Feasibility analysis is a critical process that assesses the viability of a business idea. The process helps an entrepreneur determine if the idea is viable, and if it can succeed in the market.
The process is also vital in determining the potential success and financial viability of a business idea. To conduct a feasibility analysis, entrepreneurs must analyze the market, competition, financial resources, and other relevant factors. An entrepreneur can use the data gathered to determine if the business idea is feasible and worth pursuing.Feasibility analysis plays an important role in determining whether a business idea is viable or not. The analysis can help entrepreneurs identify the strengths and weaknesses of the idea, and determine if it can succeed in the market. A feasibility analysis can help an entrepreneur identify potential risks, and evaluate if the business idea is worth pursuing.The analysis typically involves assessing the market, competition, and financial resources. The market assessment focuses on the size of the market, the demand for the product or service, and the target customers. The competition assessment focuses on the competition in the market, the strengths and weaknesses of competitors, and the potential barriers to entry.The financial assessment evaluates the financial resources needed to start the business, the potential revenue and profit, and the financial risks involved. A feasibility analysis can help an entrepreneur make an informed decision about whether to pursue a business idea or not.Longer than 100 words:Feasibility analysis is a crucial process in determining whether a business idea is viable. The process assesses the viability and potential success of a business idea. To conduct a feasibility analysis, entrepreneurs must analyze the market, competition, financial resources, and other relevant factors.
The analysis can help entrepreneurs identify potential risks, strengths, and weaknesses of the business idea. Entrepreneurs can also use the data gathered to evaluate the feasibility and financial viability of the business idea. The analysis can help entrepreneurs make an informed decision about whether to pursue the idea or not. A feasibility analysis is a vital tool for entrepreneurs looking to start a business, as it can help them avoid costly mistakes and increase their chances of success.
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Choosing a home can be a very personal matter. Some people care most about the location, while others are most concerned about the size, style, and amenities. What are your top priorities in choosing a home? What do you feel is unimportant in a home? Based on your priorities, what type of house do you think you'd be likely to buy?
Answer:
1:if i have enough money for the purchase.
2:if it suits my personal attributes.
6. Ms. Tint of New York City recently sued Mr. Bloom, also of New York
City. She claimed that he had run into and injured her while he was
jogging. She asked for $50,000 in damages. When she filed her suit in
federal district court, Mr. Bloom's attorney immediately objected on two
grounds. What were they?
10. Which of the following statement is/are true? A. Under basic marketing the sales person simply sells the product B. Under reactive marketing the sales person in addition encourage the buyer to call C. Under partnership marketing the company continuously works with customers to perform better D. All except C E. All of the above
Answer:
D. All except C
Explanation:
A/an ________________________________ is a market assessment tool used by businesses and analysts to understand the competitive dynamics of an industry.
Industry analysis is a market assessment tool used by businesses and analysts to understand the competitive dynamics of an industry.
Industry analysis is the survey analysis of a specific branch that deals with manufacturing, service, and trade. Since, by understanding the industry where a company operates is providing an essential specific framework for the analysis purpose of the individual company which is assessed by, company analysis.
Industry analysis which is assessed for an entrepreneur or a particular company is an intact method that helps to understand the position of a company which is related to other participants existing in the industry.
It helps them for the identification of both the opportunities as well as threats that are coming along their way and will give them a strong idea regarding the present and future scenarios related to the respective industry. This analysis makes an assessment of demand and supply including changes related to technology.
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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 YOUProductivity software has been used for a number of years. recent advancements in productivity software technology have made _____ among multiple users all over the world a possibility. collaboration collaboration calling calling texting texting e-mailing
E-mailing is the software that is developed among multiple users all over the world a possibility.
Given an incomplete sentence related to a productivity software.
We are required to fill the blank to complete the sentence.
We can fill the sentence with e-mailing.
E-mailing can be referred to or considered as a process in which one user over a computer network can send messages or mails to any other user over a computer network. Like in real world, e-mails are also sent to the unique address of the users.
E-mailing has become an important tool, especially after the boom of the internet age. E-mails can be sent with the help of productivity softwares, which have developed to such an extent that a mail with same content can be sent to multiple users at the same time.
Hence e-mailing is the software that is developed among multiple users all over the world a possibility.
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Blair’ average on the firt five tet i a 67. If thi i not pulled up to at leat a 70, Blair will not be allowed to watch any more Netflix. To avoid loing thoe privilege, what i the lowet core Blair can afford to earn on the lat tet?
