The best descriptive explanation for a firm utilizing less leverage than optimal in a way that will help the firm to capture market share from others in its industry is.
The explanation that the firm's managers are probably more risk averse, with respect to the firm's capital structure, than shareholders. This explanation suggests that the firm's managers prioritize risk aversion over maximizing leverage to capture market share. By maintaining a lower level of leverage, the firm aims to minimize financial risk and ensure stability, which can be attractive to customers and investors. The managers may believe that a conservative capital structure will enhance the firm's reputation and credibility, allowing it to gain market share by being perceived as a reliable and secure choice. This strategy aligns with the manager's risk aversion and their focus on long-term sustainability rather than short-term gains through higher leverage.
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Which group tried to learn American Indian languages and customs?
What programs are always running when your computer is turned on? Enter the names of the programs in the space provided.
Answer:
The French
Explanation:
Edge babyyyyy
It was a friday night. All the employees had long left for the day except for a select group of senior staff
Other incident cards that could be expected in a snow emergency scenario include: building collapse due to snow accumulation, flooding caused by snowmelt, road closures due to heavy snow, communication network failure, and supply chain disruptions.
The proper response for each of these incidents will depend on the specific details of the situation. For example, in the case of a building collapse, the organization should ensure that everyone is safely evacuated and accounted for, and then activate their disaster recovery plan to relocate operations to a secondary site.
In the case of road closures, the organization may need to make arrangements to transport employees and critical equipment to alternative locations. The key is to have clear protocols and procedures in place for each potential scenario, so that everyone knows what to do in an emergency.
This question should be provided as:
Contingency Planning Case StudyIt was Friday night. All the employees had long since left for the day, except for a..............................................................around the conference table with binders open and index cards in hand. Hedda Linn, who was facilitating the meeting, turned to Al Agostino, who was the acting incident manager for this meeting, and said, “It’s your turn.”
Al looked at the next index card in his deck. The two words made him grimace: “Power out.” Hedda asked, “How widespread and for how long?”..............................................................Meredith flipped a page in her binder and replied, “Days. If we have to, we can siphon gas from employee vehicles! With the reserve tank, supplemented by gas from employee vehicles, we have plenty of fuel, provided the generator doesn’t break down.”
“Whew! That’s a relief.” .............................................................. “OK, what’s our next step?” He glanced over at Hedda.
Hedda said, “Good job everybody. Al, flip the next card.”
Review the scenario above, and then consider these questions:
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Mr. And mrs. Khan paid interest on their mortgage this year. They also had deductible home-related expenses. The interest and expenses total an amount greater than the standard deduction. Which action can they take to reduce their income tax liability?.
Income tax is a type of tax that governments impose on the income earned by people and enterprises under their control.
Taxpayers are required by law to submit an income tax return each year in order to determine their tax obligations. See whether the following is true: A) Mr. and Mrs. Khan can utilize the interest expenditure as a credit to lower the tax they owe because interest expenses are not deductible B) They can itemize deductions and write off the interest charge.
Itemize deductions will lower the amount of income tax due.
C) They can ask the IRS to repay them for their interest costs.
-Reimbursement is a form of discount; it is not included in reduction; it is a part of cashback.
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Some economists argue that the american medical association and the american bar association create an effect on labor markets similar to that of a labor union. Do you agree?
Both American medical and American bar association create labor markets this is because the two associations both employ individual that are qualified for their fields restricting entries on unqualified candidate.
What is labour market?Labour market is a platform for labour demand and supply such that he employees provide all there service demanded of them and the employer supplies all that the employee demands.
The two associations both provides employee that are qualified for their fields and medical and
demand and supply of labour are both regulated.
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An item is regularly priced at 70$. It is on sale for 20% off the regular price. What is the sale price?
ITS 7TH GRADE MATH BTW!
Answer:
it's 56.
