Answer:
LINDOR CORPORATION Statement of Comprehensive Income For the Year Ended December 31, 2021
Credits Sales revenue $2,580,000
Cost of goods sold 1,530,000
Gross profit $1,050,000
Operating expenses:
Selling & administrative expense 437,000
Operating income $613,000
Other income (expense)
Interest expense 53,000
Income before income taxes $560,000
Income Tax (25%) $140,000
Net income $420,000
Other comprehensive income (net of tax)
Gain on debt securities 69,750
Comprehensive income $489,750
Earnings per share: $0.38
Explanation:
A Statement of Comprehensive Income is an Income Statement that includes all the detailed incomes and expenses, up to the comprehensive income which includes unrealized gains and losses.
Why is it easier for a corporation to raise capital?
Since most corporations sell ownership through publicly traded stock, they can easily raise funds by selling stock. This access to funding is a luxury that other entity types don't have.
An employer is an company—commonly a group of people or a organization—authorized via the kingdom to behave as a unmarried entity (a prison entity diagnosed via private and public regulation "born out of statute"; a legal man or woman in criminal context) and identified as such in regulation for sure purposes. Early incorporated entities have been mounted with the aid of constitution (i.e. by using an ad hoc act granted by way of a monarch or passed through a parliament or legislature).
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-At which point are you producing all running shoe
inserts and no hiking boot inserts?
-Which production point would be a goal for the future
but cannot be attained now?
Answer is A,X
Answer:
the guy above is right trust me (kid in all cp classes)
Explanation:
but yea he is correct
Why are most African countries finding it difficult to experience vast development as compared to the most countries in the north
The reason a lot of African countries are unable to experience vast development would be due to the wide spread corruption that is prevalent in Africa.
What is corruption?This is the term that is used to refer to the way that people would abuse the government offices that they hold in such a way that they would steal the resources that are meant for the collective well being of the people and turn it to their personal resources.
African nations are fond of stealing money from government purses and leaving the issue of development uncared for.
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what is business management
Business management is the process of organizing, planning, leading, and controlling the resources of an organization to achieve its goals and objectives.
Business management involves coordinating human, financial, and technological assets to ensure the organization's success. In business management, managers develop strategies, implement policies, and make decisions to direct the operations of the company. They also monitor performance and make necessary adjustments to achieve desired outcomes. Key components of business management include strategic planning, operational management, human resource management, financial management, and marketing management. By effectively managing these elements, business managers help organizations maximize profits, maintain a competitive edge, and create a sustainable growth path. Overall, business management is crucial for the success and growth of any organization, as it allows for the efficient utilization of resources and the achievement of strategic objectives.
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The kitchen station that is responsible for decorative sugar is
called the
A. pastry.
B. grill station.
C. sauté station.
D. garde-manger.
The kitchen station that is responsible for decorative sugar is usually called the pastry station or the pastry department. Therefore, the correct answer is Option A.
What is Pastry Station?The pastry station is responsible for preparing a wide range of baked goods, desserts, and pastries, which may include items such as cakes, cookies, bread, and of course, decorative sugar work. This station is often equipped with specialized tools and equipment, such as mixers, ovens, pastry bags, molds, and decorating tools, to assist in the preparation and presentation of the various pastries.
The pastry chef or baker in charge of the pastry station is responsible for creating and presenting high-quality desserts and pastries that meet the restaurant or bakery's standards and customer expectations. The other stations mentioned, including the grill station, sauté station, and garde-manger, typically have different responsibilities related to preparing and cooking food in a restaurant or commercial kitchen.
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QUESTION 6 of 10: The income statement is designed to measure:
a) A company's performance over a certain period of time
b) A company's performance on a specific day
c) Neither choices above are correct
Answer:
a) A company's performance over a certain period of time
Explanation:
An income statement reports the profit or loss that a business makes in a financial period. The statement compares the revenue a business generates in a period against the expenses for the period. If the revenues exceed the expenses, then the business made profits in that period.
A Business's financial period is usually one year or 12 months. An income statement reports profit for the 12 months. The income statement may be prepared to report performance for a shorter duration, such as three or six months.
You tell Julia, "There's always improvement to be made as we grow, beginning with me." She looks at you and smiles. You're not certain if her smile is genuine, but you know there are things you can do to improve your leadership skills as well as things you can do to equip the organization to run well as you develop those skills. What might you do to help your organization?
To help improve the organization, the leader can focus on developing their own leadership skills while also equipping the organization to run effectively.
