The competitive advantage opportunities that a global competitor can gain by dispersing performance of its activities across many nations include all of the aforementioned except: E) centralizing value chain activities to foster just-in-time inventory activities.
What is a competitive advantage?In Economics, a competitive advantage can be defined as a measure of the factors, conditions, competitive assets, skills, labor force, or circumstances that allow a business organization to manufacture finished goods or services better and perhaps, cheaper (low costs) than other rival business organizations (competitors) who are operating within the same industry.
In Business management, some good examples of competitive assets that are owned and controlled by a business firm (company) include the following:
Price leadership.Access to scarce natural resources.Results-oriented culture.Access to new or proprietary technology.Highly skilled labor.Intangible assets such as buyer loyalty, brand recognition, and strong brand awareness.Financial resources such as borrowing capacity and credit rating.Tangible resources such as sites, fulfillment centers, distribution centers, and manufacturing equipment.However, a centralized value chain activity to enhance just-in-time (JIT) inventory activities is not a competitive advantage opportunity that a global competitor can benefit from by dispersing performance of its activities across several countries.
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According to Penrose, ________ generate new market, product and service ideas, while ________ administer the routine functions of the firm and facilitate the profitable execution of new opportunities.
C) entrepreneurial services, managerial services
Penrose contends that while services manage the regular operations of the company and make it easier to take advantage of new opportunities, they also produce ideas for new markets, products, and services.
What are services?An (intangible) act or use that a customer, business, or government is prepared to pay for is referred to as a service. Barbers, doctors, attorneys, mechanics, banks, insurance businesses, and other professionals are a few examples. Public services are those that are funded by the entire society (a nation-state, fiscal union, or region).
Service providers profit from resources, expertise, innovation, and experience to the benefit of service consumers. Services can be viewed as intangible activities or performances that the service provider offers to the client in exchange for payment.
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John Maynard Keynes believed that the: A) government should actively try to mitigate the effects of recessions by using fiscal and monetary policies. B) government should not interfere with the economy and should let the economy self correct. C) government should only intervene when there is a boom but let the recession run its course. D) government should not use fiscal and monetary policies, as these policies have long term adverse effect on the economy.
Option A is correct. John Maynard Keynes believed that the government should actively try to mitigate the effects of recessions by using fiscal and monetary policies.
The theories of John Maynard Keynes, known as Keynesian economics, revolve around the possibility that state run administrations ought to assume a functioning part in their nations' economies, rather than simply allowing the unregulated economy to rule. In particular, Keynes upheld government spending to relieve slumps in business cycles.
The most essential standard of Keynesian financial matters is that interest — not supply — is the main impetus of an economy. At that point, ordinary monetary insight had the contrary perspective: that supply encourages interest. Since total interest — the absolute spending for and utilization of labor and products by the confidential area and the public authority — drives supply, all out spending decides every single monetary result, from the development of merchandise to the business rate.
One more essential standard of Keynesian economics is that the most ideal way to haul an economy out of a downturn is for the public authority to increment interest by injecting the economy with capital. So, utilization (spending) is the way to monetary recuperation.
These two standards are the premise of Keynes' conviction that request is critical to the point that, regardless of whether an administration needs to stray into the red to spend, it ought to do as such. As per Keynes, the public authority helping the economy in this manner will animate customer interest, which thus spikes production and ensures full employment.
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which of the following is true of the findings of the 2006 Texas comptroller report on the financial effect of undocumented immigrants in Texas? 4 Multiple Choice 03:48:27 It found that state revenue from undocumented immigrants outweighed costs, not including education costs for the children of immigrants 0 0 State government services spent on undocumented immigrants outweighs the revenue generated from that population through sales taxes and other fees 0 C ) The state costs of providing services for undocumented immigrants for outweighs the burden on local governments 0 it found that state revenue from undocumented immigrants outweighed costs, including education costs for the children of immigrants
It located that kingdom revenue from undocumented immigrants outweighed costs, now not inclusive of education costs for the youth of immigrants.
