If you place a stop-loss order to sell 100 shares of stock at BDT 55 when the current price is BDT 62, how much will you receive for each share if the price drops to BDT 50?

Answers

Answer 1

Answer:

55 per share

Explanation:

A stop-loss is used to immediately sell a stock when it goes down to a certain point. In this example, 50 is beneath 55 so as BDT heads towards 50 it will reach 55. At 55, the selling begins and thus the investor gets 55 per share.


Related Questions

What is the Selling Division’s opportunity cost per unit from selling 3,000 units to the Purchasing Division? g

Answers

Answer:

the opportunity cost per unit is $19

Explanation:

The computation of the opportunity cost per unit is shown below:

The opportunity cost per unit is

= Selling price per unit - variable cost per unit

= $34 - $15

= $19

Hence, the opportunity cost per unit is $19

The same should be considered and relevant

We simply deduct the variable cost per unit from the selling price per unit so that the opportunity cost could come

The per-unit opportunity cost of the Selling Division is $19  and the total opportunity cost will be $57,000.

What is an opportunity cost?

Opportunity cost refers to the cost of a foregone alternative. It is the profit that can be achieved by choosing another available alternative.

In the given question, the company has two options, either to sell the product in the market or to sell it to the purchasing division.

If the company sells the product to the Purchasing Division, the opportunity cost will be the profit that can be achieved by selling the same in the market.The opportunity cost will be the contribution lost by not selling the product in the market.

The opportunity cost will be:

[tex]\rm Opportunity \:cost = Selling\:price - Variable \:cost\\\\\rm Opportunity \:cost = \$34 - \$15\\\\\rm Opportunity \:cost = \$19[/tex]

The number of units sold to the Purchasing Division is 3,000.

Therefore the total opportunity cost will be:

[tex]\rm Total \:opportunity \:cost = Number \:of\:units \times Opportunity \:cost\:per\:unit\\\\\rm Total \:opportunity \:cost = 3,000 \times \$19\\\\\rm Total \:opportunity \:cost =\$57,000[/tex]

Therefore the opportunity cost is $57,000.

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A 10-year loan in the amount of $100,000 is to be repaid in equal monthly payments. The interest rate is 12 percent, compounded monthly. What is the amount of principal paid in the loan payment for month 3

Answers

Answer:

The amount of principal paid in the loan payment for month 3 is:

= $443.45.

Explanation:

a) Data and Calculations:

Loan amount = $100,000

Interest rate per annum = 12%

Period of loan = 10 years or 120 months

Repayment of loan principal and interest = equal monthly payments.

3rd Month Payment:

Total payment = $1,434.71          

Interest                $991.26

Principal =           $443.45

Schedule of Payment for the first 3 months:

Period      PV                         PMT            Interest              FV

1            $100,000.00      $1,434.71       $1,000.00       $99,565.29

2            $99,565.29      $1,434.71         $995.65        $99,126.23

3             $99,126.23      $1,434.71          $991.26       $98,682.79

Show the change in the market for gasoline that is consistent with the following statement:

"When a war breaks out in the Middle East, the price of gasoline rises, and the price of a used Cadillac falls." (Hint: Assume that used Cadillacs are gas guzzlers that are undesirable to own if gasoline becomes more expensive.)

Answers

Answer:

Supply reduces and supply curve shifts left. Price increases

Explanation:

The Middle East supplies a significant amount of the world's oil which means that conflict there could disrupt the movement of oil in the world.

In this scenario there is a conflict. This conflict would cause the supply of oil to reduce which means that the Supply curve will be forced to shift left to show that it has dropped.

This new supply curve will then intercept with the demand curve at a higher equilibrium price thereby leading to a price increase.

g Todd Foley is applying for a $210,000 mortgage. He can select either a $1,470 monthly payment with no points or a $1,323 payment with 4 points. How many months will it take Todd to cover the cost of the discount points if he takes the lower monthly payment

Answers

Answer:

57 months

Explanation:

Calculation to determine How many months will it take Todd to cover the cost of the discount points if he takes the lower monthly

payments

Number of months to cover cost=(.04 x $210,000)/($1470-$1323)

Number of months to cover cost = $8400/147

Number of months to cover cost =57 months

Therefore the number of many months it will take Todd to cover the cost of the discount points if he takes the lower monthly

payments is 57 months

Suppose a company is considering the following 5 independent projects:

Project

A

B

C

D

E

initial Investment

$100

$300

$400

$500

-$200

NPV

$20

$30

$40

$45

$15

What projects, if any, should be selected if the capital budget is $500?​

Answers

Answer:

A & C

Explanation:

NPV, The Net Present Value of an investment is used in finance to calculate the profitability of a projected investment.

