rundle company calculated its return on investment as 10 percent. sales are now $420,000, and the amount of total operating assets is $440,000. required if expenses are reduced by $33,000 and sales remain unchanged, what return on investment will result? note: round your percentage answer to 2 decimal places. (i.e., 0.2345 should be entered as 23.45). if both sales and expenses cannot be changed, what change in the amount of operating assets is required to achieve the same result?

Answers

Answer 1

The operational expense must drop by $ 149333.33.

Given:

10% of an investment equals 0.1 in return.

Total revenue: $300,000

Operating assets totaling $ 320000.

Reduction in costs equals $28,000

a) The formula for calculating return on investment is

Net income minus operational assets equals return on investment.

when the values are substituted, we obtain

1 = Net income / 320000 dollars

or

Net profit = 0.1 x 320000 $

or

Total revenue: $32,000

The amount earned, or the rise in net income, comes from the decrease in costs.

Consequently, the net income is equal to $ 32,000 plus $ 8,000, or $ 60,000.

now,

The current net income's return on investment will be

Return: $60.000 / $320,000

or

ROI is 18.75%

b) in the case of the second instance's condition.

There are

Result: 18.75%

Total revenue: $32,000

Return: Net income divided by operational assets

or

18% of an operational asset is $32,000.

or

Operating asset = 32000 divided by 1.1875

or

Operating assets are equal to $17066.67.

Now, the operational asset's reduction from the real asset is equal to $ 320000 - $ 170666.67 ($149333.33).

As a result, the operational expense must drop by $ 149333.33.

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Related Questions

in texas, how are public sector employee organizations classified, due to their inability to engage in collective bargaining?

Answers

In Texas, professional associations are public sector employee organizations classified, due to their inability to engage in collective bargaining.

What is public sector?

⇒The area of the economy made up of both public services and public businesses is known as the public sector, often known as the state sector. Public goods and governmental services including the military, law enforcement, infrastructure, public transportation, and public education are included in the public sectors, along with health care and individuals employed by the government, such as elected officials. The public sector may offer services that cannot be withheld from non-payers (like street lighting) and which benefit society as a whole rather than just the user. Public enterprises, often known as state-owned firms, are self-financing businesses that are controlled by the government, offer a range of private goods and services for sale, and typically function on a for-profit basis.

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if a car was manufactured in 2006 and sold to a consumer in 2007, what was the effect on gdp in 2006 and 2007?

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If a car was manufactured in 2006 and sold to a consumer in 2007, there will be an increase in GPD in 2006 and there will be no change in GPD in 2007.

The car manufacturing process is a complex and multi-faceted one. It involves a number of different stages, from design and engineering to production and assembly. At each stage, there are a number of different factors that need to be taken into account, from the materials and components used to the labor required.

The end result is a finished car that is then sold to consumers. The price of a car will vary depending on a number of factors, including the make and model, the features and specifications, and the demand from buyers.

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a bond with 23 years until maturity has a coupon rate of 8 percent and a yield to maturity of 6.4 percent. what is the price of the bond?

Answers

The answer is = $1,191.295

The solution:

Present value of interest ($)    956.476

Periodic cash flow ($)                  40

Present value annuity factor          23.912

Present value of face value ($)  234.819

Face value ($)                          1000

Discount factor                               0.235

Bond Price = PV of Face Value + PV of Interest

                   = $234.819 + $956.476  

                   = $1,191.295

What is a bond?

A bond is a type of security used in finance where the issuer (debtor) owes the holder (creditor) a debt and is required, depending on the terms, to repay the bond's principal (i.e., the amount borrowed) at the bond's maturity date as well as interest (referred to as the coupon) over a predetermined period of time. The interest is often due at predetermined intervals, such semiannually, annually, and less frequently at various times. A bond is therefore a type of debt or IOU. With the help of bonds, the borrower can finance long-term investments or, in the case of government bonds, current expenses.

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a bond with 23 years until maturity has a coupon rate of 8 percent and a yield to maturity of 6.4 percent. what is the price of the bond?

sales, marketing, and manufacturing are all types of software typically used by a(n) . a. enterprise b. small business c. individual d. power user

Answers

Sales, marketing, and manufacturing are all types of software typically used by power user.

What is meant by the phrase "marketing"?

