which is an example of internal secondary data for marketing research?

Answers

Answer 1

An example of internal secondary data for marketing research is sales reports.

Marketing research is the methodical and unbiased gathering, evaluation, and dissemination of information about a specific market or target audience in order to make better-informed business decisions. Marketing research can help companies comprehend their market, keep up with emerging trends and competitors, and develop marketing strategies that are tailored to their specific audience.The primary goal of marketing research is to enable businesses to make data-driven decisions by providing insights into customer needs and behaviors, market trends and competition, and overall market potential. It can be accomplished through a variety of research methods, including surveys, focus groups, observational studies, and experiments.

You can learn more about marketing research at

https://brainly.com/question/24906199

#SPJ11


Related Questions

g the ultimate purpose of assessing control risk is to contribute to the auditor's evaluation of the:

Answers

The ultimate purpose of assessing control risk is to contribute to the auditor's evaluation of the nature, timing, and extent of substantive procedures required to reduce detection risk to an acceptable level.

What is control risk?

Control risk refers to the probability that a material misstatement will not be prevented, discovered, or corrected on time by the internal control system. Control risk, in other words, is a significant audit risk component.

It is related to a company's accounting system, procedures, and internal controls, as well as the effectiveness of these controls in detecting or preventing errors or fraud. The purpose of assessing control risk is to gather audit evidence about the performance of internal controls in order to provide assurance on the financial statements.

An auditor may use a combination of control testing and substantive testing to evaluate control risk. These procedures, when conducted together, give the auditor a more comprehensive understanding of the internal control system's effectiveness in identifying and preventing material misstatements from occurring.

To know more about control , refer here

https://brainly.com/question/29729392#

#SPJ11

- could autoliv make any changes to its general rules of conduct, anti-harassment policy, or computer aup that would make employee e-mail responsibilities clear?

Answers

Yes, Autoliv could make changes to its general rules of conduct, anti-harassment policy, and computer AUP to make employee e-mail responsibilities more clear.

What is anti-harassment policy?

An anti-harassment policy is a document that outlines a company's commitment to providing a safe, respectful and professional work environment. It outlines the types of behavior that are not acceptable in the workplace, such as sexual harassment, discrimination, bullying, and any other conduct that creates a hostile work environment.

For example, Autoliv could add a specific section to its general rules of conduct that outlines expectations for professional and respectful e-mail conduct. This section could include language that stresses the importance of maintaining a professional and respectful tone in emails, avoiding the use of inappropriate language and images, and properly referencing resources and sources.
In addition, Autoliv could add a section to its anti-harassment policy that specifically addresses e-mail communication. This section could include language that prohibits the sending of any emails that are deemed to be harassing in nature.
Finally, Autoliv could add a section to its computer AUP that outlines employee e-mail responsibilities. This section could outline expectations such as not forwarding confidential information, not using e-mail for malicious purposes, and using the appropriate privacy settings when sending emails.

To learn more about anti-harassment policy
https://brainly.com/question/14854820
#SPJ1

Complete Question:

suppose a wave of investor and consumer pessimism causes a reduction in spending. if the federal reserve chooses to engage in activist stabilization policy, it should a. increase government spending and decrease taxes. b. decrease government spending and increase taxes. c. increase the money supply and decrease interest rates. d. decrease the money supply and increase interest rates.

Answers

If a wave of investor and consumer pessimism causes a reduction in spending, and the Federal Reserve chooses to engage in activist stabilization policy, it should increase the money supply and decrease interest rates. Option C is correct.

This approach is known as expansionary monetary policy, which aims to stimulate economic activity by increasing the money supply and making credit more readily available through lower interest rates. By doing so, businesses and consumers are encouraged to borrow and spend more, which in turn can boost economic growth and employment.

The other options listed are not effective in addressing a reduction in spending caused by investor and consumer pessimism. Option (a) suggests increasing government spending and decreasing taxes, which is a form of expansionary fiscal policy, but may not be effective if the underlying issue is a lack of spending in the private sector.

Option (b) suggests the opposite approach, which is contractionary fiscal policy, and may further dampen spending in the private sector. Option (d) suggests contractionary monetary policy, which is designed to combat inflation but may not be effective in a situation where the primary concern is a lack of spending.

Hence, C.  increase the money supply and decrease interest rates is the correct option.

To know more about pessimism here

https://brainly.com/question/25773260

#SPJ4

describe what needs each of the three types of businesses (proprietorship, partnership, and corporation) addresses.

Answers

Proprietorship: A proprietorship is the most basic type of company organization since it has the least amount of government intervention and just one person controls it, reaping the benefits of all profits while being accountable for these damages.

Partnership: A partnership is a type of commercial organization in which a number of individuals engage in an industry and split earnings and losses according to an agreement.

Corporations are a type of commercial organization in which people or organizations collaborate. This type of corporate structure has the advantage of restricted liability.

