Peridot Corporation should report net cash outflows of $47 million from investing activities in its statement of cash flows for 2021, based on the given information from its accounting records and financial statements.
To determine the net cash outflows from investing activities, we need to consider the cash flows related to investing activities as listed
Cash paid to acquire machinery: $30 million (Outflow)
Reacquired Peridot common stock: $57 million (Outflow)
Proceeds from sale of land: $96 million (Inflow)
Gain from the sale of land: $52 million (Inflow)
Investment revenue received: $68 million (Inflow)
Cash paid to acquire office equipment: $82 million (Outflow)
Net cash outflows from investing activities can be calculated as the sum of cash outflows minus the sum of cash inflows:
Net cash outflows from investing activities = (Cash paid to acquire machinery + Reacquired Peridot common stock + Cash paid to acquire office equipment) - (Proceeds from sale of land + Gain from the sale of land + Investment revenue received)
Net cash outflows from investing activities = ($30 million + $57 million + $82 million) - ($96 million + $52 million + $68 million)
Net cash outflows from investing activities = $169 million - $216 million
Net cash outflows from investing activities = -$47 million
Therefore, Peridot should report net cash outflows from investing activities of -$47 million in its statement of cash flows for 2021.
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Conflict management is an integral part in managing employees effectively. Briefly discuss the dual concern model of conflict management and the causes of conflict in the workplace. Then, discuss how emotional intelligence can be used to manage conflict in the workplace
Conflict management is an essential component in effectively managing employees. The dual concern model and the causes of conflict in the workplace will be discussed in brief, followed by how emotional intelligence can be utilized to manage conflict in the workplace.
The Dual Concern Model of Conflict Management The Dual Concern Model, also known as the Dual Concern Theory, was developed by Blake and Mouton in the late 1960s and early 1970s. This theory emphasizes five conflict-handling methods, namely:Competing: This method is when an individual prioritizes their concerns over those of others and aims to win at any cost.Collaborating: This method is when both parties work together to find a mutually beneficial solution to the conflict.Compromising This method is when both parties accept a mutually acceptable solution, but it may not be ideal for either party. Avoiding: This method is when an individual ignores or dodges the conflict entirely.Accommodating: This method is when an individual sets aside their own concerns to prioritize the concerns of others.The Causes of Conflict in the Workplace .
Workplace conflicts may result from a variety of factors, such as: Communication issues, for example, lack of communication, misunderstanding, or incorrect communicationPerceptions that vary, such as different beliefs, values, or idealsPersonal issues, for example, personality differences, insecurities, or ego clashesWorkload concerns, for example, role clarity, resource inadequacy, or time constraints Goals that are inconsistent, for example, incompatible targets or goals with a different time frame Cultural variations, such as diverse customs, values, and beliefsHow Emotional Intelligence Can be Used to Manage Conflict in the Workplace Emotional intelligence (EI) refers to the ability to identify, control, and express one's emotions, as well as the ability to interpret and respond to others' emotions. The following are ways to use emotional intelligence to manage conflict in the workplace.
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customer service and ________ are two of the value drivers that managers can utilize when trying to improve a firm’s differentiation strategic position.
Value drivers are elements that raise the value of a good, service, asset, or enterprise. When it comes to a product, it may be a differentiating feature that turns it into a must-have for consumers.
Your customer value drivers are selling aspects that make your product or service useful to customers, from product performance to simplicity of delivery. These value drivers show how much customers are prepared to pay for your goods or services as well as which product advancements will yield the greatest returns on investment. A value driver is a task or skill that raises the value of a good, service, or brand. An activity or capability that increases profitability, lowers risk, and fosters growth in line with strategic goals is referred to as a value driver.
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An active primary market for the creation of new securities and the presence of plenty of buyers and sellers are all most indicative of _____.
an efficient monetary policy
a national economy
a competitive marketplace
sound financial management
An active primary market for the creation of new securities and the presence of plenty of buyers and sellers are all most indicative of a competitive marketplace. Thus, option C is correct.
