we need to subtract the initial investment from the total cash received. Thus, we have:

Profit = $306,000 - $76,000 = $230,000

Therefore, the profit on the investment is $230,000.

c2. To calculate the return of capital, we need to subtract the profit from the total cash received. Thus, we have:

Return of capital = $306,000 - $230,000

= $76,000

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The expected internal rate of return (IRR) of the investment, Therefore, the return of capital on the investment is $76,000.

We can use the present value formula and solve for the rate that makes the present value of the cash flows equal to the initial investment. Let r be the monthly rate (in decimal form) that we are solving for, then we have:

$76,000 = $1,020 * ((1 - (1+r)^-300)/r)

Solving for r using a financial calculator or spreadsheet, we get:

r = 0.6667% (rounded to 4 decimal places)

Therefore, the expected internal rate of return, compounded monthly, is 0.6667%.

b. The total cash received on the investment will be the monthly payment multiplied by the number of months. Thus, we have:

Total cash = $1,020 * 300 = $306,000

Therefore, the total cash received on the investment is $306,000.

c1. To calculate the profit, we need to subtract the initial investment from the total cash received. Thus, we have:

Profit = $306,000 - $76,000 = $230,000

Therefore, the profit on the investment is $230,000.

c2. To calculate the return of capital, we need to subtract the profit from the total cash received. Thus, we have:

Return of capital = $306,000 - $230,000

= $76,000

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if the rate of unemployment is 10% and the labor force is 130 million, the number of unemployed workers is: a 117 million. b 13 million. c 10 million. d 130 million. e 130,000.

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There are 13 million unemployed workers if the unemployment rate is 10% and there are 130 million people in the labor force.

What is the work force and how is the unemployment rate determined?

The unemployment rate for any area is calculated by dividing the number of people in the area who are unemployed and actively seeking for work by the total number of people in the region who are employed.

What would be the unemployment rate if there were 200 million people overall, 100 million people in the labor force, and 92 million people were employed?

The unemployment rate is 4 percent if the total population is 200 million, there are 100 million people in the labor force, and 92 million people are employed.

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you are choosing between two goods, x and y, and your marginal utility from each is shown in the following table. units of x mux units of y muy 1 10 1 8 2 8 2 7 3 6 3 6 4 4 4 5 5 3 5 4 6 2 6 3 instructions: enter your answers as a whole number. a. if your income is $9 and the prices of x and y are $2 and $1, respectively, what quantities of each will you purchase to maximize utility? 2 units of x and 5 units of y b. what total utility will you realize? utils c. assume that, other things remaining unchanged, the price of x falls to $1. what quantities of x and y will you now purchase? units of x and units of y d. using the two prices and quantities for x, complete the table to derive the demand schedule (a table showing prices and quantities demanded) for x.

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If your income is $9 and the prices of x and y are $2 and $1, respectively, to maximize utility you will purchase 2 units of x and 5 units of y. This is because the marginal utility per dollar spent (MU/P) is higher for y than for x: 10/2=5 and 8/1=8.

How to calculate income ?

c. There will be 20 utils in all (2 x 10 + 5 x 8).

c. You will buy 3 units of x and 5 units of y if the price of x drops to $1. This is so that the MU/P, which is currently 10/1=10 and 8/1=8, is the same for both items.

d. Here is the x demand schedule:

Price of x | Demand for x | Quantity of x $2 | 2 $1 | 3

The demand schedule displays the quantities of an item that are sought for at various prices.

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certain aspects of the culture of an organization support successful project management while other aspects deter or interfere with effective management. question 1 options: true false

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The given statement "certain aspects of the culture of an organization support successful project management while other aspects interfere or deter with effective management" is true because culture is a critical aspect of any organization and has a significant impact on project management success.

A positive and supportive organizational culture can provide a stable and predictable environment that is conducive to successful project management. On the other hand, a negative or interfering organizational culture can create obstacles and challenges that hinder effective project management.

For example, an organizational culture that values hierarchy and bureaucracy may result in slow decision-making and inflexibility, while a culture that emphasizes teamwork and collaboration can support efficient and effective problem-solving. Thus, it's essential for organizations to be aware of the impact their culture has on project management and take steps to create a culture that supports success.

