When firms price-discriminate, people with lower price elasticity of demand will pay higher prices relative to those purchasing the same product who have a higher price elasticity of demand.
Price elasticity of demand is a concept which measures the change in market demand that is taking place due to change in price of the commodity. It simply measures whether demand of the products change at same rate as their prices change or not.
As we know when the market prices of commodities changes, their demand fall sharply but the fall in demand is not same in every case, for some goods the demand fall exactly in same percentage as price go up, but in some cases, demand may fall less than the rate of increase in price or in some cases it may also fall more. Price elasticity of demand give us exact measure of the change in market demand due to change in price.
Learn more about price elasticity of demand here:
https://brainly.com/question/20630691
#SPJ4
which budgeting approach is widely used in government and non-profit organizations? select one: a. the incremental approach b. the input/output approach c. the continuous budgeting approach d. participation budgeting
Option A. The incremental approach is the correct option.
The required details about budgeting approach is mentioned in below paragraph.
It's a pro-active strategy for managing your money. Budgeting allows you to plan for both short-term and long-term expenses by ensuring that you aren't spending more than you are earning. It's a simple, practical approach for people with different kinds of expenses and income to manage their money.
Companies often utilize one of four types of budgets: incremental, activity-based, value proposition-based, or zero-based. Each of these four budgeting techniques has benefits and drawbacks, which will be covered in greater detail in this article. Budgeting and Forecasting Course at CFI.
how a budget is created
The manager must first specify the target before creating a financial plan. The next stage is to compile and contrast data from the past and current. Then, depending on the information available, future revenue and expenses are anticipated. As a result, a practical plan is created. In the end, a thorough report is delivered to the senior executives.
To learn more about Budgeting approach, visit here
https://brainly.com/question/24940564
#SPJ4
burrus investment funds solicited clients for high-profit returns from a fictitious new internet business. burrus employees paid off the early investors from new funds raised to cover the costs. this type of fraudulent crime is known as .
Burrus investment funds solicited clients for high-profit returns from a fictitious new internet business. Burrus employees paid off the early investors from new funds raised to cover the costs. this type of fraudulent crime is known as a Ponzi scheme.
A Ponzi scheme is a fraudulent investment scheme that entices investors with high rates of return and little risk. A Ponzi scheme is a fraudulent investment operation in which money is collected from later participants to pay returns to earlier investors. This is comparable to a pyramid scam in that both rely on new investors' money being used to reimburse the previous funders.
When the influx of new investors stops and there isn't enough money to go around, both Ponzi schemes and pyramid schemes finally hit their bottom. The plans then start to fall apart.
Learn more about investors here:
https://brainly.com/question/28538187
#SPJ4
Aspen ski resort has high revenue from november to february; moderate revenue in october, march, and april; and low revenue from may to september. If the aspen ski resort wants to renovate their lodge, a project costing $215,000, which of the choices would be best for them to choose for this major cash expenditure?.
The best choice for this major cash expenditure is allocation of expenditure properly to each requirement to each sect of the production.
Cash expenditures are applied when there is a chance of low revenue expenditure and loan debts. The major expenditures that incur in a company are paying the cash debts, and all the expenses of the firm.
In case of high revenue, the firm keeps the profit as the retained earnings which can be used further to renovate the lodge and vice versa the debts and important things are paid off.
To learn more about cash expenditure here,
https://brainly.com/question/11381503
#SPJ1
when the marketing manager at tony's pizza decided to target households with children ages 6 to 12 to reverse the sales trend in this segment, she was converting information into a(n)
Based on the fact that the marketing manager decided to target households that had children aged 6 to 12, this meant that she converted information into an action recommendation.
What is an action recommendation?An Action Recommendation refers to when a trend is noticed on data or information that is derived for a specific purpose, such as the sales trend described, and then this information is used to make decisions that either reverse the trend, or continue it and take advantage of it.
