By providing passengers an upfront pricing quote for a ride, then actually charging that price for the ride, lyft is using which promotional strategy?.

Answers

Answer 1

As opposed to other drivers, priority mode will let you accept ride requests first. This shortens the time between rides, allowing you to earn more money overall, according to Lyft.

What is LYFT's marketing strategy?

Lyft's marketing approach relies on a variety of communication channels, from direct emails and social media interaction to national broadcast commercials. Positive word-of-mouth among the current Lyft rider group helps Lyft as well.

The cost of a Lyft ride depends on the route and nature of the journey, as well as on-demand and availability. The cost of a ride will probably be greater than usual if numerous passengers in your neighborhood request one at the same time. Demand will likely be higher during rush hour, during significant local events, and when inclement weather occurs.

Learn more about LYFT's marketing strategy here:

https://brainly.com/question/26413001

#SPJ1


Related Questions

the consequences of legislation enacted to cancel budget authority previously provided by congress before the time when the authority would otherwise lapse (i.e., cease to be available for obligation) is called: group of answer choices

Answers

In legislature, any consequences of legislation enacted to cancel budget authority previously provided by Congress before the time when the authority would otherwise lapse is called a rescission.

What do we need to understand about rescission?

In legal term, a rescission refers to when a contract is rendered null and void, and so is no longer recognized as legally binding. As such, the ruling courts can free the non-liable parties from their agreed obligations and will effectively seek to restore them to the position they were in before the contract was signed.

In contract law, a rescission can always occur when there is a material error in the contract, evidence of fraud, a lack of legal or mental capacity as well as other applicable circumstances.

In a typical court, the rescission is seen as an equitable remedy and is discretionary and a synonym for termination at law. A ruling court may decline to rescind a contract if one party has affirmed the contract by his action or a third party has acquired some rights or there has been substantial performance in implementing the contract.

Read more about rescission

brainly.com/question/4577062

#SPJ1

in a blank relationship, the supply chain members are partners who intend to maintain the relationship for quite some time and invest in ventures that will be profitable for all involved. multiple choice question. franchise contractual supply chain strategic

Answers

A distribution channel is a network of companies or middlemen that goods and services travel through before they are delivered to the final customer, including producers, warehouses, shipping hubs, retailers, and the internet relationship.

It aids in mutual strategy understanding among supply chain participants relationship.It assists supply chain participants in identifying potential issues. It enables supply chain participants to customize their responsibilities inside the network. A dispute could arise between the toy maker and the wholesaler in charge of shipping to retailers if the manufacturer learns that their products are arriving at retail locations later than expected relationship. When it comes to the receipt, processing, storage, and distribution of commodities, distribution centers are designed to improve efficiency, which results in less money being wasted on paying for temporary storage, handling stockouts customer or losing clients as a result of incomplete or delayed orders. By making Stan's items available when customers want to buy them, intermediaries can save customers time. The most straightforward distribution channel is level zero. There is no middleman involved; sales are made directly to consumers from manufacturers. Level One: Between the producer and the customer, there is just one intermediary in a level one channel.

Learn more about relationship hear :

https://brainly.com/question/14178032

#SPJ4

which theory was based on the observation that early in the development of a commodity, all the parts and labor come from the area in which it was invented

Answers

The concept of product life-cycle was based on the observation that, early in a commodity's development, all the components and labor originate in the region where the commodity was invented.

Explain the concept of product life-cycle  ?

A product's "life cycle" can be regarded as the period from when a good is initially made available to consumers until it is withdrawn from circulation. When deciding whether it is appropriate to improve advertising, cut pricing, enter new markets, or change packaging, management and marketing experts use this concept as a decision aspect.

Products have life cycles just like individuals do. Introduction, growth, maturity, and decline are the four processes in a product's life cycle.

An concept becomes a product, but under the constraints of contemporary business, it is unlikely to advance until it has undergone research and development (R&D) and been determined to be practicable and potentially profitable. The product is then created, advertised, and launched.

