A $10 billion change in expenditure group shifts the aggregate demand curve by more than $10 billion. This is because of the existence of the aggregate demand multiplier, which magnifies the initial change in expenditure and leads to a larger overall shift in the aggregate demand curve.
The aggregate demand multiplier is a concept in macroeconomics that explains how changes in expenditure by households, businesses, or the government can have a larger impact on the overall economy than the initial change. The multiplier effect occurs because an increase in expenditure leads to an increase in output, which in turn leads to an increase in income for workers and businesses. This increase in income then leads to further increases in expenditure, creating a cycle of economic activity. The size of the multiplier depends on various factors, including the marginal propensity to consume (MPC), which is the proportion of additional income that is spent on consumption. In general, a higher MPC leads to a larger multiplier and a more pronounced shift in the aggregate demand curve. Therefore, a $10 billion change in expenditure group can lead to a larger overall shift in the aggregate demand curve due to the multiplier effect.
Learn more about multiplier effect: https://brainly.com/question/31638587
#SPJ11
A movie theater has fixed costs of $3900 per day and variable costs averaging $9 per customer. The theater takes in an average revenue of $12 per customer. How many customers per day does the theater need in order to make a profit? Give the smallest possible value. Morethan customers.
The movie theater needs a minimum of 1301 customers per day to make a profit, considering fixed costs of $3900 per day, variable costs averaging $9 per customer, and an average revenue of $12 per customer.
To calculate the number of customers needed to make a profit, we need to consider both the fixed costs and the variable costs. The fixed costs are $3900 per day, which means that regardless of the number of customers, the theater will have to cover this expense. The variable costs average $9 per customer, as mentioned. This means that for each customer, an additional $9 is spent.
Let's assume that the number of customers per day is represented by 'x'. In that case, the total cost per day is the sum of the fixed costs and the variable costs:
Total cost = Fixed costs + (Variable costs per customer * Number of customers)
Total cost = $3900 + ($9 * x)
On the revenue side, the theater takes in an average revenue of $12 per customer. So, the total revenue per day is the product of the revenue per customer and the number of customers:
Total revenue = Revenue per customer * Number of customers
Total revenue = $12 * x
For the theater to make a profit, the total revenue must exceed the total cost. Therefore, we can set up the following inequality:
Total revenue > Total cost
$12 * x > $3900 + ($9 * x)
Simplifying the inequality:
$12 * x - $9 * x > $3900
$3 * x > $3900
x > 1300
The smallest possible value for 'x' that satisfies this inequality is 1301. However, since we're dealing with a movie theater, it's not realistic to have a fraction of a customer. Therefore, the theater needs at least 1301 customers per day to make a profit.
Learn more about variable costs
brainly.com/question/14560343
#SPJ11
Somebody help I'll give 30 points
Answer:
1. Salesforce helps their people feel good by giving back to the community. They also offer great challenges and rewards, and have open communication culture.
2. Cisco offers good benefits that focus on family and enabling people to combine parenthood with their jobs. It’s also a great place to learn and develop professionally.
3. Admiral allows people to give back to the community through charity. They have built a strong sense of belonging and believe in the importance of having fun so people bring their best to work.
Explanation:
Answer:
Happy meal wih a mcdoobale
Explanation:
Which speaker is most likely to make high-risk investments?
Speaker A: I want to invest in a lot of different companies. You never know when a company is going to have a surprisingly good or bad year.
Speaker B: I invest to get as much money as I can as quickly as I can. I'm not worried about losing money at all.
Speaker C: I'm nearing retirement, so I need to make sure my investments are safe. The worst thing that could happen would be losing all of my investments right before I need them.
Speaker D: I'm concerned that investment is always risky. I prefeito hold onto my money instead of investing it in companies or banks.
A. Speaker D
B. Speaker B
C. Speaker C
D. Speaker A
Answer: Speaker A
Explanation: Just took the quiz
The speaker that is most likely to make high-risk investments is Speaker B. Hence, Option B is correct.
What are high-risk investments?A high-risk investment is one in which there is either a large percentage chance of loss of capital or underperformance—or a relatively high chance of a devastating loss. It may offer the chance of higher returns than other investments might produce, but it also puts your money at a higher risk.
It has advantages also. Some of the major advantages are: investors can earn huge returns in a very short period of time; investors are able to purchase and sell the securities with ease; investors can earn capital gains as well as dividends on their investments; and many more.
