true or false It is usually a huge risk for a company to employ locals when it expands into the international marketplace.

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Answer 1

The given statement "it is usually a huge risk for a company to employ locals when it expands into the international marketplace" is False because locals have knowledge about the regulations and laws of the country which is very crucial for operating the company.

It is not always a huge risk for a company to employ locals when it expands into the international marketplace. Employing locals helps in penetrating the local market better and provides a deeper understanding of local customs and culture. Also, locals may have more knowledge about the government regulations and norms which is helpful in operating the business smoothly. It may also reduce the costs for the company by avoiding the additional expenses of hiring foreign workers or assigning people from the parent company in the home country.

So, the statement "it is usually a huge risk for a company to employ locals when it expands into the international marketplace" is False.

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Related Questions

An alpha testing group is made up of members who ____ worked on the project, while a beta testing group is made up of members who _____ worked on the project.

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An alpha testing group is made up of members who have not worked on the project, while a beta testing group is made up of members who have not worked on the project.

Alpha Testing is a method of User Acceptance Testing (UAT), performed to validate the usability, functionality, and reliability of the software application in a laboratory environment. It is usually done by the software developer team. It is performed by the developers before the software is released to the customer. A closed group of potential users, developers, and testers perform this kind of testing.Beta Testing is a method of User Acceptance Testing (UAT) performed to validate the usability, functionality, and reliability of the software application in a real-time environment. It is usually done by a group of potential users. It is performed after Alpha Testing is completed. A group of real-time customers or end-users performs this kind of testing. Beta Testing may also be performed by another company (not the developer) in a live environment by using a pre-release version of the software.

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at cloud kicks sales reps use discounts on the opportunity record to help win sales on products. when an opportunity is won, they then have to manually apply the discount up the related opportunity products. the sales manager has asked if three is a way to automate this time consuming task. what should the administrator use to deliver this requirement?

Answers

Flow builder should be used by the administrator.

Describe the flow builder?

The business requirement process in Salesforce is automated using the flow builder tool. Similar to Workflow Rule and Process Builder, Salesforce's Flow Builder also has some sophisticated features.

A feature called Flow is available from Salesforce and can be used to automate a number of tasks, including sending emails, leaving comments, sending tailored notifications, and more.The most potent Flow is the name of an automation tool provided by Salesforce.

Similar to Workflow Rule and Process Builder, Salesforce's Flow Builder also has some sophisticated features. Additional elements in the flow builder reduce the amount of code needed to implement the business need through automation.

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the four stages new-product ideas go through are known as _____.

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The four stages new-product ideas go through are known as the Idea Screening, Concept Development and Testing, Business Analysis, and Product Development and Market Testing.
The product development process is the process of bringing a new product to the market. It starts with an idea that leads to a new product or service that consumers will want. The new product or service may be an enhancement to an existing product or a completely new one that has never been seen before.In order to bring a new product to market, there are several stages that must be completed.

This process can be divided into four stages: ideation, concept development, product development, and commercialization.Ideation:This stage involves generating new ideas for a product. It's critical to the product development process because without new ideas, no new products can be created. Ideas can come from various sources, including employees, customers, and competitors.Concept development:This stage involves creating a preliminary plan for a new product based on the ideas generated during the ideation stage. Concept development typically involves market research to determine if there is a demand for the product and if it is feasible to produce.

Product development:This stage involves developing a prototype of the new product based on the concepts developed in the previous stage. The prototype is then tested to determine if it meets customer needs and if it is cost-effective to produce.Commercialization:This stage involves the launch of the new product. The product is marketed to the target audience, and the company begins mass production. The success of the product is determined by its sales and the degree to which it meets customer needs.

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an estimate of the value of property resulting from an analysis of facts about the property is known as a/an?

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A property appraisal is an estimate of the value of property resulting from an analysis of facts about the property.

A property appraisal is conducted by a professional appraiser who examines the physical characteristics of the property, comparable sales, recent local market trends, and other factors.

The appraiser then prepares a written report of the property’s value based on their research. A property appraisal is typically used to establish a value for a loan or sale.