Blair averages 67 on the first five tests in the class. unless it is raised to at least 70Blair is no longer allowed to watch her favorite shows on Netflix. avoid Losing those privileges is the lowest score Blair can tolerate these class test?
Assume all test weights are the same
step by step explanation
The average is calculated as:
average =
here
= 67 (multiply both sides by 5)
Total = 335
Let x be the number of points needed to raise the average to 70
= 70 (multiply both sides by 6)
335 + x = 420 (subtract 335 from both sides)
x = 85
Blair must score at least 85 on the final test
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An online retailer samples 105 outgoing shipments each day. On an average day, 2.4% of these outgoing shipments has a defect. Round your answer to 3 decimal places. When preparing a p-chart, what value will represent the center line of the chart?
The center line of a p-chart represents the expected or average proportion of defective items in a process.
To calculate the center line for the p-chart, we need to multiply the average defect rate by the sample size.
In this case, the online retailer samples 105 outgoing shipments each day, and on an average day, 2.4% of these shipments have a defect. To find the center line, we calculate:
Center Line = Average Defect Rate * Sample Size
Center Line = 2.4% * 105
Converting 2.4% to decimal form (dividing by 100), we get:
Center Line = 0.024 * 105
Center Line = 2.52
Rounding the answer to 3 decimal places, the center line value for the p-chart in this case is 2.520.
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A time-series trend equation is 25.3 + 21 x. What is your forecast for period 7? 0 40.0 324.1 25.3 32.3 O 172.3
The forecast for period 7 is 172.3. The correct answer is: 172.3
To forecast for period 7 using the given time-series trend equation of 25.3 + 21x, we need to substitute x with the corresponding period number.
For period 7, x would be 7. So, we plug in x = 7 into the equation:
Forecast for period 7 = 25.3 + 21(7)
= 25.3 + 147
= 172.3
Therefore, the forecast for period 7 is 172.3.
The correct answer is:
172.3
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This is for my NJROTC class! Pls help!
Answer: Option 1
Explanation:
Answer:
option1
Explanation:
Which term describes when a party unjustifiably fails to substantially perform his or her obligations under the contract?
The term that describes when a party unjustifiably fails to substantially perform his or her obligations under the contract is called "breach of contract."
Breach of contract occurs when one party fails to perform its obligations under the contract, whether in part or in whole, without a valid legal excuse. This can include failing to deliver goods or services as promised, failing to pay for goods or services, or failing to meet other contractual obligations.
In such cases, the non-breaching party may be entitled to remedies such as damages or specific performance, depending on the terms of the contract and the nature of the breach.
It's important to note that not all breaches of contract are the same, and the remedies available to the non-breaching party will depend on the specific circumstances of each case.
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On January 1, Year 4, Jaffe Co. leased a machine to Pender Co. for 10 years, with $10,000 payments due at the beginning of each year effective at the inception of the lease. The machine cost Jaffe $55,000. The lease is appropriately accounted for as a sales-type lease by Jaffe. The present value of the 10 rent payments over the lease term discounted appropriately at 10% was $67,600. The estimated residual value of the machine at the end of 10 years is equal to the disposal costs. How much interest revenue should Jaffe record from the lease for the year ended December 31, Year 4
Answer:
$5,760
Explanation:
Calculation to determine How much interest revenue should Jaffe record from the lease for the year ended December 31, Year 4
First step is to calculate the carrying amount
carrying amount=$67,600-$10,000
carrying amount of $57,600
Now let calculate the interest revenue
Interest revenue =$57,600*10%
Interest revenue=$5,760
Therefore How much interest revenue should Jaffe record from the lease for the year ended December 31, Year 4 is $5,760
Which of the following is an example of a worker who has work/life balance
conflicts?
O A. A woman refuses to answer emails from the office when she is
not working
B. A man has missed all his daughter's ball games because he works
too much.
C. A woman has her office emails forwarded to a coworker while on
vacation.
D. A man receives notifications when he gets a new email at the
office,
Answer:
A man has missed all his daughter's ball games because he works
too much.
Explanation:
seems like it
Answer:
A man has missed all his daughter’s ball games because he works too much
Explanation:
A p e x
ASAPP PLZZZZ
3. In the mythical kingdom of Erehwon, the basic unit of money is the rudolf. At today's exchange rate, 4 rudolfs are equal to $1. A U.S. tourist in Erehwon wishes to purchase a guidebook to the country. The price is 6 rudolfs. How much is this in U.S. money?