The sales trend information showed the marketing manager that there was a need to reverse it and so she used the data to make the Action Recommendation of targeting homes with children aged 6 to 12.
Find out more on Recommendations at https://brainly.com/question/11793514
#SPJ1
The lower the market price,
A) the higher the rate of return
B) the riskier the investment
C) the safer the investment
D)the lower the taxes
compute the total cost of owning the car for five years. for simplicity, the cost of owning the car will be comprised of two components 1) the five year cost to own the car which is its depreciation in value after 5 years and 2) the cost of gas to drive the car over the five
According to this study, the average five-year depreciation rate of vehicles in the United States is approximately 50.2% of their initial value.
What is Total cost?Total fixed costs are the sum of all a company's consistent, non-variable expenses. Assume a company pays $10,000 per month for office space, $5,000 per month for machinery, and $1,000 per month for utilities. In this case, the total fixed costs for the company would be $16,000. In its most basic form, total cost (TC) refers to all of the costs associated with producing something or engaging in an activity. Total cost in economics is made up of variable costs plus fixed costs. Variable costs (VC) are costs that vary depending on how many goods you purchase or how much service you use.To learn more about total cost, refer to:
https://brainly.com/question/26535318
#SPJ9
based on the dupont model an equity multiplier greater than 1 will produce a return on equity that is higher than the return on assets. what is the trade-off to this effect? multiple choice question. higher equity results in reduced financial flexibility. higher leverage results in higher probability of default. higher leverage results in lower probability of default.
How much of a company's assets are financed by equity as opposed to debt is determined by the equity multiplier. It is a sign of risk for investors.
What is equity multiplier?
The proportion of a company's assets that are financed by equity as opposed to debt is determined by a risk indicator called the equity multiplier. The formula for calculating it is to divide a company's total asset value by the sum of its shareholders' equity.
A successful business must make asset investments. Companies finance the purchase of assets by issuing debt, equity, or a mix of the two. The equity multiplier displays the percentage of total assets financed by shareholder equity. Investors use this ratio essentially as a risk indicator to gauge how indebted a company is.
To know about equity multiplier in given link
https://brainly.com/question/28608995
#SPJ9
A bank loaned out $, part of it at the rate of per year and the rest at per year. If the interest received in one year totaled $, how much was loaned at.
A bank loaned out $17000, part of it at the rate of 7 % per year and the rest at 15 % per year. If the interest received in one year totaled $2000, Hence, $6875 was loaned at 7 %.
Let x be the amount loaned at 7%, in dollars
Then the amount loaned at 15% is the rest (17000 - x) dollars.
The interest yielded at 7% is 0.07x dollars.
The interest yielded at 15% is 0.15 × (17000 - x) dollars.
Your equation is
⇒ interest + interest = total interest, or
⇒ 0.07x + 0.15 (17000 - x) = 2000 dollars.
Simplify and solve for x
⇒ 0.07x + 0.15 × 17000 - 0.15 x = 2000
⇒ x = [tex]\frac{200-0.15(17000)}{0.07-0.15}[/tex] = 6875 dollars.
The amount loaned at 7% is $6875.
A loan is a financial instrument that enables a user to access a predetermined amount of money at the commencement of the transaction with the requirement that this amount, plus the negotiated interest, be returned within a given time frame. Regular payments are made to repay the debt.Interest is the cost of borrowing money or the fee you charge to lend it. Most frequently, interest is shown as an annual percentage of the loan amount. The interest rate for the loan is denoted by this proportion.Learn more about Interest, here
https://brainly.com/question/13324776
#SPJ4
randy has prepared a résumé that breaks down all his useful skills into categories that will let employers know what he can do for them. randy has created which of these résumés?
Since randy is preparing a résumé that breaks down all his useful skills into categories that will let employers know what he can do for them, then, the type of résumés that randy has created is known as a functional resume.