What is the market?Markets are places where individuals, businesses, and industries transact, whether it be for the purpose of purchasing, producing, or providing services. they use it n order earning profits.
As there are various suppliers in the market, there is a face lot of people have various options from which the person could buy.
Customer competition is fueled by a competitive market. This implies that consumers struggle among others to purchase a commodity, particularly when inventory is low. Therefore, option C is the correct option.
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The Federal Reserve uses monetary policy and Congress uses fiscal policy to try to prevent ""wild swings"" in the economy and to alleviate some economic problems. What are the three goals both entities are trying to support? How do these three goals affect you?
The three goals are maintaining stable prices, Promoting Economic Growth, and Promoting Financial Stability.
1. Maintaining Stable Prices: The Federal Reserve and Congress both use monetary and fiscal policy to try to keep the inflation rate low and prices stable. This means that the prices of goods and services don't fluctuate too much, which helps protect people from getting too much debt due to rising costs. This affects you by protecting your purchasing power so that your money can purchase the same amount of goods over time.
2. Promoting Economic Growth: The Federal Reserve and Congress both use monetary and fiscal policy to try to stimulate economic growth. This means that they use approaches to try to increase employment, wages, and overall economic activity. This affects you by providing more job opportunities, higher wages, and a more robust economy overall.
3. Promoting Financial Stability: The Federal Reserve and Congress both use monetary and fiscal policy to promote financial stability. This means that they use policies to try to reduce the risk of a financial crisis, such as a banking crisis, and to ensure that financial markets are functioning properly. This affects you by providing a more secure financial system and protecting your investments.
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What is an appropriate response when an interviewer asks what salary you are looking for
during your initial interview? Would the response change if you'd been given an offer?
Halifax Shoes has 33% of its sales in cash and the remainder on credit. Of the credit sales, 65% is collected in the month of sale, 25% is collected the month after the sale, and 5% is collected the second month after the sale. How much cash will be collected in August if sales are estimated as $84,037 in June, $73,042 in July, and $86,560 in August? Round to the nearest penny, two decimal places.
We must take into account both the credit sales collection pattern and the monthly sales made in order to determine the cash collected in August.
Given: June sales equaled $84,037 July sales were $73,042 and August sales were $86,560. The percentage of cash transactions in overall sales is 33%. Therefore, the following formula can be used to determine cash sales each month: Cash sales for June were $27,741.21 ($84,037 * 0.33). Cash sales in July were $24,084.86 (73,042 * 0.33). Cash sales for August were $28,543.20 ($86,560 multiplied by 0.33). We need to use the collecting pattern for credit sales. The percentages of collections are as follows: - Paid during the month of the sale: 65% - 25% was collected one month after the sale. - 5% was collected one month after the sale. How to calculate the money received from credit sales: Amounts received in August based on June sales, $54,625.05 ($84,037 * 0.65). Cash received in August from transactions made in July equals $73,042 * 0.25, or $18,260.50. Cash sales and money received from credit sales combined: Total cash received in August equals the sum of cash received from sales in August, June sales, and July sales. Total funds received in August were $28,543.20, $54,625.05, and $18,260.50 for a total of $101,428.75. As a result, the amount of money collected in August is $101,428.75.
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Explain how an employee can be intrinsically motivated, extrinsically motivated, or both, depending on the factors in his or her job situation. Give one example of an employee who exhibits each of these three possible work situations.
Intrinsic motivation refers to the internal drive or personal satisfaction an individual derives from their work.
It is often related to the enjoyment of the task itself, personal growth, or a sense of purpose. On the other hand, extrinsic motivation is driven by external factors such as rewards, recognition, or tangible benefits. An employee can experience either intrinsic, extrinsic, or both types of motivation based on various factors in their job situation.
For example, an employee who is intrinsically motivated may find fulfillment in a challenging project that allows them to apply their skills and creativity . They derive satisfaction from the sense of accomplishment and personal development it brings. In contrast, an employee who is extrinsically motivated may be driven by receiving a promotion or a bonus for achieving specific targets. Their motivation stems from external rewards rather than internal satisfaction.