Since the capital budgeted for any investment is $500 ; hence the total initial investment the company can make should not exceed $500 ;

The company will be looking indulge in the most profitable investment, this we can judge Yung the NPV of each investment :

Therefore, the total NPV on investment A and Investment C is the highest while maintaining the $500 capital budget value.

Investment : ___ NPV

$100 - - - - - - - - > $20

$400 - - - - - - - - > 40

$500 - - - - - - - - > $60

The difference between the amount received from issuing a note payable and the amount repaid at maturity is referred to as:

Answers

Answer: interest

Explanation:

Notes payable occurs when a promissory note is issued to the bearer by the firm. Notes payable can either be short term which is within a year or long term which is more than a year.

The difference between the amount received from issuing a note payable and the amount repaid at maturity is known as the interest.

Allison bought a bond when it was issued by ABC Corporation 20 years ago. The bond, which has a $1,000 face value and a coupon rate equal to 10 percent, matures in eight years. Interest is paid every six months; the next interest payment is scheduled for six months from today. If the yield on similar risk investments is 8 percent, what should be the current market value (price) of the bond

Answers

Answer:

Current market value (price) of the bond = $ 1,081.11

Explanation:

The current market value (price) of the bond can be calculated using the following excel function:

Current market value (price) of the bond = PV(rate, NPER, -PMT, -FV) ........... (1)

Where:

rate = Semiannual yield on similar risk investments = yield on similar risk investments / 2 = 8% / 2 = 4%

NPER = Number of period = Year to maturity * Number of semiannuals in a year = 8 * 2 = 16

PMT = Payment = (FV * Coupon rate) / Number of semiannuals in a year = ($1,000 * 10%) / 2 = $50 = 50

FV = Face value = $1,000 = 1000

Substituting all the relevant value into equation (1), we have:

Current market value (price) of the bond = PV(4%, 10, -50, -1000)

Inputing =PV(4%, 10, -50, -1000) in any cell in excel sheet (Note: as done in the attached excel file), we have:

Current market value (price) of the bond = $ 1,081.11

A tyre manufacturer wants to set a minimum mileage guarantee on its new MX100 tyre. Tests reveal the mean mileage is 47,900 with a standard deviation of 2,050 miles and the distribution is a normal distribution. The manufacturer wants to set the minimum guaranteed mileage so that no more than 4% of the tyres will have to be replaced. What minimum guaranteed mileage should the manufacturer announce

Answers

Answer:

51,487.5

Explanation:

Calculation to determine the minimum guaranteed mileage should the manufacturer announce

Sinces no more than 4% of the tires will have to be replaced First step will be to determine the InvNorm(.96) using normal distribution table

InvNorm(100%-4%)

InvNorm(.96) = 1.75

Now let determine the minimum guaranteed mileage

Let x represent the Minimum guaranteed mileage

(2050*1.75)+47,900=x

x=3,587.5+47,900

x = 51,487.5

Therefore the minimum guaranteed mileage that the manufacturer should announce is 51,487

How does the design demonstrate the ability to analyze, research, and explore a variety of information sources to adequately address how the target market might interpret a designmessage

Answers

Answer:

Design should be analyzed, explored and researched carefully so that it adequately targets the audience.

Explanation:

A design has the ability o inclines people's decisions and allows for interpretation. The design is can be used to tell whether the product is going to stay in the market and helps in the identification of the target audience.  The market can interpret the message in design in various ways such as by positive and negative. Thus design should be made keeping in mind the ethics and characteristics of the object. Design should match the traits of people.

Each unit requires 0.75 hours of direct labor at a cost of $6.50 per hour. What is the cost of direct labor for May?

