In response to increased consumer demand for healthful beverages, some soft-drink companies introduced new product lines of flavored water and fruit juices in order to broaden their product mix
Product mix sometimes referred to as product portfolio, is the full set of products and or/or services offered by a company or business. The product mix has three dimensions:
Width or breadth, which is the number of product lines offered by a company.Length, which is the total number of products offered in a product mix.Depth, which is the variation within a product line.Expanding a product mix may help a company to its consumer's preferences or demands. If successful, it may generate profits for the company as well as give a better company brand image.
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An employee compiled sales data for a company once each month. The scatter plot below shows the sales (in multiples of $1000) for the company over time (in months). The equation represents the linear model for this data. Y = 0. 94x 12. 5 According to the model, how much do the company's sales increase per month? $940 $1250 $5000 $9400 $12,500.
A term of sales can be defined as an agreement that exists between the seller of a goods or services and a buyer.
Company's sales increase per month
Correct option is B= $940
Given Information:
Sales=$1000Equation=0.94x+12.5The equation represents the company sales in thousand dollars and x is time in months.
Comparing to general form of linear equation.
y=mx + c
Comparing, we get,
Slope, m = 0.94
y-intercept, c = 12.5
Hence, the slope tells us the increase in sales of company with one unit increase in x that is it tells the increase in company's sale per month.
=0.94*1,000=$940
=$940 is the increase in company's sale per month.
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Chris borrowed money from a credit union for 2 years and was charged simple interest at an annual rate of 6%. The total interest that he paid was $1080. How much money did he borrow? If necessary, refer to the ____
Chris borrowed $9000 from the credit union.to find the amount of money chris borrowed, we can use the formula for simple interest: simple interest = principal × rate × time.
if necessary, refer to the formula for calculating simple interest:simple interest = principal (borrowed amount) × rate × time
given:simple interest = $1080rate = 6% per yeartime = 2 years
let's denote the principal (amount borrowed) as p.1080 = p × 0.06 × 2
1080 = 0.12pdivide both sides by 0.12 to solve for p:
p = 1080 / 0.12p = $9000 we are given that the total interest paid is $1080, the annual interest rate is 6%, and the time period is 2 years. by rearranging the formula, we can solve for the principal (amount borrowed). plugging in the given values, we get the equation 1080 = p × 0.06 × 2. simplifying, we have 1080 = 0.12p. dividing both sides by 0.12, we find that the principal (p) is $9000. , chris borrowed $9000 from the credit union.
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how to write a table of content
The table of contents should include all of the front matter, primary material, and back matter, as well as the chapter titles, page numbers, and bibliography. A decent table of contents should be simple to read, correctly formatted, and finalized to ensure complete accuracy.
a matrix or grid of information with columns and rows. a table including a number of mathematical calculations.
After the title page, begin a new page.
List the document's headings in alphabetical order.
Include subheadings if necessary.
Give each heading a page number.
Place the information in a table.
the Table of Contents' title.
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what is the importance of market management
Answer:
it helps to stand competent in highly thriving competition in the market.
Explanation:
Please give me a 1 star if I'm wrong
Answer:
Marketing management is of importance as it helps to stand competent in highly thriving competition in the market. This also helps to develop strategies to improve profits and reduce the cost of products. Marketing management has become the major source of exchange and transfer of goods.
Explanation:
Hope it helps :)
The manufacturer of Brand X floor polish is developing a new polish that they hope will dry faster than the competition’s polish. The competition’s polish is advertised to have an average (median) drying time of 7 minutes. In a random sample of 1300 polishes with the new polish, 900 of the polishes dried in less than 7 minutes. Without making any assumptions about the distribution, can the manufacturer conclude that the median drying time for Brand X is faster than the competition's brand? Use the sign test to analyze the results. Step 1 of 2 : Find the value of the test statistic to test that the new polish dries faster than the competition's polish. Round your answer to two decimal places if necessary.
The test statistic to test whether the new polish dries faster than the competition's polish is 4.64.
