Fortess, the brand mentioned in the text, is choosing to expand internationally through a joint venture.
Based on the information provided, Fortess is opting for a joint venture as its chosen mode of international expansion. A joint venture is a business arrangement where two or more companies join together to form a new entity, sharing resources, risks, and profits. In this case, Fortess is likely partnering with another company to establish a presence in foreign markets.
A joint venture offers several advantages for international expansion. It allows Fortess to leverage the local knowledge, expertise, and resources of its partner, which can facilitate market entry and mitigate risks associated with entering unfamiliar markets.
By sharing costs and risks with the partner, Fortess can achieve a faster and more cost-effective market presence compared to other modes of entry. Additionally, a joint venture provides an opportunity for knowledge transfer, innovation, and learning from the partner, leading to potential synergies and competitive advantages.
Overall, Fortess has chosen a joint venture as its strategy for international expansion, allowing it to collaborate with a partner to enter and establish its presence in foreign markets.
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Please Help!!!!!!!!!!!!! Watch the Video and Answer the Question!
Briefly describe in your own words the history of Capitalism and Socialism. How and where did each of these systems start? Describe how each system works. Use evidence from the video to support your answer.
Capitalism and Socialism: Crash Course World History #33:
Answer:
WHAT VIDEO
Explanation:
Answer:
uhm there is no video lol send a link and maybe i can help! :)
Explanation:
A reimbursement policy pays what amount of covered long term care expenses?
A "reimbursement policy" pays the covered expenses up to the daily maximum.
Reimbursement policies require the insured to first pay losses out-of-pocket before requesting reimbursement from the insurer for any covered loss.
Policies with reimbursement provisions pay the policyholder's qualified long-term care costs, up to the daily or monthly benefit, but not more. For instance, the insurance provider would only reimburse you for $4,000 in approved long-term care expenses, not the entire $6,000, if you received a monthly benefit of $6,000 but only spent $4,000.
Only actual costs are covered, and the insurance provider must get bills and receipts. Many insurance companies can straight charge the facility or home care service for care costs and will work with them directly.
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Sites like Kickstarter, GoFundMe, and Causes are all examples of what type of altruism?
Group of answer choices
Crowdfunding
Private foundations
Service Learning
Community Service
Students will research using the internet what a typical day looks like for various types of workers (CEO, general and middle managers, custodians, etc.) in a business of their choice.
Students will develop a short presentation on their findings of how these different working groups are treated and respected and their responsibilities.
Be sure to relate it to the field of business and include requirements, if any, for the job.
The conclusion should include big takeaways from the student’s perspective of what they would change if they were in charge and how their perception has changed regarding the organization that they chose to research.
Answer:
For this presentation, I researched the typical day for various types of workers in a business and found interesting differences in how they are treated and respected in their respective positions.
First, let's look at CEOs. A typical day for a CEO can include attending board meetings, meeting with investors, setting company strategy, and representing the company in public events. CEOs are responsible for the overall success of the company and making important decisions that impact the entire organization. They are typically well-respected and compensated for their role.
Next, let's look at general and middle managers. These individuals are responsible for overseeing specific departments or teams within the organization. A typical day for a general or middle manager can include attending meetings with their team, reviewing performance metrics, and working with other managers to ensure the success of the organization. They are generally respected within their departments and have a good understanding of the day-to-day operations of the business.
Finally, let's look at custodians. A typical day for a custodian can include cleaning the office, restocking supplies, and ensuring the building is in good condition. While custodians may not have the same level of responsibility as CEOs or managers, they are still an important part of the organization and play a crucial role in maintaining a safe and clean work environment. Unfortunately, custodians are sometimes undervalued and may not receive the same level of respect as other positions in the organization.
In terms of job requirements, CEOs typically have extensive business experience and a strong track record of success. General and middle managers typically have a degree in business or a related field and experience in their specific industry. Custodians may not have any formal education requirements, but they should have good communication skills and be able to work independently.
In terms of big takeaways, it's clear that different positions within an organization require different levels of responsibility and expertise. However, it's important to remember that all positions are important and contribute to the overall success of the business. As a manager, I would strive to create a culture of respect and appreciation for all employees, regardless of their position. My perception of the importance of custodians has also changed, and I would ensure that they receive the respect and recognition they deserve for their important work.
Explanation:
Notices provide a cheap way of communicating the same information to a large number of people but they may not be read, or may be ignored. True or false ?
Answer:
True
Explanation:
Notices can be regarded as a form of
formal communication to pass information to particular person as well as group of people. This could be inform of invitation to attend a meeting, legal notice from court, announcement of a particular event,
Which of the following is an example of structural unemployment?
a. a cashier is laid off after Christmas
b. a bank teller is laid off because more people are using ATMs
c. many construction workers lost jobs in 2008-09 recession
d. a person was laid off due to low performance review
Option B: A bank teller is laid off because more people are using ATMs.
Structural unemployment occurs when there is a mismatch between the skills and qualifications of job seekers and the available job opportunities in the market due to changes in the structure of the economy. Among the options provided, option B best exemplifies structural unemployment. In this scenario, the bank teller is laid off because more people are using ATMs. The advancement and widespread use of technology, such as ATMs, have resulted in a decrease in demand for traditional bank teller services. As a result, the job becomes redundant, and the bank may need to reduce its workforce, leading to layoffs. This situation reflects a structural shift in the economy, where changes in technology and consumer preferences affect the demand for certain jobs.
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What two market structures would be considered imperfect competition?
Answer:
Blemished rivalry can be found in the accompanying sorts of market structures: restraining infrastructures, oligopolies, monopolistic rivalry, monopsonies, and oligopsonies. In restraining infrastructures, there is just one (prevailing) dealer. That organization offers an item to the market that has no substitute.
sorry for the wait have an amazing day<3
why do you think tata motors has chosen to expand into foreign markets using exports rather than local manufacturing as a main mechanism of getting its product to new markets?
Tata Motors has chosen to expand into foreign markets using exports rather than local manufacturing as a primary mechanism of getting its product to new markets due to several reasons.
Firstly, exporting enables Tata Motors to increase its market reach without the need to set up production facilities in other countries. This significantly reduces their initial investment costs. Secondly, exporting enables Tata Motors to penetrate foreign markets where local manufacturers are either too expensive or too low quality.
The company has been doing this for several reasons. Exporting provides an opportunity for Tata Motors to increase its market reach without investing in production facilities in other countries. Exporting also enables the company to penetrate foreign markets where local manufacturers are either too expensive or too low quality.
Additionally, exporting allows Tata Motors to leverage its expertise in the Indian market to develop and improve its product line. This product line can be exported to other markets where the company wants to expand.
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Which of the following is NOT a basic statistic?
Mean
Area
Median
Mode
the answer is AREA (b) bcos all the other are general basic statists
How do the events of the nation affect the national debt?
Answer: Growing debt has a direct effect on economic growth and the opportunities available to every individual in the country. If excessive levels of debt crowd out private or public or mutual investments in capital goods or works, workers would have less to use and get from their jobs, which would translate to lower productivity work and, therefore, lower wages in multiple aspects of the country's work done. High levels of debt would affect many other aspects of the economy in the future. For eq, higher interest rates result from increased borrowing from multiple agencies and invite under the various segments of college education house loan work loan. Less education and work opportunities will need skills up for various degrees and work to be followed under any scheme.
Explanation:
If we fail to act before a stipulated time the long time fiscal challenges will remain unaddressed and unchanged. The economic crisis and the overall economic environment weaken as confidence suffers, the access to capital funds gets reduced, interest costs crowd out key investments in our future, the conditions for growth deteriorate, and our nation is put at greater risk of economic crisis. If our long-term fiscal imbalance is not addressed, our future economy will be minimized, with fewer economic opportunities for families and workers down there in their own country.Two customers went to a post office to buy postcards and large envelopes. Each postcard costs the same amount, and each large envelope costs the same amount. The first customer paid $12 for 14 postcards and 5 large envelopes. The second customer paid $24. 80 for 10 postcards and 15 envelopes. What was the cost in dollars of each large envelope?.
The cost in dollars of each large envelope is $1.42.
Two equations can be derived from this question:
14p + 5e = 12 equation 1
10p + 15e = 24.80 equation 2
Where:
p = cost of postcards
e = cost of large envelopes
In order to determine the cost of the large envelope, take the following steps:
Multiply equation 1 by 10 and equation 2 by 14
140p + 50e = 120 equation 3
140 p + 210e = 347.20 equation 4
Subtract equation 3 from 4
160e = 227.20
Divide both sides of the equation by 160
e = $1.42
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Which sentence is the best example of informal business writing?
Informal business writing is typically characterized by a casual tone and the use of everyday language. One sentence that exemplifies informal business writing is: "Hey, just wanted to follow up on that proposal we discussed.
Do you have any thoughts on it?" This sentence uses a conversational tone and informal language, such as "Hey" and "thoughts," to communicate a message. In contrast, a more formal business writing example might be: "Please be advised that I am following up on the proposal we discussed. I would appreciate your feedback at your earliest convenience." This sentence uses more formal language and a more structured tone to convey the same message. When deciding which type of writing to use, it is important to consider the context and audience of the message.
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the escrow instructions in the van horn - simpson transaction are deemed unavailable to the simpsons. if instructions are confidential, and abc escrow is a dual agency representing both parties, why are the instructions only known to the van horns, their real estate agent, and abc escrow?
The escrow instructions in the Van Horn- Simpson sale are nonpublic and only known to the Van Horns, their real estate agent, and ABC Escrow. This is because the escrow instructions are generally only participated with parties directly involved.
In the sale who have a licit need to know the details outlined in the instructions. In this case, the Van Horns are the merchandisers and their real estate agent and ABC Escrow are representing them. The Simpsons as the buyers, aren't entitled to pierce or get involved to the escrow instructions.
Unless specifically granted access by the Van Horns or through legal channels.
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Peter loves dogs and cats. For the past several years, he has owned and operated Homeward Bound, which temporarily houses pets while their owners go on vacation. For the month of June, the company has the following transactions:1. June 2 Obtain cash by borrowing $19,000 from the bank by signing a note.2. June 3 Pay rent for the current month, $1,200.3. June 7 Provide services to customers, $3,300 for cash and $1,600 on account.4. June 11 Purchase cages and equipment necessary to maintain the animals, $6,500 cash.5. June 17 Pay employees’ salaries for the first half of the month, $4,600.6. June 22 Pay dividends to stockholders, $1,075.7. June 25 Receive cash in advance from a customer who wants to house his two dogs (Chance and Shadow) and cat (Sassy) while he goes on vacation the month of July, $1,150.8. June 28 Pay utilities for the month, $1,400.9. June 30 Record salaries earned by employees for the second half of the month, $4,600. Payment will be made on July 2.1. Record each transaction(journal entries)2. determine the transactions involving cash.3. Assuming the balance of cash at the beginning of June is $12,800, post each cash transaction to the cash T-account.June 112,800
1) The Journal entries for the Homeward Bound owned by Peter:
June 2: Debit Cash $19,000; Credit Notes Payable $19,000.June 3: Debit Rent Expense $1,200; Credit Cash $1,200.June 7: Debit Cash $3,300; Debit Accounts Receivable $1,600; Credit Service Revenue $4,900.June 11: Debit Equipment $6,500; Credit Cash $6,500.June 17: Debit Salaries Expense $4,600; Credit Cash $4,600.June 22: Debit Dividends $1,075; Credit Cash $1,075.June 25: Debit Cash $1,150; Credit Unearned Revenue $1,150.June 28: Debit Utilities Expense $1,400; Credit Cash $1,400.June 30: Debit Salaries Expense $4,600; Credit Salaries Payable $4,600.2) Transactions involving cash are:
June 2: Obtain cash by borrowing $19,000 from the bank by signing a note.June 3: Pay rent for the current month, $1,200.June 7: Provide services to customers, $3,300 for cash.June 11: Purchase cages and equipment necessary to maintain the animals, $6,500 cash.June 17: Pay employees’ salaries for the first half of the month, $4,600.June 22: Pay dividends to stockholders, $1,075.June 25: Receive cash in advance from a customer who wants to house his pets for the month of July, $1,150.June 28: Pay utilities for the month, $1,400.June 30: Record salaries earned by employees for the second half of the month, $4,600.3) Cash T-Account:
June 2: Debit $19,000, Credit $0, Balance $19,000.June 3: Debit $0, Credit $1,200, Balance $17,800.June 7: Debit $3,300, Credit $0, Balance $21,100.June 11: Debit $6,500, Credit $0, Balance $27,600.June 17: Debit $4,600, Credit $0, Balance $23,000.June 22: Debit $1,075, Credit $0, Balance $21,925.June 25: Debit $1,150, Credit $0, Balance $23,075.June 28: Debit $0, Credit $1,400, Balance $21,675.June 30: Debit $4,600, Credit $0, Balance $26,275.The journal entries represent the financial transactions that Homeward Bound had during the month of June. Each entry involves debits and credits that reflect the economic impact of the transaction on the company's financial position. Debits increase assets and decrease liabilities, while credits increase liabilities and decrease assets. These entries provide a record of the company's financial activities that can be used to prepare financial statements and assess the company's performance.
The transactions involving cash are the ones where there is an inflow or outflow of cash. These transactions are important as they affect the company's liquidity position.
The cash T-account shows the balance of cash at the beginning of June, as well as the cash transactions that occurred during the month. The T-account helps to keep track of the company's cash balance and how it changes over time.
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A firm that is committed to keeping manufacturing facilities in only the home country (and not developing multiple production sites in a variety of countries) can Multiple Choice not mitigate the effects of exchange rate changes. lessen the effect of exchange rate changes by pursuing a strategy of diversifying the markets in which the firm's products are sold. lessen the effect of exchange rate changes by pursuing a strategy of selling commodity products without product differentiation. pursue a strategy of increasing its products price elasticity of demand.
Answer:
lessen the effect of exchange rate changes by sourcing from where input costs are low
Explanation:
the operating revenue remaining after cost of merchandise sold has been deducted is
The operating revenue remaining after deducting cost of merchandise sold is known as gross profit.
