Overhead is applied to work in process based on the predetermined rate times standard activity allowed in a(n):________

Answers

Answer 1

Overhead is applied to work in process based on the predetermined rate times standard activity allowed in a predetermined overhead rate system.

A predetermined overhead rate is calculated by dividing the estimated overhead costs for a specific period by the estimated standard activity level (such as machine hours, labor hours, or units produced) for the same period. This rate is predetermined and established before the actual production or activity takes place.

Once the predetermined overhead rate is determined, it is applied to work in process by multiplying it by the standard activity allowed for each job or unit of production. The standard activity allowed represents the expected level of activity or usage of the allocation base (e.g., machine hours) for a specific job or unit of production.

The purpose of applying overhead based on a predetermined rate is to allocate the estimated overhead costs to individual jobs or units in a systematic and consistent manner.

It allows for the indirect costs associated with production, such as factory rent, utilities, and depreciation, to be distributed across the various products or services based on their expected usage of the allocation base.

In conclusion, overhead is applied to work in process based on the predetermined rate times standard activity allowed in a predetermined overhead rate system.

This method ensures a consistent and systematic allocation of estimated overhead costs to individual jobs or units of production, aiding in accurate cost determination and cost control within a manufacturing or production environment.

To know more about predetermined overhead rate refer here:

https://brainly.com/question/31661645#

#SPJ11


Related Questions

help please and thank youuuuuu

help please and thank youuuuuu

Answers

Answer:

B I'm pretty sure sorry if I get it wrong

Answer:

sales tax

Explanation:

sales tax is a tax a costumer pays for certain goods and services

Fill in the gaps using second conditional. /2
If she (know) __________ the answer, she would win the prize.
If I (be) ___________ a rich man, I would buy a Mercedes Benz.
They would stay longer, if they (has) _________ more time.
If I (understand) __________ what the teacher said, I could tell you.​
plz tell hurry

Answers

Answer:

knew

were

had

understood

Tshering enterprise limited is planning to increase its sale by 30% in the next quarter.Identify the feature of management hight-lighted in the given statement.​

Answers

Answer: management is a goal oriented process

Roberta is a real estate licensee representing the buyer. The buyer asks to see homes in a specific neighborhood. Roberta refuses to show any homes in that neighborhood to the buyer and tells the buyer, Nobody from your country lives in that neighborhood. Has Roberta violated any fair housing laws?

Answers

Answer:

Yes.

Explanation:

The fair housing law act is a law prohibits discrimination in the process of renting  , buying or selling a house. This discrimination may be based on race , skin , color , sex , nationality ,or any other characteristic towards a protected group,

Declining the buyer the opportunity to inspects home in a particular neighborhood because nobody form his country lives in that area is an act that violates fair housing laws as the process seems to be biased towards a group of people from a particular country.

Assume that tastes change so that tennis is no longer as desirable to play as it is now. What would happen to the market for tennis balls?.

Answers

What will happen in the tennis ball market is demand follows, the equilibrium quantity is smaller, and the price is lower.

Market equilibrium is a condition in which the quantity demanded is equal to the quantity supplied at a certain price level. The definition of market equilibrium also means that the price of goods supplied is the same as the price demanded by buyers.

In business, you will certainly make a bargain to reach a certain price. It is this process that produces market equilibrium, where goods are sold and purchased at an agreed price.

The market equilibrium point is when the price tends to remain or is called the equilibrium price. This condition can occur based on the difference between supply and demand.

Demand that is higher than supply will cause prices to rise. Vice versa, a higher supply will make the price go down.

You can learn more about Market equilibrium here brainly.com/question/25300841

#SPJ4

Your rich great uncle left you some money to buy a new car. If you plan to purchase a foreign car, how might trade barriers impact the price that you have to pay for that car?

Answers

Answer:

you much money did your great uncle left for you

The trade barriers will impact negatively and it will raise the amount of payment for the car significantly.

Trade Barriers:No matter how big or wealthy a nation is, its industrial industry will need to look outside its borders for raw materials. However, some nations continue to oppose free trade. Some leaders still feel that free trade is not best for their economies and that it negatively affects their growth and employment. Others provide justifications for putting up barriers to commerce.Trade barriers for import of a car -Indian import taxes are high because the country promotes domestic and local industries. This is known as import substitution industrialization (ISI), a trade policy that focuses entirely on replacing import-based manufacturing and production with indigenous ones.

