An intrapreneur may be regarded as particular form of entrepreneur, however this person will probably have slightly less freedom and far lesser financial risk than an entrepreneur who is actually starting new, independent adventure.
What is entrepreneurship?At its most basic level, entrepreneurship describes a person or a small group of partners who set out on an original course to launch a new firm. A prospective entrepreneur deliberately seeks for a particular business venture, and it is the entrepreneur who bears the most of the project's risk. Innovation has a big role in entrepreneurial endeavors. By encouraging "intrapreneurship," big businesses might try to imitate this trait. Employees are encouragd to think like entrepreneurs, creating an original perspective that can result in a fresh idea for the organization. The company may give these employees more freedom, but it retains control of the project and assumes all associated risks. Small enterprises and large corporations alike profit from the efforts of entrepreneurs.
To learn more about entrepreneurship, visit:
https://brainly.com/question/18203575
#SPJ4
assume you deposit $5,500 at the end of each year into an account paying 10.75 percent interest. how much money will you have in the account in 18 years?
The Paying Account Provider must offer the Issuer a single primary account along with any agreed-upon sub-accounts for various currencies.
The Payments Administrator shall perform any tax reporting required by U.S. law of the Payments Administrator with regard to distributions from the Paying Account to U.S. persons (actual or inferred), which as of the date of this Agreement shall be limited to IRS 1099-B forms.
The Client Specific Emergency Services Revolving Fund Paying Account, which will be made up of federal grants, aids, cash donations, and reimbursements, is hereby authorized to be established and maintained by the Division of Administrative Services Director's Office of the Department of Human Services as a cash fund account.
To learn more about Paying account the given link:
https://brainly.com/question/16190421
#SPJ1
claton industries has revenues of $128,000 for 2020. their operating expenses are $80,000, and the income tax is $12,000. what is the net income for this company? $48,000 $36,000 $220,000 $196,000
The net income for Claton Industries for 2020 is $36,000. Therefore, the correct option is option 2.
Net income is the amount made by the business after deducting costs, allowances and taxes. To calculate the net income for Claton Industries, we need to consider their revenues, operating expenses, and income tax. It is given that revenue = $128,000, operating expenses = $80,000, and income tax = $12,000.
In order to calculate the net income follow these steps:1. Start with the revenues: $128,000
2. Subtract the operating expenses: $128,000 - $80,000 = $48,000
3. Subtract the income tax: $48,000 - $12,000 = $36,000
Hence, the net income is $36,000 which corresponds to option 2.
Learn more about Net income:
https://brainly.com/question/30403491
#SPJ11
Imagine you own an established startup with growing profits. You are looking for funding to greatly expand company
operations. What method of financing would be best for you?
A. Debt financing
B. Angel investing
C. Venture capital
D. Going public
Based on the scenario you provided, the best method of financing for an established startup with growing profits and a desire to greatly expand operations would likely be venture capital. Venture capitalists typically invest in high-growth potential companies that have a proven track record of success and can provide significant returns on their investment. While debt financing and angel investing may also be viable options, venture capital is better suited for companies that need larger amounts of funding to achieve their growth goals. Going public is a less common option for startups, as it requires significant regulatory and legal compliance and may not be the most practical solution for every business.
Based on your situation, the best method of financing to greatly expand your established startup with growing profits would be C. Venture capital.
Venture capital is a type of funding provided by investors to startups and small businesses that have the potential for long-term growth. This method allows your company to access large sums of money, which can be used to scale your operations, hire new employees, and develop your products or services. Additionally, venture capitalists often bring valuable expertise, networks, and guidance to help your business grow.
Remember that each financing option has its advantages and disadvantages, and the best choice depends on your specific situation and goals.
To know more about established startup visit
https://brainly.com/question/29509855
SPJ11
a student is working part time as a hairdresser to pay college expenses. the student may work no more than 24 hours per week. haircuts cost $25 and require an average of 20 minutes, and permanents cost $70 and require an average of 1 hour and 10 minutes. what combination of haircuts and/or permanents will yield an optimal revenue? what is the optimal revenue?
To help pay for college, a student is working as a cosmetologist part-time. There is a weekly maximum of 21 hours that the student may work.
What credentials are required to start a beauty salon in the UK?
Beauty schooling for salon proprietors
Certificate in Beauty Salon Reception, NVQ Diploma in Beauty Techniques, Diploma in Beauty Therapy Services, Diploma in Hair and Beauty Services You must first register your salon or spa with your local authority or council and submit an application for a premises licence. With a premises licence, you can operate a salon and provide cosmetic services lawfully on the designated site.
