You could withdraw for the next 15 years (by the end of each year) with $100,000 and 4% per year interest rate.
Given,
Initial amount (P) = $100,000
Interest rate (r) = 4% or 0.04
Time (t) = 15 years
We can use the compound interest formula to calculate the total amount and then subtract the initial amount from it to get the amount withdrawn.
Compound interest formula:
\(A = P(1 + r/n)^(nt)\)
where,
A = total amount
P = principal or initial amount
r = annual interest rate
n = number of times interest is compounded per year
t = time in years
Using the above formula, we get:
\(A = $100,000(1 + 0.04/1)^(1*15)\)
\(= $100,000(1.04)^15\)
= $100,000(1.738)
= $173,800
Total amount = $173,800
Amount withdrawn each year = Total amount - Initial amount
= $173,800 - $100,000 = $73,800
Thus, you could withdraw $73,800 by the end of each year for the next 15 years with $100,000 and 4% per year interest rate.
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Human resources in the hospitality industry is responsible for ______
Answer:
keeping the customer healthy and safe and
Explanation:
A major drugstore chain whose stocks are traded on the New York Stock Exchange was considering a 2-for 5 reverse split. If the pre-split market cap was 1.71B, what would the post-split market cap be?
A major drugstore chain whose stocks are traded on the New York Stock Exchange was considering a 2-for 5 reverse split. the post-split market cap be 684 million
What is market cap?Generally, In a 2-for-5 reverse split, every 5 shares of stock are combined into 2 shares. This means that the number of outstanding shares of stock will be reduced by 2.5 times. If the pre-split market cap is 1.71B, the post-split market cap can be calculated by dividing the pre-split market cap by 2.5:
1.71B / 2.5 = 684 million
So, the post-split market cap would be approximately 684 million. Please note that this calculation is based on the assumption that the value of the company's stock remains the same after the reverse split. In practice, the value of the stock may change as a result of the reverse split.
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When a business finds itself squeezed out of a market for a product or loses interest in that product, it is a sign of being in the ____ stage of the product life cycle.
When a business finds itself squeezed out of a market for a product or loses interest in that product, it is a sign of being in the market reduction stage of the product life cycle.
What is product life cycle?A product's life cycle is the period of time from when it is initially made available to consumers until it is discontinued. Introduction, growth, maturity, and decline are the four stages that make up a product's life cycle.
Product life-cycle management is the business management's succession of strategies used throughout a product's life-cycle. When a product progresses through its many stages, the conditions under which it is marketed must be regulated as they vary over time.
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Which Type of account is used to store money for longer periods of time and is more likely pay interest to the account holder?
O Checking Account
O Savings Account
Answer:
Saving account
Explanation:
A savings account is an interest-bearing deposit account held at a bank or other financial institution. Though these accounts typically pay a modest interest rate, their safety and reliability make them a great option for parking cash you want available for short-term needs.
PLEASE MARK ME AS BRAINLIESTthe short term movement of funds from one currency to another as an attempt to profit from shifts in exchange rates called
The act of moving money temporarily from one currency to another in an effort to profit from changes in exchange rates is known as. money speculation
What is the name of the exchange rate?Spot rates, often known as cash values or market values, are used to determine exchange rates. An exchange rate may also have a forward value, which is determined by predictions of the currency's future worth in relation to its current spot price.
What is foreign exchange for short-term use?What is Forex Short-Term Trading? Short-term trading, as the name implies, entails conducting transactions over a brief time frame. Short term trading often entails keeping a stake for little more than one day, however it may occasionally take several.
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seller sold his personal motorcycle to buyer for $5,000. prior to delivery or payment, buyer breached the contract and refused to take the cycle. after the breach, seller properly held a public sale and sold the cycle for $4,500. seller had to pay a $500 commission to the auctioneer who conducted the sale. under these facts, seller can recover how much from buyer in damages?
According to the facts provided, the seller can recover $500 from the buyer in damages. A breach of contract occurs when one party to the contract fails to perform their obligations as set out in the contract.
The purpose of damages in breach of contract is to put the non-breaching party in the position they would have been in had the breach not occurred. The calculation of damages in a breach of contract depends on the nature of the breach and the loss incurred by the non-breaching party.
