The amount of revenue that was earned from the unearned revenue account to the revenue account, this omission would cause an: overstatement of liabilities. The correct option is B
Unearned revenue is initially recorded as a liability because the company has received payment for goods or services that it has not yet provided. When the company provides the goods or services, the revenue becomes earned, and the company should move the earned amount from the unearned revenue account to the revenue account.
If the company fails to make this adjustment, the unearned revenue account will still show the full amount, even though some of it has been earned. This results in an overstatement of liabilities, as the unearned revenue account is a liability account.
The revenue that has been earned but not moved to the revenue account will make the liabilities appear higher than they should be.
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Complete question:
if a company failed to make the end-of-period adjustment to move the amount of revenue that was earned from the unearned revenue account to the revenue account, this omission would cause:
Multiple Choice:
A. An overstatement of equity
B. An overstatement of liabilities.
C. An understatement of liabilities.
D. An overstatement of net income.
E. An overstatement of assets
Design 1: Flat Solar Panels
A field of flat solar panels angled to best catch the sun will yield 2.6 MW of power and will cost $87million initially with first-year operating costs at $2million, growing $250,000 annually. It will produce electricity worth $6.9 million the first year and will increase by 8% each year thereafter.
Design 2: Mechanized Solar Panels
A field of mechanized solar panels rotates from sideto side so that they are always positioned parallel to the suns rays, maximizing the production of electricity. This design will yield 3.1 MW of power andwill cost $101 million initially with first-year operating costs at $2.3 million, growing $300,000 annually. It will produce electricity worth $8.8 million the first year and will increase 8% each year thereafter.
Design 3: Solar Collector Field
This design uses a field of mirrors to focus the suns rays onto a boiler mounted in a tower. The boiler then produces steam and generates electricity the same way a coal fired plant operates. This systemwill yield 3.3 MW of power and will cost $91 million initially with first-year operating costs at $3 million, growing $350,000 annually. It will produce electricity worth $9.7 million the first year and will increase 8% each year thereafter.
The following is a description of a typical day in the life of a MARRIOR. 1st Design The initial cost is $87 million. Yearly earnings: $6.9 million 8% annual income growth rate .
Yearly operational costs: $2 million, increasing at a rate of $250,000 per year. $6.9 million - $2 million - ($87 million / 25) annual cash flow - ($2,000,000 - $250,000) = $2.54,000,000 $2.54 million * (1 - 1/(1+10%)25) / 10% = $19.63 million PW of cash flow Design 2 The initial cost is $101 million. Yearly earnings: $8.8 million 8% annual income growth rate Yearly operational costs: $2.3 million, increasing by $300,000 each year. Yearly cash flow = $4.22 million = $8.8 million - $2.3 million - ($101 million / 25) - ($2.3 million - $300,000) Cash flow profit: $4.22 million * (1 - 1/(1+10%)25) / 10% = $32.66 million Design 3: Original cost: $91 million\sAnnual $9.7 million in earnings 8% annual income growth rate Yearly running costs: $3 million, increasing at a rate of $350,000 per year. Yearly cash flow = $5.13 million = $9.7 million - $3 million - ($91 million / 25) - ($3 million - $350,000) Cash flow profit: $5.13 million * (1 - 1/(1+10%)25) / 10% = $39.59 million Design 3 has the highest current worth based on the PW analysis and would be the recommended design. Design 2 is the second best alternative, with the lowest present value.
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How to calculate momentum?
Answer:
p=mv
Explanation:
the formula for momentum is
p=mv
Answer:
By multiplying mass and velocity
Explanation:
You have a copy of an invoice sent to a customer for services provided on account. What would the T account look like after analyzing this transaction?
Accounts Payable is credited to increase, and Sales is debited to increase.
Accounts Payable is debited to increase, and Sales is credited to increase.
Accounts Receivable is credited to increase, and Sales is debited to increase.