Financial information consumers were classified into two groups: process of integrating and authorized stakeholders. Internal users include management, personnel, and business owners. Creditors, bankers, and financiers, on the opposing hand, are external users.

Users' roles: Owners oversee and regulate an organization's actions. Workers provide their skills in order to achieve the organization's common aims. Financial data is used by executives to create strategies and choices.

Creditor provides items on credit or examines the company's financial status. Banks give cash to businesses and examine a bank's stability through its financial accounts. Investors invest cash together into firm and concentrate on its profitability in order to maximize their returns.

To know more about Corporations click here

brainly.com/question/30098772

#SPJ4

the systematic risk principal says that the expected return on a risky asset depends only on that asset's total risk risk because idiosyncratic risk can be diversified away, investors shouldn't be compensated for holding idiosyncratic risk the expected return on any asset is not related to that asset's risk the expected return on an investment depends on the investor's personal risk tolerance none of the above

Answers

The systematic risk principle states that the expected return on a risky asset depends only on that asset's total risk.

This is because idiosyncratic risk, which is the risk that is unique to a specific company or asset, can be diversified away by investing in a diversified portfolio of assets. Therefore, investors should not be compensated for holding idiosyncratic risk.

The expected return on an asset is related to its risk, specifically its systematic risk, which is the risk that is inherent in the entire market or a particular asset class. Investors who take on more systematic risk by investing in riskier assets should expect to be compensated with higher expected returns to account for this additional risk.

To learn more about systematic risk visit;

https://brainly.com/question/17199655

#SPJ4

select all that apply which principles of internal control are incorrectly described? (select all that apply.) multiple select question. establish responsibilities - assign each task to only one employee document procedures - do not provide access to assets or information unless it is needed to fulfill the assigned task restrict access - prepare documents that show activities that have occurred segregate duties - do not make one employee responsible for all parts of a process independently verify - check others' work

Answers

The following principles of internal control are incorrectly described:

Establish responsibilities: Responsibilities should be assigned to multiple employees when possible, as this reduces the risk of any one person being able to commit fraud or theft.
Document procedures: Access to assets and information should be granted only when it is necessary to perform the assigned tasks; documenting these procedures can ensure that the necessary access is granted without excessive permissions.Restrict access: Access should be restricted in order to protect assets and information; this can be accomplished through a system of passwords, biometrics, and other authentication methods.
Segregate duties: Do not assign all parts of a process to one employee; assigning parts of a process to multiple employees can ensure that there is an additional layer of oversight.
Independently verify: Verifying the work of others is important to prevent errors, fraud, and theft, but the verifier should be independent of the person performing the work to ensure impartiality.

Internal control measures are designed to minimise the risk of errors, fraud, and theft.

Establishing responsibilities, documenting procedures, restricting access, segregating duties, and

independently verifying are all important components of an effective internal control system.

To know more about principles of internal control here

https://brainly.com/question/29760572

#SPJ11

kurt simmons has 55/110/20 auto insurance coverage. one evening, he lost control of his vehicle, hitting a parked car and damaging a storefront along the street. damage to the parked car was $6,500, and damage to the store was $16,820. a. what amount will the insurance company pay for the damages? b. what amount will kurt have to pay?

Answers

A. The insurance company will pay up to $20,000 for damages as Kurt's auto insurance coverage has limits of 55/110/20.


B. Kurt will have to pay $16,820 as the damage to the store is more than the insurance coverage.


Kurt's auto insurance coverage has limits of 55/110/20, which translates to a maximum coverage of $20,000.

Since the damage to the parked car was $6,500 and the damage to the store was $16,820, the insurance company will pay up to $20,000 for the damages.

However, Kurt will be responsible for the remaining $16,820 since it is beyond the coverage limits of his insurance policy.

To know more about insurance coverage click on below link:

https://brainly.com/question/28045041#

#SPJ11

the firm will maximize profit in the short run if it (a) shuts down and the price is $10 (b) produces 30 units and the price is $4 (c) producese 30 units and the price is $10 (d) produces 54 units and the price is $4 (e) produces 85 units and the price is $10

Answers

Profit maximization in the short run when produces 30 units and the price is $10.

A firm maximizes profits by supplying the level of output at which its marginal revenue equals its marginal cost. When marginal revenue exceeds marginal cost, the firm can increase output to earn more profits.

Profit = Total revenue - Total expense is the profit maximization formula. As a result, when MR = MC, which is the first order, and the second order is dependent on the first order, a firm maximizes profit.

When the marginal cost equals the marginal product, all firms maximize profits. This figure should also serve as the selling price to maximize earnings.

Profit or Loss in the Short Term

A monopolistically competitive firm optimizes profit or avoids losses in the near run by producing the quantity where marginal revenue = marginal cost.

If average total cost is below the market price, then the firm will earn an economic profit.