To know more about salon click on the link below:
https://brainly.com/question/14761992
#SPJ4
what is cooperative skill
Describe the role of the entrepreneur in the decision making process.
Outline the following roles of an entrepreneur in economic development:
a) collaborating;
b) providing goods and services to satisfy citizens;
c) creating jobs ; and,
d) contributing to nation building
The following roles of an entrepreneur in economic development is generally and actually providing goods and services to satisfy citizens Option(b) is correct.
What is Economic Development?In the economics investigation of the public area, economic and social development is the cycle by which the economic prosperity and personal satisfaction of a country, district, neighborhood local area.
The term has been utilized often in the twentieth and 21st hundreds of years, yet the idea has existed in the West for far longer. "Modernization", "Westernization", and particularly "industrialization" are different terms frequently utilized while talking about economic development.
Therefore Option(b) is correct By and large, economic development arrangements zeroed in on industrialization and foundation; since the 1960s, it has progressively centered around neediness decrease.
Learn more about Economic Development here:
brainly.com/question/1645709
#SPJ1
7. Another example of opportunity cost is a company's cost of capital. Suppose a manufacturer wants to add
microwave ovens to its product line. To do this, it must invest $500,000 in new equipment.
Besides the original investment, the company estimates it would spend $200,000 per year on production
costs for labor and materials. It also estimates that it could sell about $225,000 worth of microwave ovens
each year. Would it benefit the company to manufacture the microwave ovens if it could earn 10 percent
interest by purchasing U.S. Treasury bonds with the $500,000? Explain your answer.
Answer:
You should invest in US bonds because you will be able to earn a higher return than if you build and sell microwaves.
Explanation:
alternative 1, build and sell microwave ovens:
initial outlay = $500,000
net cash flow per year = $225,000 - $200,000 = $25,000
alternative 2, invest in US securities:
investment = $500,000
net cash flow per year = $500,000 x 10% = $50,000
Opportunity costs are the benefits lost or extra costs resulting from choosing one activity or investment over another.
If you choose to build and sell microwaves, you will not be able to invest in bonds, and therefore, your net income will decrease by $25,000 - $50,000 = -$25,000.
Instead, if you invest in bonds and not microwaves, your net income will increase by $50,000 - $25,000 = $25,000.
You should invest in US bonds because you will be able to earn a higher return than if you build and sell microwaves.
The calculation is as follows:alternative 1, build and sell microwave ovens:
initial outlay = $500,000
So,
net cash flow per year = $225,000 - $200,000 = $25,000
now
alternative 2, invest in US securities:
investment = $500,000
net cash flow per year = $500,000 x 10% = $50,000
In the case when you choose to build and sell microwaves, you will not be able to invest in bonds, and therefore, your net income will decrease by $25,000 - $50,000
= -$25,000.
Now
Instead, if you invest in bonds and not microwaves, your net income will increase by $50,000 - $25,000
= $25,000.
learn more: https://brainly.com/question/26115859?referrer=searchResults
Blossom Company is considering an investment that will return a lump sum of $850,000 3 years from now. Click here to view the factor table. (For calculation purposes, use 5 decimal places as displayed in the factor table provided.) What amount should Blossom Company pay for this investment to earn an 6% return? (Round answer to 2 decimal places, e.g. 25.25.)
Ale jak się okazało w Polsce dniu narty nie skierowane to dniu tym świecie i jest ogóle nie ma problemu z tym że nie ma przecieku co w wszystko jutrzejszym terminie
Answer each of the questions in the following unrelated situations.
(a) The current ratio of a company is 5:1 and its acid-test ratio is 1:1. If the inventories and prepaid items amount to $456,000, what is the amount of current liabilities?
(b) A company had an average inventory last year of $218,000 and its inventory turnover was 6. If sales volume and unit cost remain the same this year as last and inventory turnover is 8 this year, what will average inventory have to be during the current year? (Round answer to 0 decimal places, e.g. 125.)
(c) A company has current assets of $84,000 (of which $39,000 is inventory and prepaid items) and current liabilities of $39,000. What is the current ratio? What is the acid-test ratio? If the company borrows $14,000 cash from a bank on a 120-day loan, what will its current ratio be? What will the acid-test ratio be? (Round answers to 2 decimal places, e.g. 2.50.)
(d) A company has current assets of $607,000 and current liabilities of $243,000. The board of directors declares a cash dividend of $162,000. What is the current ratio after the declaration but before payment? What is the current ratio after the payment of the dividend?