(A) $1.50
(B) $6
(C) $4
(D) $24
fractional reserve lending"" what does this mean.
Answer:
It means that they lend a loan with a reserve that is less than the amount they lend.
if the cost of sugar increases from $5 to $6 per 10-pound bag, we expect the supply curve for cupcakes to a. become flatter. b. shift to the right. c. become shorter. d. shift to the left. e. become steeper
If the cost of sugar increases from $5 to $6 per 10-pound bag, we expect the supply curve for cupcakes to shift to the left. The correct option is (d).
What do you mean by the supply curve?In economics, the supply curve is a graphic depiction of the relationship between the price of a good and the amount of it that a seller is willing and able to supply.
The graph's horizontal axis represents supply quantity and the vertical axis represents product pricing.
The price is shown on the vertical axis on the left side of the supply curve graph, and the quantity of items is shown on the horizontal axis at the bottom.
The supply schedule, a table stating the quantity supplied at each price, is where the data used to draw the supply curve is taken from.
A straightforward equation can be used to plot a linear supply curve. P = a + bS. Plots the supply curve's initial position on the Y-axis intercept. b is the supply curve's slope.
Therefore, if the cost of sugar increases from $5 to $6 per 10-pound bag, we expect the supply curve for cupcakes to shift to the left.
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Give all start up costs for opening a salon that has 8 workers with 8 stations and that does everything hair and wax related. Include the quantities for each item and the pricing
Rent/Lease for the salon space: $2,000 - $10,000
Build-out costs: $5,000 - $15,000
Equipment and supplies:
8 stations, chairs, and mirrors: $5,000 - $10,000
8 styling stations (styling chairs, styling stations, styling tools): $8,000 - $15,000
8 hair dryers: $4,000 - $6,000
8 hair washing stations: $8,000 - $12,000
8 hair cutting stations: $8,000 - $12,000
8 waxing stations: $8,000 - $12,000
Hair color, waxing, and other supplies: $5,000 - $10,000
Marketing and advertising costs: $2,000 - $5,000
Legal and accounting fees: $1,500 - $3,000
Insurance (liability, property, and worker's compensation) $2,000 - $5,000
Employee salaries: $8,000 - $12,000
Miscellaneous costs (utilities, phone, internet, etc): $5,000 - $10,000
Note that these numbers are rough estimations, and the cost can vary depending on location and other factors.
Why does supplier competition make it harder for an entrepreneur to be successful
Answer:
because the supplier is already supplying sellers with what the entrepreneur is supposed to be selling and if more people are going to the other suppliers than no one will buy it from the entrepreneur because they can get it from suppliers
Explanation:
sorry if its wrong!
Its gives other entrepreneur advantage over the entrepreneur in question.
Suppliers encompasses people who supplies raw materials, finished goods to the users which can be an organisation or an entrepreneur.
Now, when there is competition, people tends to approach suppliers whose goods are cheaper. This gives some entrepreneur advantage over others because they sells at price at lower than their competitors.A typical example is when a supplier prefers to supply goods to an entrepreneur in an axis based on previous relationship. Other entrepreneur may suffers because they might get the product at higher price from another supplierIn conclusion, if price ceiling are employed, it will make uniform the price at the all suppliers will sell their goods to entrepreneur, hence, no entrepreneur will at higher advantage than others
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A four-year project requires an initial investment of $190,000 in fixed assets plus $25,000 in net working capital. The project has before-tax costs of $20,531. The assets belong in a 20% CCA class and will have no salvage value. What is the project's equivalent annual cost if the required return is 14% and the firm's tax rate is 34% ?
The project's equivalent annual cost, considering a required return of 14% and a tax rate of 34%, is $32,545.
To calculate the project's equivalent annual cost, we need to consider the initial investment, net working capital, before-tax costs, tax rate, and required return. The initial investment in fixed assets is $190,000, and the net working capital is $25,000. The before-tax costs amount to $20,531.
First, we calculate the annual depreciation expense using the 20% Capital Cost Allowance (CCA) class. The depreciable amount is the initial investment minus the salvage value, which is zero in this case since there is no salvage value. So the depreciable amount is $190,000. Applying the 20% CCA rate, the annual depreciation expense is $38,000 ($190,000 * 0.20).
