Personal selling offers more immediate feedback than other methods of promotion.
What exactly do you mean, customers?
A client is an individual or company who buys products or services from some other company. Customers are important because they generate income. Businesses would fail if they did not exist. A customer is a person who purchases goods or services from the a company, whereas a client is a specific type of consumer who wants to purchase technical advice from a company.
What is the significance of the customer?
They not only buy more, but also attract new clients. Your clients become your sales representatives. In reality, 56% of people will indeed recommend an excellent service provider to friends and family.
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This morning, you received a phone call alleging you owe a debt. If you dispute this debt, you must write to the debt collector and request verification of the obligation. How many days do you have to send this letter
Since this has to do with a debt that has been disputed by you, the number of days you have to send this letter is 30 days.
How Many Days Are Required to Send a Debt Dispute Letter?Following the receipt of a phone call from a debt collector concerning a debt that has been disputed, the next action you must take is to write the debt collector a letter within 30 days after the initial contact.
After then, the debt collector must stop all collection attempts until the appropriate verification is acquired.
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what is a business letter?
Answer: It's a letter that companies or organizations use to convey their messages to their customers,clients, and other companies
Explanation:
It has a formal format and specific data. Companies use it to pass on important messages
Answer:
Business letter is a letter which is used in business to contact with an organization and transfer data, information from one to another offices or organization.It also help to promote business and trade.
The result of each stage in the supply chain making its own separate forecast is
A) an accurate forecast.
B) a more accurate forecast.
C) a match between supply and demand.
D) a mismatch between supply and demand.
E) none of the above
The result of each stage in the supply chain making its own separate forecast is generally B) a more accurate forecast.
When each stage in the supply chain makes its own forecast, it allows for a more detailed analysis of the specific needs and demands of that stage.
For example, a manufacturing stage might have more accurate insights into the production schedule, while a distribution stage might have more information about local market demands. When each stage in the supply chain is making its own forecast, there is also the opportunity for more collaboration and communication between stages. This allows for better coordination and alignment between different stages of the supply chain. However, it's important to note that there is still the possibility of a mismatch between supply and demand, even when each stage is making its own forecast. This can be due to unforeseen disruptions in the supply chain, sudden changes in market demand, or inaccurate forecasting methods. Overall, while there is no guarantee of complete accuracy, allowing each stage in the supply chain to make its own forecast can lead to a more informed and coordinated supply chain, ultimately resulting in a more accurate forecast.Know more about the supply chain
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Which completes the equation?
O + A + Consideration (+______) = K
Legal capability
Legal capacity
Legal corporations
Legal injunction
"Legal capacity" is the final term that completes the equation.
What is the full legal age?What a person is legally capable of doing depends on the rules and regulations of the legal system. It is a fiction with no underlying reality that every legal system uses to establish a relationship with its constituents.
What does the legal competence to contract mean?A party has the legal authority to enter into a contract if they have the capacity to do so. Capability also implies that a person must be legally competent. A person's ability is determined by two factors: whether they are of legal age to enter into contracts and if they are mentally able to do so.
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Shen Systems purchased equipment four years ago at a cost of $218,000. The equipment is valued at $97,400 on today's balance sheet but could actually be sold for $92,900. This is the only fixed asset the firm owns. Net working capital is $41,300 and long-term debt is $102,800. What is the book value of shareholders' equity
Book value of shareholders' equity is the difference between the assets and liabilities of the company. It is the main answer for this question. Here's the explanation:Assets = Equipment + Net working capital = $97,400 + $41,300 = $138,700
Liabilities = Long-term debt = $102,800Book value of shareholders' equity = Assets - Liabilities = $138,700 - $102,800 = $35,900Therefore, the book value of shareholders' equity is $35,900.
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Book Value of Shareholders' Equity is $31,400.
The book value of shareholders' equity is obtained by deducting the liabilities from the assets. It is one of the important figures in accounting.