The answer of the questions on current ratios and acid-test ratios are
a) Current liabilities = $91,200
b) Current year’s average inventory = $163,500.
c) Current ratio = 2.15, Acid-test ratio = 1.15
After borrowing, Current ratio = 1.85, Acid-test ratio = 1.11
d) The current ratio after the declaration but before payment of the dividend = $445,000 / $243,000 = 1.83 and the current ratio after the payment of the dividend = $283,000 / $243,000 = 1.17
How to solve the given questions for current ratios and acid-test ratios?
a) Current assets in corporation = $5, for every $1 in current liabilities, Current ratio = 5
If Inventory and pre-payables = $456,000,
Then,
the current assets = $456,000 + $456,000 = $912,000.
The corporation has $1 in current assets for every $1 in current liabilities, according to the acid-test ratio of 1:1.
The value of current assets = total of inventory and prepaid items =$456,000
This value must be known in order to calculate the current liabilities.
Thus,
Current liabilities = $456,000 / 5 = $91,200.
b) The formula for inventory turnover is:
Inventory turnover = Cost of goods sold / Average inventory
Since the sales volume and unit cost remain the same, the cost of goods sold will also remain the same this year as last.
Last year‘s inventory turnover = 6
Therefore, 6 = cost of goods sold (COGS) / $218,000
Solving for COGS, we get:
COGS = 6 * $218,000 = $1,308,000
This year’s inventory turnover = 8
Therefore, 8 = COGS / Average inventory
Solving for Average inventory, we get:
Average inventory = COGS / 8 = $1,308,000 / 8 = $163,500
Therefore, current year’s average inventory = $163,500.
c) Current ratio = Current assets / Current liabilities
Therefore, the current ratio = $84,000 / $39,000 = 2.15
Calculating the quick ratio (acid-test ratio):
(current assets - inventories and prepaid goods) / current liabilities.
Therefore,
Acid-test ratio = ($84,000 - $39,000) / $39,000 = ($45,000) / $39,000 = 1.15
Amount borrowed by the company = $14,000 cash from a bank on a 120-day loan
Increase in current assets = $84,000 + $14,000 = $98,000.
Increase in current liabilities = $39,000 + $14,000 = $53,000.
Therefore, new current ratio = $98,000 / $53,000 = 1.85
And the new acid-test ratio = ($98,000 - $39,000) / $53,000 = ($59,000) / $53,000 = 1.11
Therefore, after borrowing $14,000, current ratio = 1.85 and the acid-test ratio = 1.11.
d) Current ratio before the declaration and after the payment of the dividend:
Current ratio = Current assets / Current liabilities
Therefore, current ratio = $607,000 / $243,000 = 2.50
Cash dividend after the declaration = $162,000
Therefore, decrease in current assets = $607,000 - $162,000 = $445,000.
The current ratio after the declaration but before payment of the dividend = $445,000 / $243,000 = 1.83
Current assets after the payment of the dividend:
$445,000 - $162,000 = $283,000.
The current ratio after the payment of the dividend = $283,000 / $243,000 = 1.17
To learn more about current ratios and acid-test ratios from the given link
https://brainly.com/question/2686492
#SPJ1
Answer each of the questions in the following unrelated situations.(a) The current ratio of a company is 5:1 and its acid-test ratio is 1:1. If the inventories and prepaid items amount to $456,000, what is the amount of current liabilities?(b) A company had an average inventory last year of $218,000 and its inventory turnover was 6. If sales volume and unit cost remain the same this year as last and inventory turnover is 8 this year, what will average inventory have to be during the current year? (Round answer to 0 decimal places, e.g. 125.)(c) A company has current assets of $84,000 (of which $39,000 is inventory and prepaid items) and current liabilities of $39,000. What is the current ratio? What is the acid-test ratio? If the company borrows $14,000 cash from a bank on a 120-day loan, what will its current ratio be? What will the acid-test ratio be? (Round answers to 2 decimal places, e.g. 2.50.)(d) A company has current assets of $607,000 and current liabilities of $243,000. The board of directors declares a cash dividend of $162,000. What is the current ratio after the declaration but before payment? What is the current ratio after the payment of the dividend?
PLEASE ANSWER ASAP WILL GIVE BRAINLIEST AN LOTSSSS OF POINTS
Frugala is pleased when Sylvestor puts $2,000 into 10-year state bonds and $3,000 into 5-year AAA-rated bonds in Steady Hand Hardware, Inc. He buys the four state bonds at a 5 percent interest rate and the three Steady Hand bonds at a 6.5 percent rate. Sylvestor also buys $1,500 worth of blue chip stocks, and $800 worth of stock in a promising new sportswear company that reinvests its earnings in new growth.