Learn more about market place here

https://brainly.com/question/16256015

#SPJ4

alessa is the new hr manager at turner times. she meets with the company's leaders to discuss how she intends to support business objectives. alessa tells them that turner times has a performance management process that delivers reliable performance ratings, but it needs to be more strategic. which action would best make performance management more strategic?

Answers

Alessa can make performance management more strategic by aligning individual goals with the company's overall objectives, incorporating regular feedback and coaching, and using data to inform decision-making and drive improvement.

In order to guarantee that workers are working towards the same aims and objectives as the firm, individual goals should be in line with the latter. This will promote the accomplishment of the latter. By giving employees a clear knowledge of how their job contributes to the success of the firm, this alignment also helps to enhance employee engagement and motivation. For successful performance management, regular coaching and feedback must be included. Employees may better understand their strengths and areas for growth with frequent feedback, while coaching gives them the direction and support they need to advance their careers. This strategy also enables managers to spot potential performance-related concerns and take the necessary steps to rectify them.

learn more about frequent feedback here:

https://brainly.com/question/28521806

#SPJ4

suppose you are an sme with limited financial resources. in view of that, your best choice for entering foreign markets would be:

Answers

If you are an SME with limited financial resources, the best choice for entering foreign markets would be to utilize the internet to target global customers.  

Explanation :

The world has become a global market, and businesses are seeking to enter international markets to gain access to a larger consumer base. However, expanding your company overseas can be a costly endeavor.

Therefore, small and medium-sized businesses (SMEs) must be careful in selecting the appropriate approach to enter foreign markets. An SME with limited financial resources has a few choices for entering foreign markets, such as using distributors or establishing partnerships.

However, the most cost-effective method for an SME to enter foreign markets is to utilize the internet to target global customers. As a result, you can choose the best choice for entering foreign markets that is also cost-effective.

To sum up, SMEs with limited financial resources should utilize the internet to target global customers if they wish to enter foreign markets.

to know more about internet market refer here:

https://brainly.com/question/30031741#

#SPJ11

kim co. has determined its year-end cost of its fifo inventory to be $600,000. information pertaining to that inventory is as follows: selling price $ 720,000 costs to sell 30,000 normal profit margin 70,000 replacement cost 610,000 what should be the reported value of kim co.'s inventory?

Answers

Since the market value of the inventory is lower than the cost, we need to use the market value to report the inventory. Therefore, the reported value of Kim Co.'s inventory is $610,000.

To determine the reported value of Kim Co.'s inventory, we need to apply the lower of cost or market (LCM) rule.

The cost of the inventory is $600,000.

The market value is the lower of the selling price, reduced by the costs to sell and the normal profit margin, and the replacement cost.

Market = min(720,000 - 30,000 - 70,000, 610,000)

Market = min(620,000, 610,000)

Market = 610,000

Learn more about market at: https://brainly.com/question/28206725

#SPJ11

a contract electronics manufacturer knows that the theoretical flow time for production of one circuit board is 45 minutes. it produces 250 of these an hour. its average flow time for the production of a circuit board is 180 minutes. the theoretical inventory is:

Answers

The theoretical inventory is 11250 circuit boards an hour.

This inventory is calculated on the basis of the ideal or theoretical time taken to manufacture the product

. This inventory is calculated to measure the capacity of the system to create the product. Real inventory: This inventory is calculated by the actual time taken to manufacture the product.

This inventory is calculated to measure the actual time and resources required to manufacture the product. Given data: The theoretical flow time for production of one circuit board is 45 minutes. It produces 250 of these an hour. Its average flow time for the production of a circuit board is 180 minutes.

Theoretical flow time = 45 minutes Theoretical rate of production = 250 circuit boards an hour Theoretical inventory = 250 x 45= 11250 circuit boards an hour Average flow time = 180 minutes In one hour, 60/180 circuit boards can be produced.

In one hour, actual rate of production = 250 - (60/180) = 249.67Actual inventory = (Actual rate of production) x (Actual flow time)Now, actual flow time = average flow time = 180 minutes Actual inventory = 249.67 x 180= 44941.2 circuit boards an hour

Therefore, the theoretical inventory is 11250 circuit boards an hour.

for more such questions on  inventory

https://brainly.com/question/26533444

#SPJ11

a multinational firm considering doing business in a country undergoing a market transition should expect:

Answers

A multinational firm considering doing business in a country undergoing a market transition should expect several challenges and opportunities.

