1) Rakesh failed because he had not done a thorough research of the market before launching his product.
2) Rakesh should have done a thorough research before launching his product.
3) Rakesh should target the product which has the current popularity.
What mistakes do you think did Rakesh commit?
There was no market research, no product localization, no comprehensive strategic plan, no thorough quality check of the product, no packaging that complied with local weather conditions, no chocolate packaging that was robust enough to withstand local road and weather conditions in India, and no marketing plan for the Indian market.
How should Rakesh have proceeded before launching the product in India?
Rakesh should have taken the following actions to make sure the company's expansion was successful — doing extensive market research, localised products, make a detailed strategic plan, product quality should be thoroughly examined, packaging should take into account the local climate, and specialised marketing approach for the Indian market.
How can Rakesh salvage the venture?
Rakesh might pursue these steps to resolve the present crisis:
Cooperate with a well-known local firm in a joint venture For the adult market, focus on the current product and flavours. Because it is distinctive and different from other chocolates available in the Indian market, market the product as a niche offering. To endure Indian weather, strengthen the packing material. To reach shelves without causing any harm, use the proper distribution methods, such as cold storage trucks. Rakesh should start selecting tastes that kids are likely to appreciate in parallel, such strawberry or dry fruits. Kid-friendly packaging and marketing techniques should be used for items marketed to children.To learn more about a product from the given link
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1) What mistakes do you think did Rakesh commit? 2) How should Rakesh have proceeded before launching the product in India? 3) How can Rakesh salvage the venture?
Current Attempt in Progress
Bonita, Inc. reported net income of $2.25 million in 2022. Depreciation for the year was $144,000, accounts receivable decreased $315,000, and accounts payable decreased $252,000.
Compute net cash provided by operating activities using the indirect method.
The indirect method, in its broadest sense, refers to a method of calculating cash flow that relies on transactions to identify payments and expenses rather than cash on hand. Hence
What is Indirect Cash flow ?The indirect technique calculates how much money a business earned or spent during a specific time period from numerous sources.
Using the indirect approach, net income (also known as net profit) at the end of the reporting period is used to compute cash flow.
Then, using information from the balance sheet, you modify this net income amount and eliminate the impact of non-cash transactions that are displayed on the profit and loss statement.
Hence Amount ($) in million
Net Income 2250
(+) Depriciation 144
(+) Account Receivable 315
(-) Account Payable (252)
$ 2,457
Hence Net Cash from operating Activity will be $ 2.457 million
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Morrison Company experienced a business event that had the following effect on its accounting equation. Which of the events would have caused this effect?
Every business transaction that is to be considered for accounting, i.e. every accounting transaction, has an influence on the basic accounting equation. Each transaction modifies the expressions that comprise the equation in such a way that the accounting equation is satisfied after each such modification.
What effect does the owner's investment have on the accounting equation?Here are some instances of how the accounting equation remains balanced: An owner's investment in the firm increases the company's assets as well as the owner's equity. When a firm borrows money from a bank, its assets grow while its obligations grow.
This boosts the left and right sides of the accounting equation by the same amount, resulting in a balance.
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under nasaa recordkeeping rules for investment advisers, any advertisement, circular or other communication: i must be retained if it is circulated to 2 or more persons ii must be retained if it is circulated to 5 or more persons iii cannot recommend the purchase or sale of a specific security iv can recommend the purchase or sale of a specific security and if it does not state the reasons for the recommendation, a memo must be retained indicating the reasons for the recommendation A) I and III B I and IV II and III Со I II and IV
Under the NASAA model rule, advertisements, circulars, bulletins or other communications circulated by the adviser to 2 or more persons must be retained for 5 years.
Option B is correct.
What is NASAA's purpose?NASAA members educate the public about investment fraud, license businesses and their agents, investigate violations of state and provincial law, take enforcement action when necessary, and NASAA members also share information and participate in multi-state enforcement actions through the association.
