What are some strengths you may personally have that would enable Bootstrapping in a new Venture started by you? Weaknesses that might constrain you?

Answers

Answer 1

Strengths for bootstrapping a new venture could include: Resourcefulness,Adaptability,Financial acumen, Technical skills Weaknesses: Limited capital: Lack of initial funds may restrict ability to invest in essential resources, Time constraints.

Resourcefulness: The ability to find creative solutions, make the most of limited resources, and identify cost-effective strategies.  Strengths for bootstrapping a new venture could include:

Resourcefulness: The ability to find creative solutions, make the most of limited resources, and identify cost-effective strategies. Adaptability: Being able to quickly respond to changing circumstances, pivot when necessary, and adjust business plans accordingly.

Financial acumen: Having a strong understanding of finance, budgeting, and cash flow management to make informed financial decisions. Technical skills: Possessing expertise in relevant technical areas can save costs by handling tasks in-house rather than outsourcing.

Weaknesses that might constrain bootstrapping efforts could include: Limited capital: Lack of initial funds may restrict the ability to invest in essential resources or scale the business.

Time constraints: Bootstrapping often requires significant time commitment, which might be challenging if there are other personal or professional obligations.

Limited network: A smaller network could impact access to potential customers, partnerships, or investment opportunities.

Lack of expertise: Insufficient knowledge or experience in certain areas of business operation could hinder effective decision-making and implementation.

It's important to note that strengths and weaknesses can vary from person to person, and it's crucial to evaluate individual circumstances and adapt accordingly when starting a new venture.

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Related Questions

In the short run, a firm in a monoplisically copetitive market operaes much like a?

Answers

In the short run, a firm in a monopolistically competitive market operates much like a monopolist.



In a monopolistically competitive market, there are many firms competing with each other, but each firm has some degree of control over its prices. This means that firms in monopolistic competition can set their own prices, unlike in perfect competition where prices are determined solely by market forces.

Similarly, a monopolist is a single firm that has complete control over the market and can set prices without being constrained by competition. In the short run, both monopolistically competitive firms and monopolists have the ability to adjust their prices to maximize their profits.

However, there are some differences between the two. In a monopolistically competitive market, firms differentiate their products to make them unique and attract customers. This product differentiation can be through branding, packaging, quality, or other features that set their products apart from competitors. On the other hand, a monopolist typically offers a product or service that has no close substitutes, giving them a monopoly over that specific market.

In summary, in the short run, a firm in a monopolistically competitive market operates much like a monopolist in terms of having some control over prices. However, there are differences in terms of product differentiation and the level of competition in the market.

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Balancing life in college will require paying attention to which aspects of your life in order
to reach long and short term goals?
Finances, social life, academics and personal life

Class time and study time,

Managing your weight while dealing with cooking or meal plan.

Paying attention only to your social life can lead to career opportunities,

Answers

Answer:

finance , social life , academics and personal life

return rate is 9%
A project with an initial cost of $30,500 is expected to provide cash flows of $10,650, $11,600, $14,700, and $9,200 over the next four years, respectiv what is the project's profitability index?

Answers

The project's profitability index is 1.22, indicating a positive value and potential profitability.

To calculate the profitability index (PI) of a project, we need to divide the present value of the project's cash flows by its initial cost.

First, let's calculate the present value of the cash flows using the given discount rate of 9%. The present value (PV) of each cash flow can be calculated using the formula:

PV = CF / (1 + r)ⁿ

Where CF is the cash flow, r is the discount rate, and n is the time period.

Using this formula, we can calculate the present values of the cash flows as follows:

PV1 = $10,650 / (1 + 0.09)¹ ≈ $9,771.43

PV2 = $11,600 / (1 + 0.09)² ≈ $9,909.09

PV3 = $14,700 / (1 + 0.09)³ ≈ $10,678.64

PV4 = $9,200 / (1 + 0.09)⁴≈ $6,876.84

Next, let's calculate the sum of the present values:

PV_Total = PV1 + PV2 + PV3 + PV4 ≈ $37,235

Now we can calculate the profitability index:

PI = PV_Total / Initial Cost

= $37,235 / $30,500

≈ 1.22

Therefore, the project's profitability index is approximately 1.22.