Shareholders' equity, also known as net worth, is calculated by subtracting the total liabilities from the total assets. Assets = Liabilities + Shareholders' Equity Equipment's book value is $97,400. If it is sold today, it will yield $92,900. Therefore, depreciation is: $97,400 - $92,900 = $4,500
The value of total assets is $97,400 + $41,300 = $138,700The total liabilities are $102,800Shareholders' equity is calculated by subtracting liabilities from assets.$138,700 - $102,800 = $35,900
However, we must also consider the equipment's accumulated depreciation to get the book value of shareholders' equity:Book Value of Shareholders' Equity = Total Assets - Liabilities - Accumulated Depreciation= $138,700 - $102,800 - $4,500= $31,400
Finally, shareholders' equity is increased by the equipment's actual sale price: $31,400 + $92,900 = $56,300
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List three market practices that the govemment
regulates or bans to protect competition
Three market practices that the government regulates or bans to protect competition are Price fixing, Monopolies and Predatory Pricing.
Price fixing: As price fixing techniques are anticompetitive and detrimental to consumers, the government regulates them. Price fixing may result in increased costs, decreased output, and inefficient markets. The government may levy penalties or even bring legal action against the businesses and people involved in this conduct.
Monopolies: To stop them from exploiting their dominant market position, the government may regulate or even dismantle monopolies. Monopolies can result in increased costs, less innovation, and less consumer choice. Governments may limit mergers and acquisitions or control the actions of powerful companies.
Predatory Pricing: When a business sets prices below what it actually costs to produce a good or service, it is engaging in predatory pricing, which the government may outlaw. In the long term, higher prices may result from this technique since the dominant firm can increase prices after driving out its rivals, which hurts competition. The government may fine or prosecute businesses that engage in this conduct.
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Why should I prepare myself to be career-ready in multiple career clusters ? (3-4 sentences )
Answer:
Knowing the projected growth trends of your desired future career can help you map out a career trajectory
Find out who the big players are in your desired industry.
Interacting and networking with others can keep you in the loop when it comes to your future career.
Explanation:
What is the purpose of the 1040 series of tax forms?
To file an extension for submitting your individual tax returns
To file individual tax returns To file corporate tax returns
To declare that you owe nothing in taxes
Answer:
To file individual tax returns
Explanation:
The IRS 1040 form is a formal document from the IRS that individual taxpayers in the US use to file tax returns. It is a form for filing personal tax returns by US residents. Form 1040 assist an individual in calculating the amount of taxable income. It helps determine the tax amount due or amount of refund to claim from the IRS.
what is cooperative skill
A broker has a single agency relationship with the seller. Any REQUIRED property condition disclosure would be completed by the
Answer:
Buyer
Explanation:
It will be completed by the buyer. This is because after the seller has indicated the potential defects and problems that could potentially affect the value of the property, the onus lies on the buyer to complete the form from his findings too in that regards.
Help me stuck on this!!!!!
Explain THREE reasons why some entrepreneurs may prefer to keep their businesses small.
Answer:
It may provide more money, less people will try to buy your store, and it also helps with your credit
Explanation:
PROBLEM 3 On July 1, 2020, Faithful Company leased equipment to Faithless Company for one-year period expiring June 30, 2021 for Php 90,000 per month. On July 1, 2021, Faithful Company leased this piece of equipment to toil company for a three-year period expiring June 30, 2024 for Php 112,500 a month. The original cost of the equipment was Php 7.200,000. The equipment, which has been continually on lease since July 1, 2017, is being depreciated on a straight-line basis over an eight-year period with no residual value.
The question provides information about a leasing arrangement between Faithful Company and Faithless Company, where Faithful Company leased equipment to Faithless Company for a one-year period at Php 90,000 per month. The equipment was then leased to Toil Company for a three-year period at Php 112,500 per month starting from July 1, 2021. The original cost of the equipment was Php 7,200,000, and it has been depreciated on a straight-line basis over an eight-year period with no residual value.
It is important to note that Faithful Company is the original owner of the equipment and has been leasing it out to various companies. The terms of the lease agreement between Faithful Company and Faithless Company are not provided in the question, so it is unclear if there are any other provisions such as maintenance responsibilities or buyout options.
The monthly lease payments received by Faithful Company from Faithless Company and Toil Company are a source of revenue for the company. However, it is important to monitor the equipment's condition to ensure it remains in good working order throughout the lease period. Additionally, since the equipment is being depreciated over an eight-year period, it will have a lower book value each year, which may impact the amount of rental income that can be earned from the equipment in the future.