Answers

Answer:

Direct labor cost = (units produced for May) x 0.75 x $6.50

Explanation:

Direct labor cost = units produced x direct labor hours x cost per unit

since units produced aren't given

Let units produced = 10,000 for May

Direct labor cost = 10,000 x 0.75 x $6.50 = $48,750

Cost of debt with fees. Kenny Enterprises will issue a bond with a par value of ​$1,000, a maturity of twenty​ years, and a coupon rate of 7.5 ​% with semiannual​ payments, and will use an investment bank that charges ​$25 per bond for its services. What is the cost of debt for Kenny Enterprises at the following market​ prices?
a. ​$982.48
b. ​$1,004.93
c. ​$1,068.15
d. ​$1,171.91

Answers

Answer:

Kenny Enterprises

Cost of Debt with fees:

Market Prices                    $982.48     $1,004.93     $1,068.15       $1,171.91

Cost of debt   (b- a)             $48.59          $26.14        ($37.08)     ($140.84)

Cost of debt in percentage  4.86%           2.61%           -3.71%        -14.08%

Explanation:

a) Data and Calculations:

Market Prices                    $982.48     $1,004.93     $1,068.15      $1,171.91

Investment bank charges    25.00            25.00          25.00          25.00

a) Net bonds proceeds    $957.48        $979.93    $1,043.15      $1,146.91

b) Repayments:

PV of interest payments   $770.66      $770.66       $770.66     $770.66

PV of principal ($1,000)       235.41         235.41          235.41        235.41

Total repayments           $1,006.07   $1,006.07     $1,006.07  $1,006.07

Cost of debt   (b- a)            $48.59        $26.14        ($37.08)     ($140.84)

Cost of debt in percentage  4.86%       2.61%           -3.71%        -14.08%

Present values of interest payments:

N (# of periods)  40

I/Y (Interest per year)  7.5

PMT (Periodic Payment)  37.5

FV (Future Value)  0

Results

PV = $770.66

Sum of all periodic payments $1,500.00

Total Interest $729.34

Present value of principal repayment:

N (# of periods)  20

I/Y (Interest per year)  7.5

PMT (Periodic Payment)  0

FV (Future Value)  1000

 

Results

PV = $235.41

Total Interest $764.5

Cyberdyne Systems and Virtucon are competitors focusing on the latest technologies. Selected financial data is provided below. (Round your answers to 1 decimal place. Enter your answers in millions (i.e., $10,100,000 should be entered as 10.1).) ($ in millions)CyberdyneVirtucon Net sales$39,905 $5,684 Net income 10,375 1,194 Operating cash flows 14,865 1,334 Total assets, beginning 58,905 15,184 Total assets, ending 60,905 14,884 Required: 1. Calculate the return on assets for both companies.

Answers

Answer:

Return on assets for Cyberdyne Systems and Virtucon are 0.2 and 0.1 respectively.

Explanation:

Return on asset is a measure of the ratio of the net income to the total average assets of an entity or organization. It givens and insight into the company's ability to generate profits from the use of its assets.

For Cyberdyne Systems, given that Net income $10,375 and the assets at the beginning and end of the period are $58,905 and $60,905

Total average assets = ($58,905 + $60,905)/2

= $59,905

Return on assets = $10,375/$59,905

= 0.17319088

To one decimal place = 0.2

For Virtucon, given that Net income $1,194 and the assets at the beginning and end of the period are 15,184 and 14,884

Total average assets = ($15,184 + $14,884)/2

= $15,034

Return on assets = $1,194/$15,034

= 0.079419981

To one decimal place = 0.1

Company xyz made the following transactions 6 marks
 Borrowed loan of ksh 50000 to start a business
 Obtained Ksh 150,000 in cash from proceeds of sales
 Paid out ksh 240000 in form of salaries
 Purchased Ksh 600000 worth of machinery in cash
 Purchased a track valued at Ksh 1, 500 000 by paying Ksh 300000 in cash and getting a
loan for the reminder
 Paid rent of rent of Ksh 80000 and advertising of ksh 50,000 in cash each
Determine the value of the company’s assets, liability and equity​

Answers

Answer:

Company XYZ

Total assets     ksh 1,030,000

Total liabilities ksh 1,250,000

Total equity      ksh (220,000)

Explanation:

a) Data and Analysis:

Cash ksh 50,000 Loan payable ksh 50,000

Cash ksh 150,000 Sales revenue ksh 150,000

Salaries expense ksh 240,000 Cash ksh 240,000

Equipment ksh 600,000 Cash ksh 600,000

Track ksh 1,500,000 Cash ksh 300,000 Loan payable ksh 1,200,000

Rent Expense ksh 80,000 Advertising Expense ksh 50,000 Cash ksh 130,000

Assets:

