A leverage ratio analysis is used to determine the level of debt that a company has in relation to its equity. One scenario that would best illustrate a leverage ratio analysis is when a company is considering taking on additional debt in order to fund a new project or expansion.
By analyzing the company's leverage ratio, which includes debt-to-equity ratio, debt-to-assets ratio, and interest coverage ratio, the company can determine if it is financially capable of taking on additional debt without becoming too heavily leveraged.
The analysis will help the company make an informed decision regarding its ability to service the new debt while maintaining its financial health and stability.
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Assume that you are the sales manager of a soap-manufacturing company. Your supervisor has asked you to present the sales data of the various products for last quarter. You have to communicate information about the sales turnover in different zones. Which business documents will you prepare for this task and what guidelines will you follow?
Answer:
Sales data mostly contains monthly figures and will be best represented in a tabular form. I will use a word processor to create a table and enter the data corresponding to each month. To show the sales figures in different zones, I will use a bar graph. The bars in the graph will allow the audience to visualize the difference in sales figures in the different zones.
While creating the word document, I will keep the following in mind:
The report should precisely communicate only sales information.
The report should be short and brief, but also contain all the necessary information.
The report should be directed at a particular set of team members.
The report should contain visual aids to help explain the statistics.
Explanation:
plato/edmentum's sample answer
Donald Trump wanted to pull us out of the WTO because he thought China was cheating. Would you stay in or leave?
Answer: I hate Trump and would make him eat tortilla chip vertically :/
Explanation:
Because Pure Foods is the only provider of responsibly farmed, sustainable beef products in the Midwest, it has achieved ______. Multiple choice question. market segmentation a core value production control a competitive advantage
Answer: a competitive advantage
Explanation:
Pure Foods is the only provider of responsibly farmed, sustainable beef products in the Midwest, it has achieved a competitive advantage. Hence, option D is correct.
What is meant by competitive advantage?Competitive advantage is the benefits that a company get over their rivalry as they have some sort of specification in their products and they product extra of something, it might be the cheap rates than the competitors.
These factors provide the producing unit the advantage over rivals in terms of sales or margins. The four basic methods for gaining a competitive edge are cost leadership, differentiation, defensive strategies, and strategic alliances.
One of the three basic types of competitive advantages that businesses can actually take advantage of. They are price, the uniqueness of the good or service, and niche marketing techniques.
Thus, option D is correct.
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there is no way for an employer to avoid liability for online harassment.a. trueb. false
The given statement, "There is no way for an employer to avoid liability for online harassment." is false. There are 2 criteria by which employer can reduce liability.
The standard of responsibility outlined in these rulings is founded on the following two tenets: 1) An employer is liable for the supervisors' actions, and 2) Both employers and workers should be urged to take action against harassment or at least limit the damage it causes. If it doesn't, the employer may continue to be able to reduce losses or avoid responsibility by creating a positive defense that meets the following two criteria,
a. The employer took reasonable precautions to stop and stop any instances of harassment immediately, and
b. Unreasonably, the employee neglected to benefit from any preventative or remedial chances offered by the employer or to take any protective measures.
The Court determined that an employer is always responsible for a supervisor's harassment if it results in a concrete employment action in order to satisfy these standards.
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Through which means is financial assistance offered to a consumer who qualifies for low income subsidy for their part of medicare part d costs?
Through subsidies such as lower or no monthly plan premiums and lower or no copayments.
What is subsidy?A government incentive or subsidy is a type of financial assistance or support given to an industry typically with the goal of advancing economic and social policy. Although frequently provided by the government, the phrase "subsidy" can refer to any form of assistance, such as that provided by NGOs or as implicit subsidies. The study classified subsidies into three categories: those that boost income, those that reduce production costs, and those that are unrelated to output or input.
Illustrations of Subsidies. Governmental payments known as subsidies are made to private organizations to support their operations and preserve jobs. Agriculture, electric vehicles, green energy, oil and gas, transportation, and welfare payments are a few examples.
A subsidy is financial support used to promote both social and economic policies so that a country's businesses can continue to produce goods that will be affordable. Subsidies come in the form of cash, including interest-free and low-interest loans, grants, insurance, tax breaks and rent rebates.