Marketing is the process of creating, disseminating, providing, and exchanging products and services that are beneficial to customers, clients, business partners, and society as a whole.

Why does marketing serve a purpose?

Consumer engagement and aid in their decision to buy your products or services are two advantages of marketing for your business. Your business plan's marketing strategy, which is a key element, also helps in establishing and maintaining demand, relevance, reputation, competition, etc.

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when considering foreign direct investment in a country, what is one situation that will benefit a company?

Answers

FDI increases the manufacturing and service sectors, which leads to job growth and lower unemployment rates in the nation. Higher wages are a direct result of more employment.

What does a person being foreign mean?

A foreigner is a person who is from another nation. Not from here is a foreigner. Foreign things are unique and unknowable to individuals. A foreigner is someone who is from a different nation, too. A foreigner is an American who travels to China.

Why is it referred to as a foreign nation?

Any other nation that is not a state is referred to as a foreign country. A colony, dependence, or possession of a foreign country other than the United States is also referred to as a foreign country.

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it is recommended that the funeral directors avoid reaching for their pens and detail sheets for how long during the arrangement conference?

Answers

In the operation management, it is recommended that the funeral directors avoid reaching for their pens and detail sheets for 15-20 days  during the arrangement conference.

An arrangement conference means the special meeting of shareholders, including any adjournment or postponement thereof called and held in accordance with the interim order.

The operation management is the branch of management that administers the complete production timeline of a service/product from the input stage to the finished stage.

It takes around 15-20 days during the arrangement conference which including planning, organizing, and supervising processes and service delivery to lead to the target.

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the situation in which short-term interest rates are pushed to zero, leaving the central bank unable to lower them further is known as

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the situation in which short-term interest rates are pushed to zero, leaving the central bank unable to lower them further is known as a liquidity trap

A zero bound is an expansionary monetary policy tool that allows central banks to cut short-term interest rates to zero when needed to stimulate the economy. Central banks forced to adopt these policies must also use other often unconventional stimulus measures to revive the economy.

What is a liquidity trap?

A liquidity trap occurs when consumers choose to hoard cash rather than invest in higher-yielding assets due to poor economic prospects. Liquidity traps are not just limited to fixed income, they affect other areas of the economy as well. Consumers will spend less and businesses may be less likely to hire employees. A liquidity trap is a situation described in Keynesian economics in which ``liquidity preferences change in the sense that most people prefer to hold cash to liabilities after interest rates fall to a certain level. can become virtually absolute.” such a low interest rate.

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if you need a stock with specific characteristics, like a high dividend yield, where would you start your search?

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Answer: A stock screener

The financial ratio known as "dividend yield" assesses the amount of cash dividends paid to shareholders in relation to the share price on the market. It is calculated by multiplying the outcome by 100 and dividing the dividend per share by the market price per share. Dividend yield is the annual dividend payments made by a stock to its shareholders as a proportion of the firm's market value.

This figure tells you how much income you may anticipate from a company in the future based on the price you could pay for it today, assuming the dividend stays the same.

The dividend yield, for instance, is 5% if a stock now trades for $100 per share and the annualized dividend paid by the company is $5 per share.

Divide the annualized dividend by the share price to get the yield.

$5 divided by $100 in this instance equals 5%.

Mainly because there is an opportunity to choose a dividend paying firm with more information on dividend payout, dividend yield, etc.

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which type of services offer tangible components along with the service component? which type of services offer tangible components along with the service component? self-services state utility services pure services end product services

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Pure services are the type of services offer tangible components along with the service component. Hence option c is correct.

What are tangible components?

Tangible components are defined as often the equipment, buildings, and inventory that belong to a firm as tangible assets or property. The primary asset class used by businesses to produce their goods and services are tangible assets.

Purely Services. Services providing customers with either either few or no actual products Producers, vendors, warehouses, transportation firms, distribution facilities, and retailers are all parts of a supply chain.

Thus, pure services are the type of services offer tangible components along with the service component. Hence option c is correct.

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what aspect of today’s business environment is central to the need for robust transaction management processing systems?

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Today's business environment has a strong need to watch the progress of projects, which is why developing a reliable system for processing transactions is essential. As a result, choice C is valid.

What is business environment?

The term "business environment" refers to the totality or collection of all internal and external factors, including people working in the company, customer needs and expectations, supply and demand, management, clients, suppliers, and owners, as well as government actions, technological innovation, social trends, market trends, and economic changes.