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A decrease in the price of a substitute good Y will lead to O A. an inward shift in the supply of good X. OB. an inward shift in the demand for good X. OC. an outward shift in the demand for good X. O D. an outward shift in the supply of good X.

Answers

A decrease in the price of a substitute good Y would not directly impact the supply of good X. The supply of good X is determined by factors such as production costs, technology.

An inward shift in the demand for good X. A decrease in the price of a substitute good Y would lead consumers to shift their demand from good X to the now cheaper substitute good Y. As a result, the demand for good X would decrease, leading to an inward shift in the demand curve for good X. Substitute goods are products that can be used in place of each other to satisfy similar needs or wants.

When the price of a substitute good decreases, consumers tend to switch their purchases from the relatively more expensive good to the cheaper substitute. This shift in consumer behavior results in a decrease in the demand for the original good. In this case, the decrease in the price of substitute good Y makes it a more attractive option for consumers compared to good X. As a result, the demand for good X decreases, causing an inward shift in the demand curve for good X.

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Discuss different trade policies that are currently enacted and if they should be updated in some way.
Then create your own policy about an area in the economy is currently not addressed in current trade policies.
Select the link to access the Trade Discussion.

Answers

U.S. trade policy promotes economic growth through regulations and agreements that control imports and exports with other countries.

Trade allows countries to specialize in the production of the goods and services that align with their comparative advantage.

What are trade barriers?

A trade barrier refers to a natural barrier or imposed restraint by government on the flow of international goods or services.

Some examples of trade barrier include import quotas, embargoes, buy-national regulations, distance, language etc.

In conclusion, a trade barrier reducing policy is the policies that the Melanie's country has adopted to reduce international trade barriers.

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The demand for financial capital increases when _________________ increases

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The demand for financial capital increases when investment opportunities increase.

This is because businesses need financial capital in order to make investments and expand their operations. As more investment opportunities become available, the demand for financial capital also increases. This is a basic principle of economics, as businesses need financial capital in order to grow and take advantage of new opportunities.

In addition, the availability of financial capital can also impact the level of investment opportunities in an economy. If financial capital is scarce, businesses may not be able to access the funds necessary to take advantage of profitable opportunities, which could limit economic growth

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heineken starts with barley. what is the process of preparing the barley called?

Answers

growing the characteristic balanced Heineken taste. Our A-Yeast is happiest with a large surface vicinity which is possible in our horizontal fermentation tanks.

Image result for Heineken starts offevolved with barley. what is the system of getting ready the barley called?

Brewing

Brewing is the manufacturing of beer by using steeping a starch supply (commonly cereal grains, the most popular of which is barley) in water and fermenting the ensuing candy liquid with yeast.

It may additionally be finished in a brewery with the aid of a business brewer, at home by means of a homebrewer, or communally.

Where does Heineken get their barley?

The relevant crop in every united states relies upon on the local conditions and the CREATE task focuses on malt barley in Ethiopia, maize in Rwanda and sorghum in Sierra Leone. Supplying higher-yielding barley seeds and training are key elements of the CREATE project in Ethiopia.

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How long to the nearest tenths place of a year, does it take an investment of $20,000, to grow to $100,000, if it is invested at a 4.5% annual interest rate and compounded continuously? Do not include units in your answer (years)

Answers

It takes approximately 12.15 years for the investment to grow from $20,000 to $100,000 with a 4.5% annual interest rate and continuous compounding.

To calculate the time it takes for an investment to grow to a certain amount with continuous compounding, we can use the formula.

t = ln(A/P) / (r)

Where:

t = time in years

A = final amount

P = principal amount (initial investment)

r = annual interest rate

In this case, the principal amount (P) is $20,000, the final amount (A) is $100,000, and the annual interest rate (r) is 4.5%.

Plugging in the values:

t = ln(100000/20000) / (0.045)

t ≈ ln(5) / (0.045)

Using a calculator, we find:

t ≈ 12.15 years

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When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must

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When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.