Hence, Through subsidies such as lower or no monthly plan premiums and lower or no copayments.
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Suppose that the distribution of the 1-year loss is as follows.
Loss ($ million) Probability
−1 0.4
0 0.2
1 0.2
2 0.1
4 0.1
(a) Find the 1-year 70% VaR.
(b) Find the 1-year 70% ES.
(c) Find the 1-year 80% VaR.
(d) Find the 1-year 80% ES.
Suppose that the distribution of the 1-year loss is given as:L($ million) Probability 0.1a) 1-year 70% is defined as the maximum possible loss for a given level of confidence and period of time.
The 70% VaR, therefore, implies that the confidence level is 1-70% = 30%, and the period of time is 1 year.To calculate the 70% VaR, we need to find the maximum loss of the 30% probability:1. Sort the loss and probability values in descending order:Loss ($ million) Probability
Cumulate the probability values:Loss ($ million) Probability Cumulative Probability 1.03. Identify the maximum cumulative probability that is less than or equal to 0.3. From the table above, the maximum cumulative probability is 0.2.4.
The corresponding loss is the 70% VaR: 2 $ million.b) 1-year 70% ES:ES is defined as the average loss of the worst 30% of scenarios.
In order to find the ES, we must first calculate the loss corresponding to the 30th percentile. From the cumulative probability column of the table above, the loss corresponding to the 30th percentile is $0 million.To calculate the ES, we need to average the losses exceeding $0 million.
These are losses for which the probability is 0.4, 0.1, and 0.1.Loss Probability Cumulative Probability -1 0.4 0.4 0 0.1 0.5 1 0.1 0.6 2 0.1 0.7 4 0.1 0.8 The average of these losses is: (-1*0.4+0*0.1+1*0.1+2*0.1+4*0.1)/0.3 = 1.13 $ millionThus, the 1-year 70% ES is 1.13 $ million.c) 1-year 80% VaR:To calculate the 80% VaR, we need to find the maximum loss of the 20% probability.
Using the same steps from part (a), the 80% VaR is the maximum cumulative probability that is less than or equal to 0.2.Loss Probability Cumulative Probability -1 0.4 0.4 0 0.2 0.6 1 0.2 0.8 2 0.1 0.9 4 0.1 1.0The maximum cumulative probability that is less than or equal to 0.2 is 0.6.
Therefore, the corresponding loss is 0 $ million.d) 1-year 80% ES:To calculate the 80% ES, we need to find the average loss of the worst 20% of scenarios. The loss corresponding to the 20th percentile is $0 million. The losses exceeding $0 million correspond to probabilities of 0.2, 0.2, 0.1, and 0.1.Loss Probability Cumulative Probability -1 0.4 0.4 0 0.2 0.6 1 0.2 0.8 2 0.1 0.9 4 0.1 1.0 The average of these losses is: (-1*0.4+1*0.2+2*0.1+4*0.1)/0.2 = 0.6 $ millionThus, the 1-year 80% ES is 0.6 $ million.
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is the object speeding up?
can you finish the question please
The cash in a cash register equaled $100, but the record of cash receipts/sales equaled $102. Determine which of the following entries is correct to record cash sales and the shortage.
A. Debit Cash $102 and credit Sales $102.
B. Debit Cash $100; debit Cash Over and Short $2; and credit Sales $102.
C. Debit Cash $102; credit Cash Over and Short $2; and credit Sales $102.
D. Debit Cash $100; credit Cash Over and Short $2; and credit Sales $102.
Answer: B. Debit Cash $100; debit Cash Over and Short $2; and credit Sales $102.
Explanation:
The AutoSum icon is located in
which of the following groups on the
Home tab? *
Answer:
The AutoSum option can be found in two areas: It is contained in the Editing group of the ribbon, as shown in the first example above. It can also be found under the Formulas tab.
what is the income flow associated with labour?
Answer:
Explanation:
Factor income is the flow of income that is derived from the factors of production ,the general inputs required to produce goods and services. Factor income on the use of land is called rent, income generated from labor is called wages, and income generated from capital is called profit.
