The finance lease arrangement allows Sandhill to benefit from the use of the machine while spreading the cost over the lease period,
Who is the lessor in this lease agreement?Sandhill Company has entered into a finance lease agreement with Vollmer Corp. The lease spans a duration of six years and is considered a finance lease for Sandhill.
As per the terms of the agreement, Sandhill is obligated to make a payment of $166,000 at the commencement of the lease. This upfront payment signifies Sandhill's commitment to utilize the leased machine for the specified lease term.
The finance lease arrangement allows Sandhill to benefit from the use of the machine while spreading the cost over the lease period, enabling them to manage their financial resources effectively.
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financial statement analysis involves forms of comparison including:
Financial statement analysis involves various forms of comparison including horizontal analysis, vertical analysis, ratio analysis, and trend analysis. These comparisons help to interpret the data presented in financial statements and evaluate the performance of a company.
Let's discuss these forms of comparison briefly::1. Horizontal analysis: This type of analysis is also known as trend analysis and it is a comparison of financial information of a company over multiple accounting periods. It compares a company's financial statements with previous years to track changes over time.2. Vertical analysis: This type of analysis is also called common-size analysis, which compares the financial statements of a company's line items and identifies the percentage that each item represents in the financial statement. It helps to evaluate the company's financial statements in terms of its operations and capital structure.3.
Ratio analysis: It compares financial data to evaluate the performance of a company and provides meaningful insights into a company's liquidity, profitability, efficiency, and solvency. It compares key ratios such as return on investment, debt to equity ratio, current ratio, etc.4. Trend analysis: Trend analysis is the examination of business data over time to identify any consistent results or trends. It helps to identify patterns and compare trends over time. By analyzing financial statements, trend analysis can help businesses identify areas for improvement or potential problems.The main answer to the question is that financial statement analysis involves forms of comparison including horizontal analysis, vertical analysis, ratio analysis, and trend analysis. These comparisons help to interpret the data presented in financial statements and evaluate the performance of a company.
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What is an advantage of radio advertising? It offers an excellent combination of reach and frequency. It is free from the problem of advertising clutter. It provides scope for unlimited creativity. It is a cost-effective method to reach all markets. It benefits from being long-lived and widely remembered.
Answer:
It offers an excellent combination of reach and frequency
Explanation:
The question basically seeks to extract the advantage of radio advertising in contemporary time. It must be noted that there are varying forms of advertisements, with one edging the other by one feature or the other.
The feature that ultimately stands radio advertising is the ubiquitous nature of its distribution. Simply put, it offers an excellent combination of reach and frequency. The implication of this is that the messages and information being passed out from this medium commands a far reach, attention and feedback from the larger audience.
While other listed options could be relevant, it must be stated that option A is the feature that categorically set radio advertisements apart from others.
Navel County Choppers, Inc., is experiencing rapid growth. The company expects dividends to grow at 19 percent per year for the next 8 years before leveling off at 5 percent into perpetuity. The required return on the company’s stock is 10 percent. If the dividend per share just paid was $1.52, what is the stock price?
Answer:
Price of stock = $74.636
Explanation:
The Dividend Valuation Model is a technique used to value the worth of an asset. According to this model, the worth of an asset is the sum of the present values of its future cash flows discounted at the required rate of return.
The price of the stock will the sum of the present value of the growing annuity and the growing perpetuity
Present value of dividend from year 1 to 8
The PV of the growing annuity = A/r-g) ( 1- (1+g)/(1+r)^n )
A- dividend payable now , r- required of return, g-growth rate, number of years
PV = 1.52×(1.19)/(0.1-0.19) × (1 -(1.19/1.1)^8)= 17.605
PV of Dividend from year 9 and beyond:
P = D× g/(r-g)
This will be done in two steps:
Step 1: PV(in year 8)of dividend = (1.52× 1.19^8× 1.05)/(0.1-0.05)= 122.250
Step 2 : PV in year 0 = 122.25× 1.1^(-8)= 57.030
Price of stock = 17.60 + 57.030= 74.63
Price of stock = $74.636
Harvey Automobiles uses a standard part in the manufacture of several of its trucks. The cost of producing parts is , which includes fixed costs of and variable costs of . The company can buy the part from an outside supplier for per unit, and avoid 30% of the fixed costs. Assume that factory space freed up by purchasing the part from an outside source can be used to manufacture another product that can be sold for $ profit. If Harvey Automobiles makes the part, what will its operating income be?
