The reasonable person standard applies to Breach of Duty and Causation of the required elements to be proved in a negligence case.
What do you mean by Causation?
Causation is the cause-and-effect relationship between two events, where one event (the cause) leads to another event (the effect). Causation is a fundamental concept in science, philosophy and law. In science, causation is often used to explain the relationship between variables and to develop theories. In philosophy, causation is used to describe how different events are related to each other. In law, causation is used to determine whether one party is liable for the harm caused by another.
So, The required answers are Breach of Duty and Causation.
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payment every year has a coupon rate of
A.10 percent.
B. 6 percent.
C. 5 percent.
D. 6 percent.
In the following question mentioned above, The coupon rate is 6 percent.
What is coupon rate?The yield on a fixed income product, such as a bond, is referred to as coupon rate in the finance industry. In terms of the bond's face value, it shows the annual interest payment that a bondholder will get. For instance, the bondholder would get $6 in interest annually from a $100 bond with a 6% coupon rate. Over the course of the bond's existence, the coupon rate is set and stays the same. Because it gives a hint as to the bond's prospective return, the coupon rate is crucial in establishing a bond's worth and attraction to potential investors.
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payment terms are declared and solidified by the buyer at what step? multiple choice customer inquiry quotation purchase order sales order
The customer specifies the payment conditions in the purchase order.
Customer Purchase Order, An agreement to purchase the specified goods at the specified cost and on the specified terms.
A buy order is a document that contains instructions that are sent by a client to a business so that it can deliver the items listed in the order. A quote is a document created by a business that lists the costs and availability of specific products or services.
The buyer has agreed to purchase the items listed in the order. Based on a quote given by a company, a customer will create a customer purchase order.
It details the costs and availability of the materials mentioned in the enquiry. The sales department prepares Quotation.
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borrowers with fixed rate mortgages generally benefit if actual inflation is higher than expected inflation. group startstrue or falsetrue, unselectedfalse, unselectedgroup ends
Borrowers with fixed charge mortgages commonly benefit if genuine inflation is greater than expected inflation. True.
Which of the following is a benefit of fixed interest costs for borrowers?The most important benefit of a fixed-rate loan is that borrowers can precisely predict monthly costs and future expenses, permitting them to finances accordingly.
Any divergence between authentic and anticipated inflation therefore leads to a redistribution, both from the borrower to the lender or from the lender to the borrower. When inflation is higher than expected, the borrower is higher off, and the lender is worse off.
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brainly.com/question/850547#SPJ4lmn insurance markets homeowners insurance. the lmn homeowners policy combines property and casualty insurance in the same contract. insurance policies combining property and casualty coverage in the same contract are called
Insurance policies combining property and casualty coverage in the same contract are called multiple-line policies.
Multiple-line insurance offers several lines of coverage under a single policy. This can comprise both casualty insurance and property insurance to guard against responsibility for third-party injuries and property damage as well as to safeguard the home and its other belongings. An example of a multiple-line policy is the LMN homeowners policy, which bundles property and casualty insurance under one agreement.
Homeowners frequently benefit from lower premiums, simple and effective claim handling, and a higher level of protection by combining numerous lines of coverage into a single policy. The intellectual potential of the average individual is only partially realised in the setting of contemporary industrial life. It is a good idea to carefully research and comprehend the coverage provided by any insurance before buying it as these plans can vary based on the insurer and the specific policy terms.
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What is a communication style that looks at things from the audience's point of view?
A communication approach known as the "you-attitude" respects the intellect of the audience by focusing on what it wants or needs to know and approaching situations from their point of view.
What does the term "communication style" mean?Additionally, different people prefer to absorb information and viewpoints from others in various ways. These various approaches to communication, or the act of expressing and absorbing ideas and perspectives, are referred to as communication styles.
What constitutes effective communication?A confident speaking style. The most successful form of communication is thought to be this one. Although they have strong beliefs and articulate them with conviction, they take care not to belittle or monopolize other people's conversations.
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marisol uses the internet for all aspects of her small accounting business, from payroll to communications. this is an example of .
From payroll to communications, marisol runs her tiny accounting firm entirely online. Ecommerce has examples like this.
