Most manufacturing businesses are considered small if they employ fewer than 500 workers. So the correct answer is A. 500.
In the United States, the Small Business Administration (SBA) defines a manufacturing business as small if it has fewer than 500 employees. However, the definition of a small manufacturing business may vary depending on the industry and the country. In some cases, a business may be considered small if it has fewer than 100 employees. It's important to note that small manufacturing businesses play a significant role in the economy, as they account for a large percentage of jobs and contribute to innovation and growth.
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Deep Space Aeronautics is developing a profit-sharing plan. Randy, the human resource manager, assumes the employees are excited to participate in this start-up company's success. However, a supervisor tells Randy about anxiety surrounding a rumor that employees will lose money if the company has a bad year. How should Randy address this problem with employee morale
The statement " Meeting should be conducted in order to teach about the profit-sharing & how it should be a benefit to the employees" is considered.
The information related to the profit-sharing plan is as follows:
It is a retirement plan that provides the share to the employee from the company profits. Here the employee should receive the percentage of the company profits that depend upon the quarterly or annual earnings.Ben was required to conduct the meeting in order to conduct the knowledge related to the norms and the profit-sharing details.
Therefore all other statements need not be considered.
So we can conclude that The statement " Meeting should be conducted in order to teach about the profit-sharing & how it should be a benefit to the employees" is considered.
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Overview of the South African economy 2004-2007, Overview of the South African economy 2015 to 2019, the focus should be on identifying the major contributors to economic growth and variables of interest students to use graphs and tables in this section
Overview of the South African economy 2004-2007:South Africa's economy experienced strong growth between 2004 and 2007. The economic growth averaged 4.8% annually, which was due to several factors such as low interest rates, stable exchange rates, and low inflation.
economic growth was driven by increased investment and household spending. Key sectors such as manufacturing, mining, and tourism also experienced growth during this period .In the period between 2004-2007, there was a significant increase in foreign investment in South Africa, which led to the development of infrastructure and the creation of jobs.
Overview of the South African economy 2015 to 2019:South Africa's economy experienced weaker growth between 2015 and 2019, with an average growth rate of 1.8%. This was due to several factors such as low investment, low levels of confidence, high unemployment rates, and low commodity prices. These factors negatively affected several sectors, including manufacturing, mining, and agriculture.
Tables and graphs can help to visually present the information. For example, graphs can show the trend in economic growth, while tables can provide detailed data on key sectors such as manufacturing, mining, and agriculture.
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which of the following best illustrates diversification? a. after selling stock, corporate management spends funds on projects with greater risks than shareholders had anticipated. b. instead of holding only the stocks of companies engaged in the banking business, a person decides to hold stock in a number of different companies producing different goods and services. c. a person decides to purchase only stocks that have paid high dividends in the past. d. a company that produces many different products decides to produce fewer.
b. The best illustration of diversification is when a person decides to hold stock in multiple companies that produce various goods and services rather than just the stocks of banks.
What exactly is Diversification?When businesses want to expand, they use the diversification strategy. It's the process of adding a new product to your supply chain to boost profits. Business-level diversification refers to the introduction of new products into an existing market. Alternately, entering a new market results in corporate-level diversification.
Diversification strategies are utilized by businesses for three primary reasons. As a result, businesses that employ a diversification strategy include:
Need to reduce market risk; Need to shield their business from competition; Need to boost profits and stock a wider range of products; All of these factors put pressure on businesses that employ a diversification strategy. For instance, another contender is taking a part of business and you might want to secure it.
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The most common categorization of buyers splits them into which of the following two groups?
a. Government market and intermediaries
b. Consumer market and end user market
c. Government market and business market
d. Business market and intermediaries
e. Consumer market and business market
The most common categorization of buyers splits them into the following two groups consumer market and business market, option e.
The consumer market refers to individuals or households who purchase goods and services for personal use. This includes everyday consumers who buy products like clothing, electronics, groceries, and other items for their personal needs.
The business market, also known as the industrial or organizational market, comprises organizations, companies, or entities that purchase goods and services for business purposes. This includes businesses, government agencies, non-profit organizations, and other entities that acquire products and services to support their operations, production, or service delivery.
So, the consumer market represents individual consumers, while the business market represents organizations and entities making purchases for their operations or resale. Therefore, the correct option is e. Consumer market and business market.
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the question is in the picture, please help!!