To know more about, product life-cycle, visit :

https://brainly.com/question/7510515

#SPJ4

Different types of competition have various impacts on businesses. As a business owner, you may encounter other businesses that compete with yours directly or indirectly, or even as substitutes to your business. Suppose your business is a gym and you specifically focus on offering personal training to hardcore weightlifting enthusiasts for customized workouts. How would similar businesses impact your business? What types of business would be considered direct, indirect, and substitute businesses to compete with yours? What would be your competitive advantage? Explain the impact, give one example of each type of competitor, and identify your competitive advantage

Answers

Similar businesses would impact negatively because they can take customers away from me, direct businesses would be other gyms close to mine, indirect businesses would be other gyms in a further distance, and substitutes would be those gyms that focus on weightlifting. My advantage would be my focus on weightlifting and personalized training.

What is the competition?

Competition is an economic term that refers to the condition in which different economic agents that participate in a market must apply different strategies to maximize their profits compared to other economic agents. There are three types of competencies:

Direct competition: This refers to those economic agents that offer an equal service very similar to that of another economic agent and their range of spatial influence is close. For example, when there are two bakeries in the same neighborhood and both make the same bread at the same price.Indirect competition: This refers to those economic agents that offer a service fairly similar to that of another economic agent and their range of spatial influence reaches a part of the other economic agent. For example, when there is a bakery in one neighborhood and another bakery in the mud across the street that offer the same products at the same price.Substitute competition: This refers to those economic agents that offer a service specifically equal to another economic agent and their area of ​​influence is the same. For example, when there are two dealerships of different car brands next to each other.

Based on the above, it can be inferred that:

How would similar businesses impact our business?

Other businesses would have different impacts depending on the type of competition they represent for my business. Although in general terms they can have a negative impact because they can take away my clients.

What types of businesses would be considered direct, indirect, and substitute businesses to compete with yours?

The direct businesses would be other gyms close to mine, the indirect ones would be other gyms in a further distance, and the substitutes would be those gyms that focus on weightlifting.

What would be your competitive advantage?

My advantage would be my focus on weightlifting and custom training.

Learn more about competition in: https://brainly.com/question/13686157

#SPJ1

the real risk-free rate is 3.00%. inflation is expected to be 1.75% this year and 4.00% during the next 2 years. assume that the maturity risk premium is zero. what is the yield on 2-year treasury securities? do not round intermediate calculations. round your answer to two decimal places. % what is the yield on 3-year treasury securities? do not round intermediate calculations. round your answer to two decimal places. %

Answers

The maturity risk premium is zero then Yield on 2 year treasury securities are . r=5.87%

Yield on 3 year treasury securities are . r=  6.25%

                          

On 2 year treasury securities

  r= 3.00%+((1.75%+4.00%)/2)

       r=5.87%

On 3 year treasury securities

        r = 3.00%+((1.75%+4.00%+4.00%)/3)

        r=  6.25%

We have take average inflation premium in average. Formula for calculating yield on treasury securities are R+IP

Where R is risk free rate and IP is inflation premium

According to the maturity length, a Treasury yield is the effective annual interest rate that the United States government pays on the money it borrows to raise capital through the sale of Treasury bonds, also known as Treasury notes or Treasury bills.

The U.S. Department of the Treasury issues debt obligations under the name "Treasury securities," which includes Treasury bills, notes, and bonds. Because they are backed by the full faith and credit of the United States government, Treasury securities are among the safest investments.

To learn more about treasury securities visit https://brainly.com/question/15036738

#SPJ4

what is the optimal pigouvian tax to address the externality? b) after the tax in (a) is imposed, what are the levels of cs, ps, environmental damage, and tax revenue?

Answers

At the quantity of pollution that is socially optimal, the optimal Pigouvian tax is equal to the marginal social cost of pollution.

How does a Pigouvian tax resolve the issue of externality?

Pigouvian taxes are primarily used to combat market inefficiencies by raising the marginal private cost by the negative externality's generated amount. The total social cost of the economic activity will be reflected in the final cost (original cost minus tax).

To deal with a positive externality, what is the pigovian solution?

A pigouvian subsidy is one that is used to encourage behavior that benefits society as a whole or other people who are not involved. Positive externalities are behaviors or actions that benefit people who are not involved in the transaction.

Learn more about Pigouvian tax here:

https://brainly.com/question/28507959

#SPJ4          

if a government wants to obtain the maximum tax revenue it should a. assess the highest possible tax rate. b. not assess the highest possible tax rate. c. use static tax analysis. d. use an ad valorem system for collecting taxes.

Answers

If a government wants to obtain the maximum tax revenue it should b. not assess the highest possible tax rate..