Therefore, Option B is correct.
Learn more about high risk investments from here:
https://brainly.com/question/18214741
#SPJ5
Personal jurisdiction can be asserted over a corporation within the geographical boundaries:
• a. where it is incorporated
• b. where it is headquartered
• c. where it is doing business
O d.where any one of the given requirements are satisfied
Answer:
D. Where any one of the given requirements are satisfied.
calculate the average of each of the following. speed per hour during a three-hour trip: 65 MPH, 55 MPH, 45 MPH
Answer:
ffffgfggggggggggggg
suppose that the value of the euro fell from $1.32 on april 30, 2012, to $1.24 on july 5, 2012. this implies that:
Explanation:
the rate of currency decreased from may to july
The difference between the cost to make a good and the price is the: A. Elasticity Curve B. Profit C. Supply Curve D. Demand Margin
Answer:
B. Profit
Explanation:
I hope this helps :)
Which is an example of a small business showing social responsibility to individuals within the company?
A. starting an office recycling program
B. developing sustainable business practice
C. donating money to local organizations
D. allowing employees to work from home
Starting an office recycling program, developing sustainable business practice and donating money to local organizations are examples of a small business showing social responsibility to individuals within the company.
Company have a social responsibility to the communities in which they operate. This includes ensuring that they are good corporate citizens, providing support for local causes and charities, and protecting the environment.
Sustainable business is a term that is often used to describe businesses that are environmentally friendly or that have a positive social impact.
Hence, the correct options are "A, B & C".
To know more about social responsibility, click here.
https://brainly.com/question/24176816
#SPJ1
On December 31, 2017, Jackson Company had 100,000 shares of common stock outstanding and 30,000 shares of 7%, $50 par, cumulative preferred stock outstanding. On February 28, 2018, Jackson purchased 24,000 shares of common stock on the open market as treasury stock paying $45 per share. Jackson sold 6,000 of the treasury shares on September 30, 2018, for $47 per share. Net income for 2018 was $180,905. Also outstanding at December 31, 2017, were fully vested incentive stock options giving key personnel the option to buy 50,000 common shares at $40. These stock options were exercised on November 1, 2018. The market price of the common shares averaged $50 during 2018. What is Jackson's diluted earnings per share (rounded to 2 decimal places) for 2018
Hence, Jackson's diluted earnings per share (rounded to 2 decimal places) for 2018 is $1.98
The following formula is used to calculate Diluted EPS of a company:
Diluted EPS = (Net Income - Preferred Dividends) / (Weighted Average Common Shares Outstanding + Dilutive Securities)
Where the Weighted Average Common Shares Outstanding is computed by adding the beginning and ending shares and dividing by 2.
Now let us solve the given problem. Computation of Weighted Average Common Shares Outstanding:
Weighted Average Common Shares Outstanding = [(100,000 + 76,000)/2]
= 88,000 shares
Step 1: Compute Diluted EPS by adjusting the net income for the conversion of the options. The dilution effect is computed as follows:
Dilution effect = [(Average price per share - Exercise Price) / Average price per share] x (Number of shares from options)
Dilution effect = [(50 - 40) / 50] x 50,000 = 10,000 shares
Diluted EPS = ($180,905 - $2,100) / (88,000 + 10,000) = $1.98.
The calculation of diluted EPS involves computing the number of shares that would be outstanding if all of the potentially dilutive securities were exercised. It is computed to account for the fact that certain securities, such as convertible debt, stock options, or warrants, can be converted into common stock and could have a dilutive effect on EPS. Diluted EPS is the more conservative of the two EPS calculations and provides a more accurate picture of the earnings of the company.
Jackson Company had 100,000 shares of common stock and 30,000 shares of 7%, $50 par, cumulative preferred stock outstanding on December 31, 2017.
The company purchased 24,000 shares of common stock as treasury stock on February 28, 2018, at $45 per share. On September 30, 2018, the company sold 6,000 of the treasury shares for $47 per share.
The net income for 2018 was $180,905.
The company had fully vested incentive stock options at the end of 2017 that gave key personnel the option to buy 50,000 common shares at $40.
These options were exercised on November 1, 2018, when the market price of the common shares averaged $50.
The calculation of diluted EPS involves adjusting the net income for the conversion of the options.