These elements have a direct or indirect impact on how a firm operates and performs its functions. These factors taken together have an impact on the environment and situation of businesses or corporate entities.

Organization environment increases overall performance, growth, and profitability of the business by assisting in the identification of business prospects, utilizing helpful resources, and assisting in planning.

Business environments come in a variety of forms, including macro and micro environments.

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what resource should a researcher consult in order to determine whether a cost should be recorded as an asset or expense? assume that no topic-specific guidance is available for this issue in the codification.

Answers

The codification's conceptual framework does not contain any topic-specific recommendations for this problem. making identification simple and practical.

What do you mean by codification ?

The measuring guidelines in each of the Codification categories should first be reviewed by researchers. Should study participants consult scope instructions during the process? It is important to first address the scope advice before evaluating the recognition and measurement portions to determine whether the transaction comes under the issue.

Internal control must include the provision of suitable supporting documentation for every financial activity. The right documentation helps to meet audit standards and provides Journal Approves with enough detail to confirm that a transaction is reasonable and accurate.

Choosing, developing, and detailing a model for acceptable language usage is the process of codification. US Generally Accepted Accounting Principles are compiled by the Financial Accounting Standards Board and are known as Accounting Standards Codification.

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if bank of mateer has a required reserve ratio of 40% and there is $100,000 in deposits, what is the amount of required reserves? \

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A country's economic growth can be effectively managed through monetary policy. The central bank uses expansionary monetary policy during downturns in the economy. On the country, during the period of prosperity, the national bank executes contractionary financial strategy.

e . $60,000

40% of $100,000

(40 / 100) * $100,000 =.40000

How does monetary policy work?

The central bank's macroeconomic policy is referred to as monetary policy. The government of a country uses demand-side economic policy to achieve macroeconomic goals like inflation, consumption, growth, and liquidity. It involves managing the money supply and interest rate.

What are the three monetary strategies?

In the past, the Federal Reserve has used three tools to implement monetary policy: open market operations, the discount rate, and reserve requirements.

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models that focus on factors other than changes in the money supply to explain fluctuations in real gdp are called

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Models that focus on factors other than changes in the money supply to explain fluctuations in real GDP are called real business cycle models.

What is Real Business Cycle Models?

A family of new classical macroeconomics models known as real business-cycle theory uses real (as opposed to nominal) shocks to explain business-cycle fluctuations (RBC theory).

In conclusion, business cycles regularly occur. Despite not showing the same regularity, they do go through phases that are easily identifiable, such as expansion, peak, contraction, depression, and trough. A cycle can last anywhere between two years at its shortest and 10 to 12 years at its longest.

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public accountant providing consulting services to alphabet (primary source of professional services guidance?)

Answers

It is true that public accountant providing consulting services to the alphabet.

Who is an accountant?

A practitioner of accounting or accountancy is known as accountant. Chartered Accountant, Chartered Certified Accountant, Certified Public Accountant, and Registered Public Accountant are just few of the titles that qualified accountants can use after passing certification tests offered by their professional bodies. By statute, these individuals have particular rights and obligations, including the authority to certify the financial accounts of an organization and the potential for legal repercussions for improper activity. Non-qualified accountants are not restricted by statute from working independently or under the employment of qualified accountants. In popular culture, the stereotype of the practitioner is that of a humorless, self-absorbed bean counter. It has been proposed that stereotypes have an impact on people who are drawn to professions, with many new entrants undervaluing the value of communication skills and overvaluing the value of numeracy in roles.

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earnings per share, return on sales, and return on equity are examples of __________ ratios.

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Answer:

profitability ratios.

Earnings per share, return on sales, and return on equity are examples of profitability ratios.

Profitability ratios are financial ratios that measure a company's ability to generate profits relative to its revenue, assets, or equity. Earnings per share (EPS) is a ratio that measures the company's profitability on a per-share basis, while return on sales (ROS) measures the company's profit margins relative to its revenue. Return on equity (ROE) measures the company's profitability relative to its shareholders' equity.

These ratios help investors and analysts evaluate a company's financial performance and profitability, and can be useful in comparing companies within the same industry.