Accounts Receivable is debited to increase, and Sales is credited to increase.
The way that the the T account look like after analyzing this transaction is D. Accounts Receivable is debited to increase, and Sales is credited to increase.
What is a T account?A T-account is a colloquial term for a collection of financial records that use double-entry bookkeeping. A T-account is so named because the bookkeeping entries are organized in the shape of a T. Just above the T is the account title.
Accounts receivable are the funds owed by a company's customers for goods or services received but not yet paid for. When a customer purchases a product on credit, the amount owed is added to the accounts receivable.
Therefore, when you have a copy of an invoice sent to a customer for services provided on account, the accounts receivable is debited to increase.
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james fashions has a target debt-equity ratio of .52. its cost of equity is 14.5 percent and its pretax cost of debt is 8 percent. its combined tax rate is 22 percent. what is the company's WACC?
Multiple Choice
11.67%
10.14%
12.28%
9.07%
7.10%
James Fashions' WACC (weighted average cost of capital), given its target debt-equity ratio, cost of equity, and pretax cost of debt, is 11.67%. Thus, the first option is correct.
To find James Fashions' WACC, we will use the following formula:
WACC = (E/V) * Re + (D/V) * Rd * (1 - Tc)
where:
E/V = equity-to-value ratio
Re = cost of equity (14.5%)
D/V = debt-to-value ratio
Rd = pretax cost of debt (8%)
Tc = combined tax rate (22%)
Given the target debt-equity ratio of 0.52, we can find E/V and D/V as follows:
E/V = 1 / (1 + Debt/Equity Ratio) = 1 / (1 + 0.52) = 1 / 1.52 ≈ 0.6579
D/V = 1 - E/V = 1 - 0.6579 ≈ 0.3421
Now, we can calculate the WACC:
WACC = (0.6579) * 14.5% + (0.3421) * 8% * (1 - 22%) ≈ 0.6579 * 14.5% + 0.3421 * 8% * 0.78 ≈ 9.54985% + 2.13896% ≈ 11.68881%
Thus, the company's WACC is approximately 11.67%, which is the first option in the multiple-choice list. So, the answer is: 11.67%
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A company that uses the accrual method of accounting started the fiscal year with assets of $600,000 and liabilities of $400,000. During the fiscal year the company recorded credit sales of $250,000, of which $8,000 remained to be collected at year end, and incurred expenses of $90,000, of which $72,000 was paid in cash. A stock dividend valued at $10,000 was declared and issued to stockholders during the year. What is the year-end balance of total equity
Answer:
$360,000
Explanation:
Calculation to determine What is the year-end balance of total equity
First step
Beginning equity = Total assets - Total liabilities.
Beginning equity= $600,000 - 400,000
Beginning equity= $200,000
Second step
Net income = Revenues - Expenses
Net income= $250,000 - $90,000
Net income= $160,000
Last step
Ending balance of Equity = Beginning equity + Net income
Ending balance of Equity = $200,000 + $160,000
Ending balance of Equity = $360,000
Therefore the year-end balance of total equity is $360,000
What is an example of form utility
PLEASE ive been asking for days i need help with this i don't understand it
you can ignore #5-- i just don't understand #6
Answer:
$47
Explanation:
Because she can afford the 144 bushel plan, in the long run it is cheaper per bushel so you would choose to market that one to her because it is cheaper in the long run for as well as she grows more bushels.
4. Wicker Widget Works (WWW), manufacturer of the world famous Western White Widget (W3), would like to build a forecasting system to assist in production planning and inventory control. Demand for the past 6 months is shown below. Month Jan Feb Mar Apr May Jun Sales 100 90 95 100 105 95 (a) Develop a forecast for July using (i) a simple exponential smoothing model with ☐☐= 0.20, (ii) a simple exponential smoothing model with = 0.50, and (iii) a 3-month moving average. (b) Which of the three forecasting models in (a) above provides a better forecast based on MAD?
