Italy and India are countries that trade with each other. If Italy has a comparative advantage in cell phones and India has a comparative advantage in hats​, which of the following is a correct statement about the effects of trade between these​ nations?
A. Italy will lose jobs in the cell phone industry.
B. Both countries are likely to be better​ off, and world production will increase.
C. There will be a net loss of employment in India.
D. Both countries will lose jobs through trade and be worse off.

Answers

Answer 1

Answer: Option B

Explanation: It would be better for both the countries to trade with each other. India will save its opportunity cost of producing cell phones and Italy will save it on production of hats. Also the employment will increase in both countries in the relative sector in which they have competitive advantage over the other.

Thus, from the above we can conclude that the correct option is B.

Answer 2

Final answer:

The correct statement is that both countries are likely to be better off, and world production will increase. This is because trade based on comparative advantage benefits both countries, encouraging them to specialize in goods where they have a comparative, not necessarily an absolute, advantage. The correct option is B. Both countries are likely to be better​ off, and world production will increase.

Explanation:

If Italy has a comparative advantage in cell phones and India has a comparative advantage in hats, the correct statement about the effects of trade between these nations is that both countries are likely to be better off, and world production will increase. This outcome aligns with the principle that trade based on comparative advantage can make everyone in both countries better off after trade. Additionally, it is understood that the higher price received for each country's comparative advantage good would lead each country to specialize in that good, necessitating labor to move from the comparative disadvantage industry into the comparative advantage industry.

In theory, although this specialization means that one industry goes out of business in each country, the model assumes full employment and costless mobility of labor, suggesting that all displaced workers will find new employment in the specialized industry. Furthermore, even if one country has an absolute advantage in all goods, it can still benefit from trading with another country, because gains from trade come from specializing in one's comparative advantage, not absolute advantage.


Related Questions

__________________encompasses all of the information contained within a single business process or unit of work and its primary purpose is to support daily operational tasks and repetitive decisions like analyzing daily sales reports and deciding how much inventory to carry.

Answers

Answer:

Transactional information.

Explanation:

For the valuing Organizational Information, there are three types of information:

-Transactional information.

Contained within a business process. Supports performing daily operations.

A strategic way to use IT to share information resources and improve both efficiency and effectiveness of business processes to help a business attain it´s strategic objectives.

Characteristics of information: Accuracy, completeness, consistency, uniqueness, timeliness.

Using the wrong information can lead to making the wrong decision. This can cost money, time, and even reputation.

-Analytical information.

Includes transactional information plus market and industry information.

-The value of timely information.

In real time, immediate, up to date. Within the decision makers time frame.

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Manufacturing overhead is underallocated if the amount:

a.estimated for the period is less than the actual amount incurred.
b.allocated during the period is greater than the actual amount incurred.
c.estimated for the period is greater than the actual amount incurred.
d. allocated during the period is less than the actual amount incurred.

Answers

Answer:

D allocated during the period is less than the actual amount incurred

Explanation:

Manufacturing overhead is under allocated if the amount allocated during the period is less than the actual amount incurred. The company is under deficit of capital which cause the company a loss. This loss may occur due to shortage of capital. Therefore option D allocated during the period is less than the actual amount incurred is correct.

Alexander, Inc., declared and distributed a 10 percent stock dividend on its 700,000 shares of outstanding $5 par value common stock when the stock was selling for $12 per share. The outstanding shares had originally been sold at $8 per share. The balance in retained earnings before the declaration of the stock dividend, but after the addition of the current year’s net income, was $995,000. Prepare the stockholders’ section of Alexander’s balance sheet to reflect these facts.
Common Stock ____________
Addt'nal paid-in capital-Common Stock ____________
________________________ ____________
Retained earnings ____________
Total stockholders' equity ____________

Answers

Answer:

Common Stock: 3,500,000 Additional paid-in capital-Common Stock: 2,100,000  Retained earnings: 995,000

Total stockholders' equity: 6,595,000

Explanation:

Common Stock: Values at the common stocks par value. (3,500,000 = 700,000 * 5) Additional paid-in capital-Common Stock: Difference between the paid price by stockholders and par value. The negations made after the issue of the stocks are not taken into account because they don´t include the company. (2,100,000 = 700,000 * 3) Retained earnings: As the dividend are declared after the end of the accountable year they are not taken into account. So the retained earnings final balance include the beginning balance plus the net income of the accountable period. (995,000) Total stockholders' equity: Addition of the previous items.

