answer.
Ask question
Login Signup
Ask question
All categories
  • English
  • Mathematics
  • Social Studies
  • Business
  • History
  • Health
  • Geography
  • Biology
  • Physics
  • Chemistry
  • Computers and Technology
  • Arts
  • World Languages
  • Spanish
  • French
  • German
  • Advanced Placement (AP)
  • SAT
  • Medicine
  • Law
  • Engineering
UkoKoshka [18]
2 years ago
7

Bob has the responsibility for product development, pricing, promotion, and distribution of Hi-Vee Vitamins for children. Bob's

job would not involve:
Business
1 answer:
mamaluj [8]2 years ago
6 0

Full question:

Bob has the responsibility for product development, pricing, promotion, and distribution of Hi Vee Vitamins for children. Bob's job would not involve:

A. test marketing.

B. concept testing.

C.pollution control.

D. getting the product to the right place.

Answer: C

Explanation:

Bob is a marketing professional who combines and applies effectively the elements of the marketing mix: product, price, place(option D from question) and promotion. Also working with such processes as options A and B. Pollution control would not in any way be part of his job.

You might be interested in
Which statement is an example of post-secondary education?
chubhunter [2.5K]
<span>The answer is C. Postsecondary alternatives are differed and may incorporate open or private colleges, universities, junior colleges, profession/specialized schools, professional/exchange schools, habitats for proceeding with instruction, grounds progress projects, and apprenticeship programs.</span>
3 0
2 years ago
Read 2 more answers
In a team that follows agile, how would a team member know what others are working on? 1. The Product Owner and the Facilitator
MaRussiya [10]

Answer:

Option 3 is the correct answer.

Explanation:

  • An agile operating paradigm corresponds to their functioning style, whereby the guidelines, like other types of functioning models, do never remain static in all situations but adjust appropriately to the conditions that occur as the research starts.
  • For all-inclusive marketing, the guidelines are also not strict and will concentrate mostly on design specifications.  

The other alternative in question is not linked to the specified scenario. So Option 3 is the best one.

8 0
2 years ago
What are the disadvantages of choosing the lease? Check all that apply.
Dmitriy789 [7]

1,2, and 5 are the answers

6 0
2 years ago
Read 2 more answers
The S&amp;P 500 Index is one of the most commonly used benchmark indices for the U.S. equity markets. Consisting of 500 companie
seropon [69]

Answer:

1. Based on my understanding of P/E ratios, in which of the following situations would the average trailing P/E ratio (current price divided by earnings per share over the previous 12 months) of the S&P 500 Index be higher?

Th e correct option is (<em>b). The outlook for the economy and the markets is for improvement. </em>

2. You invest $100,000 in 40 stocks, 20 bonds, and a certificate of deposit (CD). What kind of risk will you primarily be exposed to?  

Th e correct option is <em>(b). Portfolio risk   </em>

3. Generally, investors would prefer to invest in assets that have:  

a. A higher-than-average expected rate of return given the perceived risk

Explanation:

1. Based on my understanding of P/E ratios, in which of the following situations would the average trailing P/E ratio (current price divided by earnings per share over the previous 12 months) of the S&P 500 Index be higher?

Th e correct option is (<em>b). The outlook for the economy and the markets is for improvement. If the outlook of the economy and the market prospects of the stocks are for improvements, it then means that the Price Per Earning of the stock will be increasing, which is a positive economic trend.</em>

<em>Moreover, since we are talking about the average P/E it can be inferred that in the very long run, average of the S&P 500 Price to Earnings (PE) ratio (since 1900) is approximately 15.8, and the ratio since 1946 (the post-World War II period) is 17.3, so, it is fair to call a "normal" PE ratio about 16.5, which is relatively stable over the years. </em>

 2. You invest $100,000 in 40 stocks, 20 bonds, and a certificate of deposit (CD). What kind of risk will you primarily be exposed to?  

Th e correct option is <em>(b). Portfolio risk  is the chance that the combination of assets or units, within the investments that you own, fail to meet financial objectives. Each investment within a portfolio carries its own risk, with higher potential return typically meaning higher risk. It can be computed as  the risk of the  two-securities portfolio, first take the square of the weight of  40 Stocks ($100,000.00)  and multiply it by square of standard deviation of  the 40 stocks. Repeat the calculation for 20 Bonds and a Certificate of Deposit.</em>

<em></em>

3. Generally, investors would prefer to invest in assets that have:  

a. A higher-than-average expected rate of return given the perceived risk <em>Yes they will because a higher -than average expected rate of return will inform the investor the type of strategies to adopt to guarantee the expected earnings containing the risk. </em>

<em></em>

5 0
2 years ago
Target profit is $100,000; fixed overhead costs are $120,000 and fixed selling and administrative costs are $50,000. If total va
vlada-n [284]

Answer:

40%

Explanation:

The markup percentage to the variable cost using the variable cost method can be obtained by dividing the addition of the target profit and total fixed cost by the total variable cost as follows:

Total fixed cost = Fixed overhead costs + Fixed selling and administrative costs = $120,000 + $50,00 = $170,000

The markup percentage to the variable cost = (Target profit + Total fixed cost) / Total variable cost = ($100,000 + $170,000) / $675,000 = $270,000 / $675,000 = 0.40, or 40%.

Therefore, the markup percentage to the variable cost using the variable cost method is 40%.

3 0
2 years ago
Other questions:
  • Wyatt's annual take-home pay is $39,000. what is the maximum amount that he can spend per month paying off credit cards and loan
    15·2 answers
  • Cindy wants to open a retail store in the mall where she can sell a few carefully selected lines of women's clothing. if cindy o
    8·1 answer
  • Spurling et al. investigated the effects of two vocabulary learning strategies on word retention two weeks later. in this exampl
    7·2 answers
  • A(n) _______ can track where the user goes on the Internet and measure how long the user stays at any particular website. This t
    13·1 answer
  • Assume that demand for bottled water is relatively price elastic. An increase in supply of bottled water will result in which of
    7·1 answer
  • Cayuga Hardwoods produces handcrafted jewelry boxes. A standard-size box requires 8 board feet of hardwood in the finished produ
    10·1 answer
  • An investment project has an initial cost of $382 and cash flows $105, $130, $150, and $150 for Years 1 to 4, respectively. The
    15·1 answer
  • Your answer is incorrect. Try again. Blossom Corp. had total variable costs of $219,600, total fixed costs of $126,750, and tota
    7·1 answer
  • According to the Security Risk Management: Building an Information Security Risk Management Program From the Ground Up textbook,
    5·1 answer
  • Preparing Closing Procedures The adjusted trial balance of Parker Corporation, prepared December 31, 2018, contains the followin
    10·1 answer
Add answer
Login
Not registered? Fast signup
Signup
Login Signup
Ask question!