Cash                    ksh 50,000

Cash                  ksh 150,000

Cash                ksh (240,000)

Equipment        ksh 600,000

Cash                ksh (600,000)

Track              ksh 1,500,000

Cash               ksh (300,000)

Cash                ksh (130,000)

Total assets  ksh 1,030,000

Liabilities:

Loan payable       ksh 50,000

Loan payable  ksh 1,200,000

Total liabilities ksh 1,250,000

Equity:

Sales revenue                ksh 150,000

Salaries expense         ksh (240,000)

Rent Expense                ksh (80,000)

Advertising Expense    ksh (50,000)

Total equity                ksh (220,000)

Coronado Company received proceeds of $209000 on 10-year, 5% bonds issued on January 1, 2016. The bonds had a face value of $220000, pay interest annually on January 1, and have a call price of 102. Coronado uses the straight-line method of amortization. Coronado Company decided to redeem the bonds on January 1, 2018. What amount of gain or loss would Coronado report on its 2018 income statement

Answers

Answer:

Coronado Company

The amount of gain or loss that Coronado would report on its 2018 income statement is:

= $13,200.

Explanation:

a) Data and Calculations:

Bonds proceeds = $209,000

Bonds face value =  220,000

Bonds Discounts = $11,000

Period of bonds = 10 years

Straight-line amortization = $1,100 annually

Interest payment = annually

Coupon rate rate = 5%

Fair value on January 1, 2017 = $210,100 ($209,000 + $1,100)

Fair value on January 1, 2018 = $211,200 ($210,100 + $1,100)

Call price = 102

Total call value (cash payment) = $224,400 ($220,000 * 102/100)

Loss to report on its 2018 income statement = $13,200 ($224,400 - $209,000 - $2,200)

2. Through stores that employ a team-based management approach and that offer an appealing shopping environment / experience, Whole Foods can charge higher prices because they offer the highest quality natural and organic foods available with customer service superior to their competitors. This explanation is best described as Whole Foods' ______.

Answers

Answer:

differentiation strategy

Explanation:

Based on the information above, it is possible to affirm that Whole Foods is a company that uses a strategy of differentiation in its products and services, as its management approach is based on a team that offers an attractive shopping environment / experience, in addition to charging higher prices for offering high quality natural and organic foods, as well as superior customer service than its competitors.

The differentiation strategy consists of actions used by companies to make their products and services attractive to their potential audience, offering added benefits and advantages that the consumer can perceive and value, making the company more competitive and well positioned in relation to its competitors .

Organizational learning and creativity play an important role in helping managers improve their decisions. Managers must take steps to promote organizational learning and creativity at individual as well as group levels to improve the quality of decision making. Managers can encourage and promote entrepreneurship that mobilizes resources to take advantage of an opportunity to provide customers with new or improved goods and services. The quality of managerial decision making ultimately depends on innovative responses to opportunities and threats. How can managers increase their ability to make nonprogrammed decisions that will allow them to adapt to, modify, and even drastically alter their task environments so they can continually increase organizational performance

Answers

Answer:

Organization learning is the process by which the managers seeks employees desires and ability to understand the task environment.

Explanation:

Organizational learning plays an important role in managers by raising their ability to make programmer decisions that will allow them by adapting to, modifying, and even alter their work environment. Creativity helps managers in thinking and problem solving.

5) Big Corporation had the following sales over the last 4 years; Year Sales (in 000s) bgs 1 225.00 2 236.25 3 243.125 4 248.00 a) What was the growth rate in sales between years 1

Answers

Answer:

5%

Explanation:

a) What was the growth rate in sales between years 1 and 2

Growth rate measures the increase in the level of sales over a period of time

Growth rate from year 1 to 2 = (increase in sales from year 1 to 2 / sales in year 1) x 100

increase in sales from year 1 to 2 = 236.25 - 225 = 11.25

(11.25 / 225) x 100 = 5%

What is the reasoning behind having the seven Fed Board of Governors remain for 14 years on the Federal Reserve?
a) Participating in the Fed for the 14 year time period allows the board members to build up seniority and on-the-job understanding
b) Longer terms for board members fosters longer relationships and builds strong networks to push through financial changes to the economy.
c) The longer terms are to insulate the members from immediate political pressures and have them focus solely on economic solutions for the nation.