1. (a) What is the maturity for each of the bond groups Sylvestor buys?
(b) The coupon rate?
(c) The par value?
2. (a) Which of Sylvestor’s stocks are traded over the counter?
(b) on the NYSE?
3. (a) Which of Sylvestor’s new investments are municipal bonds?
(b) Corporate bonds?
4. For which bond purchase did Frugala probably consult Standard & Poor’s or Moody’s?
5. From which stock may Sylvestor expect capital gains rather than dividends?
Explanation:
\( 1a)\frac{(2000 \times 10 \times 5) + (3000 \times 5 \times 6.5)}{100 + 100 } \\ = \frac{100000 + 97500}{100 + 100} \\ = 1000 + 975 + 1500 + 800 \\ 4275\)
Answer:
Q3: 10,290
Explanation:
Although "52Perceptions" has some valid points and I'm going to touch base on them but the single most important event was 9/11. Those attacks led up to what is now going on (but not yet called), World War III. These wars; Afghanistan, Iraq, Gaza, U.K., Georgia, Chechnya, etc. etc. are all about the spread of Islam. In fact, there are over 74 major conflicts around the world at this time and Islam is at the center of each and every one of them. We hear the stories of the women in African countries, who got their breast cut off, or people get their hands or legs cut off. I have studied Islam for many years, and I am going to provide some links of videos for you to review. But some basic history to begin with. Islam is not a religion; it is a 100% way of life. Religion is only one aspect of it, and most westerners don't understand that which is why they always call it a religion. Muslims (those that practice Islam and believe in their god Allah) have the Islamic duty to usher in the Dar-El-Salam (The house of peace). This is only established when everybody is a Muslim. 100% of the population, Islam is now expanding once again. 9/11/1682 is when the last expansion was stopped, at the battle of Vienna. 9/11/2001 was when the expansion started again. The date is believe to have been selected intentionally. Now, about the Federal Reserve. The Federal Reserve is responsible for a lot of the Tyranny going on in the U.S. but they are also mostly responsible for the wealth this country has. The Federal Reserve is estimated to process 1 Quadrillion dollars of the world’s money, every single day. Can you imagine that kind of financial power in another country? The United States would have lost its Super Power status a long time ago. The Federal Reserve (A private organization) is in effect a credit card to the United States government. The U.S. borrows money, and the Federal Reserve is given some more options and abilities to make more money. It is a win / win in that situation. Congress could revoke the abilities of the Federal Reserve with the stroke of a pen, but the Federal Reserve would just leave and go to another country, or it would cease to exist, and another country such as China would establish one, and that would be the end of our financial power. See the problem? Additionally, the Federal Reserve is made up of other banks, two of which were Fanny mae and Freddy Mac (spellings). The Federal Reserve is a necessary evil, in order for the U.S. to stay on top, and to correct the financial problems which Congress started. Here is how it ties into World War III. Starting back in the 70's during the Carter Administration, the middleastern cult "Islam" began to grow exponentially. Muslims will tell you it is peaceful, and just a faith, and that it integrates well in the west, but one only needs to look at Afghanistan, Syria, Iran, Iraq, Saudi Arabia, etc. etc. and see how ways of life there have changed since they have become such high percentage of Islam, but I digress. Many of those banks that make up the Federal Reserve are owned by Islamic leaders. In fact, Arab countries own about 15% of all the banks in the U.S. and that is 15% of the board members on those banks. The decision makers. That is just the tip of the iceberg. But if I go on, and you review the videos below, you will learn that Islam is a greater threat to the world than the NAZI's or the Communist. President Bush said it right when he said it's a different kind of war. It uses Political warfare, social warfare, economic and media warfare, and of course conventional and information warfare. The war on terror is the war on Islam, and that is exactly what it should be. The scope of it indicates that it is already a world war, but will not be called that for maybe another five years. Iran and Syria are inevitable in the near future. And those wars will not just be fought over seas. We have large Muslim populations here as well. It's not about oil. Oil is a piece on the chess board as is the Federal Reserve, but the war is over our freedom, our way of life which is threatened by Islam. Oil and the Federal Reserve all depend on us winning that world war. If you invent a new product and you think the oil companies will stand in the way, all you have to do is find a way to make it profitable for them also, and you are sure to succeed. That is the situation they are in now. They cannot make a profit if the war is lost.