Therefore, the trade barriers will impact negatively and it will raise the amount of payment for the car significantly.

Know more about Trade Barriers from here:

https://brainly.com/question/1326741

#SPJ2

How a business handles money is called _____ risk.

Answers

It would be a financial risk

2. Optimal Portfolio: Edgar has three assets he can invest in: A risky stock with an expected return of 11% and a standard deviation of 14%, a risky bond with an expected return of 7.5% and a standard deviation of 9%, and a riskless bond with a return of 5%. The risky stock and risky bond have a coefficient of correlation of 0.31. a. 15 points. What is the expected return and standard deviation of the optimal risky portfolio? b. 15 points. What percentage of his money should Edgar put into each of these three investments if his coefficient of risk aversion is 3.4? c. 15 points. In the context of these models, what does a weight of less than 0 mean? What does a weight of more than 1 mean? What obstacles might you run into in the real world if you tried to build a portfolio with weights of less than 0 or greater than 1?

Answers

a. The expected return and standard deviation of the optimal risky portfolio cannot be determined without information on the investor's risk preferences and the risk-free rate.

b. The percentage allocation of funds to each investment depends on the investor's coefficient of risk aversion, but without that information, the specific weights cannot be calculated.

c. Weights less than 0 imply short selling or borrowing, while weights greater than 1 indicate leverage. Building portfolios with such weights can be challenging due to regulatory constraints, margin requirements, liquidity limitations, and increased risk.

a. To calculate the expected return and standard deviation of the optimal risky portfolio, we need to use the concept of portfolio diversification and the principles of modern portfolio theory. The optimal portfolio is determined by finding the combination of risky assets that provides the highest expected return for a given level of risk.

- Risky stock: Expected return = 11%, Standard deviation = 14%

- Risky bond: Expected return = 7.5%, Standard deviation = 9%

- Riskless bond (risk-free asset): Return = 5%

We also know the correlation coefficient between the risky stock and risky bond, which is 0.31.

To find the optimal portfolio, we need to consider the risk preferences of the investor. However, without information on the investor's risk preferences or the risk-free rate, we cannot determine the specific weights and expected return of the optimal portfolio.

b. To determine the percentage of money Edgar should allocate to each investment, we need to use the concept of the investor's coefficient of risk aversion. The coefficient of risk aversion measures an investor's willingness to bear risk.

A coefficient of risk aversion of 3.4, we can calculate the optimal portfolio weights using the Capital Allocation Line (CAL) equation:

Weight of risky stock = (Expected return of risky stock - Risk-free rate) / (Coefficient of risk aversion * Variance of risky stock)

Weight of risky bond = (Expected return of risky bond - Risk-free rate) / (Coefficient of risk aversion * Variance of risky bond)

The weight of the riskless bond will be the remainder (1 - weight of risky stock - weight of risky bond).

c. In the context of portfolio weights:

- A weight of less than 0 means that the investor has a short position or has borrowed money to invest, which implies selling assets they don't own. This is not common in traditional investment portfolios and is more associated with advanced trading strategies or derivatives.

- A weight of more than 1 means that the investor has leveraged their investment by borrowing money to invest more than their available capital. This amplifies both potential gains and losses.

In the real world, building a portfolio with weights less than 0 or greater than 1 can be challenging due to practical limitations and constraints. Some obstacles include:

- Regulatory constraints: Many investment regulations limit the extent of leverage and short selling activities.

- Margin requirements: Borrowing funds to invest usually involves margin requirements and additional costs.

- Availability of borrowing and lending opportunities: It may be difficult to find lenders or borrowers for certain assets or in certain market conditions.

- Increased risk and potential losses: Leveraging investments magnifies both gains and losses, leading to higher risk exposure and potential financial challenges if the investments perform poorly.

- Market liquidity: Trading large positions or engaging in short selling may be constrained by the liquidity of the underlying assets.

Overall, portfolio weights less than 0 or greater than 1 deviate from conventional investment practices and are typically associated with more sophisticated investment strategies and specialized trading approaches.

To know more about optimal risky portfolio, refer to the link below:

https://brainly.com/question/29416899#

#SPJ11

*URGENT HELP NOW*
What is the last step in planning your budget?
A.
ensuring your goals have flexible characteristics
B.
understanding your wants
C.
review and revisions
D.
determining your take-home income

Answers

Answer:

c

Explanation: last step is always review

Answer:

review and revisions

Explanation:

just took the test on PLATO and aced it.