What does the Texas Comptroller do ?The comptroller is the chief tax collector and chief audit accounting officer in the Texas Government. He manages state deposits and investments and can pay warrant on the states accounts. His most important obligation is to certify the state's approximate biennial revenue.
What is the main reason that deportations in Texas are on the rise? President Trump signed an government order increasing the Immigration and Customs Enforcement (ICE) Agency focus to any immigrant in the United States, no longer simply these convicted of serious crimes.
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All of the statements are correct about performance-based fees in NASAA.
When circumstances does NASAA allow an investment adviser to charge performance-based fees?The NASAA Model Rule permits performance-based fees if the client has at least $1 million in assets under management or a net worth of $2.1 million provided the compensation is based on gains and losses. Unlike the Investment Advisers Act of 1940, under the NASAA Model Rule, state covered Advisers must make additional disclosures, including the incentive to take additional risk.
What Is the North American Securities Administrators Association (NASAA)?Investor protection is a goal of the North American Securities Administrators Association (NASAA), a group of securities regulators. As part of a complementary regulatory structure that operates at the federal, state/provincial, and industry levels, the 67 securities administrators who make up its membership endeavor to protect clients of investment advice or securities. The organization was founded in 1919 in the U.S. state of Kansas.
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Complete question:Under which of the following circumstances does NASAA allow an investment adviser to charge performance-based fees?
i. The client must initially have $1 million under management or a net worth of $2.1 million.
ii. Compensation paid in this way must be for gains reduced by losses.
iii. Disclosure must be made that the fee arrangement may create an incentive for the investment adviser to make investments that are riskier or more speculative than would be the case in the absence of a performance fee.
the currency of singapore is pegged to the currency of the us. assume that the dollar currency depreciates against the currency of the uk. it is likely that singapore will export to the us and import from the uk.
The Singapore dollar was initially tied to the British pound and subsequently, for a brief while, to the US dollar. However, by the middle of the 1970s, the Singapore dollar was now tied to a trade-weighted basket of currencies.
What is the Singapore dollar?The Republic of Singapore uses the Singapore dollar as its official currency. 100 cents make up the total. In order to distinguish it from other dollar-denominated currencies, it is typically abbreviated with the dollar sign $ or S$. The Singapore dollar is printed on banknotes and coins by the Monetary Authority of Singapore (MAS). The Singapore dollar is now the world's thirteenth-most traded currency in terms of value. The Currency Operability Agreement between the Monetary Authority of Singapore and the Autoriti Monetari Brunei Darussalam states that in addition to being used in Singapore, the Singapore dollar is also accepted as legal currency in Brunei (Monetary Authority of Brunei Darussalam). Similarly, Singapore often accepts the Brunei dollar.
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in using the product cost method of applying the cost-plus approach to product pricing, selling expenses, administrative expenses, and profit are covered in the markup
in using the product cost method of applying the cost-plus approach to product pricing, selling expenses, administrative expenses, and profit are covered in the markup total selling and administrative expenses plus desired profit.
profitProfit is defined as the financial advantage obtained when the income generated by a commercial activity exceeds the expenses, costs, and taxes associated with the activity in question.
Profits are returned to business owners, who can choose to pocket the money, distribute it to shareholders as dividends, or reinvest it back into the company.
Entire revenue less total costs equals profit.
Companies report gross profit, operational profit, and net profit for accounting purposes (the "bottom line"). Profit is the money a company makes after deducting all expenditures. Whether it's a lemonade stand or a publicly listed multinational corporation, the basic purpose of every business is to make money, hence business performance is dependent on profitability in all of its manifestations.
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The theory of comparative advantage shows that the gains from international trade do not just result from the absolute advantage of producing at lower cost, but also from pursuing comparative advantage and producing at a lower ________________.
A. opportunity cost
B. absolute cost
C. relative cost
D. comparative cost
The theory of comparative advantage in international trade do not just result from the absolute benefit of producing at lower cost, but also from pursuing comparative advantage and producing at a lower opportunity cost. Thus, option (a) is correct.