BRAINILIEST PLEASE
A company reported that its bonds with a par value of $50,000 and a carrying value of $59,000 are retired for $62,400 cash, resulting in a loss of $3,400. the amount to be reported under cash flows from financing activities is:
Answer:
The answer is ($62,400)
Explanation:
Cash flow only deals with cash. Statement of Cash flow is one of the three Financial statements and this records ONLY the cash that is coming in and out of the business
The company coughed out $62,400 cash. This is the money that will be recorded under cash flows from financing activities and not the $59,000.
So the narration will be:
Cash for retiring bonds.......($62,400)
Logo and website design are
examples of start-up costs.
True: Logo and website design are examples of start-up costs. Operating costs include payroll. Building improvements should be calculated into start-up costs.
a. You are arranging a $368,000 Canadian mortgage with a 29-year amortization period and a 7.1% posted interest rate. What is the monthly mortgage payment? (Do not round intermediate calculations. Round your answer to the nearest cent.) The monthly mortgage payment
The monthly mortgage payment for a $368,000 Canadian mortgage with a 29-year amortization period and a 7.1% posted interest rate would be $2,566.47.
To calculate the monthly mortgage payment, we can use the formula for a mortgage payment:
M = P [ i(1 + i)ⁿ] / [ (1 + i)ⁿ - 1]
where:
M = monthly mortgage payment
P = principal (amount of mortgage)
i = interest rate per period (monthly in this case)
n = total number of payments (29 years × 12 months per year = 348 monthly payments)
First, we need to calculate the monthly interest rate, which is the annual interest rate divided by the number of months in a year:
i = 7.1% / 12 = 0.00591
Next, we can plug in the values and solve for M:
M = 368000 [ 0.00591 (1 + 0.00591)^348 ] / [ (1 + 0.00591) ³⁴⁸ ⁻¹ ]
M = 368000 [ 0.00591 (1.00591)^348 ] / [ (1.00591) ³⁴⁸ ⁻¹ ]
M = 368000 [ 0.00591 (7.12) ] / [ 7.12 - 1 ]
M = 368000 [ 0.042 ] / [ 6.12 ]
M = 2566.46
Rounding to the nearest cent, the monthly mortgage payment is $2,566.47.
Learn more about monthly mortgage payment https://brainly.com/question/30093812
#SPJ11
Culture, demand and competition impose saturation limits above which no amount of advertising spending can increase sales. True or false.
True that culture, demand, and competition impose saturation limits above which no amount of advertising spending can increase sales.
It is true that culture, demand, and competition impose saturation limits above which no amount of advertising spending can increase sales. Advertising can help increase brand awareness, familiarity, and preference among consumers, but there comes a point where the market becomes saturated, and additional advertising spending does not lead to significant increases in sales. The saturation limit may vary depending on the product or service, the industry, and the target audience. Therefore, it is crucial for businesses to understand their market and determine the optimal advertising budget to achieve their sales goals.
learn more about "Sales":- https://brainly.com/question/25586322
#SPJ11
Walmart's Dividend Payout Ratio for the year of 2018 Enter the answer in percentage format to one decimal place without the % sign -> 9.30 and not 9.3% .093)? To access WMT's financial statement
Walmart's Dividend Payout Ratio for the year 2018 is 62.006.
Dividend Payout Ratio(2018) = Dividends per share / Earnings per share
= 2.04 / 3.29=0.62
=62.006
The payout ratio is a financial metric used by businesses to measure the percentage of earnings that are paid out to shareholders in the form of dividends. The ratio is calculated by dividing the amount of dividends paid by the company by its earnings for a given period.
A high payout ratio may indicate that the company is distributing a significant portion of its earnings to shareholders, which could be attractive to income-seeking investors. However, it may also signal that the company is not reinvesting enough of its profits into the business for growth and future opportunities.
Conversely, a low payout ratio may suggest that the company is retaining more of its earnings for reinvestment in the business, which could lead to future growth potential. However, it may also indicate that the company is not returning enough value to its shareholders in the form of dividends.
To learn more about Payout Ratio visit here:
brainly.com/question/15871386
#SPJ4
Demarco and Tanya have received information about three separate mortgage offers. In two or three paragraphs, describe your recommendation for the best financial choice in their situation.