Explain how finance and accounting work together.

Answers

Answer:

Finance and accounting work together to help businesses manage their money and make informed financial decisions. Finance is concerned with the management of money and investments, while accounting is concerned with the recording, summarizing, and reporting of financial transactions.

Accounting provides the financial information that finance professionals need to make decisions about things like investing, budgeting, and forecasting. Accounting records and tracks financial transactions, and produces financial statements like balance sheets and income statements.

Finance professionals use this information to make decisions about how to allocate resources, invest money, and manage risk. They may also be involved in managing the company's cash flow, analyzing financial data to identify trends and opportunities, and developing financial strategies to help the company achieve its goals.

In summary, accounting provides the data and information that finance professionals use to make informed decisions about how to manage the company's money, while finance is responsible for using that information to make strategic decisions about the company's financial future.Finance and accounting work together to help businesses manage their money and make informed financial decisions. Finance is concerned with the management of money and investments, while accounting is concerned with the recording, summarizing, and reporting of financial transactions.

Accounting provides the financial information that finance professionals need to make decisions about things like investing, budgeting, and forecasting. Accounting records and tracks financial transactions, and produces financial statements like balance sheets and income statements.

Finance professionals use this information to make decisions about how to allocate resources, invest money, and manage risk. They may also be involved in managing the company's cash flow, analyzing financial data to identify trends and opportunities, and developing financial strategies to help the company achieve its goals.

In summary, accounting provides the data and information that finance professionals use to make informed decisions about how to manage the company's money, while finance is responsible for using that information to make strategic decisions about the company's financial future.

Marginal utility is more useful than total utility in consumer decision making because
A.
it is possible to measure marginal utility but not total utility.
B.
consumers maximize utility by equalizing marginal utility from each good.
C.
optimal decisions are made by consuming until marginal utility becomes negative.
D.
consumers maximize utility by maximizing marginal utility from each good.
E.
optimal decisions are made at the margin.

Answers

Marginal utility is more useful than total utility in consumer decision making because optimal decisions are made at the margin (option E).

This is because consumers make decisions based on the additional satisfaction they receive from consuming one more unit of a good or service (marginal utility) rather than the total satisfaction they receive from consuming all units (total utility).

By comparing the marginal utility of different goods, consumers can determine how to allocate their limited resources to maximize their overall satisfaction. In this process, consumers will equalize the marginal utility per dollar spent on each good, ensuring that they get the most value out of their budget. The correct option is e.

For more about Marginal utility:

https://brainly.com/question/14597445

#SPJ11

During the introduction stage, total industry profit is:__________

Answers

During the introduction stage of a product life cycle, the total industry profit is typically low or negative. This is because the market for the new product is still being established, and there is often a high level of uncertainty and risk associated with the introduction of a new product.

Companies must invest heavily in research and development, marketing, and promotion in order to build awareness and generate demand for the new product.

At the same time, competitors are likely to be entering the market, which can lead to intense price competition and pressure on profit margins. As a result, industry profits may be low or even negative during the introduction stage.

Despite the challenges and risks associated with the introduction stage, it is a critical phase in the product life cycle because it lays the foundation for future growth and success. Companies that are able to successfully navigate the introduction stage can establish a foothold in the market and position themselves for future growth and profitability.

For more such questions on profit

https://brainly.com/question/1078746

#SPJ4

why irs warns millions across us to hold off on filing taxes

Answers

Millions of people in more than 20 states, including California, Colorado, and Florida, who got tax refunds the previous year are being urged by the IRS to postpone filing their taxes.

Briefing:-

According to the government, it wants to know if these tax breaks and special refunds are regarded as taxable income.

Can a firm be closed down by the IRS?

If you owe taxes and are unable to pay them, the IRS may shut down your company. The IRS has the right to take legal action to enforce a lien. The business might be forced to close its doors and all of its assets might be taken.

What causes a business audit by the IRS?

An IRS audit may result from excessive spending or significantly different expenses from one year to the next. Even though you could have a company credit card, you shouldn't make a lot of purchases. For instance, it may be suspicious to claim all of your meals throughout the working day as business costs.

To Know more about company credit

https://brainly.com/question/30699353

#SPJ4

The class trip is going to cost each of the fifty
students $130.00. If tax is 5%, what is the total
cost for the entire class?