Answer: At a trial in a U.S. District Court, witnesses give testimony and a judge or jury decides who is guilty or not guilty — or who is liable or not liable. The appellate courts do not retry cases or hear new evidence. They do not hear witnesses testify.
Explanation:
In one year, a firm will pay a common stock dividend of $6. 35. The dividends have been growing at 6% per year. Based on analysts’ forecasts, you predict that you will be able to sell your stock for $48 per share after one year. If you require a rate of return of 13 percent on your stock, how much would you be willing to pay now for a share of the stock?.
Therefore, if you require a rate of return of 13 percent on your stock and expect to sell it for $48 per share after one year, you should be willing to pay $90.71 now for a share of the stock.
A stock dividend is a dividend payment made to shareholders in the form of additional shares instead of cash.
To solve this problem, we need to use the dividend discount model. We will calculate the intrinsic value of the stock, which will be equal to the price we would be willing to pay for one share of the stock. The intrinsic value of a stock is the present value of all expected future dividends plus the expected sale price of the stock.
Using the formula for the constant growth dividend discount model, we can calculate the intrinsic value of the stock, as follows:
V₀ = D₁ / (r - g) + P₁ / (1 + r)¹
V₀ = $6.35 / (0.13 - 0.06) + $48 / (1 + 0.13)¹
V₀ = $6.35 / 0.07 + $48 / 1.13
V₀ = $90.71
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How often should you monitor your bank account?
You should monitor your bank account every day.
Keeping track of your finances is an important part of managing your money. It's important to regularly monitor your bank account to ensure that you're on top of your spending and saving habits.
Doing so helps you identify unusual activity, stay on top of fees, and make sure you're making the most of your money.
You should check your account at least once a week, or more if you have a lot of transactions. This way, you can stay informed and in control of your financial situation.
With so many transactions taking place each day, it's important to check in regularly to make sure everything is in order.
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An airline knows that there are two types of travelers: business travelers and vacationers. For a particular flight, there are 100 business travelers who will pay $600 for a ticket while there are 50 vacationers who will pay $300 for a ticket. There are 150 seats available on the plane. Suppose the cost to the airline of providing the flight is $20,000, which includes the cost of the pilots, flight attendants, fuel, etc. How much profit will the airline earn if it engages in price discrimination
Answer:
The answer is "$55000".
Explanation:
When discrimination against prices is practicable, $600 would be charged to travelers and $300 to tourists. Now,
Total revenue(TR) \(=P \times Q\)
\(=600\times 100+300 \times 50 \\\\ =600\times 100+15,000 \\\\ =60,000+15,000 \\\\=\$75,000\)
Total Cost(TC)\(=\$20000\)
Profit\(=TR-TC\)
\(=\$75000-\$20000 \\\\ =\$55,000\)
what is a perfect market?
Answer:
A Perfect market is
a market where the sellers of a product or service are free to compete fairly, and sellers and buyers have complete information: The internet has a big part to play in the creation of a perfect market. Compare. imperfect market.
Which type of managers of a business must answer to a board of directors regarding the company's fiscal performance
Answer: The CEO (Chief Executive Officer) and the CFO (Chief Financial Officer) are the managers who would answer to a board of directors regarding the company's fiscal performance.
The CEO is responsible for the overall management of the company and the achievement of its goals, while the CFO is responsible for the financial management of the company, including financial reporting, budgeting, and forecasting.
Both of these managers have a critical role in ensuring that the company is meeting its financial objectives and reporting accurate and timely financial information to the board of directors.
Other senior managers, such as the COO (Chief Operating Officer) and the CMO (Chief Marketing Officer), may also provide input to the board on their respective areas of responsibility, but the CEO and CFO are typically the primary managers responsible for financial performance.
Prepare journal entries for a local government to record the following transactions, first for fund financial statements and then for government-wide financial statements. A. The government sells $900,000 in bonds at face value to finance the construction of a new warehouse. B. A $1. 1 million contract is signed for construction of the warehouse. The commitment is reported, if allowed. C. The government transfers cash of $130,000 in unrestricted funds for the eventual payment of the debt in (a). D. The government receives equipment for the fire department with a cost of $12,000. When ordered, an anticipated cost of $11,800 was recorded. E. Supplies to be used in the schools are bought for $2,000 cash. The consumption method is used. F. The state awards a grant of $90,000 to supplement police salaries. The money will be paid to reimburse the government but only after the supplement payments have been made. G. The government mails property tax assessments to its citizens. The total assessment is $600,000, although officials anticipate that 4 percent will never be collected. The government holds an enforceable legal claim to this money. It can be spent immediately
An entry in a journal is utilized to document a financial transaction in the accounting books of a company.