Revenue is the whole amount of income generated by using the sale of goods and services related to the primary operations of the commercial enterprise. Business revenue will also be referred to as sales or as turnover. Some companies acquire revenue from interest, royalties, or different fees.

Sales is the entire quantity of income generated by way of the sale of goods or offerings associated with the agency's number one operations. sales, also known as gross sales, is frequently called the "top line" because it sits at the pinnacle of the profits announcement.

Learn more about revenue here:https://brainly.com/question/16232387
#SPJ4

true or false: if market testing returns with positive results, the firm is then ready to introduce the product to the entire market, which is called a product launch.

Answers

The answer is true. There are several techniques to assess your product's potential. Consignment testing, paid surveys, market research smartphone apps, and independent market researchers, for instance, are all affordable alternatives to test-market your product.

Before releasing a new product, it pays to collect user input. After the product and its marketing plan are finalized, the following phase entails determining how marketable the suggested product is. The examination and techniques of the new product's projected sales, costs, and profits are part of this step in the new product development process. the procedure used to launch a new product onto the market for initial sales.

To learn  more about product, click here.

https://brainly.com/question/22852400

#SPJ1

madsen motors's bonds have 12 years remaining to maturity. interest is paid annually, they have a $1,000 par value, the coupon interest rate is 12%, and the yield to maturity is 14%. what is the bond's current market price? round your answer to the nearest cent.

Answers

Market Value of the Bond is $304 when bonds have 12 years remaining to maturity and  interest is paid annually, they have a $1,000 par value.

According to given data

Assuming the Face value of the bond is $1,000

Coupon payment = C = $1,000 x 12% = $120 annually

Number of periods = n = 12 years =

Current Yield = r = 14% / 2  = 7% semiannually

Market Value of the Bond = C x [ ( 1 - ( 1 + r )^-n ) / r ] + [ $1,000 / ( 1 + r )^n ]

Market Value of the Bond = $120 x [ ( 1 - ( 1 + 14% )^-12 ) / 14% ] + [ $1,000 / ( 1 + 14% )^12 ]

Market Value of the Bond = $96 + $ 208= $304

Learn more on Market Value -

https://brainly.com/question/17280121

#SPJ4

carrie bought a house five years ago for $120,000. at that time she borrowed $110,000 from her bank. the house is now worth $142,000. her pmi will automatically be dropped when her mortgage balance drops to:

Answers

The sum of all a person or company's assets, minus any obligations or liabilities, is their net worth.

What is the formula for net worth?

All assets are subtracted from all liabilities to determine net worth. Assets are things owned that have monetary value, while liabilities are things like loans, accounts payable (AP), and mortgages that use up resources.

Is a high net worth a sign of wealth?

Well, Americans believe that a person is considered wealthy if they have a net worth of $1.9 million, as stated in Schwab's 2021 Modern Wealth Survey (opens in new tab).Your net worth is the difference between your assets and liabilities.)

Learn more about net worth here:

https://brainly.com/question/27218751

#SPJ4          

a company determines that the number of units sold is the cost driver for its variable selling and administrative expense budget. the product of its variable selling and administrative rate and budgeted unit sales will be .

Answers

The product of the company's variable selling and administrative rate and budgeted unit sales will be the company's variable selling and administrative expense budget.

What is budget?
A budget is an estimate of income and expenditures for a given future period of time, and it is typically created and updated on a regular basis. A person, a group of people, a business, a government, or pretty much anything else that makes and spends money can all have budgets. Budgeting is essential if you want to control your monthly spending, be ready for life's unforeseen events, and be able to buy expensive items without going into debt. It doesn't have to be tedious, you don't have to be good at math, and keeping track of your income and expenses doesn't mean you can't purchase the items you want. Simply put, it indicates that you will have more financial control and knowledge of your spending.

To learn more about budget, click the links
https://brainly.com/question/6663636
#SPJ4

a project has a 0.92 chance of doubling your investment in a year and a 0.08 chance of halving your investment in a year. what is the standard deviation of the rate of return on this investment? (do not round intermediate calculations. round your answer to 2 decimal places.)

Answers

40.69 % is the standard deviation of the rate of return on this investment.

Economically, an investment is the purchase of goods that are not consumed today but are used to accumulate wealth in the future. In the financial world, an investment is a financial asset that is purchased with the idea that the asset will generate additional income or will be sold later for a profit at a higher cost.