Answers

Answer:

$6,825.00

Explanation:

50x$130=$6,500.00

$6,500 × 5% = $325.00

$325.+$6,500=6,825.00

Which two sentences describe characteristics of a partnership?
The owners are free from personal liability.
The owners pool their resources to raise capital.
The owners in a partnership are called members.
The business benefits because owners can share responsibilities.

Answers

Answer:

The owners pools their resources to raise capital

The business benefits because owners can share responsibilities

Explanation:

The partnership business is a form of business where two or more people come together to form a business, It entails pooling of resources together and joint management towards profit making.It is guided by partnership deed.

Members are referred to as partners and not members. It does not have a separate entity , hence the partners liabilities for debts

It has a close similarities to sole proprietorship but the membership varies from two - One hundred.

Answer:

The owners pools their resources to raise capital

The business benefits because owners can share responsibilities

Explanation:

Ms. Levebre is the president of a company that makes office supplies. She wants to sell office supplies to the federal government. Where can she find the rules and procedures for doing this?

Federal Register of Rules and Bylaws

Government Purchasing Rules

Federal Acquisition Regulations

U.S. Government Purchasing Rights

Answers

Answer:

Federal Acquisition Regulations

Explanation:

Ms. Levebre can find the rules and procedures for selling office supplies to the federal government in the Federal Acquisition Regulations (FAR). The FAR is a set of standardized guidelines that outline the process for acquiring goods and services from private businesses by the federal government. It provides information on the process for submitting bids, negotiating contracts, and fulfilling orders, as well as other important details related to doing business with the federal government.

Which of the following choices incur speculative risk?

a.stocks

b.fire insurance on a house

c.options

d.life insurance


e.high interest savings account

Answers

Answer: correct option is A.

Explanation: A speculative risk can be defined as risk that is taken willingly either it results in profit or loss and the stocks involve in probability of gain and loss making it a speculative risk.

Stocks incur speculative risk. Therefore option A is correct.

What are Stocks?

A stock usually referred to as equity, is a type of investment that denotes ownership in a portion of the issuing company. Shares, also known as units of stock, entitle their owners to a share of the company's assets and income in proportion to the number of shares they possess.

Common stock and preferred stock are the two primary categories of stocks.

Owners of common stock are entitled to dividends and the right to vote at shareholder meetings.

Common stockholders often do not have voting rights, while preferred stockholders typically get dividend payments ahead of time and are given preference over common investors in the event of a firm bankruptcy and asset liquidation.

To learn more about Stocks follow the link.

https://brainly.com/question/14649952

#SPJ2

Exports only account for a small percentage of u. S. Business for which two reasons?.

Answers

Companies are unfamiliar with opportunities. Companies are intimidated by language, culture and currency differences.

What percentage of U.S. businesses export?Currently, over 166,384 small enterprises export from the United States, making up about 96% of all exporters and 26% of total exports ($341 billion of $1.32 trillion) (166,384 of 173,459 exporters). Exports only account for a small percentage of U.S.Business.Companies are unfamiliar with opportunities. Companies are intimidated by language, culture and currency differences.For companies of all sizes, exporting can be profitable.Sales generally increase more quickly, more jobs are added, and employees make more money than in non-exporting businesses.Advantage in the marketplace.The United States is renowned throughout the world for its innovative products and services, excellent customer support, and ethical corporate methods.

To learn more about U.S. businesses export refer

https://brainly.com/question/10926816

#SPJ4

show work not excel thanks
1.3
a. A bond is sold at a discount. Given an interest rate of 4.0% convertible semiannually, a semiannual coupon of 1.75 and a book value of 97.75 immediately after the 10th coupon payment. Find the book value immediately following the 11th coupon payment.
Book value after 11th coupon: ___________
b. An 8-year bond has a semiannual coupon rate of 7.0% and a yield rate of 6.5% convertible semiannually. The bond premium amortized in the 11th coupon is 2.06; find the face value of the bond.
Face value of bond: ___________

Answers

a. Book value after 11th coupon: Approximately 98.92.

b. Face value of bond: Approximately 869.71.

How to calculate bond's book value?

a. To find the book value immediately following the 11th coupon payment, we need to determine the book value after the 10th coupon payment and then calculate the effect of the 11th coupon payment.