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Brittany Lambert i a volunteer for the Brevard County Swim Club in Melbourne, Florida, and ha offered to compile data on the wim club employee and team. She need your help completing the workbook and analyzing the data. Switch to the All Employee workheet. In cell E3, enter a formula uing the HLOOKUP function a follow to determine an employee' potential pay rate, which i baed on their year of experience:

Answers

Copy the formula down column E to get the pay rate for each employee =HLOOKUP(D3,Experience_Rates,2,FALSE)

=HLOOKUP(D3,Experience_Rates,2,FALSE)

You can use VLOOKUP to perform a vertical data range search.

The HLOOKUP function searches through data that has been structured in rows rather than columns.

For business analytics in Excel, LOOKUP and similar functions are frequently used to slice and dice data for analysis.

The HLOOKUP function looks up a value in the first row of a given range and replaces it with a value from the same column in the specified row.

Using the syntax =HLOOKUP(lookup value, table array, row index number, [range lookup]),

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when a salesperson can only sell to prospects located within a certain geographical location, the salesperson is said to be managing sales for a(n)

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When a salesperson can only sell to prospects located within a certain geographical location, the salesperson is said to be managing sales for an exclusive sales territory.

A sales consultant, quite definitely, sells products or services for a agency and represents their brand. They manage relationships with customers, serving as the important thing point of contact, from initial lead outreach to whilst a buy is in the end made.

sales consultant duties and duties consist of:

promoting products and services using solid arguments to potential customers.performing fee-gain analyses of present and capability customers.retaining nice business relationships to ensure destiny sales.

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corporations may either sell stock directly to the stockholders or use the service of an underwriter. State True or False your answer:
a. True
b. False

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The statement that a corporation may either sell stock directly or use an underwriter is a. True.

How do corporations sell stock ?

Corporations are able to sell their stock to different people in the market via two main ways. The first is by selling to the public directly but this method can be quite costly and complicated for the company to implement on its own.

For this reason, corporations will often opt to use the services of an underwriter who will buy the stock from them at a discount and then sell to the public at large at a higher price.

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Answer: The answer is True

Explanation:

a software package evaluation process is often based on a series of detailed questions sent to vendors, called a(n):

Answers

A request for proposal, or RFP, is a set of specific questions issued to suppliers as part of the evaluation process for software packages. Hence, Option D is correct.

What is the meaning of the evaluation process?

Planning, implementation, completion, and reporting are the four main steps that evaluation processes typically go through. Although these resemble typical programme development processes, it's crucial to keep in mind that, depending on where in programme or intervention.

The term "evaluation process" refers to the procedure that starts with the provision of evaluation criteria to each employee at the start of each academic year by the evaluators.

Therefore, Option D is correct.

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The complete question has been attached in text form:

A software package evaluation process is often based on a series of questions sent to vendors, called a(n):

A) systems design document.

B) strategic planning document.

C) information systems management plan.

D) request for proposal.

E) logical design document.

which sentence is expressed correctly? question 12 options: a) will you please send the latest budget figures when you get a chance? b) could you please send me the latest budget figures when you get a chance? c) will you please send the latest budget figures when you get a chance.

Answers

This sentence is expressed correctly : (b) could you please send me the latest budget figures when you get a chance?

The correct option is (b).

A budget is a monetary file used everyday task destiny earnings and expenses. to place it genuinely, a finances plans future saving and spending in addition to deliberate profits and expenses.

The 3 sorts of annual authorities budgets day-to-day on estimates are Surplus finances, Balanced finances, and Deficit budget.

A budget facilitates create financial balance. by using monitoring costs and following a plan, a price range makes it simpler everyday pay bills on time, construct an emergency fund, and store for important expenses which include a automobile or home. basic, a price range places a person on more potent economic footing for each and the long time.

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rancis inc.'s stock has a required rate of return of 10.25%, and it sells for $57.50 per share. the dividend is expected to grow at a constant rate of 6.00% per year. what is the expected year-end dividend, d1?

Answers

The expected year-end dividend, d1, is $2.58. A year-end dividend is a dividend that is paid out to shareholders at the end of the year.

How to find year-end dividend?

Dividends are payments made by a company to its shareholders, typically in the form of cash or additional shares of stock.

Year-end dividends are typically paid out of a company's profits or earnings, and are usually distributed on a regular basis, such as quarterly or annually.

To find the expected year-end dividend, d1, you can use the following formula:

d1 = D0 * (1 + g)

Where d1 is the expected year-end dividend, D0 is the current dividend, and g is the constant growth rate of the dividend.