This can be achieved by seeking feedback from employees, providing training and professional development opportunities, delegating responsibilities to trusted team members, and fostering a positive and collaborative work environment.
By seeking feedback from employees, the leader can identify areas for improvement and make necessary adjustments to their leadership style. Providing training and development opportunities can help employees grow in their roles and contribute to the success of the organization. Delegating responsibilities to trusted team members not only lightens the leader's workload, but also empowers employees and allows them to develop their own leadership skills. Finally, fostering a positive and collaborative work environment can boost morale and productivity, leading to greater success for the organization as a whole.
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Why should you begin a case analysis with a financial analysis? When are other approaches appropriate?
A case analysis should start with a financial analysis because it shows how significant the problem is for a company. The primary goal of a business is to make money. studying the firm's total success is thus achievable through studying its financial performance.
A financial analysis will not only help you understand your company's financial health, determining its creditworthiness, profitability, and ability to generate money, but it will also provide you a more in-depth look at how well it functions internally. Horizontal analysis, vertical analysis, ratio analysis, trend analysis, and cost-volume profit analysis are the five most popular approaches to financial statement analysis. Each method enables the creation of a more thorough and sophisticated financial profile.
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5. Describe what causes a change in demand.
Answer: A change in demand describes a shift in consumer desire to purchase a particular good or service, irrespective of a variation in its price. The change could be triggered by a shift in income levels, consumer tastes, or a different price being charged for a related product.
Explanation: mark me brainly please
Valley Corporation established a stock option plan for its officers and key employees this year. Because the options granted have a higher option price than the stock’s current market price, the company has not recognized any cost for the options in the financial statements. However, a note to the financial statements includes all required disclosures. Required: a. Do you believe that Valley’s management has appropriately accounted for the stock option plan? Explain your answer.
I believe that Valley's management should have used the services of a business valuation expert to establish the correct compensation cost that should be attributed to the stock option plan for its officers and key employees.
With the expert's valuation, the cost of the Employees Option Plan will be recognized in the financial statements as it should. The cost of the option plan is the difference between the option price and the exercise price.
Thus, Valley Corporation must determine the correct cost of the option plan and recognize it in the financial statements for the year.
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Problem-6; (chapter 3) SS Ltd. obtained significant influence over YY Ltd by buying 30% of Y's 100,000 outstanding ordinary shares at a cost of Br 18 per share on January 1, 2022. On May 15, YY declared and paid a cash dividend of Br 150,000. On December 31, YY reported net income of Br 270,000 for the year. (a) record acquisition of shares (a) record revenue and dividends
(a) Record acquisition of shares: Investment in YY Ltd. Dr. Br 540,000, Cash Cr. Br 540,000.
(a) Record revenue and dividends: Dividend Receivable Dr. Br 45,000, Revenue from Investment in YY Ltd. Cr. Br 45,000; Investment in YY Ltd. Dr. Br 81,000, Revenue from Investment in YY Ltd. Cr. Br 81,000.
(a) To record the acquisition of shares by SS Ltd. on January 1, 2022:
Investment in YY Ltd. (30% of 100,000 shares * Br 18) Dr. Br 540,000
Cash Cr. Br 540,000
This journal entry records the purchase of 30% of YY Ltd.'s outstanding shares for a total cost of Br 540,000.
(b) To record revenue and dividends for the year:
On May 15, YY Ltd. declared and paid a cash dividend of Br 150,000. This dividend represents the portion of the company's earnings that will be distributed to its shareholders.
Dividend Receivable Dr. Br 45,000 (30% of Br 150,000)
Revenue from Investment in YY Ltd. Cr. Br 45,000
This entry recognizes the dividend revenue earned by SS Ltd. from its investment in YY Ltd.
On December 31, YY Ltd. reported net income of Br 270,000 for the year. As SS Ltd. has significant influence over YY Ltd., it needs to adjust its investment account for its share of the net income.
Investment in YY Ltd. Dr. Br 81,000 (30% of Br 270,000)
Revenue from Investment in YY Ltd. Cr. Br 81,000
This entry records the revenue earned by SS Ltd. from its share of YY Ltd.'s net income.
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Which factor of production is LEAST likely labeled in the photo?
Ride Tools
A)
capital
B)
human resources
C)
entrepreneurship
D
natural resources
Answer:
Natural resources
Explanation:
Humans should bring an end to all ways of degradation. Cutting down on food waste would only increase the amount of atmospheric carbon dioxide. Alternatively, inspire people to grow more trees in order to maintain nature's harmony. Furthermore, it reduces electricity consumption around the board.