How does investing work? Simply put, investing works when you buy assets at a low price and sell them at a high price. This type of investment return is known as capital gain. Selling assets for a profit for a return or capital gain is one way to make money with your investments.

Learn more about investment here

https://brainly.com/question/27717275

#SPJ4

the net realizable value of accounts receivable represents an estimate of the amount of the accounts receivable that a company realistically expects to collect. this statement is

Answers

Accounts receivable are represented at their net realizable value, which is the sum of money anticipated to be received.On the basis of past patterns and other pertinent data, losses from problematic accounts are foreseen and eliminated. This statement is true .

What is the net realizable value of accounts receivable?The net amount of accounts receivable that will be collected is referred to as NRV for accounts receivable.This is the gross amount of receivables less any provision for doubtful accounts, which subtracts the amount from the total amount of receivables that the business does not anticipate receiving. The amount by which the forecasted selling price of an asset exceeds the total of any additional costs anticipated to be incurred during the sale of the asset is known as Net Realisable Value (NRV).When valuing inventory, NRV is quite important. The cash sum that a corporation anticipates receiving is known as net realizable value (NRV).Consequently, net realizable value is also known as cash realizable value.The terms "net realizable value" and "current assets" are frequently used in relation to inventory and accounts receivable. Accounts receivable are often listed as "accounts receivable, net" on a company's balance sheet.This refers to net realizable value, which is defined as accounts receivable less the amount set aside for dubious or uncollectible accounts.

To learn more about net realizable value refer

https://brainly.com/question/794345

#SPJ4

you find a zero coupon bond with a par value of $10,000 and 18 years to maturity. the yield to maturity on this bond is 5 percent. assume semiannual compounding periods. what is the dollar price of the bond?(do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

The value of the zero coupon bond is 4156.27

At maturity, a zero-coupon bond is redeemed for its face value. The bond does not pay any more interest payments aside from that. Instead, the bond usually trades at a significant discount to its face value.

Par value of the bond = $10,000

Years to maturity = 18 years

Yield to maturity rate = 5%

Compounding semi-annually

Using the formula to calculate the price of the bond:

Zero coupon bond = F/(1 + r)^T

where F = face value/par value

r = rate of yield

t = time in years

Substituting the values in the formula, we get:

Zero coupon bond = 10000/(1 + 5%)^18

= 10000/(1.05)^18

= 10000/2.406

= 4156.27

Learn more about bonds:

https://brainly.com/question/23266047

#SPJ4

a portfolio business that generates operating cash flows over and above internal requirements, thereby providing financial resources that may be used to finance new acquisitions, fund share buyback programs, or pay dividends, is commonly called a multiple choice cash hog. cash cow. star business. question mark. cash dog.

Answers

A cash cow is a portfolio business that generates operating cash flows over and above internal requirements, thereby providing financial resources that may be used to finance new acquisitions, fund share buyback programs, or pay dividends.

What is portfolio?
A portfolio is a group of financial investments such as stocks, bonds, commodity markets, cash, and cash equivalents, which may include closed-end funds and exchange traded funds (ETFs). People commonly believe that stocks, securities, and cash form the foundation of a portfolio. While this is frequently the case, it does not have to be the rule. A portfolio may include a diverse range of assets, such as real estate, art, and investments.

You can hold and manage your portfolio a do, or you can have it managed by a money manager, money manager, or another finance professional.

Therefore, the correct option is (B) cash cow
To learn more about portfolio
https://brainly.com/question/25929259
#SPJ4

the records of california marine products, incorporated, revealed the following information related to inventory destroyed in an earthquake: inventory, beginning of period$ 300,000 purchases to date of earthquake160,000 net sales to date of earthquake450,000 gross profit ratio30% the estimated amount of inventory destroyed by the earthquake is:

Answers

$145000 be estimated amount of inventory destroyed by the earthquake

Inventory, beginning of period =$300,000

Purchase to date of earthquake=$160,000

Total amount=$460,000

Less Cost of sales

Net Sales to date of earthquake=$450000

Less: Gross Profit= $450000*30%

                            =$135000

Total amount=$450000-$135000

                      =$315000

Estimated amount of inventory destroyed by earthquake=$460000-$315000

                  =$145000

Estimated amount =$145000

learn more about Estimated amount here

https://brainly.com/question/23821875

#SPJ4

when making historical comparison's of one's income, is it better to use real income or nominal income for the basis of your comparison? explain why one makes a better comparison than the other.