This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.

To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.

Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.

Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.

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inclusion of mushroom in the food of Nepalese people can fulfill the nutrients requirement .justify the statement​

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Yes, the inclusion of mushrooms in the food of Nepalese people can fulfill the nutrient requirement.

The maximum amount of nutrients in 100 g of dry matter of the studied mushroom species is 90% moisture, 15% fiber and ash, 8% carbohydrates, 12% amino acids, 32% protein, and 2.5% fat.

These mushrooms contain large amounts of minerals such as sodium, potassium, calcium, iron, and phosphorus. It can also reduce your risk of developing serious health conditions such as Alzheimer's, heart disease, cancer, and diabetes. It's also a great source of information about Selenium.

Mushrooms have antibacterial properties, strengthen the immune system and lower cholesterol levels. They are also an important source of bioactive compounds. Because of these properties, some mushroom extracts have been used to promote human health and have been found as dietary supplements.

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True or false
the given statements refer to the pricing, economic efficiency, and resource allocation for monopolistically competitive firms. label the statements as being either true or false. each term is used more than once.
statement 1: monopolistically competitive firms will produce where price=marginal revenue=marginal cost in the short run.
statement 2: monopolistically competitive firms are inefficient in their use of resources since they produce at the point where marginal revenue=marginal cost, which means that price>marginal cost in the short run.
statement 3: monopolistically competitive firms will have positive profits even in the long run.
statement 4: monopolistically competitive firms will have demand curves tangent to the left of minimum average total cost. this means that monopolistically competitive firms will not experience economies of scale in the long run

Answers

For the given statements referring to the pricing, economic efficiency, and resource allocation for monopolistically competitive firms.

Statement 1: False

Statement 2: True

Statement 3: False

Statement 4: True

Statement 1: Monopolistically competitive firms will produce only where the marginal revenue equals the marginal cost in the short run.

Statement 2:  Monopolistically competitive firms are inefficient in their use of resources since they produce at the point where marginal revenue equals the marginal cost, which means that price>marginal cost in the short run. This is a correct statement.

Statement 3:  Monopolistically competitive firms will have positive profits even in the long run. This statement is incorrect. In the long run they will have zero profit due to the no cost entry (free entry) and the exit of firms.

Statement 4:  Monopolistically competitive firms will have demand curves tangent to the left of minimum average total cost. This means that monopolistically competitive firms will not experience economies of scale in the long run.

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Geisel, Incorporated reported net sales revenue of $519,000 in 2021 and $615,000 in 2022 . The company's ending net receivables were $120,000 at December 31,2020 and $123,000 at December 31,2021 . At December 31,2022 , the company had Accounts Receivable of $136,000 and an unadjusted debit balance in its Allowance for Doubtful Accounts account of $1,300. The company reported Bad Debt Expense of $5,800 during 2022 Required: a. Determine the net receivables at December 31, 2022. b. Calculate the receivables tumover ratio for 2021 and 2022 .
c. Calculate the days to collect for 2021 and 2022.

Answers

a) The Net Receivables at December 31, 2022, is $134,700. b) The Receivables Turnover Ratio is 4.75 times

a) Calculation of Net Receivables at December 31, 2022:

Accounts Receivable = $136,000

Unadjusted Debit Balance in Allowance for Doubtful Accounts = $1,300

We need to adjust the balance of Allowance for Doubtful Accounts to get the Net Receivables.

Net Receivables = Accounts Receivable – Allowance for Doubtful Accounts= $136,000 – $1,300= $134,700

Therefore, the Net Receivables at December 31, 2022, is $134,700.

b) Calculation of Receivables Turnover Ratio for 2021 and 2022:The formula to calculate the Receivables Turnover Ratio is as follows:

Receivables Turnover Ratio = Net Sales Revenue / Average Net Receivables Average Net Receivables can be calculated as follows:

Average Net Receivables = (Beginning Net Receivables + Ending Net Receivables) / 2

Calculation for 2021:

Net Sales Revenue = $519,000

Ending Net Receivables = $123,000

Beginning Net Receivables = $120,000

Average Net Receivables = ($120,000 + $123,000) / 2= $121,500

Therefore, Receivables Turnover Ratio for 2021 is Receivables Turnover Ratio = $519,000 / $121,500= 4.27 times

Calculation for 2022:

Net Sales Revenue = $615,000

Ending Net Receivables = $136,000

Beginning Net Receivables = $123,000

Average Net Receivables = ($123,000 + $136,000) / 2= $129,500

Therefore, Receivables Turnover Ratio for 2022 is:Receivables Turnover Ratio = $615,000 / $129,500= 4.75 times

c) Calculation of Days to Collect for 2021 and 2022.

The formula to calculate the Days to Collect is as follows:

Days to Collect = 365 days / Receivables Turnover Ratio

Calculation for 2021:

Receivables Turnover Ratio = 4.27 times

Days to Collect = 365 days / 4.27= 85.36 days

Therefore, Days to Collect for 2021 is 85.36 days.Calculation for 2022:

Receivables Turnover Ratio = 4.75 times

Days to Collect = 365 days / 4.75= 76.84 days

Therefore, Days to Collect for 2022 is 76.84 days.

In conclusion, Net Receivables at December 31, 2022, is $134,700. Receivables Turnover Ratio for 2021 is 4.27 times and for 2022 is 4.75 times. Days to Collect for 2021 is 85.36 days and for 2022 is 76.84 days.

The Receivables Turnover Ratio shows how efficiently the company is using its accounts receivable, while Days to Collect shows how many days it takes to collect the receivables. The company can analyze these ratios to improve its collection process and cash flow.

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5
Tina plans to buy her first car, but she has no credit history. The bank will give her a loan if she has a co-signer. How can Tina MOST accurately
and efficiently meet their request?

Answers

Answer:

FInd a co-signer with equivalent credit score.

Explanation:

Tina does not have credit history. She can receive the loan if she has a collateral or co-signer as  base for loan. But it must meet all requests. The collateral must have the right estimation and ownership. Co-signer must have required credit score and credit history.

Answer:

Ask her mother to join a credit union with her.

Explanation:

Match the items with their descriptions.
copyright owner
fair use of copyright materials
government publications
a life span of 20 years
use and display the copyrighted material
exempt from the Copyright Law
paraphrase articles for news reports
patents

Answers

Each of the items should be matched with the correct and appropriate descriptions as follows:

Government publications: a life span of 20 years.Copyright owner: use and display the copyrighted material.Fair use of copyright materials: exempt from the copyright law.Patents: paraphrase articles for news reports.

What is copyright law?

Copyright law simply refers to a set of formal rules and regulations that are granted by the government to protect an intellectual property (IP), especially by giving the creator or original author an exclusive right to use during his or her lifetime, while preventing any unauthorized access, unlawful use or duplication by other parties.

In this context, we can reasonably infer and logically deduce that a copyright grants a creator the exclusive right to use the creation during his or her lifetime, including the creator's heirs for 70 years after the creator's death.

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Government publications- a life span of 20 years. Copyright owner - use and display the copyrighted material. Fair use of copyright materials - exempt from the copyright law. Patents - paraphrase articles for news reports.

What is Government publications?

A government publication is defined as "informational material issued as an individual document at Government expense, or as required by law" under the United States Code.

Census data, statistical information, reports, journal articles, Royal Commission findings, parliamentary documents, legislation, and legal citations are a few examples of government publications.

Thus, statements are match correctly above.

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Date
Page
2
2) Marketing is meeting
needs
profitably!
Comment

Answers

Answer:

markeing

Explanation:

communication skills, credentials, honesty

explain internal economics and internal diseconomics ​

Answers

Answer:

These are the cost advantage that an organization obtains due to their scales of operation . Diseconomies are the cost disadvantages that firms build up due to an increase in firm size or output . This result in the production of goods and services at increased per unit costs . Economics of scale leads to cost reduction .