Answer:
$26000 greater than if the company bought the part
Explanation:
The computation of the operating income in case of the making part is shown below:
In making 40,000 parts
The relevant cost is $60,000
In the case when the product is buyed from outsider
Purchase costs ($3 × 40,000) $120,000
Less - avoidable fixed cost ($70,000 × 30%) ($21,000
Less; profit from the sale of another product ($13,000 )
Relevant cost to buy $86,000
Now the difference of cost is
= $86,000 - $60,000
= $26,000
What is an accurate definition of an interest?
something a person likes to do for fun
a way of living that shows the beliefs and opinions of a person or group of people
a priority, principle, or belief that guides a person’s life
a subject a person enjoys learning about, and would like to learn more about
Answer:
a subject a person enjoys learning about, and would like to learn more about
Explanation:
Something of Interest is anythings that draws a person's attention. It is something that evokes emotions, desires, concerns, and curiosity. A person interested in something or someone will invest time and resources to learn them more, understand, and spend time with them.
Interest is a feeling of getting attracted or being drawn towards a particular subject or person. For example, her interests are in math and sciences.
Answer:
D
Explanation:
plz give me brainliest
edge2020
Alltech Company maintains a separate accounts receivable account for each customer. On June 18, Alltech provides $6,300 of services on account to customer Anthony and $1,200 of services on account to customer Walker. How will these two transactions affect the control and subsidiary accounts?
Answer:
B. The control account, Accounts Receivable, will be increased with a debit of $8 300
Explanation:
According to the given situation, in total, the Alltech company makes sales of 2, one for $6,300, and the other for $2,000. The total of sales will be computed by adding both sales that are $6,300 + $2,000 = $8300 will therefore be booked and control and receivables will be boosted with a debit of $8,300.
Therefore, the correct answer is B.
In 2008, Cameron began his career with SBC. His starting salary was $32,000. By 2012, his salary increased to $35,000. If the CPI was 100.0 in 2008 and 107.5 in 2012, Cameron's 2012 real income is Question 40 options: $32,000.
Based on the CPI in 2008 and 2012, Cameron's 2012 real income is $34,400.
What is real income?The real income is the inflation-adjusted income. It is not the same as the nominal income.
For instance, Cameron's nominal income in 2012 is $35,000, but the inflation-adjusted (CPI) real income should be $34,400 based on his starting salary of $32,000 in 2008.
Data and Calculations:Starting salary in 2008 = $32,000
Salary in 2012 = $35,000
Consumer Price Index (CPI) in 2008 = 100.0
Consumer Price Index (CPI) in 2012 = 107.5
CPI adjusted salary in 2012 should be (real income) = $34,400 ($32,000 x 107.5/100.0)
Thus, based on the CPI in 2008 and 2012, Cameron's 2012 real income is $34,400.
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attachment gives the creditor an enforceable security interest in the collateral.T/F
True. Attachment is a legal process that establishes a creditor's enforceable security interest in the collateral. A creditor is a person or entity to whom a debtor owes money or services. The security interest represents the creditor's claim to the collateral, which is the property pledged by the debtor to secure repayment of the debt.
When attachment occurs, it provides the creditor with a priority claim over the collateral in case the debtor defaults on their obligations. This priority claim allows the creditor to recover the debt by selling the collateral or applying its value to satisfy the outstanding balance, including any interest accrued. Interest refers to the additional amount charged by the creditor as compensation for lending money, typically expressed as a percentage of the principal amount. Attachment is crucial for creditors because it grants them an enforceable security interest in the collateral, ensuring their priority claim in case of debtor default. This process protects creditors by providing a means to recover their investment, including the principal amount and any accrued interest.
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Which of the following increases liabilities but not assets? a. Taking out a loan to buy a new car b. Taking out a loan to go on vacation c. Using a credit card to buy a computer d. Paying off a student loan Please select the best answer from the choices provided A B C D
Answer:
Taking out a loan to go on vacation
Explanation:
Liabilities are money owed to other people. They include debts, loans, or other obligations that a person or business is expected to pay. Taking up loans increases liabilities. A loan to expand a business either by increasing inventory or equipment add to both assets liabilities.