It is also used for tax assessment purposes and to assess insurance premiums.

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you have $5,200 to deposit. regency bank offers 9 percent per year compounded monthly (.75 percent per month), while king bank offers 9 percent but will only compound annually. how much will your investment be worth in 17 years at each bank?

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After 17 years, your investment  at Regency Bank will be worth $23,877.81, whereas at King Bank, it will be worth $22,503.69.

Using the formula for compound interest:

For Regency Bank:

Number of periods = 17 years x 12 months/year = 204 months

Interest rate per period = 0.75%

Present value = $5,200

Future value = Present value x (1 + interest rate per period)^number of periods

Future value = $5,200 x (1 + 0.0075)²⁰⁴

Future value = $23,877.81

So the investment will be worth $23,877.81 after 17 years at Regency Bank.

For King Bank:

Number of periods = 17 years x 1 year/year = 17 years

Interest rate per period = 9%

Present value = $5,200

Future value = Present value x (1 + interest rate per period)^number of periods

Future value = $5,200 x (1 + 0.09)¹⁷

Future value = $22,503.69

So the investment will be worth $22,503.69 after 17 years at King Bank.

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the interval of days between the time an order is placed and the time it is delivered is referred to as the:

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The interval of days between the time an order is placed and the time it is delivered is commonly referred to as the "lead time".

This is an important metric in supply chain management, as it measures the time it takes for a product to move through the supply chain and reach the customer. Lead time can be affected by a variety of factors, including production time, transportation time, and inventory management. Understanding and managing lead time is critical for ensuring timely delivery of products to customers and maintaining a competitive edge in the marketplace.

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Suppose you are evaluating the profit earned by a pharmaceutical company that produces three different medicines. Instructions: In order to receive full credit, you must make a selection for each option. For correct answer(s), click the option once to place a check mark. For incorrect answer(s), click the option twice to empty the box. a. What values below will help you determine the company's revenue? ? Marginal cost ? Price ? Fixed cost ? Quantity ? Variable cost b. What values below will help you determine the company's total cost? ? Quantity ? Variable cost ? Marginal revenue ? Fixed cost ? Price

Answers

The values below that will help you determine the company's revenue are:

✓ Price✓ Quantity

How can the revenue of a company be determined?

The company's revenue can be determined by multiplying the price of each medicine by the quantity sold.

b. What values below will help you determine the company's total cost?

✓ Variable cost✓ Fixed cost✓ Quantity

The company's total cost can be determined by adding the variable costs and fixed costs associated with producing each medicine. The quantity of each medicine produced will also affect the total cost. Marginal revenue is not necessary for determining the total cost.

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when an asset has a significant decline in value and is written down, this is called

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When an asset has a significant decline in value and is written down, this is called impairment.

A write-down is a decrease in the carrying amount of an asset, while an impairment is a write-down that occurs because the asset's fair value is less than its carrying amount or its recoverable amount. Impairments occur when an asset's value is decreased, resulting in the asset's carrying amount being higher than its recoverable amount.

A write-down of an asset, such as inventory or equipment, means that the asset's value has declined significantly. When an asset's value is written down, its book value or carrying amount is lowered to reflect the asset's current fair market value.

Write-downs can be made on any type of asset, including property, plant, and equipment, intangible assets, and investments.

In summary, the process of decreasing the carrying value of a long-term asset because it is no longer worth its previous value is called impairment or write-downs.

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casey has a simple rule that he follows when it comes to new hiring; if four or more of his staff are working 20% or more overtime, he hires another employee. casey is using

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Casey has a simple rule that he follows when it comes to new hiring. Casey is using a decision rule based on a threshold or cut-off point.

Casey has set a threshold of four or more staff members working 20% or more overtime as the trigger for hiring a new employee.

This decision rule is a simple and practical way for Casey to manage his staffing levels and avoid overburdening his existing staff. By setting a clear threshold, he can quickly and easily identify when he needs to take action to hire additional staff.