What does it mean when employees use the Internet to choose?Extranets allow customers, suppliers, and other authorized parties access while intranets are typically only accessible by company personnel. Extranets are private networks that are extended onto the Net with unique authentication, authorisation, and accounting features.
What is the name of the type of online business?E commerce, commonly referred to as electronic commerce as internet commerce, is the term used to describe the exchange of money and data for the purpose of transacting business through the internet.
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the entry required to update an account balance prior to preparing financial statements is called a(n) entry.
Journal Entry is the entry required to update an account balance prior to preparing financial statements is called a(n) entry.
A journal entry is a record of financial transactions made in a company's general ledger or accounting system. This entry is made to reflect changes in the financial position of a business and to update its accounts. Journal entries can include transactions such as purchases, sales, payments, receipts, and adjustments. This is done by reviewing the journal entries made throughout the period and adjusting the accounts as necessary. The purpose of a journal entry is to provide a clear and detailed record of financial transactions that can be used to generate financial statements and reports.
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society faces a tradeoff in all of the following situations exceptpart 2a.when some previously unemployed workers find jobs. b.when deciding who will receive the goods and services produced. c.when deciding what goods and services will be produced. d.when deciding how goods and services will be produced.
List and describe the main economic thought traditions throughout history. Important Words macroeconomics, microeconomics, and economics recession inflation in the unemployment rate.
How do you decide which of the people is regarded to be unemployed or not?If a person doesn't have a job, has actively sought employment in the last four weeks, and is currently eligible for employment, they are considered to be unemployed. Any of the following activities can be considered active job searching: Directly contacting: A potential employer or attending a job interview.
What are the three categories of unemployment?Cyclical, structural, and frictional unemployment are the three basic types of unemployment. Although they often overlap and cannot be quantified precisely in practice, these offer a helpful framework for considering unemployment.
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gain contingencies are usually recognized in the income statement when: occurence is reasonably possible and the amount can be reasonably estimated. occurence is probable and the amount can be reasonably estimated. realized. the amount can be reasonably estimated.
Gain contingencies are usually recognized in the income statement when occurence is reasonably possible and the amount can be reasonably estimated.
A gain contingency is not reflected in the financial records, hence there is no journal entry to reflect it. This is mostly due to the law's prohibition of businesses from recording gain contingencies that would artificially inflate their financial results. The potential gain from a gain contingency is not recorded in accounting since the exact amount is unknown. If the gain is anticipated to be large, it can be mentioned in the financial statement's notes. A gain contingency is an unclear circumstance.
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A investment banking firm found that an analytical skills selection test it had been using to hire financial associates actually helped the firm to obtain more major clients and to increase the revenue and profitability of the firm. This is an example of selection test that possesses. a) reliability. b) generalizability. c) utility. d) content validity. e) legality
in this following question, This is an example of a selection test that possesses utility.
What is investment banking?Underwriting and issuing securities, giving advise on mergers and acquisitions, and other corporate finance operations are all part of the financial services sector known as "investment banking." Investment banks help businesses and governments raise money by issuing and trading securities like stocks, bonds, and other financial instruments. Additionally, they assist businesses in navigating intricate financial processes like leveraged buyouts and initial public offers (IPOs) (LBOs). Investment banks play a crucial role in bringing together investors looking for investment possibilities and firms looking for financing; they are compensated with fees and charges for these services. Investment bankers frequently put in long hours and earn large incomes in what is generally seen as a high-pressure, high-reward sector.
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g which of the following bonds has the highest reinvestment rate risk? 5% corporate bond, callable after 7 years 5% municipal bond, callable after 3 years 5% corporate bond, 10-year maturity, noncallable zero coupon bond
The bond with the highest reinvestment rate risk is the 5% corporate bond, 10-year maturity, noncallable zero coupon bond.
Reinvestment rate risk refers to the risk of not being able to reinvest the coupon payments received from a bond at the same interest rate as the bond is paying.
In the case of the 5% corporate bond, 10-year maturity, noncallable zero coupon bond, the bond does not pay any interest until maturity. This means that if interest rates go up during the 10-year period, the bondholder will have to reinvest the face value at the new, higher interest rate. This creates a risk that the bondholder will not be able to find an investment that provides a yield as high as the bond they are holding.