Final answer:

To prepare the stockholders' section of Alexander's balance sheet, calculate the common stock, additional paid-in capital, and total stockholders' equity.

Explanation:

Firstly, calculate the number of shares distributed as a stock dividend, which is 10% of 700,000, equaling 70,000 shares. The increase in common stock is the $5 par value times the new shares, equaling $350,000. The additional paid-in capital from common stock is the $7 difference between market price and par value times the new number of shares, which is $490,000.

The initial value of common stock was the $5 par value times the original number of shares (700,000), totaling $3,500,000. The additional paid-in capital was the $3 difference between the selling price and par value times the original number of shares, totaling $2,100,000.

To prepare the stockholders' section of Alexander's balance sheet, we need to calculate the additional paid-in capital and adjust the common stock and retained earnings accounts.

The common stock can be calculated by multiplying the number of shares outstanding by the par value per share: 700,000 shares * $5 par value = $3,500,000.The additional paid-in capital can be calculated by subtracting the common stock value from the total actual value of the stock dividend: ($12 market price - $8 original price) * 700,000 shares = $2,800,000.The total stockholders' equity is the sum of the common stock, additional paid-in capital, and retained earnings: $3,500,000 + $2,800,000 + $995,000 = $7,295,000.

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During normal economic​ times, when there is not​ "excessive" unemployment or​ inflation, discretionary fiscal policy
A. is not used due to legal restrictions on the ability of Congress to make policy.
B. is a way of effectively spurring economic growth.
C. is used frequently to effectively​ fine-tune the economy.
D. is probably not very effective due to lags and the uncertainty created by repeated tax policy changes.

Answers

Answer:

The correct answer is D. is probably not very effective due to lags and the uncertainty created by repeated tax policy changes.

Explanation:

Discretionary fiscal policies: are those that governments intentionally apply to influence public revenues or expenses. They have the advantage that they can act directly on the problems but the drawback is that they are usually slow in their application due to the political and institutional procedures required for their implementation. In addition, these policies take time to achieve the objectives and are not always done effectively.

In which level of linkage does a company’s strategic business planning function exist without any input from the HRM department?

a) One-way linkage
b) Executive linkage
c) Two-way linkage
d) Administrative linkage
e) Integrative linkage

Answers

Answer:

The correct answer is d) Administrative linkage

Explanation:

Business planning is one of the basic pillars on which the Business Plan is to be sustained: Commercial planning is a part of the strategic planning of the company, which aims to develop action programs to achieve the objectives of Company marketing .

For the objectives to be met, the company must organize all available means and establish the corresponding strategies.

Given the following information on a 30-year fixed-payment fully amortizing loan, determine the owner’s equity in the property after seven years if the market value of the property is $240,000 at the end of year 7: rate: 7%; monthly payment: $1,200.

Answers

Answer:

$75598,25

Explanation:

If a farmer sells 15 of his chickens, his stock of feed will last for 4 more days than planned, but if he buys 20 more chickens, he will run out of feed 3 days earlier than planned. If no chickens are sold or bought, the farmer will be exactly on schedule. How many chickens does the farmer have?

Answers

Answer:

300 chickens

Explanation:

Let number of chickens = x

Let number of scheduled days that the farmers stock will last = y

Story 1

Number of chicken=x-15

Number of days =y+4

(x-15)(y+4)=0

4x-15y-60=0

Story 2

Number of chickens =x+20

Number of days =y-3

(x+20)(y-3)=0

-3x+20y-60=0

Form (1) and (2)

4x-15=-3x+20

7x=35y

X=5y

Sub x= 5y into (1)

20y-15y-300=0

5y=300=x

4. The real interest rate equals ________. the inflation rate minus nominal interest rates nominal interest rates minus the inflation rate nominal interest rates plus the inflation rate the actual interest rate over the period of the investment

Answers

Answer:

The real interest rate equals nominal interest rates minus the inflation rate.

Explanation:

Interest rate simply refers to a proportion of the borrowed money that is charged to the borrower.