Additionally, some employees can experience a combination of intrinsic and extrinsic motivation. For nce, an employee who values their work's meaningfulness and enjoys it intrinsically may also be motivated by receiving public recognition or praise for their accomplishments.
Ultimately, the specific factors that influence an employee's motivation will vary from person to person, and individuals may exhibit different motivational orientations in different situations.3
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which of the following measures how quickly an investor can get back the invested funds when desired? a. yield b. risk c. liquidity d. tax consequences
Liquidity refers to a financial instrument's capacity to be transformed into cash without significantly impacting its value or causing a substantial market disturbance. c. liquidity
The measure that shows how quickly an investor can recover the invested funds when desired is liquidity.What is liquidity? Liquidity refers to a financial instrument's capacity to be transformed into cash without significantly impacting its value or causing a substantial market disturbance. In this context, liquidity is a measure of the financial instrument's capacity to be quickly and easily converted into cash.
Liquidity is critical to investment since investors generally want to convert their holdings into cash as quickly as feasible. Financial instruments that have high liquidity are those that can be converted into cash swiftly without causing a significant market impact.
What is yield?
Yield is the amount of money earned on an investment in a given year as a proportion of the investment's price. The formula for yield is the investment's annual cash flow divided by its current market value or price. Yield is most often used to describe the interest that accumulates on fixed-income investments, such as bonds or CDs.What is risk?Risk is a concept that is used in finance and investing to describe the possibility that an investment's actual return will be different than its expected return. Risk, in general, refers to the possibility of losing some or all of an investment's principal. In investing, the term risk is typically used to refer to the possibility of a negative deviation from an investment's anticipated return.What are tax consequences?Tax consequences are the impacts that different financial events or transactions have on an investor's tax liability. Tax consequences, for example, might include the gains or losses realized on the sale of a stock, the dividends earned from a mutual fund, or the interest earned on a savings account. These tax consequences must be taken into account when evaluating the tax efficiency of different investment alternatives.
c. liquidity
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Mel suddenly finds an opportunity to sell boxed dinners. The new opportunity would require the use of the 30 percent unused capacity. The contribution margin from the dinners would amount to $3,000 annually. Required: a. If Mel decides to sell dinners, what are the total costs for both making and buying the cookies?
Answer:
$900
Explanation:
The computation of the total cost for both making and buying the cookies is given below:
But before that the variable cost per unit is
= (Cost of goods sold - fixed cost) ÷ (sales units)
= ($13,500 - $4,500) ÷ ($180,000 ÷ 6)
= $3
now the total cost is
= 300 × $3
= $900
Which of the following statement about Credit Facilities is correct?
(Select all that apply)
A. Corporate credit facilities are fixed-income instruments whose profit is related to pre-specified sustainable performance indicators, verified by a
third party. •
B. Corporate borrowers who choose green loans or sustainable loans for their
financing are mainly located in Europe, but the US trend is emergent. •
C. A recent survey conducted by ING believes that in the next two years, the green loan market will grow faster than the green bond market. This is because green loans are faster, easier to arrange, and more flexible than
bond issuance. •
D. Green loans and ElBs are similar in that the interest rate is tied to
sustainability performance
The correct statements about Credit Facilities are B and C. Corporate borrowers who choose green loans or sustainable loans for their financing are mainly located in Europe, but the trend is also emerging in the US.
Additionally, a recent survey conducted by ING suggests that the green loan market is expected to grow faster than the green bond market in the next two years due to the faster, easier, and more flexible nature of green loans compared to bond issuance.
Statement B is correct. Corporate borrowers opting for green loans or sustainable loans for their financing are primarily concentrated in Europe, but there is an emerging trend in the United States as well. Green loans provide an avenue for businesses to access funds specifically dedicated to environmentally friendly initiatives.
Statement C is also correct. According to a survey conducted by ING, the green loan market is anticipated to experience faster growth compared to the green bond market in the next two years.
This growth is attributed to the advantages offered by green loans, such as faster processing, easier arrangement, and greater flexibility when compared to the process of issuing green bonds.