Next, we calculate the annual after-tax cash flow. The before-tax costs of $20,531 are reduced by the tax shield provided by the depreciation expense. Considering a tax rate of 34%, the tax shield is $12,920 ($38,000 * 0.34). Therefore, the annual after-tax cash flow is $7,611 ($20,531 - $12,920).
Finally, we calculate the equivalent annual cost (EAC). The EAC formula considers the initial investment, annual after-tax cash flow, and required return. Using the required return of 14%, the EAC is determined as follows:
EAC = Initial Investment / Annuity Factor + Annual After-Tax Cash Flow
The annuity factor can be obtained using the formula:
Annuity Factor = (1 - (1 + r)^(-n)) / r
Where r is the required return and n is the project's duration in years. Since the project duration is four years, plugging in the values, we get an annuity factor of 3.433.
Plugging all the values into the EAC formula:
EAC = $215,000 / 3.433 + $7,611 = $32,545
Therefore, the project's equivalent annual cost, considering a required return of 14% and a tax rate of 34%, amounts to $32,545.
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Question is down below, 80 points! :)
Answer:
B
Explanation:
Retained earnings are the amount of profit a company has left over after paying all its direct costs, indirect costs, income taxes and its dividends to shareholders.
compute cash received from customers sales $ 650,000 accounts receivable, beginning balance 25,000 accounts receivable, ending balance 34,500 case y: compute cash paid for rent rent expense $ 100,200 rent payable, beginning balance 13,300 rent payable, ending balance 11,438 case z: compute cash paid for inventory cost of goods sold $ 672,000 inventory, beginning balance 208,320 accounts payable, beginning balance 87,494 inventory, ending balance 170,822 accounts payable, ending balance 108,493
Cash received from customers: $659,500. Cash paid for rent: $101,062. Cash paid for inventory: $288,125
To calculate cash received from customers, we need to determine the change in accounts receivable. The formula is: Cash received from customers = Sales + Beginning accounts receivable - Ending accounts receivable. Substituting the values, we get $650,000 + $25,000 - $34,500 = $659,500.
To calculate cash paid for rent, we need to determine the change in rent payable. The formula is: Cash paid for rent = Rent expense + Beginning rent payable - Ending rent payable. Substituting the values, we get $100,200 + $13,300 - $11,438 = $101,062.
To calculate cash paid for inventory, we need to determine the change in accounts payable. The formula is: Cash paid for inventory = Cost of goods sold + Beginning accounts payable - Ending accounts payable. Substituting the values, we get $672,000 + $87,494 - $108,493 = $288,125.
Based on the given information, the cash received from customers is $659,500, the cash paid for rent is $101,062, and the cash paid for inventory is $288,125. These calculations help determine the cash flows associated with sales, rent expenses, and inventory purchases, which are essential for financial analysis and managing cash flow in a business.
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If a bank benefits when a foreign currency declines in value, then the bank must be in a __________ position. The term below that correctly fills in the blank in the preceding sentence is: Group of answer choices
Scarcity implies that a customer wants things from a business A. many B. few C. specific D. quality
Answer:
B.Few
Explanation:
Scarcity means a few
Answer:
Many
Explanation:
A
can anyone please help me please
Answer:
1. extracurricular
2. cocurricular
3. curricular
4. curricular
5. cocurricular
Explanation:
1. Daniel doing community service by cleaning up outdoor trails is an extracurricular activity because it doesn’t have nothing to do with his academics/school.
2. Debra participating in a hospital program for nursing students is cocurricular because she is practicing techniques she learned in her nursing class.
3. Rhett taking a foreign language class at his middle school is curricular because this is a class Rhett takes at school.
4. You are correct. Ernestina taking a photography class in school is curricular because this class takes place at her high school.
5. Brant joining a student organization for future teachers is cocurricular because he is studying to be a teacher.
what is the name for the total amount of money the united states government is authorized to borrow?
The total amount of money the United States government is authorized to borrow is referred to as the "debt ceiling" or "statutory debt limit."
The debt ceiling, also known as the statutory debt limit, is a legal limit set by the United States Congress on the total amount of federal debt that the government can incur. This limit helps ensure that the government can meet its financial obligations and maintain the full faith and credit of the United States.
When the government needs to borrow money to finance its operations, it issues Treasury bonds, bills, and notes to the public and to financial institutions. These securities are essentially IOUs, and the debt ceiling sets the maximum amount of IOUs that the government can issue.