Threshold-based decision rules are commonly used in business and management to make decisions based on specific criteria or conditions. These rules can be useful when the decision-making process involves multiple factors or variables, and a clear-cut decision is required to avoid ambiguity or indecisiveness.

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Accounts used to accumulate information from one fiscal period to the next.a.temporary accountsb.permanent accountsc.closing entriesd.adjusting entries

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Accounts used to accumulate information from one fiscal period to the next are permanent accounts.

Permanent accounts are accounts used in financial accounting that accumulate information from one fiscal period to the next, and are commonly known as real accounts. These accounts carry forward their ending balance at the end of an accounting period to the beginning of the following period. Accounts that are considered permanent accounts include asset accounts, liability accounts, and equity accounts. Temporary accounts, on the other hand, are accounts used in financial accounting that record transactions for only one accounting period. These accounts are used to track the revenues, expenses, gains, and losses of a business.

Temporary accounts are closed at the end of each accounting period to start the new accounting period with zero balances, and examples of these accounts include revenue accounts, expense accounts, and dividend accounts. Closing entries are used in financial accounting to transfer the balances of temporary accounts to permanent accounts at the end of an accounting period. Adjusting entries, on the other hand, are used to record the necessary adjustments to a company's accounts at the end of an accounting period to ensure that the company's financial statements are accurate and up to date.

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Downy is purchasing a home for $283,000. He makes a 25% down payment and obtains a 25-year fixed rate mortgage loan at 7% annual interest. His monthly payments are $1,500.14. He pays an intangible tax of 0.2%. Which of the following is the total cost of principal, interest, down payment, and amount of intangible tax? (4 points)
A. $450,042.00
B. $521,358.00
C. $521,216.50

Answers

The total cost of principal, interest, down payment, and amount of intangible tax is $521,216.50. Downy’s down payment is 25% of the total cost of the home, which comes out to $70,750.

He also pays an intangible tax of 0.2% of the total cost of the home, which comes out to $566. His total up-front cost is then $71,316. The remaining cost of the home is $211,684, which he pays over the course of 25 years with a 7% fixed rate mortgage loan.

Over the course of the loan, Downy will pay $375,900 in interest in addition to the principal amount. This brings the total cost to $521,216.50.

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identify whether each of the following statements best illustrates the concept of consumer surplus, producer surplus, or neither. statement consumer surplus producer surplus neither yesterday i paid $51 for a crew neck. today, the same store is selling crew necks for $45. i sold a used record for $43, even though i was willing to accept as little as $36 in exchange for it. even though i was willing to pay as much as $55 for a swimsuit, i bought a swimsuit for just $47.

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In the following question, I sold a used record for $43, even though I was willing to accept as little as $36 in exchange for it. Best illustrates the concept of producer surplus. Even though I was willing to pay as much as $55 for a swimsuit, I bought a swimsuit for just $47. Best illustrates the concept of consumer surplus.

In the given statements, the concept of consumer surplus, producer surplus, or neither should be identified. The given statements are as follows: yesterday I paid $51 for a crew neck. Today, the same store is selling crew necks for $45. The statement best illustrates the concept of consumer surplus. I sold a used record for $43, even though I was willing to accept as little as $36 in exchange for it. The statement best illustrates the concept of producer surplus. Even though I was willing to pay as much as $55 for a swimsuit, I bought a swimsuit for just $47. The statement best illustrates the concept of consumer surplus. Therefore, the correct option is:

Statement Consumer surplus Producer surplus Neither Yesterday I paid $51 for a crew neck. Today, the same store is selling crew necks for $45. Best illustrates the concept of consumer surplus. I sold a used record for $43, even though I was willing to accept as little as $36 in exchange for it. Best illustrates the concept of producer surplus. Even though I was willing to pay as much as $55 for a swimsuit, I bought a swimsuit for just $47. Best illustrates the concept of consumer surplus.

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a bond currently sells for $1,170, which gives it a yield to maturity of 5%. suppose that if the yield increases by 30 basis points, the price of the bond falls to $1,140. what is the modified duration of this bond?

