Airlines that offer lower fares on seats shortly before the flight’s departure date to fill empty seats are utilizing what type of pricing tactic: Dynamic pricing.
Dynamic pricing can be defined as the situation where a company or business owner decide to change the price of the product due to low demand or when the price of a product is slice down or reduce due to market demand for such product.
Based on the given scenario the airline is making use of dynamic pricing due to low patronage so as to attract people.
Inconclusion airlines that offer lower fares on seats shortly before the flight’s departure date to fill empty seats are utilizing what type of pricing tactic: Dynamic pricing.
Learn more about Dynamic pricing here:https://brainly.com/question/6481084
How will the increase in government spending financed by borrowing affect national savings?.
Increament in government spending which is financed by borrowing will most likely affect national savings.
This is because borrowing money means you are spending from your future income.
The negative effect of spending borrowed money will most likely be felt when the money is not used for money yielding ventures.
This means that when borrowed money is not used to boost the economy of a country, it will most likely lead to the depletion of the national savings or reserve.
Viable areas to utilizing borrowed moneyInfrastructure development powerEducation HealthTransportation ResearchLearn more about National Savings at https://brainly.com/question/15109837
What two reasons does the text give as to why fdi has outpaced world trade and world output?.
According to the Blank______ market school of thought, companies can improve the foreign exchange market's estimate of future exchange rates by investing in forecasting services. Multiple choice question.
The inefficient market school of thought, companies can improve the foreign exchange market's estimate by forecasting services.
What is inefficient market school of thought all about?This is school of thought that explains how investing in forecasting services can help to improve the foreign exchange market's estimate.
Learn more about market at;
https://brainly.com/question/24448358
The measure of how much one currency is worth in relation to another is referred to as.
Answer:
Currency Exchange Rate
Explanation:
Why is a savings account better than a checking account for saving money?
Read More >>
Answer:
A checking account is a type of bank deposit account that is designed for everyday money transactions. ... Savings accounts have higher interest rates than checking accounts, meaning it is better to let large sums of money (e.g., an emergency fund) sit in savings instead of checking.
Explanation:
Checking accounts are better for everyday transactions such as purchases, bill payments and ATM withdrawals. ... Savings accounts are better for storing money and earning interest, and because of that, you might have a monthly limit on what you can withdraw without paying a fee.
A savings account is better than a checking account as it offers a potentially higher rate of interest for the customer.
What is a savings account?The most basic type of bank account in which a customer deposits his or her money, with an intention to earn monetary gains and safekeeping of his or her funds, is known as a savings account.
A checking account is ideal for someone who conducts numerous transactions on a daily basis. It also offers a lower rate of interest as compared to a savings account.
Hence, the significance of a savings account is aforementioned.
Learn more about a savings account here:
https://brainly.com/question/3811440
#SPJ2
Planning, budgeting, obtaining funds, managing receivables, payables, and inventory, and managing taxes are all part of a(n) ________ job.
Planning, budgeting, obtaining funds, managing receivables, payables, and inventory, and managing taxes are all part of a(n) financial manager job.
Who is a financial manager?A financial manager can be defined as the person whose sole responsibility is to manage the finance of a company or an organization.
Every company needs a financial manager as they help to plan and manage the resource of the company as well as the revenue of the company.
Inconclusion Planning, budgeting, obtaining funds, managing receivables, payables, and inventory, and managing taxes are all part of a(n) financial manager job.
Learn more about financial manager here:https://brainly.com/question/1279044
PLEASE HELP ASAP WILL GIVE BRAINLIEST
What happens if the amount of withholding taken from your pay is greater
than the amount you owe in taxes?
O A. You receive the differences as a credit.
O B. You receive a deduction.
O C. You receive a refund.
O D. You receive a royalty.
Answer:
C
Explanation:
how supply and demand affect the price of a good
Answer:
According to the law of supply and demand, when the demand of a good exceeds supply, the price of the good tends to rise. But when the supply of a good exceeds demand, the price of the good tends to fall.
All the design decisions involving personnel and their roles and responsibilities reflect the ________ structure of the organization
The functional structure of an organization incorporates the design decisions involving personnel and their roles and responsibilities.