Use the following cash flow data to calculate the project's payback: Year 0 1 2 3 4 5 Cash flows -$5,500 $2,150 $1,830 $1,400 $800 $500 WACC= 10% tax rate= 35% Select one: a. 2.50 years b. 2.85 years c. 3.15 years d. 3.50 years e. 3.85 years
To calculate the project's payback, we need to find the number of years it takes for the cumulative cash flows to become positive.
The correct answer is b. 2.85 years.
Explanation:
First, we calculate the cumulative cash flows for each year by adding up the cash flows for all previous years.
Year 0: -$5,500
Year 1: -$5,500 + $2,150 = -$3,350
Year 2: -$3,350 + $1,830 = -$1,520
Year 3: -$1,520 + $1,400 = -$120
Year 4: -$120 + $800 = $680
Year 5: $680 + $500 = $1,180
Since the cumulative cash flows become positive in Year 4, we can say that the payback period is between Year 3 and Year 4.
To calculate the exact payback period, we use the formula:
Payback period = Number of years before cumulative cash flows become positive + (Cumulative cash flow at the end of the year that makes it positive / Cash flow in the following year)
Number of years before cumulative cash flows become positive = 3
Cumulative cash flow at the end of Year 3 = -$120
Cash flow in Year 4 = $800
Payback period = 3 + (-$120 / $800) = 3 + (-0.15) = 2.85 years
Therefore, the project's payback period is 2.85 years.
The correct answer is b. 2.85 years.
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After calculating the cash flow data none of the provided options (a. 2.50 years, b. 2.85 years, c. 3.15 years, d. 3.50 years, e. 3.85 years) is correct.
To calculate the project's payback, we need to determine how long it takes for the cumulative cash inflows to equal or exceed the initial investment.
Step 1: Calculate the cumulative cash inflows for each year.
Year 0: -$5,500 (initial investment)
Year 1: $2,150
Year 2: $1,830
Year 3: $1,400
Year 4: $800
Year 5: $500
Step 2: Subtract the cumulative cash inflows from the initial investment.
Year 1: -$5,500 + $2,150 = -$3,350
Year 2: -$3,350 + $1,830 = -$1,520
Year 3: -$1,520 + $1,400 = -$120
Year 4: -$120 + $800 = $680
Year 5: $680 + $500 = $1,180
Step 3: Determine the year in which the cumulative cash inflows equal or exceed the initial investment.
The cumulative cash inflows exceed the initial investment in Year 4.
Step 4: Calculate the payback period.
Payback period = Year of investment + (Unrecovered investment at the beginning of the year / Cash flow during the year)
Payback period = 4 + ($120 / $800)
Payback period = 4.15 years
Since we cannot have a fraction of a year, we round up to the next whole year.
Therefore, the project's payback is 5 years. None of the provided options (a. 2.50 years, b. 2.85 years, c. 3.15 years, d. 3.50 years, e. 3.85 years) is correct.
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how can you solve circle geometry in a simple way
Answer: by using the formula A=pi(3.14) R(radius) squared
Explanation:
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Define the mergers and acquisitions of Tesla and define what has the company gained?
the area of management responsible for the activities necessary to produce goods and services is .
The area of management responsible for the activities necessary to produce goods and services is called Operations Management. Operations Management is responsible for creating, controlling, and monitoring the processes needed to produce a company's goods and services.
The term "operations" refers to the processes that convert inputs (materials, labor, and capital) into outputs (goods and services). In other words, operations management is in charge of making the company's goods and services.Operations management is concerned with both the production and delivery of goods and services. This includes managing the production process, ensuring quality control, and ensuring that the company's products are delivered on time.
Operations management is also concerned with managing the company's supply chain. This includes managing relationships with suppliers, managing inventory levels, and ensuring that the company has the resources it needs to produce its products.Operations management is an important part of a company's success. By managing the production process, operations management can help a company to produce high-quality products at a low cost. By managing the supply chain, operations management can ensure that the company has the resources it needs to produce its products.
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An investor has an account with stock from two different companies. Last year, his stock in company a was worth $4300 and his stock in company b was worth $3040. The stock in company a has decreased 3% since last year and the stock in company b has decreased 20%. What was the total percentage decrease in the investor's stock account? round your answer to the nearest tenth (if necessary).
The decrease in stock is 10.04%.