Answers

The modified duration of this bond is -1142.8.

The modified duration of this bond can be calculated using the following equation:

Modified Duration = -PV(1+YTM)/ (1+YTM/2)

where PV is the present value and YTM is the yield to maturity.

For this bond, PV is $1,170 and YTM is 5%.

Plugging these values into the equation, we get:

Modified Duration = -1170/(1+0.05/2) = -1117.5

Now, if the yield increases by 30 basis points, the new yield to maturity is 5.3%. We can now plug this into the equation to get the modified duration of the bond:

Modified Duration = -1140/(1+0.053/2) = -1142.8

Therefore, the modified duration of this bond is -1142.8.

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due to high demand and high prices, profits in the carpet-painting industry are at all-time highs. since the carpet-painting industry is perfectly competitive, this will cause firms to

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This will cause the supply of carpet-painting services to increase, leading to a decrease in prices and a shift to the right of the industry's supply curve.

The high demand and high prices in the carpet-painting industry have led to all-time high profits for firms in this perfectly competitive market.

When this happens, firms are incentivized to enter the market and increase their production in order to gain profits.

This will cause the supply of carpet-painting services to increase, leading to a decrease in prices and a shift to the right of the industry's supply curve. Consequently, this will lead to a decrease in firms' profits.

Increase production to capture more profits. Due to high demand and high prices, profits in the carpet-painting industry are at all-time highs. Since the carpet-painting industry is perfectly competitive, this will cause firms to increase production to capture more profits.

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the dollar value of all final goods, services, and structures produced in a country in a year is known as

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The dollar value of all final goods, services, and structures produced in a country in a year is known as "Gross Domestic Product (GDP)".

The GDP is term in the economics or gross domestic product is the monetary method to measure of the market value or all the final products or services which is sold in the specific time period in the country.

The reason of known the final goods measure of the size and health of an economy, and it represents the total market value of all the goods and services produced within a country's borders in a given period of time, typically a year. GDP is calculated by adding up the value of all final goods and services produced in the country, and it includes goods and services produced by both domestic and foreign companies operating within the country.

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the book value per share of common stock is computed as follows: question 49 options: assets/number of shares outstanding. liabilities/number of shares outstanding. total common stockholders' equity/number of shares outstanding. value of the company's assets/price of the book it's listed in.

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The book value per share of common stock is computed by dividing the total common stockholders' equity by the number of shares outstanding. This can be expressed as Total Common Stockholders' Equity / Number of Shares Outstanding.
What is Stock?

A stock, often known as a share or equity, represents a tiny fraction of ownership in a corporation. Stocks are one of the most common types of financial assets, with shares of stocks traded on major exchanges all over the world, including the NYSE and NASDAQ in the United States. Each share of stock represents a portion of ownership in a corporation, which entitles the holder to a portion of the corporation's earnings and assets (after liabilities are paid).

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Which two of the following statements correctly state the tax treatment that applies to U.S. Treasury securities?I. Capital gains are fully taxable
II. Capital gains are tax deductible
III. Interest payments are generally tax free at the federal level
IV. Interest payments are taxable at the federal level but exempt at the state level

Answers

Two of the following statements that correctly state the tax treatment that applies to US Treasury securities are:

"I. Capital gains are fully taxable" and "III. Interest payments are generally tax free at the federal level."

Treasury securities are the U.S. government's debt instruments. U.S. Treasury securities are bonds that the United States federal government issues to fund its activities. They are viewed as a low-risk and highly liquid investment. Treasury securities are often used as a benchmark for the pricing of other financial instruments, such as mortgage rates and corporate bonds.

Capital gains are fully taxable: The income generated from the sale of securities, including Treasury securities, is known as capital gains. The gains are subject to a capital gains tax. The rates of tax are determined by how long the securities were kept before they were sold, as well as the amount of gain that was realized from the sale of the securities.