Market transitions refer to economic shifts from centrally planned to market-oriented systems. In such cases, businesses need to navigate changes in regulations, market dynamics, and competition.
1. Regulatory changes: As the country moves towards a market-oriented system, there might be new laws and regulations implemented. The multinational firm should expect to adapt to these regulatory changes and ensure compliance with local laws.
2. Market volatility: Market transitions often come with economic instability and fluctuating currency rates. The firm should be prepared to handle market volatility and implement strategies to mitigate risks.
3. Evolving consumer behavior: As the market evolves, so do consumer preferences and demands. The multinational firm should expect to adapt its products and services to meet local needs and preferences.
4. Increased competition: Market transitions often lead to an influx of new businesses and competitors, both local and international. The multinational firm should expect increased competition and should focus on differentiation to maintain a strong market presence.
5. Need for localization: To succeed in a transitioning market, the multinational firm should tailor its strategies, products, and services to local conditions, culture, and consumer preferences.
6. Developing infrastructure: The country may have an underdeveloped infrastructure, posing challenges for the firm's operations. The multinational firm should expect to invest in local infrastructure and collaborate with local partners to facilitate smooth operations.
In conclusion, a multinational firm entering a transitioning market should be prepared to navigate regulatory changes, market volatility, evolving consumer behavior, increased competition, localization, and developing infrastructure. By adapting to these challenges and leveraging opportunities, the firm can successfully establish a strong presence in the new market.

For more such questions on multinational firm

https://brainly.com/question/494475

#SPJ11

builtrite preferred stock has a 4.4% coupon based on a par value of 86 a share. currently, investors require a 4% return. what is the value of builtrite's preferred stock?

Answers

Each share of Builtrite's preferred stock is worth $94.60. In contrast to common stock, which normally does not grant its owner voting rights, preferred stock has a larger claim on the company's assets and dividends.

The following formula can be used to determine the value of Builtrite's preferred stock:

Yearly Dividend Payment / Required Rate of Return equals the value of preferred stock.

We must first determine the annual dividend payment:

Coupon Rate x Par Value = Yearly Dividend Payment

Dividend Payment Yearly = 4.4% x $86

$3.784 is the annual dividend payment.

The value of the preferred shares can then be determined using the following formula:

Preferred Stock Value = $3.784 / 4%

Preferred Stock Value = $94.60

As a result, each share of Builtrite's preferred stock is worth $94.60.

Learn more about preferred stock here:

https://brainly.com/question/2604566

#SPJ4

clutch auto parts enters into a contract with bio health club for discounted memberships for clutch's employees. bio breaches the contract and clutch enters into a contract with apex fitness for the same service at a lower price. clutch might be awarded nominal damages to

Answers

Bio breaches the contract and clutch enters into a contract with apex fitness for the same service To prove that Bio acted improperly on principle, Clutch might be given insignificant damages.

What kind of agreement exists when the sale itself is subject to approval between contractual parties?

An agreement between parties that a sale will happen once all conditions are met is known as a contingency contract. Simply put, it indicates that every detail, including the contingencies, has been agreed to by the buyer and the seller.

What impact does a counteroffer have under the contract act?

A counter offer causes the initial offer to be rejected and results in the formation of a new offer. The original offeree cannot thereafter accept the original offer because it has been revoked once he makes a counter offer.

To know more about contract visit:-

https://brainly.com/question/29481244

#SPJ1

what does it mean if sellers use blat to allocate goods and services? coercive force is used to allocate goods and services. goods flow to those who are most violent or have the most intimidating appearance. goods and services are allocated using a system based on informal connections and favors. selle

Answers

As sellers use blat to allocate goods and services, it means that goods and services are allocated using a system based on informal connections and favors. Blat is an informal system of reciprocal obligation and influence found in the Soviet Union. The correct option is C.

What is Blat?

Blat refers to informal networks or connections between individuals that enable people to accomplish things through favors, help, or unofficial channels.

Blats emerged as a way to compensate for the inefficiencies and inadequacies of the centrally planned economy in the Soviet Union, where goods and services were often scarce or unavailable.

Individuals who had better connections or relationships with people in power or in charge of allocating resources had greater access to goods and services. In the absence of formal market mechanisms or legal channels to obtain goods and services, blat emerged as a means of getting things done through personal connections or favors.

Therefore, the correct option is C.

Learn more about Blat here:

https://brainly.com/question/30734657

#SPJ11

porter's study identified components of the german textile and apparel sector: cotton, wool, synthetic fibers, sewing machine needles, textile machinery. these were all successful industries in a single country that grouped into related industries. this grouping is an example of a(

Answers

Porter's grouping is an example of an industry cluster. An industry cluster is a geographic concentration of interconnected businesses, suppliers, and associated institutions in a particular field that can lead to increased efficiency, innovative products, and new technologies in the sector.

Industry clusters are geographic concentrations of interconnected businesses, suppliers, and associated institutions in a particular field. These clusters typically involve firms in the same industry or related industries, often within the same geographic region.

Porter's study identified components of the German textile and apparel sector, such as cotton, wool, synthetic fibers, sewing machine needles, and textile machinery, which were all successful industries in a single country that grouped into related industries.


An industry cluster is advantageous to all involved businesses and the overall region, as there is a wealth of resources and ideas to draw from and foster growth in the industry. Local businesses are able to draw upon and benefit from the shared infrastructure and local markets, the cluster's collective knowledge, local access to specialized inputs and labor, the presence of related businesses, and the presence of related institutions.