Explanation:

Thaats what upp

Answer:

These occur when mass producing a good results in lower average cost. Economies of scale occur within an firm (internal) or within an industry (external). Internal Economies of Scale - As a business grows in scale, its costs will fall due to internal economies of scale.

Explanation:

direction match the word one column a with its meaning in column b writer answer on your activity notebook

A.
1.Sanitation.
2.health
3.prevent
4.Alternative
5.veterinarian
6.quarantine
7.market demand
8.livelihood
9.benefit
10.hazard
B.
a.to keep from happening
b.the doctor specializing in the care and health of animals
c.cleanliness
d.based on the need of buyers and consumers
e.a means of support; occupation
f.danger;risk
g. advantage;useful
h.free from disease;sound body condition
I.isolate
j.to take the place of;substitute ​

Answers

Answer:

1-c,2-h,3-a,4-j,5-b,6-i,7-d,8-c,9-g,10-f

Explanation:

should be right.

17. Lewis signed a contract for the rights to all timber located on Nine Mile Mine. He agreed to pay $70 per thousand board feet ($70/mbf). As he began work, Nine Mile became convinced that Lewis lacked sufficient equipment to do the job well and forbade him to enter the land. Lewis sued. Nine Mile moved for summary judgment. The mine offered proof that the market value of the timber was exactly $70/mbf, and Lewis had no evidence to contradict Nine Mile. The evidence about market value proved decisive. What is the issue

Answers

Chekit on hist googl

your company has $200,000 to invest and has identified the following three investments: investment a requires an initial investment of $130,000 and has an annual rate of return of 12%. investment b requires an initial investment of $70,000 and has an annual rate of return of 16%. investment c requires an initial investment of $30,000 and has an annual rate of return of 27%. unused funds will be placed in a bank account with an annual percentage rate of 4.5%. you may invest in each of the investments only once. all the investments have a life of one year. which investment should your company invest in?

Answers

Investing presupposes principal and interest payments after one year, we should invest $20,000 in A and B.

Investment A will cost $130,000 and get a return of $130,000*0.12=$15,600.

70,000*0.16=11,200 will be received as interest from investment B on a 70,000 investment.

The return on investment C is $8,100 (30,000 * 0.27).

Therefore, total investment in option C plus the remaining 40,000 in a savings account will result in 8100+1800=$9,900, which is less than the equivalent amount of investment in option "B," making option B preferred over option C. Now, if we choose option C over B, then initial investment reduction=70000-30000=40000 and interest earned in a saving account on 40,000=$1,800.

The incremental yield in a savings account for C will be the same when comparing A and B, giving (130000-30000)*0.045=$4,500. A is preferred over C because the total interest on C would be 8100 + 4500 = 12,600, which is less than the investment in "A".

Therefore, we should spend $20,000 in A and B.

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A property's value is dropping because the neighboring property's yard is filled with trash. What's this an example of

Answers

An example of purchase money is when property's value is dropping because theneighboring property's yard is filled with trash.

What is a purchase money?

Purchase money can be regarded as the consideration paid or to be paid by the purchaser of property.

It involves a debt thst is been secured by the property purchased with the money borrowed

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Choose a picture of a family member, a friend, or a person that you admire in business, political, sports entertainment and other industries that motivate you to achieve your dream

Answers

Mohammed Ali was a professional boxer, philanthropist, and social crusader whose passion, perseverance, and desire to be the greatest in his area motivates me.

He exemplifies self-actualization, the highest level of Maslow's Hierarchy of Needs, because he not only attained professional achievement but also used his position to promote social change and better the lives of others.

His uncompromising devotion to his ideas and tireless pursuit of greatness served as a continual reminder to never settle for mediocrity and to strive for perfection in all aspects of my life.

What is Abraham Maslow's Hierarchy of Needs Theory?

Abraham Maslow's Hierarchy of Needs Theory is a psychological theory that discusses how humans have a certain set of needs that must be addressed in order to achieve the ultimate goal of self-actualization.