The dilution effect is computed as follows:
Dilution effect = [(Average price per share - Exercise Price) / Average price per share] x (Number of shares from options)
Dilution effect = [(50 - 40) / 50] x 50,000 = 10,000 shares
Diluted EPS = ($180,905 - $2,100) / (88,000 + 10,000) = $1.98.
To know more about income visit:
https://brainly.com/question/14732695
#SPJ11
With what kind of vocabulary should a person be familiar for reading the balance sheet of a restaurant easily?
A.
the names of all the items on the restaurant menu
B.
finance-related words such as depreciation, capital expenditure, etc.
C.
restaurant-related terms such as banquet, buffet, etc.
D.
marketing terms such as product lifestyle, customer lifetime value, etc.
E.
advertising terms, such as brainstorming, captions, etc.
Answer:
Explanation:
For all Plato users.
Finance-related words such as depreciation, capital expenditure, etc. kind of vocabulary should a person be familiar for reading the balance sheet of a restaurant easily. Thus, option (a) is correct.
What is a balance sheet?A balance sheet is a financial statement that lists an organization's assets, liabilities, and shareholder equity. One of the three important financial statements a company's evaluation will focus on is the balance sheet. It was the obligations using its current assets.
The terms depreciation, capital outlay, liabilities, assets as well as equity, and revenue should all be understood by someone who works in finance. A person can comprehend the data in a restaurant's balance sheet and make decisions about the restaurant's financial health with the aid of these finance-related terms if they are familiar with them.
As a result, the significance of the kind of vocabulary should a person be familiar for reading the balance sheet of a restaurant easily are the aforementioned.
Learn more about on balance sheet, here:
https://brainly.com/question/26323001
#SPJ5
stephanie has been driving for 4 years without any major auto accidents until today
If reserves increase by $12 billion, what is the difference in the resulting change in checkable deposits when the required reserve ratio is 10 percent compared to when it is 8 percent? a $24 billion b. $30 billion C. SIS billion d. S2.4 billion
The deposit multiplier is the amount by which an increase in bank reserves is multiplied to generate the total change in bank deposits. It's calculated using the formula: Deposit multiplier = 1 / Reserve requirement ratio. To begin, we must first determine the deposit multiplier.
Given the required reserve ratio is 10%, the deposit multiplier is: Deposit multiplier = 1 / Reserve requirement ratio= 1 / 0.1= 10We can now use this multiplier to determine the change in deposits resulting from an increase in reserves of $12 billion: Change in deposits = Deposit multiplier x Change in reserves= 10 x $12 billion= $120 billion When the required reserve ratio is 8%, the deposit multiplier is: Deposit multiplier = 1 / Reserve requirement ratio= 1 / 0.08= 12.5
Using this multiplier, we can determine the change in deposits resulting from an increase in reserves of $12 billion: Change in deposits = Deposit multiplier x Change in reserves= 12.5 x $12 billion= $150 billion The difference between the resulting changes in checkable deposits is: Difference = Change in deposits with 8% required reserve ratio - Change in deposits with 10% required reserve ratio= $150 billion - $120 billion= $30 billion Therefore, the correct option is b) $30 billion.
To know more about reserves visit:
https://brainly.com/question/7275286
#SPJ11
The liberty of man in society is to be under no other legislative power but that established by consent in the commonwealth.
Answer: The liberty of man, in society, is to be under no other legislative power, but that established, by consent, in the commonwealth; nor under the dominion of any will, or restraint of any law, but what that legislative shall enact, according to the trust put in it.
Explanation:
When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
learn more about managers here
https://brainly.com/question/32150882
#SPJ11
Think about the sample you just read. Sort the details depending on whether they are suitable for a younger or older
audience.
defining "litter"
energy-saving goods to buy
statistics about pollution
start an environment club
scientific experts' views
fuel-efficient car facts
how to recycle
Details for a Younger Audience
interviews with kids
Details for an Older Audience
Facts about fuel-efficient vehicles, scientific theories, and suggestions for energy-saving items For a younger audience, creating an environment club, interviewing kids, recycling, and statistics are appropriate.
Why is it vital to consider the target audience's age?You can reach more people in a certain age group by using age demographics. A certain age group may share cultural experiences, values, or attitudes that might help you relate to your target audience. These concepts can be used to demonstrate how your good or service matches their requirements and way of life.
What are the four most important methods for determining a target audience?When launching a business, a product, or a service from your current firm, identifying your core target audience is essential.