Know more about industry cluster here:

https://brainly.com/question/10724102

#SPJ11

The complete question is:

Porter's study identified components of the German textile and apparel sector: cotton, wool, synthetic fibers, sewing machine needles, and textile machinery. These were all successful industries in a single country that grouped into related industries. This grouping is an example of a(n)ples of basic factors of production as identified by Porter:

many distributors use computer chips that are attached to shipping cartons and allow the contents to be scanned and automatically counted as they are received. these chips are called?
a. Radio Frequency Identification Tags
b. Floor Ready Merchandise
c. Cross-Docking Distribution Center

Answers

The chips that are attached to shipping cartons and allow the contents to be scanned and automatically counted as they are received are called Radio Frequency Identification (RFID) tags.

Radio Frequency Identification (RFID) technology uses radio waves to transmit information from an RFID tag to a reader. The tag contains a microchip and an antenna, which enable it to communicate with the reader. RFID tags are widely used in supply chain management and logistics to improve inventory accuracy, reduce labor costs, and increase operational efficiency. When RFID tags are attached to shipping cartons, they can be used to track the movement of goods throughout the supply chain, from the manufacturer to the distributor to the retailer. By scanning the RFID tags, distributors can quickly and accurately identify the contents of a shipment, verify that the correct items have been received, and update inventory records in real-time. This helps to streamline the receiving process and reduces the likelihood of errors or discrepancies in inventory counts. In summary, RFID tags are an important technology for supply chain management and logistics, enabling more accurate and efficient tracking of goods throughout the distribution process.

Learn more about Radio Frequency Identification (RFID) here:

https://brainly.com/question/29554696

#SPJ1

simon recently received a credit card with an 18% nominal interest rate. with the card, he purchases an apple iphone 7 for $699. the minimum payment on the card is only $20 per month. if simon makes the minimum monthly payment and makes no other charges, how many months will it be before he pays off the card? round to the nearest month.

Answers

It will take Simon 34 months to pay off his credit card by paying $20 per month.

The amount due on Simon's card after the purchase is $699. He needs to pay $20 every month. We can solve the question using the following steps:

1. Determine the monthly interest rate The nominal rate is 18%. This is the yearly rate. The monthly interest rate will be:18% / 12 = 1.5%

2. Calculate the minimum monthly interest charge The interest rate is 1.5%.The remaining balance after the payment has been made is $699 - $20 = $679The interest rate charged on this amount is:$679 * 1.5% = $10.19So, the minimum monthly payment for Simon is $20 + $10.19 = $30.19He will pay $30.19 each month, out of which $10.19 goes toward interest and $20 goes toward the principal.

3. Determine the number of months it will take to pay off the credit card Calculate how many months it will take Simon to pay off the card using the following formula:$679 / $20 = 33.95The result is rounded to the nearest month, so it will take Simon 34 months to pay off his credit card.

To know more about interest rate refer here:

https://brainly.com/question/28236069

#SPJ11

in june, the actual number of machine-hours was 9,300, the actual supplies cost was $19,760, the actual power cost was $35,720, the actual salaries cost was $27,130, and the actual equipment depreciation was $39,430. the spending variance for power cost in the flexible budget performance report for the month should be:

Answers

For the provided set of accounting information, it may be ascertained that the spending variance for the month of June will be $380.

The computation for spending variance of June month can be ascertained using the given values, and input of these values into the generalized formula,

Spending Variance June = Actual Power Costs – Budgeted Power Costs

Spending Variance June = 35,720 – 35340

Spending Variance June = 380

Therefore, the Spending Variance for June will be $380 from the budgeted power costs.  

Learn more about spending variance here:

https://brainly.com/question/29593156

#SPJ4

Complete question

Question: Medlar Corporation's Static Planning Budget For June Appears Below. The Company Bases Its Budgets On Machine-Hours. Budgeted Number Of Machine-Hours $

Medlar Corporation's static planning budget for June appears below. The company bases its budgets on machine-hours.

Budgeted number of machine-hours 8,900

Supplies at $2.20 per machine-hour 19,580

Power  at $3.80 per machine-hour 33,820

Salaries  26,700

Equipment depreciation  39,160

Total $ 119,260

In June, the actual number of machine-hours was 9,300, the actual supplies cost was $19,760, the actual power cost was $35,720, the actual salaries cost was $27,130, and the actual equipment depreciation was $39,430.

The spending variance for power cost in the flexible budget performance report for the month should be:

Which is a typical occurrence in a free enterprise system?
a: a person chooses to start a new restaurant
b: a person is told by the government to manufacture cups
c: a person is prevented by authorities from opening a dry cleaner
d: a person uses a traditional method of farming

Answers

The correct answer is a: a person chooses to start a new restaurant. A free enterprise system, also known as a capitalist or market economy.