The amount for damages must be reasonable, foreseeable, and not too remote, and it must also be certain. In the given scenario, the seller sold his personal motorcycle to the buyer for $5,000, but prior to delivery or payment, the buyer breached the contract and refused to take the cycle.
The seller properly held a public sale and sold the cycle for $4,500, and he had to pay a $500 commission to the auctioneer who conducted the sale. Under the breach of contract, the seller can recover $500 from the buyer in damages.
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One suggestion for helping poor countries enjoy the benefits of free trade is for richer nations to reduce barriers to importing products from those nations particularly for __________ and agricultural products.
The suggestion is that poor countries reduce barriers to products relating to agriculture and textile products.
Why the suggestion?It is thought that poorer nations produce certain type of products and these should be traded freely in developed countries. It is hoped that this would allow poorer nations to become richer.Some of those products include agricultural and textile products, both of which require little processing from raw materials which are abundant in poorer nations.
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An unlicensed property manager can do all of the following except: Maintenance Showing units Negotiating lease terms Furnishing published information
When a person is an unlicensed property manager, they can do all of the above except Negotiating lease terms.
What can an unlicensed property manager do?An unlicensed property manager can show prospective buyers the units on sale as well as maintaining the units. They can also furnish people with published information on the units.
They cannot however, negotiate lease terms with people because they do not have the license and authority to do so.
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Leslie McCormack is in the spring quarter of her freshman year of college. She and her friends already are planning a trip to Europe after graduation in a little over three years. Leslie would like to contribute to a savings account over the next three years in order to accumulate enough money to take the trip. Assume an interest rate of 6%, compounded quarterly. How much will she accumulate in three years by depositing $400 at the end of each of the next 12 quarters, beginning three months from now?
The answer is 7813.52$, in three years by depositing $400 at the end of each of the next 12 quarters, beginning three months from now she will accumulate 7813.52$.
Calculations-
Future value = quarterly contribution x annuity factor
Quarterly contribution = $520
Total quarterly contributions = 3 x 4 = 12 periods
Interest rate = 16% / 4 = 4% compounded quarterly
Future value annuity factor, 4%, 12 periods = 15.026
Future value = $520 x 15.026 = $7,813.52
Simply simply, what is interest?Interest is a cost associated with borrowing money. It is commonly expressed as a percentage and amounts to a fee or charge that the borrower pays the lender for the amount that was loaned. Utilizing basic interest is a straightforward way to comprehend the cost you'll have to spend for borrowing.
What is interest, and how does it function?Simple interest is determined using the following formula: S.I. = P R T, where P is the principal, R is the yearly percentage rate of interest, and T is the duration, which is commonly given as the number of years. The interest rate is denoted as r/100 and as a percentage, r%.
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explain why receiving a cash grant from the government can entice some workers to stop working (and entices no one to start working).
A cash grant transfer is associated with an income effect but not a substitution effect, because it doesn't affect the wage rate.
Consequently, on the off chance that relaxation is a typical decent, a singular cash grant move will probably make laborers work less hours (and unquestionably not make them work more hours) while perhaps tempting a few specialists to leave the workforce all together. Then again, the Earned Income Tax reduction raises the powerful compensation of low-pay laborers by 20% (essentially for the most unfortunate specialists). Hence, somebody who had not been working countenances a compensation that is 20% higher than it in any case was. This increment might be sufficient to urge the individual to begin working. For instance, on the off chance that a specialist's booking wage is $6.50 each hour however the main work she can find pays $6.00 each hour, she won't work. Under the procured annual tax break, nonetheless, the specialist sees this equivalent occupation as paying $7.20 each hour, which surpasses her booking wage. Besides, the EITC can't urge a specialist to leave the workforce, as the advantages of the EITC are gotten exclusively by laborers
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Complete Question -
Explain why receiving a cash grant from the government can entice some workers to stop working (and entices no one to start working) while the earned income tax credit can entice some people who otherwise would not work to start working (and entices no one to stop working).
The traits of middle level managers do not significantly affect the productivity level of crews in food chains. this is an example of alternative hypothesis.
The alternative hypothesis states that the traits of middle-level managers do have a significant impact on the productivity level of crews in food chains.