Explanation:
70*0.8=56
You decide you want to be a child and family social worker focusing on adoptions. Who might be one of the most important people to interview about further learning in this field? police teacher lawyer doctor
Answer:
lawyer
Explanation:
Answer:
lawyer
Explanation:
Palmona Company establishes a $310 petty cash fund on January 1. On January 8, the fund shows $205 in cash along with receipts for
the following expenditures: postage, $43; transportation-in, $14; delivery expenses, $16; and miscellaneous expenses, $32. Palmona
uses the perpetual system in accounting for merchandise inventory.
1. Prepare the entry to establish the fund on January 1.
2. Prepare the entry to reimburse the fund on January 8 under two separate situations:
a. To reimburse the fund.
b. To reimburse the fund and increase it to $360. Hint. Make two entries.
The entry to establish the fund on January 1 is: Debit Petty Cash Fund 310, Credit Cash 310
How to prepare journal entry?1. Entry to establish the fund on January 1:
Debit Petty Cash Fund 310
Credit Cash 310
2a. Entry to reimburse the fund on January 8:
Debit Postage Expense 43
Debit Transportation-In Expense 14
Debit Delivery Expense 16
Debit Miscellaneous Expense 32
Credit Cash 105
2b.8-Jan
Debit Petty Cash $255
($360 - $105)
Credit Cash $255
(Being increment of petty cash recorded)
Therefore the entry is Debit Petty Cash Fund 310, Credit Cash 310.
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Which of the given techniques is a way of assessing the entrepreneurial environment?
A. SWOT analysis
B. free writing
C. mind mapping
D. self-analysis
Answer:
A. SWOT analysis
Explanation:
A SWOT analysis is a business administration technique that assesses both the internal and external enviroment of a business.
The internal enviroment consists of the firm's strengths and weaknesses, while the external enviroment consists of the threats and opportunities that the firm has to face.
Once these factors are added in the SWOT matrix, strategies are formulated taking into account two elements of each of these factors at the time. For example, one strategy can combine a weakness and and a threat, while another strategy can combine a strength and an opportunity.
3. Which of the following is not a characteristic of a good citizen?
obeying laws
being informed about key issues
using natural resources wisely
owning property
Answer:
Owning property
Explanation:
Its the only one that affects solely 1 person rather than benefit the community as a whole
Giving brainliest to the best answer :)
Answer:
B. a brand new automobile dealership opens in town.
Explanation:
In Economics, there are primarily two (2) factors which affect the availability and the price at which goods and services are sold or provided, these are demand and supply.
The law of demand states that, the higher the demand for goods and services, the higher the price it would be sold all things being equal.
Thus, there exist a negative relationship between the quantity of goods demanded and the price of a good i.e when the prices of goods and services in the market increases or rises: there would be a significant decline or fall in the demand for this goods and services.
This ultimately implies that, an increase in the price level of a product usually results in a decrease in the quality of real output demanded along the aggregate demand curve.
An aggregate demand curve gives a negative relationship between the aggregate price level for goods or services and the quantity of aggregate output demanded in an economy at a specific period of time.
Most economists use the aggregate demand and aggregate supply model primarily to analyze short-run fluctuations in the economy.
This simply means that, whatever makes the factors of production such as, land, labor, entrepreneurship, capital, or efficiency to either go up or down would certainly result in fluctuations in the economy of a particular country. Similarly, a positive increase of the aggregate demand or supply curve results in a rightward shift while a decrease would cause a leftward shift.
In this scenario, the factors which would shift the demand curve for automobile are;
I. A fall in the price of gasoline.
II. An increase in the amount of money being paid to its workers.
However, the demand curve for automobile wouldn't shift to the right because a brand new automobile dealership opens in town. This is more likely to shift the aggregate supply curve to the right.
heidi company is considering the acquisition of a machine that costs $428,400. the machine is expected to have a useful life of six years, a negligible residual value, an annual net cash flow of $119,000, and annual operating income of $70,000. what is the estimated cash payback period for the machine (round to one decimal point)?
The expected monetary payback period for equipment is 3.6 years, according to the announcement.