What is a functional structure?The functional structure is a firm structure which is organized into different departments based on areas of expertise.
Thus, the functional structure of an organization incorporates the design decisions involving personnel and their roles and responsibilities.
Read more about functional structure
brainly.com/question/7628770
In a closed economy, if y and t remained the same, but g rose and c fell but by less than the rise in g, what would happen to public and national saving?.
A situation where the g rose and c fell the effect on public and natioa;l savings is that public and national saving would fall.
What is national savings?This is a term that is used to refer to the sum of the private and the public savings that exists in an economy.
When the following happens in a closed economy, it would lead to a fall in the public and the national savings.
Read more on national savings here: https://brainly.com/question/15109837
An important decision to be made while designing a responsive organization is about the size of the span of.
Answer:An important decision to be made while designing a responsive organization is about the size of the span of _control_
Explanation:
While forming a responsive organization, the most important decision to be taken to decide the size of span of control.
What is control?Control is the state where the managerial officials of an entity creates influence on the workforce engaged.
Responsive organization is one of a type which is ready to adapt the trending changes in the current scenario. it is designed in such a way so that it reacts promptly towards the needed change in the organization rather than avoiding or ignoring it. The workforce and related parties are very responsive towards the changing scenarios of the environment very quickly.
Therefore, the span of control would be the most important decision to be taken while creating a responsive organization.
Learn more about the span of control in the related link:
https://brainly.com/question/3352289
#SPJ2
How can i convince my parents to get me an apple watch for my birthday is 2 weeks
What term refers to a situation in which it's more efficient and actually more
desirable to have just one company rather than several competing companies?
Answer:
Natural monopoly is the term that refers to a situation where it's more efficient and actually more desirable to have just one company rather than several competing companies.
Explanation:
An example of a natural monopoly is the tap water. Logically, just having a single company providing a network of pipes and sewage systems works well, this is because there are very high capital costs when it comes to setting up a national network of water pipes and sewers. if you have two different companies offering water the mean cost would be very high compared to just one firm and one network.
Answer:
natural monopoly
Explanation:
Item 3 ________ refers to the number of individuals who receive a publication, either through subscription or store purchase.
food items with 45 purchased
In the ______ quadrant of the core competence--market matrix, the focus is on leveraging current core competencies to improve current market position.
The place in the quadrant where there is the focus is on leveraging current core competencies to improve current market position is known as:
existing competence--existing marketWhat is a Market?This is a place where buying and selling of goods or services takes place and a currency of value is exchanged.
With this in mind, we can see that in the existing competence--existing market, there is a focus is on leveraging current core competencies to improve current market position.
Read more about markets here:
https://brainly.com/question/26098648
________ are a popular solution for individuals and businesses where access speed is not essential, but capacity and durability are crucial.
Network drives are a popular solution for individuals and businesses where access speed is not essential, but capacity and durability are crucial.
What is Network drives?A network drive is a storage device on a local access network available within a business or home.
They are the hard drives that is directly into the network and can be used for data storage by any network user with proper credentials.
The network drive is generally located on a network-attached storage (NAS) device.
Learn more about the Network drives here:-
https://brainly.com/question/13361466
#SPJ2
Which of the following is an example of involuntary debt
Most people lose their jobs not because they could not do the work, but because they failed to get along and fit in with others
It's true to say that most people lose their jobs not because they couldn't get the job done, but because they couldn't establish interpersonal relationships effectively.
How important are interpersonal relationships?In a workplace, the relationship between employees is essential for creating an organizational culture focused on development, cooperation and motivation.
Therefore, it is essential to be able to relate to people with profiles and personality traits different from yours, as this is a positive way to increase knowledge and exchange experiences for personal development.
Find out more about interpersonal relationships here:
https://brainly.com/question/25709454
True or False? Buyer personas can help you identify your target audience's preferred content distribution channels.
It should be noted that Buyer personas can help you identify your target audience's preferred content distribution channels.
What is distribution channels?The distribution channels serves as a medium in which the goods from the producer get to the final consumer.
However, a Buyer personas can help you identify your target audience's since the audience( consumer) is needed for production to be completed.