The alternative hypothesis challenges the null hypothesis, which suggests that the traits of middle-level managers have no significant effect on crew productivity in food chains. The alternative hypothesis posits that middle-level managers play a crucial role in influencing the productivity of crews.
Middle-level managers act as a bridge between top-level management and front-line employees, and their leadership style, communication skills, decision-making abilities, and overall management approach can have a direct impact on crew performance. If the alternative hypothesis is supported by empirical evidence, it implies that investing in developing effective middle-level managers could lead to improved productivity and overall success in food chain operations.
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Open all year round except five days off during certain holidays, a bakery (Pide Inc.)
buys flour in 25 kg bags at $50 per bag from a local supplier. Pide uses an average of 50 bags of flour a month. Preparing an order, receiving the shipment, and paying the invoice costs $100 per order. The inventory carrying
cost rate is 10%, and the order delivery lead time is 20 days. a Currently, Pide places an order every month (call this policy A). Determine the current order size and the total
inventory-related operating cost (i.e., the sum of annual ordering and carrying costs) of this policy. b) Pide wants to assess its current inventory cost and minimize it. Find the least-cost order size (i.e., EOQ) and
its corresponding total cost of operating this inventory policy (call this policy B). c) Calculate the % change in inventory operating costs between policy A and B. Which one would you
recommend for Pide to implement, policy A or B? Why? d) For policy B, first, calculate the reorder point. Then, draw the corresponding inventory-time diagram, and
explain how this inventory system operates in two sentences.
a) The current order size for policy A can be determined using the Economic Order Quantity (EOQ) formula. EOQ = √((2 * Demand * Ordering Cost) / Carrying Cost). Given that the average monthly demand is 50 bags of flour, the ordering cost is $100 per order, and the carrying cost rate is 10%, we can calculate the current order size.
EOQ = √((2 * 50 * 100) / (0.10 * 50)) = √(10000 / 5) = √2000 ≈ 44.7
Therefore, the current order size for policy A is approximately 45 bags of flour.
To calculate the total inventory-related operating cost for policy A, we need to find the sum of the annual ordering cost and carrying cost. The annual ordering cost is $100 per order, and the carrying cost is the average inventory multiplied by the carrying cost rate.
Annual ordering cost = $100 * (12 orders per year) = $1200
Average inventory = EOQ / 2 = 45 / 2 = 22.5
Carrying cost = Average inventory * Carrying cost rate = 22.5 * 0.10 = $2.25
Total inventory-related operating cost = Annual ordering cost + Carrying cost = $1200 + $2.25 = $1202.25
b) To find the least-cost order size (EOQ) for policy B, we use the same EOQ formula. Given that the carrying cost rate and ordering cost remain the same, we can calculate the EOQ.
EOQ = √((2 * 50 * 100) / (0.10 * 50)) = √(10000 / 5) = √2000 ≈ 44.7
Therefore, the least-cost order size (EOQ) for policy B is approximately 45 bags of flour.
To calculate the total cost of operating policy B, we again need to find the sum of the annual ordering cost and carrying cost.
Annual ordering cost = $100 * (12 orders per year) = $1200
Average inventory = EOQ / 2 = 45 / 2 = 22.5
Carrying cost = Average inventory * Carrying cost rate = 22.5 * 0.10 = $2.25
Total cost of operating policy B = Annual ordering cost + Carrying cost = $1200 + $2.25 = $1202.25
c) To calculate the percentage change in inventory operating costs between policy A and B, we can use the formula: ((Policy B Cost - Policy A Cost) / Policy A Cost) * 100.
Percentage change = (($1202.25 - $1202.25) / $1202.25) * 100 = 0%
There is no change in inventory operating costs between policy A and policy B.
Based on these calculations, both policies have the same inventory operating costs. However, policy B, with the EOQ order size of 45 bags, is recommended as it helps minimize the inventory cost by optimizing the order quantity, reducing carrying costs, and maintaining an efficient inventory management system.
d) The reorder point for policy B can be calculated by multiplying the lead time demand by the lead time. Lead time demand is the average daily demand multiplied by the lead time.
Lead time demand = Average daily demand * Lead time = (50 bags / 30 days) * 20 days = 33.3 bags
Therefore, the reorder point for policy B is approximately 33 bags of flour.