To know more about younger or older audience. visit:
https://brainly.com/question/8321117
#SPJ1
Answer:Details for younger- interviewing with kids, how to recycle, start an environment club, defining “litter”
Older Audience-scientific experts’ views, energy-saving goods to buy,statistics about pollution, fuel-efficient car facts.
Explanation: I took it on edge 2023
Suppose General Electric payed its line workers $12 per hour
The relevant answers with regard to real wages are as follows:
A) $10.08
B) 10.89
C) 19.05. See explanation below.
What is the computation justifying the above results?[A]
Recall that Real Wages are computed as follows;
Real Wages = (Nominal Wage/CPI in the Given Year) x CPI in the base year
12 = (N/84) x 100
= 10.08
[B]
The formula for real wage still stands:
Hence,
12 x 1.08 = (N/84) x 100
= 10.89
One thing to keep in mind is that the percentage rise in real wages is always equal to the percentage increase in nominal wages. The same may be demonstrated with other values.
[C]
It is to be noted that the real wage is pegged at $12 which is same from the prior year.
Hence, percentage increase = 0
But because $12 is Nominal in the incumbent year,
[(12 - 10.08)/10.08] x 100
= 92/10.08
= 19.05
What is real wages?Real wages are earnings adjusted for inflation, or pay expressed in terms of the quantity of goods and services that may be purchased. In contrast to nominal wages or unadjusted wages, this word is used.
Learn more about real wages:
https://brainly.com/question/22683172
#SPJ1
Full Question:
Suppose General Electric paid its line workers $12 per hour in 2015 when the Consumer Price Index was 100. Suppose that deflation occurred and the aggregate price level fell to 84 in 2016. Instructions: Round your answers to two decimal places. a. GE needed to pay its workers $ in 2016 in order to keep the real wage fixed at $12. b. GE needed to pay its workers $ in 2016 if it wanted to increase the real wage by 8 percent. c. If GE kept the wage fixed at $12 per hour in 2016, in real terms, its workers got a % increase in wages.
Zoom has been criticized for opening up its platform for use by nonpaying users (with some restrictions). Why would Zoom do this, and why would paying customers care? 3-16. With the surge of Zoom users came a surge in scrutiny about the software's privacy and security. Why do you think Zoom developers built an insecure piece of software?
Zoom opened platform for non-paying users to expand user base; paying customers value exclusivity. Security concerns require evidence, avoiding assumptions of intentional insecurity.
There can be various reasons why Zoom decided to open up its platform for non-paying users, such as expanding its user base, increasing brand exposure, and attracting potential paying customers who may upgrade to premium features.
Paying customers may care because they might expect exclusive benefits, enhanced features, priority support, or a sense of exclusivity for their investment. As for the scrutiny regarding Zoom's privacy and security, it's important to note that building software is a complex task, and vulnerabilities can arise unintentionally due to oversight or unforeseen circumstances.
Learn more about privacy
brainly.com/question/32968907
#SPJ11
Miguel choose to save for a car instead of traveling around Europe with friends. Though he was sad to miss the trip, he knew it was necessary if he wanted the car. What does this scenario BEST demonstrate?
A.
opportunity cost
B.
inflation
C.
passive income
D.
personal risks
Answer:
A. opportunity cost
Explanation:
Opportunity cost is the foregone benefit as a result of not choosing a particular option. It is the forfeited advantage in the decisions making process.
Miguel forfeited visiting Europe save for a car. He sacrificed the satisfaction of visiting Europe to buy the car. The sacrificed joy is the opportunity cost.
Answer:
opportunity cost
Explanation:
A loan of $105,487.80 is to be amortized over a 10-year term at 6% interest compounded monthly with monthly payments and a $20,000 balloon payment at the end of the term. Calculate the monthly payment.
The monthly payment is $
(Do not round until the final answer. Then round to two decimal places as needed.)
Answer:
$1049.09
Explanation:
The present value of the balloon payment is ...
$20,000/(1 +.06/12)^(12·10)) = $10,992.65
So, the effective amount of the loan is ...
$105,487.80 -10,992.65 = $94,495.15
The amortization formula gives the payment as ...
A = P(r/n)/(1 -(1 +r/n)^(-nt)) = $94,495.15(.06/12)/(1 -(1 +.06/12)^(-12·10))
= $94,495.15(.005)/0.450367 = $1049.09
The monthly payment is $1049.09.