Given:

Interest rate (i) = 4.0% convertible semiannuallySemiannual coupon (C) = 1.75Book value after 10th coupon (BV₁₀) = 97.75

First, let's calculate the discount rate (d) using the formula:

d = 1 - (1 + i/2)^(-n)

where n is the number of periods

Since there are 2 semiannual periods per year and the bond is an 11-year bond, n = 11 * 2 = 22.

d = 1 - (1 + 0.04/2)^(-22)

= 1 - (1.02)^(-22)

≈ 0.338113

Next, we can calculate the book value immediately following the 11th coupon payment (BV₁₁) using the formula:

BV₁₁ = (BV₁₀ - C) * (1 + i/2) + C

where BV₁₀ is the book value after the 10th coupon payment

BV₁₁ = (97.75 - 1.75) * (1 + 0.04/2) + 1.75

= 96 * 1.02 + 1.75

≈ 98.92

Therefore, the book value immediately following the 11th coupon payment is approximately 98.92.

How to find bond's face value?

b. To find the face value of the bond, we need to calculate the bond premium amortized in the 11th coupon payment.

Given:

Coupon rate (r) = 7.0% semiannualYield rate (y) = 6.5% convertible semiannuallyBond premium amortized in the 11th coupon (P) = 2.06

Let's calculate the discount rate (d) using the formula:

d = 1 - (1 + y/2)^(-n)

where n is the number of periods

Since there are 2 semiannual periods per year and the bond is an 8-year bond, n = 8 * 2 = 16.

d = 1 - (1 + 0.065/2)^(-16)

= 1 - (1.0325)^(-16)

≈ 0.100646

Next, we can calculate the face value of the bond (F) using the formula:

F = (P * (1 + y/2)^(-n)) / (r/2)

where P is the bond premium amortized in the 11th coupon payment

F = (2.06 * (1 + 0.065/2)^(-16)) / (0.07/2)

≈ 30.44 / 0.035

≈ 869.71

Therefore, the face value of the bond is approximately 869.71.

Learn more about:book value

brainly.com/question/24099016

#SPJ11

Other things being​ equal, what is the effect of government deficit increases on interest​ rates?
A.
Interest rates rise.
B.
Interest rates decline.
C.
There is no impact unless the Federal Reserve decides to alter the money supply.
D.
Interest rates hold constant because the demand for credit decreases.

Answers

Other things being equal, the effect of government deficit increases on interest rates is that interest rates rise. The correct option is A.

When the government runs a deficit, it needs to borrow funds to cover the shortfall between its spending and revenue. This borrowing increases the demand for credit in the financial market. With higher demand for credit, the cost of borrowing, which is the interest rate, tends to increase.

Therefore, when the government has a larger deficit, it results in higher interest rates. It is important to note that this is a simplified explanation, and various other factors, such as the Federal Reserve's monetary policy decisions and the overall economic conditions, also play a role in determining interest rates. The correct option is A.

To know more about government deficit, refer here:

https://brainly.com/question/29617820#

#SPJ11

Managemnet is not only art and science but also a profession.Explain

Answers

Answer:

Art is wonderful art is beautiful are is mysterious art is so much more...

tcb corporation wants to offer $75 million worth of common stock solely to residents of its home state. the issue will not be registered at the federal level. what type of registration will tcb use to register with the state?

Answers

TCB wants to offer $75 million worth of common stock in its home state Qualification registration will TCB use to register with the state.

What Is Common Stock?

Common stock is a security that represents power in a pot. Holders of common stock handpick the board of directors and vote on commercial programs. This form of equity power generally yields advanced rates of return long term.

Why do companies issue common stock?

Companies issue shares to raise plutocrat from investors who tend to invest their plutocrat. This common stock is also used by companies for the development and growth of their businesses.

Learn more about common stock:

brainly.com/question/28039417

#SPJ4

A department store sells a pair of shoes with an 87% markup. If the store bought the pair of shoes for $55. 25, what is the selling price to the nearest dollar?.

Answers

The selling price of a pair of shoes to the nearest dollar is $103.

The selling price of a pair of shoes is to be calculated if a department store sells a pair of shoes with an 87% markup and bought it for $55.25.

Let's use the formula for markup percentage:

Markup percentage = (Markup/ Cost price) × 100

To calculate the selling price, we use the formula:

Selling price = (Markup + Cost price)

Where cost price = $55.25

Markup percentage = 87%

Markup = (87/100) × $55.25

= $48.02

Therefore, Selling price = Markup + Cost price

= $48.02 + $55.25

= $103.27

The selling price of a pair of shoes to the nearest dollar is $103.