Answers

when making historical comparison's of one's income it is better to use real income

What distinguishes real from nominal income, and why is real income more significant?

Real income, commonly referred to as real salary, is the amount of money that a person or organisation actually makes after accounting for inflation. Real income is distinct from nominal income, which does not undergo any modifications. To have the best knowledge of their purchasing power, people frequently closely monitor the difference between their nominal and actual income.

hence , we can say real income is better when making historical comparison's of one's income

to know more about real income follow the given link https://brainly.com/question/28920570

#SPJ4

roth company has current sales of 28,900 units and each unit sells for $130 per unit. break-even sales are 25,721 units. what is the margin of safety in dollars?

Answers

The dollar amount of the margin of safety is 413270.

A company's margin of safety is the amount of revenue it generates that is greater than its break-even point. Break-even sales are subtracted from actual sales to determine the margin of safety.

Break-even sales = 25,721 x $130 = 3343730 Margin of safety = 3757000 - 3343730 = 413270 The dollar amount of the margin of safety is 413270. Total Sales = 28,900 x $130 = 3757000.

How is the margin of safety calculated?

The difference between the expected profitability and the break-even point is the margin of safety. Divide current sales by the breakeven point to arrive at the margin of safety formula.

Learn more about margin of safety here:

https://brainly.com/question/9797559

#SPJ4          

yazou, inc. has property that has become outdated, but still has some value. if yazou wants to recognize the loss associated with the outdated property, it should:

Answers

For tax purposes, a corporation that distributes property that has increased in value will treat the distribution as if it had sold the property to the shareholder at its fair market value.

However, the corporation does not suffer any losses from the distribution of property whose value has decreased.

The S Corporation gain is distributed to all S Corporation shareholders based on their share ownership percentage when appreciated property is distributed to a single shareholder. This gain could come from capital or regular income.

How is gain or loss on liquidation calculated?

This is determined by starting with the higher of the carrying amount of liabilities assumed by shareholders or the fair market value (FMV) of the distributed assets. After that, deduct the assets' adjusted tax basis. The gain or loss to be acknowledged is your response.

Learn more about shareholder here:

https://brainly.com/question/14032844

#SPJ4          

alexa owns a coffee shop. the following information is from her accountant: expenses: advertising $37.00 coffee, cups, sweetener, flour, etc. $7.69 per cup of coffee and a muffin monthly rental $145.00 what will her break even point be if she sets the price for coffee and a muffin at $11.69.

Answers

Alexa must sell 17 coffee and muffins to break even

Advertising expense = $37.00

Coffee, cups, sweetener, flour etc expense = $7.69

Rent = $145.00

Total cost = 37 + 145 + 7.69

= 189.69

Price of coffee and a muffin = $11.69

Let x be the number of coffee and muffin being sold by Alexa:

The break-even threshold is reached when overall costs and total revenues are equal, leaving your small firm with no net benefit or loss. In other words, you've achieved the point in production where the revenue from a product equals the cost of manufacture.

Break-even point:

11.69x = 189.68

x = 16.22 or 17

So, she must sell 17 coffee and muffins

Learn more about break-even:

https://brainly.com/question/13770712

#SPJ4

how does it benefit retailers when customerhow does it benefit retailers when customers order products online but pick them up in the store?s order products online but pick them up in the store? multiple choice question. it requires fewer allocation systems. it reduces the need to offer coupons. it allows for lower inventory levels. it leads to additional sales.

Answers

BOPIS is for reducing inventory levels. The abbreviation BOPIS means "buy online, pick up in-store."

Other names for the BOPIS approach include click and collect, curbside pickup, and ROPIS (reserve online, pick up in-store). With BOPIS, customers can avoid high shipping costs, protracted delivery times, and the need to ship back goods that don't fit or live up to their expectations.

The BOPIS model is being used by retailers all over the world to satisfy consumer expectations. This well-liked retail strategy combines online and in-person pickup to give customers the best of both worlds.

You may bridge the gap between the conventional brick-and-mortar and online purchasing experiences by offering the option to buy online and pick up in store.

The pandemic has sped up the increase of BOPIS sales revenue, which was already up an average of 35% during the 2019 holiday season.

Learn more about online marketing at

https://brainly.com/question/13034290?referrer=searchResults

#SPJ4

true or false: the cost of a plant asset includes not only the acquisition price but also all reasonable and necessary expenditures to prepare the asset for use.

Answers

It is true that the cost of a plant asset includes not only the purchase price but also any reasonable and necessary costs associated with getting the asset ready for use.

A plant asset's acquisition cost is the amount of cash or cash equivalents paid to acquire and install the asset in its proper location. As a result, the cost includes everything that is typical, reasonable, and required to acquire the asset and prepare it for use.

How is a plant asset's cost determined?The amount of cash actually paid by an individual or organization is used to calculate the cost of a plant asset in a cash transaction.The cash equivalent price paid is used to measure the cost of a plant asset when the non-cash transaction is used.

Learn more about plant asset here:

https://brainly.com/question/17643298

#SPJ4          

positive impact of international trade on bhutanese economy​

Answers

International trade allows countries to expand their markets and access goods and services that otherwise may not have been available domestically. As a result of international trade, the market is more competitive. This ultimately results in more competitive pricing and brings a cheaper product home to the consumer.

dontae's employer has offered him the following employment package. salary $ 400,000 health insurance 10,000 dental insurance 1,500 membership to heflin country club 20,000 season tickets to atlanta braves games 5,000 tuition reimbursement for graduate courses 4,000 housing allowance (for a mcmansion in his neighborhood of choice) 40,000 what is dontae's gross income from his employment?

Answers

400,000 is is dontae's gross income from his employment for the given question

gross income is the incomes you get without deducting taxes, insurance etc.. net income is the income you get considering every single of the mentioned. In Dontae's case, the gross income is his salary (400,000 which is the answer to your question), and the net income is 400,000 - Health insurance ( 10,000) - dental insurance ( 1,500) - country club membership( 20,000) -season tickets ( 5,000) - graduate courses (4000) - housing (40,000)  which gives us 319,500 as net income

To know more about the deduction formula must visit here :

brainly.com/question/13799624

#SPJ4

suppose you win the lottery with a jackpot of $30 million. but that's $30 million if you wait 25 years to get your payout. what is the value you could get today if the interest rate is 7%? group of answer choices $1,200,000 $5,527,475.33 $162,822,979.20 $6,236,094.54

Answers

The value that can be received today is $5,527,475.33 if the interest rate is 7%.

The value that can be received today if the interest rate is 7% can be calculated by using the formula for compound interest. This formula can be given as;

A = P (1 + r/n)^nt

Here, A represents the final amount, P represents the initial balance (which we have to find in this case), r represents the interest rate, n illustrates the number of times interest applied per time period and t represents the number of time periods elapsed.

Now by substituting the given values, we can find the value that can be received today as follows;

A = P (1 + r/n)^nt

30,000,000 = P (1 + 0.07/1)^25×1

30,000,000 = P (1 + 0.07)^25

30,000,000 = P (1.07)^25

P = 30,000,000 ÷ (1.07)^25

P = 5,527,475.33

Therefore, the value that can be received today is calculated to be $5,527,475.33

To learn more about interest rate; click here:

https://brainly.com/question/25793394

#SPJ4

the marginal propensity to consume is: group of answer choices total consumption in a given period divided by total disposable income the fraction of each additional dollar of disposable income spent on consumption the percentage of total disposable income spent on consumption that part of the consumer dollar that goes to the purchase of investment goods

Answers

The percentage of every additional dollar of disposable income spent on consuming is known as the marginal propensity to consume. Here option B is correct answer.

The marginal propensity to consume (MPC) is a concept used in economics to describe the portion of a customer's overall income rise that they spend on spending rather than saving.

The marginal propensity to consume (MPC) index measures the proportional increase in spending that occurs with income growth. It quantifies the portion of additional income that is spent on consumption as opposed to savings, to put it another way. The Keynesian economic theory uses MPS most commonly.

MPS is simply calculated as the difference between the observed change in income and the observed change in savings. A consumer's marginal propensity to save (MPS), in accordance with Keynesian economic theory, is the portion of an increase in overall income that they decide to save as opposed to spending on goods and services.