Brandon's wallet slips from his jacket pocket in the mall. By the time he realizes his wallet is missing and reports the loss, a thief has used Brandon's credit card to buy a television, a microwave, a DVD player, and other items for a total of $950. Brandon will have to pay:___________.
Answer:
$950
Explanation:
Since the total amount of items purchased by the thief is $950, then Brandon has to pay back the amount deducted from his card.
A worker in Vietnam can earn $6 per day making cotton cloth on a hand loom. A worker in the United States can earn $85 per day making cotton cloth with a mechanical loom. What is the likely explanation for the difference in wages?
Answer:
c. Labor is more productive making cotton cloth with a mechanical loom than with a hand loom.
Explanation:
Here are the options to this question :
. U.S. textile workers belong to a union, whereas Vietnamese textile workers do not belong to a union.
b. There is little demand for cotton cloth in Vietnam and great demand in the U.S.
c. Labor is more productive making cotton cloth with a mechanical loom than with a hand loom.
d. Vietnam has a low-wage policy to make its textile industry more competitive in world markets.
The mechanical loom would produce more cotton cloth than a hand loom. So, due to higher productivity of the mechanical loom, the worker who uses a mechanical loom would be paid higher than a worker using a hand loom
Select all that apply.
Common skills assessments administered during the employment interview process include:
none of the above
science
keyboarding
math
Answer:
Keyboarding and Math :)
Explanation:
time is limeted
Which of the following steps should you take after attending a college fair?
A. Take a break from dealing with colleges for two weeks.
B. Call every college that was represented at the college fair.
C. Make a decision about which college to attend that night.
D. Continue to research colleges on your own.
Answer:
D
Explanation:
The steps that can be taken after the college fair is to continue researching colleges on your own. Therefore, Option D is correct.
What is research?Research can be defined as "creative and methodical activity done to improve the body of knowledge."
It entails gathering, organizing, and analyzing data in order to improve understanding of a subject or problem.
Therefore, The steps that can be taken after the college fair is to continue researching colleges on your own. Option D is correct.
Learn more about Research:
https://brainly.com/question/968894
#SPJ5
which of these managerial actions is a concurrent mechanism that should deter employee theft
One of the concurrent mechanisms that should deter employee theft is implementing strong internal controls.
What are internal controls?Internal controls are procedures and policies put in place by management to safeguard company assets and prevent fraudulent activity.
These controls can include segregation of duties, regular audits, and monitoring employee behavior.
By having a system of checks and balances, employees are less likely to attempt theft as the risk of getting caught is high. Additionally, management can use incentives and promotions to reward employees who exhibit ethical behavior and report suspicious activity.
This can create a culture of honesty and integrity within the organization, further deterring employee theft.
To know more about concurrent mechanisms visit:
https://brainly.com/question/31993493
#SPJ11
Activity-Based Customer-Driven Costs
Suppose that Stillwater Designs has two classes of distributors: JIT distributors and non-JIT distributors. The JIT distributor places small, frequent orders, and the non-JIT distributor tends to place larger, less frequent orders. Both types of distributors are buying the same product. Stillwater Designs provides the following information about customer-related activities and costs for the most recent quarter:
JIT
Distributors Non-JIT
Distributors
Sales orders 1,100 110
Sales calls 70 70
Service calls 350 175
Average order size 750 7,500
Manufacturing cost/unit $125 $125
Customer costs:
Processing sales orders $3,330,000 Selling goods 1,120,000 Servicing goods 1,050,000 Total $5,500,000 Required:
1. Calculate the total revenues per distributor category, and assign the customer costs to each distributor type by using revenues as the allocation base. Selling price for one unit is $150. Round calculations to the nearest dollar.
JIT Non-JIT
Sales (in units) fill in the blank 1 fill in the blank 2 Sales $fill in the blank 3 $fill in the blank 4 Allocation $fill in the blank 5 $fill in the blank 6 2. Conceptual Connection: Calculate the customer cost per distributor type using activity-based cost assignments. Round the interim calculations to the nearest dollar.
JIT Non-JIT
Ordering costs $fill in the blank 7 $fill in the blank 8 Selling costs $fill in the blank 9 $fill in the blank 10 Service costs $fill in the blank 11 $fill in the blank 12 Total $fill in the blank 13 $fill in the blank 14 For non JIT distributors by how much can the price be decreased without affecting customer profitability? Round your answer to the nearest cent.