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Jamie is employed as a commercial loan officer for a regional bank centered in the midwestern section of the u.s. her job falls into which one of the following areas of finance? A)International Finance B) Financial institutionsC) Corporate financeD) Capital managemetE) Investment

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Correct answer is  Financial institutions.

Financial establishments encompass a extensive range of business operations within the monetary services zone consisting of banks, have confidence companies, insurance plan companies, brokerage firms, and investment dealers. Financial institutions can fluctuate via size, scope, and geography.

What is the role of monetary institution?

A monetary group (FI) is a organization engaged in the commercial enterprise of dealing with economic and monetary transactions such as deposits, loans, investments, and foreign money exchange.

What are the foremost role of economic institutions?

Although banks do many things, their essential function is to take in funds—called deposits—from these with money, pool them, and lend them to these who want funds. Banks are intermediaries between depositors (who lend money to the bank) and borrowers (to whom the financial institution lends money).

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g what was the real gdp growth rate in the united states during 2014? round your answer to the nearest hundredth of one percent.

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The real GDP growth rate in the United States during 2014 was 2.4%. This means that the economy grew by 2.4% during the year, as measured by the real output of goods and services produced by the US economy.

This growth rate was slightly higher than the average growth rate since the end of the Great Recession in 2009, which was 2.2%. However, it was still below the average growth rate of 3.2% for the period from 1960 to 2007. The 2.4% growth rate also lags behind the population growth rate, which was estimated to be around 0.8% in 2014. the economy is not growing fast enough to keep up with the population, and this is a challenge that the American economy still faces today.

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from parts (b) and (c), does it appear that the job training program was effective? what would make our conclusions more convincing

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The data in JTRAIN2 come from a job training experiment that was conducted for low-income men between 1976 and 1977.

The more convincing conclusion is that these men are more likely to find employment than men who have not received training.

What does it mean to have specific conditions for job training?

(1) 185 men out of a total of 445 receive job training. Consequently, the train variable indicates that 41.57 percent of men receive job training.

(2) The sample of men receiving job training had an average re78 of approximately 6.35 thousand dollars in 1982, while the sample of men not receiving job training had an average re78 of approximately 4.55 thousand dollars in 1982. Therefore, the disparity is, in fact, significant from an economic standpoint; it is close to 1.79 million dollars in 1982.

(3) A close 17.84 percent of unemployed men received job training, while a close 30.38 percent of unemployed men did not receive any training. As a result, the disparity is almost double, indicating that individuals with training have a greater chance of finding employment.

(4) It is true that the job training program is effective, as evidenced by the fact that individuals who received training in the workplace earn more than those who did not.

As a result, the more convincing conclusion is that they are more likely to find employment than those without training.

Incomplete question :

The data in JTRAIN2 come from a job training experiment conducted for low-income men during 1976–1977; see Lalonde (1986). (i) Use the indicator variable train to determine the fraction of men receiving job training. (ii) The variable re78 is earnings from 1978, measured in thousands of 1982 dollars. Find the averages of re78 for the sample of men receiving job training and the sample not receiving job training. Is the difference economically large? (iii) The variable unem78 is an indicator of whether a man is unemployed or not in 1978. What fraction of the men who received job training are unemployed? What about for men who did not receive job training? Comment on the difference. (iv) From parts (ii) and (iii), does it appear that the job training program was effective? What would make our conclusions more convincing?

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true or false: one roadblock that can keep tqm from delivering its intended benefits is the failure to develop a culture of continuous learning.

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TQM may be unable to achieve the expected outcomes if a culture of continuous learning cannot be established. This statement is True.

The most frequently cited causes of TQM implementation failures include inadequate education and training, a lack of employee engagement, a lack of top-level management support, a lack of resources, poor leadership, a lack of a culture that values quality, poor communication, and a lack of a change strategy.

The efficient management of resources and information within a company is referred to as knowledge management. When information is used efficiently, organizational objectives and goals can be attained with ease.