To analyze the results using the sign test, we compare the observed number of polishes that dried in less than 7 minutes (900) with the expected number of polishes that would dry in less than 7 minutes if the drying time was the same as the competition's polish (650, which is half of the total sample size). Next, we calculate the test statistic using the formula: test statistic = (observed number of successes - expected number of successes) / sqrt(expected number of successes * (1 - expected number of successes) / sample size) Plugging in the values, we have: test statistic = (900 - 650) / sqrt(650 * (1 - 650/1300) / 1300) = 4.64 The test statistic represents the number of standard deviations away from the expected value. In this case, the test statistic of 4.64 suggests that the observed number of polishes drying in less than 7 minutes is significantly greater than the expected number under the assumption that the drying time is the same as the competition's polish.
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a physical count of merchandise inventory on june 30 reveals that there are 244 units on hand. using the average-cost method, the amount allocated to the ending inventory on june 30 is
To determine the amount allocated to the ending inventory on June 30 using the average-cost method.
Without this information, it's not possible to calculate the exact amount allocated to the ending inventory. The average-cost method involves dividing the total cost of goods available for sale by the total number of units available to calculate the average cost per unit. Then, this average cost per unit is multiplied by the number of units in the ending inventory to determine the value of the ending inventory.
If you provide the cost of goods sold and the total cost of goods available for sale, I would be able to assist you further in calculating the amount allocated to the ending inventory using the average-cost method.
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An example of a cost is _____.
revenues
principal and interest on loans
tornadoes
profits
You are evaluating a project that requires an investment of $101 today and garantees a single cash flow of $124 one year from now. You decide to use 100% debt financing, that is, you will borrow $101. The risk-free rane is 5% and the tax rate is 33%. Assume that the investment is fully depreciated at the end of the year, so without leverage you would owe taxes on the difference between the project cash flow and the investment, that is, $27.
a. Calculate the NPV of this investment opportunity using the APV method
b. Using your answer to part(), calculate the WACC of the project.
c. Verify that you get the same answer using the WACC method to calculate NPV.
d. Finally, show that flow-to-equity method also correctly gives the NPV of this investment opportunity
a. Calculate the NPV of is investment opportunity using the APV method The NPV of this investment opportunity is $(Round to two decimal places.)
a. The NPV of this investment opportunity using the APV method is $56.33.
To calculate the NPV of this investment opportunity using the APV (Adjusted Present Value) method, we need to consider the tax shield from debt financing.
The cash flow generated by the project is $124, and the tax rate is 33%. Without leverage, the taxes owed would be $27 (33% of $124 - $101). With debt financing, the $101 borrowed can be deducted as an expense, reducing the taxable income.
To calculate the tax shield, we multiply the tax rate by the amount borrowed: 33% * $101 = $33.33.
Now, we can calculate the NPV using the APV method:
NPV = Cash flow - Initial investment + Tax shield
= $124 - $101 + $33.33
= $56.33
b. The WACC of the project is 5%.
To calculate the WACC (Weighted Average Cost of Capital) of the project, we need to consider the cost of debt and the cost of equity.
Since the project is fully financed by debt, the cost of debt is equal to the risk-free rate, which is 5%. The weight of debt is 100% since it is the only source of financing.
WACC = Cost of debt * Weight of debt
= 5% * 100%
= 5%
c. The NPV of this investment opportunity using the WACC method is $17.10, which is different from the NPV calculated using the APV method.
To verify that we get the same answer using the WACC method to calculate NPV, we can use the formula:
NPV = Cash flow / (1 + WACC)^n - Initial investment
= $124 / (1 + 5%)^1 - $101
= $124 / 1.05 - $101
= $118.10 - $101
= $17.10
d. The NPV of this investment opportunity using the flow-to-equity method is $17.95.
The flow-to-equity method can also be used to calculate the NPV of this investment opportunity. In this case, we need to consider the cash flow to equity holders, which is the cash flow generated by the project minus the interest expense.
The interest expense is equal to the amount borrowed multiplied by the cost of debt. So, in this case, the interest expense is $101 * 5% = $5.05.
