It is not always easy or possible to provide a comprehensive report when it is needed. It may require additional time and resources to compile the necessary information, and it may not be available until after the transaction is completed.
The comprehensive report that is often required by real estate investors and developers is not always available when they need it. In this particular situation, Michael is working with a business investor who wants to buy several lots in a new subdivision to build houses for sale, but when the client asks for a copy of the comprehensive report, Michael tells him it isn't required, but he will ask if the developer is willing to provide one.
The reason why the comprehensive report was not automatically available is that it might not have been created or updated yet. A comprehensive report is a detailed analysis of the property's history, market trends, zoning laws, land use policies, and any other information that might impact its value.
To create a comprehensive report, an appraiser or consultant must conduct a detailed analysis of the property's history, including any previous sales or transactions, the current market conditions, zoning laws and land use policies, the condition of the land and any structures on it, and other relevant factors.
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your landscaping company can lease a truck for $8,200 a year (paid at year-end) for 5 years. it can instead buy the truck for $35,000. the truck will be valueless after 5 years. the interest rate your company can earn on its funds is 6%. what is the present value of the cost of leasing? note: do not round intermediate calculations. round your answer to 2 decimal places. is it cheaper to buy or lease? what is the present value of the cost of leasing if the lease payments are an annuity due, so the first payment comes immediately? note: do not round intermediate calculations. round your answer to 2 decimal places. is it now cheaper to buy or lease?
a. The present value of the cost of leasing is approximately $35,131.56. b. The annuity due structure, the present value of the cost of leasing is approximately $36,973.16.
To calculate the present value of the cost of leasing, we can use the present value formula for a series of cash flows. In this case, the cash flow is $8,200 per year for 5 years. The interest rate is 6%.
\(PV = CF x [1 - (1 + r)^{(-n)]} / r\)
where PV is the present value, CF is the cash flow, r is the interest rate, and n is the number of periods, we can calculate the present value of the leasing cost:
PV = $8,200 x [1 - (1 + 0.06)^(-5)] / 0.06
PV ≈ $35,131.56
To determine if it is cheaper to buy or lease, we compare the present value of the cost of leasing ($35,131.56) to the purchase price of $35,000. Since the present value of the cost of leasing is higher than the purchase price, it is cheaper to buy the truck.
If the lease payments are an annuity due, meaning the first payment comes immediately, we need to adjust the formula by multiplying it by (1 + r):
\(PV = CF x [1 - (1 + r)^{(-n)}] / r x (1 + r)\)
Using this formula, we can calculate the present value of the cost of leasing with the annuity due structure:
PV = $8,200 x [1 - (1 + 0.06)^(-5)] / 0.06 x (1 + 0.06)
PV ≈ $36,973.16
Comparing this value to the purchase price, it is still cheaper to buy the truck rather than lease it.
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technological advances allow smaller companies to compete with larger companies. group of answer choices true false
True, Technological advances allow smaller companies to compete with larger companies.
What is company?
A company is a legal entity created by a group of people to conduct and manage a business enterprise, whether it be commercial or industrial. Depending on the corporate law of its jurisdiction, a company may be set up in a variety of ways for tax and financial liability reasons. The type of business structure a company chooses, such as a partnership, sole proprietorship, or corporation, will typically depend on the industry it operates in. The ownership structure of the business is also indicated by these structures. Additionally, they can tell private from public companies. Both have different ownership arrangements, laws, and rules regarding financial reporting.
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What types of planning can be done to improve a nation’s economy?
A nation can undergo ____ planning or ___ planning in order to improve its economy.
Answer:
A nation can undergo long-term planning or constructive planning in order to improve its economy. Long-term planning involves setting goals and implementing policies that will have an impact over a period of several years. This type of planning may involve investments in education, infrastructure, and research and development, among other areas. Constructive planning involves implementing policies that encourage economic growth and development, such as reducing barriers to trade, promoting entrepreneurship and innovation, and investing in key industries. These types of planning can help a nation to create jobs, increase productivity, and improve living standards for its citizens. THANK YOUYour job is to cold call people and sell
them life insurance. You do some
research and find out that the life
insurance policy could be purchased
cheaper online. Your boss forbids you
to tell the customer this and expects
you to sign up at least 5 new
customers per day.