Maslow's thesis is based on the idea that we are driven by our basic human needs. Furthermore, if some of our most basic requirements are not addressed, we may be unable to advance and meet our other needs. This may explain why we feel "stuck" or uninspired.

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Full question:

Choose a picture of a family member, a friend, or a person that you admire in business, politics, sports entertainment and other industries that motivate you to achieve your dream. Be creative wrth your answer. You can send your answer online or you can paste a picture inside.

Describe that person and based on Maslow's Hierarchy of Needs Theory explain how he/she motivates you and your desire to fulfil your dreams needs. Write your answer below.

Choose a picture of a family member, a friend, or a person that you admire in business, political, sports

"An open forum where anyone can start a new discussion at any time, and in which discussion topics are displayed with
'Discuss the topic' links.", is an example of what type of Discussion Forum?
Select one:
O a. Simply Discussion Forum for General Use
O b. Question & Answer Forum
O c. Standard Forum Displayed in a Blog-like Format
O d. Open-ended Discussion Forum

Answers

Answer: Open-ended Discussion Forum

Explanation:

An open forum where anyone can start a new discussion at any time, and in which discussion topics are displayed with 'Discuss the topic' links.", is an example of an open ended discussion forum.

An open ended question simply refers to a question whereby anyone can start a conversation by asking a particular question and anyone who has a say to the question or some information regarding the question can post it and a conversation can then follow.

The stockholders' equity section of Sunland Corporation appears below as of December 31, 2025,
8% preferred stock, $50 par value, authorized
103,600 shares, outstanding 93,600 shares
$4,680,000
Common stock, $1.00 par, authorized and issued 10,000,000 shares 1000000
Additional paid-in capital
21,320,000
Retained earnings (includes 2025 net income of $34,320,000)
173,680,000.
Total stockholders' equity
209,680,000
Net income for 2025 reflects a total effective tax rate of 20%. Included in the net income figure is a loss of $18,720,000 (before tax) as a result of a non-recurring major casualty. Preferred stock dividends of $374,400 were declared and paid in 2025. Dividends of $1,040,000 were declared and paid to common stockholders in 2025.
Compute earnings per share data as it should appear on the income statement of Sunland Corporation. (Round answers to 2 decimal places, eg, 1.48.)

Answers

The earnings per share data for Sunland Corporation is $1.52.

To compute the earnings per share data for Sunland Corporation, we need to calculate the weighted average number of common shares outstanding and then divide the net income attributable to common stockholders by the weighted average number of shares.

Given information:

Net income: $34,320,000

Preferred stock dividends: $374,400

Common stock dividends: $1,040,000

Preferred stock outstanding: 93,600 shares

Common stock outstanding: 10,000,000 shares

First, we need to adjust the net income for the loss resulting from the non-recurring major casualty:

Net income after adjusting for the loss = Net income - Loss = $34,320,000 - $18,720,000 = $15,600,000

Next, we need to calculate the weighted average number of common shares outstanding. Since there were no changes in the common stock outstanding during the year, the weighted average will be the same as the total number of shares outstanding:

Weighted average number of common shares outstanding = 10,000,000 shares

Now, we can calculate the earnings per share (EPS) as follows:

EPS = (Net income - Preferred stock dividends) / Weighted average number of common shares outstanding

EPS = ($15,600,000 - $374,400) / 10,000,000

EPS = $15,225,600 / 10,000,000

EPS = $1.52

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describe the functions of SARB​

Answers

Answer:

The Reserve Bank's responsibilities include formulating and implementing monetary policy, promoting financial stability, issuing banknotes, providing banking services to government, operating the high-value payments system, managing Australia's foreign reserves and setting payments system policy.

The SARB is responsible for regulating cross-border transactions, preventing the abuse of the financial system and supporting the regulation of financial institutions.