Cash flow to equity holders = Cash flow - Interest expense
= $124 - $5.05
= $118.95
Now, we can calculate the NPV using the flow-to-equity method:
NPV = Cash flow to equity holders - Initial investment
= $118.95 - $101
= $17.95
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What is the repitition of the elements of art?
Answer:
Repeating of elements in a design.
Explanation:
Repetition is defined as repeating a single element several times in a design. In arts, repeat patterns are used by the artists. Repeat Pattern is the repetition of lines, shapes, colors, textures and forms. Artists and designers used patterns to discover their decorative style, to understand their structural form and to communicate their intrinsic beauty so for these reasons repetition is used.
(04.03 LC)
Which type of insurance covers homes, land, and other structures?
A. Collision
B. Health
C. Liability
D. Property
Answer:
D. Property
hope this helps out
Property insurance is the type of insurance which covers homes, land, buildings and other structures. It provides coverage of your property.
Property InsuranceInsurance may be defined as a protection from a financial loss of any possesssion.
It is in the form of an agreement where the insurer is promised for a reimbursement for any financial losses by the insurance agency.
Property Insurance provides financial coverage to your possessions such as house, offices, land, buildings and other properties against any damages causd by floods, fire, theft or any other reasons.
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true or false? an informal leader is one who is free to act?
What is the distinction between free trade and fair trade?
Free trade focuses on the _________ of nations. Fair trade seeks to bring ________ to the world of trade.
Answer:
Free trade focuses on the reductions of barriers and policies of nations.
Fair trade seeks to bring favor to the right of the worker.
Explanation:
according to the model business corporation act (mbca), what is the least number of directors required to form the board of directors?
According to the Model Business Corporation Act (MBCA), the minimum number of directors required to form a board of directors is one.
The Model Business Corporation Act (MBCA) is a set of guidelines and recommendations for the governance and operation of corporations in the United States. According to the MBCA, a corporation can establish its board of directors with a minimum of one director. This means that a single individual can serve as the sole director of a corporation, forming a functioning board of directors.
However, it's important to note that the MBCA provides flexibility for corporations to have multiple directors if desired. Many corporations opt for a board of directors consisting of multiple individuals to bring diverse perspectives and expertise to the decision-making process. Nonetheless, the MBCA sets the minimum requirement at one director, ensuring that even small corporations or those in unique circumstances can establish a legally compliant board of directors.
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why are payday loans so much easier to qualify for than traditional bank loans?
Payday loans are often exempt from credit checks so because borrower's next paycheck serves as collateral. They are therefore a tempting choice for borrowers who have poor credit or even no credit.
Do Borrowers have souls?Despite having very little direct touch with their bigger cousins and differing biologically from humans, Borrowers have a culture that is strikingly similar with that of humans. They appear to "steal" that culture of the large people they coexist with, taking on their language and manner of life in general.
What are the names of the Borrowers?The Borrowers are tiny residents of an English home who reside below a clock. They go by Homily, Pod, and Arrietty.
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Asset Allocation Model In this section use the investor profile below to develop an asset allocation model dividing the investments into cash, fixed income, equity and speculative. Explain your choices. Your asset allocation must contain at least one type of investment from each of the cash and fixed income categories. Your asset allocation model must have at least two equity investments. Speculative investments should be considered for high-risk investors. The costs of the investments should be identified. There is no limit on the number of investments chosen but each should be chosen for a specific reason. A proper analysis includes an economic analysis, industry analysis and company specific analysis. Describe the strategy chosen for your investment purchases. Discuss real events which took place to make you alter any decisions and why it made you take a different course of action. Reference news articles and websites to illustrate your course of action. Criteria: Have you shown an understanding of risk, liquidity, return and time frame in selecting an asset allocation? Have you offered clear and objective evidence to support your asset allocation? Have you adhered to the required number of investments for each investment category? Do you offer reasons why one investment was chosen over another? Is there diversity within the category and a reason for that diversity? Do the choices reflect research?
In The Asset Allocation, Growth investment: which employs fundamental analysis, is one of the oldest and most basic types of investing. As a result, considerably more immediate changes may be useful. You have the option of employing leverage with your money.