So, in an ideal situation with zero inflation, if a borrower gets $100 with a nominal interest rate of 10%, he should pay $10 in interests by the end of the period, so the lender will get his $100 back, plus $10, or 10% of the money borrowed. He ended up with a higher monetary value, having used a real interest rate of 10%.

[tex]Real Interest = NominalInterest-Inflation Rate\\Real Interest = 10percent-0\\Real Interest = 10percent[/tex]

Let's now say that the inflation rate is 10%. The borrower gets $100 with a nominal interest rate of 10% and an inflation rate of 10%. In this case, he should still pay $10 in interests by the end of the period. The lender will get his $100 back, plus $10 of interests, and even so, he will still end up with the same monetary value as before! He won't be able to buy any more things with $110 now than he was able to buy with $100 before, so his real return was 0%.

[tex]Real Interest = NominalInterest-Inflation Rate\\Real Interest = 10percent-10percent\\Real Interest =0[/tex]

This happens because when there is an inflation rate of 10%, the monetary value of $100 equals the monetary value of $110 at the end of the period, so you actually need more money to compensate.Now, let's say the nominal interest rate is 10%, with an inflation rate of 5%. The borrower would have to pay $10 in interests, so the lender gets his $100 back, plus $10. Since the value of $100 of before equals $105 in the present, and he got $110, he gained some monetary value, but how much? We determine his return with the real interest rate:

[tex]Real Interest = NominalInterest-Inflation Rate\\Real Interest = 10percent-5percent\\Real Interest =5percent[/tex]

Final answer:

The real interest rate is calculated by subtracting the inflation rate from the nominal interest rate. Changes in inflation or deflation can significantly impact the real interest rate, affecting loan repayment and the overall economy. In the U.S., nominal interest is taxed without adjusting for inflation, which can negatively impact the real gains from an investment.

Explanation:

The real interest rate equals the nominal interest rates minus the inflation rate. For example, if the nominal interest rate is 7% and the inflation rate is 3%, the real interest rate is 4%. If there is deflation, or a decrease in prices, of 2%, the real interest rate would actually be 9%, adjusting the nominal rate for the deflation. This can impact the repayment of loans and the overall economy if it leads to bank losses or declines in aggregate demand.

Further implications of interest rates are seen in the tax system where the U.S. taxes nominal interest without adjusting for inflation, impacting the real gain from an investment. In these instances, the real interest rate could even turn negative due to high inflation, leading to a negative gain in buying power despite a positive nominal interest. Thus, when dealing with interest rates, it's important to consider the underlying real interest rate after accounting for inflation.

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In his speech, George plans to convince his audience to buy a refillable water bottle instead of disposable water bottles. What is the general purpose of George’s speech?

Answers

Answer: Persuasion

Explanation: Persuasion can be define as the act of influencing someone or changing their mindset. In such case, the one persuading other must have his own mind set.

In the given case, George wants the audience to change their mindset of using plastic bottles as they are harmful for environment.

Thus, from the above we can conclude that the purpose of George behind his speech is persuasion.

There are several ways that governments can increase or decrease the money supply. Match the descriptions below with the corresponding policy tool. It is possible that a description does not apply to any of the terms.1. Open Market Operations 2. Reserve Requirement 3. Discount Rate a. A government printing more currency. b. An increase in the percentage of deposits that anks must keep on hand. c. An increase in the interest rate that a central bank charges commercial banks for loans. d. An increase in government spending e. A central bank purchasing existing bonds.

Answers

Answer:

1. Open Market Operations - A central bank purchasing existing bonds.

2. Reserve Requirement - An increase in the percentage of deposits that banks must keep on hand.

3. Discount Rate -  An increase in the interest rate that a central bank charges commercial banks for loans.

Therefore, a government printing more currency or an increase in government spending, both are not a part of any monetary policy tools provided.

Final answer:

Open Market Operations (corresponding to the central bank purchasing existing bonds), Reserve Requirement (increasing the percentage of deposits banks must keep on hand), and Discount Rate (linked to the interest rate the central bank charges commercial banks for loans), are policies used by central banks to control the money supply.

Explanation:

1. Open Market Operations corresponds with option E. 'A central bank purchasing existing bonds.' These operations involve a central bank buying and selling government bonds to influence the money supply. If they purchase bonds, this injects money into the economy, increasing the money supply.