On the other hand, statement A is incorrect. Corporate credit facilities are not fixed-income instruments linked to pre-specified sustainable performance indicators verified by a third party. Credit facilities typically refer to arrangements made by financial institutions to provide a line of credit or loan facility to corporate borrowers.
Similarly, statement D is incorrect. Green loans and Environmental, Social, and Governance (ESG) bonds (ElBs) are not similar in terms of tying the interest rate to sustainability performance.
Green loans are generally based on the use of funds for environmentally friendly projects, while ESG bonds involve the issuance of debt securities where the proceeds are allocated to projects meeting specific sustainability criteria. The interest rates on ESG bonds are typically not directly tied to sustainability performance.
In conclusion, the correct statements about Credit Facilities are B and C. Corporate borrowers who choose green loans or sustainable loans are primarily located in Europe, but the trend is also emerging in the US.
Furthermore, the green loan market is expected to grow faster than the green bond market in the next two years due to the advantages offered by green loans in terms of speed, ease of arrangement, and flexibility.
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Which of the following is the reason for the shrinking of the middle class in the United States?
A. People are replacing robots in many manufacturing jobs.
B. Blue collar wages have been increasing as fast as other kinds of work.
C. People are not saving as much money as they used to.
D. Some jobs are outsourced to other countries.
c.Some jobs are outsourced to other countries
The correct option is D. The reason for the shrinking of the middle class in the United States is some jobs are outsourced to other countries.
Outsourcing has resulted in high unemployment, revenue loss, and loss of competitive edge, leaving individuals unemployed and without a job.
Since 2000, more than 500,000 jobs have been outsourced, Additionally, outsourcing has resulted in the loss of almost 250,000 additional employees. IT firms are the greatest offenders when it comes to outsourcing.
Why outsourcing is bad for the economy?American labor, American manufacturers, American suppliers, and the standard of life for many families have all suffered irreparable harm as a result of outsourcing by American enterprises. The company might make some short-term money off of it, but eventually, its overseas rivals will win the technology and the market.
According to a recent study, globalization has reduced the middle class's share of income. Even the poorer segments of the population observed a fall in their income shares as compared to an increase in high-income shares. Developments in developing and transitional nations are what are responsible for this effect.
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Do you think the directors of tgh word right to target a niche market or should they just sell sports shoes to a market? Justify your answer
The young men below are in colloquial language, “getting their hustle on!” Explain how their business is a sole proprietorship. Secondly, explain why the government will have a difficult time taxing this type of business.
These businesses are typically not registered with the government, and they do not have an official structure.
The government may be unwilling or unable to regulate these types of businesses because they are frequently viewed as necessary for economic growth and development.
In colloquial language, the young men below are "getting their hustle on." A sole proprietorship is a type of business that is owned and operated by a single individual. The young men's business can be referred to as a sole proprietorship since they are the sole owners of the business.
They are the ones who started the business, are responsible for all of its operations, and are accountable for all of the profits or losses.The government will have a tough time taxing this type of business for a variety of reasons.
Firstly, these businesses are typically not registered with the government, and they do not have an official structure. As a result, it's difficult for the government to track their activities and evaluate their taxes.
Secondly, many of these businesses operate in the informal sector, and they do not have formal accounting procedures or systems in place. As a result, it's difficult for the government to determine their exact revenue and taxable income.
Thirdly, these businesses are frequently involved in cash transactions, and it's difficult for the government to monitor their cash flow and revenue. As a result, they may not accurately report their earnings or pay the required taxes.
Finally, the government may be unwilling or unable to regulate these types of businesses because they are frequently viewed as necessary for economic growth and development. As a result, they may not be heavily taxed, if at all, since the government may be hesitant to discourage their operations.
