Establishing a written company policy regarding the accession of raw material isn't a common Internal control activities related to the accession of property, factory, and outfit.
Internal control is a process carried out by a company's board of directors, operation, and other labor force to give reasonable assurance that attestation is dependable, accurate, and timely. In terms of clinging to legal conditions, regulations, contracts, programs, and procedures.
Internal control activities are the guidelines and processes that aid in the prosecution of operation directives. They've included wide range of conditioning similar as blessings, authorizations, documentations, rapprochements, functional performance reviews, asset security, and isolation of duties.
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What is a corporation?
Answer:
a company or group of people authorized to act as a single entity (legally a person) and recognized as such in law.
Explanation:
hope this helps:)
Net Purchases + Purchases Returns and Allowances + Purchase Discounts equals:
O A. Gross Profit.
OB. Gross Purchases.
O C. Net Income.
OD. Net Loss.
Answer:
OB. Gross Purchases.
Explanation:
Gross purchases represent all the purchases a business made in a particular period. It includes returns outwards ( purchases returns), discounts and allowances received.
Net purchases are calculated by subtracting purchase returns, discounts received, and allowances from gross purchases.
Therefore, Net Purchases + Purchases Returns and Allowances + Purchase Discounts= gross purchases.
What does franchisor mean?
Answer:
a
Explanation:
Vane's income tax rate is 30%. In Vane's 20X3 multiple-step income statement, what amount should Vane report as income after income taxes from continuing operations
Answer:
The correct option is A. $126,000.
Explanation:
Note: This question is not complete. The complete question is therefore provided before answering the question. See the attached pdf file for the complete question.
The explanation to the answer now provided as follows:
A multi-step income statement can be described as an income statement that provides gross profit and each category of expenses and incomes in details to determine the net income of a business for a specified period.
The to determine the amount should Vane report as income after income taxes from continuing operations, we prepared its year-end multiple-step income statement as follows:
Vane Co.
Year-end multiple-step income statement
Particulars $ $
Sales 575,000
Cost of sales (240,000)
Gross income 335,000
Administrative expenses (70,000)
Selling and distribution exp.:
Sales commissions (50,000)
Freight out (15,000) (65,000)
Operating income 200,000
Interest income:
Interest revenue 25,000
Other expenses:
Uncollectible accounts expense (15,000)
Other income (loss):
Loss on sale of equipment (10,000)
Loss on early retirement of LT debt (20,000)
Income before tax 180,000
Tax ($180,000 * 30%) (54,000)
Income after tax 126,000
Therefore, Vane should report $126,000 as income after income taxes from continuing operations. That is, the correct option is A. $126,000.
Which skills are most likely to start at birth and develop as a person matures?
hard skills
work skills
people skills
soft skills
Which skills are most probable to start at delivery and broaden as a person matures? people's Skills are due to the fact you're born knowing how to interact with human beings and your skills most effectively get better as you grow up.
Skills are the learned potential to perform a motion with determined effects with accurate execution often inside a given quantity of time, power, or each. abilities can often be divided into domain-well-known and area-specific abilities.
Skills importance: They can be gentle capabilities, inclusive of problem-fixing abilities, powerful communique, or time control, or hard competencies, like pace typing, and the use of Powerpoint or Excel. sense unfastened to encompass any widely wide-spread abilities even if they may be no longer particularly required or cited within the activity description.
A critical skill is an important developed potential or capacity obtained via planned, systematic, and sustained efforts to easily and adaptively carry out complicated activities or activity functions regarding ideas, matters, and/or human beings. non-public talents are acknowledged as soft capabilities which are not clean to educate (despite the fact that no longer impossible). they're additionally referred to as interpersonal or even 'human beings' capabilities. Examples encompass dependability, adaptability, motivation, trouble-fixing, and analytical competencies.
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People skills are most likely to start at birth and develop as a person matures.
Childhood social and personality improvement emerges via the interplay of social impacts, biological maturation, and the kid’s representations of the social world and the self. This interaction is illustrated in a discussion of the impact of great relationships, the improvement of social know-how, the increase of personality, and the improvement of social and emotional competence in youth.