A. To record the Issuance of bonds for $900,000 at face value:
Dr. Cash (proceeds from bond issuance) $900,000
Cr. Bonds Payable (long-term liability) $900,000
B. To record the commitment for construction of the warehouse:
Dr. Encumbrances (for commitment of funds) $1,100,000
Cr. Reserve for Encumbrances (to avoid over budgeting) $1,100,000
C. To record the transfer of cash for the eventual payment of debt:
Dr. Debt Service Fund Cash (restricted fund) $130,000
Cr. General Fund Cash (unrestricted fund) $130,000
D. To record the receipt of equipment for the fire department:
Dr. Fire Department Equipment (capital asset) $12,000
Cr. Vouchers Payable (accounts payable) $12,000
E. To record the purchase of supplies for schools:
Dr. Supplies Expense (expenditure) $2,000
Cr. Cash (source of funds) $2,000
F. To record the receipt of a grant from the state:
Dr. Grant Receivable (restricted fund) $90,000
Cr. Revenues (for grant received) $90,000
G. To record the assessment of property tax:
Dr. Property Tax Receivable (restricted fund) $600,000
Cr. Revenues (for property tax assessed) $600,000
Cr. Allowance for Uncollectible Property Taxes (contra-revenue) $24,000 (4% of $600,000)
Journal Entries for Government-Wide Financial Statements:
A. To record the issuance of bonds for $900,000 at face value:
Dr. Cash (proceeds from bond issuance) $900,000
Cr. Bonds Payable (long-term liability) $900,000
B. To record the commitment for construction of the warehouse:
Dr. Capital Project Expenditures (construction expense) $1,100,000
Cr. Capital Projects Fund (restricted fund) $1,100,000
C. To record the transfer of cash for the eventual payment of debt:
Dr. Debt Service Fund Cash (restricted fund) $130,000
Cr. General Fund Cash (unrestricted fund) $130,000
D. To record the receipt of equipment for the fire department:
Dr. Fire Department Equipment (capital asset) $12,000
Cr. Accounts Payable $12,000
E. To record the purchase of supplies for schools:
Dr. Supplies Expense (operating expense) $2,000
Cr. Cash (source of funds) $2,000
F. To record the receipt of a grant from the state:
Dr. Grant Receivable (restricted fund) $90,000
Cr. Revenues (for grant received) $90,000
G. To record the assessment of property tax:
Dr. Property Tax Receivable (restricted fund) $576,000 (96% of $600,000)
Cr. Revenues (for property tax assessed) $576,000
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The Eutaw Corporation issues a preferred stock paying a constant dividend of $3.8 per year, far into the future. If investors use 4.8% to discount all the future cash flows, what should be the price of Eutaw preferred stock to the nearest cent?
The price of Eutaw preferred stock to the nearest cent can be computed as follows: Given, Annual dividend payment (D) = $3.8Discount rate (r) = 4.8% = 0.048Price of the stock (P) =
We can use the formula to calculate the price of Eutaw preferred stock:
P = D / rP = $3.8 / 0.048P = $79.16666666666667
As it is required to round off the answer to the nearest cent, we get, Price of the stock
(P) = $79.17
Therefore, the price of Eutaw preferred stock to the nearest cent is $79.17.
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In general, business writing should be _____.
Business writing is important in the business community. The writing style and material must be specific in order to elicit a meaningful reaction and be expressive in nature.
What is a company definition in a nutshell?
A business is described as a company or organisation that engages in commercial, industrial, or professional activity. Companies can be either for-profit or non-profit organisations. Limited liability firms, sole proprietorships, corporations, and partnerships are all examples of business structures. The introduction to the business plan provides a basic summary of the business plan, including a brief company description, aims and objectives, and the reason for launching the firm.
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Rolston Music Company is considering the sale of a new sound board used in recording studios. The new board would sell for $26,100, and the company expects to sell 1,460 per year. The company currently sells 1,960 units of its existing model per year. If the new model is introduced, sales of the existing model will fall to 1,780 units per year. The old board retails for $22,000. Variable costs are 56 percent of sales, depreciation on the equipment to produce the new board will be $1,410,000 per year, and fixed costs are $1,310,000 per year.