What are the 3 types of income?These three fundamental kinds of income are earned, passive, and portfolio. Salary, tips, sales, and wages are all examples of earned money. Potential passive or undeserved sources of income include limited partnerships, rental properties, and royalties. Investment can come in the form of interest, dividends, or capital gains on assets. It might be difficult to understand how each form of income is taxed, and you might use internet income tax calculator to do so.
Briefing:The following is the payback period formula:
Initial investment minus annual cash flows equals payback period.
Annually operating income is just provided as a diversion in the inquiry.
payback period = $428,400 ÷ 119,000
payback period =3.6years.
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When you plan a presentation, how should you make sure you stay on track as you talk?
A. Make a list of general topics and points you want to cover.
B. Write out every word of the presentation on notecards.
C. Memorize every word of the presentation in your head.
D. Have the audience tell you what else you need to talk about.
Answer:
A make a list
Explanation:
Answer:
It's A. Make a list of general topics and points you want to cover.
Explanation: hope it helps ^w^
Why would a business choose to be a private limited company?
Answer:
Stability due to Limited Liability: Private Limited Company has this feature of limited financial liability of all the shareholders. The liabilities are limited to their shares only. This feature protects the personal assets and income of shareholders at times of any financial crisis faced by the company.
cos of the limited liability of it's share holders.
easier to maintain
it's flexible Management structure
easier to raise capital
it's protection from creditors
An international business is a firm that
Part 2
A. hires non-U.S. citizens.
B. produces a wide range of products.
C. is not from the United States.
D. engages in international trade or investment.
Option D: An international business is a firm that engages in international trade or investment.
Therefore, the correct answer is option D. An international business is a company that conducts business across national borders. This can include importing and exporting goods, investing in foreign markets, and operating in multiple countries.
It is not necessarily defined by the nationality of its employees, the range of products it produces, or the country in which it is headquartered. International business refers to the trade of goods, services, technology, capital and/or knowledge across national borders and at a global or transnational scale. It involves cross-border transactions of goods and services between two or more countries.
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The government claimed that, to illegally control the market, Microsoft used
a. predatory pricing and mergers.
b. predatory pricing and buying out competitors.
c. predatory pricing and forming a cartel.
d. predatory pricing and requiring customers to buy other products.
Answer:
B. Predatory pricing and buying out competitors
Fitzgerald's
30-year
bonds pay
6
percent interest annually on a
$1,000
par value. If the bonds sell at
$865,
what is the bond's yield to maturity? What would be the yield
to maturity
The yield to maturity of Fitzgerald's 30-year bonds, selling at $865 with a 6% annual interest rate, is approximately 8.18%.
The yield to maturity (YTM) of a bond is the annualized return an investor can expect to earn by holding the bond until it matures. It takes into account the bond's purchase price, coupon rate, time to maturity, and face value.
In this case, Fitzgerald's bonds have a 30-year maturity and a 6% annual interest rate. The bonds are selling at $865, which is lower than the face value of $1,000. To calculate the YTM, we need to find the discount rate that equates the present value of the bond's cash flows (coupon payments and face value) to the purchase price.
Using financial formulas or online calculators, the approximate YTM of the bonds is found to be around 8.18%. This implies that if an investor holds the bonds until maturity and reinvests the coupon payments at the same rate, the annualized return would be approximately 8.18%.
Therefore, the yield to maturity of Fitzgerald's 30-year bonds, selling at $865 with a 6% annual interest rate, is approximately 8.18%.
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I want to know about the difference between manufacturing business and service providing businees?plz.
briefly
Manufacturing businesses sell a different product than service businesses do. A manufacturing business creates and sells a physical product where a service business sells a service. For instance, a soap company is a manufacturing business. In contrast, a service business could be an accounting or a legal firm. In both cases, an action is for hire. The accountant will do taxes or the lawyer will prepare a brief. There is no physical product to sell; instead, the customer requires the service provider's involvement.
Explanation:Businesses tend to take one of two forms – manufacturing or service-oriented. As the names suggest, manufacturing businesses manufacture something where service businesses offer a service. Certainly, there are some businesses that do a little of both, like selling a product but also providing repair and leasing services. However, there are important differences between these business types, differences that span from the product sold to the way the company keeps its books.