This interaction may be discovered within the development of the earliest relationships among babies and their mother and father in the first yr. sincerely all toddlers residing in everyday circumstances increase strong emotional attachments to individuals who take care of them. Psychologists agree with that the improvement of those attachments is as biologically natural as studying to walk and not in reality a byproduct of the mother and father’ provision of food or warmth. alternatively, attachments have developed in human beings because they sell youngsters’s motivation to live close to folks who care for them.
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I got this question on my quiz a few weeks ago and was wondering if anyone could explain the best/correct answer.
I'm currently leaning towards the last option, but I'm not sure.
Answer:
Easy it's B, this is because the rate at which we earn interest with only 1000$ does not keep up with the maintenance fee.
In B u get $1010 because of the interest after the first year,
In D u get $960 because if u get an annual interest of 2% from $1000 u get a total of $1020 but deduction from maintenance fee is $60 per year, Thus $1020-$60 = $960. Same explaination for the others as well.
Which of the following is an example of nonverbal communication? shaking hands to greet a supervisor writing an email to a coworker talking on the telephone to a customer listening to a presentation at a meeting
Answer: shaking hands to greet a supervisor.
Explanation:
nonverbal communication is communication through a nonverbal platform. I.e eye contact, facial expressions, gestures, etc.
Finished goods ______. Multiple choice question. is the same as cost of goods manufactured consists of completed, unsold goods consists of goods that require additional processing before being sold consists of goods that have been sold to customers during the period
Finished goods consist of completed unsold goods which have not been sold to customers.
What is Finished goods?Finished goods refer to completed goods or product that have pass through all the manufacturing process and completed they but have not be sold to the intending consumers.
They are completed processed products.
Therefore, Finished goods consist of completed unsold goods which have not been sold to customers.
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WILL BE MARKED BRAILIEST!!
3.A company sees that sales of its speakers have decreased over the past
120 days. Its most likely option is to first
design a market research plan
visit some stores selling the product
stop production of the product
lower prices and see what happens
Answer:
They company goes out of business?
Explanation:
what is a milk cartel
Answer:
hope this helps?!
Explanation:
Congress sets minimum prices for milk, but nothing stops - or should stop - individual farmers from bargaining for higher prices. ... Indeed, because of a shortage induced by the federally sponsored slaughter of dairy herds last year, most dairy farmers are now able to charge a substantial premium.
what is judiciary and executive?
If Farmer Brown plants no seeds on his farm, he gets no harvest. If he plants 1 bag of seeds, he gets 5 bushels of wheat. If he plants 2 bags, he gets 9 bushels. If he plants 3 bags, he gets 12 bushels. A bag of seeds costs $120, and seeds are his only cost. Farmer Brown's total-cost curve is: __________
a. increasing at a constant rate.
b. increasing at an increasing rate.
c. increasing at a decreasing rate.
d. decreasing.
Answer:
B
Explanation:
The numbers keep changing and it should all add up evenly not oddly and its not worth the money anymore.
please help me,its economics, what is the other for real GDP and nominal GDP
Answer:
The main difference between nominal GDP and real GDP is the adjustment for inflation. Since nominal GDP is calculated using current prices, it does not require any adjustments for inflation. ... Using a GDP price deflator, real GDP reflects GDP on a per quantity basis.
how long does algorithm take to run how muh memory space does it require?
Answer:
The running time of an algorithm for a specific input depends on the number of operations executed. The greater the number of operations, the longer the running time of an algorithm.Space complexity is the total amount of memory space used by an algorithm/program including the space of input values for execution. So to find space-complexity, it is enough to calculate the space occupied by the variables used in an algorithm/program.
Explanation:
transactions in a journal are recorded in question 2 options: a) dollar amount order. b) account number order. c) alphabetical order. d) chronological order.
The transactions recorded in a journal are usually done so in chronological order, meaning they are listed according to the date they occurred. Therefore, it is best practice to always record transactions in chronological order to ensure accurate and organized financial record keeping.
This is important because it allows for easier tracking and analysis of a company's financial activities over time. While some businesses may choose to record transactions in other orders, such as alphabetical or by account number, it is not as common as chronological ordering. Additionally, recording transactions in dollar amount order would not provide any meaningful information about the sequence or timing of events.
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Changes to BC Labour Code
What are the potential negative impacts and who would be
impacted?