2. Reserve Requirement can be matched with option B. 'An increase in the percentage of deposits that banks must keep on hand.' By changing the reserve requirements, the central bank adjusts how much money the banks can lend, influencing the money supply. A higher reserve requirement decreases the money supply as banks have less to lend out.

3. Discount Rate is related to option C. 'An increase in the interest rate that a central bank charges commercial banks for loans.' The discount rate is the interest rate at which commercial banks can borrow money from the central bank. A higher discount rate makes borrowing money more costly, resulting in less borrowing and a decrease in money supply.

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In a mixed market economy, government regulations are intended to both consumers and producers. Those who support regulation in the market argue that these laws ___________, while those who are against government regulation argue that these laws ___________.

Answers

Answer:

In a mixed market economy, government regulations are intended to protect both consumers and producers. Those who support regulation in the market argue that these laws protect everyone, while those who are against government regulation argue that these laws are costly.

Explanation:

Those who support regulation in the market argue that these laws protect everyone, while those who are against government regulation argue that these laws are costly.

What is a mixed market?

This is a type of market that is made up of a free market and also has some elements of Government regulations in it.

In this type of market, the government can also set some rules that are meant to show government control.

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Sara's job includes dividing up the work and assigning tasks to each employee. She identifies people responsible for each task, decides the reporting structure, and decides employees' work relationships. Sarah is a part of the ________team in her company.a. financeb. public relationsc. controllingd. decentralizinge. organizing

Answers

Answer:

organizing team

Explanation:

According to my research on different organizational roles and responsibilities, I can say that based on the information provided within the question Sarah is part of the organizing team. This is because based on all the responsibilities and tasks that Sarah is doing, she is organizing everything in order for all aspects to be as efficient as possible and work in harmony.

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To be successful in a product liability action based on​ _____, the plaintiff must prove that the defendant breached a duty of due care to the plaintiff and thereby caused the​ plaintiff's injuries.

Answers

Answer:

negligence

Explanation:

In order to be successful in a product liability action based on​ negligence the following elements must be proved: Duty ,Breach of Duty ,Cause in Fact ,Proximate Cause  and Damages(plaintiff)

The risk-free rate of interest is 4% and the market risk premium is 9%. Howard Corporation has a beta of 2.0, and last year generated a return of 16% with a standard deviation of returns of 27%. The required return on Howard Corporation stock? is:
A. 26%.
B. 22%.
C. 14%.
D. 36%.

Answers

Answer:

B. 22%.

Explanation:

Capital asset pricing model (CAPM) relates the required rate of return on an asset to its riskiness, as measured by the asset's beta. An asset's beta is the volatility of the asset's returns relative to the volatility of market returns. The expected return on the asset = risk-free rate + beta * market risk premium.

===> 4%+ 2x9% ===> 22%.

Final answer:

Using the Capital Asset Pricing Model, the required return on Howard Corporation stock is calculated to be 22%.

Explanation:

The required return on the Howard Corporation stock can be calculated using the Capital Asset Pricing Model (CAPM), which is formulated as follows:

Required Return = Risk-free Rate + Beta*(Market Risk Premium)

In this case, the risk-free rate is 4%, Beta is 2.0, and the Market Risk Premium is 9%. Therefore, the required return can be calculated as:

Required Return = 4% + 2.0*9% = 4% + 18% = 22%

So the answer is B. 22%.

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In Crawford Company, the predetermined overhead rate is 80% of direct labor cost. During the month, Crawford incurs $210,000 of factory labor costs, of which $180,000 is direct labor and $30,000 is indirect labor. The actual overhead incurred was $200,000. The amount of overhead debited to Work in Process Inventory should be:

a. $200,000

b. $168,000

c. $144,000

d. $160,000.

Answers

Answer:

c. $144000.

Explanation:

the predetermined overhead rate = 80% of direct labour costs

The amount of overhead debited to Work in Process Inventory is:

(80%)(180000)

= $ 144000

Therefore, The amount of overhead debited to Work in Process Inventory should be $144000.

The amount of overhead debited to Work in Process Inventory should be:c. $144,000.

Work in process inventory

Using this formula

Work in process inventory= Predetermined overhead rate×Factory labor cost

Where:

Predetermined overhead rate=80%

Factory labor cost=$180,000

Let plug in the formula

Work in process inventory=.80×$180,000

Work in process inventory=$144,000

Inconclusion the amount of overhead debited to Work in Process Inventory should be:c. $144,000.