A free enterprise system, also known as a capitalist or market economy, is an economic system in which individuals and businesses are free to produce and exchange goods and services in a competitive market without significant government intervention. In a free enterprise system, individuals have the freedom to pursue their economic self-interest, make choices, and take risks.

Therefore, it is a typical occurrence in a free enterprise system for a person to choose to start a new business, such as a restaurant. This person would be free to make decisions about the type of food they serve, the prices they charge, and how they market their restaurant, among other factors. This person would also be responsible for managing the risks and rewards associated with their business venture.

In contrast, options b and c involve government intervention in the economy, which is not a typical occurrence in a free enterprise system. Option d, using a traditional method of farming, is not necessarily indicative of a free enterprise system, as the economic system in a particular country can vary based on a variety of factors beyond the type of farming methods used.

Learn more about market here

brainly.com/question/13414268

#SPJ4

a department adds materials to a process at the beginning of the process and incurs conversion costs uniformly throughout the process. for the month of january, there were no units in the beginning work in process inventory; 90,000 units were started into production in january; and there were 20,000 units that were 40% complete in the ending work in process inventory at the end of january. what were the equivalent units of production for conversion costs for the month of january?

Answers

The equivalent units of production for conversion costs for the month of January are 98,000.

To determine the equivalent units of production, you will have to calculate the number of units that are fully completed, and the number of units that are partially complete.

The equivalent units of production (EUP) for the conversion costs for the month of January are 90,000 units (started and completed) + (20,000 units x 40%) = 90,000 + 8,000 = 98,000 equivalent units of production for conversion costs.

What are conversion costs?

Conversion costs are the total cost incurred by a manufacturing company to convert raw materials into finished products. These costs include direct labor, direct overhead, and indirect overhead.

To know more about conversion costs, click on the link below:

https://brainly.com/question/17061981#

#SPJ11

Which of the following are included in expansionary monetary policy? (Select all that are correct)
A increase discount rate
B increase federal funds rate
C increase reserve requirement
D buy bonds
E decrease discount rate
F decrease reserve requirement
G decrease government expenditures
H sell bonds

Answers

Answer:

Increase in discount rates

the explosive growth in global trade means that large corporations are hiring americans of mixed cultural backgrounds. for example, first-generation americans of immigrant parents may speak two or more languages well. to deal with firms in other countries, large corporations benefit from

Answers

The explosive growth in global trade has opened up opportunities for large corporations to hire Americans of mixed cultural backgrounds. For example, many first-generation Americans of immigrant parents may be multilingual, which can be beneficial in dealing with firms from other countries.

Having employees with multiple languages can give companies an edge in the global market, as they are better able to communicate with their customers and better understand the culture of different countries.

Companies must also be aware of cultural differences that may exist between different countries. Language barriers may create misunderstandings or lead to inaccurate communication, which can have an effect on the outcome of any business venture. Additionally, companies need to be sensitive to the cultural norms of different countries in order to ensure that their products or services are accepted by the local market.

Large corporations must also ensure that they are taking into account any legal and financial implications of hiring personnel from different countries. This includes understanding and complying with local laws, regulations, and standards, as well as setting up proper visa, work permit, and tax requirements. Companies also need to be aware of any intellectual property rights that may exist for their products or services, in order to prevent the misuse of their products or services.

Overall, the explosive growth in global trade has opened up a number of opportunities for large corporations to hire personnel from different cultural backgrounds. Companies must be aware of cultural differences, as well as legal and financial implications, in order to take full advantage of this opportunity.

To learn more about global trade here:

https://brainly.com/question/11689799#

#SPJ11

if a company barrows money at a rate of 1% per month what would we used as an interest rate to evaluate company projects?

Answers

If a company borrows money at a rate of 1% per month, the interest rate used to evaluate company project is the monthly interest rate of 1%. This is because the company is paying 1% interest on the amount borrowed each month.

However, it's important to note that when evaluating a project's profitability, the interest rate used is typically the project's cost of capital. This takes into account not just the interest rate paid on borrowing money, but also other factors such as the company's risk and the expected return on investment.

For example, if a company has a cost of capital of 10%, this means that any project the company undertakes must generate a return of at least 10% in order to be considered profitable.

So even if the company borrows money at a low interest rate of 1%, it may still not be worth pursuing a project if the expected return on investment is below the company's cost of capital.

To learn more about interest rate, refer below:

https://brainly.com/question/13324776#

#SPJ11

summit products, incorporated is interested in producing and selling an improved widget. market research indicates that customers would be willing to pay $94 for such a widget and that 54,000 units could be sold each year at this price. the current cost to produce the widget is estimated to be $58. if summit products requires a 20% return on sales to undertake production, what is the target cost for the new widget?

Answers

The target cost for the new widget for Summit Products Inc. to achieve a 20% return on sales is $73.20.

This can be calculated by taking the selling price of $94 and subtracting the desired return of 20% ($94 x 0.2 = $18.80). $94 - $18.80 = $73.20.