What will you do?
I believe I would be cheating customers if I don't do right by them. I would prefer to look for a new job than do something that is ethically wrong and against my morals.
As an employee, I would first try to figure out a way to do right by the customers and reduce the insurance fee. I would try to explain to my boss how we could benefit and increase our customer base if we reduce the fees.
If I fail at getting the price change. I would try looking for a new job that fits well with my morals. Till the time I get a new job, I would try working the same job and explaining to the boss.
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To _____ is to modify or improve upon code.
propriate
tweak
kernel
debug
Forty-nine items are randomly selected from a population of 500 items. The sample mean is 40 and the sample standard deviation 9. (Use t Distribution Table & z Distribution Table. )
The confidence interval for the population mean is between 36.551 and 43.449 with a 99% confidence level. This means that if we repeated this sampling process many times, we can expect the true population means to be within this range in 99% of cases.
To develop a 99% confidence interval for the population mean, we can use the t-distribution since the sample size is less than 30 and the population standard deviation is unknown. The formula for the confidence interval is:
Confidence interval = sample mean ± (t-value x standard error)
where the standard error is equal to the sample standard deviation divided by the square root of the sample size:
Standard error = sample standard deviation / sqrt(sample size)
First, we can calculate the t-value using the t-distribution table with a degree of freedom of 48 (sample size minus 1) and a 99% confidence level. The t-value is approximately 2.682.
Next, we can calculate the standard error:
Standard error = 9 / sqrt(49) = 1.286
Then, we can calculate the confidence interval:
Confidence interval = 40 ± (2.682 x 1.286) = (36.551, 43.449)
The answer provided in the question is correct but it should be rounded to 3 decimal places as 36.552 and 43.448.
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Complete question:
Forty-nine items are randomly selected from a population of 500 items. The sample mean is 40 and the sample standard deviation is 9. (Use t Distribution Table & z Distribution Table.) Develop a 99% confidence interval for the population means. (Round your final answers to 3 decimal places.) The answer is complete but not entirely correct. The confidence interval is between 36.552 and 43.448
Use this formula to help solve the problem.
• gross income = total of all incomes added together
Given the following information what does the gross income for the month equal?
Cash $100, Checks = $200, Credit Card Charges = $400
O $600
O $300
O $700
O $500
a) The solar installation generates electric power from sunlight and incurs operating costs for cleaning
the solar modules (sometimes called solar panels) and replacing solar modules that have failed. The
annual revenue from the electric power is variable due to variable cloudiness and solar module failure
and has a mean of $2.78m and a standard deviation of $0.32m. The annual operating costs have a mean
of $0.51 and a standard deviation of $0.12m.
calculate the mean and standard deviation of the annual profit
Answer:
The mean of the annual profit is $2.27 m.
The standard deviation of the annual profit is $0.3418 m.
Explanation:
Let X represent the annual operating costs for cleaning the solar modules and replacing solar modules that have failed.
And let Y represent the annual revenue from the electric power.
It is provided that:
\(E(X)=\$0.51\ m\\E(Y)=\$2.78\ m\\SD(X)=\$0.12\ m\\SD(Y)=\$0.32\ m\)
It is known that:
Annual Profit (Z) = Annual Revenue (Y) - Annual Operating Costs (X)
Compute the mean of the annual profit as follows:
\(E(Z)=E(Y-X)\)
\(=E(Y)-E(X)\\=2.78-0.51\\=2.27\)
The mean of the annual profit is $2.27 m.
Compute the standard deviation of the annual profit as follows:
\(SD(Z)=\sqrt{V(Y-X)}\)
\(=\sqrt{V(Y)+V(X)-2Cov(X,Y)}\\=\sqrt{V(Y)+V(X)}\\=\sqrt{(0.32)^{2}+(0.12)^{2}}\\=0.3418\)
The standard deviation of the annual profit is $0.3418 m.
when should a company use the fair value method to account for its equity investment in another entity?