Complete question:

The marginal propensity to consume is:

A - Total consumption in a given period divided by total disposable income

B - The fraction of each additional dollar of disposable income spent on consumption

C - The percentage of total disposable income spent on consumption that part of

D - the consumer dollar that goes to the purchase of investment goods

To learn more about marginal propensity

https://brainly.com/question/19089833

#SPJ4

xyz corporation is a well-known seasoned issuer (wksi) and is planning to expand operations. xyz will need additional capital in stages for this expansion. if xyz does a shelf offering, how much time will it have to issue additional shares before it has to refile?

Answers

The well-known, seasoned issuer xyz organization intends to grow its business. In stages, xyz will require additional funding for this expansion long will xyz have to issue further shares after a shelf offering before it must refile.

8,500,000 shares of XYZ will be the total number of shares outstanding.

The term "shares outstanding" refers to the total number of a business's shares that are held by its shareholders, institutional investors, and insiders, as well as its restricted shares, excluding the treasury shares that the company itself holds.

Following is what we can infer from the question: organization

7,000,000 shares were issued in the initial public offering.

Purchased Treasury Stock = 500,000

Shares sold prior to the offering's expiration date plus an additional 3 million shares equals 2,000,000.

Therefore, the following formula can be used to determine the number of shares outstanding: Shares issued in the IPO less shares bought with Treasury stock plus shares outstanding Shares exchanged prior to the expiration date of organization.

Learn more about shares hear :

https://brainly.com/question/19540562

#SPJ4

if a company uses straight-line depreciation, the average investment is calculated as: (check all that apply.) multiple select question. (beginning book value - salvage value)/2. (beginning book value salvage value)/2. (initial investment salvage value)/2. initial investment - salvage value)/2.

Answers

The average investment is determined using straight-line depreciation as follows: Average Investment = (Beginning Book Value + Salvage Value)/2.

Investments on average mean:

The start-up capital or sum of money required to launch a firm can be referred to as average investment.

Using the straight-line method The formula below can be used to get the average investment:

Average Investment equals (Starting book value + Salvage value) / 2.

Conclusion The average investment is equal to (starting book value plus salvage value) / 2.

Subtract the initial cash investment from the capital asset's projected residual value. By dividing this sum by the number of years the asset will be in use, you can calculate yearly depreciation. Depreciation is subtracted from the projected cash flow.

To learn more about Investments on average refer to:

https://brainly.com/question/1305349

#SPJ4

The average investment is determined using straight-line depreciation as follows: Average Investment = (Beginning Book Value + Salvage Value)/2.

Investments on average mean:

The start-up capital or sum of money required to launch a firm can be referred to as average investment. Using the straight-line method The formula below can be used to get the average investment: Average Investment equals (Starting book value + Salvage value) / 2. Conclusion The average investment is equal to (starting book value plus salvage value) / 2. Subtract the initial cash investment from the capital asset's projected residual value. By dividing this sum by the number of years the asset will be in use, you can calculate yearly depreciation. Depreciation is subtracted from the projected cash flow.

To learn more about Investments on average refer to:

brainly.com/question/1305349

#SPJ4

exxon pays for 40% of its raw materials purchases in the month of purchase and 60% in the following month. if the budgeted cost of raw materials purchases in july is $256,550 and in august is $278,050, then in august the total budgeted cash disbursements for raw materials purchases is closest to:

Answers

The total budgeted cash outlays for raw material purchases are close to $265,150.

What is budgeted cost?A budgeted cost is a projected future expense that the company expects to incur. In other words, it is an estimated expense that management expects to incur in the future based on projected revenues and sales. The difference between your static budget and the actual figures for your company's income and expenses is referred to as "budget vs. actual." Budget vs. actual is bookkeeping jargon for budget vs. actual variance analysis. Cost budgets detail the costs of running your business, managing a project, or developing a product. It tells you how much money you expect to pay out over a specific time period and includes items like labour and utility costs.

Therefore,

Catano Corporation pays 40% of its raw material purchases in the month of purchase and 60% in the month following. If the budgeted cost of raw material purchases in July is $256,550 and $278,050 in August,

Cash disbursements:

From July= 256,550 × 0.60 = 153,930

From August= 278,050 × 0.4 = 111,220

Total= $265,150

To learn more about budgeted cost, refer to:

https://brainly.com/question/27201970

#SPJ4

. what would be the value of the bond described in question a. if, just after it has been issued, the expected inflation rate rose by 3 percentage points, causing investors to require a 13 percent return? would we now have a discount or a premium bond

Answers

The bond's value is $837.213, and it is a discount bond or a premium bond

Solution

Due to that

13%, which is higher than the coupon rate, represents the rate of return.