The forecasting model with the lowest Mean Absolute Deviation (MAD) is considered to give a better forecast.
To develop a forecast for July, we can use different forecasting models and compare their performance based on MAD.
(i) Simple exponential smoothing with ☐☐ = 0.20:
The forecast for July using this model would be calculated by applying the exponential smoothing formula, considering the previous month's forecast and the actual sales data. The smoothing constant of 0.20 determines the weight given to the previous month's forecast.
(ii) Simple exponential smoothing with ☐☐ = 0.50:
Similar to the previous model, the forecast for July is calculated using exponential smoothing, but with a different smoothing constant of 0.50. This constant will place more weight on the previous month's forecast, resulting in a smoother forecast.
(iii) 3-month moving average:
In this model, the forecast for July is obtained by taking the average of the sales data from the previous three months (April, May, and June).
To determine which model provides a better forecast based on MAD, we need to calculate the MAD for each model. MAD is the average of the absolute differences between the forecasted values and the actual sales data. The model with the lowest MAD would indicate a better forecast accuracy. By comparing the MAD values of the three models, we can determine which one provides the most accurate forecast for July.
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TRUE / FALSE. experts suggest that you spend no more than of your net income on debt payments.
FALSE. Experts suggest that you spend no more than 30% of your net income on debt payments. This guideline is commonly referred to as the debt-to-income ratio and is used to assess an individual's ability to manage their debt responsibly.
By keeping debt payments within this range, individuals can maintain a healthy financial situation and have enough income available for other essential expenses, savings, and investments. Exceeding this recommended limit may increase the risk of financial strain, difficulty in meeting financial obligations, and potential debt problems. It is important for individuals to carefully manage their debt and ensure that their debt payments are in line with their income and overall financial circumstances.
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describe the different ways in which the government may intervene in the forex market. why does the government have the ability to intervene in this way, while private actors do not?
The different ways in which the government may intervene in the forex market. that is "combat the market inequities through the regulations, taxation and the subsidies".
The forex market is the global marketplace where the process of exchange the national currencies.
The government can intervene in the marketplace or forex market to promote the general economic fairness and maximizing the social welfare. The government have the ability to intervene in this way, while private actors or companies do not because the government think about the nation while private companies think about their profit and growth mostly.
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Please help I'm about to fail my class and i will be grounded for life, 100 pts for it! its financial literacy
Part One–Research
Imagine you bought 100 shares of stock three years ago and are selling it today. Select a company and research its stock prices. You can start with websites like Nasdaq and Fidelity. Determine the stock's price three years ago, or the purchase price, and its price today, or the selling price.
Part Two–Determine the Real Return
Calculate the real return of your stock investment using the following information:
Purchase price of 100 shares of stock
Selling price of 100 shares of stock
10% tax rate
3% inflation rate
2% administrative fee on the selling price of the stock
Part Three–Evaluate
Analyze your research and calculations, and answer the following questions:
What company did you select to buy stock in? Why did you select the company?
Consider the real return of the stock investment. Do you consider it a wise investment? Why or why not?
1. I imagine buying 100 shares of Amazon.com Inc. on January 3, 2020, when the stock price was $93.75, investing $9,375.
Today, October 31, 2022, the stock price of Amazon.com Inc. is $102.44.
2. The real return on my investment in Amazon.com Inc was a net loss of 7.12% or $667.60.
3. The company I selected to buy its stock three years ago was Amazon.com Inc.
4. I decided on Amazon.com Inc., hoping to earn spectacular returns since it is a multinational technology company.
5. When I consider the actual return on the stock investment in Amazon.com Inc., I think it was an unwise investment.
6. The investment returned a negative real value because I realized less than I initially invested; I actually lost about $667.60 overall.
What is the stock investment?Stock investment is the purchase of shares for an ownership interest in a publicly-listed company.
The investor makes the investment with the hope that the investee will grow and perform well over some period, enabling the investor to earn some real returns (in the form of dividends and capital appreciation).