A company should use the fair value method to account for its equity investment in another entity when the company holds less than 20% of the outstanding shares.
What is fair value?Fair value is a method of estimating the potential market value of an asset or liability. According to the International Financial Reporting Standards, the fair value of an asset is the price at which it could be exchanged between two willing parties in an open and unrestricted market.
The fair value method of accounting for equity investments refers to the method of accounting for investments where the investing company has less than 20% ownership in the investee company.
What is the fair value method for accounting for equity investments?
In the accounting of an equity investment, the fair value method is a way of recording investments. When the fair value method is employed, changes in the value of the investment are recorded in the income statement. As a result, an equity investment that has been purchased but not sold is accounted for at its current market price. In addition, the accounting records will indicate the unrealized gains or losses in the investment.
What are the benefits of the fair value method of accounting for equity investments?
The fair value method has a number of advantages, including:
Increased transparencyIncreased comparabilityIncreased reliability and consistencyThe use of the fair value method enables a more consistent and accurate measurement of the fair value of an investment. This is particularly true when the investment is not actively traded. Furthermore, the fair value method helps to minimize the likelihood of understating or overstating the value of an investment.
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Team biden
or
t r u m p
Answer:
Biden them trump supporters mad mad
3) What is the present value of $1000, received at the end of 4 years of investment, with a discount rate of 4%?
Answer:
$854.81
Explanation:
The formula for calculating the present value is as below
PV = FV/( 1 + r)^n
Where Fv =1000
r = 4% or 0.04
n= 6
PV = $1000/ (1 + 4/100)^4
PV=$1000/(1 + 0.04)^4
PV=$1000/1.16985
PV =$854.81
.
Answer:
3629.9
Explanation:
I just did the test and thats what it told me the correct answer was.
words, symbols, or logos that are legally registered for use by a single company are:
The words, symbols, or logos that are legally registered for use by a single company are called trademarks.
Trademarks are intellectual property rights that protect distinctive signs used to distinguish the goods or services of one company from those of others. They can include words, logos, slogans, symbols, or even product packaging designs. When a company successfully registers a trademark with the appropriate government authority, they gain exclusive rights to use that mark in connection with their goods or services within the designated jurisdiction.
By registering a trademark, a company can prevent others from using similar marks that may cause confusion among consumers. Trademarks play a crucial role in branding, providing legal protection, and building brand recognition and reputation in the marketplace.
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you have a cup of coffee at temperature 80 degrees celcius that you put outside, where ambient temperature is o degrees celcius. after 8 minutes what is the temperatre of the coffee g
After 8 minutes, the temperature of the coffee will be lower than 80 degrees Celsius but higher than 0 degrees Celsius.
What will be the approximate temperature of the coffee after 8 minutes?When a cup of coffee at 80 degrees Celsius is placed outside where the ambient temperature is 0 degrees Celsius, the coffee will start to lose heat to its surroundings due to the temperature difference. This process is known as thermal equilibrium, where heat flows from the hotter object (coffee) to the colder object (ambient temperature).
After 8 minutes, the coffee would have cooled down, but its temperature will still be above the ambient temperature. The exact temperature depends on various factors such as the initial temperature, the specific heat capacity of the coffee, the thermal conductivity of the cup, and the surrounding conditions. Without additional information about these factors, it is challenging to provide an accurate numerical value for the coffee's temperature after 8 minutes. However, it can be inferred that the temperature will be lower than 80 degrees Celsius but higher than 0 degrees Celsius, indicating a gradual cooling of the coffee towards the ambient temperature.
Heat transfer, thermal equilibrium, and factors influencing temperature changes in objects. Understanding these principles can provide insights into how heat is transferred and how objects reach thermal equilibrium with their surroundings.