The Asset Allocation Model is similar to purchasing good quality products . You don't need anything ostentatious or one-of-a-kind.
Growth investment: which employs fundamental analysis, is one of the oldest and most basic types of investing. As a result, considerably more immediate changes may be useful. You have the option of employing leverage with your money.
Invest and Hold: Rather than "timing the market," investors who buy and hold believe that "time in the market" is preferable. If you use this method, you will be able to buy securities and retain them for a long period.
Therefore, Growth investment and Invest and Hold are the option of employing leverage with your money.
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The LM curve shifts down (or, equivalently, to the right) when which of the following occurs?
a. an increase in taxes.
b. an increase in output.
c. an open market sale of bonds by the central bank.
d. an increase in consumer confidence. e. none of the above.
The LM curve shifts down (or to the right) when there is an increase in taxes or a decrease in consumer confidence. It does not shift in response to an increase in output or an open market sale of bonds by the central bank.
The LM curve represents the equilibrium in the money market, where the interest rate is determined by the supply and demand for money. When there is an increase in taxes, it reduces disposable income and decreases consumption and investment. This leads to a decrease in the demand for money, causing the LM curve to shift down (or to the right) as the equilibrium interest rate decreases.
On the other hand, an increase in output results in higher income and increased demand for money. As a result, the demand for money rises, leading to an increase in the equillibrium interest rate. Therefore, an increase in output does not cause the LM curve to shift down (or to the right).
Similarly, an open market sale of bonds by the central bank reduces the money supply in the economy. This contractionary monetary policy increases the equilibrium interest rate, shifting the curve up (or to the left), not down.
Finally, an increase in consumer confidence generally leads to higher consumption and investment. This increased demand for money raises the equilibrium interest rate, shifting the LM curve up (or to the left), rather than down.
In conclusion, the LM curve shifts down (or to the right) when there is an increase in taxes or a decrease in consumer confidence. It does not shift in response to an increase in output or an open market sale of bonds by the central bank.
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The aftermath of WWI, the economic chaos of WWII saw colonial powers more reliant on their empires than ever before. Britain and France especially wanted to use their empires' raw materials as a way of earning needed dollars and rebuild their destroyed countries. It is this need for additional exploitation that pushes (however slowly) more and more colonized people to support independence movements. Additionally, the war (including the reasons that justified the fighting) discredits the ideology behind empires (that some countries are fit for ruling others). I also want you to consider the humanitarian crisis and chaos that the war and its end brings (especially as the traditional empires-Britain and France-are weakened now) and how many of these stories are just now being told.
For Gandhi-How does Gandhi reverse the idea of Western superiority/Indian inferiority? How does Nehru argue for the importance of unity (against the divisions imposed by the British)?
Gandhi was a prominent figure in the Indian independence movement, and he worked tirelessly to reverse the idea of Western superiority and Indian inferiority.
He did this by promoting non-violent civil disobedience as a means of challenging British rule without resorting to violence. This approach helped to undermine the idea that the British were superior to Indians, as it demonstrated that Indians were capable of achieving change through peaceful means.
Gandhi also emphasized the importance of traditional Indian culture and values, which further challenged the notion that Western culture was superior to Indian culture. Through his promotion of spinning and other traditional practices, Gandhi encouraged Indians to take pride in their heritage and to reject the idea that they needed to adopt Western ways in order to be successful.
In contrast to Gandhi's emphasis on cultural and spiritual unity, Nehru argued for the importance of political unity in the face of British colonial rule. He recognized that the British had deliberately created divisions among different groups within India, such as Hindus and Muslims, in order to maintain control.
To counter this, Nehru advocated for a united front against British rule, arguing that only through collective action could Indians achieve independence and build a strong and prosperous nation. By emphasizing the importance of unity across different religious and ethnic groups, Nehru challenged the British strategy of divide and rule and promoted an inclusive vision of India's future.
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What is the marginal revenue and marginal cost for this diagram?
What type of market is this? Explain your answer
Marginal revenue :
2060120200300420560Marginal cost :
108210192640It is a Monopolistic market structure because marginal revenue is greater than the marginal cost.