In the case of the 5% corporate bond, callable after 7 years, and the 5% municipal bond, callable after 3 years, have call options that allow the issuer to buy back the bond and pay the face value to the bondholder. This reduces the reinvestment rate risk for these bonds compared to the noncallable zero coupon bond.
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refer to table 3-4. which of the following combinations of wheat and beef could andrea produce in one 8-hour day? a. 10 bushels of wheat and 13 pounds of beef b. 9 bushels of wheat and 25 pounds of beef c. 7 bushels of wheat and 15 pounds of beef d. 16 bushels of wheat and 32 pounds of beef
If Andrea produces beef and wheat at the same pace. Andrea could generate 7 bushels of wheat and 15 pounds of beef in a single 8-hour day.
What are bushels?
Following the Norman Conquest, a new unit of measurement called the bushel was established in England as a midpoint between the pound and the tonne or tun. The London bushel became a recognized unit of measurement for English wine, ale, and grains under Norman laws.
This bushel was defined in terms of the wine gallon at the Assize of Bread and Ale, often attributed to Henry III, around 1266, whereas the London bushel was defined in terms of the bigger corn gallon in the Assize of Weights and Measures, generally attributed to Edward I or II around 1300. In either scenario, it was estimated that the bushel held 64 pounds, 12 ounces, 20 penny weight, and 32 grains.
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Correct question:
Assume that Andrea and Paul can switch between producing wheat and producing beef at a constant rate.
Minutes Needed to Make 1
A bushel of Wheat Pound of Beef
Andrea 30 15
Paul 15 5
Refer to Table 3-4. Which of the following combinations of wheat and beef could Andrea produce in one 8-hour day?
a. 10 bushels of wheat and 13 pounds of beef
b. 9 bushels of wheat and 25 pounds of beef
c. 7 bushels of wheat and 15 pounds of beef
d. 16 bushels of wheat and 32 pounds of beef
your client is working with an agency to set up a product feed in merchant center, but the agency is not sure which attributes to include. which attribute is optional?
You can manage product reviews and store details with ease using Merchant Center.
What is a product?The thing being sold is called a "product." An item or service can be considered a product. Physical, virtual, or the cyberspace forms are all possible. Every good has price because it costs money to produce it. The market, quality, marketing, and intended market group all affect price that can be paid. Every product has a shelf life after which it needs to be replaced and a life cycle after which it needs to be redesigned. When it comes to FMCG, a brand can be updated, re-launched, or expanded to make it more contemporary while frequently maintaining the product essentially the same.
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Assets that are actively traded and that have readily available market value information should use which measurement principle?
Equities, Fixed Income (Bonds), Money Markets (Cash), and Alternative (tangible) Investments are the four asset groups that are traded the most.
What types of assets are available for trading?Securities kept by a company for the intention of reselling for a profit are referred to as trading assets. Treasury securities, securities backed by mortgages, contracts for foreign exchange, and other securities can all be regarded as trading assets. A company's investment portfolio is kept apart from its trading assets.
A measurement principle, perhaps?1. The use of historical cost, fair value, and other valuation bases is permitted under GAAP. The recording and reporting of fair value information is growing, even if the historical cost principle (measurement based on acquisition price) continues to be a significant basis for valuation. 2. The revenue recognition rule is that a business typically
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allowance for uncollectible accounts is classified as
Allowance for uncollectible accounts, also known as the allowance for doubtful accounts or allowance for bad debts, is a contra-asset account that is classified as a current liability in the balance sheet.
What is allowance for uncollectible ?The amount of accounts receivable that a business anticipates it won't be able to collect from its clients is represented by the allowance for uncollectible accounts. It is noted as a decrease to the balance of accounts receivable, which indicates the sums that a business is due by its clients. The purpose of the allowance is to paint a more accurate image of a company's accounts receivable and its capacity to recover those sums.For instance, a corporation might show net accounts receivable of $95,000 on its balance sheet if it had $100,000 in accounts receivable and $5,000 in allowance for uncollectible accounts. The amount of net accounts receivable is the company's best projection of the money it will actually get back from consumers.