Answer:
$8,792,544
Explanation:
Computation for the Annual OCF of the project
First step is to compute the net income
NET INCOME
Sales of new$38,106,000
($26,100×1,460 per year)
Lost sales of old -$3,960,000
[($22,000×1,780)-($22,000×1,960)]
=39,160,000-43,120,000
=-3,960,000
Variable costs $19,121,760
[($38,106,000-3,960,000)×56%]
(34,146,000×56%)
=$19,121,760
Fixed costs $1,310,000
Depreciation 1,410,000
EBIT$12,304,240
($38,106,000-3,960,000-$19,121,760-$1,310,000-1,410,000)
Tax $4,921,696
(40%×$12,304,240)
Net income $7,382,544
($12,304,240-$4,921,696)
Second step is to calculate for the company OCF using this formula
OCF = EBIT + Depreciation – Taxes
Let plug in the formula
OCF=EBIT$12,304,240+Depreciation 1,410,000-Tax $4,921,696
OCF= $8,792,544
Therefore the Annual OCF of the project is $8,792,544
Which one of these statements is correct concerning the lease versus buy decision? A) A firm should always purchase an asset rather than lease it if the asset has a positive salvage value. B) If Dell Computer became a lessor of its own computers it would be doing direct leasing. OC) The lessor is primarily concerned with returning the asset at the end of the lease term without incurring any additional charges. OD) The lessee is primarily concerned about the use of the asset. OE) Dell Computer would be a captive finance company if it became a lessor of its own computers.
Option D is correct that the lessee is primarily concerned about the use of the asset.Concerning the lease versus buy decision, the following are the correct statements:Option A is incorrect as it is not always true that a company should purchase an asset rather than lease it if the asset has a positive salvage value.
Factors such as the time value of money, tax considerations, and the company's specific circumstances must be considered in deciding whether to lease or buy an asset.Option B is incorrect as Dell Computer cannot engage in direct leasing of its own computers since it is the manufacturer of the assets.Option C is partially correct. A lessor is concerned about the asset's residual value at the end of the lease term; however, the lessor may also be interested in additional charges incurred by the lessee such as maintenance costs.
Option D is correct as the lessee is primarily interested in the use of the asset during the lease term.Option E is incorrect as Dell Computer becoming a lessor of its own computers will not qualify it as a captive finance company. A captive finance company is an affiliate of a company that provides financing to customers to purchase the company's products or services.
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The Reynolds Corporation buys from its suppliers on terms of 3/18, net 65, Reynolds has not been utilizing the discounts offered and has been taking 65 days to pay its bills. Ms. Duke, Reynolds Corporation's vice president, has suggested that the company begin to take the discounts offered Duke proposes that the company borrow from its bank at a stated rate of 18 percent. The bank requires a 14 percent compensating balance on these loans. Current account balances would not be available to meet any of this compensating balance requirement. a. Calculate the cost of not taking a cash discount (Use a 360-day year. Do not round intermediate calculations. Input your answer as a percent rounded to 2 decimal places.)
The cost of not taking a cash discount is 24.38%.
To calculate the cost of not taking a cash discount, we need to determine the effective annual interest rate on the purchases made without utilizing the discount.
Cost of not taking the cash discount can be calculated using the formula:
Cost of not taking cash discount = [(Discount % / (100% - Discount %)) * (360 / Non-discount period)] * 100
The discount % is calculated as 3% / (100% - 3%) = 3.09%.
Cost of not taking cash discount = [(3.09% / (100% - 3.09%)) * (360 / 47)] * 100
Cost of not taking cash discount = [(0.0309 / (1 - 0.0309)) * (360 / 47)] * 100
= [(0.0309 / 0.9691) * 7.6596] * 100
= 0.3179 * 7.6596 * 100
= 24.38
Therefore, the cost of not taking a cash discount is 24.38%.
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a contract for a sale of land from bayside properties, inc., to city development corporation contains an erroneous legal description. the most appropriate remedy for these parties is
The most appropriate remedy for the parties is to correct the erroneous legal description in the contract for the sale of land. This can be done through an amendment or addendum to the contract. Alternatively, if the error cannot be corrected, the parties may need to rescind the contract and negotiate a new one.