Learn more about distribution channels at;
https://brainly.com/question/25160870
A transaction against a consumer's normal buying behavior can be used to do which of the following? question 1 options: create promotional campaigns identify similar customer behaviors detect fraudulent credit card transactions group the customer into a different category
The transaction is selling and buying valuables. Transaction against normal behavior can be used to catch scheming credit card transactions.
What is client behavior?The attitude and routine habits of an individual are called behavior. They follow a particular pattern in performing daily tasks.
The irregular or abnormal behavior of an individual is essential in detecting frauds in banking, insurance, laundering, etc.
The normal transaction habits of the customers can be used to compare them with suspicious-looking patterns thus, detecting frauds.
Therefore, option C. transactions against normal purchasing behavior can be used to detect frauds.
Learn more about abnormal behavior here:
https://brainly.com/question/27074307
If the price of a good increases, all else the same, then the consumer's total utility will increase. decrease. remain the same as consumption shifts to cheaper goods. decrease if there are no substitutes for the good and remain the same if there are substitutes for the good.
When the price of a good increases, all else the same, then the consumer's total utility will decrease.
What is utility?Utility simply means the satisfaction that's gotten when one consumes a particular product.
In this case, it should be noted that when the price of a good increases, all else the same, then the consumer's total utility will decrease. This is because less products will be bought.
Learn more about utility on:
https://brainly.com/question/24922430
explain why accounting is important to business stakeholders
Answer:
the purpose of accounting is to help stakeholders make better business decisions by providing them with financial information.
The following data represent the beginning inventory and, in order of occurrence, the purchases and sales of Sox, Inc. For an operating period. Units Unit Cost Total Cost Units Sold Beginning Inventory 32 $72 $2,304 Sale No. 1 10 Purchase No. 1 28 80 2,240 Sale No. 2 32 Purchase No. 2 20 76 1,520 Totals 80 $6,064 42 Assuming Sox, Inc. Uses FIFO periodic inventory procedures, the ending inventory cost is
Assuming Soz, Inc. uses the FIFO periodic inventory procedures, the ending inventory cost is $2,960.
What is the FIFO periodic inventory system?The FIFO periodic inventory system assumes that goods sold first are the ones put in stock earlier.
To determine the ending inventory, the units bought last are used, and this calculation is always done at the end of the financial period, instead of when units are sold.
Data and Calculations:Units Unit Cost Total Cost Units Sold
Beginning Inventory 32 $72 $2,304
Sale No. 1 10
Purchase No. 1 28 80 2,240
Sale No. 2 32
Purchase No. 2 20 76 1,520
Totals 80 $6,064 42
Ending inventory = 38 (80 - 42) units
Ending inventory cost = $2,960 (20 x $76 + 18 x $80)
Thus, assuming Soz, Inc. uses the FIFO periodic inventory procedures, the ending inventory cost is $2,960.
Learn more about FIFO periodic inventory system at https://brainly.com/question/14917321
Which three components are characteristics of a Pitch Deck?
10-20 slides, Used To Get Investor Buy-in, and Highly Text-Based
10-20 slides, Used to Get Investors Attention, and Highly Visual
10-100 Pages, Used to Get Investors Attention, and Highly Visual
10-100 Pages, Highly Visual, and Highly Text-Based
Answer:
The correct answer should be (B) "10-20 slides, Used to Get Investors Attention, and Highly Visual".
Explanation:
It's the answer which makes the most sense within this context. Concise, but intriguing.
The following statement describes which of the following theories? _________ is a theory of management that analyzes and synthesizes workflows. Its main objective is improving economic efficiency, especially labor productivity.
Scientific management is a a theory of management that analyzes and synthesizes workflows.
What is scientific management?This is a theory that has to do with the management of businesses, industries, and the economy.
This theory is based on the theories that are derived from efficiency and work and production.
Read more on scientific management here:
https://brainly.com/question/13191706
What is one way to avoid plagiarism?
give credit for information taken from a source
copy information from a source word for word
use an excerpt from a source without identifying it
repeat a quote without mentioning the original speaker
Answer:
Give credit for information taken from a source.
Explanation:
Answer: (A) Give credit for information taken from a source.