Answer: first one
As for Mortgage Option 3, not only is the interest rate higher (4.0%), but the remaining balance that is not paid has to be paid off completely in 8 years. After the down payment, they would have a $1,605 monthly payment which includes the fixed interest rate of 4.25% as well. Due to the short payment time, a borrower has a risk of loosing their home and equity if the final payment is not able to be made. Mortgage Option 2 has the lowest interest rate (3.5%) but these rates could be adjusted annually. Even though the interest rate is the highest, they would be able to afford it. Not only are they able to make these payments, Tanya and Demarco would also have. approximately $3,395 left to spend from their monthly earnings too.
Explanation:
credit to mohammedalm2
the group of consumers to whom a product is marketed is the
Answer:
A target market is a group of customers with shared demographics who have been identified as the most likely buyers of a company's product or service.
scott's hypothesis that consumers will do what they are told is called the
The hypothesis that consumers will do what they are told is called the **Scott's Hypothesis**.
Scott's Hypothesis is a theory that suggests consumers will follow instructions or recommendations given by authority figures or experts in a particular field. This concept is based on the idea that people tend to trust and obey those who are perceived as knowledgeable and experienced. In marketing and advertising, this hypothesis can be applied to create persuasive messages by using credible sources, such as endorsements from experts or celebrities. By doing so, businesses can influence consumer behavior and decision-making, ultimately leading to increased sales and brand loyalty. It is essential, however, to maintain ethical practices and avoid manipulation or deception when utilizing this strategy.
know more about Scott's Hypothesis, here:
https://brainly.com/question/4887051
#SPJ11
Who would win Hawk Eye (Marvel) or The Green Arrow (DC)
Answer:
Buff animal crossing.
Explanation:
Answer:
Green Arrow
Explanation:
Question:What is the main causes of a change in quantity demanded?Demand:Competition and technology can revolutionize the way a product or service is delivered and can cause the price for a product to fall as it becomes profitable at lower prices to make the product. The change is supply can rise in the event of a natural disaster or a government trade war can make the prices rise to reflect a greater scarcity in supply than beforehand.
A change in the exact quantity of a product that customers are willing and able to purchase is referred to as a shift in the quantity demanded. A change in pricing is what led to this shift in the quantity demanded.
What is the main cause of a change in quantity demanded?Demand: A product's price may drop when it becomes more profitable to produce the product at lower prices as a result of competition and technology, which may also alter the way a good or service is delivered.
In the event of a natural disaster or a government trade war, supply may increase, causing prices to increase to reflect a higher shortage in supply than before.
An entire demand curve might shift right or left due to changes in variables like average income and preferences. As a result, the quantity demanded at a given price can be larger or lower. The prevailing view presumption. Assuming no other parameters change, demand curves link the prices and quantities required.
To know more about quantity demanded, refer to:
https://brainly.com/question/14891744
#SPJ4
After discussing the options, the strategic management team has agreed that the pod coffee idea works well with the company’s mission statement and decides that the company should move forward in exploring the pod coffee idea. In order to make sure that the pod coffee idea is a good one, and to see if there are other potential future endeavors to pursue, you must analyze the market situation and formulate a strategy. Your boss asks you to start working on the pod coffee idea. What is your first step? Select an option from the choices below and click Submit.
Considering the situation above, the first step to analyze the market situation and formulate a strategy is to "assess the organization's strengths, weaknesses, opportunities, and threats."
This is because, by carrying out a SWOT analysis (strength, weakness, opportunities, and threats), one would be able to identify the current position of the firm and the extent to which they can expand.
This analysis would give the firm a clear picture of the potential future endeavors to pursue and maximize their strengths and opportunities.
Also, they would know where they need to work on or avoid relative to their weakness and threats.
Hence, in this case, it is concluded that the SWOT Analysis is one of the significant tools in business operation.
Learn more here: https://brainly.com/question/18068310
In 2013, the Oakland A's were one of the hottest teams in baseball. They were regularly drawing "sellout" crowds, with many more fans wanting tickets. However, the A's did not sell all of the 56,000 seats. The A's removed or put tarps over roughly 20,000 seats in most of the third deck and the outfield stands. The A's management said that the reason was to create a more intimate feeling for the fans. What's another explanation? The A's removed or put tarps over roughly 20,000 seats to
Answer:
The other reason was to limit the number of special seats to charge a higher price for them.
Explanation:
Oakland A's knows that it has a large number of dedicated fans and that they are thirsty for tickets to watch the games, as these tickets are in high demand. In this case, when Oakland A's puts tarps or removes only on 20,000 seats and claims that it is to promote a more intimate experience for fans, it is because it knows that fans will want to occupy these special places, no matter what price they need to pay. In this case, we can say that a probable reason for the existence of these 20,000 unavailable seats is to increase the profit from ticket sales, by charging a higher price for the available seats.