In the inventory-time diagram, the inventory level starts at 0 and gradually increases as new orders arrive. Once the inventory level reaches the reorder point, a new order is placed. This process repeats to maintain a continuous supply of flour. The diagram will show a sawtooth pattern, with inventory rising and falling between the reorder point and the EOQ level.
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a) The total inventory-related operating cost for policy A is the sum of the annual ordering cost and the carrying cost:
Total cost = Annual ordering cost + Carrying cost = $1200 + $111.80 = $1311.80
b) The total cost of operating policy B is the sum of the annual ordering cost and the carrying cost:
Total cost = Annual ordering cost + Carrying cost = $1200 + $111.80 = $1311.80
c) This policy minimizes the inventory cost by ordering the least-cost order size and maintaining an optimal balance between ordering cost and carrying cost.
d) The reorder point is equal to the lead time demand:
Reorder point = Lead time demand = 1000 bags of flour
a) To determine the current order size and total inventory-related operating cost for policy A, we need to calculate the economic order quantity (EOQ) and annual ordering cost.
The EOQ formula is given by:
EOQ = sqrt((2 * demand * setup cost) / carrying cost per unit)
Here, the demand is the average monthly usage, which is 50 bags of flour. The setup cost is the cost of preparing an order, receiving the shipment, and paying the invoice, which is $100. The carrying cost per unit is 10% of the cost of one bag of flour, which is 0.10 * $50 = $5.
Using these values, we can calculate the EOQ:
EOQ = sqrt((2 * 50 * 100) / 5) = sqrt(2000) ≈ 44.72
Since the EOQ represents the order size, the current order size for policy A is approximately 44.72 bags of flour.
To calculate the total inventory-related operating cost, we need to consider the annual ordering cost and the carrying cost.
The annual ordering cost is the cost of placing orders for a year, which is the number of orders per year multiplied by the ordering cost per order. Since orders are placed every month, there are 12 orders in a year.
Annual ordering cost = 12 * $100 = $1200
The carrying cost is the cost of carrying inventory for a year, which is the average inventory level multiplied by the carrying cost per unit. The average inventory level is half of the order size, as the inventory is replenished halfway through the order cycle.
Average inventory level = EOQ / 2 = 44.72 / 2 = 22.36 bags of flour
Carrying cost = average inventory level * carrying cost per unit = 22.36 * $5 = $111.80
b) To find the least-cost order size (EOQ) and its corresponding total cost for policy B, we can use the EOQ formula mentioned earlier.
Using the same values for demand, setup cost, and carrying cost per unit, we can calculate the EOQ:
EOQ = sqrt((2 * 50 * 100) / 5) = sqrt(2000) ≈ 44.72
The least-cost order size (EOQ) for policy B is also approximately 44.72 bags of flour.
To calculate the total cost of operating this inventory policy, we need to consider the annual ordering cost and the carrying cost, similar to policy A.
The annual ordering cost remains the same at $1200.
The carrying cost is also calculated in the same way as policy A, considering the average inventory level.
Average inventory level = EOQ / 2 = 44.72 / 2 = 22.36 bags of flour
Carrying cost = average inventory level * carrying cost per unit = 22.36 * $5 = $111.80
c) To calculate the percentage change in inventory operating costs between policy A and B, we can use the formula:
% Change = (|New Value - Old Value| / Old Value) * 100
Comparing the total costs of policy A and B, we find that both policies have the same total cost of $1311.80. Therefore, the percentage change is:
% Change = (|$1311.80 - $1311.80| / $1311.80) * 100 = 0%
There is no change in inventory operating costs between policy A and B.
Considering that both policies have the same total cost, I would recommend Pide to implement policy B, which is the Economic Order Quantity (EOQ) policy.
d) To calculate the reorder point for policy B, we need to consider the lead time demand.
The lead time demand is the average demand during the lead time, which is 20 days. The average monthly usage is given as 50 bags of flour.
Lead time demand = Average monthly usage * Lead time = 50 * 20 = 1000 bags of flour
The inventory-time diagram for policy B shows that when the inventory level reaches the reorder point (1000 bags of flour), an order is placed for the EOQ (44.72 bags of flour). The inventory level gradually decreases as the demand is met, and when it reaches zero, a new order is placed. This cycle continues throughout the year, maintaining an optimal inventory level and minimizing costs.