To know more about selling visit:

https://brainly.com/question/30615010

#SPJ11

Operations management is the management of:

Answers

designing and controlling the process of production and redesigning business operation in the production of goods and services.

Henry recently set up a retail store in his hometown. He studied the pattern that other storeowners followed in obtaining new customers. All their current customers had referred the store to their friends and family. Their awareness basically spread through word-of-mouth. Henry knew that his store offered the same quality as the other stores did. His store was also on the same street as the other retail stores. Given the setting, the other storeowners were already charging their customers the bare minimum in order to remain competitive. Which P of marketing should Henry concentrate on to distinguish his retail store?

Answers

Answer :

Promotion is the P of marketing Henry may focus on to differentiate his retail shop.

Explanation :

In marketing, there are seven (7) P's that make up the marketing mix. The four (4) most important P's in the marketing mix are P-product, P-price, and P-place. P-promotion According to the text, Henry cannot utilize the first P, which stands for product, because he is aware that his store offers the same quality as the others.

Henry can't utilize the second P, Price, as a marketing technique since he knows that other business owners are already charging the bare minimum to stay competitive. Henry can't utilize the third P, which stands for Place, because his business is on the same street as the other retail stores, and he can't improve on that. Henry's lone marketing tool for beating the competition is the fourth P, which stands for Promotion.

This is because word-of-mouth knowledge established by other business owners is insufficient to create widespread awareness; word-of-mouth can only reach friends and relatives. As a result, the P in marketing that Henry may use is Promotion. He may achieve this by creating global awareness through advertisements on television, radio, social media, printing handbills, and sales promotions such as lottery draws, festive sales, clearance discounts, and offering consumers bonuses such as the buy three, get one free promotion.

irc section 263a requires the capitalization of certain indirect costs related to inventory when a qualifying business is manufacturing tangible personal property. which of the following costs is not required to be capitalized as part of this adjustment?

Answers

Under IRC Section 263a, certain indirect costs related to inventory must be capitalized when a qualifying business is manufacturing tangible personal property. These costs include direct materials, direct labor, and certain indirect costs like rent, utilities, and insurance.

However, there is one cost that is not required to be capitalized as part of this adjustment, which is interest expense.

Interest expense is considered a financing cost and is therefore not directly related to the production of tangible personal property. Therefore, it is not included in the list of costs that must be capitalized under IRC Section 263a. It is important for businesses to properly identify and allocate these costs to ensure accurate financial reporting and compliance with tax regulations.

IRC Section 263A requires the capitalization of certain indirect costs related to inventory when a qualifying business is manufacturing tangible personal property. To provide an accurate answer, I would need a list of specific costs to determine which ones are not required to be capitalized as part of this adjustment.

However, common indirect costs that are generally not required to be capitalized include marketing expenses, general and administrative expenses unrelated to production, and research and development costs. Please provide a list of costs, and I will be able to identify the cost that is not required to be capitalized as part of the IRC Section 263A adjustment.

To know more about Interest visit:

https://brainly.com/question/30393144

#SPJ11

Kent works in the public relations department of his company. He sends a news release about a new product offering to several newspapers and television stations. Kent knows from past experience that even when the media use his news releases, they often release the information at inopportune times. They will also sometimes cut out what Kevin believes are the most important points to make the news fit. However, Kent accepts these disadvantages because free publicity offers the advantage of

Answers

Answer:

The answer is "credibility".

Explanation:

In this scenario, free advertising offers a reputation benefit. When this journal advertises openly, it's also considered reliable by the targeted customers like, it is in news form while charging something. Therefore, Kent finds that improper transmission of time information to be a drawback since it recognizes that its product and company would still be credible.

People are known to have different qualities. Kent accepts these disadvantages because free publicity offers the advantage of Credibility.

Credibility is known to be a characteristic of an individual who is said to be noted by others to be a trusted advisor, believable, and confident as they tend  to show a high level of expertise in a specific field.

A lot of traits are said to be of influential behaviors are known to be linked with with high credibility. Kent acceptance shows that free publicity gives some measure  of Credibility.

Learn more about Credibility from

https://brainly.com/question/1279931

Your credit card has a credit limit of $1,000. Your credit card company reviews your credit line every 6 months.

Answers

The time it will take to increase the limit to $1,600 is 2.5 years, when the credit card has a credit limit of $1,000.

What is a credit card?