This indicates that investors expect a return that is greater than the return offered by bonds. As a result, the bond's value drops and it turns into a discount bond.

Now,

Listed below is the bond's value:

[Coupon rate in year 1 / (1 + Investor return)] = Bond value

(1 + Investor return) / (1 + Coupon rate in year 2)

[1 + Investor return / 2 + Coupon rate in year n] Par value + (Investor Return + Par Value)n

Thus,

= [ $100 / (1 + 0.13)1 + $100 / ( 1 + 0.13)

2... $100 / ( 1 + 0.13)10 ] + $1000 / ( 1 + 0.13 ) 10

= $542.62 + 294.58

= $837.21

Bond value will be $837.213.

To know more about the discount bond visit here :

brainly.com/question/16751761

#SPJ4

Other Questions
Select all the equations that have the same solution as 2x-5=15 after driving a portion of the route, the taptap is fully loaded with a total of 23 people including the driver, with an average mass of 65 kg per person. in addition, there are three 15- kg goats, five 3- kg chickens, and a total of 25 kg of bananas on their way to the market. assume that the springs have somehow not yet compressed to their maximum amount. how much are the springs compressed? a raised rectangular garden is two feet more than three times as long as it is wide. the depth of the pool is half the width. if the length is 11 feet, what is the volume? Bethany is building a storage trunk. 5ft long, 4ft height and 2ft wide. how much wood is needed to make the trunk What lifestyle choices can help reduce the risk of s*icide? The measures of the angles of a triangle are shown in the figure below. Solve for x. If f(x) = x is vertically stretched by a factor of 18 to g(x), what is the equation of g(x)? A father is 42 years old and his son is y years old. If the difference of their ages 28 years, what is the value of y? A group of people stacked into a pyramid on a raft in the ocean. The person on top is waving a flag as if to signal a ship.Name the artist and painting above. How has the artist used space effectively? 9.) What type of relationship is indicated by the following set of ordered pairs (linear or quadratic)? Explain/Showhow you know by finding successive differences X-2-10123Y=-4x-3Y14-1-6-1143910.) Write the equation for question 9 showing all your work for full credit. 11.) Calculate fl-7) for the equation you wrote in Q10. Pls answer all 3 question will mark Brainliest An empty 16 gallon tank is being filled with gasoline at a rate of 2 gallons per minute. State the Domain and Range using interval notation or set notation debbie and tom's bill for dinner was $58. They left a tip of $8.70. what percent of the bill was the tip? Question 5 50 POINTS!!!!!Place the adjective in the correct form to match the noun that it is describing.Unos calcetines de los nios son______ (verde) the ideal plantation in the south included which of the following: over 1000 acres over 50 plus slaves a division of labor system all of the above none of the above in the southern cotton kingdom a planter was one who: From 2014-2015 to 2024-2025, the number of students enrolled in an associate degree program is projected to increase by 23.1 %. If the enrollment in associate degree programs in 2014-2015 is 6,400,000 , find the increase and the projected number of students in an associate degree program in 2024-2025. Pretest: Unit 1Question 3 of 42Which of the following is an example of engineering, not science?Which of the following is an example of engineering, not science?OA. Predicting the precipitate formed during a chemical reactionOB. Adding lime to adjust the acidity of a lakeOC. Developing a machine to control the rate of a reactionOD. Determining the relative reactivity of two metalsSUBMIT OA. Predicting the precipitate formed during a chemical reactionOB. Adding lime to adjust the acidity of a lakeOC. Developing a machine to control the rate of a reactionOD. Determining the relative reactivity of two metalsSUBMIT What was the result of the investigative journalism that uncovered corruption and scandal in business and government?. student athletes argue that they have the right to form labor unions because they are treated like employees. which of the following, if true, would most likely strengthen this argument? a. student athletes enjoy decision-making powers in team selection processes. b. student athletes do not receive compensation for costs associated with health benefits and utility expenses. c. student athletes work over 40 hours a week in many cases and can be fired for poor performance. d. student athletes represent only one university team until they graduate. Rolls are being prepared to go to grocery stores. Divide 72 rolls into 2 groups so the ratio is 3 to 5 How to find oxidation number of ReO4^-?