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Ayman has a credit card with a balance of $4750 CAD and an annual interest of 21.5% compounded
monthly. He plans on paying off the loan completely in two years using monthly payments. What is the
total amount of interest he will pay once the card is paid off?
#1 $128.03
#2 $1136.00
#3 $4878.03
#4 $5886.00
Chapter 9 Pricing, Costing, and Growth.
It’s 10 questions - multiple choice and thank you !
I will give you brainliest if you answer all 10 (:
Answer:
b, b, c, a, d, c, b, d, a, c,
Explanation:
Which of the following choices is not a step that can reduce your spending?
a.
eating at home, rather than dining out
b. using budgeted cash only
c. forgoing premium cable TV channels
d. purchasing reduced fat lattes during the week
Out of the given options, you won't reduce your spending by d. purchasing reduced fat lattes during the week.
How can we reduce spending?The best way to reduce spending is by spending less on things that we don't need or that we can do without.
In this case, spending on fat lattes won't be a way to reduce spending because they aren't very significant.
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the jefferson company issued a 5% coupon bond four years ago at par value. the market interest rate on comparable bonds today is 6%. the jefferson company bond currently pays a year in interest and the bond sells at a
The Jefferson Company issued a 5% coupon bond four years ago at its par value. The market interest rate on comparable bonds today is 6%. The Jefferson Company bond currently pays $X per year in interest and the bond sells at a price of $Y.
To calculate the current price of the bond, we can use the concept of present value. The present value of a bond is the discounted value of its future cash flows.
Step 1: Determine the annual interest payment:Since the bond pays a 5% coupon rate, we need to calculate 5% of its par value. Let's assume the par value of the bond is $1,000, so the annual interest payment would be $1,000 * 5% = $50.
Step 2: Calculate the present value of the bond's future cash flows:
To calculate the present value, we need to discount the future cash flows by the market interest rate. In this case, the market interest rate is 6%.Let's assume the bond has a maturity of 10 years. To find the present value of the bond, we need to discount each year's interest payment and the final principal repayment.
Step 3: Discount the interest payments:To find the present value of the interest payments, we need to discount each year's interest payment by the market interest rate. Since the bond has a 5% coupon rate and the market interest rate is 6%, the bond's coupon rate is lower than the market rate. Therefore, the bond will be sold at a discount.Let's assume the bond has 10 years remaining until maturity.
We can discount each year's interest payment using the formula: present value = future value / (1 + market interest rate)^n.For the first year's interest payment of $50, the present value would be $50 / (1 + 6%)^1 = $47.17.For the second year's interest payment of $50, the present value would be $50 / (1 + 6%)^2 = $44.49.We continue this calculation for each year's interest payment until the final year.
Step 4: Discount the principal repayment:
At the end of the bond's maturity, the bondholder will receive the par value of $1,000. To calculate the present value of the principal repayment, we can use the same formula as before.
The present value of the principal repayment would be $1,000 / (1 + 6%)^10 = $558.39.Step 5: Calculate the total present value:
Finally, we add up the present values of the interest payments and the principal repayment to get the total present value of the bond.
For example, if we assume the bond has 10 years remaining until maturity, the total present value would be the sum of the present values of each year's interest payment and the principal repayment:$47.17 + $44.49 + ... + $558.39 = $Total Present ValueThe bond sells at a price equal to its total present value. Therefore, the bond's current price is $Total Present Value.
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document creation is a key business function because
Document creation is a key business function because it is essential for managing, archiving, and sharing important information.
Documents play an important role in business today, from managing customer records and sales invoices to tracking employee activities, to creating contracts and agreements. Documents are used for a variety of purposes, such as providing evidence of compliance with government regulations, facilitating communication between different departments, and forming a basis for decision-making.
The ability to create, edit, and store documents is a key part of any business’s operations. Document creation can help streamline processes, increase efficiency, and improve customer service. It can also help organizations save money by reducing the amount of manual labor required to perform tasks. Additionally, document creation can help ensure accuracy and consistency in the data that an organization stores and processes.
Finally, document creation is an important tool for creating accountability within an organization. By having an accurate record of all the activities and operations of an organization, it is easier to track progress, measure performance, and identify potential areas of improvement. This can help ensure that the organization is operating most efficiently and effectively as possible.