What is model rule 502 c of the NASAA?The provisions of this subsection apply to federal covered investment advisers if the alleged conduct is fraudulent, deceptive, or otherwise permitted by the National Securities Markets Improvement Act of 1996. Rule USA 2002 502(c) Contents of an Investment Advisory Contract
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a regressive tax rate structure is defined as a tax in which the average tax rate decreases as the tax base increases.
A regressive tax is one in which the average tax burden reduces as income increases. Low-income taxpayers have a disproportionate amount of the tax burden, whereas middle- and upper-income .
regressive tax taxpayers bear just a little fraction. IDRs (International Depository Receipts): It is a financial instrument denominated in Indian rupees and issued by a Domestic Depository (custodian of securities registered with SEBI) against the issuing company's underlying equity. A regressive tax is one that puts a lower burden (in terms of resources) on those who are wealthy. A progressive tax, on the other hand, burdens the affluent more heavily. Any adjustment to the tax system that makes it less progressive is also known as regressive. A regressive tax is one that is levied evenly and imposes a higher burden on the poor.against the issuing company's underlying equity. A regressive tax is one that puts a lower burden (in terms of resources) on those who are wealthy. A progressive tax,
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suppose a population grows approximately 3% per year. if the population was 30,000,000 people in 2015,
In a situation wherein the population of a country is 30,000,000, and it grows at the rate of 3 percent every year, then it will be 30,900,000 in the next year.
The increase in population can be regarded as a concept wherein there is a situation of surplus growth in the rate of population in a particular geographical region. The calculation of the growth rate of population in the above condition, is as shown below,
Total Population in 2016 = Population in 2015 + Growth Rate
Total Population in 2016 = 30,000,000 + 3%
Total Population in 2016 = 30,000,000 + 900000
Total Population in 2016 = 30,900,000
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Complete question
Suppose a population grows approximately 3% per year. If the population was 30,000,000 people in 2015, then what will be the total population in the year 2016?
When a nation has a population of 30,000,000 and it increases by 3% annually, the population will reach 30,900,000 in the next year.
The notion of population growth may be thought of as a situation where the rate of population growth in a certain geographic area is growing faster than average. Below is a computation of the population growth rate under the aforementioned circumstances.
The population in 2016 equals the population in 2015 plus the growth rate.
In 2016's total population is 30,000,000 plus 3%.
In 2016's total population is 30,000,000 plus 900000.
30, 900,000 was the total population in 2016.
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Note: The complete question would be as bellow,
The current (2015) population of Eugene is approximately If the population growth rate remains at 3% per year, approximately when will the city of Eugene have 30,000,000 people?
A federal statute prohibits the construction of nuclear energy plants without a license from the Federal Nuclear Plant Siting Commission. The statute provides that the Commission may issue a license authorizing the construction of a proposed nuclear energy plant 30 days after the Commission makes a finding that the plant will comply with specified standards of safety, technological and commercial feasibility, and public convenience. In a severable provision, the Commission's enabling statute also provides that the Congress, by simple majorities in each house, may veto the issuance of a particular license by the Commission if such a veto occurs within 30 days following the required Commission finding. Early last year, the Commission found that a particular energy company met all statutory requirements and, therefore, voted to issue the energy company a license authorizing it to construct a nuclear energy plant. Because they believed that the issuance of a license to the energy company was not in accord with the applicable statutory criteria, a majority of each of the two houses of Congress voted, within the specified 30-day period, to veto the license. On the basis of that veto, the Commission refused to issue the license. Subsequently, the energy company sued the Commission in an appropriate federal district court, challenging the constitutionality of the Commission's refusal to issue the license. In this suit, the court should hold the congressional veto of the license of the energy company to be
A: invalid, because any determination by Congress that particular agency action does not satisfy statutory criteria violates Article III, Section 1 of the Constitution because it constitutes the performance of a judicial function by the legislative branch.
B: invalid, because Article I, Section 7 of the Constitution has been interpreted to mean that any action of Congress purporting to alter the legal rights of persons outside of the legislative branch must be presented to the President for his signature or veto.
C: valid, because Congress has authority under the commerce clause to regulate the construction of nuclear energy plants.
D: valid, because there is a compelling national interest in the close congressional supervision of nuclear plant siting in light of the grave dangers to the public health and safety that are associated with the operation of such plants.
D: valid, because there is a compelling national interest in the close congressional supervision of nuclear plant siting in light of the grave dangers to the public health and safety that are associated with the operation of such plants.
What is nuclear plant?A nuclear power plant is a facility that uses nuclear reactions to generate electricity. These plants use a process called nuclear fission, which involves the splitting of atoms, to release energy in the form of heat. This heat is then used to create steam, which powers a turbine generator to produce electricity. Despite these concerns, nuclear power plants still play a significant role in providing electricity to the world, with the Bulletin of the Atomic Scientists stating that nuclear power continues to be a viable energy source in the fight against climate change.To learn more about nuclear plant refer:
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gil wants to have $9,750 in 8 years. use the present value formula to calculate how much he should invest now at 3% interest, compounded semiannually in order to reach his goal.
When he should invest, $8540.43 is the present value.
What is meant by the word "investment"?
Investments are things or assets that are bought with the hope of making money or appreciating in value. Appreciation is the term used to describe when the value of an item increases over time.
A person who purchases something as an investment does not want to use it right immediately; rather, they want to use it to profit from it in the future.
Present value of a future value can be calulated using PV factor.
Here, interest rate will be considered 1.5/2%=0.75% and period is 16 because interest is compounding semiannually.
Present value=$9625(P/F,0.75%,16)
=$9625*0.8873
= $8540.43
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which of the following is an indicator of how much output the average person would get if all output were divided up evenly among the population? multiple choice gdp. economic growth. per capita gdp. real gdp.
Per capita GDP is an indicator of how much output the average person would get if all output were divided up evenly among the population.
The correct answer is option C.
Per capita income is the average annual income per person for a country over a specific time period. It contrasts the gross domestic product of a country with its whole population.
Per capita GDP is a measurement of a country's economic output that accounts for its population. It divides the country's GDP by all of its citizens. It is a reliable measure of a country's standard of living. It demonstrates how wealthy a country is viewed as by each of its citizens.
It is calculated by dividing the GDP of a nation by its population.
C. Per capita GDP is the optimal solution, taking into account both the question and the explanation.
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identify product-market expansion strategy is described in each scenario. the scenarios describe the strategy of the well-known white oasis hotel chain. the chain currently operates 15 midscale and upscale brands, with properties spread out relatively evenly across north america and western europe
Scenario 1: The White Oasis hotel chain expands into Asia by opening new properties in major cities such as Tokyo, Singapore, and Hong Kong.
Product-market expansion strategy: Market development, the company is expanding into new geographic markets (Asia) with its existing products (midscale and upscale brands).
Scenario 2: The White Oasis hotel chain partners with a luxury car rental company to offer bundled vacation packages to guests. Product-market expansion strategy: Market penetration, the company is offering a new service (luxury car rentals) to its existing customer base to increase sales and market share.
Scenario 3: The White Oasis hotel chain opens a new budget brand targeted at young travelers.
Product-market expansion strategy: Product development, the company is introducing a new product (budget brand) to its existing markets (North America and Western Europe) to target a new segment of customers (young travelers).
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XYZ Company has a target capital structure of 60% common stock, 30% debt, and 10% preferred stock. The company wishes to issue new bond ($1,000 par value) with 10% coupon rate and 30 years to maturity. The flotation costs will be $20 and the bond has to be sold at 5% discount. To issue new preferred stock the company has to pay $2 as flotation cost. The market value of preferred stock is $8 and stock will pay $1 dividend. New common stocks will cost the company $2. The expected dividend is $3 and the market value is $19 and growth rate of 5%. Tax rate is 40%. What is the weighted average cost of capital?
The approximate weighted average cost of capital of debt is 7.73% when Tax rate is 40%.
What is a Tax rate?A tax rate is the percentage at which someone or a business is taxed. City or regional income taxes are also levied in some localities. With a progressive tax rate, more money is taken in from taxpayers who make more money.
The federal government and several state governments in the United States both employ a progressive tax rate system, meaning that as taxable income for an individual or corporation rises, so does the percentage of tax that must be paid.
A portion of the taxpayer's earnings or money is collected and given to the government, regardless of whether it comes from wages or salaries, investment income like dividends and interest, capital gains from investments, or profits obtained from selling goods or services.
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Next, choose the best answer to complete the sentence, by using your knowledge of the creative process.
A sample of individuals who represent the target audience for the ad may be asked to evaluate the ads developed by the creative team to measure the effectiveness of the ad. Ad testing is part of the __ phase of the creative process. Imagine you are the managing supervisor for the team tasked with conducting a root cause analysis for a intermittent failure in one of the products your company manufactures. Answer the question posed.
Once the team has identified what it believes to be the root cause of the intermittent product fallures, which action should you take? - Suggest the team stop working for a while and instead spend a few hours playing a game. - Request a series of tests to see if the results support the findings of the team. - Gather documentation on the product including its design blueprints, past manufacturing reports, and the client complaints describing the product fallures. - Ensure the team that their hard work will be appreciated.
Ad testing is part of the preparation phase of the creative process.
Once the team has determined the root cause of the intermittent product failures, the following steps should be taken: gather product documentation, including design blueprints, past manufacturing reports, and client complaints describing the product failures.
Preparation is the first step in the creative process: gathering information and materials, identifying inspiration sources and learning about the project or problem at hand. This is frequently an internal process involving deep thought in order to generate and engage with ideas, as well as an external process involving going out into world to collect the necessary data, resources, materials, and expertise.
Fault management consists of three steps: error detection, error diagnosis, and error recovery. Error detection tracks events such as network device alarms, performance degradation, and application failures.
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Although the dollar sign, $, is a legal identifier character, you should not use it because it is normally used for special purposes. True or False
This same dollar sign is still a legal identifier, however even if it is, you shouldn't use it because it's often reserved for particular circumstances.
What, if any, legal significance?A way of indicating that there really is no instances or illustrations of the core notion in inquiries or statements. The term is used in the case sentence below and then demonstrate that the writer is aware that there could not be any disclosure obligations at all.
What makes legal terminology crucial?Legislation can benefit from the use of definitions. The purpose of defining terms or phrases in a legislative document is to give the reader explicit instructions on how to interpret such words or phrases.
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we can leverage this model to tell the company even more information. of course the company is interested in demand, but what they are really interested in is revenue. how much money they will be bringing in. if they lower the selling price, they might get more demand but they bring in less money per shirt. they need to know how this will affect their revenue. revenue
The firm may use this model to make data-driven decisions that will help it maximize revenue and expand. It is true that this paradigm may be used to give the business additional data.
The business may make educated judgments about its pricing strategy, production levels, and other aspects that impact revenue by examining the link between demand and revenue. This data may be used by the business to optimize pricing, identify the most lucrative product categories, and make other tactical choices that will eventually boost sales. The model may also be used to forecast future sales based on changes in demand, enabling the business to prepare for development and expansion in the future.
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give an example with two players where each player has 4 strategies and there are no strictly dominant or strictly dominated strategies
One example of two players with 4 strategies each, where there are no strictly dominant or strictly dominated strategies is a game of rock-paper-scissors-lizard-spock.
Player 1 can choose between 5 strategies: rock, paper, scissors, lizard, and Spock.
Player 2 can also choose between the same 5 strategies: rock, paper, scissors, lizard, and Spock.
In this game, none of the strategies strictly dominate or are strictly dominated by another strategy.
Each strategy has a unique relationship with the other strategies; for example, rock crushes scissors and lizard, but loses to paper and Spock.
This means that the outcome of the game is not determined by one strategy being superior to the others, but rather by the specific combination of strategies chosen by the two players.
In this game, the best strategy is to be aware of the other player's strategy and adjust accordingly.
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multiple choice question referring to the graph, suppose the demand for bottled water decreases by 400 bottles at each price. what are the new equilibrium price and quantity in this market?
Increase Both the demand and the supply curves for insulation will shift to the right.The equilibrium quantity will increase relative to its initial level.
An increase in demand shifts the demand curve rightward,and a decrease in supply shifts the supply curve leftward.If demand decreases and supply decreases then equilibrium quantity goes down,and the equilibrium price could go up,down,or stay the same.When the decrease in demand is greater than the increase in supply,the relative shift of demand curve is proportionately more than the supply curve.Effectively,both the equilibrium quantity and price fall.Here,the leftward shift of the demand curve is less than the rightward shift of the supply curve conversely,when the price rises, the quantity demanded decreases. For example, when the price rises from $1.00 to $1.50 a bottle,the quantity demanded decreases from the growth in per capita consumption of automatic packaged bottled water in India today can be attributed to several factors, including increased health consciousness,poor tap water quality, increased tourism, and the accessibility of bottle.
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which of the following statements are generally true of people with high emotional intelligence? (choose every correct answer.)
The make up a majority of the high performers in the workplace is generally true of people with high emotional intelligence.
What is emotional intelligence?Emotional intelligence is most commonly referred to as the ability to perceive, use, understand, manage and process emotions. Emotional Intelligence (EI) is the ability to manage your emotions and understand the emotions of those around you. Emotional Intelligence has five key elements. Self-confidence, self-regulation, motivation, empathy and social skills. Emotional intelligence is the ability to recognize and regulate your own emotions and understand the emotions of others. High EQ builds relationships, reduces team stress, resolves conflicts, and increases job satisfaction. Emotional intelligence builds better working relationships, adds value to your role, collaborates with others to solve problems, drives new ideas, and sets you and your organization up for success. It's a skill that gives you confidence.To learn more about emotional intelligence from the given link :
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Ending Stockholders' Equity (for example, Common Stock and Retained Earnings) flows from the ________.
balance sheet to the statement of stockholders’ equity
statement of stockholders’ equity to the balance sheet
income statement to the balance sheet
Ending Stockholders' Equity flows from the statement of stockholders’ equity to the balance sheet.
One who holds at least one share of a company's capital stock is referred to as a stockholder, shareholder, or stockholder. The majority of the owners of a company are its stockholders, who often benefit from its success in the form of rising stock prices. A person or legal organisation that is officially recognised by a corporation as the owner of shares of the share capital of a public or private corporation is referred to as a shareholder. A corporation's members may be referred to as shareholders. Common shareholder is a term used to describe a person who owns shares of common stock in a firm. The corporation's board of directors is chosen by the company's common investors, who also have a say in some decisions such corporate mergers.
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Please answer the question
Strong sales or a lack of inventory that would allow for such sales at that rate are implied by a high ratio. An inventory surplus, sluggish market demand, or weak sales are all indicated by a low ratio, on the other hand.
What occurs if the inventory turnover rate is too high?When things are selling quickly and there are strong sales during a certain time frame, the inventory turnover ratio is typically high. To the contrary, a high inventory ratio could necessitate frequent restocking, which might result in stockouts.The turnover ratio also informs a lot about the forecasting, inventory control, and sales and marketing skills of a corporation. Strong sales or a lack of inventory that would allow for such sales at that rate are implied by a high ratio. An inventory surplus, sluggish market demand, or weak sales are all indicated by a low ratio, on the other hand.The complete question is,
How much inventory turnover occurs? The impact of a high inventory turnover during the Christmas shopping season should be discussed.
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The pound shows a forward premium against the dollar (the forward rate is greater than the spot rate) when
a.
interest rates in the United Kingdom are higher than those in the United States
b.
interest rates in the United Kingdom are lower than those in the United States
c.
real GDP is higher in the United Kingdom than in the United States
d.
real GDP is lower in the United Kingdom than in the United States
The pound shows a forward premium against the dollar (the forward rate is greater than the spot rate) when interest rates in the United Kingdom are higher than those in the United States. Hence, option B is correct.
On December 15, the Bank of England increased interest rates for the ninth time in a row, bringing the base rate to 3.5 percent. Following a 0.75% raise on November 3, there was a 0.5% increase. After these two increases, the bank rate has reached its highest point since October 2008.
The UK base interest rate has increased by the Bank of England to 3.5%. In this tightening cycle, there is not the slightest chance that rates will return to 10% or higher. The financial markets predict that when the Bank takes additional steps to combat inflation, they will peak at 4.75% the following year.
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buying a television based on its brand name, or purchasing a product based on a celebrity endorsement are examples of: buying a television based on its brand name, or purchasing a product based on a celebrity endorsement are examples of: systematic processing parallel processing central processing heuristic processing
buying a television based on its brand name, or purchasing a product based on a celebrity endorsement are examples of: heuristic processing
Heuristic processing makes use of acquired and memorized knowledge structures, which are judgement rules.The heuristic technique has an economic benefit because it requires the recipient to exert the least amount of cognitive work. The idea of "satisficing" is connected to heuristic processing.
The principles of accessibility, usability, and applicability control heuristic processing. When a knowledge structure, such as a heuristic, is available, it means that it is kept in memory for potential application. Accessibility of the heuristic refers to the capability of using memory retrieval. The relevance of the memory to the task of making judgments is referred to as the heuristic's applicability. A person adopting heuristic information processing is likely to concur with messages presented by experts or statements that are supported by others, due to the usage of knowledge structures, without fully analyzing the semantic content of the message. [9] Heuristic processing, as opposed to systematic processing, involves evaluating the truthfulness of communications by relying more on readily available context information, such as the source's identity or other non-content cues. Heuristic theories, then, downplay the importance of carefully evaluating the material and instead emphasize the function of straightforward principles or cognitive heuristics in mediating persuasion.
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on october 8, blooming landscape inc. rented a piece of machinery for the day for $2,000 to be billed later. on october 20, blooming landscape inc. received a bill for the rental and paid the bill. on october 20, how are the following blooming landscape inc. accounts effected:
On October 20, when Blooming Landscape Inc. received and paid the bill for the machinery rental, the accounts payable and cash accounts were decreased, and the rental expense account was increased.
On October 8, when the machinery was rented, Blooming Landscape Inc.'s accounts payable account would have increased by $2,000 as they were obligated to pay for the rental in the future.
On October 20, when the bill was received and paid, the accounts payable account would decrease by $2,000 as the obligation to pay has been fulfilled.
The cash account would also decrease by $2,000 as the company paid the bill.
The rental expense account would increase by $2,000 as it is now recorded as an expense for the company.
In summary, the accounts payable and cash accounts were decreased while the rental expense account was increased on October 20 when Blooming Landscape Inc. received and paid the bill for the machinery rental.
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an overview of financial management and the financial environment: forms of business organizationthe basic concepts of financial management are the same for all businesses, regardless of how they are organized. however, a firm's legal structure affects its operations. the main forms of business organizations are: (1) proprietorships, (2) partnerships, (3) corporations, and (4) limited liability companies (llcs) and limited liability partnerships (llps). in terms of numbers, most businesses ar
The majority of businesses are sole proprietorships, but the majority are corporations based on dollar sales. Most of the time, businesses start out as sole proprietorships and become corporations when their growth causes problems.
What is meant by Sole Proprietorship here?A sole proprietor is a person who owns an unincorporated business on their own. However, if you treat a domestic limited liability company (LLC) as a corporation, you will not be treated as a sole proprietor even if you are the LLC's sole member.
A local grocery store, clothing store, artist, freelance writer, IT consultant, freelance graphic designer, etc., are examples of small businesses. that are an illustration of a sole proprietor.
No distinction is made between the business and its owner in a non-incorporated, unregistered sole proprietorship. The sole proprietor is responsible for the company's debts, losses, and liabilities in addition to receiving all profits.
What are the three advantages of being your own boss?
One advantage of being a sole proprietor is:
You have control.You keep all of the money.The cost of starting is low.You keep everything to yourself.Starting and running a business on your own is simple.It is simple to liquidate your business and alter your legal structure later if circumstances change.To know more about Sole Proprietorship, visit:
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fenton incorporated plans to do business with a company located in the leone republic, a common law country. the companies have agreed to draft the business contract in the leone republic. since the contract will be drafted under a common law framework, it will be multiple choice somewhat general since many issues are already covered in the law. less expensive than a contract drafted under a civil law system. short. very detailed with all contingencies spelled out. easy to draft.
The contract will be prepared within a common law framework and will be based on custom, precedent, and common law.
When contracts are formed in a common law system, judges have the flexibility to interpret disagreements based on the present situation. Court precedent dictates how cases are resolved in a common law system. Legal precedents are established by case law. This provision forbids employees from divulging any trade secrets or other private information. A clause in a contract is enforceable under state and federal law together with the rest of the contract. A sort of agreement known as an informal contract can be upheld without the necessity for any kind of legal action.
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during the months of january and february, hancock corporation sold goods to three customers. the sequence of events was as follows: Assuming that Sales Discounts is treated as a contra-revenue, compute net sales for the two months ended February 28.
Assuming that Sales Discounts is treated as a contra-revenue, compute net sales for the two months ended February 28 . The net sales is $ 2,720.
Calculating of problem:Net sales for the two months ended December 31
Net sales = Gross sales - Sales discount
= $1,500 + $850 + $400 - $1500 × 2%
= $2,750 - $30
= $2,720
Sales discount:
A sales discount is a price cut that a seller gives to a buyer in exchange for early payment of a product or service. When a seller is short on cash or wants to reduce the recorded amount of its outstanding receivables for other reasons, it may offer a sales discount.
What is the entry of a sales discount?At the time of recording in the income statement, the sales discounts are directly deducted from the gross sales. To put it another way, no cash or trade discount sales discount is included in the income statement's value of sales.
Question is incomplete:
During the months of January and February, Hancock Corporation sold goods to three customers. The sequence of events was as follows:
Jan. 6 Sold goods for $1,500 to S. Green and billed that amount subject to terms 2/10, n/30.
6 Sold goods to M. Munoz for $850 and billed that amount subject to terms 2/10, n/30.
14 Collected cash due from S. Green.
Feb. 2 Collected cash due from M. Munoz.
28 Sold goods for $400 to R. Reynolds and billed that amount subject to terms 2/10, n/45.
Assuming that Sales Discounts is treated as a contra-revenue, compute net sales for the two months ended February 28.
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hypervalent iodine as a terminal oxidant in wacker-type oxidation of terminal olefins to methyl ketones
"Hypervalent Iodine as a Terminal Oxidant in Wacker-Type Oxidation of Terminal Olefins to Methyl Ketones" is an article written by Dipali A Chaudhari and Rodney A Fernandes.
Dipali A Chaudhari and Rodney A Fernandes recently published a paper entitled Hypervalent Iodine as a Terminal Oxidant in Wacker-Type Oxidation of Terminal Olefins to Methyl Ketones. In the article, the authors explore the possibility of using hypervalent iodine as a terminal oxidant in the Wacker-type oxidation of terminal olefins to methyl ketones.
The article provides detailed information on the method, reactivity, and limitations of using hypervalent iodine as a terminal oxidant. This paper is an excellent source of information for researchers in the field of organic chemistry.
--------The given question is incomplete, the complete question is:
"What is 'Hypervalent Iodine as a Terminal Oxidant in Wacker-Type Oxidation of Terminal Olefins to Methyl Ketones'?"--------
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classify each of the following business activities as either an operating activity, investing activity, or financing activity. a companv pas a dividend to its stockholders. choose.. a companv pavs cash tor the purchase of equinment to be used in its business. the equioment will be used for ten years choose.. a company receives slu.uuu cash
Banks, Investment Companies and Mutual Fund are financing companies. All trading companies, manufacturing companies and other business establishments are non - financing companies.
Nonbank financial institutions include insurance firms, venture capitalists, currency exchanges, some microloan organizations, and pawn shops. These non-bank financial institutions provide services that are not necessarily suited to banks, serve as competition to banks, and specialize in sectors or groups. A non banking financial company (NBFC) is a company registered under the Companies Act, 1956 engaged in the business of loans and advances, acquisition of shares/stocks/bonds/debentures/securities issued by Government or local authority or other marketable securities of a like nature, leasing, hire-purchase, insurance. Non-financial corporations produce goods and services for the market and do not, as a primary activity, deal in financial assets and liabilities. The Reserve Bank of India is not a commercial bank because it is the central bank of India with the authority to issue currency in the country.
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Valley Spa purchased $9,600 in plumbing components from Tubman Co. Valley Spa signed a 45-day, 10% promissory note for $9,600. If the note is dishonored, what is the amount due on the note? (Use 360 days a year.)
If Valley Spa purchased $9,600 in plumbing components from Tubman Co. the amount due on the note is $9,720.
How to find the amount due on the note?Interest = Principal x Stated Rate x Period of the Note
Interest = $9,600 x 10% x ( 45 days / 360 )
Interest = $120
Accounts Receivable = Principal Amount Owed + Interest Owed
Accounts Receivable = $9,600+ $120
Accounts Receivable = $9,720
Debit Accounts Receivable-Valley Spa $9,720
Credit Interest Revenue $120
Credit Notes Receivable $9,600
Therefore the amount is $9,720
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are to measure business activities of a company and to communicate information about those activities to investors and creditors and other outside users for decision-making purposes.
Financial statements provide a snapshot of a company's financial position at a given point in time and provide information about the company's assets, liabilities, and equity.
Financial statements also provide information about a company's income, expenses, and cash flows. This information is used by investors and creditors to assess the financial health of a company and to make decisions about whether to invest in or lend money to the company. Financial statements also provide information to other outside users, such as regulators, customers, and suppliers, which can be used to make decisions about the company. Additionally, financial statements are used to measure the performance of a company over time. This is done by comparing the financial statements of different periods to identify trends in the company's financial performance. For example, a company's income statement can be used to compare the company's revenue and expenses over time to identify trends in the company's profitability. Similarly, a company's balance sheet can be used to compare the company's assets and liabilities over time to identify trends in the company's financial position. By analyzing financial statements over time, investors and creditors can make more informed decisions about whether to invest in or lend money to the company.
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Marco works in the human relations department of his company. Which of the following are problem-solving pieces he might write? Select all that apply.
*an e-mail explaining how flexible hours will improve employee morale
*a memo explaining how to reduce the company's high medical insurance costs
A document outlining how to lower the company's excessive medical insurance expenses, or an email outlining how flexible hours can boost employee morale.
Rent, utilities, pay, salary, maintenance, depreciation, insurance, and the cost of items sold are a few examples of expenses. The costs of basic life are those required for day-to-day existence, as the term implies. Housing, food, clothing, transportation, healthcare, and pertinent miscellaneous fees are only a few of the major areas that fall under the heading of "basic living expenses," as the term implies. Financial expenses generally fall into one of three categories: fixed, variable, or periodic. Expenses like office rent or personnel or your own automobile lease payments are examples of fixed expenses that don't alter for a long time. Monthly fluctuations in variable expenditures are common. such meals and entertainment, or utilities.
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under the uniform securities act, if an investment adviser wishes to take custody of customer funds or securities, it must: a notify each customer of the location where the funds are held no later than on the first account statement sent to the customer b submit to an annual audit conducted on a random basis by the administrator c perform a quarterly physical count of securities and funds held and reconciliation with the adviser's records d hold the assets in either a bank or brokerage account where the adviser is the trustee acting for the benefit of the customer
Under the Uniform Securities Act, if an investment adviser wishes to take custody of customer funds or securities, it must hold the assets in either a bank or brokerage account where an adviser is the trustee acting for the benefit of the customer.
What is Uniform Securities Act?The Uniform Securities Act is a model law created to help each state create its own state securities law. All of the Uniform Securities Act's may be enforced in each state by the state securities administrator. The registration of a security, an agent, or a firm may be refused, revoked, or suspended by the state securities administrator.
Along with the federal Securities and Exchange Act, the Uniform Securities Act (USA) offers fundamental investor protection against securities fraud. The statute only applies to securities that are not governed by the Securities and Exchange Commission.
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