This means that Summit Products Inc. must reduce the production cost to $73.20 in order to make a profit of 20% from each unit sold. If the current cost to produce the widget is $58, then the company must make an effort to reduce the cost by $15.20 in order to achieve the desired 20% return on sales.

This could be done by finding cheaper materials, production processes, or labour costs. It is also possible to increase the selling price of the product if the market research indicates that customers would be willing to pay more.

To know more about market research click on below link:

https://brainly.com/question/30651551#

#SPJ11

all of the following are conditions for a cash dividend except a.formal action by the board of directors. b.positive net income. c.sufficient cash. d.sufficient retained earnings.

Answers

Sufficient cash is the conditions for cash dividend except. The answer is OPTION C

A board of directors decision, enough cash, and enough retained profits are required in order to pay a cash dividend. A cash dividend has four dates connected with it. When a company issues a dividend, it credits a liability account called dividend payable and debits its retained earnings.

The business reverses the dividend due with a debit entry on the day of payment and credits its cash account for the associated cash outflow. First, there needs to be enough money on hand to cover the payout payment. Second, the business must have enough retained earnings, or sufficient residual assets, to cover the dividend so that, upon declaration. The answer is OPTION C

To learn more about cash, click here.

https://brainly.com/question/10714011

#SPJ4

which of the following statements are entrepreneurial myths? select all that apply. a. you don't need a great idea to build a great company. b. if you're going to be successful, you need a business plan. c. about 25 percent of startups are by entrepreneurs over 55 years of age. d. the more risk you take, the bigger the reward you'll receive. e. you need a lot of cash to start a business.

Answers

The following statements are entrepreneurial myths *If you're going to be successful, you need a business plan", "The more risk you take, the bigger the reward you'll receive" and "You need a lot of cash to start a business".

A person who has the aptitude and motivation to launch, manage, and be successful in a startup venture, along with the risk necessary to do so, is referred to as an entrepreneur. The launch of a new business venture is the best illustration of entrepreneurship. The market is opened up to new ideas by entrepreneurs, who are frequently credited as innovators or sources of fresh concepts.

From small, home-based businesses to multinational corporations, it can be categorised. In terms of economics, an entrepreneur's profits are derived from a combination of land, natural resources, labour, and capital.

Visit here to learn more about entrepreneurship: https://brainly.com/question/31008165

#SPJ4

You are trying to increase your monthly savings to buy a used car. Your boss allows you to work one hour of overtime at time-and-half 5 days per week. Your regular wage is $12. 00 per hour. You want to save $3,000 for your car. Approximately how many weeks must you work with the extra hour per day to reach your goal?

Answers

Rounding up to the nearest whole number, you will need to work approximately 7 weeks with the extra hour per day to save $3,000 for your car.

Let's first calculate the overtime pay rate per hour:

Overtime pay rate = regular pay rate x 1.5 = $12.00 x 1.5 = $18.00 per hour

So, by working one hour of overtime at time-and-a-half each day, you can earn an additional $18.00 per day.

Let's assume that you work 5 days per week with one extra hour of overtime each day, so you earn an additional $18.00 x 5 = $90.00 per week.

Now, let's find out how many weeks you need to work to save $3,000 for your car:

Number of weeks = total savings needed / savings per week

Savings per week = regular earnings + extra earnings - expenses

Let's assume your expenses are $500 per month or $125 per week.

Regular earnings per week = regular pay rate x 40 hours per week = $12.00 x 40 = $480.00 per week

Extra per week = $90.00

Savings per week = $480.00 + $90.00 - $125.00 = $445.00 per week

Number of weeks = $3,000.00 / $445.00 per week ≈ 6.74 weeks

To know more about savings:

https://brainly.com/question/10749354

#SPJ4

short run refers to a period of time during which: group of answer choices all the factors are constant. all the factors are variable. the producer can shift from one plant size to another. some factors are fixed while some others are variable. the producer cannot change the level of output.

Answers

Short run refers to a period of time during which some factors are fixed while some others are variable. Hence, the correct option is D: some factors are fixed while some others are variable.

What is the Short Run?

Short run refers to a period of time during which at least one factor of production is fixed, while others are variable. A producer cannot change the fixed factor to adapt to new circumstances in the short run, but can modify the variable factors. In other words, in the short run, the fixed factor is considered to be constant.

This could be the capital, plant size, equipment, or any other factor of production that is considered fixed or inflexible. The variable factors in the short run include labor, raw materials, and other inputs.

What are the characteristics of the short run?

The short run has some characteristics that are unique to it.

Here are a few of them:

In the short run, some factors of production are considered fixed and constant.The fixed factor is considered immobile in the short run, making it impossible to modify it to adapt to new circumstances.The variable factors of production can be changed in the short run to respond to new circumstances.The short run is a period of time when firms cannot adjust to the new market situations.The short run is a temporary period during which businesses can adjust to new market conditions in the long run, unlike in the short run.