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you just graduated from high school and you are headed to a new town. your parents gave you $15,000 to start your new journey. what type of account(s) are you going to open and how much are you going to put into them? you will need to create a budget explaining how you plan to allocate your money. describe your plans and budget below and provide an explanation for your decisions
I would open a high-yield savings account and deposit $10,000. The remaining $5,000 will be kept in a checking account for day-to-day expenses and emergencies.
Here is an example of how you could allocate your $15,000:
Emergency Fund - $3,000
It's important to have a safety net in case of unexpected expenses. Keeping $3,000 in a high-yield savings account as an emergency fund would be a wise decision.
Checking Account - $2,000
A checking account is essential for day-to-day expenses such as groceries, rent, and utilities. You can keep $2,000 in your checking account to cover your expenses for a few months.
Roth IRA - $5,500
You can contribute up to $5,500 annually to a Roth IRA. Since you are young and have a long time horizon for retirement, investing in a Roth IRA would be a smart choice. You can invest in low-cost index funds or target-date funds with a long-term investment strategy.
Brokerage Account - $3,000
If you have extra money to invest after funding your Roth IRA, you can open a brokerage account and invest in individual stocks, ETFs, or mutual funds.
Savings Account for Short-Term Goals - $1,500
If you have short-term goals such as buying a car or taking a trip, you can keep $1,500 in a savings account to work towards those goals.
By allocating your money in this way, you are able to have a diversified portfolio with money set aside for emergencies, short-term goals, and long-term retirement savings. Make sure to keep track of your expenses and adjust your budget accordingly as your income or expenses change. Best of luck on your new journey!
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Under which bond provision is the issuer required to retire portions of the bond issue prior to maturity?
A. Call feature
B. refunding provision
c. subordination clause
d. sinking fund feature
Sinking fund feature: Under this provision, the issuer is required to set aside a certain amount of money each year to retire portions of the bond issue before the maturity date. This helps reduce the overall debt burden for the issuer and provides more security for the bondholders.
A sinking fund helps companies that have floated debt in the form bonds gradually save money and avoid a large lump-sum payment at maturity. Some bonds are issued with the attachment of a sinking fund feature. The prospectus for a bond of this type will identify the dates that the issuer has the option to redeem the bond early using the sinking fund. While the sinking fund helps companies ensure they have enough funds set aside to pay off their debt, in some cases, they may also use the funds to repurchase preferred shares or outstanding bonds.
Financial Impact:
A sinking fund is an account containing money set aside to pay off a debt or bond.Sinking funds may help pay off the debt at maturity or assist in buying back bonds on the open market.Callable bonds with sinking funds may be called back early removing future interest payments from the investor.Paying off debt early via a sinking fund saves a company interest expense and prevents the company from being put in financial difficulties in the future.To know more about Sinking fund feature visit:
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what importance does the stationery and information sources play in the effective and efficient Operation of an organization?
Based on the organizational activities model, the importance of stationery and information sources in the effective and efficient operation of an organization includes "the source of quality and quantity data on the production input."
Some other importance of stationery and information sources in the effective and efficient operation of an organization includes the following:
It serves as the place to gather data about the strengths and weaknesses of the firms.It is also the source to gather the information opportunities and threats of the organizations.It is also a source of keeping records of finance, employees, success, and failures of the firms.Hence, in this case, it is concluded that the stationery and information sources in an organization are vital to its success.
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Which of the following is a service?
A restaurant meal
B taxi cab ride
C dry-cleaning fluid
D concert t-shirt
Answer:
B: Taxi cab ride
Explanation:
Because the rest you do youself and the taxi ride someone or you are doing it for someone else
Name some eco-friendly features you might look for while shopping for your first vehicle
Also, explain techniques you can use while driving any vehicle to increase fuel efficiency and reduce emissions it’s for my ed class
Answer
Some Eco friendly features you might look for may include a gas efficiency button to regulate between gas and electric motors thus decreasing emissions. another great pointer is LED lights instead of older bulb lights, Most pivotal idea in buying the most Eco friendly car would have to be the weight most definitely, the lighter the vehicle the less environmental impact.
Time is money in any business environment. To be successful in the business world, you must be able to create concise and easy-to-read messages. As you revise, eliminate flabby expressions, long lead-ins, fillers, redundancies, and empty words. Your audience will appreciate your brevity.Which of the following sentences contain flabby expressions? Check all that apply.As a general rule, you should contact Jorge; he can afford you the opportunity to access the beta version.In all probability, Alessia will receive a promotion this year.If Marie calls, please tell her we will proceed normally.I worked on the MarkMaster campaign for 35 hours.Jason is aware of the problem and will take care of it.Complete the sentence with the most concise option.
In general, you should get in touch with Jorge; he can provide you the chance to access the beta version. Alessia is most likely going to get a promotion this year.
Why is it crucial to edit your work for simplicity and clarity?When revising your writing, take the opportunity to step back and reconsider. Consider your article goals and whether you were able to meet those goals. We make sure our arguments are strong and well-written.
What does it mean to clarify a revision?
Create additional drafts of your essay to make your thoughts clear to the reader. Write your argument in a way the reader can understand. When writing your essay, assume your reader is unfamiliar with your essay topic. Write with the intention of making the connections between your thoughts clear to the reader
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Imagine you are an economic adviser to the Commonwealth Government. The Prime Minister wants to increase spending on public transport in major cities, but does not want to raise taxes. Identify alternative sources of revenue for the government to fund its new initiatives.
Answer: A combination of 1) Increased public transportation fees, 2) raise the gasoline tax, 3) increase or institute highway tolls, or 4) reduce the road construction budget and use that money for public transportation.
Explanation:
Actions 2-4 would provide incentives to use public transportation.
TRUE/FALSE developing a viable business model requires that a firm sell goods or services for more than it costs the firm to create and distribute those goods.
The statement that developing a viable business model requires a firm to sell goods or services for more than it costs to create and distribute those goods is true because the revenue (R) being greater than the cost (C), denoted as R > C.
A business model refers to the way a company creates, delivers, and captures value. It encompasses various components such as the target market, value proposition, revenue streams, cost structure, and distribution channels. One key objective of any business model is to ensure that the revenue generated exceeds the costs incurred.
To explain this concept mathematically, we can consider the following variables:
Revenue (R): The total income a firm generates from selling its goods or services.
Cost (C): The total expenses associated with creating and distributing the goods or services.
In order for a business to be viable, the revenue generated (R) must be greater than the cost incurred (C). Mathematically, this can be expressed as:
R > C
This inequality indicates that the revenue should be higher than the costs. If a company consistently sells its goods or services for less than the cost to create and distribute them, it would experience losses and struggle to sustain its operations in the long run.
It's important to note that developing a viable business model entails not only considering the immediate costs and revenue but also accounting for other factors such as scalability, market demand, competition, and long-term sustainability.
Nevertheless, the fundamental principle remains the same: a business must generate more revenue than the cost incurred to create and distribute its goods or services in order to be successful.
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In its first month of operations, a company’s cash account has total debit entries amounting to $27,500 and total credit entries amounting to $24,900. At the end of the month, the cash account has a.
A company's cash account contains total debit entries totaling $27,500 and total credit entries totaling $24,900 in its first month of operations. The cash account has a debit balance of $2,600 at the end of the month.
All of a company's accounts are initially balance-free. During the first month of operation, this company has debit entries for cash totaling $27,500 and credits totaling $24,900 in its cash account. Cash balances in asset accounts rise when debits are made, while credits fall when credits are made. At the conclusion of the period, the cash account will have a $2,600 debit balance (i.e., $27,500 dr. $24,900 cr. = $2,600 dr.; an account has a debit balance when its debits exceed its credits).Any securities transactions involving a cash account with a brokerage firm must be paid for in full using funds in the account at the time of the settlement.