Purchase of 100 shares Jan. 3, 2020 = $9,375 (100 x $93.75)
Sales of 100 shares Oct. 31, 2022 = $10,244 (100 x $102.44)
Tax (10%) = $1,024.40 ($10,244 x 10%)
Inflation (3%) = $307.32 ($10,244 x 3%)
Administration fee on sales (2%) = $204.88 ($10,244 x 2%)
Real Returns in dollars = $8,707.40 ($10,244 - $1,024.40 - $307.32 - $204.88)
Loss on returns = $667.60 ($8,707.40 - $9,375)
Loss percentage = 7.12% ($667.60/$9,375 x 100)
Unfortunately, Amazon.com Inc. did not pay any dividends during the period of my investment, and I really lost funds to taxes, inflation, and administration fees when I sold it.
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a function that describes the relationship between output and various prices of that output, prices of inputs, and values of other variables is called multiple choice question. the supply schedule. the demand function. the demand curve. the supply function. need help? review these concept resources.
A function that describes the relationship between output and various prices of that output is the supply function
A supply function is a numerical representation of the relationship between the quantity expected, or demand, for a good or service, its price, and other relevant elements, such as the costs of related goods and inputs. Individual dependent variables and independent variables abound in a supply function. By looking at the relationship between the independent variable and the supply, a supply equation can be planned.
It can also be determined by determining whether the relationship is one that is positive or negative. For instance, the market cost or supply and price are typically not correlated. Consequently, the supply function is a function that explains the link between output and various output prices, input prices, and values of other variables.
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in free market equilibrium, consumer surplus is equal to . a. $60 c. $240 b. $120 d. $480 25. if government imposes a $6 per unit tax in this market, total tax revenue collected will be equal to . a. $120 c. $360 b. $240 d. $480 26. the deadweight loss resulting from a $6 per unit tax is equal to . a. $60 c. $120 b. $90 d. $240 27. when there is a positive externality, the free (unregulated) market results in a level of output that is than the socially efficient level because the private benefits are than the social benefits. a. higher; greater b. higher; less c. lower; greater d. lower; less 28. the coase theorem states that an efficient outcome will prevail through private bargaining if: a. property rights are clearly defined and transaction costs are sufficiently low. b. property rights are clearly defined and transaction costs are sufficiently high.
In free market equilibrium, consumer surplus is equal to the difference between the willingness to pay of consumers and the market price. Therefore, the answer is b. $120.
If the government imposes a $6 per unit tax in this market, the total tax revenue collected will depend on the quantity of units sold. The tax revenue collected will be equal to the tax per unit multiplied by the quantity of units sold.
Therefore, the answer is b. $240.
The deadweight loss resulting from a $6 per unit tax represents the reduction in consumer and producer surplus that occurs as a result of the tax. This is because the tax increases the price of the product and reduces the quantity sold, leading to a reduction in total surplus.
The deadweight loss resulting from a $6 per unit tax is equal to the triangle between the new quantity demanded, the original quantity demanded, and the new supply curve.
The Coase theorem states that an efficient outcome will prevail through private bargaining if property rights are clearly defined and transaction costs are sufficiently low.
This means that if individuals are able to negotiate and come to an agreement over the allocation of resources, without any external intervention, they will reach an efficient outcome.
This is because they will be able to take into account the costs and benefits of their actions, and will have an incentive to reach an agreement that maximizes total surplus.
Therefore, the answer is a. property rights are clearly defined and transaction costs are sufficiently low. Therefore the correct answer is B.
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I need this answer guys PLEASE.
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Demand-pull inflation occurs when
the price of goods rises suddenly and extremely fast.
consumers begin purchasing more goods.
producers need more money to make and distribute goods.
the government prints more money and pushes prices up.