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An economy has two types of jobs, Good and Bad, and two types of workers, Qualified and Unqualified. The population consists of 60% Qualified and 40% Unqualified. In a Bad job, either type of worker produces 10 units of output. In a good job, a Qualified worker produces 100 units, and an Unqualified worker produces 0. There is enough demand for workers that for each type of job, companies must pay what they expect the appointee to produce Companies must hire each worker without observing his type and pay him before knowing his actual output. But Qualified workers can signal their qualification by getting educated. For a Qualified worker, the cost of getting educated to level nis n/2, whereas for an Unqualified worker, it is n. These costs are measured in the same units as output, and n must be an integer. a. What is the minimum level of n that will achieve separation? b. Now suppose the signal is made unavailable. Which kind of jobs will be filled by which kinds of workers and at what wages? Who will gain and who will lose from this change?
A. The minimum level of n that will achieve separation is n = 1 and B. All workers will apply for Good jobs since the wage is higher than the 10 units for Bad jobs. Qualified workers will lose from this change, as their previous wage for Good jobs was 100 units. Unqualified workers will gain, as their wage for Good jobs increased from 0 to 60 units.
a. To achieve separation, we need to find the minimum level of education (n) that makes it more beneficial for Qualified workers to get educated and signal their qualification, while not being worth it for Unqualified workers. For separation to occur, the cost of education for Qualified workers should be less than the difference in expected productivity between Good and Bad jobs. Similarly, the cost for Unqualified workers should be more than that difference.
For Qualified workers, the cost of getting educated is n/2, and the difference in expected productivity between Good and Bad jobs is 100 - 10 = 90 units. Therefore, n/2 < 90, which means n < 180.
For Unqualified workers, the cost of getting educated is n, and there is no difference in productivity between Good and Bad jobs. Hence, we only need to ensure that n > 0.
The minimum level of n that will achieve separation is n = 1, as it meets both conditions: it's less than 180 for Qualified workers and more than 0 for Unqualified workers.
b. If the signal becomes unavailable, companies can't distinguish between Qualified and Unqualified workers. Therefore, they will pay the same wage based on the average expected output. The expected output for a random worker is:
0.6 (Qualified) * 100 (Good job) + 0.4 (Unqualified) * 0 (Good job) = 60 units.
In this scenario, companies will pay 60 units for both Good and Bad jobs. All workers will apply for Good jobs since the wage is higher than the 10 units for Bad jobs. Qualified workers will lose from this change, as their previous wage for Good jobs was 100 units. Unqualified workers will gain, as their wage for Good jobs increased from 0 to 60 units.
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what is the difference between the turbo button and the victim button
if the federal government spends more than it collects in revenue, then
If the federal government spends more than it collects in revenue , then this situation represents a (a) Budget deficit .
A Budget Deficit situation happens when the federal government spends more money than it collects in revenue in a given fiscal year.
When the government spends more than it collects in taxes, it must borrow the difference to finance for its spending, this leads to an increase in the national debt.
A budget deficit is also seen as a measure of the government's fiscal responsibility and it have a significant implications for the economy and public finances over time .
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The given question is incomplete , the complete question is
If the federal government spends more than it collects in revenue , then this situation represents a
(a) Budget deficit,
(b) Fiscal scenario,
(c) Liquidity trap,
(d) Deflation,
(e) National debt.
Earning a degree can be expensive but which example shows why it might be worth it?
(financing higher education)
Answer:
Earning a degree can be expensive but it can almost guarantee you great job opportunities and great job opportunities can provide great income, and other benefits.
Explanation:
which career is likely to earn the high salary
Answer: Your welcome!
Explanation:
The career that is likely to earn the highest salary depends on a variety of factors, such as the individual's qualifications and experience, the industry they work in, and the specific job they hold. Generally, some of the highest-paying careers include doctors, lawyers, software engineers, and financial analysts. These careers usually require extensive education and training and can offer very high salaries. Other potential high-paying careers include investment bankers, business executives, and software developers.
Someone copied a library video and sold the copies to friends. This is an
example of ____.
A. embezzlement
B. intellectual property theft
C. cybercrime
D. shoplifting
its be fasho cause i learned about it
Someone copied a library video and sold the copies to friends. This is an example of intellectual property theft. Hence, option B is correct.
What is intellectual property theft?Intellectual property theft occurs when a person or organization has their invention, creative expression, or idea taken from them. When someone commits IP theft, they can also be stealing trade secrets, copyrights, trademarks, or patents. Names, logos, insignia, inventions, client lists, and more fall under this category.