1. When a contract contains an erroneous legal description, the parties involved have several options to remedy the situation. The first step would be to identify the error and determine if it can be corrected.
2. If the error can be corrected, the parties can amend or add an addendum to the contract. This would involve revising the legal description to accurately reflect the intended property being sold.
3. If the error cannot be corrected or if the parties agree to rescind the contract, they would need to negotiate a new contract with the correct legal description. This would involve cancelling the original contract and creating a new one that accurately describes the land being sold.
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Match each item with its location in the bank reconciliation Outstanding cheques from the previous month that are no longer outstanding Bank error in recording a company cheque made out for $160 as $610 Outstanding cheques from the previous month that are still outstanding Deposit in transit from the current month EFT payment made by a 1. increase to the bank balance EFT payment made by a 1. increase to the bank balance customer 2. decrease to the bank balance Company error in recording a cheque made out for $630 as $360 3. increase to company cash balance Company error in recording a deposit of $160 as 4. decrease to company cash balance $1,600 5. not included in the bank Bank debit memorandum reconciliation for service charges Bank credit memorandum for interest revenue Bank error in recording a $1,779 deposit as $1,977 Outstanding cheques from the current month Bank debit memorandum for a customer's NSF cheque
To match each item with its location in the bank reconciliation, let's go through each item one by one:
1. Outstanding cheques from the previous month that are no longer outstanding: These cheques were previously listed as outstanding in the previous month's bank reconciliation but have now cleared. They should be deducted from the bank balance in the bank reconciliation.
2. Bank error in recording a company cheque made out for $160 as $610: This error was made by the bank while recording a company cheque.
The amount was recorded incorrectly as $610 instead of $160.
This error should be deducted from the bank balance in the bank reconciliation.
3. Outstanding cheques from the previous month that are still outstanding: These are cheques that were issued in the previous month but have not yet cleared the bank.
They should be deducted from the company's cash balance in the bank reconciliation.
4. Deposit in transit from the current month: This refers to a deposit made by the company in the current month but has not yet been recorded by the bank.
It should be added to the bank balance in the bank reconciliation.
5. EFT payment made by a customer: This refers to an Electronic Funds Transfer (EFT) payment made by a customer to the company.
It should be added to the bank balance in the bank reconciliation.
6. Company error in recording a cheque made out for $630 as $360: This error was made by the company while recording a cheque. The amount was recorded incorrectly as $360 instead of $630.
This error should be deducted from the company's cash balance in the bank reconciliation.
7. Company error in recording a deposit of $160 as $1,600: This error was made by the company while recording a deposit. The amount was recorded incorrectly as $1,600 instead of $160.
This error should be deducted from the company's cash balance in the bank reconciliation.
8. Bank debit memorandum for service charges: This refers to charges deducted by the bank for services provided. It should be deducted from the bank balance in the bank reconciliation.
9. Bank credit memorandum for interest revenue: This refers to interest earned by the company on its bank account. It should be added to the bank balance in the bank reconciliation.
10. Bank error in recording a $1,779 deposit as $1,977: This error was made by the bank while recording a deposit. The amount was recorded incorrectly as $1,977 instead of $1,779.
This error should be deducted from the bank balance in the bank reconciliation.
11. Outstanding cheques from the current month: These are cheques that were issued in the current month but have not yet cleared the bank.
They should be deducted from the company's cash balance in the bank reconciliation.
12. Bank debit memorandum for a customer's NSF cheque: This refers to a cheque issued by a customer that was returned by the bank due to insufficient funds.
It should be deducted from the bank balance in the bank reconciliation.
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Which of the following is crucial for high-priced consumer products such as homes and cars?
A) Creative selling
B) Interactive marketing
C) Missionary selling
D) Order processing
E) Trade shows
A) Creative selling when it comes to high-priced consumer products such as homes and cars, creative selling is crucial.
Creative selling involves employing innovative and persuasive techniques to promote and sell products that are relatively expensive or have a higher perceived value. This can include customized sales presentations, tailored marketing strategies, and creative approaches to highlighting the unique features and benefits of the products.
While interactive marketing, missionary selling, order processing, and trade shows can all play a role in the marketing and sales process, creative selling specifically focuses on developing effective and captivating sales techniques to attract and convince potential buyers of the value and desirability of high-priced consumer products.
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what can the organization use the porter five forces analysis to promote competitiveness in their industry?