Overall, leasing equipment can be a profitable venture for a company. Still, it is essential to carefully consider the terms of the lease agreement, monitor the equipment's condition, and factor in depreciation expenses to ensure the arrangement remains financially viable in the long run.
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If the U.S. imports $500 billion worth of goods and services from China and sells $200 billion worth of goods and services, then the U.S. is running a
If the U.S. imports $500 billion from China and sells $200 billion worth of goods and services, then the U.S. is running a trade deficit.
What is a trade deficit?The trade deficit arises when the net exports are negative instead of positive.
A trade deficit describes the balance of trade, which is the difference between the monetary value of the United State's exports and imports over a certain period.
Thus, if the U.S. imports $500 billion from China and sells $200 billion worth of goods and services, then the U.S. is running a trade deficit.
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What is the content of Workforce Investment Act (WIA) of 1998?
The Workforce Investment Act (WIA) of 1998 is a federal law that provides funding for workforce development programs and services, including job training, education, and employment assistance, with the goal of helping individuals increase their employability and gain meaningful employment.
The Workforce Investment Act (WIA) of 1998 was signed into law by President Bill Clinton on August 7, 1998. The purpose of the act is to provide funding for workforce development programs and services that help individuals acquire the skills and knowledge needed to succeed in the labor market. This includes job training programs, education and training opportunities, and employment assistance services, such as job search assistance, resume writing, and interview preparation. The act also establishes the Workforce Investment Board (WIB), which is responsible for overseeing the development and implementation of workforce development programs in each state. The WIB is made up of representatives from business, labor, and community-based organizations, and is responsible for identifying the workforce needs of the local area, and developing strategies to address those needs. Overall, the Workforce Investment Act of 1998 is aimed at increasing the employability and earnings of individuals, and promoting economic growth and competitiveness in the United States.
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What role does product/service management play in marketing?.
Answer:
El Marketing de Servicios es un conjunto de tácticas que tienen como objetivo agregarle valor al servicio ofrecido, con el fin de persuadir al cliente para que opte por una determinada empresa. A través de una estrategia de Marketing de Servicios, es posible garantizar la máxima satisfacción de consumidores y usuarios
Explanation:
Answer:
✒️Answer:Product/service management is a marketing function that involves obtaining, developing, maintaining, and improving a product or service mix in response to market opportunities.
Explanation:
#CarryOnLearning\(watch.some.anime\)
Part D
Most of the increase in wages has gone to what group of people?
discount-mart issued ten thousand $1,000 bonds on january 1, 2024. the bonds have a 10-year term and pay interest semiannually. this is the partial bond amortization schedule for the bonds.paymentcasheffective interestdecrease in balanceoutstanding balance $ 8,640,9671$ 300,000$ 345,639$ 45,6398,686,6062300,000347,46447,4648,734,0703300,000349,36349,3638,783,4334300,000 what is the effective annual rate of interest on the bonds?
effective annual rate of interest on the bonds is approximately 8.5%.
To begin, we can calculate the total cash payments made by the company over the 10-year term of the bonds. Each bond has a face value of $1,000, so the total amount raised from issuing 10,000 bonds is $10,000,000.
$1,000 x 0.05 (5% annual interest rate) / 2 = $25
Therefore, the total semiannual interest payment is:
$25 x 10,000 = $250,000
This amount is paid twice a year, so the total cash payments made over the 10-year term of the bonds is:
$250,000 x 20 = $5,000,000
Now we can use the information provided in the partial bond amortization schedule to calculate the effective annual rate of interest.
The effective interest rate is the rate that will discount the future cash payments to their present value, based on the carrying value of the bond at each payment date. The carrying value is the face value of the bond minus any unamortized discount or plus any unamortized premium.
We can calculate the carrying value at each payment date using the following formula:
Carrying value = Face value of bond - Unamortized discount or + Unamortized premium
In this case, the bonds were issued at a discount, which means that the face value of the bond is greater than the amount received when the bond was issued. The discount is amortized over the term of the bond, which reduces the carrying value of the bond.