Manufacturing, selling, or distributing fake or stolen commodities, such as trademarks, industrial designs, literary works, or creative works, for financial benefit is considered an intellectual property crime.
Loss of client confidence. A reputational hit. reduction in revenue and expansion of the company. loss of advantage in the marketplace.
Thus, option B is correct.
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Which workplaces are typical for someone working in Marketing, Sales, and Service? Select all that apply,
A factories
B offices
C customer's homes
D home offices
E stores
F warehouses
G La vehicles
H research centers
The workplaces that are typical for someone working in Marketing, Sales, and Service are:
storesfactorieswarehousesWhy do people work in Marketing, Sales, and Service?Majority work in these section to promote product and sales of goods and service.
Hence, the typical workplaces of someone working in Marketing, Sales, and Service includes stores, factories and warehouses.
Therefore, the Option A, E and F is correct.
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Answer:
A. Factories
E. Stores
F. Warehouses
Explanation:
The summary section of a business report appears at the bottom of the report.
False
True
Andros is the store manager at MegaTech. They sell home and business appliances to customers. Each day Andros greets customers, answers customer questions about different products, and helps with service breakdowns either in person, on the phone, or online. What is the term for these customer interactions?
The term for the customer interactions at MegaTech is called C. Customer Service.
What is customer service ?Customer service is what organizations implement to guarantee customer delight with the products and services provided.
In this context, Andros is administering customer service by welcoming customers, answering inquiries, and resolving service concerns. Successful customer service can build up customer devotion and maintain customer retention, resulting in an enduring commercial success.
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Options are:
A. Sales
B. Marketing
C. Customer service
D. Public relations
The HITECH part of the American Recovery and Reinvestment Act provided for the following: a. Programs to prevent fraud and abuse
b. Billions of dollars for the development of HIS C. Provisions for the hiring of HR staff d. Provisions for protecting personal health information
The HITECH part of the American Recovery and Reinvestment Act provided for the development of health information technology, not the hiring of HR staff or programs to prevent fraud and abuse.
The act was passed in 2009 and aimed to modernize healthcare by promoting the adoption and meaningful use of health information technology. As part of the act, billions of dollars were allocated to incentivize healthcare providers to adopt electronic health records (EHRs) and to establish standards for the secure exchange of health information. The act also included provisions for the protection of personal health information, as well as penalties for noncompliance with the regulations. The ultimate goal of the HITECH Act was to improve patient outcomes, reduce healthcare costs, and increase efficiency in the delivery of healthcare services.
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i am making marketing plan for a company can anyone help me in making swot analysis
A SWOT analysis is to determine the strengths as well as the weaknesses, and threats associated with the company.
What is SWOT analysis?SWOT analysis is been carry out in an organizations to develop a full awareness in term of strength and weakness so as to be able to make business decision.
Steps that are required in SWOT analysis are:
Checking external environment.Carry out analysis on industry and competitionKnow the external opportunities and threats.Since the information is not complete, this is a guide on SWOT analysis
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Bay Company acquires 60, 8%, 5 year, $1,000 Community bonds on January 1, 2020 for $60,000. If Bay sells all of its Community bonds for $64,500, what gain or loss is recognized?
On January 1st, 2020, Bay Company invests $60,000 in 60, 8%, 5 year, $1,000 Community bonds. A gain of $4,500 is realized if Bay sells all of its Community bonds for $64,500.
The required details for Community in given paragraph
How do local ties function?
Following is a list of community ties:
a social finance tool that cooperatives, non-profits, and charities can use to fund initiatives that benefit people and the environment. They resemble conventional bonds in many ways since they are interest-bearing loans from investors with a predetermined rate of return and a set period.
How can the bonds within a community be strengthened?
Socialize with your neighbors by going outside. One of the simplest ways to build and strengthen community bonds is to spend time with your neighbors.
Show strength community member who serves as a role model for others.
Attend social gatherings.
Take part in neighborhood gatherings.