Answers

Answer: c) The longer terms are to insulate the members from immediate political pressures and have them focus solely on economic solutions for the nation.

Explanation:

The Fed is independent of the U.S. Government but can still face significant pressure from the U.S. Government as it is the President that nominates the Board of Governors and the Senate confirms them.

Much like Justices on the Supreme Court who get their positions the same way, these governors have to be protected from being used as political pawns so they are given long terms in office to ensure that they can pursue an independent policy without having to worry about the current administration coming after them if they go contrary to its will.

Current Forecast is 2500 units, current 1st shift capacity is 1300 units. Market growth rate is 10%. How much capacity do you need to buy for next round (answer rounded up to next 50 units)

Answers

Answer:

250 units

Explanation:

Calculation to determine How much capacity do you need to buy for next round

Using this formula

Next round capacity needed=Current Forecast*Market growth rate

Let plug in the formula

Next round capacity needed=2500 units*10%

Next round capacity needed=250 units

Therefore How much capacity do you need to buy for next round is 250 units

Database Systems is considering expansion into a new product line. Assets to support expansion will cost $500,000. It is estimated that Database can generate $1,990,000 in annual sales, with an 7 percent profit margin. What would net income and return on assets (investment) be for the year

Answers

Answer:

Net income= 139,300

ROA= 27.86%

Explanation:

The assets to support the expansion is $500,000

It is estimated the entire database can generate $1,990,000

The profit is 7%

The net income can be calculated as follows

= 1,990,000×7/100

= 1,990,000×0.07

= $139,300

The ROA can be calculated as follows

= 139,300÷500,000

= 27.86%

Internal information: A. attempts to describe something that is unknown. B. describes the environment surrounding the organization. C. describes specific operational aspects of an organization. D. quantifiably describes something that is known.

Answers

Answer:

Option c: Describes specific operational aspects of an organization

Explanation:

Management information systems (MIS)

This is commonly used in planning for, development, management, and use of information technology tools to help individuals carry out all tasks related to information processing and management

Internal Information

This are simply refered to as a form of information that is gotten or developed from activities that occur within the organization. Example is sales

External Information

This simply gives a reason or an understanding of factors outside of the organization.

Internal data sources

They are said to be sources that are available within the organization. Examples of internal data sources includes: Customer profiles, Sales analysis reports, inventory analysis, production reports etc.

You estimate that your cattle farm will generate $0.10 million of profits on sales of $2 million under normal economic conditions and that the degree of operating leverage is 5.a. What will profits be if sales turn out to be $1.6 million

Answers

Answer:

Profit would decrease to $0.0 million

Explanation:

The degree of operating leverage is the change in profit as a result of the change in sales revenue

DOL=% change in profit/% change in sales

DOL=5

% change in profit=unknown

% change in sales=($1.6m-$2.0m)/$2.0m

% change in sales=-20%

5=% change in profit/-20%

% change in profit=5*-20%

% change in profit=-100%

the new amount of profit=current amount of profit*(1-% change in profit)

current amount of profit=$0.10 million

the new amount of profit=$0.10 million*(1-100%)

the new amount of profit=$0.0 million

What do you call it when you don't invest in your new and smaller businesses?

Answers

Answer:

investment foe buisness

When you don't invest in your new and smaller businesses, it is called debt investment.

Debt investment basically means opting to use an amount borrowed to finance one's business (either big or small business). This investment refers to a scenario when an investor (i.e. banks) lend money to the entrepreneur with the expectation that the entrepreneur will pay-back the investment with interest.

This type of business running system is somewhat burdensome because of repayment of the loan with interest.

The advantage of this method of financing is that the capital is fully provided to the business owner.

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In the market for wireless earbuds​ (a normal​ good), indicate whether the following events would cause an​ "increase or a decrease in demand​" or an​ "increase or a decrease in the quantity demanded.​" a. There is an increase in the price of carrying cases for wireless earbuds. A. increase in demand. B. decrease in demand. C. increase in quantity demanded. D. decrease in quantity demanded.

Answers

Answer: D. decrease in quantity demanded.

Explanation:

A change in demand is caused by the factors that affect demand except the price. The movement along the demand curve is as a result of the price change.

An increase in demand will lead to the rightward shift of the demand curve and a decrease in send will lead to the leftward shift of the demand curve.