Porter's 5 forces make up a study model of the competitive structure of an industry in which the following are analysed:
The bargaining power of customersThe bargaining power of suppliersThe threat from substitute productsThe threat from represent incoming products Porter's 5 forcesThese five elements are analyzed separately but interconnected, since each of them affects the organization's level of competition. By analyzing the threats of these competitive forces, we can determine our position in the market and understand why we have the current market share.
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If a government wishes to keep its currency undervalued relative to the U.S. dollar, it would need to: Question 11 options: a) sell dollars on the foreign exchange market. b) withhold dollars from the foreign exchange market. c) raise interest rates to attract more purchases of bonds by foreigners. d) borrow money from the IMF to keep its currency from collapsing.
If a government wishes to keep its currency undervalued relative to the U.S. dollar, it would need to a) sell dollars on the foreign exchange market.
A valued object that can be used as a medium of exchange for commodities is referred to as currency. In order to keep its currency undervalued in comparison to the US dollar, a government can particularly intervene in foreign exchange market by typically selling its own currency and purchasing various dollars.
As a result, there is an increase in both supply and demand for total dollars, which significantly lowers total value of local currency relative to its dollar. The availability of a specific currency would decrease, increasing its value relative to the US dollar, and the opposite would happen if dollars were withheld from the foreign exchange market.
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(ANSWER PROVIDED) What is formal structure?
A.
Structure of legal compliance
done
B.
Structure represented by an organizational chart
C.
Relationships from people working
D.
Structure for the top executives of a company
ANSWER - B. Structure represented by an organizational chart
Explanation:
B.
Structure represented by an organizational chart
Property rights protect businesses by:
A. setting a minimum price on all goods in an industry.
B. ensuring that the government cannot regulate their actions.
C. providing them with emergency loans from the government.
D. preventing competitors from copying their products.
Preventing competitors from copying their products is the use of Property rights to protect businesses. In business, there is high number of chance to copy the designs and pattern of the goods and services.
Why is it important to protect property rights?The primary goal of property rights, as well as their primary achievement, is to minimize destructive rivalry for control of economic resources. Property rights that are well-defined and well-protected replace violent rivalry with harmonious competition.
Thus, option D is correct.
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Drag each option to the correct location.
Match the scenarios to the factors that affect the labor market.
foreign direct investment
outsourcing
immigration
Each scenario should be matched to the factors that affect the labor market as follows:
Immigration: Carlos is moving from Mexico to the United States because he got a job in a bank. He had his interview last month, and the bank agreed to hire him because he was willing to work for 10% less than most American workers, even though he has the same qualifications.Foreign direct investment: A US supermarket chain is going to open a few supermarkets in Europe because a recent survey showed that the chain has a huge potential for profits in Europe.Outsourcing: A renowned US information technology firm has recently signed a contract with a company based in the Philippines. The Filipino company will handle the accounts of the US firm. The US firm made this decision to reduce labor costs.What is immigration?Immigration can be defined as the movement of a group of people from one geographical region to another geographical destination such as a city, especially in search of any of the following:
Good governanceSecurityBetter living conditions.WorkJobsSocial amenitiesWhat is a foreign direct investment?A foreign direct investment (FDI) simply refers to a type of investment which is made by an individual or business organization (investor) into an investment market that is located in another country.
In conclusion, an example of foreign direct investment (FDI) is a US supermarket chain that is planning to open a few supermarkets in a country in Europe.
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Answer:
Post Test: Free Market and Businesses
Unit: 2
Economics
Question #12
__________________________________________________________
This is 100% right because I took the test
Go to explanation for picture with answers
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Explanation:
Here's the picture and I hope this helped!
Have a nice day!
Your friends' credit scores are 560, 675, 710, 590, and 640. Your credit score is 680. What is the difference between the average credit score of your friends and your credit score?
Answer:
mine is higher by 45 points
Explanation:
Average score is the total score divided by number of entries
Average credit score = 560 + 675 + 710 + 590 +640 / 5
=3175/5
=635
friends average credit score = 635
My credit score =680.
the difference = 680-635=45 credit points
my credit score is better by 45 points
For the fall semester, you had to pay a nonrefundable fee of $600 for your meal plan, which gives you up to 150 meals. If you eat 100 meals, your marginal cost of the 100th meal is: Group of answer choices
Answer:
$6
Explanation:
Marginal cost is additional cost for producing one extra unit of product
The given parameters are;
The amount paid for the semester meal plan = Nonrefundable $600
The number of meals that can be eaten with the meal plan = 150
The number of meals ate = 100
Therefore, at $600, the marginal cost of the 100th meal is the cost of producing 100 meals at $600 given as follows;
Marginal cost of a meal = Total amount paid for the semester meal plan/(Total number of meals taken)
The marginal cost of the 100th meal = $600/100 = $6.00
The marginal cost of the 100th meal = $6.00
The marginal cost of the 100th meal is $6.