Make the most of volunteer opportunities.
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Catalina opens a fashion boutique with the money she inherited from her parents. She is successful in creating a strong brand image and a loyal customer base. In order to meet the increasing demands of her business, she hires a store manager. However, she finds it hard to let the manager make important decisions about the store. She often finds herself disagreeing with the manager's decisions, and in the process, she loses a lot of existing customers. Which of the following causes of small-business failure does this scenario best illustrate?
As Catalina often finds it hard to let the manager make important decisions about the store and finds herself disagreeing with the manager's decisions, and in the process, then, the causes of small-business failure that this scenario best illustrate is known as inability to cope with growth.
What is meant by small business?In a business organization, the term "small business" are often used to describe those privately owned corporation, partnership or sole proprietorship that has fewer employees and less annual revenue than a corporation or regular-sized business.
In an economy, the type of businesses are vital for the syste, because they provide opportunities for entrepreneurs and create meaningful jobs with higher job satisfaction than positions with larger, traditional companies.
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a tax on gasoline encourages people to drive smaller, more fuel-efficient cars. which principle of economics does this illustrate?
This statement illustrates the principle of incentives in economics. Incentives are like rewards or punishments that are used to encourage or discourage depending on certain behaviors.
In this case, the incentive is a gasoline tax that encourages people to drive smaller, more fuel-efficient cars. This incentive works by making it more expensive to use petrol, making it less attractive to drive cars that are less fuel efficient and more expensive to run. In the long run, this motivates people to buy vehicles that are more fuel efficient and less expensive to run, helping to reduce emissions and mitigate the effects of climate change.
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A broker can enter into a single agency agreement with any of the following except?
a) Seller
b) Landlord
c) Buyer
d) Seller and buyer
A broker can enter into a single agency agreement with the following except seller and buyer.
Single agency is a kind of brokerage agreement that specifies a particular property or properties that an agent is authorized to sell on behalf of the client (seller or buyer).Single agency is defined as a relationship between a broker and a client where the agent represents only the client's best interests and not those of any other parties involved in the transaction.
For example, a broker can work solely with the seller, and the seller can sign a single agency agreement, allowing the broker to represent them in the sale of their property. Similarly, a broker can work solely with the buyer, and the buyer can sign a single agency agreement, allowing the broker to represent them in the purchase of a property.
Also, a broker can enter into a single agency agreement with a landlord. In contrast, a broker cannot enter into a single agency agreement with both the buyer and the seller of a property because this would create a conflict of interest.
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A company ''A'' generates revenue from sales of dollar 850,000 it deducts the costs for materials, labor, rent is dollar 150,000 what left is its profit?
In everyday life, the terms "profit" and "income" are frequently used interchangeably.
What is Gross Profit ?However, depending on the context, these terms can have very different and specific meanings in corporate finance.
While income denotes a positive flow of cash into a business, net income is much more complicated. Profit is commonly understood to be the cash left over after expenses are deducted.
Though gross profit and operating profit both fit this definition in the most basic sense, the types of income and expenses that are accounted for differ significantly.
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When Mrs. Hamilton selects a long elimination or waiting period over a short elimination period, her long-term care premium will be A) higher B) walved C) lower OD) guaranteed
When Mrs. Hamilton selects a long elimination or waiting period over a short elimination period, her long-term care premium will be (c)lower.
This is because the elimination period is the length of time between when a policyholder requires long-term care services and when the policy benefits begin to pay out. Choosing a longer elimination period means that the policyholder will have to pay out of pocket for a longer period before the insurance company starts paying.
By choosing a longer elimination period, Mrs. Hamilton is essentially agreeing to bear a higher portion of the risk herself, which makes the policy less risky for the insurance company. As a result, the premiums will be lower because the insurance company is taking on less risk.
It is important to note that while a longer elimination period may result in lower premiums, it also means that Mrs. Hamilton will have to pay more out of pocket before the insurance benefits start. Therefore, it is important to carefully consider the financial impact of choosing a longer elimination period versus a shorter one, weighing the lower premiums against the potential out-of-pocket costs.
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