A vacation is not an asset. A loan to finance a vacation will only add to liabilities. Paying off a student loan reduces liabilities. Any debt to purchase a car or a computer increases assets and liabilities since the two are assets.
Answer:
taking out a loan on vacation
Explanation:
Hahn Engineering is planning on bidding on a job and often competes against a major competitor, Sweigart and Associates (S&A), as well as other firms. Historically, S&A has bid for the same jobs 80% of the time; thus the probability that S&A will bid on this job is 0.80. If S&A bids on a job, the probability that Hahn Engineering will win it is 0.30. If S&A does not bid on a job, the probability that Hahn will win the bid is 0.60. (a) Find the probability that Hahn Engineering will win the bid. (b) If they do, what is the probability that S&A did bid on it. Please use Excel to solve
The probability that Hahn Engineering will win the bid, given that Sweigart and Associates (S&A) bid on it is as follows:0.30, as per the given statementTherefore, Hahn Engineering will win the bid if S&A bids on it.
1-The probability that Hahn will win the bid if S&A does not bid on it is given as 0.60.The probability that S&A will bid on the job is given as 0.80.
2-Therefore, the probability that S&A will not bid on the job is 1 - 0.80 = 0.20.Hence, the probability that Hahn Engineering will win the bid is calculated by using the law of total probability.
3-It can be given as follows:P (Hahn will win the bid) = P (Hahn will win the bid | S&A bid on the job) × P (S&A bid on the job) + P (Hahn will win the bid | S&A did not bid on the job) × P (S&A did not bid on the job)Now, substituting the values in the above formula:P (Hahn will win the bid) = 0.30 × 0.80 + 0.60 × 0.20P (Hahn will win the bid) = 0.24 + 0.12P (Hahn will win the bid) = 0.36
4-Therefore, the probability that Hahn Engineering will win the bid is 0.36.(b)The probability that S&A bid on the job, given that Hahn Engineering will win the bid can be calculated using Bayes' theorem.
5-The formula for Bayes' theorem is as follows:P (A|B) = P (B|A) × P (A) / P (B)Here, the probability that S&A bid on the job given that Hahn Engineering won the bid is P (S&A bid on the job | Hahn Engineering will win the bid).
6-The probability that Hahn Engineering will win the bid is 0.36. The probability that S&A bid on the job is 0.80 × 0.36 = 0.288.
7-Therefore, the probability that S&A did not bid on the job is 0.64. Also, the probability that Hahn Engineering will win the bid given that S&A did not bid on the job is 0.60.
8-Now, substituting these values in the above Bayes' formula, we get:P (S&A bid on the job | Hahn Engineering will win the bid) = 0.30 × 0.80 / 0.36P (S&A bid on the job | Hahn Engineering will win the bid) = 0.67
Therefore, the probability that S&A did bid on the job given that Hahn Engineering will win the bid is 0.67.
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To file your federal and state taxes you ____________?
a)must prepare different forms for each type of government (if your state requires it)
b)can use tax preparation software for federal taxes, but can't for state taxes
c)must prepare the same tax forms for both
d)can use tax preparation software for state taxes, but can't for federal taxes
Answer:
a)must prepare different forms for each type of government (if your state requires it)
Explanation:
Federal is the same for everyone, state is dependent for which state you live and work in. B and C are wrong because you can use tax preparation software for both Federal and state.
To file your federal and state taxes you should: a. prepare different forms for each type of government (if your state requires it)
Recall:
Preparing of tax returns for federal and states is done using different forms as it applies to your state.There are tax preparation software that can be used whether federal or state tax. Examples of tax preparation software are Credit Karma Tax, Jackson Hewitt, TaxSlayer, among others.Therefore, to file your federal and state taxes you should: a. prepare different forms for each type of government (if your state requires it)
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steps in the decision-making process.
There are
a. 5
b. 7
C. 6
d. 4
Please select the best answer from the choices provided
A
B
C
D
Answer:
B
Explanation:
Answer:
B
Explanation:
Trust.
What is true about contemporary Indian Economy
Answer:
There is a great scope for its growth in the future.
Hope this helps.
. A quadratic polynomial whose one zero is 6 and the sum of the zeroes is 0, is x*2-6
True
False
pls tell fast
Answer:
False
Explanation:
From the question, we can see that a quadratic polynomial is made up of two elements or variables called zeros in this question
From the question, we are told that one variable (zero) = 6
The second variable (zero) = unknown , therefore we can represent the second variable as Y
We are told that the sum of the variables = 0
This means:
6 + Y = 0
Therefore, Y = 0 - 6
Y = -6.
The second variable ( zero) = - 6
Since it is a quadratic polynomial,
The roots of the polynomials are the variables 6 and -6
Hence, we have:
(x + 6) (x - 6) = 0
Expanding the brackets
x² - 6x + 6x - 36 = 0
= x² - 36 = 0
Therefore, a quadratic polynomial whose one zero is 6 and sum of the zero is 0 is x² - 36 = 0
This means the statement made in the question above "A quadratic polynomial whose one zero is 6 and sum of the zero is 0 is x²-6" is false
Enterprises that provide goods or services to, or receive them from my training institution or organization
Answer:
Enterprise is another word for a for-profit business or company, but it is most often associated with entrepreneurial ventures. People who have entrepreneurial success are often referred to as “enterprising.” There are many forms of legal enterprises, with the most common in the U.S.
Robert wants to consolidate his credit card debts into one loan using the equity in his home. His house bas a market value of $210,000, and he has an outstanding mortgage loan balance of $160,000. How much can Robert borrow if the bank is willing to loan him 50 percent of the equity in his home?
please help
Robert borrows if the bank is willing to loan him 50 percent of the equity in his home is 25,000.
What is a credit card?A credit card is said to be a type of plastic money that allows an individual to purchase goods on credit and pay back the amount later on some specified rate of interest being charged on it.
An outstanding mortgage loan is referred to as the amount which needs to be paid on the principal amount that is received on the loan for the asset given as a mortgage loan.
In order to calculate the borrowing amount
Take the value of the home = $210,000
Subtract the outstanding balance = 160,000
The reaming balance will be = 50,000
The bank offered 50% of 50,000 = 25,000. So the amount can be borrowed as $25,000.
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A is formed when member countries of an economic and monetary union work closely with one another to arrive at common defense and foreign policies and behave as a single country. customs union free trade union common union political union Implementation of a multitude of economic and/or political steps by member states to increase their global competitiveness, including preferential trade access refers to international business economic geography regional integration decoupling
In Q1 option is D.political union is correct option, in Q2 option is C, regional integration is correct option.
This process involves the removal of barriers to trade and the harmonization of policies and regulations among the participating countries.
When member countries of an economic and monetary union work closely together to arrive at common defense and foreign policies and behave as a single country forms a political union. This type of union involves a high degree of cooperation and integration among the member countries, with the aim of pooling resources and decision-making power for the collective benefit.
The implementation of a multitude of economic and/or political steps by member states to increase their global competitiveness, including preferential trade access, is referred to as regional integration. This process involves the removal of barriers to trade and the harmonization of policies and regulations among the participating countries.
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Given question is incomplete. Hence, the complete question is :
Q1. A is formed when member countries of an economic and monetary union work closely with one another to arrive at common defense and foreign policies and behave as a single country.
A.customs union B.free trade union C. common union D. political union
Q2. Implementation of a multitude of economic and/or political steps by member states to increase their global competitiveness, including preferential trade access refers to
A. international business B. economic geography C. regional integration D. decoupling
Shares of wilford industries are currently trading at 38 and the following option quotes are for 3-month options. what is the breakeven stock price and maximum?
The breakeven stock price in options trading refers to the stock price at which an investor neither gains nor loses money. To calculate the breakeven stock price, we need to consider the strike price of the options and any premiums paid.
In this case, the question mentions that the shares of Wilford Industries are currently trading at $38, and we have option quotes for 3-month options. However, the specific strike price and option type (call or put) are not provided, so we cannot calculate the breakeven stock price without that information.
Similarly, the question asks for the maximum without specifying whether it refers to the maximum profit or maximum loss. To determine the maximum profit or maximum loss, we would need additional details such as the strike price and the premiums associated with the options.
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What is the present value of the following set of cash flows, discounted at 15%
per year?