What is trade?Trade is a term used to describe economic activities. Trade is the term used to describe the purchasing and selling of goods and services. Trade can take many various forms, including both domestic and international trade.
According to the comparative advantage of international trade on the absolute advantage of reduced production costs to larger profits. The potential profit lost due to a missed chance is the "opportunity cost" of selecting one course of action over another.
As a result, the principle of competitive advantages and producing at a reduced opportunity cost. Therefore, option (a) is correct.
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With the help of a diagram, explain how the monopsonistic demand for labour from powerful employers is likely to affect wages and employment in a labour market where there are no trade unions. (9 marks)
Companies with monopsony power determine compensation practices while keeping in mind that they must raise wages if they wish to hire more employees. As a result, unemployment rises and people earn less than they generate.
What is monopsonistic demand for labor?When there is just one dominant employer in a labor market, it is called a monopsony. This indicates that the company must purchase influence over potential employees. The monopsonist firm in a market with monopsony decides the optimal number of employees to hire by equating its marginal revenue product of labor with its marginal cost of labor, just like any other firm that seeks to maximize profits.
The dominant employer now have the ability to arbitrarily fix wages in the industrial labor market. The labor supply and demand curves intersect when there is monopsony, at both a lower wage and at a lower employment level than would be achieved under equilibrium. The diagram attached will explain this the monopsonistic demand for labor affecting wages and employment.
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In a free market economy, firms operating in a perfectly competitive industry are said to have only one major choice to make. Which of the following correctly sets out that choice?
In a free market economy, firms operating in a perfectly competitive industry are said to have only one major choice to make. It is what quantity to produce.
Let's think about the first issue: which goods should be produced, and in what quantities?
Producing goods that do not have strong market demand would be counterproductive. To ensure that the markets are cleared, only those commodities with positive prices should be produced.
A commodity's production volume is determined at the point where supply and demand are equal. The market will be out of equilibrium and prices will change if the quality of the product is more or less.
Therefore, it becomes vital to equalize supply and demand in order to maintain a steady equilibrium price. Each commodity is covered by this rule. The initial key issue is resolved in this manner.
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when a deposited check is drawn against another bank, the collection of that check will the reserves and the checkable deposits of the bank from which it was drawn
The quantity of required reserves that a bank must maintain will decrease when a check is drawn and cleared against it. cash in a vault and deposits at a Federal Reserve Bank.
Rarely was paper money in the form of gold reserves exchanged for gold. Technically speaking, a demand deposit account is said to have checkable deposits if bank checks or draughts of any kind can be written on it. Personal checks are typically processed within two business days, although certain accounts may take up to seven. For government checks, cashier's checks, and checks from the same bank that holds your account, it usually takes one business day.
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nder nasaa rules for state-registered advisers, transactions must be recorded in customer account records no later than: a 10 business days following the end of the month in which the transaction was effected b 20 business days following the end of the month in which the transaction was effected c 10 business days following the end of the quarter in which the transaction was effected d 20 business days following the end of the quarter in which the transaction was effected
Correct reply is C. 10 business days following the end of the quarter in which the transaction used to be effected.
A customer account document -- additionally acknowledged as a purchaser record -- holds essential records about a customer, consisting of the trendy data, such as name, order data, billing information, interplay statistics and credit information.
How can a customer's debts report will assist in your business?Knowing who is buying from you, how often, and having contact details permitting you to be in a position to maintain in contact with them will be precious in sales, marketing, customer service, even economic forecasting, and will keep your business customer-focused.
What is the significance of recording accounts?You need accurate data to put together correct economic statements. These encompass income (profit and loss) statements and balance sheets. These statements can assist you in dealing with your financial institution or creditors and assist you manipulate your business.
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Mart retains large amounts of customer data. To understand customer purchase behavior, the company uses a process that automatically discovers correlations in the collected data. Through this process, the company learns that people who buy brend, typically also buy a packet of butter. As a result, the manager of the supermarket places butter near the shelf that stocks bread. In this scenario, KST Mart has most likely used to process information a. bar coding b. data integration radio frequency tagging d. data mining C QUESTION 6 Unlike holding cost, stockout cost: a is incurred when a company runs out of a product Ob, includes inventory taxes and the cost of obsolescence. Oc does not include the transaction costs of overtime work and shipping. d. is also known as carrying cost.