Changes to the BC Labour Code can have potential negative impacts on workers' rights, union power, workplace safety, equality, and employee morale. This can affect employees across industries, weaken collective bargaining, increase occupational risks, perpetuate inequalities, and decrease job satisfaction and well-being.
The potential negative impacts of changes to the BC Labour Code can vary depending on the specific changes implemented. However, some general potential negative impacts and affected parties could include:
Workers' rights and protections: If the changes weaken workers' rights and protections, it could lead to decreased job security, lower wages, longer working hours, reduced benefits, and limited access to collective bargaining. This would directly impact employees across various industries.Unions and collective bargaining power: If the changes limit or restrict the ability of unions to organize, negotiate collective agreements, or engage in industrial action, it can weaken the collective bargaining power of workers and hinder their ability to advocate for fair wages, better working conditions, and improved benefits.Workplace safety and health: If there are changes that result in reduced regulations or enforcement around workplace safety and health standards, it can increase the risk of injuries or occupational hazards for workers in various industries.Equality and diversity: If the changes fail to address or strengthen protections against discrimination and promote diversity and inclusion in the workplace, it can negatively impact marginalized groups and perpetuate inequalities.Employee morale and job satisfaction: Negative changes to the labor code can erode employee morale, job satisfaction, and overall well-being, leading to increased stress levels and reduced productivity.It is important to note that the specific impacts and affected parties would depend on the nature of the changes made to the BC Labour Code and how they are implemented. Detailed analysis and consultation with stakeholders would be necessary to fully assess the potential negative impacts and those who would be directly impacted.
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effective economic demand requires
Review each of the investment opportunities provided by earl investments and pima financial trading. in a three paragraph essay (a minimum of 4-5 sentences), write an analysis of these opportunities that answers the following questions. based on the evidence available to you, which investment opportunity is more likely to be fraudulent? what are the true risks of investment with this company, and does the company accurately describe these risks? what are the potential returns on an investment, and does the company accurately describe these returns?
Every investment entails certain risks and hazards. There is always some element of risk involved with undertaking any venture, whether it be with regard to real estate, stocks, goods, joint assets, or anything else.
Every investment entails certain risks and hazards. There is always some element of risk involved with undertaking any venture, whether it be with regard to real estate, stocks, goods, joint assets, or anything else. Additionally, when indicating the consent of speculating, they do include the risk element, which is frequently ignored by the financial expert at the time of marking the agreement .
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What is one financial opportunity you could enjoy if you didn’t have to worry about making a monthly student loan payment?.
The financial opportunity that students can enjoy if they didn’t have to worry about making a monthly student loan payment would be to buy crypto like BTC and ETH.
What is a Financial Opportunity?This refers to the chance that a person gets in order to invest money to increase his financial portfolio.
Hence, it is worthy to note that because student loan payments are so high and have to be paid monthly, this makes most people be broke or low on money, and without this hassle, they would have invested in crypto, stocks, or any other financial stock.
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The cash values of a(an) ____________ life insurance policy fluctuate according to the yields earned by a separate fund, which can be a stock fund, a money market fund, or a long-term fund.
a. modified
b. variable
c. adjustable
d. ordinary
e. temporary
A variable life insurance policy is a kind of permanent life insurance that allows you to build cash value over time. It provides you with the potential for higher returns since the cash value of the policy is tied to the performance of underlying investment portfolios. The answer to this question is option b. variable.
Premiums for variable life insurance policies are flexible, allowing policyholders to adjust the death benefit, the frequency of payments, and the investment portfolios in which the cash value is invested. A variable life insurance policy is a life insurance product that allows policyholders to invest in separate accounts that offer an array of investment options. These investment options include mutual funds, bonds, and stocks.
The cash values of a variable life insurance policy fluctuate according to the yields earned by a separate fund, which can be a stock fund, a money market fund, or a long-term fund. Policyholders may invest in stocks, bonds, or money market funds through separate accounts. Variable life insurance has a cash value that can be affected by the investment performance of these accounts.
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My friend failed 3 quarters. She mainly had 50's. In quarter 4, she has all A's. Will she be able to go to the next grade?