Year 1 2 3 4
CF 100 −$100 $200 −$200
Present value factor of 15% for years 1 to 4 are multiplied by the respective cash flows for those year and adding them up to arrive at the net present value
Pv factor = 1/(1+r)∧n
Where
r = rate of interest = 15%
n = period = 1 to 4
Present Value
=$100 × pv factor of year 1-$100 pv factor of year 2+ $200 × pv factor of year 3- $200 × pv factor of year 4.
= $100 ×0.8696-$100 ×0.7561+$200 ×0.6575-$200 ×0.5717
= $86.96-$75.61-$131.5 -$114.34
$28.51
The movement of cash into and out of a business is referred to as cash flow. Cash received represents inflows, while cash spent represents outflows. The cash flow statement was a financial statement that details a company's cash sources and expenditures over time. Cash flows from operations, investing, as well as financing are common categories for a company's cash flow.
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When a corporation repurchases its bonds from the bondholders, the corporation the bonds.
These bonds are called retired bonds. The bonds are referred to be retired bonds when a corporation repurchases them from the bondholders. They are called so because they have been repurchased from the investors.
- More about retired bonds :
- Repurchasing previously issued bonds from investors is referred to as retired bonds. At the time of the instruments' scheduled maturity, the issuer retires the bonds. Another method of retirement is for the issuer to repurchase the bonds sooner if the bonds are callable.
- In the case of bonds, it means that the corporation is effectively returning the principal to the investors who purchased loans from them and discharging its debt obligations. Retired securities are those that have undergone this type of purchase back.
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- The complete question is :
When a corporation repurchases its bonds from the bondholders, the bonds are called ____ bonds.
all of the following are primary sources of long-term debt financing for companies, except _____.
Payments to be made. The capital structure of a company refers to: Its combination of stockholders' equity and liabilities.
What is a source of debt financing?
Obtaining bank loans, issuing bonds, or issuing commercial paper are all common forms of debt financing. capital. long-term funds Common Debt Financing Methods Financial institutions like commercial banks, savings associations, and finance companies attempt to provide financing to businesses.
What are the four options for long-term funding?
The primary sources of long-term finances for businesses are the capital market, special financial institutions, banks, non-banking financial companies, retained earnings, as well as foreign investment and external borrowings.
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According to the video, what are some things Manufacturing workers can do to move up to supervisory and management positions? Check all that apply.
operating machinery
avoiding repetitive work
demonstrating knowledge
coming up with a better way to mass-produce a product
going to college
keeping machinery clean
Answer:
demonstrating knowledge
coming up with a better way to mass-produce a product
going to college
Explanation:
I got it wrong these are correct:(
The answers are /C, D, E/
/3, 4, 5/
"demonstrating knowledge",
"coming up with a better way to mass-produce a
product",
"going to college"
I want to give more credit to the other person for answering first, though
You're Welcome.
How to transfer money from apple pay to bank instantly?
To transfer money from Apple Pay to a bank account instantly, you need to follow some simple steps.
First, open the Apple Pay app on your iPhone or iPad and locate the wallet app. Then, select the card you want to transfer funds from and tap on the "i" icon. Next, choose the "Transfer to Bank" option and enter the amount you wish to transfer. At this point, you'll need to input your bank account details, including the account number and routing number. Once you've entered the required information, select "Next" to verify the details.
If everything is correct, tap "Transfer" to complete the transaction. It's worth noting that some banks may take longer to process the transfer, but most transactions will be completed within a few hours. If you're unsure about the status of your transfer, check with your bank to confirm when the funds will be available in your account.
Overall, transferring money from Apple Pay to your bank account is a straightforward process that can be completed quickly and easily. Just be sure to double-check all of your information before submitting the transfer to ensure that everything goes smoothly.
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using a combination of electronic and traditional intermediaries to make products and services available for consumption or use by consumers or organizational buyers is referred to as
Using a combination of electronic and traditional intermediaries to make products and services available for consumption or use by consumers or organizational buyers is referred to as "multichannel distribution" or "omnichannel distribution."
This approach involves leveraging various channels such as physical stores, websites, mobile apps, and other electronic platforms to reach and engage customers. By employing both electronic and traditional intermediaries, businesses can provide customers with multiple options and seamless experiences across different channels, allowing them to choose the most convenient and preferred method of accessing and purchasing products or services. The goal is to create a cohesive and integrated distribution strategy that maximizes reach and customer satisfaction.