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Note: This is a 3-part question - information is the same for all 3 parts Part A The balance sheet of Sublime Company for 2 years is presented below, along with certain other information for 2018. All amounts are in $. [40 points] As at 12/31/2017 12/31/2018 Cash 155,000 45,000 Accounts receivable 40,000 95,000 Prepaid expenses 100,000 60,000 Land 100,000 300,000 Equipment at net book value 525,000 560,000 Investments 125,000 125,000 Total Assets 1,045,000 1,185,000 Taxes payable 125,000 95,000 Accounts Payable 200,000 210,000 Long term Bonds payable 100,000 200,000 Common Stock 500,000 550,000 Retained Earnings 120,000 130,000 Total liabilities & equity 1,045,000 1,185,000 Other information: a. Net Income for 2018 was 50,000 b.

Depreciation expense for 2018 was 25,000. Accumulated depreciation on Equipment was 175000 at the end of 2017 and 200000 at the end of 2018. A. Calculate the cash flow from Operating activities for Sublime Company for period ending 12/31/18. [40 points] Show individual items (assets, liabilities etc. that resulted in this number)

Answers

The cash flow from operating activities for Sublime Company for the period ending 12/31/18 is $30,000. This represents the net cash generated or used by the company's core operations during the period.

To calculate the cash flow from operating activities for Sublime Company for the period ending 12/31/18, we will use the indirect method. The cash flow from operating activities is derived by adjusting net income for non-cash items and changes in working capital.

First, let's calculate the adjustments for non-cash items:

Depreciation expense: Add back the depreciation expense of $25,000.

Next, let's calculate the changes in working capital:

Accounts receivable: Calculate the change in accounts receivable by subtracting the accounts receivable balance at the end of 2017 from the accounts receivable balance at the end of 2018. The change is $95,000 - $40,000 = $55,000. Since accounts receivable increased, we subtract this amount.

Prepaid expenses: Calculate the change in prepaid expenses by subtracting the prepaid expenses balance at the end of 2017 from the prepaid expenses balance at the end of 2018. The change is $60,000 - $100,000 = -$40,000. Since prepaid expenses decreased, we add this amount.

Taxes payable: Calculate the change in taxes payable by subtracting the taxes payable balance at the end of 2017 from the taxes payable balance at the end of 2018. The change is $95,000 - $125,000 = -$30,000. Since taxes payable decreased, we add this amount.

Accounts payable: Calculate the change in accounts payable by subtracting the accounts payable balance at the end of 2017 from the accounts payable balance at the end of 2018. The change is $210,000 - $200,000 = $10,000. Since accounts payable increased, we subtract this amount.

Now, let's calculate the cash flow from operating activities:

Net income: $50,000

Add: Depreciation expense: $25,000

Adjustments for changes in working capital:

Subtract: Change in accounts receivable: -$55,000

Add: Change in prepaid expenses: $40,000

Add: Change in taxes payable: -$30,000

Subtract: Change in accounts payable: -$10,000

Cash flow from operating activities: $30,000

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On April 1, 1986, Casey deposited $1150 into a savings account paying 9.6%
interest, compounded quarterly. If he hasn't made any additional deposits or
withdrawals since then, and if the interest rate has stayed the same, in what
year did his balance hit $2300, according to the rule of 72?

Answers

Answer:4900

Explanation: it makes sence duh.

Winery Ltd, an Australian wine company, is planning to raise funds to purchase a winery in France. Winery Ltd is considering whether to fund this investment from offshore borrowing. 1. Identify and explain 2 advantages and 2 disadvantages of raising funds abroad. 2. Provide detailed advise on whether Winery Ltd should raise funds abroad to make an investment abroad. 3. Explain how raising funds from issuing shares (equity) or borrowing from the bank (liability) would affect the financial reporting. ( 6 marks)

Answers

Raising funds abroad for an investment has advantages of accessing larger capital pools and diversifying funding sources, but it also brings risks such as exchange rate fluctuations and regulatory complexities. Winery Ltd should carefully analyze the costs and benefits before deciding. Issuing shares or borrowing from the bank would have different impacts on financial reporting, affecting equity and liabilities.

Advantages of Raising Funds Abroad:

a. Access to larger capital pools: Raising funds abroad can provide access to a larger pool of investors and lenders, allowing the company to secure larger amounts of capital for its investment. This can be especially beneficial if the required funds are substantial.

b. Diversification of funding sources: Raising funds internationally can diversify the company's sources of funding, reducing reliance on domestic markets. This diversification can help mitigate risks associated with local economic conditions and regulatory changes.