Answer:
The production and transport of good and service are high and rises than the demand pull inflation occurs. It may be profitable for any business. Demand pull inflation need cost more but more than that they get profit
Les Stoker, a broker who practices nonexclusive single agency, has a client who is determined to buy one of Stoker's in-house listings. Stoker explained the situation to the client, who agreed to go ahead with the transaction as an unrepresented customer. At lunch, the buyer talked with Stoker about the challenges his family business was having and his wife's upcoming legal case. This information indicated to Stoker that the customer was in a weaker negotiating position than he thought. Because Stoker obtained this information after terminating the agency with the buyer, can he share it with the seller
Answer: No.
Explanation:
Even though Stoker obtained this information after terminating the agency with the buyer, he cannot share it with the seller as in this case, it seems that the full effect of the changed relationship isn't understood by the buyer-customer.
It's essential for the broker to make sure that certain the former client understands the meaning of the situation at hand.
When price of a product increases, what does the law of supply state will happen to quantity supplied?
According to the law of supply, manufacturers will increase their supply to the market if the price is higher.
What occurs to supply when a product's price goes up?According to the law of supply, there is an direct correlation between price and the amount delivered. In other terms, when the price rises, the amount supplied rises as well. The quantity of a product supplied, or the amount proprietors and producers offer for sale, is said to rise as the market price increases and decrease as the prices fall according to the law of supply. In contrast, the demand law (see demand) states that when a good's price increases, less of it is sought and vice versa.
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119) The disclosure that shows the difference in the cost of inventory between LIFO and FIFO is referred to as the:
A) FIFO adjustment.
B) Inventory allowance.
C) LIFO reserve.
D) Net realizable value. ,
The disclosure that shows the difference in the cost of inventory between LIFO and FIFO is referred to as the: C) LIFO reserve.
LIFO reserve, also known as LIFO allowance or LIFO adjustment, represents the difference in inventory valuation when using the LIFO method compared to the FIFO method. The purpose of disclosing the LIFO reserve is to enable financial statement users to compare companies that use different inventory costing methods, as well as to understand the potential tax and cash flow implications of using the LIFO method.
In LIFO, the most recent inventory items are assumed to be sold first, which can result in higher cost of goods sold (COGS) and lower reported net income during periods of rising inventory costs. Conversely, FIFO assumes that the oldest inventory items are sold first, leading to a lower COGS and higher net income in the same scenario.
Disclosing the LIFO reserve allows users to estimate the impact of the inventory costing method on a company's financial performance and make more informed decisions when analyzing and comparing companies.
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If a tax is levied on the sellers of a product, then there will be a(n)
a. downward shift of the demand curve.
b. upward shift of the demand curve.
c. decrease in quantity demanded.
d. increase in quantity demanded.
If a tax is levied on the sellers of a product, then there will be an decrease in quantity demanded.
Why is Tax imposed?
Governments levy taxes to fund public services and infrastructure such as roads, healthcare, and education. It also contributes to the maintenance of a more equitable distribution of wealth among citizens. Taxation is also used to fund social programmes like welfare, as well as to reduce inequality and poverty.
Why is Education Important?
Education is important because it provides people with the knowledge, skills, and confidence they need to contribute positively to society. It can also provide people with career and economic opportunities, allowing them to provide for themselves and their families. Education also fosters critical thinking, problem-solving, and communication skills, which are all necessary in today's workforce. Finally, education can give people a sense of purpose by helping them understand and appreciate their surroundings.
Therefore the option C.decrease in quantity demanded. is the correct answer.
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why do people care about their social status?
Answer:
because they could be very popular
Explanation:
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What is the difference between profit and revenue?
O Revenue is the total amount producers receive after selling a good. Profit is the total amount producers earn after subtracting the production costs.
O Revenue is the total amount producers earn after subtracting the production costs. Profit is the total amount producers receive after selling a good.
O Revenue is the total amount producers pay to manufacture a good. Profit is the total amount producers earn after subtracting the production costs.