Adrian is the DOSM and also serves as the property RM at the Clarion Conference Center Adrian is considering two altemative bid opportunities his hotel received from the local CVB. On a date in the future, two medical groups seck 150 rooms from his botel, but he can accommodate only one of them. The State Dentist's Association is willing to pay $199.00 per night for the 150 needed rooms ($29,850 total). This group will not hold its meetings onsite. The State Doctor's Association will pay only $139.00 per night for the rooms but will spend an additional $30,000 for meals and $7.500 for meeting space Adrian estimates the F&B- related GOP at $45.00 per room sold, and the meeting space-related GOP at $25.00 per sold room. Help Adrian decide which bid to pursue by completing the displacement worksheet he has begun then answer the questions that
Based on the displacement worksheet, it is recommended for Adrian to pursue the bid from the State Doctor's Association. Despite the lower room rate, the additional revenue from meals and meeting space, along with the estimated GOP, make it a more financially advantageous option.
The displacement worksheet helps assess the financial implications of accommodating each medical group. By comparing the total revenue and expenses associated with each bid, Adrian can make an informed decision. In the case of the State Dentist's Association, they are willing to pay $199.00 per night for the 150 rooms, resulting in a total revenue of $29,850. However, this group will not hold its meetings on-site, which means there won't be any additional revenue from meeting space or food and beverage (F&B) services. Therefore, the total revenue remains at $29,850. On the other hand, the State Doctor's Association is willing to pay a lower room rate of $139.00 per night for the 150 rooms, amounting to $20,850 in revenue. However, this group will spend an additional $30,000 on meals and $7,500 for meeting space. Taking these expenses into account, the total revenue increases to $58,350.
To further evaluate the financial impact, Adrian estimates the F&B-related GOP at $45.00 per room sold, resulting in an additional GOP of $6,750 for the State Doctor's Association. Additionally, the meeting space-related GOP is estimated at $25.00 per sold room, adding another $3,750 to the total GOP. Therefore, the estimated GOP for the State Doctor's Association bid is $10,500. Considering the total revenue and GOP, it is clear that the bid from the State Doctor's Association is the more lucrative option for the hotel. Despite the lower room rate, the additional revenue from meals, meeting space, and the estimated GOP make it a financially advantageous choice compared to the bid from the State Dentist's Association.
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QUICK!! FiRST PERSON TO ANSWER THIS CORRECTLY GETS BRAINLIES
Answer:
I belive it's A.
Explanation:
Becuase often times, they collect and file and that was the only one that really made sense to me. Let me know if im wrong though.
_________ is a communication standard that enables business partners to exchange routine documents electronically, however _____________________ is a major disadvantage
Answer:EDI
Explanation: I don’t know the second but the first one is 100% EDI
In which learning path activity do you analyze cases in a step-by-step manner to understand how the law affects business?.
A Learning Path activity that involves analyses of cases in a step-by-step manner to understand how the law affects business is Case Problem Analysis.
What is Case Problem Analysis.?
A case problem analysis can be regarded as a learning path that involves investigation of a business problem as well as the , examination of the alternative effective solution.
Therefore, Case Problem Analysis involves analyses of cases in a step-by-step manner to understand how the law affects business .
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Chick-fil-a released a statement to explain their partnership with Thrive Coffee and how the company is working to support local farmers. Which aspect of the promotional mix is this?
Question 29 options:
Advertising
Personal Selling
Public Relations
Sales Promotion
Answer:
C- Public Relations
Explanation:
Chick-fil-a is releasing the statement to the public. None if the other options make sense to fit it..