Plugging in the given values, you get:

d1 = D0 * (1 + 6.00%)

You need to determine the value of D0 in order to solve for d1. You can use the following formula to find the value of D0:

D0 = P0 * (r - g) / (1 + r)

Where P0 is the current price of the stock, r is the required rate of return, and g is the constant growth rate of the dividend.

Plugging in the given values, you get:

D0 = $57.50 * (10.25% - 6.00%) / (1 + 10.25%) = $57.50 * (4.25%) / (1.1025) = $57.50 * 0.0425 / 1.1025 = $2.44

Now that you have the value of D0, you can use it to find the expected year-end dividend, d1:

d1 = $2.44 * (1 + 6.00%) = $2.44 * 1.06 = $2.58

So the expected year-end dividend, d1, is $2.58.

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let's fast forward 3 years to 2007-04-01. using the original taylor rule where the equilibrium real rate of interest is estimated to be 2% and the target inflation rate is 2%, what is the federal funds rate implied by the taylor rule?

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The original Taylor rule where the equilibrium, a steady state of 2%, which equates to a rate of about 2%. But that's only part of the equation. The output should also be considered.

The Taylor Rule is an interest rate forecasting model devised by renowned economist John Taylor in 1992 and described in his 1993 study Discretion Versus Policy Rules in Practice.

The Taylor Rule allows the Federal Reserve to raise interest rates if inflation is above target or if gross domestic product (GDP) growth is too high and ahead of potential. suggesting that it should. It also suggests the Fed should cut rates if inflation is below target or if GDP growth is too low and below potential.

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black company has net credit sales of $500,000, an asset turnover ratio of 3, an inventory turnover ratio of 5, and a receivables turnover ratio of 6. what is the average collection period?

Answers

black company has net credit sales of $500,000, an asset turnover ratio of 3, an inventory turnover ratio of 5, and a receivables turnover ratio of 6. So 60.8 days  is the average collection period.

Why is average collection period important?

The average series length or DSO of a business is imperative for its growth. If a company persistently has excessive ACP, there is a trouble with its bills receivable and series process. By automating them with HighRadius Autonomous Receivables, agencies can notably improve their order to money cycle.

Average series duration is calculated by dividing a company's common bills receivable stability by means of its net deposit sales for a particular period, then multiplying the quotient with the aid of 365 days.

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income taxes have the effect of o a. increasing the cost of debt for a firm. o b. decreasing the cost of debt for a firm. o c. decreasing the cost of equity for a firm. o d. both b and c are correct.

Answers

Income taxes have the effect of decreasing the cost of debt for a firm.

What is meant by income tax?Income taxes are demanded against the two organizations and people (or nuclear families). In view of the pay got, individual annual assessments are determined.Regularly, it is sorted as an immediate duty since the weight is remembered to fall on individuals who pay it.Utilizing the IRS Where's My Refund feature, you might check the situation with your expense form whether or not you owe cash or are expecting a discount. Seeing your IRS account subtleties. calling 1-800-829-1040 to arrive at the IRS (There might be an impressive hold back to converse with a delegate.)You might decide the all out pay on which you should pay charge in light of your duty section by deducting all reasonable derivations from your gross available pay. Senior people pay a different piece rate. The duty rate is zero for anybody north of 60 with an overall gain of up to Rs 3 lakh.

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a financial statement that reports the value of a business’s assets, liabilities, and owner’s equity on a specific date.
true
false

Answers

The presented statement is accurate since a financial statement provides information on the assets, obligations, and owner equity of a company as of a particular date.

How do you pluralize businesses?

MANY BUSINESSES: Business is a countable or uncountable noun. Business is also used for the plural form in more common and everyday circumstances. However, the word "companies" can also be used in more specific circumstances to refer to a variety of enterprises or a group of firms.

Can I use the name of another company?

Names that have been registered as trademarks with the USPTO are safeguarded on a national level. Even if a firm works in a different industry, you are not permitted to use a business name that has previously been trademarked.

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the vp of product development led a of specialists in sales and marketing, manufacturing, and research and development to figure out how to bring new products to market faster in the united states.

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Cross-Functional Team. The VP of product development led a _ Cross-Functional Team_ of specialists in sales and marketing, manufacturing, and research and development to figure out how to bring new products to market faster in the United States.