Given that last year stock for company a was $4300
The stock for company B last year was worth $3040
Stock in company A decreased by 3%
This means the new value of stock for company A became;
(100-3)/100 *$4300
97/100*$4300
=$4171
Stock in company B decreased by 20%
This means the new value of stock for company B became;
(100-20)/100 *$3040
80/100*$3510
=$2432
Original investors stock value was = $4300+$3040 =$7340
New investors stock value is = $4171+$2432=$6603
Decrease in value of stock = $7340-$6603 =$737
percentage decrease in stock value = decrease in stock/original value of stock *100%
=737/7340 *100 =10.04%
=10.04%
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Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
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The W-4 tax form is used to?
Answer:
use compute the amount of federal income tax to deduct and withhold from the employee's pay
Explanation:
Answer:
tell your employees how much federal income tax to withhold from your paychecks to send to the IRS
Explanation:
You are planning to buy a stock that has just paid a dividend (D0) of $2. In addition, you anticipate the following growth rates:
Year 1 = 121%
Year 2 = 60%
Year 3 = -13%
Year 4 = 0%
Year 5 = 18%
Years 6 through infinity = 5%
Assume a discount rate of 15%. Based on this, what is the value of the stock today? (Round all dividend and price calculations to the nearest cent).
The value of the stock today is $46.16.You are planning to buy a stock that has just paid a dividend (D0) of $2.
to calculate the value of the stock today, we need to use the dividend discount model, which is given as:
p0 = d1 / (1+r) + d2 / (1+r)² + ... + dn / (1+r)ⁿ + pn / (1+r)ⁿ
where p0 is the stock price today, d1 is the dividend in year 1, r is the discount rate, n is the number of years, and pn is the stock price in year n.
using the given information, we can calculate the dividends for each year as follows:
d0 = $2d1 = d0 x (1 + 121%) = $4.42
d2 = d1 x (1 + 60%) = $7.07d3 = d2 x (1 - 13%) = $6.14
d4 = d3 x (1 + 0%) = $6.14d5 = d4 x (1 + 18%) = $7.25
d6 = d5 x (1 + 5%) = $7.61d7 = d6 x (1 + 5%) = $7.99
d8 = d7 x (1 + 5%) = $8.39d9 = d8 x (1 + 5%) = $8.81
and so on...
to find the stock price today, we need to discount each dividend back to the present using the discount rate of 15%. we can use the formula above to calculate the present value of each dividend, and then add them up to get the total stock price.
p0 = $4.42 / (1+15%) + $7.07 / (1+15%)² + $6.14 / (1+15%)³ + $6.14 / (1+15%)⁴ + $7.25 / (1+15%)⁵ + $7.61 / (1+15%)⁶ + $7.99 / (1+15%)⁷ + $8.39 / (1+15%)⁸ + $8.81 / (1+15%)⁹ + ...
to save time, we can use a financial calculator or spreadsheet software to calculate the present value of each dividend. using a financial calculator, we get:
p0 = $46.16
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josh is willing to pay $500 for a set of tire, but he is able to pay $300 at the local tire store. his consumer surplus is question 27 options: a) $800. b) $300. c) $200. d) $500.
Josh's consumer surplus is $200.Consumer surplus represents the difference between the maximum price a consumer is willing to pay for a product or service and the actual price they pay. In this case, Josh is willing to pay $500 for a set of tires, but he is able to purchase them for $300 at the local tire store.
To calculate the consumer surplus, we subtract the actual price paid from the maximum price Josh is willing to pay:
Consumer Surplus = Maximum Price - Actual Price
Consumer Surplus = $500 - $300 = $200
Therefore, Josh's consumer surplus is $200.
Consumer surplus represents the additional value that consumers derive from a product or service by paying less than their maximum willingness to pay. In this case, Josh's consumer surplus is $200, indicating that he has gained $200 of value by purchasing the set of tires at a price lower than his maximum willingness to pay.
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channels of distribution that involve the use of intermediaries_____
Channels of distribution that involve the use of intermediaries indirect distribution.
A distribution channel or also known as channel of distribution generally can be described as the method a company uses to get a service or also product into the hands of a consumer as efficiently and quickly as possible. On of the types of channel distribution is indirect distribution. Indirect distribution generally can be defined as selling wholesale to retailers or agents so that they can distribute the product for customer. There are several example of indirect distribution, such as the lumber manufacturer, the furniture maker, and the retailer.