Setting up an effective nonroutine meeting begins with Multiple choice question. argument. planning. delegation. criticism.
Setting up an effective nonroutine meeting begins with Planning. Planning is the first step in setting up an effective nonroutine meeting.It is essential to take the time to plan the meeting carefully in order to make sure that it is productive and successful.
You should consider who needs to be invited, what topics need to be discussed, what resources are needed, and what the desired outcome of the meeting should be. You should also consider the agenda of the meeting and how it should be structured. Questions should be asked in advance to help ensure that everyone is prepared for the meeting.
Finally, it is important to consider how the meeting will be facilitated and who will be responsible for doing so. Planning is a crucial step that must be taken in order to ensure a successful and effective nonroutine meeting.
To know more about nonroutine meeting refer to the link brainly.com/question/28301990
Allowing third-party sellers to list their products on Amazon is controversial. Why would Amazon allow products sold by others to appear on its site?
a. Selection attracts consumers.
b. A network effect competitive advantage is created where more buyers attract more sellers, giving Amazon an advantage over any rival attempting to create a similar marketplace.
c. Although products are sold by third parties, Amazon gains valuable data on things such as customer browsing habits and sales.
d. Amazon's brand is reinforced as a first-choice shopping destination.
e. All of the above.
Answer:
e. All of the above.
Explanation:
Interestingly, all the above-listed options could serve as a possible reason why Amazon allows products sold by others to appear on its site.
Remember, Amazon is a marketplace; since the definition of a market involves dealings with several entities, it thus logical to expect Amazon to allow people (other sellers) to transact on its platform.
________________ is used during the early stages of the product life cycle. Because the product is new, the focus is on explaining the benefits of the product class, and not on promoting the specific brand. ________________ is used during the early stages of the product life cycle. Because the product is new, the focus is on explaining the benefits of the product class, and not on promoting the specific brand. Company advertising Institutional advertising Pioneering advertising Advocacy advertising
Answer:
Pioneering Advertising
Explanation:
Pioneering advertising is the advertising campaign of the new product that should compete the single product by having a developed market place. The motive of this type of advertising is that to inform the consumers with respect to the arrival of the new innovation in the product along with the description of its benefits
So according to the given situation it represents the pioneering advertising
A forest was cleared for the building of a resort, but before construction began, secondary succession set in. Which of these describes why secondary succession appeared so rapidly?.
The soil components that remain after the forest is removed provide a nutritious substrate for rapid plant development.
The availability of nutrients in the soil causes a higher rate of secondary secession, which eventually boosts plant development. The soil components include roots, seeds, and other biotic creatures from previous plants that are degraded and offer nutrients to the plants.
The soil components that remain after the forest is removed provide a nutritious substrate for rapid plant development. The availability of nutrients in the soil causes a higher rate of secondary secession, which eventually boosts plant development.
The soil components include roots, seeds, and other biotic creatures from previous plants that are degraded and offer nutrients to the plants.
To know more about "plant development" refer to this link:
https://brainly.com/question/14385041?referrer=searchResults
#SPJ4
1. Four electricians are discussing special requirements for health care facilities. Electrician A says that a nursing home is required to include an emergency system circuit. Electrician B says that GFCI outlets are required in the bathroom area of some critical-care patient rooms. Electrician C says that a nursing home is not required to include an emergency system circuit. Electrician D says that GFCI outlets are required in the bathroom area of the critical-care patient rooms. Which of the following statements is correct?
A. Electrician C is correct.
B. Electrician A is correct
C. Electrician D is correct
D. Electrician B is correct.
2. Four electricians are discussing wiring under raised floors in information technology equipment rooms. Electrician A says that wiring under the raised floor requires fire-resistant walls, floors, and ceilings between other occupancies. Electrician B says that wiring under the raised floor requires fire resistant halfway up the walls and floors between other occupancies. Electrician C says that the room must employ a disconnecting means that removes half of the power to all equipment in the room. Electrician D says that a disconnecting means isn't necessary for the room. Which of the following statements is correct?
A. Electrician B is correct.
B. Electrician C is correct.
C. Electrician D is correct.
D. Electrician A is correct.
3. Five electricians are discussing grounding. Electrician A says that 6" of an 8' rod or pipe electrode is allowed to extend above the finished grade. Electrician B says that a "made" grounding electrode constructed from copper rod that’s 5/8" in diameter and 100" long is acceptable per the NEC. Electrician C says that 6" of a 16' rod or pipe electrode is allowed to extend above the finished grade. Electrician D says that a "made" grounding electrode constructed from copper rod that's 5/8" in diameter and 50" long is acceptable per the NEC. Which of the following statements is correct?