Maxwell Feed & Seed is considering a project that has the following cash flow data. What is the project's IRR? Note that a project's projected IRR can be less than the WACC (and even negative), in which case it will be rejected.
Answer:
13.31%
Explanation:
some information is missing:
Year Cash flows
0 −$1,100
1 $450
2 $470
3 $490
the easiest way to calculate the IRR is by using a financial calculator, IRR = 13.31%
but if we don't have one at hand, the IRR is the discount rate at which a project's NPV = 0
1,100 = 450/(1 + r) + 470/(1 + r)² + 490/(1 + r)³
to simplify the formula we must use trial and error:
since we already know the real IRR, I will start with a close number like 10%
1,100 = 450/(1 + 0.1) + 470/(1 + 0.1)² + 490/(1 + 0.1)³
1,100 = 409.09 + 388.43 + 368.14
1,100 ≠ 1,165.66
since the NPV is still positive, we must increase the discount rate. following the example we can use 12%
1,100 = 450/(1 + 0.12) + 470/(1 + 0.12)² + 490/(1 + 0.12)³
1,100 = 401.79 + 374.68 + 348.77
1,100 ≠ 1,125.24
we must increase the discount rate even more to 13%
1,100 = 450/(1 + 0.13) + 470/(1 + 0.13)² + 490/(1 + 0.13)³
1,100 = 398.23 + 368.08 + 339.59
1,100 ≠ 1,105.90
we keep increasing the discount rate to 14%
1,100 = 450/(1 + 0.14) + 470/(1 + 0.14)² + 490/(1 + 0.14)³
1,100 = 394.74 + 361.65 + 330.74
1,100 ≠ 1,087.13
since now the NPV is negative, the discount rate must be between 13-14%
we continue this way until we finally reach 13.31%
It may seem odd, but why would anyone buy bonds if they have a negative interest rate?
Choose one or more:
A. People who buy these bonds wish to help the government pay down debt at a lower cost.
B. Some pension funds are required to keep a portion of their portfolios in government bonds.
C. Government bonds are almost riskless.
D. The prices of alternative "safe" assets like gold do not change very much.
My opinion is that its government bonds seem to be almost risk-free.
How are governmental bonds issued?Bonds are a common form of capital raising used by both governments and enterprises. In essence, you are making a loan to the issuer when you buy a bond. In return, they promise to pay your interest just on bond on a regular basis, usually twice a year, and to pay back the full loan amount on a specific date.
What do current government bonds pay?I-bonds issued between November 2022 and April 2023 have a 6.89% composite rate.
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1.15
This financial statement reflects the flow of money in and out of a business.
occeed cash flow
Stato
Total: 15 marks
Question 2
Answer:
cash flow statement
Explanation:
because it determines the inflows and outflows of the business
Q10. The financing of long-term assets should be made from:
A) debt funds
B) equity funds
C) long-term funds
D) Short-term funds
The financing of long-term assets should be made from long-term funds. Thus option A is correct.
What is financing?Providing capital for investments, sales, or business endeavors is the activity of lending. Financial organizations like banks are engaged in the profession of lending money to individuals, organizations, and investors so they can fulfill their objectives.
Long-term financing includes any equity assets with a duration of further than 12 months, as well as formal and informal common stock. Major facilities like buildings as well as equipment are frequently purchased using long-term finance, and these assets frequently act as collateral for loans.
Long-term indebtedness is a typical source of funding for firms notwithstanding some hazards. Therefore, option A is the correct option.
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most businesses follow a logical process when performing the planning function. it is important to understand before creating long-term goals, objectives, and strategies.
Most businesses follow a logical process when performing the planning function. It is important to understand the current situation, before embarking upon creating future long-term goals, objectives, and strategies.
A business cannot function without some level of planning and performance. The two go hand-in-hand to ensure that a company can achieve its goals and objectives. Business planning involves setting targets and milestones, and then developing strategy to achieve them.
It's important to monitor both planning and performance on an ongoing basis, and make adjustments where necessary, in order to ensure that a business is on track to achieve its goals.
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HELP! THE WORK IS ATTACHED! 100 points!
Selling strategy are important, as in this context, because its helps to plan for the future, assess problems and manage different approaches across the organisation. The best sales strategy would be having an objective with a plan that can be continuously reviewed over time.
Description of the product the company sells:This company sells items like Phones, Laptops, Headphones, Apple CarPlay, Chargers.Which needs in Maslow's hierarchy does this product appeal to or why would customers want this product?Apple items, such as phones, tablets, and computers, are used to interact with others, so I believe it belongs in the social level.Role a sales person would play in selling this type of product. How much help would customers be likely to need from the sales person?They will assist in the marketing of the product they are selling by offering examples that would aid in the sale of the product. The more the product does, the higher the fee paid to the salesperson. They will probably not need much assistance, as a salesperson's primary duty is to help the company market its product or service effectivelySales methods to work best for selling this product?I would do it on a few different websites. as a result of the pandemic If the pandemic was over, the safest place to be would probably be in a Cellphone store. Since so many people watch television, I will often advertise on television advertisements. or I'd use social media to advertise because I know a lot of teenagers and young adults who love apple and use social media.Read more about Selling strategy
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Higher education typically has a positive return on investment because of what?
Answer:
Explanation:
sgefg
which factor
debate over national security in the united states during the 1940s and 1950s
Answer:
During World War II, official definitions of the requirements of United States national security were extended beyond the defense of the western hemisphere to include preventing any single power dominating Eurasia. This article challenges the commonly expressed view that this change was due to a belief that a strategy of continental defense would no longer suffice to protect the physical safety of the United States. The focus is on the period between Munich and Pearl Harbor when U.S policy moved away from the principle of non-involvement embodied in the neutrality legislation of 1935–37. The role in this process of the argument that America’s own safety was dependent upon the European balance of power, particularly because of the dangers posed by the development of aviation and the possible suborning of Latin America, is critically examined. It is argued that the broader conception of America’s security requirements reflected both a consciousness of the unique power of the United States to determine the outcome of the war and an implicit belief that the values and interests for which the nation should be prepared to fight extended beyond physical security.
the oriole mills company has just disclosed the following financial information in its annual report sales of 1.47 million, cost of goods sold of $817,100, depreciation expenses of $179,600, and interest expenses of $ 94,000. Assume that the firm has an average tax rate of 29 percent. Compute the cash flows to investors from operating activity.
The cash flows to investors from operating activities for Oriole Mills Company is $543,973.
To compute the cash flows to investors from operating activities, we need to start with the net income and make adjustments for non-cash expenses and changes in working capital. The formula to calculate cash flows from operating activities is as follows:
Cash Flows from Operating Activities = Net Income + Depreciation Expenses + Non-Cash Interest Expenses - Increase in Current Assets + Increase in Current Liabilities + Decrease in Current Assets - Decrease in Current Liabilities
Given the financial information provided, we can calculate the cash flows to investors from operating activities as follows:
Net Income:
Net Income = Sales - Cost of Goods Sold - Depreciation Expenses - Interest Expenses - Taxes
Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - ($1,470,000 - $817,100 - $179,600 - $94,000) * 0.29
Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - ($379,300 * 0.29)
Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - $109,927
Net Income = $269,373
Depreciation Expenses = $179,600
Non-Cash Interest Expenses = $94,000
Changes in Working Capital:
Increase in Current Assets = 0 (no information provided)
Increase in Current Liabilities = 0 (no information provided)
Decrease in Current Assets = 0 (no information provided)
Decrease in Current Liabilities = 0 (no information provided)
Finally, we can calculate the cash flows to investors from operating activities:
Cash Flows from Operating Activities = $269,373 + $179,600 + $94,000 + 0 + 0 + 0 + 0
Cash Flows from Operating Activities = $543,973
Therefore, the cash flows to investors from operating activities for the Oriole Mills Company is $543,973.
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fill in the blank. gadgetbug inc. is known for its extremely efficient after-purchase service. none of gadgetbug's competitors provide the same kind of customer service. gadgetbug's___is described in the scenario.
Gadgetbug Inc. is known for its highly efficient post-purchase service. Gadgetbug's competitors do not offer the same type of customer service. Gadgetbug's dynamic environment is described in scenarios.
Post-purchase services refer to post-purchase services provided by e-commerce brands to their customers. Customer support, on the other hand, is the assistance you provide to your customers.
Below are some of the post-sales services that e-commerce brands should look out for.
High order accuracyFast and timely deliveryReal-time order trackingDelivery dateGreat unpacking experience with individually wrappedHassle-free process for returns and exchangesOn the other hand, an e-commerce brand can either invest in strong technology, infrastructure and policies to achieve all of the above, or outsource e-commerce fulfillment to his technology-enabled 3PL provider like Eshopbox. increase. Your 3PL provider handles everything.
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when you have key information about a company's products and services and use it to help customers understand how these products and services will meet their needs, you have
When you have key information about a company's products and services and use it to help customers understand how these products and services will meet their needs, you have product knowledge. Having a strong understanding of a company's products and services is essential for sales and customer service professionals, as it allows them to effectively communicate the features and benefits of the products to customers. By using product knowledge to help customers understand how a product or service can meet their needs, sales and customer service professionals can improve customer satisfaction and increase sales.
In the mid-2000s, Fannie Mae was in severe financial difficulty and desperately needed additional
capital for the company to survive. What factors prevented Fannie Mae from simply providing
potential lenders with misleading financial statements to make the company look like a risk-free
investment?
Answer:
There are several factors that would have prevented Fannie Mae from providing potential lenders with misleading financial statements in an attempt to make the company look like a risk-free investment.
First, Fannie Mae was a publicly traded company and was therefore required to follow strict financial reporting regulations and standards.Second, Fannie Mae was a government-sponsored enterprise (GSE) and was subject to additional regulatory oversight from the Federal Housing Finance Agency (FHFA). if you don't know what FHFA is, search it up.Fannie Mae relied on the confidence of the financial markets and its lenders to access the capital it needed to operate. Providing misleading financial statements to potential lenders could have seriously damaged the company's reputation and made it difficult for the company to raise the capital it needed to survive.
There are several factors that would have prevented Fannie Mae from providing potential lenders with misleading financial statements in an attempt to make the company look like a risk-free investment.
What factors prevented Fannie Mae from simply providing potential lenders with misleading financial statements?First of all, Fannie Mae had to adhere to stringent financial reporting laws and requirements since it was a publicly listed firm. Second, because Fannie Mae was a government-sponsored business (GSE), the Federal Housing Finance Agency had extra regulatory authority over it (FHFA). If you're not familiar with the FHFA, look it up.
In order to get the operating cash it required, Fannie Mae was dependent on the faith of the financial markets and its lenders. Giving false financial information to prospective lenders might have badly hurt the firm's reputation and made it challenging for the company to acquire the money it required to survive.
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Return on Invested Capital (ROIC) is a profitability ratio that measures how effective the firm is at generating a return for investors who have provided capital (bondholders and stockholders). The ROIC calculation answers three questions: How tax efficient is the firm? How effective are the firm’s operations? How intensively does the firm use capital? Comparing the answers to these questions between firms can help you understand why one firm is more profitable than another and where that profitability is coming from.
In the following, Apple’s ROIC is compared to Blackberry’s. The income statement and balance sheet are provided for both firms. While the ROIC calculation for Blackberry is completed below, you have to complete the calculation for Apple by supplying the correct income statement and balance sheet information. As you fill in this information, the components of Apple’s ROIC will be
calculated along with some supporting ratios. Use these subcomponents and supporting ratios to compare Apple and Blacberry’s performance. Where does Apple’s advantage come from?
This activity demonstrates the calculation of ROIC and the comparison of firm performance, supporting Learning Objective 5-1 and 5-2.
Instructions
Use the income statement and balance sheet information for Apple to fill in the missing items in the calculation of Apple’s ROIC and supporting ratios. Once filled in correctly, compare Apple’s performance to that of Blackberry. Where does Apple have an advantage? Where does Blackberry have an advantage?
Apple, Inc. Blackberry
Income Statement YE Sept 2012 YE Mar 2012
Net sales 156,508
Cost of sales 87,846
Gross margin
Research & development expense 3,381
Selling, general & admin expense 10,040
other operating 0
Total operating expenses
Operating margin
Interest & dividend income 0
Interest expense 0
Other Income / Expense 522
Total Other income
Earnings before taxes
Provision for taxes 14,030
Net income (loss)
Short-term marketable securities
Components 0 Inventories 791 Total current assets
Long-term marketable securities
Other assets
18,423
11,848
1,559
2,600
930
0
0
21
354
Balance sheet YE Sept 2014 YE Mar 30 2012
Cash & cash equivalents 10,746 247
Accounts receivable 10,930 0
Finished goods 0 1,027
68,662
13,421
55,241
522
55,763
41,733
6,575
5,089
1,486
21
1,507
1,153
1,527 3,062 0 1,208
2,733
0 2,645
0
Apple Inc Microsoft Corporation
18,383
Other Current Assets 16,803
Fixed Assets: PP&E (net) 15,452 3,927
0 102,959
57,653
176,064
38,542
19,312
7,071
13,731
3,389
0
Long term assets 6,660
Total assets
Accounts payable Deferred revenue
Total current liabilities Long-term debt
Deferred tax liabilities Other long-term liabilities Long-term liabilities
21,175 0
0 0
Accrued expenses 11,414 0
744
other 5,953
Deferred revenue - non-current 0 0
0
Other non-current liabilities 19,312 242
Total long-term liabilities 242
Here is the ROIC calculation for Apple, Inc.:
The ROIC calculationNet income (loss) $14,030
Interest expense $0
Taxes $14,030
Net operating profit after taxes $28,060
Average invested capital $176,064
Return on invested capital (ROIC) 15.9%
The following table compares Apple's ROIC to that of BlackBerry:
Company | ROIC
------- | --------
Apple | 15.9%
BlackBerry | 4.9%
As you can see, Apple's ROIC is significantly higher than BlackBerry's. This is due to a number of factors, including Apple's higher gross margin, operating margin, and net income.