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Curzon International is a hospitality chain that has a wide range of hotels and motels. The company provides luxurious and outstanding service to its customers. The amenities given by the company are highly expensive; hence, it holds a very small share in the hospitality industry. The managers are not ready to forgo their dedication to providing great service to increase their market share. This shows that the company is based on the noble purpose of a. heroism b. discovery c. excellence d. altruism

Answers

Answer: Altruism

             

Explanation: It refers to the behavior when an individual considers the benefit of other more important than the self benefit.

In the given case, the hotel chain has the sole purpose of providing best services to its customers. They are not ready to forego their dedication towards service even if it results in loss of their market share.

It is not a case of excellence as they are not charging extra for the same service to increase their profits.

Hence from the above we can conclude that the correct option is D.

Brandon, the general manager of Pelantis International Hotel, promises Theodore, the director of marketing and sales of the hotel, a large bonus and a paid vacation if he can increase the hotel occupancy to 95 percent in the coming season. What type of leadership styles is Brandon using in this scenario?

Answers

Answer:

Transactional leadership

Explanation:

This leadership involves an exchange process whereby followers get immediate and tangible rewards for carrying out the leader’s orders. The leader can clarify what is expected of followers´ performance explaining how to meet such expectations and allocating rewards that are contingent on meeting objectives.

Melissa, the hotel manager, knows that the number of guests at her hotel has significantly decreased. Therefore, corporate has made it clear that the amount each department can spend on certain items will need to be cut for the year. Melissa needs to work with the hotel department managers on how to cut costs, as a part of her ______ role.
monitor
disturbance handler
disseminator
resource allocator
entrepreneur

Answers

Answer:

resource allocator

Explanation:

Resource allocator

It is the process of managing and assigning the assets , such a way , which helps to support the strategic goals of an organization .

The resource allocation work includes , the management of the tangible assets like the hardware in order to make the best use of the soft assets like the human capital .

Hence , from the data , Melissa act as a resource allocator .

Classify the following as fixed or variable costs:
a. Fuel Interest on company-issued bonds
b. Shipping charges
c. Payments for raw materials
d. Real estate taxes
e. Executive salaries
f. Insurance premiums
g. Wage payments
h. Depreciation and obsolescence charges
i. Sales taxes
j. Rental payments on leased office machinery

Answers

Answer:

a. Fuel Interest on company-issued bonds  FIXED

b. Shipping charges  VARIABLE

c. Payments for raw materials  VARIABLE

d. Real estate taxes  FIXED

e. Executive salaries  FIXED

f. Insurance premiums  FIXED

g. Wage payments  VARIABLE

h. Depreciation and obsolescence charges  FIXED

i. Sales taxes  VARIABLE

j. Rental payments on leased office machinery FIXED

Explanation:

Fixed costs are the cost of an organization that don´t change with the amount of production.  So ,  if the production is 0,  this cost will exist anyway. For example:  real estate taxes,  rental

Final answer:

Fixed costs are expenses that do not change regardless of production levels, whereas variable costs fluctuate with the scale of production or sales. Fuel interest on bonds, real estate taxes, executive salaries, insurance premiums, depreciation charges, and rental payments are classified as fixed costs. In contrast, shipping charges, payments for raw materials, wage payments, and sales taxes are considered variable costs.

Explanation:

To classify the following as fixed costs or variable costs, we need to understand the nature of each type of expense:

Fuel Interest on company-issued bonds - Fixed costs, as these are predetermined expenses that are typically the same regardless of production levels.

Shipping charges - Variable costs, since they correlate with the quantity of goods being shipped.

Payments for raw materials - Variable costs, because they directly depend on the amount of materials needed for production.

Real estate taxes - Fixed costs, as they are usually set annually and do not fluctuate with production.

Executive salaries - Fixed costs, as they tend to be constant irrespective of the company's output.

Insurance premiums - Fixed costs, assuming they are uniform and do not change with production levels.

Wage payments - Typically variable costs, especially if wages are paid per hour or based on production performance.

Depreciation and obsolescence charges - Fixed costs, as they are accounting charges that do not vary with production.

Sales taxes - Variable costs, since they are applied per sale and therefore will vary with sales volume.