O Revenue is the total amount producers pay to manufacture a good. Profit is the total amount producers receive after selling a good.
Answer:
Revenue is the total amount producers receive after selling a good. Profit is the total amount producers earn after subtracting the production costs.
Explanation:
The difference between profit and revenue is that revenue refers to the total amount of money a company earns from its sales or services, while profit is the amount of money that is left over after deducting all the costs associated with producing and selling those goods or services. The correct option is A.
What is revenue?According to the definition, revenue is the overall sum of money obtained through conducting commercial activities like sales. Sales is another name for it on the income statement. Since it appears first on any company's income statement, it is known as the top-line figure.
In other words, revenue is the overall sum of money a firm makes from its operations, and profit is the money a business actually takes in as a result of those operations.
Thus, the ideal selection is option A.
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confab has given its foreign subsidiaries the latitude to make decisions as appropriate in their regions of the world. confab would best be characterized as group of answer choices a global enterprise. a multidomestic corporation. an international corporation. a transnational corporation.
Confab is most appropriately referred to as a multidomestic business.
A multidomestic corporation: what is it?The term "multidomestic" describes a group of strategies used by companies that run operations concurrently in several different countries. As their operations grow into overseas markets, smaller businesses will naturally behave differently than their larger rivals, with many of them choosing a multidomestic strategy. The best illustration of a multidomestic strategy is a corporation that uses a different approach in each of the markets it competes in.
If a business can provide a good or service that no one else is providing, it will have a great chance of succeeding. A multidomestic company carefully chooses and concentrates on its markets in order to maximise the impact of competitive advantage.
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Which of the following characteristics is not included in a successful strategy?
Select one:
a. The means or the forms should allow achievements. Objectives should be the "ends" and strategies should be "the means" that reach them (effectiveness).
b. Strategies should be able to be executed in a reasonable time in the medium term (> 6 months) or long term (> 1 years).
c. Strategies should guide the achievement of objectives with the least amount of resources, and in the shortest possible time (efficiency).
d. Strategies should be in line and be consistent with the values, principles and culture of the company.
c. Strategies should guide the achievement of objectives with the least amount of resources, and in the shortest possible time (efficiency).
Efficiency is an important characteristic of a successful strategy. However, it is not the only characteristic. A successful strategy should also consider effectiveness (achieving the desired objectives), feasibility (being realistic and achievable), and alignment with the company's values, principles, and culture. Therefore, option c is not the only characteristic included in a successful strategy. These include aligning strategies with objectives and values, ensuring feasibility and execution within a reasonable timeframe, and maintaining consistency with the company's culture.
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Since the mid-20th century, globalization has resulted in:
A. a decline in trade between countries on different continents.
B. rapid inflation that has devastated most world economies.
C. economies around the world becoming more connected.
D. significant improvements to the environment in most countries.
Answer:
C. economies around the world becoming more connected.
Explanation:
Globalization refers to the growing interactions between different countries. It results from the easy movement of people, ideas, technology, goods, and services across the world. Improvement in transport infrastructure, technology, and interdependence of people has accelerated globalization.
Globalization has made regions and countries more integrated. Easy movement of goods and services has increased trade and competition, making economies more dependent and connected to each other.
Answer: C. Economies around the world becoming more connected.
Explanation: Ap3x
Opportunity cost is the benefit of the next best alternative which is not selected because of the best alternative. Trade-off is a decision based on a situation where one has to let other alternatives go to select one alternative.
Opportunity cost is the expense of giving up the next best option as a result of making a choice.
What is opportunity cost next best alternative?Opportunity cost offers a framework for choosing the best course of action, especially when dealing with scarce resources like money and time. The worth of what you forgo while deciding among two or more possibilities is known as opportunity cost.
Scarcity has an impact on opportunity cost. People must make trade-offs while using their limited resources because of scarcity. Every time we do anything, we have to give up doing something else that would be more desired due to scarcity. Every action we take has an opportunity cost, which is measured by the most valuable option that is forgone.