Suppose that a worker in Cornland can grow either 40 bushels of corn or 10 bushels of oats per year, and a worker in Oatland can grow either 5 bushels of corn or 50 bushels of oats per year. There are 20 workers in Cornland and 20 workers in Oatland. If the two countries do not trade, Cornland will produce and consume 400 bushels of corn and 100 bushels of oats, while Oatland will produce and consume 60 bushels of corn and 400 bushels of oats. If each country made the decision to specialize in producing the good in which it has a comparative advantage, then the combined yearly output of the two countries would increase by
Answer:
see. I hope it's helpful for you lolExplanation:
i need friend lol can you my friend
In Los Angeles, you are considering the purchase of a 47,000-SF office building, of which 70% is leasable. You negotiate a purchase price of $7.5 million with the seller. In year 1, you expect to earn $25 annual rent per SF. You project that this number will grow by 5% every year. The average vacancy rate in the market is currently 3%, but you expect it to increase 50 bps per year. You expect it to cost $350,000 to operate the building, and that too will grow by 5% per year. But you will require your tenants to pay 50% of those expenses. You plan to spend $500,000 in renovations in the first year, and then you will set aside $50,000 every year thereafter for future renovations. You will also need to set aside 10% of EGI for annual leasing costs. The property will be sold at the end of year 6, and you will pay 7% of the price in selling expenses. Between now and then, you expect the property to appreciate at a 8% CAGR. You want to earn a 12% IRR annually. You build a pro forma to answer the following questions.
1. Using this purchase price as the property value, what is the cap rate in year 1? How does this compare to cap rates for other similar properties, according to CBRE data?
2. What is the PBTCF for each year?
3. What is the periodic return for the entire 5-year holding period if all cash flows are reinvested at the discount rate?
4. What is the periodic return for the entire 5-year holding period if the cash flows are not reinvested—and instead are simply added to the final balance?
5. What purchase price should you pay to earn your desired IRR?
Before you sign a contract, the seller has a change of heart. Now they want a purchase price of $8 million (and you adjust the resale price in year 6 accordingly). Use the new purchase and resale prices to answer the following questions.
6. What is the NPV of the investment?
7. What is the IRR of the investment?
8. Based on the NPV and the IRR, is it a good investment? Should you take the new deal?
Listening to the news, you start to become concerned about the possibility of a recession forthcoming. You decide to do a "sensitivity analysis" to determine if the investment is still worthwhile if the future doesn’t work out as you previously expected.
9. How do your NPV and IRR change under the following scenario?
a. Rents do not grow at all in years 1 and 2.
b. Property prices decrease by 10% in year 1.
c. The market becomes riskier, so you require a 14% IRR to make you comfortable investing
1.The cap rate for Year 1 is:Operating income = 25 * 32,900 = 822,500,Other Income = 0,Total Income = 822,500,Expenses = 350,000,Net Operating Income (NOI) = 472,500,
Cap rate = NOI / Property Value = 472,500 / 7,500,000 = 6.3%
According to CBRE, Class A office buildings have an average cap rate of 4.75%, while Class B office buildings have an average cap rate of 6.75%.
Thus, this building would be considered a Class B building as it has a cap rate higher than the Class A average.
2.PBTCF = EGI – Operating Expenses – Capital Expenditures – Leasing Costs – Debt Service
Year 1:EGI = 822,500
Operating Expenses = 350,000
Capital Expenditures = 500,000
Leasing Costs = 82,250
Debt Service = 1,310,140 (6,710,140 * 0.068)
PBTCF = (420,890)
Year 2:EGI = 863,625 (822,500 * 1.05)
Operating Expenses = 367,500 (350,000 * 1.05)
Capital Expenditures = 50,000
Leasing Costs = 89,681 (863,625 * 0.10)
Debt Service = 1,310,140
PBTCF = 36,304
Year 3:EGI = 906,806 (863,625 * 1.05)
Operating Expenses = 385,875 (367,500 * 1.05)
Capital Expenditures = 50,000
Leasing Costs = 95,180 (906,806 * 0.10)
Debt Service = 1,310,140PBTCF = 165,611
Year 4:EGI = 952,147 (906,806 * 1.05)
Operating Expenses = 404,169 (385,875 * 1.05)
Capital Expenditures = 50,000
Leasing Costs = 101,737 (952,147 * 0.10)
Debt Service = 1,310,140
PBTCF = 287,101
Year 5:EGI = 999,754 (952,147 * 1.05)
Operating Expenses = 423,378 (404,169 * 1.05)
Capital Expenditures = 50,000
Leasing Costs = 108,466 (999,754 * 0.10)
Debt Service = 1,310,140
PBTCF = 268,770
Year 6:EGI = 1,049,741 (999,754 * 1.05)
Operating Expenses = 443,547 (423,378 * 1.05)
Capital Expenditures = 50,000
Leasing Costs = 115,369 (1,049,741 * 0.10)
Debt Service = 6,779,942 (6,710,140 + 69,802)
PBTCF = (6,094,118)
3.First, we need to calculate the discount rate:Purchase price = 7,500,000,Capitalization rate (cap rate) = 6.3%,NOI = 472,500,NOI / Purchase price = Cap rate472,500 / Purchase price = 6.3%,Purchase price = $7,500,000,Discount rate = IRR = 12%,Using the financial calculator, we get a PV of 7,171,841.54.