What is a functional resume?Basically, a functional resume is also known as a skills-based resume that highlights an applicant's skills and training and can be a good fit if you’re applying for specific jobs. This functional resume focuses on highlighting skills and qualifications instead of work experience.
The applicant;s abilities are grouped under various skill sections such as the Summary of Qualifications and Professional Skills where they explains what it is he/she can do. The main goal of a functional resume is to show the employer that you have the skills to get the job done even if such applicant lack a work experience.
Missing options" a. chronological resume b. functional resume c. combination resume d. skill/asset resume
Read more about functional resume
brainly.com/question/17531839
#SPJ1
Fixed manufacturing overhead costs are expensed as units sold as part of cost of goods sold under costing, and expensed in full with period costs under costing. True or false?.
It is true that fixed manufacturing overhead costs are expensed as units sold as part of cost of goods sold under absorption costing, and expensed in full with period costs under variable costing.
What is absorption costing?Total absorption costing is a way of accounting that includes all costs associated with producing a good or rendering a service. TAC takes into account all manufacturing overheads in addition to the expenses of labor and materials. Each cost center has a direct cost and an indirect cost.
What is variable costing?A cost concept in managerial accounting is variable costing. The cost of manufacturing overhead is incurred using this method as a product is being produced. The problem of absorption costing, which enables income to increase as production increases, is addressed by this. Managers are given the data they need to create a contribution margin income statement by variable costing, which paves the way for more efficient cost-volume-profit (CVP) analysis.
Learn more about absorption costing here:
https://brainly.com/question/13104695
#SPJ9
the governor wants to impose a $1 excise tax on some good—he doesn't care which—but he does want to minimize the deadweight loss. the deadweight loss will be least when:
The deadweight loss will be the least when both demand and supply are inelastic.
The deadweight loss depends on both the inelasticity of supply and demand. The more the demand or supply is inelastic, the less will be the deadweight loss. The relation is inversely proportional.
The reason is that the quantity bought or sold varies less with the price. There would be no deadweight loss if demand and supply are perfectly inelastic.
As deadweight loss is directly proportional to the elasticity of supply and demand so it will increase if supply and demand become elastic.
If you need to learn more about deadweight loss, click here
https://brainly.com/question/13719669?referrer=searchResults
#SPJ4
thom owes $7,800 on his credit card. the credit card carries an apr of 18.7 percent compounded monthly. if thom makes payments of $240 per month, how long will it take for him to pay off the credit card assuming that he makes no additional charges?
It would take around 44 months or 3 years and 8 months for him to pay off the credit card assuming that he makes no additional charges.
What is a credit card?A credit card is a small, rectangular piece of plastic or metal that is issued by a bank or other financial institution and enables its holder to borrow money to pay for goods and services at businesses that accept credit cards. Credit cards impose the requirement that cardholders repay the borrowed funds, plus any applicable interest and any additional agreed-upon charges, in full or over time, either by the billing date or at a later date.
Compared to other consumer loan types, credit cards typically have a higher annual percentage rate (APR).
Let the time taken be t for him to pay off the credit card then we have
$7,000 = $220{[1 − 1/(1 + .183/12)^t]/.183/12}
t = 43.87 months
Learn more about credit cards
https://brainly.com/question/26857829
#SPJ9
if your competitor in the market provides the exact same smart phone your firm provides with the same $150 worth of total value creation, your firm's added value is:
If a rival in the market offers the exact same smart phone that your business does with a $150 total value creation, your business has $150 in added value for the firm.
Given that the company has already generated $150 in value overall, the $150 in value added will be determined by the difference between the market entire revenue and the total costs incurred by the company. This means that the firm added value is not reliant on its competitors.
A firm is a business that engages in the commercial enterprise of buying and selling goods and/or services to customers with the market intention of turning a profit. As in "She runs a forex trading firm," the phrase is typically used interchangeably with "company" or "business" in the context of business.