In the given case, Mart is using data mining to make operational decisions.
What is data mining?
There is a long history of sifting through data to find hidden relationships and forecast upcoming trends. The phrase "data mining," sometimes referred to as "knowledge discovery in databases," wasn't first used until the 1990s. But its core is made up of three interconnected scientific disciplines: machine learning, artificial intelligence, and statistics, which examine the numerical correlations between data (algorithms that can learn from data to make predictions). As data mining technology continues to advance to keep up with the endless possibilities of big data and accessible computing power, what was once old is now new.
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FILL IN THE BLANK. Press releases about company growth prospects, recent innovations, and industry-related news are available at the website of Kinetics Inc., a manufacturer of automobile components for trucks. Anyone conducting research on the company has access to this information. In this scenario, Kinetics uses the Internet as a(n) _____ tool.
The correct answer is Internet. Kinetics uses the Internet as a marketing tool, which is a type of promotional strategy that relies on the use of digital channels such as websites, search engines, social media, and email to reach potential customers and increase sales.
Having even a simple website that provides contact information, a location, products and services, prices or rates, etc. is beneficial to many businesses. But not every business actually needs a website. Consider your goals carefully. Common justifications for having a website include:
increasing brand recognitionlowering expensesoffering your goods and services for saleenhancing customer service and displaying workTo know more about internet here
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this year, ghj, incorporated received the following dividends: bp, incorporated (a taxable california corporation in which ghj holds a 2% stock interest)$ 17,300 mn, incorporated (a taxable florida corporation in which ghj holds a 52% stock interest)80,800 ab, incorporated (a taxable french corporation in which ghj holds a 21% stock interest)17,300
BP: 17300*50%= 8650
MN: 80800*65%= 52520
AB: 17300* 100%= 17300
total dividends-received deduction=78470
What does "good in stock rate" mean?Most investors consider an average annual rate of return of 10% or higher to be a good ROI for long-term stock market investments.
In France, how are businesses taxed?The corporate tax rate in France has been declining over time. The standard rate in 2021 was 26.5%, and businesses with profits of more than €500,000 had to pay a higher rate of 27.5%. But starting in 2022, businesses will be subject to a flat corporate tax rate of 25%, regardless of their profits.
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the first fidelity building and loan association, organized in state a and authorized to do business in state b, has an offering of common stock being
In order for an individual selling the offering to be excluded from the definition of an agent in State B, the individual could not sell without being registered as an agent in State B
Although securities issued by a building and loan association are included in the Uniform Securities Act's list of exempt securities, they are not included in the group of exempt securities where employees selling on behalf of the issuer are excluded from the definition of an agent.
The Securities and Exchange Commission (SEC) needs assistance with enforcement and regulation, thus the Uniform Securities Act was created to address securities fraud at the state level.
The SEC considers certain securities and transactions to be exempt from registration requirements. Government securities, bank securities, high-quality debt instruments, non-profit securities, and insurance contracts are typical examples of exempt securities.
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A firm's cost of debt can be _____.
estimated easier than its cost of equity
obtained by talking to investment bankers
calculated using the dividend growth model
obtained by checking yields on publicly traded bonds.
A firm's cost of debt can be
estimated easier than its cost of equity
obtained by talking to investment bankers
obtained by checking yields on publicly traded bonds.
What is cost of debt?The effective interest rate that a business pays on its debts, such as bonds and loans, is known as the cost of debt. The cost of debt may be expressed as either the before-tax cost of debt, which is the amount owed by the business before taxes, or the after-tax cost of debt.
The annual interest rate on the funds a business borrows, or the total amount of interest a firm will pay to borrow, determines the cost of debt for that business.