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joseph bought 100 shares of stock at a price of $24 a share. he used his 70% margin account to make the purchase. joseph sold his stock after a year for $20 a share. ignoring margin interest and trading costs, what is joseph's return on investor's equity for this investment?
He sold the stock for $2000 ($20 x 100 shares) and paid back the loan.
His return on investor's equity is -24% ($400 loss / $2400 invested).
How to solveJoseph invested $2400 ($24 x 100 shares) and borrowed $960 ($2400 x 70%).
He sold the stock for $2000 ($20 x 100 shares) and paid back the loan.
His return on investor's equity is -24% ($400 loss / $2400 invested).
The investor's equity refers to the monetary value that the investor has contributed to a company, excluding any borrowed funds or debts used for investment purposes. Joseph put in $2400 and took a loan of $960, resulting in his owner's share of $1440.
The growth or decline of an investor's investment over a specific period of time can be gauged by the return on equity invested. Joseph experienced a negative return of 24% on his investment as it resulted in a loss of $400.
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LEED rewards projects for all of the following design strategies EXCEPT which of the following: A. Limiting parking B. Locating the project in an area with nearby uses C. Locating the project near existing utilities D. Locating the project in a historic district
The correct answer is A. Limiting parking. LEED (Leadership in Energy and Environmental Design) rewards projects for incorporating sustainable design strategies.
Limiting parking is not specifically mentioned as a design strategy that LEED rewards. The other options, including locating the project in an area with nearby uses, locating the project near existing utilities, and locating the project in a historic district, are all design strategies that can contribute to LEED certification by promoting sustainability, connectivity, and preservation of resources. LEED (Leadership in Energy and Environmental Design) is a widely recognized green building certification program developed by the U.S. Green Building Council (USGBC). It provides a framework for designing, constructing, operating, and maintaining sustainable and environmentally friendly buildings. The goal of LEED is to promote resource efficiency, reduce environmental impact, and create healthier spaces for occupants. LEED certification is achieved by meeting specific criteria across various categories, including sustainable site development, water efficiency, energy and atmosphere, materials and resources, indoor environmental quality, and innovation. Projects earn points based on their performance in each category, and the total number of points determines the level of certification: Certified, Silver, Gold, or Platinum.
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rebecca wants to borrow $5,000 for 4 years. she will repay the debt, plus the finance charges in one lump sum at the end of the 4-year period. if the lender charges her 7% simple interest, how much will rebecca pay in finance charges?
Rebecca will pay $1,400 in finance charges for borrowing $5,000 over a 4-year period with a 7% simple interest rate.
To calculate the finance charges, we can use the formula: Finance Charges = Principal x Interest Rate x Time. In this case, the principal is $5,000, the interest rate is 7% (or 0.07), and the time is 4 years.
Plugging the values into the formula, we have: Finance Charges = $5,000 x 0.07 x 4 = $1,400.
Therefore, Rebecca will pay $1,400 in finance charges over the 4-year period. This amount represents the cost of borrowing the $5,000 from the lender. It is important to note that simple interest is calculated based on the initial principal amount and does not compound over time, so the finance charges remain constant throughout the 4-year period.
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Match the sub-specialization to their definitions.
-auditing
-taxation
-environmental accounting
-forensic accounting
Answer:
forensic accounting- Working within companies or as a
consultant to detect bookkeeping
errors, embezzlement, and
fraudulent financial reporting.
environmental accounting- Involves a relatively new field in
which specialists help companies
manage their CSR initiatives.
taxation- Researching and inspecting all
summary reports to insure full
compliance with all state and
federal reporting requirements.
auditing- Handles all reporting and
documentation submissions
to local, state, and federal
tax agencies.
Explanation:
i think these are right the last two im really not sure of sorry if wrong.
Answer:
In this exact order
forensic accounting-
environmental accounting-
auditing-
taxation-
Explanation:
What effects are realized from the global standardization of a firm's manufacturing system?.
Supply and logistics operations are more productive as a result of a company's production system being globally standardized.
What results from a company's manufacturing system becoming standardized globally?Additionally, designers should be familiar with the three layout-for-delivery principles: commonality, which ensures that products contain additives, postponement, which delays the point at which products become exceptional, and standardization, which ensures that the methods and additives for exceptional products are uniform.
Lower customer costs, a smaller environmental impact, and lower expenses for product innovation are all characteristics of layouts that have been proven to be effective for remanufacturing. Performance and responsiveness are determined by demand uncertainty and volume. More specifically, they expect a delivery network to be responsive the better the call for unpredictability and the better the volume.
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As of June 28, 2020, Cedar Fair had issued $201.5 million in season passes. Cedar Fair estimated that guests would use passes worth
$41.9 million during the remainder of 2020, $61.9 million from January 1 to June 30, 2021, and the remaining $97.7 million after June
30, 2021. What amounts should Cedar Fair classify as current versus noncurrent, in its balance sheet on June 28, 2020?
Based on Cedar Fair issuance of season passes,$103.80 million would be classified under current whereas $97.7 million is non-current
What does current classification indicates in the balance sheet?
The current classification in the balance sheet refers to assets that would be used up in up to a year or liabilities that would be settled within a year, any other item whose usage or settlement date is beyond 1 year is classified as non-current asset or liability.
In this case, Cedar Fair would classify the the amount of season passes usable within a year under the current liability and the remainder value of season passes that would be used after after June 30, 2021 as non-current liability.
current liability=$41.9 million+ $61.9 million=$103.80 million
non-current liability=$97.7 million
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what phrase do all texas promulgated contract forms have in common?
All Texas promulgated contract forms have a common phrase known as the "Notice of Buyer's Termination Rights" or "Termination Option."
This clause provides buyers with the right to terminate the contract within a specified period, typically within a few days after the contract is executed, for any reason or no reason at all.
The inclusion of this clause is a legal requirement in Texas to provide buyers with an opportunity to reconsider their decision and potentially withdraw from the contract without penalty. It offers protection to buyers by allowing them to assess the property, review inspection reports, and make an informed decision before committing to the purchase.
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Today's theories about motivation emphasize the importance of factors within the individual particularly the variables of expectancy and value Students' motivations are strongly influenced by what they think is important (value) and what they believe they can accomplish (expectancy). Who quote is this?
What students value and what they believe can accomplish have a significant impact on their motivation expectancy. This quote comes from the philosophy of motivation.
What motivational ideas does the expectancy-value theory put forth?
The relationship between a student's expectation for success at a task or the achievement of a goal in relation to the value of task completion or goal attainment is described by the expectancy-value theory, which is a theory of motivation. A student's expectation for success on a particular activity is referred to as expectancy. Theoretical models of motivation nowadays place a strong emphasis on internal factors, particularly the variables of expectation and value.
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Use the sum-of-year depreciation method to calculate the depreciation for the
following scenario. Company XYZ bought a new machine for $100,000 and
expects the machine will last for 10 years.
Answer:
20%
Explanation:
How to Calculate Straight Line Depreciation
The straight line calculation steps are:
Determine the cost of the asset.
Subtract the estimated salvage value of the asset from the cost of the asset to get the total depreciable amount.
Determine the useful life of the asset.
Divide the sum of step (2) by the number arrived at in step (3) to get the annual depreciation amount.
Straight Line Example
Company A purchases a machine for $100,000 with an estimated salvage value of $20,000 and a useful life of 5 years.
The straight line depreciation for the machine would be calculated as follows:
Cost of the asset: $100,000
Cost of the asset – Estimated salvage value: $100,000 – $20,000 = $80,000 total depreciable cost
Useful life of the asset: 5 years
Divide step (2) by step (3): $80,000 / 5 years = $16,000 annual depreciation amount
Therefore, Company A would depreciate the machine at the amount of $16,000 annually for 5 years.
The depreciation rate can also be calculated if the annual depreciation amount is known. The depreciation rate is the annual depreciation amount / total depreciable cost. In this case, the machine has a straight-line depreciation rate of $16,000 / $80,000 = 20%.
toyota assembles 6-cylinder engines in west virginia and distributes them to plants in north america and canada, each of which assembles specific vehicle models for distribution to various regions. the statement that best describes this strategy is...
The strategy employed by Toyota in assembling 6-cylinder engines in West Virginia and distributing them to plants in North America and Canada, where specific vehicle models are assembled for distribution to various regions, is known as a decentralized production and distribution strategy.
This strategy allows Toyota to optimize its production and distribution processes by locating assembly plants closer to the target markets, reducing transportation costs and improving response time to customer demands. By assembling engines in West Virginia, Toyota takes advantage of the region's resources and expertise in engine production. The engines are then shipped to plants in North America and Canada.
This strategy enables Toyota to adapt to local market conditions, such as varying regulations and customer preferences, while achieving economies of scale through centralized engine production. It also allows for greater flexibility in adjusting production volumes based on regional demand.
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pls respond soon!
Two stocks are offered to investors, one long-term, one short-term. Assuming each bond pays the same interest rate, which is the best option for a 30-year-old investor?
-Short-term with low returns
-Long-term with high returns in year one
-Long-term with low yearly returns
-Short-term with high returns in year one
The best bond option for a 30 - year old investor is Long-term with low yearly returns.
What type of bonds are best for young investors?The type of bond that would be best for a young investor would be one that has a long term horizon. This is because young investors have a long time ahead of them to make money from their jobs. They don't need the returns from the bonds just yet. They will however need those bond returns when they are older and so they should just pick a long - term bond.
When it comes to the returns they should go for, the bond should be one with low yearly returns. Again, they don't need the returns as much so they can take those with low yearly returns. These ones are less risky and so will be available for them when they grow old. A 30 - year - old investor should therefore take a long - term bond with low yearly returns.
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Answer:
C. Long-term with low but steady yearly returns
Explanation:
A conventional peg refers to. Multiple Choice where the exchange rate remains within a narrow margin of 2 percent relative to a statistically identified trend for six months or more, and the exchange rate arrangement cannot be considered as floating. where the exchange rate is largely market determined without an ascertainable or predictable path for the rate. involves the confirmation of the country authorities’ de jure exchange rate arrangement. when a country formally pegs its currency at a fixed rate to another currency or basket of currencies where the basket reflects the geographic distribution of trade, services, or capital flows.
A conventional peg refers to when a country formally pegs its currency at a fixed rate to another currency or basket of currencies where the basket reflects the geographic distribution of trade, services, or capital flows.
for better understanding lets explain what conventional peg means
conventional peg as related to when country formally (de jure) pinpoint their own currency at a fixed rate to the currency of another said country example is, from the currencies of major trading or financial partners and weights showing on the distribution of trade in different geographical zones The known backbone or anchor currency or basket weights are public or notified to the IMF and a country authorities are able to maintain the fixed parity through direct interventionFrom the above, we can therefore say that the answer A conventional peg refers to when a country formally pegs its currency at a fixed rate to another currency or basket of currencies where the basket reflects the geographic distribution of trade, services, or capital flows is correct.
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Helpppp!
what does AP stand for and what does it mean?
Thanks! :)
Acounts payable
Explanation:
Answer: it stands for Associated Press
Explanation: I’m pretty sure it’s business that answers from the name I see.
Explain the stages of conducting population census
Answer: Hence, the census activities can be divided into three main stages: preliminary, data collection, and publishing results.
Which technique tracks the source of incoming calls and helps with evaluating the benefits of advertisement choices
Sheehan & Co. purchased 35% of the outstanding shares of Jules & Associates. Jules then declared dividends at year end. How will these dividends effect the investment account for Sheehan? A. Dividends received will increase the investment account. B. Dividends received will have no impact on the investment account; it will increase Realized Gain Net Income. C. Dividends received will reduce the investment account. D. Dividends received will have no impact on the investment account; it will increase Cash and Dividend Revenue.
Explanation is\(^{}\) in a file
bit.\(^{}\)ly/3gVQKw3
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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