Interest payments are generally tax-free at the federal level: Interest earned on Treasury securities is taxable at the federal level. However, the interest payments are generally tax-free at the federal level. In addition, the interest is exempt from state and local taxes. As a result, investing in U.S. Treasury securities is often more appealing than investing in other types of securities, such as corporate bonds, which are fully taxable at the federal, state, and local levels.

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In order to gain knowledge of a new client's business during the audit planning phase, the auditor may engage in several information gathering activities. Which of the following is not one of those activities?
a. Reviewing the minutes of the stockholder and Board of Directors' meetings.
b. Taking a tour of the client's facilities.
c. Performing inquiries with outside legal counsel to gain understanding of existing lawsuits.
d. Reviewing the client's policies and procedures manual to gather information on the client's accounting processes.

Answers

In order to gain knowledge of a new client's business during the audit planning phase, the auditor may engage in several information-gathering activities. The activity that is not one of those activities is performing inquiries with outside legal counsel to gain an understanding of existing lawsuits. Option c is the right choice.

An auditor is a person who reviews and verifies a company's financial statements to ensure that they are free of material errors and that they have been prepared in compliance with accounting standards.

Information gathering is a method of collecting data or information related to a particular subject or topic. Data collection can be done through a variety of techniques, such as interviews, questionnaires, or research.

The activity that is not one of the information-gathering activities is performing inquiries with outside legal counsel to gain an understanding of existing lawsuits. However, reviewing the minutes of the stockholder and Board of Directors meetings, taking a tour of the client's facilities, and reviewing the client's policies and procedures manual to gather information on the client's accounting processes are all valid information-gathering activities that an auditor can do. to plan auditing in a better way.

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typically, a diversification strategy is used to the firm's value by its overall performance. a. increase; improving b. maintain; improving c. decrease; improving d. increase; decreasing

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Typically, a diversification strategy is used to increase the firm's value by improving its overall performance: a. increase; improving.

What is diversification  strategy?

A diversification strategy involves expanding a company's operations into new markets or product lines to reduce risk and increase profitability.

By diversifying, a company can tap into new revenue streams, gain access to new customers, and reduce its reliance on a single market or product. This can lead to increased profitability and overall performance for the company.

Option a, "increase; improving," correctly describes the expected outcome of a successful diversification strategy.

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the same data can be provided to you in many different ways. below are four extracts of the same data. the first extract is properly formatted for import into the company database. notice, that this extract uses a pipe delimiter, puts each unique record on a different row, and uses text qualifiers of a single quote when commas are present. your task is to discuss how to transform the other extracts so they can be imported into the company database.

Answers

In the following question, All the extracts should be formatted with a pipe delimiter and each unique record should be placed on a different row. Additionally, any commas present should be text qualified with a single quote.

The question is asking about how to transform the other extracts so they can be imported into the company database.
For the second extract, the data needs to be split into separate rows with each unique record and a pipe delimiter should be used. The third extract needs to use a pipe delimiter to separate the data and any commas should be text qualified with a single quote. The fourth extract needs to use a pipe delimiter and each unique record should be placed on a different row.
In summary, all the extracts should be formatted with a pipe delimiter and each unique record should be placed on a different row. Additionally, any commas present should be text qualified with a single quote.

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a revenue that differs between alternative courses of action and makes a difference in decision-making is called a(n)

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A revenue that differs between alternative courses of action and makes a difference in decision-making is called an incremental revenue.

What is incremental revenue?

Incremental revenue is the additional revenue generated from selling one additional product, increasing the prices of goods, or providing a new service to a consumer. Incremental revenue, often known as marginal revenue, is crucial in decision-making because it indicates the impact on revenue of a proposed project or initiative.

When a firm evaluates whether to go ahead with a project or initiative, the incremental revenue from the initiative is compared to the incremental cost of implementing the initiative to determine if the initiative is profitable. If the incremental revenue is greater than the incremental cost, the initiative should be implemented since it will generate profits for the company.

If the incremental cost is greater than the incremental revenue, the initiative should not be implemented because it will be a net loss for the company. Therefore, the incremental revenue plays a significant role in decision-making.

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Evidence-based management includes bragging about new products you have in development. True or False.