Explanation: right on edge 2020
Profit equals the total amount of money made In Case • $1,500 a month for rented building • Will need two new employees • $2,000 for inventory expenses • $4,500 for equipment expenses Wrap It Up • $1,500 a month for a rented store • Will need five new employees • $1,500 for inventory expenses • $2,500 for equipment expensesminus
Answer:
In Case will require a less costly investment in labor, while Wrap It Up will require less capital in the long term.
Explanation:
These is the rest of the question;
Which statement correctly compares the two businesses? In Case will require a less costly investment in labor, while Wrap It Up will require less capital in the long term. In Case will require less capital in the long term, while Wrap It Up will require a less costly investment in labor. In Case will require a more costly investment in land, while Wrap It Up will have higher inventory costs. In Case will have higher inventory costs, while Wrap It Up will require a more costly investment in land.
The statement that correctly compares the two businesses is "In Case will require a less costly investment in labor, while Wrap It Up will require less capital in the long"
From, the question, it is kind of comparisms between two entities i.e the businesses ""Wrap it up"" signifies that the amount spend on labor is less then it will affect all capital expenses since it will be less too.
The factor of production here include labor as well as capital.
Alltech Company maintains a separate accounts receivable account for each customer. On June 18, Alltech provides $6,300 of services on account to customer Anthony and $1,200 of services on account to customer Walker. How will these two transactions affect the control and subsidiary accounts?
Answer:
B. The control account, Accounts Receivable, will be increased with a debit of $8 300
Explanation:
According to the given situation, in total, the Alltech company makes sales of 2, one for $6,300, and the other for $2,000. The total of sales will be computed by adding both sales that are $6,300 + $2,000 = $8300 will therefore be booked and control and receivables will be boosted with a debit of $8,300.
Therefore, the correct answer is B.
Interest Practice
How much would x dollars earn in 1 year at a rate of 4.4% compounded annually?
Answer:
x1.044 - x
Explanation:
The formula for calculating compound interest is as below
FV = PV × (1+r)^n
where FV = Future Value
PV = Present Value
r = annual interest rate
n = number of periods
How much would x dollars earn in 1 year at a rate of 4.4% compounded annually?
In this case, PV =X, r =4.4% and n=1
FV = x x ( 1+4.4/100)^1
Fv = x x( 1.044)^1
Fv = x1.044
x dollars will earn x1.044 - x
.) A currency dealer has good credit and can borrow either $1,000,000 or €800,000 for one year. The one-year interest rate in the U.S. is i$ = 5% and in the euro zone the one-year interest rate is i€ = 4%. The spot exchange rate is $1.25/€ and the one-year forward exchange rate is $1.40/€. a.) Show how to realize a certain profit via covered interest arbitrage.
A) Borrow $1,000,000 at 2%. Trade $1,000,000 for €800,000; invest at i_€=6%; translate proceeds back at forward rate of $1.20 = €1.00, gross proceeds = $1,017,600
B) Borrow €800,000 at i_€=6%. translate to dollars at the spot, invest in the U. S at i_$=2% for one year; translate €848,000 back into euro at the forward rate of $1.20 = €1.00 Net profit $2400
C) Borrow €800,000 at i_€=6%. translate to dollars at the spot, invest in the U. S at i_$=2% for one year; translate €850,000 back into euro at the forward rate of $1.20 = €1.00 Net profit $2000
D) Both C and B.
Answer:
The question does not fit the options, since the options all refer to a 2% interest rate in US dollars and a 6% interest rate in euros. While the question states that the interest rate in US dollars is 5% and the interest rate in euros is 4%.
The answer to the question is:
If you borrow $1,000,000 today, you will be able to purchase 800,000€. Or if you borrow 800,000€ today, you will be able to purchase $1,000,000.
Since the forward rate is higher, you should borrow dollars, invest in euros and after a year, purchase back dollars and pay back your debt.
Gain:
= 800,000€ x 1.04 = 832,000€ x 1.4 = $1,164,800, then you pay back your loan = $1,164,800 - ($1,000,000 x 1.05) = $1,164,800 - $1,050,000 = $114,800 gain
Options C will also yield gains:
option C = borrow 800,000€ and buy $1,000,000. After one year you will have $1,020,000 which you can use to purchase 850,000€. Your gain = 850,000€ - (800,000€ x 1.06) = 2,000€