A firm is any type of business that offers goods or services for sale, including corporations, limited liability companies, public limited companies, sole proprietorships, and partnerships.
Learn more about firm here
https://brainly.com/question/15306849
#SPJ4
when making a decision using incremental analysis consider the blank . multiple select question. old income statement in comparison to the new income statement change in sales dollars resulting specifically from the decision change in cost resulting specifically from the decision volume that would occur regardless of the decision
when making a decision using incremental analysis consider the resulting specifically from the decision volume that would occur regardless of the decision.
What Is Incremental Analysis?Incremental analysis can be described as the decision-making technique that is been utilized in the process of the business which is been used in the expressing the true cost difference that can be found between alternatives.
It should be noted that this analysis can as well be described as the relevant cost approach as well as the marginal analysis, however this analysis is very essential in the process of the alternatives making and it is been used in the company as well as the organization that is needed to make a decision that can influence the growth as well as the progress of the company.
Therefore, the last option is correct because this techniques is been used in making decision out of the volume of the decisions that can be made.
Learn more about incremental analysis at:
https://brainly.com/question/17215395
#SPJ1
a customer calls you and excitedly tells you that she just had her first child. she says her mother-in-law gifted $20,000 to them in honor of the birt
company z is just starting to make a brand new product it has never made before. it has completed two units so far. the first unit took 18 hours to complete and the next unit took 14 hours. based only on this information, what would be the estimate of the learning percentage in this process?
The estimated percentage of learning is 77.7% in this process for company Z according to the learning curve theory
According to the learning curve theory, as output doubles, the time required to complete a task decreases by a fixed amount. In this problem, the output from the first unit as we produced the second unit, so we can estimate the learning percentage as (Unit 2 time)/(Unit 1 time) = 14/18. The Learning Curve Theory is based on the idea that the more a person repeats a process or activity, the better they become at it. This results in lower input costs and increased overall output.
Learn more on Learning Curve Theory -
https://brainly.com/question/17162955
#SPJ4
PLEASEE! unit test in progress!!
A tax accounting software company is trying to help potential customers understand how other tax firms are already using certain platforms to complete their work. What type of primary research might they use to BEST tell that story?
a. Websites about tax firms’ busy season
b. Account textbooks
c.an interview with a single client
d. 10 case studies of existing clients
Answer:
It is D
Explanation:
.
When faced with quota pressure, a salesperson with customer orientation would most likely: a. avoid issuing express warranties. b. practice the hard-sell approach. c. overstate the benefits of the recommended product. d. explain the cons of the recommended product. e. engage in fast talking.
When faced with quota pressure, a salesperson with customer orientation would most likely explain the cons of the recommended product.
A business strategy known as "customer orientation" prioritizes the demands of the client over those of the company. Companies that prioritize their customers are aware that without continually increasing their customer focus, their firm will not succeed.
Cons are a drawback or justification for not acting: The higher operating expenses of a larger automobile are one of its drawbacks. Before making a choice, you must consider all the advantages and disadvantages of the situation.
To learn more about customer orientation
https://brainly.com/question/1124686
#SPJ4
Main Answer:
When faced with quota pressure, a salesperson with customer orientation would most likely practice the hard-sell approach.
Explanation:
The hard-sell approach will make the salesperson under quota pressure to use a direct and insisting language so that he can convince the customer to go for the product in a short span of time.
The correct option is b. practice the hard-sell approach. The remaining options are ruled out.
Learn more about this question here:
https://brainly.com/question/28827226
#SPJ4
clonex labs, incorporated, uses the weighted-average method in its process costing system. the following data are available for one department for october:
Equivalent units of production for Materials in October is 202,000 units. While the equivalent units of production for Conversion in October is 196,00 units.