The debt ceiling is periodically raised by Congress when the government needs to borrow more money. This is because the cost of government operations, such as defense spending, entitlement programs, and interest on the national debt, continues to rise. When the debt ceiling is reached, the Treasury can no longer issue new securities to finance government operations, which could lead to a government shutdown or default on its debt obligations.
It's worth noting that the debt ceiling is not a cap on the amount of money the government can spend. Rather, it's a cap on the amount of debt the government can incur to finance its spending. When the debt ceiling is reached, the government must either cut spending, raise taxes, or find other sources of revenue to avoid defaulting on its debt obligations.
In recent years, debates over raising the debt ceiling have become politically charged, with some lawmakers advocating for spending cuts and others advocating for tax increases. Regardless of the outcome, the debt ceiling remains a critical aspect of the government's fiscal management and an important factor in maintaining the stability of the U.S. economy.
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In order for a liability to be classified as a current liability, it must be a debt that the company:.
Answer:
In order for a liability to be classified as a current liability, it must be a debt that the company expects to pay from existing current assets or through the creation of other current liabilities.
monetary neutrality is a theory in macroeconomics that states when the central bank conducts monetary policy, the central bank does not affect the real economy (e.g., the number jobs, the size and growth of output, the amount of investment). instead, any change in the money supply would be offset by a proportional change in prices and wages. monetary neutrality underlies the
If monetary neutrality holds, the Fed conducted a contractionary monetary policy. Consequently, U.S. nominal GDP was unchanged, since it is not affected by changes in monetary policy. Hence, Option (C) is correct.
According to monetary neutrality, changes in the money supply, such as those brought about by the Federal Reserve's contractionary monetary policy (increasing interest rates), do not have a direct impact on the real economy, including U.S. nominal GDP.
Instead, any change in the money supply is expected to be offset by proportional adjustments in prices and wages.
Thus, if the Federal Reserve conducts a contractionary monetary policy by increasing interest rates, U.S. nominal GDP would be unaffected, remaining unchanged.
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Monetary Neutrality is a theory in macroeconomics that states when the central bank conducts monetary policy, the central bank does not affect the real economy (e.g., the number jobs, the size and growth of output, the amount of investment). Instead, any change in the money supply would be offset by a proportional change in prices and wages. Monetary neutrality underlies the quantity theory of money. Suppose that the Federal Reserve increased interest rates. If monetary neutrality holds, then which of the answer choices is correct?
a)The Fed conducted an expansionary monetary policy. Consequently, U.S. nominal GDP is unchanged since it is not affected by changes in monetary policy.
b)The Fed conducted an expansionary monetary policy. Consequently, U.S. nominal GDP increased.
c)The Fed conducted a contractionary monetary policy. Consequently, U.S. nominal GDP was unchanged, since it is not affected by changes in monetary policy.
d)The Fed conducted a contractionary monetary policy. Consequently, U.S. nominal GDP decreased.
Contribution margin $ $ $ fixed costs $ ________ operating profit $ ________ the flexible budget will report ________ for variable costs.
Fixed costs 48,000, operating point $2.00 per unit , the flexible budget will report $2.10 per unit for various costs.
What does a flexible budget report for variable costs look like? What does contribution margin mean? A flexible budget report for variable costs is a report that shows the different costs and what they are for. This type of report is important because it helps managers understand how much they have spent on each item.The flexible budget report should be used to show the cost of each item and whether or not it has been used. It also needs to show how much money the company has spent on each item, and if it has been used or not.Contribution margin:
Contribution margin is a percentage of the total revenue. It is often used to measure the profitability of a product or service.The contribution margin is calculated by subtracting variable costs from revenues and dividing the result by the revenue. It measures how much each unit contributes to the company’s bottom line, as opposed to how much it costs to produce that unit.To learn more about Contribution margin, visit:
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Using demand curves, what would happen if the price of pop increases?
o. Demand for pop will increase
b. The demand curve will shift to the right
c. Demand for pop will decrease
The demand curve will shift to the left
Using demand curves, if the price of pop increases, then, the demand for pop will decrease. The Option
How does demand for product change in response to a change in price?According to demand law , as the price of a product increases, the quantity demanded of that product will decrease. This inverse relationship between price and quantity demanded is illustrated graphically by a downward-sloping demand curve.
Therefore, if the price of pop increases, the demand for pop will decrease. This can be shown by a movement up along the demand curve, resulting in a lower quantity demanded at each price point.
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Balancing value and satisfaction for the customer is part of which element of marketing?
Answer: price
Explanation: