Crowdfunding raises money from multiple small investors rather than a few large ones.
Crowdfunding is a financing method that involves raising small amounts of money from a large number of individuals or investors, typically through online platforms or social media.
It is a form of alternative funding that allows entrepreneurs, startups, or individuals to gather capital from a diverse group of backers who contribute small amounts of money towards a particular project or business venture.
Crowdfunding can be used for various purposes, such as product development, business expansion, creative projects, charitable causes, and more.
By leveraging the power of collective funding, crowdfunding allows entrepreneurs and individuals to access capital without relying on traditional sources of funding such as banks, venture capitalists, or angel investors.
Crowdfunding democratizes the funding process, allowing for broader participation and engagement from a community of supporters.
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what is the best free editing app for gamers?
Somebody report all my post thank you ♀️ I wanted everything deteled !!!!
(If you can answer this question, please answer it. No one's been answering my questions ): )
Think about price, place, promotion, and product.
Do you see any limitations to using these methods to create a marketing plan? If so what limitations do you foresee?
¿Que es una fuente luminosa?
on march 31, the purchasing manager at reynold plastics purchased a greater quantity of raw materials than budgeted and paid the standard price for the raw materials. which variance is directly impacted by the march 31 purchase?
The variance directly impacted by the March 31 purchase of a greater quantity of raw materials at the standard price is the Materials Quantity Variance.
Materials Quantity Variance measures the difference between the actual quantity of materials used and the standard quantity of materials that should have been used, multiplied by the standard price. It helps in evaluating the efficiency and effectiveness of the materials used.
In this case, since the purchasing manager purchased more raw materials than budgeted and paid the standard price, the actual quantity of materials used will exceed the standard quantity. As a result, the Materials Quantity Variance will reflect the difference between the actual quantity and the standard quantity, indicating whether the excess material usage was favorable or unfavorable.
By comparing the actual quantity purchased with the standard quantity, the Materials Quantity Variance will provide insight into the efficiency of materials utilized in manufacturing and help identify areas where improvements can be made to control material costs and usage.
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which one of the following is section 1231 property? multiple choice accounts receivable. copyright owned by an author. inventory. a building used in a trade or business.
A building used in a trade or business is section 1231 property.
Section 1231 property refers to property used in a trade or business and includes real property, depreciable personal property, and livestock. Accounts receivable and inventory are considered ordinary income property, while a copyright owned by an author is considered a capital asset.
A building used in a trade or business is subject to special tax treatment under Section 1231 of the Internal Revenue Code.
This means that any gains or losses from the sale or exchange of the property are treated as long-term capital gains or losses. This allows for potential tax benefits for those who own and operate buildings used in a trade or business.
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the theoretical model that describes the sales and profit performance of a product class over time is called the
The theoretical model that describes the sales and profit performance of a product class over time is called the product life cycle.
The product life cycle is a theoretical model that describes the various stages that a product goes through from its introduction to its decline in the market. It provides a framework for understanding the sales and profit performance of a product class over time.
The product life cycle consists of four main stages: introduction, growth, maturity, and decline. During the introduction stage, the product is newly introduced to the market, and sales and profits are typically low as consumer awareness and demand are being built. In the growth stage, sales and profits start to increase as the product gains wider acceptance and market share.
The maturity stage is characterized by stable sales and profits as the product reaches its peak level of market penetration. Competition may be intense during this stage, leading to price competition and slower growth rates. Finally, in the decline stage, sales and profits decline as the product becomes outdated or faces competition from newer alternatives.
The product life cycle model helps businesses understand the dynamics of their products in the market and enables them to make informed decisions regarding product strategies, pricing, marketing, and investment in research and development. By recognizing the stage of a product in its life cycle, companies can adapt their strategies accordingly to maximize sales and profits.
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2.which of the following statements best describes a keynesian approach to economics? a)aggregate demand is the most important driving force in the economy, but free-markets have no self-balancing mechanisms that lead to full-employment; therefore, government intervention is often necessary to stabilize an economy. b)politics determines economics, the nature of economics is conflictual, and the main actors are nation-states; therefore, the main goal of economic activity is the maximization of national interest. c)individual freedom to pursue interests/wealth in an open market free of government interference with the role of government to primarily protect property rights. d)resources flow from a periphery of poor and underdeveloped countries (global south) to a core of wealthy states (global north) enriching the latter at the expense of the former. poor countries are systemically locked into this unfavorable situation.
Option a is correct. The main economic driver is aggregate demand, but since free markets lack self-balancing mechanisms that lead to full employment, stabilising an economy frequently requires government intervention.
A macroeconomic theory known as Keynesian economics examines the total amount of spending in the economy and how it affects production, employment, and inflation. In an effort to comprehend the Great Depression, British economist John Maynard Keynes created it in the 1930s.
The fundamental tenet of Keynesian economics is that economic stabilisation may be achieved by government intervention. Keynes' theory was the first to clearly distinguish between the study of individual motivations and economic behaviour from those of broad aggregate variables and conceptions.
Keynes' theory led him to propose higher government spending and lower taxes as a way to boost demand and rescue the world economy from the Great Depression. Later, the term "Keynesian economics" was used to describe the idea that economic performance could be optimised and economic downturns might be avoided.
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Keiynan wants to start a restaurant that is environmentally friendly. It is important to him to use locally grown food to keep the impact on the environment low. How should he set up his business based on his goals?
Answer:
He should begin growing a garden of fresh fruit and vegetables to utilize for his cooking. He could also use sustainable utensils and tools.
Correction in the comments- I assume its the last one.
Keiynan should set his business goals by focusing on the good environmental practices, such as using sustainable utensils and tools and growing a garden of fresh fruit and vegetables.
What is Environment?Environment refers to the surrounding in which we live. It is very important part of the human life to keep the surrounding clean as it may impact the life of everyone, even the animals. It includes all type of living sand nonliving elements.
According to the above scenario, Keiynan open the restaurant while keeping in the mind the measures to be undertaken in order to protect the environment. The practices that he can incorporate are developing his own garden and growing the chemical and pesticides.
Therefore, it can be concluded that Keiynan should focus on excellent environmental practices while setting his company goals, such as employing sustainable utensils and tools and establishing a garden of fresh fruits and vegetables.
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Need help with this one.
Anton's gross monthly pay is $1,058.00. If his employer withholds 11% for the monthly federal income tax, how much will be deducted from his paycheck?
Group of answer choices
$941.62
$11.00
$116.38
$11.64
Anton's gross monthly pay is $1,058.00. If his employer withholds 11% for the monthly federal income tax, $116.38 will be deducted from his paycheck.
Define tax?A tax is a mandatory payment or charge levied on individuals or businesses by local, state, and national governments to cover the costs of general government services, goods, and activities.It is derived from the Latin taxare, which means 'to assess'. Previously, English used the related word 'task,' which was derived from Old French.For a time, the terms 'task' and 'tax' were interchangeable, with the first requiring labor and the latter requiring money.The term 'tax' then came to mean something tedious or difficult.Governments levy fees on citizens and businesses to generate revenue, which is then used to meet budgetary demands.This includes financing government and public projects as well as improving the country's business environment to promote economic growth.To learn more about tax refer to:
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ll of the following are economic benefits of maintaining relationships with current customers EXCEPT: a. happy customers refer friends and colleagues. b. new customers increase profits more than current customers. c. order-processing cost are less for returning customers. d. long-time customers spend more money than new customers.
It costs more selling to new customers than old customers, therefore economic benefits of maintaining relationships with current customers will include all of the listed options EXCEPT: b. new customers increase profits more than current customers.
Customer relationship management is very key in every business as it is one very important strategy to customer retention.
When a good relationship is created and maintained with current customers, economic benefits that such business will get could include:
Satisfied customers can refer their friends and colleaguesIt saves cost when a returning customer is making new orders.Satisfied customers who have a good relationship with the business will be more willing to spend more than new customers who are still having trust issues.Thus, it costs more selling to new customers than old customers, therefore economic benefits of maintaining relationships with current customers will include all of the listed options EXCEPT: b. new customers increase profits more than current customers.
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Which of the following correctly describes an example of a secondary competitor?
Answer: A coffee shop that also sells pastries would be a secondary competitor for a bakery that sells pastries, among other products.
(took the test)
Which is not a task of the bankruptcy trustee?
ensures that the debtor begins repayment
gathers the debtor's funds in excess of exemptions
monitors the progress of a bankruptcy case
represents the debtor when meeting with the creditors
Answer:
The option which is not a task of the bankruptcy trustee is;
Represent the debtor when meeting with creditors
Explanation:
In a case of bankruptcy a bankruptcy trustee is assigned by the court and to whom the case information is handed to perform the following tasks
1) Converts the collected company assets to money
2) Assess the creditors (owed by the debtor) proof of claims
3) Allocate monetary refunds to the creditors
4) Upholds or refuse claimants to specific debts
5) Completes tax and other financial reports that are submitted to government agencies
Answer:
Which is not a task of the bankruptcy trustee? That would be: Represents the debtor when meeting with the creditors.
Explanation:
Why? Because he is not a lawyer. He wouldn't really be able to do much in court.
omeone who likes building, designing, or creating things probably has a(n) _____. a. naturalistic learning styles b. bodily/kinesthetic learning style c. logical/mathematical learning style d. visual/spatial learning style Please select the best answer from the choices provided A B C D
Answer:
D. Visual/spatial learning style.
Explanation:
Someone* have a great day<3
Answer:
I assume D
Explanation:
A is a maybe but when it comes to buildings, It tips me off of the idea from an naturalist style,
b doesn't seem to be the answer as if " learning takes place by the students carrying out physical activities, rather than listening to a lecture or watching demonstrations."
C logical and mathicals ways is different from designs and the artistic way of building this seems to be in a career for maybe a bank teller or a teacher
What system did merchants in early centuries use to make commercial transactions easier
In the early centuries, merchants made use of the Mercantilism system for commercial transactions.
What is Mercantilism?In simple terms, it is an economic theory and practice known as "mercantilism," which was prevalent in Europe from the 16th to the 18th century.
Mercantilism advocated governmental regulation of a country's economy with the goal of enhancing state power at the expense of competing for national powers.
According to the theory, a strong nation should have a sizable population because a sizable population would offer a supply of labor, a market, and soldiers.
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western company recently lost its entire inventory in an earthquake. the following information is available from its accounting records: beginning inventory: $5,000; purchases: $20,000; net sales: $40,000. the company's average gross profit percentage is 40%. using the gross profit method, a reasonable estimate of cost of goods sold for this past period would be
A reasonable estimate of value of products bought for this past period using the gross profit method is $24,000.
Using the gross profit approach, we will estimate the cost of products sold by means of first estimating the gross profit and then subtracting it from net sales.
Gross income = net sales - cost of products sold
We recognise that the average gross profit percent is 40%, because of this that the cost of goods bought represents 60% of net income (100% - 40%).
Cost of products sold = 60% x net sales
We are able to now estimate the price of products sold for the period the use of the available facts:
value of goods sold = 60% x $40,000 = $24,000
To test the reasonableness of this estimate, we will calculate the ending stock:
ending inventory = starting inventory + Purchases - cost of goods bought
ending stock = $5,000 + $20,000 - $24,000 = $1,000
Which means that the corporation lost stock worth $4,000 in the earthquake, which is affordable given the alternative statistics supplied.
Therefore, a reasonable estimate of value of products bought for this past period using the gross profit method is $24,000.
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a designer begins a new project by reviewing the elevation section in the material baseline design kit in figma. which of the following design features should they apply a higher elevation to?
Generally, a designer should apply a higher elevation to elements that will draw attention to the element or make it stand out from the rest of the design.
What is designer?Designer is a professional who creates designs for an array of products, including clothing, furniture, and architecture. Designers use their creativity, knowledge of materials, and experience in their field to create products that are aesthetic, functional, and marketable. They often specialize in a certain area, such as fashion, graphic, industrial, or interior design. Designers must have excellent communication skills to collaborate with other professionals, such as manufacturers and buyers. They must also be able to work within budgets and deadlines. Designers also need to be able to research and analyze materials, trends, and customer needs to create successful designs that meet customer demands.
This can include important buttons, titles, or other visual cues such as icons and symbols. Additionally, elements that indicate progress or need user interaction such as sliders or checkboxes should also have higher elevation as they guide and direct the user's experience.
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The product life cycle refers to the stages a product moves through from the time it enters the market until the time
It's the stage by which a product move through from the time it enters the market until the time it is cleared. My own definition states that it's the length of time by which a product is introduced to consumers in the market until it has been removed
I need help to determine my grade
Answer:
Outstanding Checks should be subtracted from the bank side of the reconciliation because they were subtracted from the book balance when the checks were written.
Explanation:
CORRECT ANSWERS ONLY!
1:After your first two years of college, you earn your master’s degree.
False
True
2:An MBA should only appeal to people who want to run a business.
True
False
3:You only need to get a minor if you think you will want to make a career change later in life.
False
True
4:There are two different kinds of bachelor's degrees, a Bachelor of Science and a Bachelor of Arts.
True
False
Answer:
1. False
2. True
3. False
4. False
Explanation:
1. Associate degree
2. A masters in business administration would be an asset to someone wanting to run a business
3. A minor is a great way to augment skills
4. There is also a bachelors of fine arts
Please help I'm about to fail my class and i will be grounded for life, 100 pts for it! its financial literacy
Part One–Research
Imagine you bought 100 shares of stock three years ago and are selling it today. Select a company and research its stock prices. You can start with websites like Nasdaq and Fidelity. Determine the stock's price three years ago, or the purchase price, and its price today, or the selling price.
Part Two–Determine the Real Return
Calculate the real return of your stock investment using the following information:
Purchase price of 100 shares of stock
Selling price of 100 shares of stock
10% tax rate
3% inflation rate
2% administrative fee on the selling price of the stock
Part Three–Evaluate
Analyze your research and calculations, and answer the following questions:
What company did you select to buy stock in? Why did you select the company?
Consider the real return of the stock investment. Do you consider it a wise investment? Why or why not?
1. I imagine buying 100 shares of Amazon.com Inc. on January 3, 2020, when the stock price was $93.75, investing $9,375.
Today, October 31, 2022, the stock price of Amazon.com Inc. is $102.44.
2. The real return on my investment in Amazon.com Inc was a net loss of 7.12% or $667.60.
3. The company I selected to buy its stock three years ago was Amazon.com Inc.
4. I decided on Amazon.com Inc., hoping to earn spectacular returns since it is a multinational technology company.
5. When I consider the actual return on the stock investment in Amazon.com Inc., I think it was an unwise investment.
6. The investment returned a negative real value because I realized less than I initially invested; I actually lost about $667.60 overall.
What is the stock investment?Stock investment is the purchase of shares for an ownership interest in a publicly-listed company.
The investor makes the investment with the hope that the investee will grow and perform well over some period, enabling the investor to earn some real returns (in the form of dividends and capital appreciation).
Purchase of 100 shares Jan. 3, 2020 = $9,375 (100 x $93.75)
Sales of 100 shares Oct. 31, 2022 = $10,244 (100 x $102.44)
Tax (10%) = $1,024.40 ($10,244 x 10%)
Inflation (3%) = $307.32 ($10,244 x 3%)
Administration fee on sales (2%) = $204.88 ($10,244 x 2%)
Real Returns in dollars = $8,707.40 ($10,244 - $1,024.40 - $307.32 - $204.88)
Loss on returns = $667.60 ($8,707.40 - $9,375)
Loss percentage = 7.12% ($667.60/$9,375 x 100)
Unfortunately, Amazon.com Inc. did not pay any dividends during the period of my investment, and I really lost funds to taxes, inflation, and administration fees when I sold it.
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the j-curve shows that, after a currency depreciation, group of answer choices the current account is difficult to change in the long run. the current account is likely to worsen before it improves. the current account will remain unchanged after all adjustments have taken place. the current account is likely to improve before it worsens.
The j-curve theory suggests that after a currency depreciation, the current account is likely to worsen before it improves. The answer to this question is the current account is likely to worsen before it improves.
This means that in the short run, the country's trade deficit may increase as imports become more expensive and exports become cheaper. However, in the long run, the country's trade balance should improve as domestic goods become more competitive and exports increase. Depreciation is a decrease in the value of a currency relative to other currencies, which can impact a country's current account. The current account is a record of a country's trade balance, which includes exports, imports, and other financial transactions.
When a currency depreciates, exports become cheaper and more competitive in foreign markets, which should lead to an increase in exports. At the same time, imports become more expensive, which may lead to a decrease in imports. However, these changes may take time to materialize, and in the short run, imports may still be needed, leading to a trade deficit.
In the long run, adjustments should take place, and the country's trade balance should improve. However, this depends on various factors such as the country's competitiveness, economic policies, and global economic conditions. Therefore, while the j-curve theory suggests that the current account may worsen before it improves after a currency depreciation, it is important to consider various factors that may impact the country's trade balance in the long run.
Overall, depreciation can impact a country's current account, and it may take time for adjustments to take place. The accountants should keep track of these changes and adjust the accounts accordingly to reflect the current situation accurately. Therefore, the answer to this question is the current account is likely to worsen before it improves.
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Brown Co. Had current assets of $15,000, total assets of $30,000 and current liabilities of $9,000 at the end of the year. The current ratio for the period is:
a 2. 0
b 0. 5
c 1. 67
d 3. 33
In this case, Brown Co. has a current ratio of 1.67. This means that for every dollar of current liabilities, the company has $1.67 of current assets.
The current ratio for Brown Co. can be calculated by dividing the current assets by the current liabilities. In this case, the current assets are $15,000, and the current liabilities are $9,000.
The current ratio for Brown Co. is:
Current Ratio = Current Assets / Current Liabilities
Current Ratio = $15,000 / $9,000
Current Ratio = 1.67
Therefore, the correct answer is option c) 1.67.
The current ratio is a financial metric that assesses a company's ability to meet its short-term obligations with its short-term assets. It provides an indication of the company's liquidity and its ability to cover its immediate liabilities. A current ratio above 1 suggests that the company has more current assets than current liabilities, indicating a stronger ability to meet its short-term obligations.
In this case, Brown Co. has a current ratio of 1.67. This means that for every dollar of current liabilities, the company has $1.67 of current assets. The higher the current ratio, the better the company's short-term liquidity position. A current ratio of 1.67 indicates that Brown Co. has a relatively healthy liquidity position and should be able to cover its short-term obligations comfortably.
It's important to note that while the current ratio provides insight into a company's liquidity, it should not be the sole factor in assessing a company's financial health. Other financial metrics and factors should also be considered, such as cash flow, profitability, and industry-specific considerations, to obtain a comprehensive understanding of the company's overall financial position.
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Which of the following is NOT true about emergency funds?
a,They can keep you from borrowing money from friends and family.
b,They help remove the worry about expenses not in the budget.
c,They are used for anything listed on the budget.
d,They help you prepare for unexpected expenses.
Answer:
The answer is "They are used for anything listed on the budget."
The option that is NOT true about emergency funds is: c. They are used for anything listed on the budget.
What is emergency funds?Emergency funds are usually not used for things that are planned and included in the budget. Instead, emergency funds are money saved specifically for unexpected expenses that you didn't plan for in your usual budget.