A. Electrician C is correct.
B. Electrician B is correct.
C. Electrician D is correct.
D. Electrician A is correct.
4. Where resistance to ground of a single-made electrode exceeds 25 ohms,
A. additional electrodes must be added until the resistance to ground is lower than 25 ohms.
B. the electrode can be omitted.
C. no additional electrodes are required.
D. one additional electrode must be added.
5. According to the NEC, what type of threadless connectors and couplings must be used with rigid metal conduit if installed in masonry?
A. Rain tight.
B. Concrete tight.
С. Weatherproof.
D. Wet/damp listed.
6. Four electricians are discussing NEC requirements for common appliances.
Electrician A says that new, cord-and-plug, single-phase room A/C units must have factory-installed LCDI or AFCI protection. Electrician B says that the cord for a household refrigerator must be visible and readily accessible to be used as a disconnect switch. Electrician C says that the cord and plug don't have to be new. Electrician D says that an old cord with a spliced new plug can be used. Which of the following statements is correct?
A. Electrician A is correct.
B. Electrician B is correct.
С.Electrician C is correct.
D.Electrician D is correct.
7. Four electricians are discussing switchboards and panelboards. Electrician A says that switchboards and panelboards must provide front and rear access to meet accessibility requirements. Electrician B says that unused circuit breakers mounted in a panelboard should not be identified on the circuit directory until they're actually connected for a circuit application. Electrician C says that switchboards can be installed in cabinets. Electrician D says that switchboards aren't intended to be installed in cabinets. Which of the following statements is correct?
A. Electrician C is correct.
B. Electrician D is correct.
C. Electrician A is correct.
D. Electrician B is correct.
8. Four electricians are discussing the installation of a luminaire in a clothes closet.
Electrician A says that because the clothes-hanging rod is located five inches from the ceiling, the light fixture that's to be mounted directly over the rod must be recessed.
Electrician B says that a surface-mounted incandescent fixture must be placed at least six inches from the storage area. Electrician C says that a surface-mounted incandescent fixture must be placed at least 12 inches away from the storage space. Electrician D says that a surface-mounted incandescent fixture must be placed at least nine inches away from the storage space. Which of the following statements is correct?
A. Electrician B is correct.
B. Electrician A is correct.
С. Electrician C is correct.
D. Electrician D is correct.
The correct options are
B. Electrician A is correct.
D. Electrician A is correct.
B. Electrician B is correct.
A. Additional electrodes must be added until the resistance to ground is lower than 25 ohms.
B. Concrete tight.
A. Electrician A is correct.
C. Electrician A is correct.
A. Electrician A is correct.
What are electricians?Generally, An electrician is a skilled laborer who specializes in the electrical wiring of structures, transmission lines, stationary machinery, and other apparatus that is connected to the field.
Installing new electrical components, repairing and maintaining existing electrical infrastructure, and maintaining and repairing existing electrical infrastructure are all possible jobs for electricians.
Read more about electricians
https://brainly.com/question/27073052
#SPJ1
What is cash flow?...................................
Answer:
Cash flow is the net amount of cash and cash-equivalents being transferred into and out of a business. At the most fundamental level, a company's ability to create value for shareholders is determined by its ability to generate positive cash flows, or more specifically, maximize long-term free cash flow
Explanation:
3.5. In a public limited company, the losses are
borne by the
(A) staff
(B) directors
(C) community
(D) shareholders
Answer: D
Explanation: Had this test before
Answer:
d
Explanation:
]
An American marketing research company wanted to use a survey to determine if it was feasible to build shopping centers in several countries. Since all of the countries spoke a different language, the company used two translators for each country—one to translate it into the native language, and one to translate it back into English. The original document was revised repeatedly until the translated version matched it in meaning. This describes the process of
Answer:
decentering
Explanation:
From the question we are informed about An American marketing research company who wanted to use a survey to determine if it was feasible to build shopping centers in several countries. Since all of the countries spoke a different language, the company used two translators for each country—one to translate it into the native language, and one to translate it back into English. The original document was revised repeatedly until the translated version matched it in meaning. This describes the process of decentering.
Decentering can be regarded as a central change strategy which involves Mindfulness-Based Cognitive Therapy, it entails a process of stepping outside of mental events of individuals which could leads to non-judging stance as well as objective towards the self