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Richard’s annual college expenses are expected to total $17,745. He will receive $5,320 in grants. How much will Richard need to contribute to his annual college expenses?
$11,425
$11,465
$12,425
$12,465
Answer:
$12,425
Explanation:
Richard we will contribute the difference between the expected annual expenses and the grant.
Expected expenses = $17,745
Grants, $5,320
Richard Contribution :
=$17,745 - $5,320
=$12,425
Answer:
the answer is C. 12,425
Explanation:
Successful differentiation allows a firm to Multiple Choice attract many more buyers by charging a lower price than rivals and thereby take sales and market share away from rivals. command a premium price for its product and/or increase unit sales (because additional buyers are won over by the differentiating features). gain buyer loyalty to its brand (because some buyers are strongly attracted to the differentiating features and bond with the company and its products); and command a premium price for its product and/or increase unit sales (because additional buyers are won over by the differentiating features). gain buyer loyalty to its brand (because some buyers are strongly attracted to the differentiating features and bond with the company and its products). increase unit sales (because additional buyers are won over by the differentiating features) and lower incremental input costs.
Answer:
command a premium price for its product, and/or increase unit sales, and/or gain buyer loyalty to its brand.
Explanation:
Successful differentiation allows a firm to attract many more buyers by charging a lower price than rivals and thereby take sales and market share away from rivals, command a premium price for its product and/or increase unit sale, and gain buyer loyalty to its brand.
When a product or service offers unique and appealing features, some buyers become strongly attracted to it, forming a bond with the company and its products. This loyalty translates into repeat purchases and a decreased likelihood of switching to a competitor's offering.
Additionally, successful differentiation can increase unit sales by winning over additional buyers who are enticed by the distinctive features of the product. This expanded customer base contributes to higher sales volumes and improved market performance.
Lastly, differentiation can lead to lower incremental input costs. When a company stands out from its competitors, it may enjoy economies of scale, bargaining power with suppliers, or other cost advantages that result in reduced production costs. This can further enhance profitability and competitiveness.
In summary, successful differentiation allows a firm to attract more buyers, command a premium price, gain buyer loyalty, increase unit sales, and potentially lower incremental input costs.
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the result of adding additional assets to a portfolio, when the returns of the individual assets are non-correlated.
The result of adding additional assets to a portfolio is when the returns of the individual assets are non-correlated. to risk premium.
An economic entity or a business can own or control any resource as an assets. It is anything that has the potential to generate gains in terms of the economy. Assets are ownership value that can be exchanged for cash. A portfolio is an assortment of financial investments such as stocks, bonds, commodities, cash, and cash equivalents, including closed-end funds and exchange-traded funds. Most people think that the three main components of a portfolio are stocks, bonds, and cash. Intangible assets like patents, royalties, and other intellectual property are included in the category of assets along with tangible items like machinery, real estate, raw materials, and inventory. The name of the thing itself is derived from the Italian for a case meant for carrying loose papers.
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what are the benefits associated with free trade and globalization?
Answer:
It drives economic growth, enhanced efficiency, increased innovation, and the greater fairness that accompanies a rules-based system.
1. What is the attitude banks have toward being required to become members of the Federal Reserve System?
Answer:
The attitude banks have toward being required to become members of the Federal Reserve System is explained below in details.
Explanation:
Any country chartered bank (mutual or stock-formed) may enhance a segment of the Federal Reserve System. The twelve geographical Reserve Banks conduct state affiliate banks as members of the Federal Reserve System's commission to guarantee strength and endurance in the nation's indigenous businesses and banking system.
100 point question + brainliest
Mike Oxmore has 69 apples, Moe Lester has 420, what is the mass of the sun?
Answer:
The mass of the sun is - 1.989 x 10 30 kilograms
Also, 69 + 420= 489
Explanation:
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