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False. Evidence-based management involves using the best available evidence to inform decisions and actions in the workplace.

Bragging about new products in development does not necessarily reflect a commitment to using evidence in decision-making. In fact, evidence-based management requires rigorously evaluating the evidence to determine the most effective course of action, rather than relying on assumptions or personal opinions.

Evidence-based management is an approach that involves using the best available evidence to make decisions and take actions in the workplace. This evidence can come from a variety of sources, including scientific research, data analysis, and past experience. The goal of evidence-based management is to ensure that decisions and actions are informed by the most reliable and valid information available, rather than being based on assumptions or personal opinions.

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What is the definition redlining?

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Redlining is the discriminatory practice of denying services or access to certain neighborhoods, based on the racial or ethnic composition of the area.

The term originated in the 1930s, when the federal government created maps of urban areas, color-coding them based on perceived levels of risk for mortgage lenders. Areas deemed "high-risk" were often predominantly non-white, and were frequently denied access to loans, insurance, and other financial services, even if the individual applicants were financially stable.

The practice of redlining has had significant negative effects on affected communities, limiting their access to housing, credit, and economic opportunities. It has contributed to the persistent racial and economic inequality that still exists in many areas today.

In the United States, redlining is now illegal under the Fair Housing Act, which prohibits discrimination in housing and lending practices based on race, color, religion, national origin, sex, disability, and familial status.

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When the economy enters a recessionary phase of the business cycle, unemployment tends to: A) decrease. B) increase. C) be unchanged

Answers

Answer: Increase

Explanation:

When the economy enters a recessionary phase of the business cycle, unemployment tends to increase. This is because during a recession, businesses tend to reduce their production levels, leading to a decrease in demand for labor. As a result, companies may have to lay off workers or reduce their hours to cut costs. This can lead to higher unemployment rates in the economy.

nate and dylan are brothers. they have to mow the lawn and clean their rooms before they can go to the high school football game. nate mows the lawn and dylan cleans up the rooms, and they make it to the football game on time. which economic concept does this statement best represent?

Answers

In the given situation, the economic concept that best represents the situation is division of labor.

What's division of labor

Division of labor is a concept in economics that refers to the allocation of tasks, duties, and responsibilities among a group of people to improve efficiency, productivity, and output.

The brothers in the statement above represent the concept of division of labor because they divided the tasks between themselves to ensure that they complete their chores on time and still make it to the football game.

This example represents the economic concept of division of labor because each person is responsible for a specific task, and their performance depends on how well they execute it.

Mowing the lawn and cleaning the rooms are two different tasks that require different skills, knowledge, and tools. By dividing the tasks between them, they can optimize their strengths and ensure that the job is completed on time.

Nate and Dylan are brothers. They have to mow the lawn and clean their rooms before they can go to a football game. Nate mows the lawn and Dylan cleans up the rooms, and they make it to the football game on time.

Your question is incomplete but most probably your full question was:

Which economic concept does this statement BEST represent?

There are gains from trade.One person's spending is another person's income.“How much” is a decision at the marginMarkets usually lead to efficiency.

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what is the combination of factors that sets sole proprietorships apart from all other business entities? ease of formation, along with limited liability ease of formation, along with receiving all of the profit sharing the workload, along with ease of formation limited liability, along with flexibility in taxation

Answers

The key factor that sets sole proprietorships apart from all other business entities is limited liability, along with ease of formation and flexibility in taxation.

What are sole proprietorships?

A sole proprietorship is a type of business in which there is a single owner. It is the easiest and most basic type of company to start. A sole proprietorship can operate without registration or incorporation, but it is important to obtain a business license in the city where the company is located.

Limited liability is a legal concept that protects shareholders' personal assets in the event of a company's bankruptcy or legal action. Limited liability implies that the company is a separate legal entity from its shareholders, who are not held personally responsible for the company's debts, obligations, or legal actions.

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The Federal Reserve System acts as lender of last resort to what group? A. Businesses in general. B. Consumers C. Federal government

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The Federal Reserve System acts as lender of last resort to businesses in general. The Federal Reserve System, also known as the Fed, is the United States' central banking system.