Rental payments on leased office machinery - Fixed costs, because they are contractual charges that do not change with how much the machinery is used.

For 2016, NestorCompany had revenues in excess of expenses. Which statement describes Nestor’s closing entries at the end of 2016 (assume there is only one closing entry for both revenue and​ expenses)?

A. Revenues will be​ debited, expenses will be​ credited, and retained earnings will be debited.
B. Revenues will be​ debited, expenses will be​ credited, and retained earnings will be credited.
C. Revenues will be​ credited, expenses will be​ debited, and retained earnings will be credited.
D. Revenues will be​ credited, expenses will be​ debited, and retained earnings will be debited.

Answers

Answer:

Which statement describes Nestor’s closing entries at the end of 2016 (assume there is only one closing entry for both revenue and​ expenses)?

Explanation:

A. Revenues will be​ debited, expenses will be​ credited, and retained earnings will be debited.

Closing entries, also called closing journal entries, are entries made at the end of an accounting period to zero out all temporary accounts and transfer their balances to permanent accounts. In other words, the temporary accounts are closed or reset at the end of the year

All Bikes, Inc., a firm in Wisconsin, advertises on the Web. A court in Ohio would be most likely to exercise jurisdiction over All Bikes if the firm​
a. ​only engaged in passive advertising on the Web.
b. ​did substantial business with Ohio residents over the Internet.
c. ​interacted with any Ohio resident through its Web site.
d. ​suddenly removed its ad from the Internet.

Answers

Answer:

b. ​did substantial business with Ohio residents over the Internet.

Explanation:

Based on the information provided within the question a court in Ohio would be most likely to exercise only if the company did substantial business with Ohio residents over the Internet. If a sales company does not do enough business with Ohio's residents then it will not affect the state's economy and therefore not be worth their time to exercise jurisdiction on the company.

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In the short run A. most firms have short run supply curves that are the same as their long run supply curves. B. firms may choose to operate at a loss. C. firms will shut down if operating at a loss. D. profit maximizing firms have identical short run supply curves.

Answers

Answer:

The correct answer is option B.

Explanation:

In the short run, firms may have a loss if the price is lower than the average total cost. In the short run though firms cannot enter or exit the market. So, if the price level is higher than the average total cost, the firms will keep operating even after incurring a loss.  

In the long run though, if the price level is still lower than the average total cost, the firm will no longer operate and will exit the market.

B. In the short run, firms may choose to operate at a loss if they can cover their average variable costs.

This is because some firms may continue producing as long as they can cover their average variable costs, even if they are making economic losses. This is a strategy to minimize overall losses rather than shutting down immediately, which would lead to incurring fixed costs without any revenue. This is typical in conditions where the price has fallen below the average cost but remains above the average variable cost.On the other hand, option C is incorrect because not all firms will shut down if they are operating at a loss; it depends on whether they can cover their variable costs. Firms that cannot cover their average variable costs will indeed shut down immediately. Options A and D are also incorrect as short-run and long-run supply curves can differ due to the presence of fixed costs in the short run and the variability of resources in the long run.

A company in which your client owns stock is about to make a rights offering. The client informs you that he does not plan on subscribing to the offer. You would tell the client that his proportionate ownership interest in the company would: ___________

Answers

Answer:

decrease

Explanation:

According to my research on different investment terminology, I can say that based on the information provided within the question you would tell the client that his proportionate ownership interest in the company would decrease. This is because if other people buy shares of the company the overall amount of shares sold increases and your percentage owned goes decreasing as more people buy.

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James Frank has been put in charge of gathering marketing intelligence, disseminating it within his organization, and eventually directing action on the information. Mr. Frank's task is best described as part of the ________.A) market-sensing processB) new-offering realization processC) customer acquisition processD) customer relationship management processE) fulfillment management process

Answers

Answer:

option A

Explanation:

correct answer is option A

Gathering market information and spreading the information in the firm and eventually using the information into action is best described as market sensing.

Market sensing is one of the biggest tool for any company to succeed in future because if company know the future demand he can act according to it.

Final answer:

James Frank's role in gathering and actioning marketing intelligence is part of the market-sensing process, which is critical for understanding and responding to market dynamics.