The complete question is :
In its first month of operations, a company's cash account has total debit entries amounting to $27,500 and total credit entries amounting to $24,900. At the end of the month, the cash account has a
a. $2,600 debit balance
b. $2,600 credit balance
c. $$27,500 debit balance
d. $52,400 debit balance
e. $0 balance
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The exchange rate between non-fixed currencies continuously fluctuates. The following chart shows the exchange rate of the pound sterling to the Japanese yen over a period of six days. Day £:¥ Monday 1:141.014 Tuesday 1:138.650 Wednesday 1:149.890 Thursday 1:144.209 Friday 1:148.176 Saturday 1:143.008 Tina has £72.90 to turn into yen. How much greater is the amount of yen she would receive if she made her trade on the most favorable day than if she made her trade on the least favorable day
Answer: D
Explanation: just took it
The greater the amount she would receive if she traded on the most favorable day as opposed to the least favorable day is ¥819.396.
What is the difference in the value of the trade?Exchange rate is the amount of one currency that is traded for another currency.
The most favorable time that the trade can be executed in when the yen has the highest value while the most unfavorable time the trade can be executed is when the yen would have the lowest value.
Most favorable trade : £72.90 x 149.890 = 10,926.98Least favorable trade: £72.90 x 138.650 = 10,107.59Difference in trade = 10,926.98 - 10,107.59 = 819.396To learn more about exchange rate, please check: https://brainly.com/question/25780725
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explain the process involve in forming a company.
include these points:
1. Often require more time and legal works.
2. Need to complete all required documents such as ARTICLE OF ASSOCIATION and MEMORANDUM OF ASSOCIATION.
3. Once all document is ready, the register of the company issues the Certification of incorporation.
4. Certification of incorporation certifies the legal status of the company and allows to start trading.
Forming a company involves a number of steps and can often require more time and legal work than other types of business structures. Here are the steps typically involved in forming a company:
How to fporm companyChoose a Business Name: The first step is to choose a business name that is not already in use by another company. It's important to conduct a search to ensure the name is not already taken.
Decide on Company Structure: The next step is to decide on the legal structure of the company, such as a corporation, LLC, or partnership.
Prepare the Required Documents: Once the structure has been chosen, the required documents such as ARTICLE OF ASSOCIATION and MEMORANDUM OF ASSOCIATION must be completed. These documents outline the purpose of the company, its ownership structure, and other important details.
File Documents with the Register of Companies: The completed documents must then be filed with the register of the company in the jurisdiction where the company is to be incorporated. This requires paying a fee and providing additional information about the company, such as the names and addresses of directors and shareholders.
Certification of Incorporation: Once all the required documents have been submitted and approved, the register of the company issues a Certification of Incorporation. This certificate certifies the legal status of the company and allows it to start trading.
Obtain Business Licenses and Permits: Depending on the type of business and the jurisdiction, the company may also need to obtain additional licenses and permits before it can begin operating legally.
Overall, forming a company involves a significant amount of legal work and documentation, but it provides the benefit of limited liability and can make it easier to raise capital and attract investors.
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What type of communication provides powerful analytics that allow entrepreneurs to determine the effectiveness of their communication efforts?
O A. Interior communication
О в.
OC.
Nonverbal communication
Social media communication
D. Creativity communication
An appropriate choice is option (c). Business owners can use social media communication's robust analytics to assess the success of their communication efforts.
Social media communications are what?A communication method based on the internet is social media. Users can converse, share knowledge, and publish content online via social media platforms. Social media describes how individuals interact with one another through the creation, sharing, and/or exchange of knowledge and ideas in online groups and networks.
What constitutes effective corporate communication?Interaction between people is facilitated via communication. Entrepreneurs continually aim to enhance their communication skills because doing so will help them share and express their ideas clearly, as well as interact with their team, clients, and coworkers in a better way.
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As part of Curt's small business loan application, he has to demonstrate the "triple bottom line" of economic, social, and enviromental benefits. In doing so, his business is seen as
As part of Curt's small business loan application, he has to demonstrate the "triple bottom line" of economic, social, and environmental benefits. In doing so, his business is seen as sustainable.
Sustainability refers to creating or running a business in a way that is profitable while also having a positive impact on the environment and society. The "triple bottom line" is a framework for achieving this goal, as it encourages businesses to consider not only their financial success but also their social and environmental impact when making decisions.
Environmental sustainability refers to the business's ability to operate in a way that minimizes its impact on the environment, including reducing waste and greenhouse gas emissions and conserving natural resources. By demonstrating economic, social, and environmental benefits in his loan application, Curt is showing that his business is committed to long-term sustainability and creating value for all of its stakeholders.
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