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a bond that matures in 11 years sells for $1,050. the bond has a face value of $1,000 and a yield to maturity of 8.2981%. the bond pays coupons semiannually. what is the bond's current yield? do not round intermediate calculations. round your answer to two decimal places.
The current yield is 0.0857, Rounded to two decimal places, the bond's current yield is 0.09.
The bond's current yield can be calculated using the formula:
Current Yield = Annual Coupon / Bond PriceIn this case, the bond pays a coupon of $45 every six months, so the annual coupon is $90. Therefore, the current yield is 90 / 1050 = 0.0857. Rounded to two decimal places, the bond's current yield is 0.09.
The process for calculating the bond's current yield is to divide the annual coupon by the bond price. The annual coupon is the amount of money the bond pays out each year in coupons, which in this case is $90. The bond price is the price at which the bond is currently selling, which in this case is $1,050. Therefore, the current yield is 90 / 1050 = 0.0857. Rounded to two decimal places, the bond's current yield is 0.09.
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alonzo works as a retail clerk at a convenience store. a customer pays for an item with exact change and hurries out, so alonzo doesn't ring up the sale and pockets the money instead. which counterproductive behavior does this demonstrate?
Alonzo should confront Catherine and ask her to confirm his authority in light of the current circumstances.
An organizational chart that describes the reporting relationships between each employee in a corporation is called a chain of command. On the organizational chart, the founder, owner, or CEO would be at the top, followed by people who report to them. The CEO is in charge at the top of the organization chart. Following the CEO are the vice president and members of upper management who answer directly to the CEO. Additionally, there are department managers and supervisors who answer to senior executives. Thus, Alonzo ought to confront him and request his authority for the purpose of the chain of command.
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once a firm decides to accept a project, then the financial manager must decide where to get the money to pay for the project. funding for a project can be simplified from
The financial management must select where to find the funds to pay for the project after the firm decides to accept it. Debt and equity can be used to fund projects more simply.
What does financial management mean in project management?Financial management is the planning, budgeting, accounting, internal control, cash flow, financial reporting, and auditing processes used to deliver funds to borrowers and recipients, distribute those funds, and track, record, and report on each party's use of those funds.
Financial management is understood to include the purchase, financing, and administration of assets. A financial manager must be in charge of studying both internal and external elements that may have an impact on how business operations usually develop due to the sensitivity of the decision-making process.
How can a company choose between debt and equity financing?income derived Income is the most important factor to consider when choosing between debt and equity. Income is a factor for both lenders and investors. If a business does not have adequate income now, it will find it difficult to repay a loan in the future. Another choice is private equity.
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question content area on june 1, the cash account balance was $94,110. during june, cash receipts totaled $347,970 and the june 30 balance was $66,560. determine the cash payments made during june.
The cash payments made during June were $375,520.
A cash payment is the bills or the coins paid by the recipient of goods or services to the provider. It can also involve a payment within a business to employees in the compensation for their hours worked, or to repay them for a minor expenditures that are too small to be routed through the accounts payable system.
To determine the cash payments made during June, you can use the following equation:
Cash payments = Cash receipts + Beginning balance - Ending balance
Put in the given values:
Cash payments = $347,970 + $94,110 - $66,560
Cash payments = $375,520
So, the cash payments made during June were $375,520.
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While one european nation might experience a gain because of the high costs associated with the products it exports to another european nation, that second nation might experience a loss because it is trading fewer products that cost less. which characteristic of the mercantilist theory does this reflect?
true or false: the percentage change in real gdp from 2015 to 2016 was higher than the percentage change in real gdp from 2014 to 2015.
The difference in real GDP from 2014 and 2015, expressed as a percentage, is the growth rate of real GDP in 2015.The formula for calculating percentage change is as follows: RGDP (2015) - RGDP (2014) / RGDP (2014) x 100.
What was the 2015 real GDP?Compared to a rise of 5 per cent in 2014, the price index of gross domestic expenditures increased by 0.3 percent in 2015.In 2015, the current-dollar GDP climbed by $589.8 billion, or 3.4 percent, to reach $17,937.8 billion, down from $684.9 billion, or 4.1 percent, in 2014.