The unamortized discount at each payment date can be calculated by subtracting the outstanding balance from the face value of the bond:
Unamortized discount = Face value of bond - Outstanding balance
Using the information provided in the partial bond amortization schedule, we can calculate the carrying value and the effective interest rate at each payment date:
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An agricultural economist estimated the following linear demand function for milk in Queensland: where Q represents the number of two litre milk bottles demanded per day in thousands and P represents the price of these bottles in dollars. If on a given day the two litre milk bottle retails for $3.40, predict the number of two litre milk bottles demanded in thousands (to nearest whole thousand
An agricultural economist estimated demand function for milk in Queensland will have 1,854 liter milk bottles demanded in number.
The given linear demand function for milk in Queensland is:
Q = 2330 - 140P
where:
Q represents the number of two-liter milk bottles demanded per day in thousands
P represents the price of these bottles in dollars
To predict the number of two-liter milk bottles demanded when the price is $3.40, we can substitute P = 3.40 into the demand function and solve for Q:
Q = 2330 - 140(3.40)
Q = 2330 - 476
Q = 1854
Therefore, the predicted number of two-liter milk bottles demanded in Queensland, when the price is $3.40, is approximately 1,854 thousand bottles (or 1,854,000 bottles when rounded to the nearest whole thousand).
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If bonds from deegan pharmaceuticals are selling at 104. 682, which broker will give diana the better deal, and by how much?.
Broker Q imposes a fixed fee of $32.50 for each bond acquired, whereas Broker P assesses a commission of 4.4% of the bond's market value.
Which broker will offer Diana a better deal, and by how much, if Deegan Pharmaceuticals' bonds are selling for 104.682? Diana will receive a better bargain from Broker P. Diana is looking for a broker to assist her in buying a $1,000 par value corporate bond from Deegan Pharmaceuticals. Broker Q imposes a fixed fee of $32.50 for each bond acquired, whereas Broker P assesses a commission of 4.4% of the bond's market value. Sylvia will pay $156.02 less for Broker U's bond bundle than for Broker V's. Diana is attempting to pick a broker.
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Lifetime sells softball equipment. On November 14, they shipped $3,000 worth of softball uniforms to Palos Middle School, terms 2/10, n/30. On November 21, they received an order from Tinley High School for $1,800 worth of custom printed bats to be produced in December. On November 30, Palos Middle School returned $300 of defective merchandise. Lifetime has received no payments from either school as of month end. What amount will be recognized as net accounts receivable on the balance sheet as of November 30?
Answer:
$2,700
Explanation:
Calculation to determine What amount will be recognized as net accounts receivable on the balance sheet as of November 30
Using this formula
Net accounts receivable=November 14 Goods shipped -November 30 Defective merchandise returned
Let plug in the formula
Net accounts receivable=$3,000-$300
Net accounts receivable=$2,700
Therefore The amount that will be recognized as net accounts receivable on the balance sheet as of November 30 is $2,700
6
A company that is located in the U.S. and sells its product to customers in Mexico is participating in what?
A. Demographics
B. News media
C. The global marketplace
D. Web marketing
Answer:
c
Explanation:
the global marketplace
Answer:
C
Explanation:
got it right on Edge
using the standard formula to calculate percentage change, the percent change if the price fell from $150 to $100 would be the same as if the price rose from $100 to $150.
If the price fell from $150 to $100, the percentage change will not be the same as if the price rose from $100 to $150.
To compare the increase and decrease in values of percentage, that is the percentage change can be calculated through these steps:
Step 1. Calculate the variation between the old and new values.
Step 2. Subtract the difference from the beginning amount that is changed later.
Step 3. Divide the final quotient by 100.
Step 4. If it is positive, conclude the result as an increase in percentage while If it's negative, frame it as a positive percentage and describe it as a percentage decline.
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A put option has a strike price of $70.00, costs $7.77, and has a maturity of 77 days. The underlying stock price is currently $77.77. Assume an annual risk-free interest rate of 7%. What is the price of a call option with the same strike price and maturity date?
The price of a call option with the same strike price and maturity date is $10.84.