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Jonie is a sales agent for Best Realty representing Bar None, Inc. in the sale of a large ranch to XLT, Inc. Jonie's firm also represents XLT under a buyer representation agreement. Best represented Bar None when it first purchased the ranch. Both parties have agreed to Best acting as intermediary in the transaction, but there will be no appointments, and Jonie will work with both parties. What is Jonie's duty to Bar None regarding disclosure of information related to Bar None's original purchase of the ranch?
Jonie may disclose Bar None's confidential information only with Bar None's consent.
Any information classified as "Confidential," "Proprietary," or another similar designation that is communicated by one party to the other, directly or indirectly, in writing, verbally, or through inspection of tangible items, is considered confidential information. If information is confirmed in writing as being confidential within ten business days of the initial disclosure, it will be deemed to have been transmitted orally and will be treated as such. Information that third parties have divulged to a disclosing party may likewise be considered confidential information. There are three basic types of secret information: managerial, employee, and business information. As stated in the subcategories below, it is crucial to keep personal information private. lists of customers Your customer list could be stolen from you if someone gets a hold of it.
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during recessions group of answer choices a. factories are idle. b. firms may find they are unable to sell all they produce. c. workers are laid off. d. all of the above are correct.
When there is a recession, businesses may find that they cannot sell everything they create, and people may be laid off. As a result, option d) all of the foregoing is accurate.
As a result of the economic downturn and declining income that occurs during a recession, savings and consumption levels also fall. This has an impact on firms, which are forced to reduce production due to the drop in demand, which results in the layoff of people.
Because they either produce at or below capacity, the factories are idle. However during a recession, because there is less of a market for the products, manufacturing companies struggle to sell the goods.
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in a pro versus con analysis comparing functional and divisional structures, a key pro for the functional structure is:
An important positive for the divisional structure in a pro vs. con analysis contrasting functional and divisional structures is the simplicity of comparison.
Making decisions that are objective and well-thought-out may be done quickly and easily by weighing the pros and drawbacks. You can weigh your options more thoroughly by quantifying them. List all potential advantages of the course of action in the "Pros" column, and all potential drawbacks in the "Cons" column.
A technique for examining an option or decision to ascertain the risk/reward of the choice is pros and cons analysis. When evaluating numerous possibilities, pros and cons might be used. An important positive for the divisional structure in a pro vs. con analysis contrasting functional and divisional structures is the simplicity of comparison.
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Which of the following statements, if either, concerning differences between U.S. GAAP and IFRS in accounting for hedges is/are correct?
I. IFRS permits hedging a forecasted business combination that is subject to foreign exchange risk; U.S. GAAP does not permit hedging in that case.
II. IFRS permits hedging part of the life of a hedged item; U.S. GAAP does not permit hedging of part of the life of a hedged item.
A. I only.
B. II only.
C. Both I and II.
D. Neither I nor II.
C. I and II together. Statements I and II are true, respectively. A predicted business combination that is exposed to foreign exchange risk and a portion of the life of an item that is hedged are both permitted under IFRS. Hedging is not permitted under U.S. GAAP in any scenario.
The reporting of specific kinds of transactions and events in financial statements is governed by a set of accounting rules called International Financial Reporting Standards (IFRS). The International Accounting Standards Board created and maintains them (IASB). Generally Accepted Accounting Principles, or GAAP, is a U.S.-based standard. International Financial Reporting Standards (IFRS) are a collection of accounting guidelines that specify how specific kinds of transactions and other events should be recorded in financial statements. With the help of IFRS, organizations will be able to create financial statements that are uniform, trustworthy, and comparable across all industries and nations.
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Rosario is a chef and caterer who hires out on a per-project basis to companies with on-location work sites, as well as to hosts of banquets, corporate meetings, concerts, weddings, and other events. In this capacity, Rosario is
a. an agent.
b. an employee.
c. an independent contractor.
d. a principal.
In this capacity, Rosario is an independent contractor. (Option C)
What does the term "independent contractor" mean?According to the general rule, a person is considered to be an independent contractor if the party paying for their services has the authority to direct or control only the final product of their job, rather than the process of doing it. You are considered self-employed if you work as an independent contractor.
