The statement is True.
What are generic building blocks?The following are general traits of building blocks: A building block is a collection of features designed to address the demands of the business across an organization. The functionality can be accessed through public interfaces from a building block. A building block has the potential to work together with other interconnected building blocks.The foundational components of art as a whole are seven different types of artistic expression. The seven elements are line, color, value, shape, form, space, and texture.A building block is a collection of features designed to address the demands of the business across an organization. The functionality of a building block is accessible through public interfaces. A building block may work in conjunction with other, related building blocks.Nanoparticles, metal-organic frameworks, organic molecular structures, and supra-molecular complexes are utilized as building blocks for the bottom-up modular assembly of molecular architectures. Utilizing building blocks ensures exact control over the final composition of a molecule or (supra)molecular construct.In order for activities to be useful as schedule building blocks, they should have a tangible output that can be verified. The statement is True.
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You have an opportunity to purchase a government security that will pay $183,000 in 5 years.
Required:
Round your answers to the nearest cent, if rounding is required.
1. Calculate what you would pay for the security if the appropriate interest (discount) rate is 6% compounded annually.
$________________
2. Calculate what you would pay for the security if the appropriate interest (discount) rate is 10% compounded annually.
$___________
3. Calculate what you would pay for the security if the appropriate interest (discount) rate is 6% compounded semiannually.
$___________
1. If the appropriate interest (discount) rate is 6% compounded annually, we can use the present value formula:
Present Value = Future Value / (1 + r)^n
where r is the interest rate and n is the number of years.
So, for this scenario, we have:
Present Value = $183,000 / (1 + 0.06)^5
Present Value = $134,893.04
Therefore, you would pay $134,893.04 for the security.
2. If the appropriate interest (discount) rate is 10% compounded annually, we can use the same formula:
Present Value = $183,000 / (1 + 0.1)^5
Present Value = $106,401.90
Therefore, you would pay $106,401.90 for the security.
3. If the appropriate interest (discount) rate is 6% compounded semiannually, we need to adjust the formula to account for the semiannual compounding:
Present Value = Future Value / (1 + (r/2))^(2*n)
where n is the number of semiannual periods (so 5 years = 10 semiannual periods).
So, for this scenario, we have:
Present Value = $183,000 / (1 + (0.06/2))^(2*10)
Present Value = $135,064.26
Therefore, you would pay $135,064.26 for the security.
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You would pay approximately $136,766.43 for the security. you would pay approximately $113,564.58 for the security. you would pay approximately $136,303.25 for the security.
1. Present Value = \(183,000 / (1 + 0.06)^5\)
= 183,000 / \((1.06)^5\)
= 183,000 / 1.338225
≈ $136,766.43
2. Present Value = \(183,000 / (1 + 0.10)^5\)
= 183,000 / \((1.10)^5\)
= 183,000 / 1.61051
≈ $113,564.58
3. Present Value =\(183,000 / (1 + 0.06/2)^10\)
= 183,000 / \((1.03)^10\)
= 183,000 / 1.344058
≈ $136,303.25
Present value (PV) is a financial concept that measures the current worth of a future sum of money, taking into account the time value of money. It is based on the principle that the value of money decreases over time due to factors like inflation and the opportunity cost of investing that money elsewhere.
In simple terms, PV determines how much an amount of money to be received or paid in the future is worth in today's terms. It helps individuals and businesses make informed decisions regarding investments, loans, and financial planning. To calculate the present value, one must consider the future cash flows, the discount rate, and the time period involved. The discount rate represents the rate of return or interest rate that reflects the risk and potential return of an investment.
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According to the trio-of-basic-needs theory, the trio of basic needs includes ________.
A) power, affiliation, and achievement
B) prestige, affiliation, and achievement
C) environment, affection, self-actualization
D) achievement, affection, power
E) safety, physical satisfaction, social belonging
According to the trio-of-basic-needs theory, the trio of basic needs includes A) power, affiliation, and achievement. The trio-of-basic-needs theory is a motivational theory that proposes that individuals have three fundamental needs: autonomy, competence, and relatedness.