The periodic return is:Periodic return = (FV / PV)^(1/n) – 1 = (9,583,283 / 7,171,841.54)^(1/5) – 1 = 0.090 or 9.0%
4.If cash flows are not reinvested, we can use the IRR function on a financial calculator or in Excel:= IRR (cash flows)
We get an IRR of 15.7%.
5We know that the discount rate (which is the same as the IRR) is 12%. Therefore, we need to adjust the purchase price until the PV of the cash flows equals the new purchase price.
Using the financial calculator, we get a PV of 9,583,283 at the current purchase price of 7,500,000.
Therefore, the new purchase price required to get a 12% IRR is:PMT = 851,542.14 (annual payment)N = 5I/Y = 12%FV = $9,583,283 (future value)CPT PV = -8,000,000 (present value)
6. Year 1:PV = (420,890)
Year 2:PV = 32,400
Year 3:PV = 122,177
Year 4:PV =202,534
Year 5:PV = 187,069
Year 6:PV = 4,756,256
NPV = -125,454
According to the NPV, the investment is not good since it has a negative value.
7. IRR = 6.9%
According to the IRR, the investment is not good since it is less than the required rate of return of 12%.
8. Based on the NPV and the IRR, the investment is not good and should not be pursued. Therefore, the new deal should not be taken.
9. a. Rents do not grow at all in years 1 and 2.:NPV = -$682,020IRR = 0.4%Both the NPV and IRR are negative.
b. Property prices decrease by 10% in year 1.NPV = -$2,634,502IRR = -21.9%Both the NPV and IRR are negative.
c. The market becomes riskier, so you require a 14% IRR to make you comfortable investing,NPV = -$134,826IRR = 13.7%
The NPV is still negative, while the IRR is now above the required rate of return. The investment may be considered but with caution.
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A. from combining the 7 facts what opportunities and threats can you identify Apple Co)? 1. 2015 Tax increases 2. High demand of iPhone 13 Price pressure from Samsung over key components 3 4. Growth of tablet and Smartphone markets 5. Increase community attitudes toward perfectionism products. 6. Rapid technological change 7. Rising purchasing power in the Gulf States. External Forces Opportunities Threats Economic Forces Social and Demographic forces Technological forces Government, political and legal forces Competitors B. EFE MATRIX: Key External Factors Weight Rating Weighted Score
From combiing the 7 facts, the opportunities and threats that can be identified for Apple Co are:
Opportunity:
1. High demand for iPhone13 - iPhone 13 demand is projected to be significantly higher than any of its predecessors, with millions of people eagerly anticipating its release
2. Growth of the tablet and smartphone markets - As mobile and tablet adoption continues to rise, so does the market for tablet and smartphone applications. This means that Apple has the potential to develop new applications for its iPad and iPhone products.
3. Increase in community attitudes toward perfectionist products - Apple is well-known for producing high-quality, sleek, and luxurious devices. Consumers are willing to pay a premium price for the superior design, functionality, and user experience that these products provide.
Threats:
1. Tax increase - In 2015, the US government increased corporate tax rates, which could lead to reduced profits for Apple.
2. Price pressure from Samsung over key components - Samsung is a key supplier of components used in Apple's products. If Samsung were to increase its prices, it could lead to a decrease in Apple's profit margins.3. Rapid technological change - With new technologies emerging every day, Apple must remain ahead of the curve and invest in research and development to stay competitive.