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True/False: the concept of at-will employment is a relatively new concept, created in the 1950's.
False, The concept of at-will employment is not a new concept. It has its roots in English common law,
which recognized the right of either party to terminate an employment relationship at any time for any reason, or for no reason at all. This principle was carried over to the United States, and by the early 20th century,
courts in most states had recognized the at-will employment doctrine. The term "at-will" was coined in the 1950s by legal scholars to describe this long-standing legal principle.
At-will employment means that either the employer or the employee can terminate the employment relationship at any time, for any reason, or for no reason at all, without notice or cause.
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Barbara has $70.00 in her pocket and a $20 gift card. Which purchase will she be able to make without having to use her credit card?
A a portable radio for $65.95 and speakers for $29.99
B five books for $18.95 each
C headphones for $25.99 and eight CDs for 8.99 each
D six puzzles for $11.99 each and a board game for $15.89
edeg 2022
The answer is: six puzzles for $11.99 each and a board game for $15.89
The amount of money that Barbara has: $ 70.00
The amount of Gift Card that barbara has: $ 20.00
This mean that maximum amount of product that Barbara could purchase: $ 70 + $ 20 = $ 90
From the option above the only purchase that is not surpassing $ 90 is six puzzles for $11.99 each and a board game for $15.89
6 x $ 11. 99 = $ 71.94
1 x $ 15.89 = $. 15.89
Total purchase = $ 87.83
Why would banks offer higher interest rates for savings and checking accounts?
A. to encourage people to spend money in the economy
B. to discourage people to spend money in the economy
C. to encourage people to put money in saving and checking accounts
D. to discourage people to put money in saving and checking accounts
Answer:
C) To encourage people to put money in savings and checking accounts
Explanation:
Which of the following best explains the purpose of a supply schedule?
O A. To demonstrate how the supply decreases as price increases.
B. To calculate how much time it takes for distribution.
C. To show the relationship between quantity supplied and prices.
O D. To indicate how supply and demand relate to price.
Answer:
C. To show the relationship between quantity supplied and prices.
Explanation:
A supply schedule is a tabular demonstration of the quantity that suppliers will be willing to sell at different prices. It is a table showing the relationship between supply and price.
According to the law of supply, the supply increases as the price goes up. Therefore, the supply schedule is a tabular illustration of the law of supply.
Answer:
it is c
Explanation:
because it does mean To show relationship between quantity supplied
and prices.
other things equal, a decrease in the real interest rate will: group of answer choices shift the investment demand curve to the left. move the economy downward along its existing investment demand curve. shift the investment demand curve to the right. move the economy upward along its existing investment demand curve.
The correct answer is B) move the economy downward along its existing investment demand curve. In other words, as the real interest rate decreases, the substitution impact, which increases consumption, is greater than the income effect, which lowers interest income.
What will happen as the actual interest rate drops?
In all other respects, a decline in the real interest rate will lead to more investment and a rightward shift in the AD curve. The AD curve will move to the left by a multiple of the change in investment if investment declines.
The IS curve slopes downward. The demand for investments grows as the interest rate decreases, and this increase has a multiplier impact on consumption, increasing national income and output.
Lower investment expenses result from a fall in the real interest rate. The investment will rise as a result. A larger investment expenditure will increase the economy's overall expenditures, other things being equal.
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AMAZON - How did Jeff Bezos use affiliate marketing to kickstart growth at Amazon? *
Jeff Bezos used affiliate marketing to kickstart growth at Amazon by partnering with other websites to promote and sell Amazon products. This strategy helped Amazon reach a wider audience and drive more sales.
Affiliate marketing is a performance-based marketing strategy where a company partners with other websites or individuals (affiliates) to promote their products or services. In Amazon's case, Bezos recognized the value of partnering with popular websites and blogs to drive traffic to Amazon's website and increase sales.
Through the Amazon Associates program, website owners and bloggers could earn a commission by promoting Amazon products and linking back to Amazon's website. This incentivized affiliates to promote Amazon's products and helped Amazon reach a wider audience.
By using affiliate marketing, Amazon was able to tap into the audience of other websites and blogs, which helped drive more sales and increase brand awareness. Today, Amazon is one of the largest e-commerce companies in the world, and its success can be partly attributed to Bezos' early adoption of affiliate marketing.
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