To determine the price of a call option, we can use the put-call parity formula. The put-call parity states that the price of a call option and a put option with the same strike price and maturity date should have a relationship determined by the current stock price, risk-free interest rate, and the price of the put option.
The put-call parity formula is given by:
C + PV(X) = P + S
Where:
C = Price of the call option
PV(X) = Present value of the strike price
P = Price of the put option
S = Current stock price
In this case, we have the price of the put option, the strike price, the current stock price, and the risk-free interest rate. We can calculate the present value of the strike price by discounting it using the risk-free interest rate.
PV(X) = X / (1 + r)^n
Where:
X = Strike price
r = Risk-free interest rate
n = Number of years until maturity
Plugging in the values into the formula, we find that the present value of the strike price is $70 / (1 + 0.07)^(77/365) = $69.2763.
Using the put-call parity formula, we can solve for the price of the call option:
C + $69.2763 = $7.77 + $77.77
C = $10.84
Therefore, the price of a call option with the same strike price and maturity date is $10.84.
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To study the effect of price on Frank's demand for premium movie channels, economists hold his monthly income constant. This is an example of a(n) ___
Answer:
The appropriate answer will be "Ceteris paribus ".
Explanation:
This widely commonly utilized expression continues to stand for 'unaffected as well as constant include all stuff.'It has been used in economic principles to figure or conquer out the probability of attempting to change 'certain' causes, i.e. focusing on either the basic cause and effect relationship between two continuous variables.So that the given statement would be the example of Ceteris paribus.
Suppose that a 10% increase in the price of gasoline results in a 4.3% decrease in the quantity demanded of gasoline. Given this information, what is the own-price elasticity of demand for gasoline?
Similarly, if a 10% increase in the price of gasoline would result in a 6.5% increase in the quantity supplied of gasoline, what is the own-price elasticity of supply?
Own-price elasticity of demand (PED) measures the responsiveness of the quantity of gasoline demanded to a change in its price while the own-price elasticity of supply (PES) measures the responsiveness of the quantity of gasoline supplied to a change in its price.
In economics, elasticity measures the degree of responsiveness of quantity demanded or supplied to changes in price or income. Therefore, given that a 10% increase in the price of gasoline results in a 4.3% decrease in the quantity demanded of gasoline, the own-price elasticity of demand for gasoline can be computed as follows:
PED = (% Change in Quantity Demanded) / (% Change in Price)PED = (-4.3%) / (10%)PED = -0.43
So, the own-price elasticity of demand for gasoline is -0.43. This means that a 10% increase in the price of gasoline will result in a 4.3% decrease in the quantity demanded of gasoline. Since the magnitude of the elasticity is less than one, the demand for gasoline is inelastic, meaning that the percentage change in quantity demanded is less than the percentage change in price.
On the other hand, if a 10% increase in the price of gasoline would result in a 6.5% increase in the quantity supplied of gasoline, the own-price elasticity of supply can be computed as follows:
PES = (% Change in Quantity Supplied) / (% Change in Price)PES = (6.5%) / (10%)PES = 0.65
So, the own-price elasticity of supply for gasoline is 0.65. This means that a 10% increase in the price of gasoline will result in a 6.5% increase in the quantity supplied of gasoline. Since the magnitude of the elasticity is greater than one, the supply of gasoline is elastic, meaning that the percentage change in quantity supplied is greater than the percentage change in price.
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the us bankruptcy court has exclusive federal jurisdiction over core bankruptcy proceedings and state courts have exclusive state jurisdiction over all matters not subject to federal jurisdiction, including but not limited to, divorce and adoption cases.
Yes, it is true: us bankruptcy court has exclusive federal jurisdiction over core bankruptcy proceedings, and state courts have exclusive state jurisdiction over all matters not subject to federal jurisdiction, including but not limited to, divorce and adoption cases.
Bankruptcy courts are set up to deal with the issue of bankruptcy only. Each of the 94 federal judicial districts has jurisdiction over bankruptcy proceedings, and bankruptcy cases are filed in the bankruptcy court in practically every district. By selling up their possessions to pay off their obligations or by coming up with a repayment plan, those who are unable to pay their creditors can receive a fresh start thanks to bankruptcy rules. The High Court is extremely qualified to handle these claims, so the parties can rest easy knowing their case is in capable hands.