The reason for having an emergency fund is to have money saved for unexpected things that might happen, like when someone gets hurt and needs to go to the hospital or when a car or home needs fixing. It can also help if someone loses their job or if something else happens that they didn't expect.
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Help!
Which federal agency oversees how clean and how appropriately a restaurants prepare and store foods?
Answer:
FDA's Center for Food Safety and Applied Nutrition (CFSAN) seeks to ensure that these foods are safe, sanitary, nutritious, wholesome, and honestly and adequately labeled.
Explanation:
The rate at which a business increases revenue from sales is
Answer:
There are only four ways to increase revenue in your business: increase the number of consumers, increase the average transaction size, increase the frequency of transactions per client, and raise your rates.
Explanation:
if the preferred stock is cumulative. how much of the $700.000 would be paid to common stockholders?
In the event that the preferred stock is total, it implies that in the event that the company does not pay the favored profits in any given year, those profits gather and must be paid in future a long time some time recently any profits can be paid to common stockholders.
Expecting that the company has not paid any favored profits within the past, and it has $700,000 in gathered favored profits, all of this amount would have to be paid to the favored stockholders some time recently any profits can be paid to common stockholders.
Subsequently, common stockholders would not get any profits until the $700,000 in amassed favored profits are paid in full. It is critical to note that the sum of profits that common stockholders will get depends on the company's choice on how much of the remaining earnings will be disseminated as profits to them.
Total preferred stockholders have a better need in getting profits than common stockholders, and any collected profits must be paid some time recently common stockholders get any installment.
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Generally, a positive covariance between assets^ prime ' returns in a portfolio indicates ....
Generally, a positive covariance between assets' prime returns in a portfolio indicates that the assets tend to move in the same direction. When one asset's return increases, the other asset's return is also likely to increase, and vice versa. This can lead to less diversification and higher overall portfolio risk.
When constructing a portfolio, investors aim to diversify their holdings to reduce the overall risk of the portfolio. However, if the assets in the portfolio have a positive covariance, diversification may not provide as much risk reduction as it would if the assets had a negative covariance.
To better manage the risk of the portfolio, investors may consider adding assets that have a negative covariance or a low positive covariance with the existing assets in the portfolio. This can help to reduce the overall risk of the portfolio and increase its stability.
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Prompt What is advertising?
Answer:
An advertisement (often shortened to advert or ad) is the promotion of a product, brand or service to a viewership in order to attract interest, engagement and sales. Advertisements come in many forms, from copy to interactive video, and have evolved to become a crucial feature of the app marketplace.
Brief Exercise 14.6 (Static) Effective interest on bonds [LO14-2] On January 1 , a company issued 3\%, 20-year bonds with a face amount of $80 million for $69,057,776 to yield 4%. Interest is paid semiannually. What was the interest expense at the effective interest rate on the December 31 annual income statement? Note: Round intermediate calculations and your final answer to the nearest whole dollar.
The interest expense on the December 31 annual income statement is $2,762,311.
The interest expense on the December 31 annual income statement can be calculated by determining the effective interest rate on the bonds and applying it to the carrying value of the bonds at the end of the year.
To calculate the effective interest rate, we need to find the present value of the bond's future cash flows. The bond has a face value of $80 million and pays semiannual interest at a rate of 3% per year. The bond has a yield of 4%.
Using a financial calculator or Excel, we can find that the present value of the bond's cash flows is approximately $69,057,776. This is the initial price the company paid for the bond.
Next, we calculate the interest expense by multiplying the carrying value of the bond at the end of the year by the effective interest rate. The carrying value of the bond at the end of the year is still $69,057,776.
Assuming a 20-year bond, there will be 40 semiannual periods over the life of the bond. The semiannual interest payment can be calculated using the formula:
Interest payment = (Face value of the bond) * (Coupon rate) / 2
Substituting the values, we find that the semiannual interest payment is $1,200,000.
Finally, we calculate the interest expense on the income statement by multiplying the carrying value of the bond by the effective interest rate, which is 4%. The interest expense will be $2,762,311.
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