What does the 2015 GDP Constant mean?GDP (fixed 2015 US dollars) long explanation GDP at buyer's prices is calculated as the total of all resident producers' gross value added, plus any applicable product taxes, minus any incentives not reflected in the price of the goods.
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a disadvantage of the corporate form of organization is that corporate stockholders are more exposed to personal liabilities in the event of bankruptcy than are investors in a typical partnership. group of answer choices true false
The statement "a disadvantage of the corporate form of organization is that corporate stockholders are more exposed to personal liabilities in the event of bankruptcy than are investors in a typical partnership." is false. It is because the corporation is make an easier for the firm to raise capital.
In the term of economic and business, A corporation generally can be defined as a business entity that is owned by its shareholder. The director of corporation is elected by shareholder to oversee the organization's activities. The corporation has an advantage where make an easier for the firm to raise capital. The corporation's stockholders are not subject to personal liabilities if the firm goes bankrupt and also because it is easier to transfer shares of stock than partnership interests.
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when is the latest an agent may obtain written confirmation of his or her agency disclosure from a seller who has no agent?
The timing of obtaining written confirmation of agency disclosure would depend on the specific laws and regulations in the jurisdiction where the transaction is taking place.
It is best to consult with a real estate attorney or check with the relevant regulatory bodies for guidance.
The many legal documents required for purchasing and selling property are meticulously drafted by real estate attorneys. These records consist of: Sale Agreement: The main real estate legal agreement outlining the relevant terms and conditions between a buyer and a seller.
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annual depreciation on equipment amounted to $12,000 for the current year. what account would we credit when we record this adjusting entry in the general journal?
The account to be credited when recording the annual depreciation on equipment in the general journal is Accumulated Depreciation.
Depreciation is an accounting method used to allocate the cost of a tangible asset, such as equipment, over its useful life. It is a non-cash expense that represents the decline in value of an asset due to wear and tear, obsolescence, or other factors.
The annual depreciation amount of $12,000 is recorded as an adjusting entry in the general journal at the end of the accounting period. The adjusting entry involves two accounts: the asset account for the equipment, which is debited, and the Accumulated Depreciation account, which is credited.
Debiting the asset account reflects the decrease in its value due to depreciation, while crediting the Accumulated Depreciation account records the accumulation of depreciation expense over time. This account is a contra-asset account, which means its balance is subtracted from the asset account's balance to arrive at the net book value of the asset.
In summary, when recording the annual depreciation on equipment in the general journal, the account to be credited is Accumulated Depreciation.
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in 1987 30 countries met in what country to sign the montreal protocol which mandated a global production freeze on cfcs?
The Montreal Protocol, finalized in 1987, is a global agreement to protect the stratospheric ozone layer by phasing out the production and consumption of ozone-depleting substances (ODS).
What are ozone-depleting substances?
Ozone depletion is made up of two connected occurrences that have been seen since the late 1970s: a continuous drop in ozone levels of roughly 4% and a substantially bigger springtime decrease in stratospheric ozone over Earth's poles. The ozone hole is the name given to the latter phenomenon. Chlorofluorocarbons (CFCs), hydrochlorofluorocarbons (HCFCs), and hydrobromofluorocarbons are among the compounds that cause ozone depletion (HBFCs). The high atmosphere's ozone layer gets thinned due to ozone layer depletion. This occurs when ozone molecules come into touch with chlorine and bromine atoms in the atmosphere and are broken down. Ozone molecules can be destroyed by one chlorine molecule. It doesn't get made as quickly as it gets destroyed.
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which of the following would cause our budget line (labor-leisure tradeoff) to shift outward? which of the following would cause our budget line (labor-leisure tradeoff) to shift outward? improving health, which causes a reduction in available productive time. declining health, which causes a reduction in available productive time. declining health, which causes an increase in available productive time. improving health, which causes an increase in available productive time.
The correct answer is improving health, which causes an increase in available productive time.
The "labour-leisure tradeoff" is the choice wage-earning people must make between the number of hours they spend doing disagreeable but financially essential work and the satisfaction-producing unpaid time that enables participation in "leisure" pursuits and the consumption of time for necessary self-maintenance.