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describe the methods by which bank failures are handled by the banking authorities. in which method is the government most likely to absorb losses

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There are several methods that banking authorities use to handle bank failures, like-

Acquiring the failed bank: Under this method, another bank acquire the assets and liabilities of the failed bank. It can help minimize the impact of the failure on the banking system and in turn on the wider economy.Sale of Assets and Liabilities: The failed bank's assets and liabilities are usually sold to some other bank or a government-sponsored entity under this method. It helps in maintaining the stability in the financial system.Receivership: This another method involves the appointment of  a receiver to manage the failed bank's assets and liabilities. The receiver would be responsible for selling the assets and repaying the depositors and other creditors of the failed banks.Resolution: This last method involves the creation of a bridge bank or a bad bank that takes over the entire failed bank's assets and liabilities.

The government most likely to absorb losses through the resolution method, where the government creates a bridge bank. However, the government can also absorb losses through the receivership method.

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which of the following was developed in the 1980s to guide corporate support for ethical conduct by establishing a method for discussing best practices? question 10 options: federal sentencing guidelines for organizations defense industry initiative on business ethics and conduct corporate codes of conduct united states sentencing commission mercosur

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The Defense Industry Initiative on Business Ethics and Conduct (DII) was established in the 1980s to direct business support for moral behavior.

The Defense Industry Initiative is what?

The objective of the DII is to establish an ethical culture in every business that produces goods and services under government contracts. It is an independent, nonprofit organization made up of representatives from close to 80 member companies, mostly in the aerospace and defence sector.

In order to understand the problems of federal stakeholders and government representatives, the DII works with them to collectively organise and put resources to use.

The establishment and improvement of business ethics and compliance systems for individuals that conduct government contracting is achieved through the development of tools, the exchange of best practises, and the mentorship of member organizations.

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what do economists call the physical actions and mental activities that people contribute to the production of goods and services? multiple choice question. investment labor capital entrepreneurial ability

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Option Labor is the correct choice,

Economists call the physical actions and mental activities that people contribute to the production of goods and services "Labor."

The physical and mental labour that people give to the creation of products and services is referred to by economists as:Labor

Describe labour.

The term "labour" refers to the frequent physical and mental labour performed by employees in order to generate goods and services.

Employees work hard to maintain the smooth operation of business operations in numerous firms. They refer to this as work.

As previously described or discussed, manufacturers, producers, and sellers use the term "consumer behaviour" to describe the process of researching how consumers behave while purchasing certain items or services.

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For what type of goods does demand falls with rise in income?

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An inferior good is a term used in economics to describe a good whose demand declines as people's earnings rise.

What are Inferior goods?

An economic term used to describe a good whose demand decreases as people's incomes rise is an inferior good.

As incomes and the economy grow, buyers start switching to more expensive substitutes, which causes these products to lose popularity.

In this sense, inferiority isn't a verdict on the value of the good; rather, it's an observable truth related to affordability.

In general, these items are reasonably priced and serve their job well, but as more expensive alternatives that provide greater pleasure (or at least variety) become available, the use of the subpar items declines.

Therefore, there are direct connections between socioeconomic status and inferior commodities.

Due to the aforementioned observable inferiority, people with limited incomes tend to favor poorer things.

Therefore, an inferior good is a term used in economics to describe a good whose demand declines as people's earnings rise.

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T/F if the stock market goes down during a recession, you should focus on the long-term horizon and ensure your portfolio is well-diversified to minimize losses.

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The given statement "consider the long term and make sure your portfolio is well-diversified to minimize losses in the event that the stock market collapses during a recession" is TRUE.

What is the stock market?

A stock market, also known as an equity market or share market, is the collection of individuals who buy and sell stocks, also known as shares, which represent ownership stakes in corporations.

These securities may be listed on a public stock exchange or only traded privately, such as shares of private corporations that are offered to investors through equity crowdfunding platforms.

An investment strategy is typically present when making an investment.

To reduce losses if the stock market declines during a recession, keep an eye on the long term and make sure your portfolio is well-diversified.

By the end of 2020, the total market value of all publicly traded securities globally increased from US$2.5 trillion to US$93.7 trillion.