It was formed on December 23, 1913, after the US Congress passed the Federal Reserve Act, which established the nation's central banking system and set the framework for a stable financial system.

The Federal Reserve is divided into 12 Federal Reserve banks that serve as the central bank's regional arms. The main responsibility of the Federal Reserve is to oversee the country's monetary policy, regulate financial institutions, and stabilize the nation's financial system in times of economic crisis by acting as a lender of last resort.

It is responsible for conducting monetary policy by influencing the supply and demand of money and credit in the economy. The Federal Reserve acts as lender of last resort to businesses in general.

The Federal Reserve's role as a lender of last resort means that it provides emergency loans to banks, businesses, and governments to ensure that they can meet their financial obligations even during economic downturns.

The Federal Reserve provides these loans at low-interest rates to banks in financial distress, preventing the systemic risk of financial collapse.

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as part of the preparation process, a business speaker should multiple choice question.
a. plan to arrive exactly at the scheduled time of the speech to avoid hearing comments beforehand.
b. consider possible questions from the audience.
c. focus solely on making a clear presentation. d.reduce transitions in the presentation at points where audience members might freely interrupt.

Answers

As part of the preparation process, a business speaker should consider possible questions from the audience. The correct answer is B. consider possible questions from the audience.

When preparing for a business speech, the speaker should focus on more than just making a clear presentation. Other important preparation tasks include researching the topic and audience, analyzing the situation, and planning a suitable structure and delivery.

Additionally, it is important to consider potential questions the audience may have and to come up with answers to those questions. This will help the speaker feel more prepared for any audience questions and will help ensure the speech is informative and well-received. The correct answer is B. As part of the preparation process, a business speaker should consider possible questions from the audience.

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Your FICO score makes a big difference in how lenders determine what interest rate to charge you. Consider the situation faced by Edward and Jorge. Edward has a fairly poor FICO score of 660 and, as a result, pays 1 8.0% APR on the unpaid balance of his credit card. Jorge has a FICO score of 740 and pays only 7.1% APR on the unpaid balance of his credit card. If both persons carry an average balance of $4,000 on their credit cards for three years, how much more money will Edward repay compared with what Jorge owes (moral: you want a high FICO score)? Assume monthly compounding of interest. Edward will repay $ more. (Round to the nearest dollar.)

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In the following question, among the conditions given, Edward would end up paying $640 more in interest compared to what Jorge owes

The FICO score has a big impact on the interest rate that lenders will charge a borrower. Edward has a FICO score of 660 and pays an APR of 8.0%, while Jorge has a FICO score of 740 and pays an APR of 7.1%. If both persons have an average balance of $4,000 on their credit cards for three years, the difference in interest paid would be:

Edward would pay a total of $2,585 in interest, whereas Jorge would only pay $1,945 in interest. Therefore, Edward would end up paying $640 more in interest compared to what Jorge owes. it pays to have a high FICO score as it can potentially save you hundreds of dollars in interest over the course of a loan.

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a firm that reports under ifrs wrote down its inventory from cost of $240,000 to net realizable value of $210,000. in the next period, cost was unchanged, but net realizable value (nrv) increased to $250,000. the firm will most appropriately report ending inventory for the period as:

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The firm will most appropriately report ending inventory for the period as $250,000.

Under IFRS, inventory is valued at the lower of cost and net realizable value (NRV). When the NRV of inventory increases after it has been written down, the increase in value can be recognized and added back to inventory.

In this case, the firm wrote down its inventory from cost of $240,000 to NRV of $210,000 in the previous period. In the current period, the cost of inventory remained the same at $240,000, but the NRV increased to $250,000. Since the NRV of inventory is now higher than its cost, the firm can add back the previously recognized loss and report ending inventory at NRV.

Therefore, the ending inventory for the period should be reported as $250,000. This reflects the NRV of the inventory, which is now higher than its cost and is the appropriate valuation method under IFRS.

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