Weighted-Average Method:
Equivalent Units of Convertible Materials Production Units transferred out amounted to 190,000
While Equivalent units in work-in-process inventory for conversion: 15,000 units × 80% = 12,000
While Equivalent units in work-in-process inventory for conversion: 15,000 units × 40% = 6,000
Equivalent units of production for Materials in October = 190,000+12,000 = 202,000 Equivalent units of production for conversion in October = 190,000+6,000 = 196,000.The equivalent unit of production can be described as the number of goods that have been successfully created through the activity of converting raw materials into goods according to product planning. The characteristic of process costing is that the company will only calculate the cost of production each time a product plan is made, namely based on the batch number.
What is the number of equivalent units is the result of production created by the company during its activities. The process costing system is used for companies that carry out continuous production activities based on homogeneous or standardized products.
Clonex Labs, Inc., uses the weighted-average method in its process costing system. The following data are available for one department for October: Percent Completed Units Materials Conversion Work in process, October 1 30,000 65 % 30 % Work in process, October 31 15,000 80 % 40 % The department started 175,000 units into production during the month and transferred 190,000 completed units to the next department. Required: Compute the equivalent units of production for October.
You can learn more about equivalent unit of production here brainly.com/question/27960616
#SPJ4
several years ago amy westbrook, who is in the lending business, loaned sara stuart $30,000 to purchase an automobile to be used for personal purposes. in august of the current year, sara filed for bankruptcy, after paying back $1,000 of the loan to amy. amy was notified by the bankruptcy court that she could not expect to receive more than an additional $4,000. amy has contacted you about the possibility of taking a bad debt deduction for the current year.
In a letter made to Amy to advise her on whether she may claim a bad debt deduction for the current year, the best recommendation is that she can.
When can you claim a bad debt deduction?
According to IRS guidelines, a firm cannot claim a deduction for a bad debt if the debt has been judged completely worthless, which indicates that the remaining amount cannot be collected.
Amy has been told by the bankruptcy court that she can only receive $4,000 extra, which implies the remainder of the debt is worthless.
Amy can and should thus claim the bad debt as a tax deduction.
To learn more about bad debt tax deductions
https://brainly.com/question/26906622
#SPJ9
Do you believe that "rationing" ensures that "everyone receives their fair share"? If no, why? If yes, why?
Yes, "rationing" ensures that "everyone receives their fair share".
Rationing is the managed distribution of scarce resources, goods, services, or a synthetic restriction of demand. Rationing controls the size of the ration, that is one's allowed part of the sources being allotted on a selected day or at a specific time.
Rationing involved placing limits on purchasing certain high-demand gadgets. The authorities issued some of the “points” to every person, even babies, which needed to be turned in in conjunction with cash to purchase items made with restricted items.
Rationing often includes food and other necessities for which there may be a shortage, including materials for the conflict attempt such as rubber tires, leather-based shoes, apparel, and gasoline. Rationing food and water may be necessary throughout an emergency, along with a herbal disaster or terror attack.
Learn more about rationing here https://brainly.com/question/424735
#SPJ1
factory work is hot, hard work. recently there have been verbal and almost physical fights on the floor. the company is considering using a personality test as part of the hiring process. should it?
Factory work is hot, hard work. Recently there have been verbal and nearly physical fights on the floor.
According to the resource dilution idea, one child's ability to accumulate resources starts to erode when parents have more children since their ability to offer resources is limited factory work . According to this belief, having fewer children is beneficial since siblings always vie for their parents' attention, money, and resources. physical fights Therefore, given the choice between the middle child, the youngest sibling, and the parents, it is likely that the middle sibling will experience resource dilution as the parents will give the youngest child more attention.
Learn more about factory work hear :
https://brainly.com/question/15158779
#SPJ4
what should the west be doing to keep healthy economies? what are their options?
Answer:
The west should pursue policies that encourage economic growth and stability. Their options include:
1. Pursuing sound monetary policies that promote economic growth and stability.
2. Adopting pro-growth fiscal policies that help to increase government revenue and reduce government spending.
3. Promoting free trade and investment that allow for the efficient allocation of resources and the maximization of economic growth.