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What is the gross income for a real estate agent in 2021?
Answer:
It depends on where you live and your experience level, but in the US a real estate agent can make approximately $82,898 a year, while you can expect to be paid around 15 to 30 thousand a year, within the first few years.
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ABC Co. acquired equity securities on May 25, 2020. The acquisition did not result in significant influence over the investee company. The fair value of the investment at December 31, 2020 was $76,000 and $108,000 at December 31, 2021.The adjustment to the Fair Value Adjustment account at December 31, 2021 would be?
The fair value adjustment for the investment in equity securities acquired by ABC Co. on May 25, 2020 should be adjusted to $108,000 at December 31, 2021.
This adjustment recognizes the increase in the fair value of the securities since acquisition. The adjustment will be posted to the Fair Value Adjustment account and will have a credit balance. This credit represents the unrealized gain on the investment at December 31, 2021.
Fair value accounting is used when investments are acquired without significant influence over the investee company. Under fair value accounting, investments are adjusted to fair value each period, with the resulting gains or losses reported in the income statement. The adjustment to the fair value of an investment at the end of the reporting period represents any change in the fair value of the securities since the time of acquisition.
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An upward shift in the consumption function, other things being equal, could be caused by households: a. becoming pessimistic about the state of the economy. b. becoming optimistic about the state of the economy. c. expecting future income and wealth to decline. d. experiencing a tax increase.
Sometimes, when there is an optimistism on an economy from the households, this could cause an upward shift in the consumption function,
What causes upward shift in the consumption function?Where there is a significant positive returns in the stock market that can increase consumer wealth this could cause the autonomous consumption to increase.
Hence, if there is an optimistism from households, this could cause an upward shift in the consumption function as well.
Therefore, the Option B is correct.
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This table shows the CTSOs that four high school students are involved in: A 2-column table with 4 rows. Column 1 is labeled Student with entries Elyse, Abin, Kendra, Angelica. Column 2 is labeled Current C T S O with entries T S A, F E A, D E C A, H O S A. Assuming the students continue down the same career path, which table shows the professional organization that each student would most likely be a part of in the future? A 3-column table with 4 rows. Column 1 is labeled Student with entires Elyse, Abin, Kendra, Angelica. Column 2 is labeled Current C T S O with entries T S A, F E A, D E C A, H O S A. Column 3 is labeled Future P O with entries A F P, A A S A, A S M E, A M A. A 3-column table with 4 rows. Column 1 is labeled Student with entires Elyse, Abin, Kendra, Angelica. Column 2 is labeled Current C T S O with entries T S A, F E A, D E C A, H O S A. Column 3 is labeled Future P O with entries A S M E, A A S A, S A G, A C S. A 3-column table with 4 rows. Column 1 is labeled Student with entires Elyse, Abin, Kendra, Angelica. Column 2 is labeled Current C T S O with entries T S A, F E A, D E C A, H O S A. Column 3 is labeled Future P O with entries S A G, A C S, A F P, A M A. A 3-column table with 4 rows. Column 1 is labeled Student with entries Elyse, Abin, Kendra, Angelica. Column 2 is labeled Current C T S O with entries T S A, F E A, D E C A, H O S A. Column 3 is labeled Future P O with entries A S M E, A A S A, A F P, A M A.
Answer:
The answer is A
Explanation:
Which of the following statements regarding audit evidence would be the least appropriate for an internal auditor to make?a. "I consider the level of risk involved when deciding the kind of evidence I will gather."b. "I do not perform procedures that provide persuasive evidence because I must obtain convincing evidence."c. "I evaluate both the usefulness of the evidence I can obtain and the cost to obtain it."d. "I am seldom absolutely certain about the conclusions I reach based on the evidence I examine."
Information gathered for a company's financial transactions, internal control procedures, and other matters required for the certification of financial statements by an auditor or certified public accountant is known as auditing evidence (CPA). Depending on the type of company being audited and the necessary audit scope, different amounts and types of auditing evidence are taken into account.