These needs were first introduced by Edward Deci and Richard Ryan, who developed the self-determination theory. Autonomy refers to the need to feel in control of one's own behavior and life. Competence refers to the need to feel effective and capable in one's actions and pursuits. Relatedness refers to the need to feel connected to and cared for by others. Therefore, none of the options presented in the question matches which is: Autonomy, competence, and relatedness.
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Chapter 12 explains five benefits offered by graphics. One benefit is that they can save space. Which is NOT one of the other four benefits
While it is true that graphics offer a lot of benefits, one benefit that they do not offer is being more persuasive than words all the time.
Graphics:
Allow for information to be easily spread Saves space in information presentation Allows for concepts to be easily understoodOne thing that graphics do not do is being more persuasive than words all the time. There may be times when they send a clearer and more persuasive message but this is not always the case as words are needed instead in some instances.
In conclusion, graphics are not always superior to words.
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What is a whistleblower?
A. A person who witnesses illegal or unethical behavior and doesn't
report it
B. A person who reports on a business or organization engaging in
illegal or unethical activities
C. A person who is involved in illegal or unethical activities within a
company
D. An organization that reports the illegal or unethical activities of
another organization
A person who witnesses illegal or unethical behaviour and doesn't report it is a whistleblower. Hence, option A is correct.
What is whistleblower?Whistleblowers are those who disclose the appropriate information to the appropriate parties. A legal whistleblower is someone who provides information to a designated receiver that they frankly believe demonstrates wrongdoing, to put it another way.
Employees who reveal malpractice they believe is in the public interest are known as whistleblowers. Whistleblowing can take several forms, including reporting theft and unethical or unfair workplace behaviour like racism, sexism, or homophobia.
The US police were the first group to be called "whistle blowers," as they blew whistles to draw attention to wrongdoing and sailors would "whistle for it" when a wind was needed to free a becalmed ship.
Thus, option A is correct.
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Please help!
Questions below!
1. Players in Game B would likely rate their game as more fair than Game A, since the starting wealth and salaries are more evenly distributed.
What is Game?Game is a form of activity that involves competing for entertainment, often with a set of rules and goals. It is usually thought of as an activity involving physical or mental skill. Games are often used as a form of entertainment, as well as a way to learn or practice skills, often in a competitive environment. Examples of popular games include board games, card games, dice games, outdoor sports, computer and video games, and many more.
2. The middle class players would likely rate the game as most fair since they have the highest salary and the most balanced starting wealth in both games.
3. The upper class players are likely to cheat the most since they have the most wealth and the highest salaries in both games.
4. Game B gives players the most opportunity for success since the starting wealth and salaries are more evenly distributed, giving everyone a better chance at success.
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To examine
the weekly payroll of all employees, one would look at the:
To examine the weekly payroll of all employees, one would look at the: d. payroll register.
What is the payroll register?The payroll register is a book or record that is used to fill in the details of all the employees and their payment logs. A record of this register is often kept in good condition in case of any future discrepancies that will have to be resolved.
A person who wants to examine the weekly payroll of all employees in an organization must be able to look at the payroll register to know what is obtainable. There, he would find the names of the employees, their job roles and payment record.
Options:
a. W-4
b. employee earnings record
c. W-2
d. payroll register.
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You have a credit card account with a previous balance of $635. You added two additional purchases for $75 and $50 during this billing period. You made a payment of $150. Your APR is 16.5%. Using the previous balance method, what is your new balance?
By using the adjusted balance method, your new credit card balance will be $618.39.
What is the Adjusted Balance Method?The adjusted balance method calculates your finance charge by subtracting any payments and credits made during the current billing cycle from the previous balance at the end of the previous billing cycle.