There may be other options for debt recovery depending on the type of transaction, such as the Rental Housing Tribunal or an Ombudsman.
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Without insurance, the full cost of a doctor's office visit is $275.00. A consumer with insurance and a copay of $25.00 will visit the doctor five times per year. (a) The insured patient will pay $___ per year in out-of-pocket medical costs. (b) The patient's insurance company will pay $____ per year for the patient's medical costs.
(a) The insured patient will pay **$125** per year in out-of-pocket medical costs. (b) The patient's insurance company will pay **$1,250** per year for the patient's medical costs.
To calculate the out-of-pocket costs, multiply the number of doctor visits (5) by the copay amount ($25): 5 * $25 = $125. This represents the total amount the patient pays directly. To determine the insurance company's contribution, first find the cost of one visit after the copay: $275 (full cost) - $25 (copay) = $250. Then, multiply this amount by the number of visits: $250 * 5 = $1,250. This represents the total amount paid by the insurance company for the patient's medical costs per year.
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There are 12,000 people living in Toyland. Of these 12,000 people, 1,000 are either too old to work or too young to work. Of the remaining individuals, 5,000 are employed with full-time jobs; 4,000 are employed part time but wish to work full time; 1,000 are currently not working but are looking for work; and the remainder are discouraged workers. The unemployment rate in Toyland is _____, and the percentage of the population that are discouraged workers is _____.
Answer:
323
Explanation:
because why not just trust me
The unemployment rate in Toyland is 10per cent, and the percentage of the population that are discouraged workers is 23.3per cent. Hence, option D is appropriate.
What is the meaning of Unemployment?When someone is actively looking for a job while also being able to work, they are said to be unemployed. It is crucial to remember that a person must be actively seeking paid employment in the labor force to be termed unemployed.
The OECD defines unemployment as those over a certain age who are currently available for work but are not currently employed or self-employed. The number of jobless persons as a percentage of the labor force is used to calculate the unemployment rate, which is used to calculate the level of unemployment.
Numerous factors originate from both the supply side, or just the worker, and the demand side, or the employer, that contribute to unemployment. High-interest rates, the world economy being in a recession, and the financial crisis might all affect demand. Frictional unemployment as well as structural employment are major supply-side contributors.
Hence, option D is correct.
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Full Question-12,000 people are living in Toyland. Of these 12,000 people, 1,000 are either too old to work or too young to work. Of the remaining individuals, 5,000 are employed with full-time jobs; 3,000 are employed part-time but wish to work full-time; 1,000 are underemployed but working full-time jobs; 1,000 are currently not working but are looking for work; and the remainder are discouraged, workers. The unemployment rate in Toyland is _____, and the percentage of the population that are discouraged workers is _____.
a 15 percent; 23.3 percent
b 20 percent; 9.1 percent
c 10 percent; 9.1 percent
d 10 percent; 23.3 percent
How can I increase my level of confidence in myself?
How do I get rid of the feeling of shyness, nervousness, and scared when I'm playing soccer in front of other and talking publicly to people?
Answer:
remind urself ur perfect and u got this! don't care about what others think!
a leveraged lease typically involves a nonrecourse loan, which means that in the case of default the:
A leveraged lease typically involves a non-recourse loan, which means that in the case of default the lease payments go directly to the lender.
When an entity lacks the money to acquire the item altogether or does not necessarily wish to hold it for an extended period of time, they typically use a leveraged lease.
With a leveraged lease, the lessee can borrow money for the value of the leased asset throughout the lease period and pay it back over the course of the lease.
Three parties are involved in a capital lease called a leveraged lease: a lessor, a lessee, and a lender.
In the event of a leveraged lease, the lessor often contributes 20% to 30% of its own funds, with the remaining funds being funded by a bank, banking institutions, or third-party lenders for the purchase of an asset.
The loan that the lenders are financing is often non-recourse in nature. This means that in the event of a default, the lender can only collect the loan installments from the lease rentals given by the lessee. The lessor is not responsible for repayment of loan installments.
Since the lender will provide non-recourse financing for the asset, before authorizing the loan facility, the lender must assess the lessee's credibility.
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