What distinguishes an independent contractor from an employee?In exchange for abiding by the company's rules and showing loyalty, an employee is placed on the payroll and receives compensation and perks. An independent worker with autonomy and flexibility who does not receive benefits like health insurance and paid time off is referred to as a contractor.
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Question 34 (2.5 points) When dealing with a project with nonconventional cash flows, which one of the following capital budgeting criteria would most likely lead to the correct decision? A) The IRR rule OB) The NPV rule OC) The payback period rule D) The discounted payback period rule
When dealing with a project with nonconventional cash flows, The NPV rule capital budgeting criteria would most likely lead to the correct decision.
The NPV (Net Present Value) rule is best suited for dealing with projects with nonconventional cash flows because it takes into account the time value of money and the risk associated with the project.
The NPV rule states that a project should be accepted if its NPV is positive and rejected if its NPV is negative. This helps to ensure that the project is creating value for the firm and that the expected returns are greater than the associated risks.
The correct answer is B) The NPV rule.
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the demand for product x is highly inelastic and the supply of product x is highly elastic. the burden of an excise tax on product x will be borne: group of answer choices by the workers that manufactured product x. by a 50-50 split between the buyers and sellers of product x. primarily by the sellers of product x. primarily by the buyers of product x.
The demand for product x is highly inelastic and the supply of product x is highly elastic. The burden of an excise tax on product x will be borne primarily by the buyers of product x. Thus, option (d) is correct.
What is product?The thing being sold is called a “product.” A product and service market foundation. Items are divided into two categories: industrial products and consumer products.
The country's economy was based on demand and supply. Product x has a highly inelastic demand and a highly elastic supply. The buyer bears the cost of the excise tax on product x.
Therefore, option (d) is correct.
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When differentiation through innovation is high and environmental change is high, the best strategy is a matrix structure with very high integration.
a. True b. False
The given statement is true.
An organizational structure wherein managers attempt to achieve tight coordination between functions, particularly Research and development, production, and marketing. Used primarily by tech companies.
Matrix management is a form of organizational structure wherein employees report to multiple bosses rather than one. It does away with the one-boss, vertical system that most firms use and brings about a system where employees have multiple superiors along the two functions and project lines.
With a matrix management system, employees in various functional divisions are distributed into product/project teams where they get to work with colleagues from other functional divisions. For instance, in a particular project/product team, we can have employees from designing, sales, customer success, cooperating to convey the product or project.
In a matrix structure, individuals work across teams and projects as well as inside their own department or function. For example, a project or task team established to foster another product could include engineers and design specialists as well as those with marketing, financial management, personnel and production skills.
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consider two central banks: one with a history of maintaining price stability and low inflation, and the other with a history of high inflation and poor inflation management. all else equal, if the same level of government budget deficit is monetized in both countries, how is inflation likely to behave in each country? mishkin, frederic s. economics of money, banking and financial markets, the (what's new in economics) (p. 477). pearson education. kindle edition.
In a country where price stability and low inflation takes place, the monetization of the budget deficit will increase the money supply and it will boost consumption and investment spending.
It will increase the price level, but it will be under control and it will work in favor of economic growth. Hence, AD will increase, new jobs will be created and inflation will increase, but it will be within the target inflation rate in the economy.
In a country where the high inflation is already there, then the further monetization budget deficit, will cause further increase in price level and it will be causing a decrease in purchasing power of the people. It will make them go for higher wages and cost push inflation takes place. It will make SRAS to move to the left. Then, economy will suffer with high inflation, higher unemployment and lower demand.
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which of these is a disadvantage associated with personal selling? multiple choice a salesperson cannot control to whom a presentation is made. there may be inconsistency in the presentation of the message from one salesperson to another. personal selling is subject to extensive federal, state, and company regulation. personal selling permits too much wasted coverage. presentations often provide little opportunity for consumer feedback.
There may be inconsistency in the presentation of the message from one salesperson to another is a disadvantage associated with personal selling.