Therefore, the given statement "consider the long term and make sure your portfolio is well-diversified to minimize losses in the event that the stock market collapses during a recession" is TRUE.

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how will accounts payable appear on the following financial statements?

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The balance sheet's liabilities section includes accounts payable.

How will accounts payable appear on a financial statement?

On a company's balance sheet, accounts payable is mentioned, and because it is a liability, the money owed to creditors is listed under "current liabilities."

A company's debt to one or more creditors is known as accounts payable (AP), which is a liability. Accounts payable is frequently confused with the primary operational costs of an organisation. On the other hand, the expenses that accounts payable represent are shown on the income statement and are included in the company's balance sheet.

In a company's balance sheet, accounts payable are listed under current liabilities since it is anticipated that the debt would be settled within a year.

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ailey delivery company, incorporated, was organized in 2021 in wisconsin. the following transactions occurred during the year: received cash from investors in exchange for 15,000 shares of stock (par value of $1.00 per share) with a market value of $7 per share. purchased land in wisconsin for $24,000, signing a one-year note (ignore interest). bought two used delivery trucks for operating purposes at the start of the year at a cost of $15,000 each; paid $5,000 cash and signed a note due in three years for the rest (ignore interest). paid $2,300 cash to a truck repair shop for a new motor for one of the trucks. (increase the account you used to record the purchase of the trucks because the productive life of the truck has been improved) sold one-fourth of the land for $6,000 to pablo development corporation, which signed a six-month note. stockholder helen bailey paid $28,900 cash for a vacant lot (land) in canada for her personal use. required:

Answers

Part 1 No of Shares Outstanding after the stock split = 22,500 share

Part 2 Market price per share after the split = $ 24 Per Share

Part 3 Value of the common stock account after the splits.

What is a Stock Split?

When a corporation decides to raise the number of shares outstanding in order to improve the stock's liquidity, a stock split takes place. The split does not fundamentally alter the company's worth, thus even though the total number of shares outstanding rises, their value remains constant.

How does the stock split operate?

Companies can alter the price per share without altering market capitalization by splitting their shares. The total market capitalisation (cap) of a company's publicly traded stock. It is determined by dividing the price per share by the total number of outstanding shares.

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s

managers always attempt to maximize the long-run value of their firms' stocks, or the stocks' intrinsic values. this is exactly what stockholders desire. thus, conflicts between stockholders and managers are not possible. group of answer choices true false

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False, managers don't always try to maximize the intrinsic or future worth of the stocks of their company. Exactly this is what stockholders want to achieve. There can be disagreements between stockholders and managers as a result.

Would the aim of boosting stock value change if financial management were done in a different country? Why or why not, if so?

Since increasing profits is the primary objective of every business, whether domestic or international, our goal of increasing stock value applies wherever we are thinking about financial management.

What does financial management's main objective entail? How could shareholder wealth be increased?

Maximizing wealth is a key objective of financial management (shareholder value). Produce as much money as you can in order to maximize shareholder wealth. In order to give the stockholders the largest dividend possible, the financial management strives. He also works to increase the share's market value.

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submit a presentation (pdf of powerpoint, 8-9 slides in presentation style with speaker notes. post a pdf showing the slides and speaker notes) answering: 1. identify the major competitors in the blue jeans market. 2. who has the leading market share, whose shares have declined? 3. what segmentation is (has) occurring/occurred in the blue jeans market and why? 4. did demographic changes affect the market (from baby boomers to gen x or gen y)? 5. what competitive signs, symbols, events, or occurrences did levi-strauss miss? 6. what current shifts in competition and channel power is occurring and what can levi-strauss do to minimize the impact from these changes?

Answers

Denim or dungaree fabric is used to make jeans, which are pants. The term "jeans" is frequently used to describe a specific type of pants called "blue jeans," which were developed in 1873 by Jacob Davis and Levi Strauss. They quickly gained popularity, and many people bought them.

Men's jeans featured zippers on the front throughout this time, but women's jeans had zippers on the right side. Wearing jeans during the 1950s was a sign of youth revolt when James Dean made them fashionable in the film Rebel without a Cause. As a result, they were prohibited from dining establishments, schools, and theatres. Market segmentation is the process of dividing consumers in marketplaces with some degree of variability into more manageable, homogeneous, or similar categories with like needs and preferences. A new brand is emerging on the market with trendy pants and high-quality goods. To take the lead in the market, they are distributing with a large number of sellers and selling at a discount.