Disadvantages of Raising Funds Abroad:

a. Exchange rate risk: When borrowing funds from abroad, the company is exposed to exchange rate fluctuations. If the domestic currency weakens against the foreign currency, it can increase the cost of repayment, potentially resulting in higher interest expenses.

b. Regulatory and legal complexities: Raising funds internationally involves complying with foreign regulations and legal requirements, which can be complex and time-consuming. This may include meeting specific disclosure obligations and adhering to different accounting standards.

Advice on Raising Funds Abroad:

Whether Winery Ltd should raise funds abroad to make an investment abroad depends on various factors such as the cost of borrowing, the company's risk appetite, and the stability of the foreign market. It is recommended that Winery Ltd conduct a thorough cost-benefit analysis, considering factors like interest rates, exchange rate stability, and the overall financial impact on the company.

If the cost of borrowing abroad is significantly lower than domestic borrowing options, and the foreign market shows stability and growth potential, raising funds abroad may be a favorable option. However, careful consideration should be given to exchange rate risks, regulatory compliance, and the overall financial implications for the company.

Impact on Financial Reporting:

Raising funds through issuing shares (equity) or borrowing from the bank (liability) would have different effects on financial reporting:

Issuing shares: When Winery Ltd issues shares, it increases its equity capital. This would be reflected in the balance sheet as an increase in shareholders' equity, and the company's earnings per share may be diluted if additional shares are issued.

Borrowing from the bank: Borrowing funds from the bank would increase the company's liabilities. This would be reflected in the balance sheet as an increase in long-term or short-term debt. The company would also need to disclose the terms and conditions of the borrowing in the notes to the financial statements.

Both options would have an impact on the company's financial position, leverage ratios, and interest expense. It is important for Winery Ltd to carefully consider the implications of each financing option on its financial reporting and communicate these changes effectively to stakeholders.

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Why has Jamba Juice not been introduced into the UK Market?

Answers

Jamba Juice has not been introduced into the UK market primarily due to several factors, including market dynamics, competition, and business considerations.

Expanding into a new market requires careful analysis and evaluation of various factors. In the case of Jamba Juice and the UK market, one possible reason is the existing competition in the beverage and juice industry. The UK already has a well-established market with local and international competitors, making it challenging for Jamba Juice to penetrate and differentiate itself effectively.

Another factor could be market demand and consumer preferences. Market research may have indicated that the demand for Jamba Juice's offerings, such as smoothies and juices, might not be as high or as aligned with the UK consumer market as it is in other regions. Adapting the menu and marketing strategies to meet the specific preferences and trends of the UK market may pose challenges.

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As a producer, you are willing to supply the most goods at the highest price. This is because the highest
price earns you the

most demand
highest costs
most profits

Answers

Answer: most profits

Explanation:

The answer is C. The most profit

When anton began working at his local bakery, he found out there was a union representing the bakery workers, but that management didn’t take them seriously and refused to sit down with the union and negotiate. After some research, anton found out that under the __________, workers had the right to expect management to negotiate with them.

Answers

When Anton began working at his local bakery, he found out there was a union representing the bakery workers, but that management didn’t take them seriously and refused to sit down with the union and negotiate. After some research, Anton found out that under the National Labor Relations Act (Wagner Act) workers had the right to expect management to negotiate with them.

What is National Labor Relations Act?

The traditional law of unions, which makes up the majority of the body of legislation known as labor law, places a strong emphasis on the rights of employees collectively. This can be contrasted with employment law, which is mainly concerned with concerns pertaining to the rights of specific employees. The National Labor Relations Act's preeminence within the corpus of legislation that makes up labor law is noteworthy (NLRA).

The NLRA clearly defines the rights and responsibilities of three main categories with respect to one another. It is simple to understand why such tight job definitions are crucial since they enable unions, employers, and workers to all know exactly what to anticipate from one another.

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