Marginal Revenue is the increase in the revenue by selling one extra product in the market. It is calculated by the Change in revenue divided by the change in output.
Marginal cost is the change in cost by producing one extra unit of output. It is calculated by a change in cost divided by the change in units.
Monopolistic market structure is where there are multiple companies producing similar products in the market.Example for monopolistic structure can be a grocery store.
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Self and social awareness is an important skill to practice when communicating with others because you will __________.
Self and social awareness is an important skill to practice when communicating with others because you will be more aware of your own personal biases
This is further explained below.
What is social awareness?Generally, The capacity to grasp the viewpoints of other people, groups, or communities and to incorporate that comprehension into one's relationships with other people is what we mean when we talk about social awareness.
This is a rather straightforward idea.
The term "personal bias" refers to previously unacknowledged views, opinions, or attitudes that have been gained through time and often serve to perpetuate stereotypes.
Personal biases are automatic, accidental, and hardwired into people, and they cause them to make inaccurate judgments.
In conclusion, While you practice self-awareness and social awareness, you will become more conscious of your own personal biases, which makes self-awareness and social awareness a crucial ability to have when speaking with others.
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The _____ inventory consists of items that have been produced but not yet sold. A. raw materials B. work-in-process C. finished goods D. capital goods
The finished goods inventory consists of items that have been produced but not yet sold, the correct option is (c).
The finished goods inventory consists of items that have been fully produced and are ready for sale but have not yet been sold.
The Raw materials inventory includes the materials used in the production process but have not yet been transformed into finished goods.
The Work-in-process inventory consists of partially completed goods that are in the process of being produced.
The Capital goods inventory includes long-term assets used in the production process such as machinery, equipment, and buildings.
Therefore, based on the above definitions the correct answer is (c)finished goods.
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Current market prices reflect all relevant information, whether publicly or privately held, describes what level of information efficiency?
The statement "current market prices reflect all relevant information, whether publicly or privately held," describes a market with the highest level of information efficiency, known as "strong-form efficiency."
In a strong-form efficient market, prices reflect both publicly available information and any private information that market players may have. This indicates that no one can consistently generate above-average returns utilising either knowledge that is available to the public or that is kept secret. The ultimate level of information efficiency, known as strong-form efficiency, is a theoretical ideal that is challenging to realise in practise. The financial markets, especially in established and well-regulated markets, frequently display traits of strong-form efficiency.
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Which of the following is the basis of all slides in a presentation?
O Placeholders
O Slide Masters
O Theme
O Variant
The Placeholders is the basis of all slides in a presentation.
The Placeholder is a feature on the presentation interface which is a pre-formatted content for text, graphics, video, clip arts etc
The Placeholder allows the user to format their slides easily and consistently.
Therefore, the Option A is correct because the Placeholders is the basis of all slides in a presentation.
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A girl in your kindergarten class has started to act uncharacteristically withdrawn. You send a text message to her primary caregiver, her grandmother, requesting a conference date, but you don't receive a reply. What is the best next course of action?
A.send another message beginning with urgent
B.Try a different method of contact
C.Hope with time child child starts acting like herself
D.Let it go-her grandmother clearly isnt interested in this meeting
B.) Try a different method of contact.
In a socialist economic system, the government
O owns and controls the people.
O pays little attention to income distribution.
O owns and controls many of the resources.
O rents resources to the people.
Answer:
owns and controls many of the resources
Explanation:
Socialism, or the command system, is an economic system where the government owns and controls most of the factors of production. It decides on the allocation of resources and what products and services to avail in the market place.
The proponents of socialism advocate for,
1. Collective ownership of the factors of production through an elected central government.
2.Social equity by eradicating citizen's economic classification.
3. Central planning of the economy.
bill matthews is investing $17,400 in the washington mutual fund. the fund charges a 5.45 percent commission when shares are purchased. calculate the amount of commission bill must pay. (round your answer to 2 decimal places.)
Bill must pay a commission of $947.70 to invest $17,400 in the Washington Mutual Fund.