Personal selling commonly referred to as face-to-face selling, is a sales technique where a single salesperson tries to persuade a consumer to purchase a product. It is a type of advertising where the salesman employs their knowledge and talents in an effort to close a deal.
Given that they place a strong emphasis on a personalized approach to sales, personal selling methods are crucial in building relationships with customers. Personal selling techniques are employed by sales teams or business owners to clarify the advantages of a good or service, respond to clients' inquiries, and allay their worries.
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An agent is registered with XYZ Discount Brokers, a wholly owned subsidiary of the XYZ Bank Holding Company. The holding
company also owns XYZ Capital Markets, a full service broker-dealer. Under the provisions of the Uniform Securities Act, this agent
would be permitted to split commissions
Only agents registered with their broker-dealer or connected broker-dealers that have common control are allowed to split commissions. Since XYZ Capital Markets and their representatives are linked businesses, commission sharing is legal.
What do you mean by Broker?A broker is a person or business that stands between a potential investor and a securities exchange. A company serving as a customer's agent and receiving payment from the customer in the form of a commission is known as a broker.
A starting point for state-level securities regulation is the model statute known as the Uniform Securities Act. The Securities and Exchange Commission (SEC) needs assistance with enforcement and regulation, thus the Uniform Securities Act was created to address securities fraud at the state level.
In order to enforce securities laws and regulate transactions, the Act works in concert with the Securities and Exchange Commission's (SEC) rules.
Therefore, To split commissions, an agent must be registered with their broker-dealer or affiliated broker-dealers with shared control. Commission sharing is authorized because XYZ Capital Markets and their reps are affiliated firms.
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Internal monthly magazine at the cosmetics firm Mary Kay provides an outlet for not only selling advice buy also company wide recognition of individual salespeople's accomplishments.
Should have high symbolic value, as plaques, pens, or rings do. Free trips or days off are also effective rewards. More important than what the reward is, however, is the way it is operationalized. For instance, an award should be given at a sales meeting and publicized in the company newsletter.
Nonfinancial rewards
Based on the provided information, the internal monthly magazine and blog at the cosmetics form Mary Kay serve as non-financial rewards for employees. (Option A)
Non-financial rewards or incentives refer to the form of rewards that are not a part of an employee’s pay. It is the type of reward for performance which cannot be measured in terms of money. Generally, the cost associated with such rewards for the company is little to none, however, they carry significant weight. In a work environment, research has shown that all the needs of employees are not satisfied by money only and psychological, social, and emotional factors also play an important role in providing motivation at workplace. Non-financial rewards are effective ways to boost overall morale and encourage commitment which translates to higher productivity. Examples of non-financial rewards include extra days off, flexible working hours, gym memberships, and as in this case public recognition of salespeople’s accomplishments.
Note: The question is incomplete. The complete question probably is: The internal monthly magazine and blog at the cosmetics form Mary Kay serve as __________ for employees; the magazine and blog are outlets for not only selling advice but also company-wide recognition of individual salespeople's accomplishments. A) nonfinancial rewards B) financial rewards C) bonuses D) salary increases E) commissions.
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In the context of aggregate planning options, which of the following costs are an implication of allowing stockouts?
Question 10 options:
Inventory-carrying costs
Lost sales and customer loyalty costs
High labor costs and premiums
Separation costs
Lost sales and customer loyalty costs is an implication of allowing stock outs.
Customer loyalty describes an ongoing emotional courting between you and your purchaser, manifesting itself via how willing a consumer is to have interaction with and time and again purchase from you as opposed to your competition. Loyalty is the byproduct of a patron's advantageous revel in with you and works to create agree with.
The loyalty business model is a commercial enterprise model used in strategic management wherein organization assets are employed so that you can growth the loyalty of clients and other stakeholders inside the expectation that company targets can be met or surpassed.
Customer loyalty is the act of choosing one agency's products and services constantly over its competition. when a customer is loyal to one enterprise, they aren't without difficulty swayed by means of charge or availability. They might rather pay greater and ensure the identical excellent service and product they understand and love.
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