You are not advertising it so not AAnd you did not release the statement to promote selling a product so not BAnd you are not doing a sales promotion Chick-fil-a is just stating how they are working to support local farmers so not Dwhich of the following is not true about intra-industry trading? group of answer choices with intra-industry trading, comparative advantage is not fixed as taking advantage of economies of scale plays a larger role in productivity than geography or education levels intra-industry trading can keep costs low collectively, while giving consumers lots of options to choose from with intra-industry trading, countries can specialize in unique processes and skills in intra-industry trading, firms can often control the entire value chain for their product
Contrary to popular belief, using economies of scale to increase productivity has more of an impact on productivity with intra-industry commerce than geography or educational attainment.
Trade between nations that takes place inside the same industry or sector is referred to as intra-industry trade. Contrary to popular belief, disparities in educational attainment or geographic location do not necessarily have a significant impact on comparative advantage in intra-industry trade. In fact, maximising productivity through economies of scale may have a more profound effect on both productivity and competitiveness in intra-industry trade. By utilising economies of scale, businesses may cut their unit costs and provide consumers with a larger selection of items, increasing sales and profits. When businesses look to boost their efficiency and competitiveness in a worldwide market, this may lead to increasing specialisation and greater control over the value chain.
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If you do not complete high school, you are typically paid more than those who pursue post-secondary education Please select the best answer from the choices provided T F
Answer:
false
Explanation:
Post-secondary education refers to an education that goes beyond high school.
Answer:
false
Explanation:
The stage in the product life cycle when the market is saturated with competitors is known as the _____ stage. a. maturity b. growth c. introduction d. decline
Option (a), The stage in the product life cycle, when the market is saturated with competitors, is known as the maturity stage.
In the maturity stage, a product has already gone through the introduction and growth stages and has reached its peak level of sales. At this point, the market is typically saturated with competitors, meaning that there are numerous companies offering similar products. This high level of competition often leads to price wars and a focus on marketing and differentiation to maintain market share. Despite the intense competition, the product may still generate profits, but growth is unlikely. Eventually, the product will enter the decline stage as newer products and technologies emerge, making it less relevant to consumers.
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what important technology has done the most
K.Eckart had considered doing some advertising for her business costing $2500. She decided not to because in her type of industry, revenue increases resulting from advertising take a year to develop. If K.Eckart had, indeed, spent the money for advert what would have been her post closing capital account balance at the end of 2012?
Revenue account- $46,500
Expenses: Rent- $13,000
Salaries- $29,000
Utilities- $1,200
Depreciation- Equipment- $240
Professional fees- $1,100
The owner K.Eckart had a previous balance in the capital account of $23,500 and she withdrew $4,400 over the year from the business
If K.Eckart had spent the money for advertising, her post-closing capital account balance at the end of 2012 would have been $18,560.
K.Eckart's post-closing capital account balance at the end of 2012 if she had spent the $2,500 for advertising can be calculated as follows.
1. Calculate the total expenses including advertising:
Rent: $13,000
Salaries: $29,000
Utilities: $1,200
Depreciation - Equipment: $240
Professional fees: $1,100
Advertising: $2,500
Total expenses: $47,040
2. Calculate the net income:
Revenue account: $46,500
Total expenses: $47,040
Net income: $46,500 - $47,040 = -$540
3. Calculate the post-closing capital account balance:
Previous capital account balance: $23,500
Net income: -$540
Owner withdrawals: $4,400
Post-closing capital account balance: $23,500 - $540 - $4,400 = $18,560
K.Eckart post-closing capital account balance would have been $18,560.
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Sally owns a $1,000-par zero-coupon bond that has six years of remaining a. What is the expected price of the bond at the time of sale?
Answer:
$647.96
Explanation:
Sue the following formula to calculate the price of the bond at the time of sale
Price of Bond = Face value of the bond / ( 1 + Market interest rate )^numbers of years
Where
Face value of bond = $1,000
Market interest rate = 7.5%
Numbers of years = 6 years
placing values in the formula
Price of Bond = $1,000 / ( 1 + 7.5% )^6
Price of Bond = $647.96
Bitcoin is worth it?
what does revenue mean in accounting?
a. cash
b. profit
c. debit
d. customer sales
Answer:
b
Explanation:
hope itttttt helps
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