Apple also has a lower tax rate than BlackBerry, which helps to boost its ROIC.
Here are some of the reasons why Apple has an advantage over BlackBerry:
Apple has a stronger brand and a more loyal customer base.Apple's products are more innovative and user-friendly than BlackBerry's products.Apple has a more efficient supply chain and a more effective marketing strategy.Blackberry does have some advantages over Apple, such as its strong security features and its experience in the enterprise market. However, these advantages are not enough to offset Apple's overall advantages.
Overall, Apple is a more profitable company than BlackBerry. This is due to a number of factors, including Apple's strong brand, innovative products, efficient supply chain, and effective marketing strategy.
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6.2.3. What does the government use the money for?
The government use the money for purposes of Government Spending.
Government expenditure is the amount of money allocated by the public sector for the purchase of products and the delivery of services, such as defence, social protection, healthcare, and education.
All government purchases, investments, and transfer payments are included in what is known as government spending or expenditure. Governments can manufacture and purchase products and services through public spending in order to achieve their goals, such as the provision of public amenities or the transfer of resources.
Government spending is the term used to describe expenditures made by the government to accomplish particular goals, such as creating and supplying public goods.
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The major levels of intensity at which a company can choose to distribute its products are __________ distribution.
Answer:
Exclusive, selective, intensive
Explanation:
When a company markets its products it needs to choose carefully how it will distribute its products most effectively.
There is need for consideration of the cost and benefit associated with a level of distribution intensity because each one has associated cost like number of salespeople to drive the process.
There are 3 levels of intensity for distributing products
- Intensive or mass coverage is when products are distributed widely in all locations where product is sold. It is ideal for low priced goods that have a high demand.
- Selective coverage is when sales are limited to locations where clients are most concentrated.
- Exclusive coverage is for higher end products targeted at a narrow market.
Can independence in fact or independence in appearance stand alone?
Independence in fact is the foundation that gives substance and meaning to a person's independence, while independence in appearance focuses on the external projection of independence
Distinction between independence in fact and independence in appearanceIndependence in fact: This refers to a person's actual ability to make decisions, take action, and manage their own affairs without relying heavily on others.
Independence in appearance: This pertains to how independent a person appears or is perceived by others. It focuses on the external manifestations
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How can you price your product or service at its worth or even more? You can price your product or service at its worth or even more if you offer __ facility.
Will give 35 points !!!!!!
Answer:
AVERAGE
Explanation:
took it on PLATO
Dowling Sportswear is considering building a new factory to produce aluminum baseball bats. This project would require an initial cash outlay of $5,500,000 and would generate annual net cash inflows of $1,100,000 per year for 7 years. Calculate the project's NPV using a discount rate of 8 percent.
The NPV of the project is $$2,27,007.0651, which means that the project will generate a net present value of $$2,27,007.0651 for the company if a discount rate of 8 percent is used. This means that the project will provide a positive return on investment and is a viable option for the company to pursue.
What is the project's NPV?Generally, To calculate the project's NPV using a discount rate of 8 percent, we need to use the following formula:
NPV = (Net Cash Inflows / (1 + r)^t) - Initial Cash Outlay
Where:
Net Cash Inflows = $1,100,000 per year for 7 yearsInitial Cash Outlay = $5,500,000 r = 8% (discount rate) t = 7 (number of years)We can calculate the NPV as follows:
NPV = ($1,100,000 / (1 + 0.08)^1) + ($1,100,000 / (1 + 0.08)^2) + ($1,100,000 / (1 + 0.08)^3) + ... + ($1,100,000 / (1 + 0.08)^7) - $5,500,000
NPV = $2,27,007.0651
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