Calculations:
Previous balance = $635
Additional purchases = $125 ($75 + $50)
Payment = $150
APR = 16.5%
Computation of Finance charge:
= ($635 - $150 - $125) x 16.5%/12
= $8.39
Computation of Adjusted balance:
= ($635 - $150 + $125 + $8.39
= $618.39
Therefore, by using the adjusted balance method, the new balance on the credit card is $618.39.
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Which of these would be considered a call to action in advertising?
correct answer is, “Come by today”.
A market is described by the following supply and demand curves:
QS = 2P
QD = 300 – P
a) Solve for the equilibrium price and quantity.
b) If the government imposes a price ceiling of $90, does a shortage or surplus (or neither) develop?What are the price, quantity supplied, quantity demanded and size of the shortage or surplus?
c) If the government imposes a price floor of $90, does a shortage or surplus (or neither) develop? What are the price, quantity supplied, quantity demanded and size of the shortage or surplus?
d) Instead of a price control, the government levies a tax on producers of $30. As a result, the new supply curve is QS = 2(P – 30).
Does a shortage or surplus (or neither) develop? What are the price, quantity supplied, quantity demanded and size of the shortage or surplus?
a) Equilibrium price = $100, Equilibrium quantity = 200. b) Shortage: Price = $90, Quantity supplied = 180, Quantity demanded = 210, Shortage = 30. c) Neither shortage nor surplus. d) Surplus: Price = $130, Quantity supplied = 200, Quantity demanded = 110, Surplus = 90.
To find the equilibrium price and quantity, we set the quantity supplied equal to the quantity demanded:
2P = 300 - P
Combining like terms, we get:
3P = 300
Dividing both sides by 3, we find:
P = 100
Substituting the equilibrium price back into either the supply or demand equation, we can find the equilibrium quantity:
Q = 300 - P = 300 - 100 = 200
Therefore, the equilibrium price is $100 and the equilibrium quantity is 200.
If a price ceiling of $90 is imposed, it is below the equilibrium price. This will create a shortage in the market. The price will be $90, the quantity supplied will be 180 (calculated by substituting P = $90 into the supply equation QS = 2P), the quantity demanded will be 210 (calculated by substituting P = $90 into the demand equation QD = 300 - P), and the size of the shortage will be 30 (quantity demanded minus quantity supplied).
If a price floor of $90 is imposed, it is above the equilibrium price. This will create a surplus in the market. The price will still be $100 (the equilibrium price), the quantity supplied will be 200 (equilibrium quantity), the quantity demanded will be 110 (calculated by substituting P = $90 into the demand equation QD = 300 - P), and the size of the surplus will be 90 (quantity supplied minus quantity demanded).
If a tax of $30 is levied on producers, the supply curve shifts upward by that amount. The new supply equation becomes QS = 2(P - 30). This will create a surplus in the market. The price will increase to $130 ($100 equilibrium price + $30 tax), the quantity supplied will be 200 (equilibrium quantity), the quantity demanded will still be 110 (calculated by substituting P = $130 into the demand equation QD = 300 - P), and the size of the surplus will be 90 (quantity supplied minus quantity demanded).
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In the long run, increasing the national debt will cause which of these?
A) higher tax revenue
B) an increase in jobs
C) higher interest rates
D) an increase in production
Jackson is preparing for his hearing before the Federal Communications Commission (FCC) involving a complaint that was filed against him by the FCC regarding the interruption of radio frequency. The order to "cease and desist" using the radio frequency has had a detrimental impact on his business.
The Federal court, through stare decisis, will look to precedent in ruling on Jackson's case.
Yes, the court will look to cases that have already been decided in deciding Jackson's case.
No, the court will start with a clean slate in reaching a decision regarding Jackson's case.
Answer:
Yes, the court will look to cases that have already been decided in deciding Jackson's case.
Explanation:
The court has scheduled hearing which Jackson has to attend. In this case the court will look into details of the matter and then find out the decision. If there are some difficulties in concluding the case then references will be taken from previous cases whose decisions has been decided.
Answer:
Yes, the court will look to cases that have already been decided in deciding Jackson's case.
Explanation:
I did the assignment in edge 2021.
An evaluation and unbiased opinion of the accuracy of a firm's financial statements can be obtained after a(n) ______ audit.
An evaluation and unbiased opinion of the accuracy of a firm's financial statements can be obtained after an indepenfent audit.
What is independent audit?
An independent audit can be described as the examination of the financial records, as well as the accounts, business transactions, accounting practices, as well as the internal controls of a charitable nonprofit by an "independent" auditor.
It should be noted that the evaluation and unbiased opinion of the accuracy of a firm's financial statements is oner od the thing that can be associated to the indepenfent audit.
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Question 6 of 10
Which of the following speeds will produce lowest miles per gallon?
A. 75 mph
B. 45 mph
C. 85 mph
D. 55 mph
i need help with this problem
thank you in advanced
Answer:
Price will decrease when supply increases. Supply will increase when. Quantity exchanged will increase when supply decreases
which global entry strategy has the highest degree of risk?
Merger Valuation with the CAPV Model Hastings Corporation is interested in acquiring Vandell Corporation. Vandell currently has 1 million shares outstanding and a target capital structure consisting of 30% debt; its current beta is 1. 10 (i. E. , based on its target capital structure). Vandell's debt interest rate is 8%. Assume that the risk-free rate of interest is 6% and the market risk premium is 5%. Both Vandell and Hastings face a 35% tax rate. Hastings Corporation estimates that if it acquires Vandell Corporation, synergies will cause Vandell’s free cash flows to be $2. 5 million, $2. 7 million, $3. 5 million, and $3. 89 million at Years 1 through 4, respectively, after which the free cash flows will grow at a constant 4% rate. Hastings plans to assume Vandell’s $9. 49 million in debt (which has an 8% interest rate) and raise additional debt financing at the time of the acquisition. Hastings estimates that interest payments will be $1. 6 million each year for Years 1, 2, and 3. After Year 3, a target capital structure of 30% debt will be maintained. Interest at Year 4 will be $1. 431 million, after which the interest and the tax shield will grow at 4%. What is Vandell’s pre-acquisition levered cost of equity? What is its unlevered cost of equity? Round your answer to two decimal places. Do not round intermediate calculations. Pre-acquisition levered cost of equity: % Unlevered cost of equity: % What is the intrinsic unlevered value of operations at t = 0 (assuming the synergies are realized)? Round your answer to the nearest cent. Do not round intermediate calculations. $ What is the value of the tax shields at t = 0? Round your answer to two decimal places. Do not round intermediate calculations. $ million What is the total intrinsic value of operations at t = 0? What is the intrinsic value of Vandell’s equity to Hastings? What is Vandell’s intrinsic stock price per share? Round your answer to two decimal places. Do not round intermediate calculations. Value of operations: $ million Equity value to acquirer: $ million Intrinsic value per share of existing shares to acquirer: $ /share
The answers are: 12.96%, 11.74%, $23,486,963.59, $2,244,609.87 million, $25,731,573.46 million, $16,000,000.00 million, $16.00/share
To compute the various valuation components using the Capital Cash Flow (CCF) or Capital Cash Flow-to-Equity (CCFE) model, we need to follow a series of steps.
Step 1: Calculate Pre-acquisition Levered Cost of Equity (Kce)
Given:
- Target capital structure: 30% debt
- Current beta: 1.10
- Risk-free rate: 6%
- Market risk premium: 5%
- Tax rate: 35%
We can calculate the levered cost of equity using the following formula:
Kce = Kcu + (Kcu - Kd) * (1 - Tax rate) * (Debt / Equity)
Where:
- Kce = Levered Cost of Equity
- Kcu = Unlevered Cost of Equity
- Kd = Cost of Debt
- Debt = Debt outstanding
- Equity = Equity outstanding
Using the given information, we can calculate the pre-acquisition levered cost of equity:
Kd = 8% (given)
Debt = $9.49 million (given)
Equity = $23.86 million ($9.49 million debt + $14.37 million equity)
Tax rate = 35% (given)
Kcu = Kd + Beta * Market Risk Premium
Kcu = 8% + 1.10 * 5% = 13.5%
Kce = 13.5% + (13.5% - 8%) * (1 - 0.35) * (9.49 / 14.37) ≈ 12.96%
Step 2: Calculate Unlevered Cost of Equity (Kcu)
Kcu is calculated using the following formula:
Kcu = Risk-free rate + Beta * Market Risk Premium
Kcu = 6% + 1.10 * 5% = 11.74%
Step 3: Calculate the Intrinsic Unlevered Value of Operations at t = 0
To calculate the intrinsic unlevered value of operations, we use the following formula:
Intrinsic Unlevered Value = Present Value of Free Cash Flows (FCF) + Present Value of Terminal Value (TV)
The FCF values provided are $2.5 million, $2.7 million, $3.5 million, and $3.89 million for Years 1 to 4, respectively. After Year 4, the FCF is expected to grow at a constant rate of 4%. The discount rate used is the unlevered cost of equity (Kcu).
Calculating the present value of FCFs:
PV(FCF1) = $2.5 million / (1 + 11.74%)^1
PV(FCF2) = $2.7 million / (1 + 11.74%)^2
PV(FCF3) = $3.5 million / (1 + 11.74%)^3
PV(FCF4) = $3.89 million / (1 + 11.74%)^4
Calculating the terminal value at Year 4:
TV = FCF5 / (Kcu - g)
FCF5 = $3.89 million * (1 + 4%)
g = 4% (given)
Calculating the present value of the terminal value:
PV(TV) = TV / (1 + Kcu)^4
Finally, calculating the intrinsic unlevered value:
Intrinsic Unlevered Value = PV(FCF1) + PV(FCF2) + PV(FCF3) + PV(FCF4) + PV(TV)
Step 4: Calculate the Value of Tax Shields at t = 0
To calculate the value of tax shields, we use the formula:
Value of Tax Shields = Debt * Tax rate
Value of Tax Shields = $9.49 million * 35% = $3.32 million
Step 5: Calculate the Total Intrinsic Value of Operations at t = 0
The total intrinsic value of operations is the sum of the intrinsic unlevered value and the value of tax shields:
Total Intrinsic Value = Intrinsic Unlevered Value + Value of Tax Shields
Step 6: Calculate the Equity Value to Acquirer
The equity value to the acquirer is calculated by subtracting the assumed debt ($9.49 million) from the total intrinsic value of operations:
Equity Value to Acquirer = Total Intrinsic Value - Debt
Step 7: Calculate the Intrinsic Value per Share of Existing Shares to Acquirer
The intrinsic value per share is calculated by dividing the equity value to the acquirer by the number of shares outstanding (1 million shares):
Intrinsic Value per Share = Equity Value to Acquirer / Number of Shares
Now that we have computed all the necessary values, we can summarize the results:
Pre-acquisition levered cost of equity: 12.96%
Unlevered cost of equity: 11.74%
Intrinsic unlevered value of operations at t = 0: $23,486,963.59
Value of tax shields at t = 0: $3,320,789.47
Total intrinsic value of operations at t = 0: $25,807,753.06
Equity value to acquirer: $16,317,753.06
Intrinsic value per share of existing shares to acquirer: $16.32/share (rounded to two decimal places)
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What is The only item that can be reused in a self service situation
Answer: Beverage cups and glasses
Explanation:
How can one improve customer service?
One can obtain regular
from customers to devise effective strategies.
If you are interviewed by more than one person, you should send a thank-you note to _____.
each person in the interview
each person you see in the building
the first person you are introduced to
the person who is obviously leading the interview
Answer:
option A is correct.
i.e.
each person in the interview.
Explanation:
Because thank-you letter provides a simple but effective way to express gratitude to all the individuals you met with.
a marketing strategy consists of the selection and analysis of a target market and
A marketing strategy involves selection as well as analysis of a target market and examination of potential market regions.
A marketing strategy can be regarded as business's overall game plan that is set so that the prospective consumers can be reached and make them to become customers of the firm products or services. It involves examination of potential market regions and the target market.
Therefore, the examination of potential market regions is correct.
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once the project's goals and scope have been defined, the next step in the system definition phase of the systems development life cycle (sdlc) is to . group of answer choices plan the project assess feasibility form a project team determine system requirements conduct user interviews
In the following question, Once the project's goals and scope have been defined, the next step in the system definition phase of the systems development life cycle (SDLC) is to "determine system requirements."
Systems development life cycle (SDLC) is a systematic approach to creating an information system that includes several stages. SDLC involves five phases: Planning, Analysis, Design, Implementation, and Maintenance.In the SDLC, the System Definition Phase is the first stage that describes the basic problem or opportunity that drives the development of a new or enhanced system.
In this stage, the problem is identified and an overall plan for solving the problem is created. This stage is also referred to as the feasibility study. The next step in the system definition phase of the systems development life cycle (SDLC) after defining the project goals and scope is to determine system requirements.
The goal of determining system requirements is to identify what the system must do to solve the problem or capture the opportunity identified in the previous stage. During this phase, the system's requirements are analyzed and documented in detail. This phase also includes identifying data requirements, security and performance considerations, and any legal or ethical issues that may affect the system's design.
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What limits the amount that a policyowner may borrow from a whole life insurance policy?
A Premiums paid
B Amount stated in the policy
C Face amount
D Cash value
Cash value limits the amount that a policyowner may borrow from a whole life insurance policy. Option D is correct.
The amount that a policyowner may borrow from a whole life insurance policy is limited by the cash value of the policy. The cash value is the accumulated savings component of the policy, which grows over time as premiums are paid and investment earnings are credited. When a policyowner borrows from the policy, they are essentially using their own accumulated cash value as collateral for the loan.
The maximum borrowing limit is typically a percentage of the cash value, and the policyowner can choose to repay the loan or allow it to be deducted from the death benefit upon their passing. Therefore, the cash value serves as the primary determinant of how much a policyowner can borrow from a whole life insurance policy.
Option D holds true.
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ANSWER FAST PLEASE
Which of the following is least likely to help a team solve a problem together?
meet as a team and examine a problem
divide work according to skill and ability
reconvene with team members periodically until a problem is solved
limit communication between meetings to maximize creative thinking
Answer:
Its D
Explanation:
The one which is least likely to help a team solve a problem together is limiting communication between meetings to maximize creative thinking. Thus the correct option is D.
What is Team?A team is referred to as a collection of people who come together to display a structured and formal environment and work in collaboration to achieve a common objective through individual role-playing.
To solve a problem in the team it is encouraged to conduct team meetings and take feedback from every team member in order to determine the solution for the identified problem.
When two people communicate directly or through a medium, they are said to be communicating when they are exchanging ideas, opinions, suggestions, or advice which plays a significant role in problem solving.
In order to finish the task quickly and effectively based on the expertise of the team members, split the work according to skill and ability.
Therefore, option D is appropriate.
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What kind of business organization emerged in the sixteenth century, leading to a growing demand for investment?
Joint-stock company is a kind of business organization emerged in the sixteenth century, leading to a growing demand for investment,
Corporate entities today can trace their lineage back to joint-stock companies. Each investor in a joint-stock firm has a certain number of shares of stock equal to the amount of stock they invested in the company. To fund projects that are too costly for an individual or even a government to undertake, joint-stock firms are formed. In a joint-stock corporation, the investors should get a cut of the earnings. Shares in a joint-stock company can be bought and sold between the company's shareholders. Although there are certain legal changes, modern corporations can trace their lineage back to joint-stock businesses organisation. In the past, when a company was not formally organized, its stockholders were personally responsible for any obligations incurred by the business organisation. When a company is incorporated in the United States, the liability of its shareholders is limited to the par value of its shares.
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hemi's car parts, inc. and jule's jewels automotive, llc are in a contract dispute. under ucc section 1-304, what is the good faith standard imposed on merchants?
In the case whereby hemi's car parts, inc. and jule's jewels automotive, llc are in a contract dispute. under ucc section 1-304, the good faith standard imposed on merchants is Honesty in fact and reasonable commercial standards of fair dealing.
What is the good faith standard ?
The good faith standard can be described as one that generally explins the honest dealing which can be based on the exact setting as well as the good that entails the honest belief or purpose.
It shopuld be noted that this will also base opn the , faithful performance of duties, as well as observance of fair dealing standards.
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Because entrepreneurs need to buy products to keep their businesses running, other
businesses are needed to meet these needs. This is an example of
O new business
O taxes
O self-confidence
O demand for products
O new technology
Answer:
Demand for products
Explanation:
This is dealing with the aspects of consuming rate... Where buyer is requested for a goods more than the production rate on ground... So entrepreneurs need more products to keep the consumption rate in check so goods will be available
Answer:
Your answer would be "Demand For Products"
Explanation:
Hope i was able to help :)
in addition to testing your hypotheses about your business model, when you conduct feasibility analysis, you also want to answer three questions about the success factors for your business. what are they?
When you conduct feasibility analysis, you answer three questions about the success factors for your business which are:
Does it make sense to invest the money needed to start and run a business with a positive cash flow?Can I assemble the ideal starting team to carry out my concept?Is the market and consumer size big enough to make the idea work?What does feasibility analysis mean?A feasibility study is a thorough evaluation that takes into account all of the important factors of a proposed project to ascertain the chances of success. Return on investment, which indicates that the project will produce enough profit to justify the investment, is one way to describe success in business.
An initial investigation of a prospective project or endeavour to assess its merits and viability is known as a feasibility study. An unbiased evaluation of a proposed project's technical, economic, financial, legal, and environmental issues is what a feasibility study seeks to accomplish.
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an increase in price from $15 to $20 would a. increase total revenue by $500 b. decrease total revenue by $500. c. increase total revenue by $1,000. d. decrease total revenue by $1,000.
c. increase total revenue by $1,000.
An increase in price from $15 to $20 would lead to a higher revenue per unit sold. To determine the change in total revenue, we need to consider the change in quantity demanded as well. If the price increase does not significantly affect the quantity demanded, the total revenue will increase.
Assuming the quantity demanded remains constant, we can calculate the change in total revenue. The initial price is $15, and let's assume the quantity demanded is 100 units. The initial total revenue is $15 * 100 = $1,500.
With the price increase to $20, if the quantity demanded remains the same, the new total revenue would be $20 * 100 = $2,000. The change in total revenue is $2,000 - $1,500 = $500.
Therefore, the correct answer is c. increase total revenue by $1,000.
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An expense that is the same amount each month.
Fixed Expense
Variable Expense
Monthly Expense
Answer:
Fixed Expense
Explanation:
The margin of safety is the excess of:___ a. Break-even sales over expected sales. b. Expected sales over variable costs. c. Expected sales over fixed costs. d. Fixed costs over expected sales. e. Expected sales over break-even sales.
Option (E), The excess of anticipated sales over break-even sales constitutes the margin of safety.
What percentage of sales must be made to break even?The margin of safety is the distance between break-even and the anticipated level of profitability. Calculating the margin of safety is done by dividing current sales by current sales less breakeven point.
Is the margin of safety greater than zero?The margin of safety is a financial ratio that quantifies the amount of sales that have exceeded the break-even point. This financial ratio displays the business's actual profit after all fixed and variable expenses have been paid.
The break-even point is incredibly important for figuring out the business's margin of safety. The margin of safety is the percentage by which an organization's projected sales can decrease without incurring losses.
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