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In a free market society, the answer to the question about how much to produce is determined by - A) census data B) profit projections C) consumer demand D) government quotes

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In a free-market economy, the price and quantity of products and services are determined by the free interaction between the supply and demand curves. Absolutely zero government regulation exists in this industry.

How are the supply and demand curves determined?

By combining the demand curves for each household in an economy, the real market curve is constructed. Demand on the market is downward sloping because household demand declines as price rises. When all of the enterprises in an economy's supply curves are added together, the markets supply curve seems to be the result.

What are the three guiding principles of supply and demand?

1) If supply increases but demand stays the same, the price will fall. 2) If the demand is constant but the supply is decreased, the price will rise. 3) If the demand increases and the supply stays the same, the price will increase.

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indset characteristic often seen in expert entrepreneurs that accelerates learning-through-action is described as

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Mindset characteristic often seen in expert entrepreneurs that accelerates learning-through-action is described as acting with the means at hand.

Learning through action is the process of finding creative solutions to workplace challenges while reflecting on results. Often used when tack-ling difficult problems in a team-work setting, action learning also involves coa-ches who help facilitate the learning process while encou-raging team members to reflect on each sol-ution.

Action Learning is a process of insight-ful questioning and reflect-ive listen-ing. Action Learning tackles prob-lems through a process of first asking quest-ions to clarify the exact nature of the problem, reflect-ing and identifying possible solutions, and only then taking act-ion.

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External analysis and internal analysis combined constitute what has come to be called the

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External analysis and internal analysis combined constitute what has come to be called the SWOT

What is SWOT analysis ?SWOT stands for Strengths, Weaknesses, Opportunities, and Threats. Strengths and weaknesses are internal to your company—things that you have some control over and can change. Examples include who is on your team, your patents and intellectual property, and your location.SWOT stands for Strengths, Weaknesses, Opportunities, and Threats, and so a SWOT analysis is a technique for assessing these four aspects of your business. SWOT Analysis is a tool that can help you to analyze what your company does best now, and to devise a successful strategy for the futureA SWOT analysis helps you assess internal factors that might affect your business (strengths and weaknesses) and external factors (opportunities and threats). You will need to review and act on the results from the SWOT analysis

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a high-level is manager has his firm utilize sophisticated information systems to digitally design its products so that design defects can be detected and removed early in the process, reducing development cost. what business strategy does this represent?

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This is a business approach focusing on design and development that makes use of digital resources to reduce costs and increase quality.

What is cost reduction?

The process of finding and cutting expenses in a business or organisation is referred to as cost reduction. Cost reduction aims to boost efficiency, profitability, and competitiveness by lowering costs while maintaining or enhancing the quality of goods and services provided. Cost-cutting measures include reducing labour expenses, optimising operations, enhancing resource usage, minimising waste, and deploying technology solutions. It is a crucial part of corporate strategy since cost reduction can immediately effect a company's bottom line, enhance financial performance, and raise market competitiveness. However, cost cutting should be matched with investment in expansion and innovation to ensure a company's long-term success.

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as with all ads products, brand safety is of the utmost importance to app campaigns. therefore, gives advertisers additional control over their placements, including the ability to exclude placements. what's the maximum number of placements per account an advertiser can exclude?

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The maximum number of placements per account an advertiser can exclude with App Campaigns is 1,000. This allows the advertiser to control where their ads are shown, and to ensure that their ads are only seen in safe and appropriate environments.

What is placements?

Placement is the process of securing an employment opportunity for a student after completing their studies. It involves approaching an employer, submitting a resume and other documents, and attending an interview to showcase the student's skills and qualifications. The aim of placements is to provide students with the opportunity to gain real-world experience and develop their professional network. Placements also allow employers to assess the potential of a student and decide whether to offer them a job.

This also helps to ensure that their ads are seen by the right people and that their budget is being spent in the most effective way.

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