4. Pursuing policies that increase the flexibility of their economies and allow for a quick response to changing economic conditions.
5. Encouraging entrepreneurship and innovation that lead to new products and services and create jobs and economic growth.
choose the best words to complete each sentence and form a true statement
Bard needs help repaying the loan he got to pursue a graduate program in a top-ranking university. If Bard opts for a work-study program, he will get a blank job. But first, Bard needs to check if hid college participates in the blank
military
part-time
full-time
Federal work-study program
Federal pell grant
Federal perkins loan program
If Bard opts for a work-study program, he will get a part time job. But first, Bard needs to check if hid college participates in the Federal work-study program.
What is the work-study program?The work-study program is a program that allows students in tertiary institutions to be able to work while studying in order to be able to finance their education.
The federal government offers a work-study program for certain universities where the student will have to work part-time and will have to maintain a certain grade. Bard needs to check if his university is one of such university where the federal government offers the program.
Find out more on Federal work-study programs at https://brainly.com/question/12497582
#SPJ1
in general, job satisfaction has more to do with nontask perceptions of work, such as feelings about co-workers, while organizational climate relates to perceptions of workload and the nature of the tasks performed.
The statement is false.
The required details about organizational climate is mentioned in below paragraph.
An employee's long-term perception of the workplace and company culture is referred to as the organizational climate. Climate can be compared to personality in that each organization has a distinct climate, just as each person has a distinct personality. An assortment of traits and qualities that employees perceive as being present represent this. These have an impact on how individuals behave at work in a variety of ways, including relationships, autonomy, and organizational structure.
The link that employees have with their company is strengthened when there is a favorable work environment.
Climate is not produced overnight; rather, it develops and is influenced through time as a result of a variety of interactions and experiences.
To learn about Organizational climate, visit here
https://brainly.com/question/17229294
#SPJ4
if hot dogs are an inferior good, a decrease in income will result in: group of answer choices a decrease in the demand for hot dogs. a decrease in the quantity demanded for hot dogs. an increase in the quantity demanded for hot dogs. an increase in the demand for hot dogs. no change in the quantity demanded for hot dogs.
Any products where demand rises with rising income and declines with falling income but price doesn't change Ordinary Good. a product whose demand declines as consumer income increases inferior caliber.
What happens in the market for hot dog buns, a complementary commodity, when the price of hot dogs drops?
People purchase more hot dogs when their price drops. More hot dog buns are needed to produce hot dogs. Hot dog bun demand thus rises. The cost and availability of hot dog buns rise as a result.
When a product is subpar, what happens to customer income as a result?
Increases in income will cause a fall in demand for inferior goods, whereas decreases in income will cause an increase.
What would happen financially if the product was subpar?
Income effect is beneficial for normal goods while it is negative for inferior items.
To learn more about income from the given link.
https://brainly.com/question/26316390
#SPJ9
Investor a intends to invest $850,000 in a new business. the financial projections show that during the first year of operations the business will generate $70,000 in profit for the year. in order to finance the investment, investor a has applied for a business loan with an interest rate of 7%. required: 1.) calculate the expected return on assets. (state as a percentage) 2.) state the cost of financing. (state as a percentage) 3.) should investor a invest in the new business? why or why not?