A Cross-Functional Team_ comprising experts in manufacturing, sales and marketing, and research and development worked under the direction of the VP of product development to determine how to bring new goods to market in the US more quickly.

Alternative D: Virtual Team

The superintendent of the school district oversaw a "Virtual Team" comprising principals and teachers, school counselors and librarians, parents, and professors of education programs at institutions all throughout the state to create a new curriculum that addressed state criteria. Team members frequently had videoconferences and used email to communicate ideas.

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In an election debate, two candidates for governor are debating about whether to raise the general sales tax from 5 to 7 percent. candidate a argues that this would increase tax revenues, enabling the state to maintain essential services. candidate b argues that the tax would hurt retailers and consumers, slowing down the economy so much that it would decrease tax revenues too. what assumptions must the candidates be making in order to justify their position?
a. Candidate A assumes that the price effect would be larger than the quantity effect. b. Candidate B assumes that the price effect would be larger than the quantity effect. c. Candidate A assumes that the quantity effect would be larger than the price effect. d. Candidate B assumes that the quantity effect would be exactly the same as the price effect.

Answers

A. Candidate A assumes that the price effect would be larger than the quantity effect. and B. Candidate B assumes that the price effect would be larger than the quantity effect.

What is price effect?

Price effect refers to the changes in demand resulting from changes in price. When the price of a good or service increases, demand typically decreases, while a decrease in price usually increases demand. This phenomenon is studied in economics and is a major factor in pricing decisions. Many companies will use price effects to their advantage, such as setting a higher initial price to create a “premium” product or using discounts to generate more sales. Factors such as availability, consumer preferences, and competition can also influence price effects. Ultimately, businesses must consider price effect when making pricing decisions in order to maximize their profits.

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from a marketing perspective, the process by which individuals acquire the purchase and consumption knowledge and experience that they apply to future related behavior, which evolves and changes as consumers acquire knowledge from experience, observation, and interactions with others to impact future behavior, is known as .

Answers

The process by which individuals acquire the purchase and consumption knowledge and experience that they apply to future related behavior,  is known as consumer learning.

What does "consumption" mean?

The act of using up goods and services is referred to as consumption. It is the process of purchasing and using goods and services to meet one's needs and desires. Consumption is the primary driver of economic activity because it is how individuals and businesses obtain the goods and services they require. Consumption, as a measure of overall demand and spending, is also an important factor in determining an economy's health.

What does "economic activity" mean?

Individuals, businesses, and governments all engage in economic activity by producing and consuming goods and services. This includes the creation of resources such as raw materials as well as the purchase and sale of goods and services. Economic activity is a key indicator of an economy's health and is used to assess a country's overall performance.Economic activity includes a wide range of activities such as manufacturing and service provision, labor and capital investment, savings and investment, international trade, financial services, and public services.

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when making a decision to either buy a movie ticket or rent a dvd, the cost of the movie ticket is an example of a(n) blank cost.

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When making a decision to either buy a movie ticket or rent a DVD, the cost of the movie ticket is an example of a(n) incremental/avoidable cost.

In the field of business, an avoidable cost can be described as such a cost that you might not have to pay if you choose another option than the one for which the payment demands an avoidable cost.

An incremental cost can be described as a type of cost that increases in value as you ask for an upper, luxury service.

As the movie ticket cost is higher than the rent for a DVD, it is a luxury service in comparison for which you will have to pay an incremental cost. Also, the cost can become an avoidable cost, if you choose to rent a DVD instead of movie tickets.

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which of the following are characteristics of extreme programming? group of answer choices teams are unstructured. a customer representative is included on the team. pair programming is encouraged. the project owner represents customers' interests. work is organized into sprints of 7-30 days. during planning, projects trade off development speed against code quality.

Answers

Dynamically changing software requirements, using a small, collocated extended development team, and utilizing technology that makes automated unit and functional tests possible are some of XP's key qualities  extreme programming.

What aspects of extreme programming are true?

One of the software development approaches known as agile methodologies is extreme programming.XP is focused on beliefs, principles, and practices with the goal of empowering small to mid-sized teams to produce high-quality software and adapt to changing requirements.

Which of the following traits does extreme programming not have?

Verified by an expert Shared code and responsibility, option (c), is not an extreme programming technique.

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