Explanation:

James Frank's task of gathering marketing intelligence, disseminating it within his organization, and directing action based on the information, aligns with the market-sensing process. This process involves gathering information from customers and other stakeholders, finding expert information, and performing a root cause analysis to identify the real problems affecting the market. It is part of a broader marketing strategy to understand customer needs and market dynamics, which in turn helps in developing strategies for increasing sales, formulating targeted marketing initiatives, and improving product positioning. Therefore, the best description of Mr. Frank's role would be a part of option A) market-sensing process.

Recent regulation such as the Riegle-Neal Act of 1994 has removed some of the federal banking laws that formerly constrained profitable opportunities for commercial banks. The Riegle-Neal Act removes the major restrictions on banks' ability to _________________.

Answers

Answer:

The correct answer is diversify geographically.

Explanation:

Diversification is one of the strategies most used by companies when it comes to expanding their market horizon. In this sense, diversifying is synonymous with expansion, growth, investment and openness.

In general, companies that are committed to diversification seek new market niches or commercial possibilities. This may be motivated by several reasons, ranging from corporate growth opportunities to the implementation of internal restructuring plans.

it is best to withhold unpopular opinions
(strongly agree or disagree

Answers

Answer:

disagree

Explanation:

because its your opinion not nobody else so you can say it

When it comes to unpopular opinions, it is best to talk about them, so I disagree.

What is an Opinion?

This refers to a personal viewpoint about something which might not be factual and is usually sentimental.

Hence, we can see that expressing opinions is one way to understand people and because a person has a different opinion from others about something which makes it unpopular does not mean he should not express himself.

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Companies that take a proactive stance toward the marketing environment are most likely to​ ________.

Answers

Answer:

Come up with strategies that change the marketing environment.

Explanation:

Companies with a proactive approach tend to operate ahead of time. They don't wait for a situation or an event to take certain actions but they are well-prepared beforehand to deal with all sorts of issues that may arise in the future. They do so by adopting strategies that have the ability to change the marketing environment. This also helps them gain an edge over their competitors.

Answer:

be the market leaders.

Explanation:

Being proactive in marketing means to simply anticipate the problems or situations that are likely to take place in the future, and to predict the changing needs and wants of the market. Being proactive allows companies to:

create groundbreaking campaignsbuild engagement with companiesincrease the capability to optimize campaigns based on past data

A defendant claimed he was forced to give robbers access to a company storage facility because they said his children would never be safe unless he cooperated. Is his claim to have been forced to commit an illegal act valid?

Answers

Answer:

no

Explanation:

According to my research on different hostage cases, I can say that based on the information provided within the question he does not have a valid claim. This is because even though the defendant was being coerced (threatened to do something against their will) the danger that his children were facing was not immediate or present. Therefore in the eyes of the law he had other options like going to the police.

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Without written permission, Phillip tells his buyer Tom, that his seller Mark is getting divorced and has to sell the property quickly. Phillip is representing both Mark and Tom as a transaction broker. Phillip has violated which agency duty?

Answers

Answer:

limited confidentiality

Explanation:

According to my research on broker rules and responsibilities, I can say that based on the information provided within the question Phillip has violated the limited confidentiality. This is an ethical duty within certain jobs such as a broker in which they cannot represent both sides of an opposing case or argument. This is because each side may have vital information that grants them a favorable advantage in a case, and this leads to the broker not being able to help one of the individuals win the case, in other words the broker needs to biased in this line of work.

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Fred wants to take out a loan. Suppose he can afford to make monthly payments of 200 dollars and the bank charges interest at an annual rate of 5 percent, compounded monthly. What is the maximum amount that Fred could afford to borrow if the loan is to be paid off eventually?

Answers

2520 he could borrow per year
Final answer:

The maximum amount Fred can borrow is approximately $3,754.64.

Explanation:

To find the maximum amount that Fred could afford to borrow, we need to calculate the present value of his monthly payments using the formula for the present value of an annuity:

PV = P * (1 - (1 + r)^(-n)) / r

Where PV is the present value, P is the monthly payment, r is the monthly interest rate, and n is the total number of payments. In this case, P is $200, r is 0.05/12, and n is the number of months Fred will be making payments. We can rearrange the formula to solve for the loan amount:

Loan amount = PV * r / (1 - (1 + r)^(-n))

Substituting the given values, the loan amount Fred could afford to borrow is approximately $3,754.64.

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