the expected return on assets will be = 1.24%
State the cost of financing = 98.86%
Investor a should invest in the existing business because it has a profitablity index greater than 1
Capital = $850000
Profit = $70000
Loan with 7% interest
Amount to be paid back = capital + interest
7% of $850000
= (7/100)×$850000
= 0.07× $8500
= $59500
Amount to be paid back = $850000 + $59500
= $909500
Expected return on the investment = (capital + profit) - Amount to be paid back
= (850000 + 70000) - 909500
= 920000 - 909500
= $10500
As percentage
(Expected return on the investment/ Amount invested) × 100%
= (10500/85000)×100%
= 0.01235 × 100%
= 1.24%
2) The cost of financing the project
Cost of financing the project = capital + interest
7% of $850000
= (7/100)×$850000
= 0.07× $8500
= $59500
Cost of financing the project = $850000 + $59500
= $909500
As percentage
(Cost of financing the project/(capita + profit)) × 100%
= (909500/(850000 + 70000))×100%
=(909500/920000)×100%
= (0.9886) ×100%
= 98.86%
3) profitability index = (initial investment + net present value)/ initial investment
= (850000 + 70000)/850000
= 920000 / 850000
= 1.08
Since the profitability index is greater than 1, it means the investment creates value therefore the investor can continue with the investment
To learn more about profitability index, Click, https://brainly.com/question/28304747
#SPJ4
kwame is willing to pay $185 per month for four years for a car payment. if the interest rate is 4.9 percent per year, compounded monthly, and he makes a cash down payment of $2,500, what price car can he afford to purchase?
The cost of the car he can afford is $9,802.63.
Compound interest is defined.Compound interest is the term used to describe interest that is earned on interest. This may be shown using simple math: if you have $100 and it earns 5% interest every year, you will have $105 at the end of the first year. At the end of the second year, you'll have $110.25.
In the above question:
Let x represent the cost of the car Kwame can afford.
Down payment = $2,500
The balance that needs to be financed is P = x - 2500.
The sum of the payments must match the monthly payments.
Payment in full over 4 years (48 months) is
A = $185*48 = $8,880
The rate is r = 4.9% = 0.049.
The compounding interval is n = 12.
The time is t = 4 years.
The amount financed is P = $(x - 2500).
Therefore
(x - 2500)(1 + 0.049/12)⁴⁸ = 8880
1.216(x - 2500) = 8880
x - 2500 = 7302.63
x = 9802.63
Kwame can afford a car priced at $9,802.63.
Learn more about Compound interest: https://brainly.com/question/14295570
#SPJ9
[6]
2 Mohammed owns a bakery. He makes bread and cakes. He
employs three workers who help him mix the dough for the bread
serve customers. Mohammed has calculated that the 'added value'
and cakes, put the dough into tins, bake the bread and cakes, and
of his business is low. His customers complain when he tries to
increase his prices. We can buy the same bread and cakes at
lower prices,' they tell him.
Define 'added value'.
Added value can be defined as a set of characteristics related to the product or service that are perceived by the consumer and go beyond its core benefit.
Is the added value advantageous for companies?Yes, because by adding features to its products and services that increase their added value, the company is able to increase the value of products, create value for consumers, increase competitiveness and market positioning.
Some features that help increase the added value of a product are:
PackingAttendanceQualityBenefitsDesignDistributionCompanies must invest in characteristics that increase the value of the brand, to find out what they are, marketing studies and data analysis can be carried out to identify which are the psychosocial characteristics that consumers seek when consuming a particular product.
Therefore, added value can also be understood as value perceived by consumers who positively change their perception of a brand.
Find out more about added value here:
https://brainly.com/question/28156000
#SPJ1
f the durham bulls examine the impact a change in ticket price has on attendance, the minor league baseball team would be using an example of .
If the durham bulls examine the impact a change in ticket price has on attendance, the minor league baseball team would be using an example of quantitative data analysis.
What is quantitative data analysisQuantitative data analysis can be defined as the process in which data or information are analyzed and interpreted using numerical method.
Most researcher tend to make use of quantitative data analysis method when they have want to convert the data they collected into a more structured data that will inturn gives them the accurate result they want so as to draw a conclusion or reach a conclusion.
Based on the scenario it is advisable that the company makes use of what is called quantitative data analysis as this will enables them to known the imoact the change in ticket price has on attendance.
Therefore the company should make use of quantitative data analysis.
Learn more about Quantitative data analysis here: https://brainly.com/question/14919728
#SPJ1