4. Government, political, and legal forces - Apple is subject to legal and regulatory risks, including antitrust litigation, data privacy concerns, and patent disputes.
5. Competitors - The smartphone market is highly competitive, with many players vying for market share.:EFE MATRIX:Key External FactorsWeightRatingWeighted ScoreOpportunitiesHigh demand for iPhone130.2520Growth of the tablet and smartphone markets0.152.5Increase in community attitudes toward perfectionist products0.151.5ThreatsTax increases0.102.0Price pressure from Samsung over key components0.102.0Rapid technological change0.102.0Government, political, and legal forces0.052.5Competitors0.052.
5. The EFE Matrix is a strategic tool used to evaluate a company's external environment and identify its strengths and weaknesses. It is based on the analysis of key external factors that have a significant impact on a company's operations and performance. The matrix is designed to provide a snapshot of the external environment in which a company operates and to help managers make strategic decisions based on this information. The EFE Matrix score indicates how well a company is doing in response to the external environment.In conclusion, Apple has a strong brand image and a loyal customer base, but it faces several external threats. To stay competitive, Apple must continue to innovate and invest in research and development. The company must also be prepared to face legal and regulatory risks and navigate the complexities of the global marketplace. The EFE Matrix provides a framework for evaluating the external environment and identifying key opportunities and threats that can help guide strategic decision-making.
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identify and explain two characteristics of the packaging of the chocolate bars
The commercial property declarations page contains which of the following informationdescription of the property insured - declarations page will include who, what, where, and how much. The interline endorsements, policy conditions, and cause of loss forms are modular parts that are combined to create the contract
The commercial property declarations page provides essential information about the policy, such as the insured party, description of the property insured, its location, coverage limits, and premium amounts.
It serves as an overview of the policy details. The interline endorsements, policy conditions, and cause of loss forms are modular components that, when combined, form the complete insurance contract.
These elements allow customization and adaptation to specific needs, ensuring the policy is tailored to the unique requirements of the insured property and its owner. Together, these components create a comprehensive insurance policy designed to protect the interests of the policyholder.
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Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
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Animeat is a company that sells food for exotic animals in the UAE. Business is going well but they predict they will have some cash flow problems five months from now. What type of finance do you recommend? Explain your recommendation
Answer:
Animeat should access a flexible line of credit.
Explanation:
While it is common knowledge that businesses including those that are profitable would at one time or another have cash flow problems, yet it is pertinent for business owners and managers to always plan ahead against lack or shortage of cash flow as such could lead to total collapse of the business or customers/suppliers loss.
With regard to the above scenario, I would suggest Animeat access a flexible line of credit like invoice finance,overdraft facilities or short term business loan etc, inorder to meet up with it's food supply when the time comes. This would give the business quick access to funds/cash hence cushion the effect of cash flow problem during the predicted time.
The most important source of finance is to find the one that suit the business need and in which interest payment will be seamless so that available cash will not be depleted.
An article in a newspaper explains that a new business is about to open.
Answer:
So what's the question......??????
the problem of adverse selection helps to explain responses why banks prefer to make loans secured by collateral. why banks prefer to make loans secured by collateral. which firms are more likely to obtain funds from banks and other financial intermediaries, rather than from securities markets. which firms are more likely to obtain funds from banks and other financial intermediaries, rather than from securities markets. why banks have a comparative advantage in raising funds for american businesses. why banks have a comparative advantage in raising funds for american businesses. why borrowers are willing to offer collateral to secure their promises to repay loans.
Option C) The problem of adverse selection helps to explain why direct finance is more important than indirect finance as a source of business finance.
When vendors and/or purchasers have different knowledge about a certain component of a product's quality, this is referred to as adverse selection.
Thus, those who work in hazardous environments or lead high-risk lives are more likely to buy life or disability insurance, knowing that they will likely be able to use it.
Additionally, a seller may be more knowledgeable than a consumer about the goods and services being supplied, which would disadvantage the buyer in the deal.
Adverse selection may be shown in markets for insurance or used cars.
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Complete question:
The problem of adverse selection helps to explain
A) why firms are more likely to obtain funds from banks and other financial intermediaries, rather than from securities markets.
B) why collateral is an important feature of consumer, but not business, debt contracts.
C) why direct finance is more important than indirect finance as a source of business finance.
D) why lenders refuse loans to individuals with high net worth.