To know more about Short run, click on the link below:

https://brainly.com/question/17438349#

#SPJ11

Other Questions
thomson corporation owns 70 percent of the outstanding stock of stayer, incorporated. on january 1, 2019, thomson acquired a building with a 10-year life for $320,000. thomson depreciated the building on the straight-line basis assuming no salvage value. on january 1, 2021, thomson sold this building to stayer for $315,200. at that time, the building had a remaining life of eight years but still no expected salvage value. in preparing financial statements for 2021, how does this transfer affect the computation of consolidated net income? During your observation period, note any examples of overly complex language, abstract language, emotive language or You Language. These notes are for you only, to learn through observation. Please DO NOT include these notes with your assignment.Reflect on your experiences, and choose one or two examples to share in your journal assignment.What happened? How did the choice of words contribute to a problem between the communicators? Finally, how could the situation have been handled better? What language could have been used instead, possibly resulting in a better outcome?Minimum word count: 200 words a doctor is treating a patient for rheumatoid arthritis and tells the patient to stay away from sugary foods. why did the doctor give this advice? Sarah walked 5 miles less than twice the number of miles that Semir walked. They each collected $18 in pledges for every mile they walked. Let n represent the number of miles Semir walked. Write an expression for the number of miles Sarah walked. Let n represent the number of miles Semir walked. Write an expression for the amount of money Sarah collected in pledges. Write an equation to find how many miles Semir walked if Sarah collected $450 in pledges. Solve the equation that you wrote for question 5. How many miles did Sarah walk? SungSo also collected $18 in pledges for every mile he walked. Inaddition, his grandmother gave him a $72 donation. He collected the same amount of money as Sarah did. Write and solve an equation to find the number of miles SungSo walked. Write a paragraph using these three ethos pathos logos about trying to convince your friend to go to a concert Sinking of the Maine The USS Maine, an American battleship anchored in the harbor at Havana, had mysteriously exploded and sank, killing about 250 of the ships crew. It was not known then- or even today - what caused the explosion. But the newspapers made it seemed as if Spain had deliberately blown up the US ship. Editorials in the yellow press urged the US government to go war with Spain.It is highly unlikely that the Spanish were responsible since the last thing they wanted was American intervention. A naval court of inquiry decided that the ship had hit a submarine mine. Others believed there was an explosion in the coal bunker. The yellow press had no doubt about the matter. Headlines screamed that it was the Spanish who did it and offered $50,000 for the capture of the evil Spaniards who had committed the outrage. Now there was no holding back. Everyone seemed to be saying Remember the Maine!. It made no difference that the Spanish government agreed on April 9 to almost everything that the U.S. had demanded. The U.S. government was reluctant to go to war. But a torrential wave of popular sympathy for the Cubans and the indignation against Spain mounted. President McKinley asked Congress for a declaration of war and it quickly complied. 5. According to Document 5, was Spain really responsible for the sinking of the Maine? Explain. which of the following statements is true? when a company changes from a traditional costing system to an activity-based costing system, the unit product costs of low-volume products typically increase more than the unit product costs of high-volume products decrease. when a company changes from a traditional costing system to an activity-based costing system, the unit product costs of high-volume products typically change more than the unit product costs of low-volume products. Help me with these math problems please Please help with this one problem at the bottom only a rectangular box without a lid is to be made from 48m2 of cardboard. find the maximum volume of such a box. g Factor 72x^2 + 72x^2+ 18x the difference between browser and search engine which of the following is not based on nucleic-acid hybridization? group of answer choices dna chip southern blotting fish western blotting pcr which of the following statements about pension plans are true? (select all that apply.) check all that apply employees covered by defined contribution pension plans choose where funds are invested. employees covered by defined contribution pension plans choose where funds are invested. the retirement pay of employees covered by defined benefit pension plans depends on the size of the fund at retirement. the retirement pay of employees covered by defined benefit pension plans depends on the size of the fund at retirement. employers who offer defined benefit pension plans are responsible for ensuring that sufficient funds are available to provide promised benefits. employers who offer defined benefit pension plans are responsible for ensuring that sufficient funds are available to provide promised benefits. defined contribution pension plans promise fixed retirement benefits defined by a designated formula. how did the defeat of spain and portugal during the napoleonic wars help to bring about political changes in latin america? Forensic scienceThanks! How to investigate the goblin presence in Percival Rackham's? panther company had a quality-assurance warranty liability of $348,000 at the beginning of 2024 and $302,000 at the end of 2024. warranty expense is based on 2% of sales, which were $54 million for the year. what amount of warranty costs were paid during 2024? multiple choice $1,126,000 $0 $1,080,000 $1,034,000 Find the adverb and the verb that describe the adverb in the sentence she investigates issues thoroughly Compare and contrast the music of the late 1960s with the beginnings of rock and roll. How does it seem to be changing? How is the music of the late 1960s different than the music of the early 1960s?