$fill in the blank 15 per unit
3. Assume that the JIT distributors are simply imposing the frequent orders on Stillwater Designs. No formal discussion has taken place between JIT customers and Stillwater Designs regarding the supply of goods on a JIT basis. The sales pattern has evolved over time. As an independent consultant, what would you suggest to Stillwater Designs' management?
It sounds like the JIT buyers are switching their inventory carrying costs to Stillwater Designs without any significant benefit to Stillwater Designs. Stillwater Designs needs to prices to reflect the additional demands on customer support activities. Furthermore, additional may be needed to reflect the increased number of setups, purchases, and so on, that are likely occurring inside the plant. Stillwater Designs should also immediately initiate discussions with its JIT customers to begin negotiations for achieving some of the benefits that a JIT supplier should have, such as contracts. The benefits of contracting may offset most or all of the increased costs from the additional demands made on other activities.
Answer:
jit has made over 1750000 in the past year
Explanation:
she divided it by two in 6 months
why do competitive markets work better for life insurance than for income insurance?
Answer:Because insurance market is competitive, when companies become profitable, they start adopting a more lenient underwriting criteria and lower their premiums to grab more market share.
Explanation:
Other insurance companies react by adopting the same policies, to prevent their shares taken away or to increase their market share.
river city needs to raise money to build a bridge. designing the bridge and constructing it will require a long-term investment of funds. what source of financing would be representative of such a long-term funding requirement?
Issuance of bonds source of financing would be representative of such a long-term funding requirement. Thus, option D is correct.
What are the of bonds?Bonds are one way for businesses to raise funds. A bond is a loan made between an investor and a firm. The investor agrees to contribute to the business a particular sum of money for a set length of time.
In exchange, the investor receives interest payments on a regular basis. Bonds are purchased by investors because they provide a stable, predictable income stream that may be used to offset the risks provided by volatile but higher-yielding equities and other riskier portfolio assets.
Bonds are also purchased by investors in order to collect interest on a regular basis until their original cash is refunded.
Therefore, option D is correct, If planning and building the bridge would necessitate a long-term investment of finances, the insurance of bonds would be representational of such a long-term funding requirement.
To learn more about the bonds, refer to:
https://brainly.com/question/10777799
#SPJ1
Out of a list of the values 12, 7, 3, 5, 8, and 2, which result would the MIN function return?
Answer:
2
Explanation:
It’s just right, trust
give four reason as to why being an entrepreneur is beneficial than a doing a job
Answer:
Hope this helps!
4 reasons:
Explanation:
1) Being an entrepreneur is beneficial because it helps you get to know yourself better. You get to be your own boss.
2) Entrepreneurs get to make their own schedule. You can work for flexible hours.
3) You get to be more independent. Taking entrepreneurship will grant you freedom.
4) Choosing to be an entrepreneur is a big risk. This means your taking a challenge in your life. You'll make yourself stronger!
The best part though? It is a big satisfaction when you succeed, yeah and you'll definitely be proud of yourself.
explain the impact that corporate consumers have on sports.
The company consumers purchase huge quantities of highly-priced tickets, assisting the groups financially. It makes the groups appearance correct to have their call at the uniform of the group this is winning, correct marketing and marketing for the company.
Marketing of sports activities offers with marketing and marketing sports activities to the viewing public. It entails the merchandising of sports activities, wearing events, wearing associations, and sports activities groups. Marketing of sports activities consists of advertising and marketing operators of sports activities groups and organizers of events, leagues, championships, and more.
It results in a big increase in income and profits, that's the best catalyst for commercial enterprise growth. In addition, it improves the requirements of living. Through sports activities advertising and marketing, expert athletes can gather life-converting sponsorship contracts that could permit them to convert their lives.
Team CSR sports include, however aren't constrained to, the subsequent sports: athlete volunteerism, instructional initiatives, philanthropic/charitable donations, network development, network initiatives, fan appreciation, fitness associated initiatives, and network-primarily based totally environmental programs.
Engaging in bodily sports like sports activities improves your coronary heart function, reduces your danger of diabetes, controls blood sugar, and lowers anxiety and strain levels. It additionally brings high-quality energy, discipline, and different commendable characteristics for your life.
Know more about marketing here:
https://brainly.com/question/27155256
#SPJ4