A credit card is a payment card issued to users or cardholders to enable the cardholder to pay a merchant for goods and services based on the cardholder's accrued debt that is promised to the card issuer to pay them for the amounts plus the other agreed charges. The card issuer usually a bank or credit union creates a revolving account and grants a line of credit to the cardholder, from which the cardholder can borrow money for payment to a merchant or as a cash advance.

A credit card is different from a debit card.

Learn more about credit, here:

https://brainly.com/question/1475993

#SPJ1

Your question was incomplete, your full question probably was:

Your credit card has a credit limit of $1,000. Your credit card company reviews your credit line every 6 months. They will not increase your credit line more than 10% each 6-month period. Assuming they increase your limit each 6-month period by 10%, how long will it take to increase your limit to $1,600?

Amanda, a florist, is the owner of Flush Inc. She receives a mail from Pluto Corp., a manufacturer of foam products, offering a water-soluble foam brick frequently used for arranging fresh flowers. According to the offer, if Amanda places an order with Pluto, she would be automatically registered to win $10,000 in a customer appreciation contest. This is an example of combining direct marketing with

Answers

Answer:

Sales promotion

Explanation:

From the question we are informed about Amanda, a florist, is the owner of Flush Inc. She receives a mail from Pluto Corp., a manufacturer of foam products, offering a water-soluble foam brick frequently used for arranging fresh flowers. According to the offer, if Amanda places an order with Pluto, she would be automatically registered to win $10,000 in a customer appreciation contest. This is an example of combining direct marketing with Sales promotion.

Direct marketing can be regarded as any marketing which is based on

direct communication as well as direct distribution of products to individual consumers, it's not carried it with help of third party like social media, texting campaigns or mass media.

Sales promotion can be regarded as a process involving persuasion of a potential customer so they can buy a product. Sales promotion is a technique suitable to be used in short-term tactic so that sales can be boosted, and usually target at consumers.

Enter text- Apply A text Effect

Answers

This is not the app for this !!
Other Questions
what is transparency which of the following factors should be prioritized in the decision of whether to seek ethical approval for a project involving a change in practice? Small, branching channels that carry water away from the main river channel and carry it over the surface of the delta are known as: Why do modern audiences relate to adaptions of Macbeth What caused the Whiskey Rebellion?O A. There was no way to make changes to the Constitution.OB. Southerners wanted the government to run the slave trade.O C. Alexander Hamilton placed a tax on alcohol.O D. The federal government was not protecting large businesses. Select all that applyWhich of the following is true of ethnic minority individuals in adolescence and emerging adulthood? Which of the following is true in regard to Piaget's theory of infant development?A. Piaget's theory represents a biologically based understanding of cognition in infants and toddlers.B. Piaget's theory strengthens the view that one's genetic material is the primary determinant of one's cognitive abilities.C. Piaget's theory posits the view that biology and experience sculpt cognitive development in children.D. Piaget's theory takes a purely ecological approach to understand cognitive development in infants and children. What is the value of x in the equation 5x+3=3x help me ples i will give branless just help 7Jess is having a private party at the bowling alley. The party costs $99 plus $3 per person who attends. Which expressioncan Jess use to figure out the total amount of dollars she owes at the end of the party?A 33. 0B) 33 + 299 + 3. 2D 99. 3 + 3 What types of experiences, especially staffingrelated ones, will an organ ization be likely to have if it does not engage in hr and staffing planning? An article about the environmental impact of recycling would be considered a _____. what genre 1. How is a fungus structurally different from a protozoan? Fungus is structurally different from a protozozn 2. How is the structure of the Golgi Apparatus reflected in its function? The structure of the golgi apparatus is refleded 3. How do plasmids promote antibacterial resistance in Hospital and Health Care settings? 4. List five (5) macromolecules and/or structures that prokaryotes and eukaryotes have in common, our use of time can send powerful messages about value and power. A radar gun measured the speed of a baseball at 92 miles per hour.If the baseball was actually going 90.3 miles per hour, what was the percent error in this measurement? Why would the Allies want to win North Africa? the national endowment for the humanities sponsors summer institutes to improve what What is this?5 + 10 One estimate shows that the number of people without access to safe drinking water is about one billion. How much water is required if each person who does not have access to safe drinking water is given 10 L of safe drinking water? Give your answers in standard form and using the powers of 10. QuestionWho was the slave that sued his master claiming that he was free because he was taken to a free state? - Homer PlessyFrederick DouglassDred ScottSamuel Worcester