There is a positive correlation between the wage rate and the amount of labor supplied because choosing less leisure is comparable to providing more labor.
Labor is typically seen as a goal to be achieved rather than a good in and of itself, whereas leisure and consumption are both common goods.
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first and foremost, the public relations practitioner is group of answer choices a professional communicator. respected management. a supervisor who depends on e-mail to communicate. trusted adviser.
First and foremost, the public relations practitioner is A: professional communicator.
Public relations practitioners are individuals who work to build and maintain a positive image and reputation for their organization. As professional communicators, they play a crucial role in shaping the public's perception of their organization and managing its relationship with various stakeholders. This can involve developing and implementing communications strategies, responding to media inquiries, and managing crisis situations. The goal of public relations is to build and maintain trust, credibility, and good relationships between an organization and its stakeholders.
Effective public relations practitioners must have strong communication skills, be able to think critically and strategically, and be able to navigate complex relationships and situations.
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in 2022 hill corporation reported a net operating loss of $13,800 that it carried forward to 2023. in 2022 hill also reported a net capital loss of $7,650 that it carried forward to 2023. in 2023, ignoring any carryovers from other years, hill reported a loss for tax purposes of $65,500. the current-year loss includes a $21,700 net capital gain. what is hill's 2023 net operating loss?
Hill Corporation's net operating loss for 2023 is $15,950.
To determine Hill Corporation's 2023 net operating loss, we need to first calculate its taxable income for 2023.
Hill Corporation's reported loss for tax purposes in 2023 is $65,500, but this includes a net capital gain of $21,700. Since net capital gains are taxed differently from ordinary income, we need to separate out the capital gain and compute the taxable income for ordinary income separately.
Taxable income for ordinary income = $65,500 - $21,700 = $43,800
Now we need to account for any net operating loss carryover from 2022. Hill Corporation reported a net operating loss of $13,800 in 2022 that it carried forward to 2023. Therefore, we can deduct this carryover from the taxable income for ordinary income calculated above:
Taxable income for ordinary income after NOL carryover = $43,800 - $13,800 = $30,000
Since Hill Corporation had a net capital loss carryover of $7,650 from 2022, we can deduct this amount from the net capital gain of $21,700 reported in 2023:
Net capital gain after NCL carryover = $21,700 - $7,650 = $14,050
Finally, we can calculate the net operating loss for 2023 as follows:
Net operating loss = Taxable income for ordinary income after NOL carryover - Net capital gain after NCL carryover
= $30,000 - $14,050
= $15,950
Therefore, Hill Corporation's net operating loss for 2023 is $15,950.
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does the firm generate enough internal funds to support anticipated investment, or does additional outside capital need to be raised? can the firm meet all its short-term obligations using its current assets?
The firm generate enough internal funds to support anticipated investment, or does additional outside capital need to be raised is the Statement of Cash Flows.
Balance Sheet, the firm meet all its short-term obligations using its current assets.
What is investment?An investment is a valuable item bought with the intention of increasing one's wealth. While stocks, bonds, and real estate are frequently included when discussing investments.
According to the cash flow was the internal funds to support anticipated investment the term cash flow refers to the movement of the cash are the flow out of the business. There are the three types of the cash flow such as investing activities, financing activities, operating activities.
A balance sheet is a financial statement that lists an organization's assets, liabilities, and shareholder equity. One of the three important financial statements a company's evaluation will focus on is the balance sheet. It was the obligations using its current assets.
As a result, the significance of the investment, are the aforementioned.
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every month, dr. christie takes his staff to lunch and asks them to share patients' comments and concerns. dr. christie uses the lunches as an informal marketing research effort intended primarily to
Dr. christie uses the lunches as an informal marketing research effort intended mainly to gather customer feedback and insights.
By actively listening to his staff and patients, Dr. Christie is able to stay informed about the needs and opinions of his target market, which can help him make informed decisions and improve the quality of his services. This informal marketing research effort is a form of customer engagement and can help Dr. Christie to build stronger relationships with his patients and maintain a positive reputation in the community.
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