Calculation of the marginal cost:Marginal cost refers to the additional cost for generating one extra unit of product
Since
The amount paid for the semester meal plan = Nonrefundable = $600
The number of meals that can be eaten with the meal plan = 150
The number of meals ate = 100
Now
Marginal cost of a meal = Total amount paid for the semester meal plan/(Total number of meals taken)
= $600/100
= $6.00
Hence, The marginal cost of the 100th meal = $6.00
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Kent works in the public relations department of his company. He sends a news release about a new product offering to several newspapers and television stations. Kent knows from past experience that even when the media use his news releases, they often release the information at inopportune times. They will also sometimes cut out what Kevin believes are the most important points to make the news fit. However, Kent accepts these disadvantages because free publicity offers the advantage of
Answer:
The answer is "credibility".
Explanation:
In this scenario, free advertising offers a reputation benefit. When this journal advertises openly, it's also considered reliable by the targeted customers like, it is in news form while charging something. Therefore, Kent finds that improper transmission of time information to be a drawback since it recognizes that its product and company would still be credible.
People are known to have different qualities. Kent accepts these disadvantages because free publicity offers the advantage of Credibility.
Credibility is known to be a characteristic of an individual who is said to be noted by others to be a trusted advisor, believable, and confident as they tend to show a high level of expertise in a specific field.A lot of traits are said to be of influential behaviors are known to be linked with with high credibility. Kent acceptance shows that free publicity gives some measure of Credibility.
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Your company has sent you an email telling you your department must increase the daily output goal of 120 widgets per hour, to 126 widgets per hour. Everyone on your team recognizes more efficient production will lead to more profit for the company, and a higher chance for a raise for each of them. As usual, you will hold a brief meeting explaining the new directive and provide the deadline as to when this new daily production goal must be met with regularity. The meeting ends after a couple of clarifying questions and answers, and you and your employees get back to work on meeting the deadline for the new goal. What management theory best describes the management style of this company? What leadership style will you employ to get the required increase in production of widgets your company requested? Why is this leadership style the best fit for this scenario?
Answer:
Participative Leadership style.
Explanation:
Participative leadership, also known as democratic leadership, is one in which the leader has the central focus of employee engagement and participation in important company decisions. In this style of leadership, the manager has a crucial role of being the main motivator and advisor of the team, being solicitous to guide, coordinate and assist his subordinates in all their work demands, so that the goals and organizational goals are achieved.
This style of participatory leadership would be more appropriate for this scenario as there are deadlines for completing tasks, which requires a motivated and productive team, which is essential in participatory leadership.
The motivation of employees is achieved due to clear and guiding communication from the leader, which creates the perception of inclusion and appreciation of the employee, who feels an essential and important part of the organization.
When you double-click a cell's right column border, which of the following occurs?AutoFit resizes the column to 8.43 characters wide.AutoFit resizes the column to the widest cell entry.The column is deleted.A column is added to the right of the column's border.
In Microsoft Excel, you can adjust the width of a column to fit the content of the cells within it by using the AutoFit feature.
One way to do this is to double-click the right column border of a cell. When you do this, Excel will automatically adjust the width of the column to fit the widest cell entry within it.
This ensures that all content is visible and not cut off. The AutoFit feature is useful for improving the appearance and readability of your Excel spreadsheets, as it allows you to easily adjust the column width to fit the content without having to do it manually.
It can save time and effort, especially when dealing with large data sets or tables that contain a lot of information.
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Theo buys 500 shares of a KO for the lofty dividend. If KO pays a dividend of $1.20/share 4 times a year, how much are the dividend payments worth for the year?
Answer:
$2,400.00
Explanation:
The dividends per year will be dividends per share per year multiplied by 500.
Dividend per share per year
=$1.20x 4
=$4.80
Per year dividends will be worth
=$4.80 x 500
=$2,400.00