To calculate the amount of commission Bill must pay for investing $17,400 in the Washington Mutual Fund, we need to first determine the commission rate based on the 5.45 percent charge when shares are purchased.
To calculate the commission, we can multiply the investment amount by the commission rate:
Commission = Investment amount x Commission rate
Commission = $17,400 x 0.0545
Commission = $947.70 (rounded to two decimal places)
Therefore, Bill must pay a commission of $947.70 to invest $17,400 in the Washington Mutual Fund.
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brittany purchased a stock for $14 a share and sold it six months later for $15.50. while she owned the stock, britanny received two quarterly dividends of $0.16 per share. brittany's holding period return on this stock is
Brittany's holding period return on the stock is 12.86%.
Brittany's holding period return on the stock can be calculated as follows:
HPR = [(Ending value - Beginning value + Dividends) / Beginning value] x 100%
In this case, the beginning value is the purchase price of $14 per share, the ending value is the sale price of $15.50 per share, and the dividends received are $0.16 per share for each of the two quarters, or $0.32 per share in total. Thus, the holding period return is:
HPR = [(15.50 - 14 + 0.32) / 14] x 100% = 12.86%
Therefore, Brittany's holding period return on the stock is 12.86%.
The holding period return is a measure of the total return earned on an investment over a certain period of time, taking into account any dividends received and any capital gains or losses from buying and selling the asset. In this case, Brittany's holding period return is positive, indicating that she earned a profit on the investment. The HPR formula takes into account the purchase and sale prices, as well as the dividends paid, and expresses the result as a percentage of the initial investment.
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the fixed order interval eoq model is best used for skus with:
The fixed order interval EOQ model is best used for SKUs with consistent and predictable demand patterns.
The fixed order interval EOQ model calculates the optimal order quantity and reorder point based on the item's demand rate, lead time, and carrying costs. SKUs with consistent and predictable demand patterns make it easier to estimate these parameters accurately, resulting in more accurate and cost-effective inventory management decisions.
The fixed order interval EOQ (Economic Order Quantity) model is most suitable for SKUs with stable and consistent demand patterns because it involves ordering at fixed time intervals and does not consider fluctuating demand. This model is useful when demand for the SKU is predictable and there is minimal risk of stockouts or excess inventory.
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This is for my class in finance
What is one way to minimize the impact of unplanned spending on a budget?
I will mark brainliest !!!
Answer:
1. Work with credit card companies. ...
2. Sell your stuff. ...
3. Earn extra income. ...
4. Take on a short-term money loan. ...
5. Re-budget to live below your means. ...
6. Ask for a paycheck advance. ...
7. Make sure you're prepared for next time.
sellers will tend to be most concerned with customer satisfaction when a. it is difficult for the customer to evaluate product quality. b. they depend on repeat customers for most of their business. c. they sell primarily to tourists. d. they are a monopoly protected from competition by government licensing.
b. They depend on repeat customers for most of their business. Because most of their revenue comes from recurring clients, merchants tend to be most concerned with customer satisfaction.
Customers' pleasure is likely to be the top priority for sellers whose primary source of revenue is repeat business. This is because they are aware that happy clients are more likely to become loyal ones, which eventually translates into more revenues. Customers are more likely to go elsewhere if they are not pleased with their experience, on the other hand. The alternative choices, such selling largely to tourists or operating as a monopoly protected by government licence, would not always result in a strong emphasis on customer satisfaction since these sellers might not rely on repeat business as much.
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Why is a person considered an entrepreneur?
An entrepreneur is a person who launches and manages a business with little planning or funding and who bears all the risks and benefits of their business venture. Instead of a pre-existing company model, a new product or service is typically included in the business proposal.
What are launches into space?
The first phase of a voyage that enters space is the space launch. Liftoff occurs when a rocket or other space launch vehicle leaves the ground, a ship in the water, or an airplane in midair to begin a flight. A spacecraft is launched after a period of powered flight during which it rises above the atmosphere of the planet and accelerates at least to orbital velocity. When a rocket's final stage burns out, powered flight is terminated, and the spacecraft separates and continues to descend in freefall.
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