"Auditing evidence" is defined as a concept that promotes impartial, accurate, and transparent audit reports in order to protect investors. I do not perform methods that provide persuasive evidence because I must gather convincing evidence. These are the statements about audit evidence that an internal auditor should avoid making.
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Putting money into more than one kind of investment at a time is called liquidity. sunken cost. diversification. compound interest.
Answer:
diversification
Putting money into more than one kind of investment at a time is called diversification.
What is diversification?Diversification is the process of investing in diverse opportunities so as to reduce non-systemic risks. For example, if a person buys the stock of a health care company, in order to diversify, the person might invest in the stocks of an automobile company.
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All of the following statements are true, except:
Select the correct answer below:
Ordinary people can sometimes benefit from the unintended redistributions of inflation.
When interest rates are fixed, rises in the rate of inflation tend to penalize suppliers of financial capital.
When interest rates are fixed, demanders of financial capital typically end up worse off than suppliers of financial capital.
The unintended redistributions of buying power that inflation causes can have a broad impact on society.
The given statement has to be chosen from the options mentioned below. All options except one are true statements.
Out of the given options, the false statement is: When interest rates are fixed, demanders of financial capital typically end up worse off than suppliers of financial capital. The opposite is true.
When interest rates are fixed, suppliers of financial capital typically end up worse off than demanders of financial capital. Inflation is a situation where the prices of goods and services in the economy increase over time.
It leads to a decrease in the purchasing power of a currency. Inflation can have an impact on the overall economy and the wealth distribution in the society. The redistribution of buying power can benefit some and harm others. It can even lead to a transfer of wealth from lenders to borrowers. When the interest rates are fixed, increases in the inflation rate tend to penalize the lenders of financial capital.
As a result, demanders of financial capital end up with a lower burden of interest payments. Therefore, when interest rates are fixed, suppliers of financial capital end up worse off than demanders of financial capital.
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Drag each option to the correct location.
Match the scenarios to the factors that affect the labor market.
foreign direct investment
outsourcing
immigration
Each scenario should be matched to the factors that affect the labor market as follows:
Immigration: Carlos is moving from Mexico to the United States because he got a job in a bank. He had his interview last month, and the bank agreed to hire him because he was willing to work for 10% less than most American workers, even though he has the same qualifications.Foreign direct investment: A US supermarket chain is going to open a few supermarkets in Europe because a recent survey showed that the chain has a huge potential for profits in Europe.Outsourcing: A renowned US information technology firm has recently signed a contract with a company based in the Philippines. The Filipino company will handle the accounts of the US firm. The US firm made this decision to reduce labor costs.What is immigration?Immigration can be defined as the movement of a group of people from one geographical region to another geographical destination such as a city, especially in search of any of the following:
Good governanceSecurityBetter living conditions.WorkJobsSocial amenitiesWhat is a foreign direct investment?A foreign direct investment (FDI) simply refers to a type of investment which is made by an individual or business organization (investor) into an investment market that is located in another country.
In conclusion, an example of foreign direct investment (FDI) is a US supermarket chain that is planning to open a few supermarkets in a country in Europe.
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Answer:
Post Test: Free Market and Businesses
Unit: 2
Economics
Question #12
__________________________________________________________
This is 100% right because I took the test
Go to explanation for picture with answers
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l
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Explanation:
Here's the picture and I hope this helped!
Have a nice day!
What shows how goods, services, and money move in an economy in order to
better organize all the moving parts in order to see the big picture of an
economic situation?
Circular Flow of Economic Activity
O Supply Chart
O Cost Benefit Analysis
Gross Domestic Product
The model that shows how goods, services, and money move in an economy in order to better organize all the moving parts is the Circular Flow of Economic Activity.
What is the Circular Flow of Economic Activity?This is a model that shows how goods and services as well as money, moves in the economy.
It shows how Businesses are able to get factors of production such as money, from households and then use this to produce goods and services.
They then sell those goods and services to households who use money that they gain from being hired by the businesses to buy those products.
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entperise opportunities
Explanation:
A business opportunity (or bizopp) involves sale or lease of any product, service, equipment, etc. ... The licensor or seller of a business opportunity usually declares that it will secure or assist the buyer in finding a suitable location or provide the product to the purchaser-licensee.
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