On the other hand, an increase or decrease in the quantity demanded will lead to the movement along a given demand curve.

Based on the question, when there is an increase in the price of carrying cases for wireless earbuds, this will lead to a reduction in the quantity demanded of wireless earbuds as less people will buy the earbuds.

Jose wants to cash in his winning lottery ticket. He can either receive seven, $2,000 annual payments starting today, or he can receive one lump-sum payment today based on a 3% annual interest rate. What would be the lump-sum payment

Answers

Answer:

Hence the Lumpo-sum Payment is $12834.38(Approx).

Explanation:  

Present value of annuity due= (1+interest rate)*Annuity[1-(1+interest rate)^-time                                                                    

                                                                                           period]/rate

                                               = (1+0.03) x 2000 [1-(1+0.03)^ -7] / 0.03  

                                               [tex]=1.03\times 2000[1-(1.03)^{-7} ]/0.03\\=2060 \times 6.23\\=$12834.38(Approx).[/tex]

Gordon Corporation's stock is expected to pay a dividend of $4 per share at the end of this year. The dividend is expected to grow at a constant rate of 7%. The stock is currently selling for $100 per share. What would be the investor's expected rate of return on the stock

Answers

Answer: 11%

Explanation:

Using the Gordon Growth Model, the price of a stock is:

= Next dividend / (Expected return - Growth rate)

The growth rate will therefore be:

100 = 4 / (r - 7%)

(r - 7%) * 100 = 4

r - 7% = 4 /100

r = 4% + 7%

= 11%

On December 31, 2021, Coolwear Inc. had balances in Accounts Receivable and Allowance for Uncollectible Accounts of $42,500 and $1,700, respectively. During 2022, Coolwear wrote off $875 in accounts receivable and determined that there should be an allowance for uncollectible accounts of $4,200 at December 31, 2022. Bad debt expense for 2022 would be:

Answers

Answer:

the bad debt expense for 2022 is $5,025

Explanation:

The calculation of the bad debt expense for 2022 is given below:

= Allowance for uncollectible accounts - ending balance for uncollectible accounts - account receivable written off

= $4,200 - $1,700 - $875

= $5,025

Hence, the bad debt expense for 2022 is $5,025

The same should be considered and relevant

You are considering purchasing a house in Collin County that costs $350,000. You are debating whether to finance the house for 15 or 30 years. The 15-year mortgage allows you to pay off the house quicker at an interest rate of 2%. However, the 30-year mortgage offers a lower mortgage payment at an interest rate of 2.75%. Which of the following answers is closest to the difference between the 15 and 30-year monthly mortgage payment?

a. 800
b. 600
c. 400
d. 1200
e. 1000

Answers

Answer:

d

Explanation:

i believe this should be correct

In September, Lauren Ashley Company purchased materials costing $200,000 and incurred direct labor cost of $110,000. Overhead totaled $365,000 for the month. Information on inventories was as follows: September 1 September 30Materials $110,000 $120,000Work in process $60,000 $90,000Finished goods $75,000 $75,000Required:1. What was the cost of direct materials used in September ?$2. What was the total manufacturing cost in September ?$3. What was the cost of goods manufactured for September ?$

Answers

Answer:

1. Cost of Direct materials in September

= Opening stock of materials + Purchases - Closing stock

= 110,000 + 200,000 - 120,000

= $190,000

2. Total manufacturing cost in September:

= Direct material + Direct labor + Manufacturing overhead

= 190,000 + 110,000 + 365,000

= $665,000

3. Cost of good manufactured:

= Total manufacturing cost + Beginning work in process - Ending work in process

= 665,000 + 60,000 - 90,000

= $635,000

Compared with the sole proprietorship and partnership forms of business organization, the corporate form generally faces with _______ agency problems, ________ difficulty in raising capital and transferring ownership, ________ taxation.

Answers

Answer: more; less; more

Explanation:

Compared with the sole proprietorship and partnership forms of business organization, the corporate form generally faces with (more) agency problems, (less) difficulty in raising capital and transferring ownership, (more) taxation.

Corporation are typically taxed more than the sole proprietorship or partnership. Also, in sole proprietorship, the business owner and the management is thesame person and therefore isn't faced with agency problem like the corporate bodies. One main advantage of the corporate entity is that they raise more capital when compared to the sole proprietorship or partnership.

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