What is a gross profit?Gross profit refers to the amount remaining after deducting all the expenses involve in production, transportation and promotion of goods.This is total profit a business is gained.
The gross profit is calculated by subtracting cost of goods sold from total sales where cost of goods sold includes all cost for selling an item.For example raw material, labour, storage costs and so on.
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Tesla Inc (TSLA) has been growing at a rate of 34% per year in recent years. This same supernormal growth rate is expected to last for another 5 years, during which it will not pay dividend. It will start paying a dividend of $7 a share in 6th year. After this, earnings and dividends are expected to grow at a 4 percent annual rate indefinitely. Investors currently require a rate of return of 11 percent. What should be the current market price per share of its stock?
O 50.43
O 53.4
O 59.34
O 65.27
O 56,37
To determine the current market price per share of Tesla Inc (TSLA) stock, we need to calculate the present value of future dividends and earnings.
Step 1: Calculate the present value of supernormal growth for the first 5 years.
We know that the growth rate is 34% per year. So, the dividends in the 6th year will be $7 per share. To calculate the present value of these dividends, we discount them back to the present using the required rate of return.
Year 1: No dividends (0% growth)
Year 2: No dividends (0% growth)
Year 3: No dividends (0% growth)
Year 4: No dividends (0% growth)
Year 5: No dividends (0% growth)
Year 6: $7 dividends per share
Using the formula for present value of dividends, we calculate the present value of the $7 dividend in the 6th year as follows:
Present Value of Dividends in 6th year = $7 / (1 + 0.11)^6
Step 2: Calculate the present value of dividends and earnings after the 6th year.
From the 7th year onwards, earnings and dividends are expected to grow at a 4% annual rate indefinitely. So, we use the constant growth formula to calculate the present value of dividends and earnings after the 6th year.
Present Value of Dividends and Earnings after 6th year = $7 * (1 + 0.04) / (0.11 - 0.04) / (1 + 0.11)^6
Step 3: Calculate the total present value of dividends and earnings.
To find the current market price per share, we sum up the present value of dividends and earnings for both the supernormal growth period and the constant growth period.
Total Present Value = Present Value of Dividends in 6th year + Present Value of Dividends and Earnings after 6th year
Finally, to get the market price per share, we divide the total present value by the number of shares outstanding.
Market Price per Share = Total Present Value / Number of Shares Outstanding
Based on the given options, I cannot provide a specific answer without the number of shares outstanding or further calculations.
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The closest answer is option O 59.34. To calculate the current market price per share of Tesla Inc (TSLA) stock, we can use the dividend discount model (DDM) and the formula for the present value of future dividends.
1. First, we need to calculate the present value of the dividends that will be paid during the first 5 years. Since Tesla is not paying dividends during this period, the present value of these dividends is zero.
2. Next, we need to calculate the present value of the dividends that will be paid after the 5th year. We can use the formula for the present value of perpetuity:
Present Value of Perpetuity = Dividend / (Discount Rate - Growth Rate)
In this case, the dividend is $7 per share and the growth rate is 4%. The discount rate is the rate of return that investors require, which is 11%. Plugging these values into the formula, we get:
Present Value of Perpetuity = $7 / (0.11 - 0.04) = $7 / 0.07 = $100 per share
3. Now, we need to find the present value of this perpetuity back to the present time. Since the perpetuity starts in the 6th year, we need to discount it back for 5 years. To do this, we divide the present value of the perpetuity by
(1 + Discount Rate) raised to the power of the number of years:
Present Value = $100 / (1 + 0.11)^5 = $100 / (1.11)^5 = $100 / 1.6723 = $59.82 per share
Therefore, the current market price per share of Tesla Inc (TSLA) stock should be approximately $59.82.
Out of the provided options, the closest answer is option O 59.34.
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"A customer buys 300 shares of ABC at $40, depositing the Regulation T requirement on the 3rd business day after trade date. He holds the position for two months, during which $100 of interest is charged on the debit balance. What is the adjusted debit balance at the end of the two month period?"
Answer:
Explanation:
Given the following :
Number of shares = 300
Cost per share = $40
Interest charge = $100
Total cost of shares = (number of shares * purchase price)
Total cost of shares = 300 * $40 = $12000
The regulation T says an investor cannot borrow more than 50% of the purchase price.
Therefore, 50% of shares cost :
(50/100) * $12,000
0.5 * $12,000
= $6000
Therefore, Adjusted debit balance :
$6000 + $100 = $6,100
What is an example of form utility
help me please
You are putting on a theater production. Which of the following should be a consideration when you get ready to choose the script?
The size of the theater/stage
The demographics of the audience
The topic/popularity of the script
All of the above
Answer:
The topic/popularity of the script
Explanation:
When you are writing a script, you WILL NEED TO consider the topic/popularity of the script.
Hope it help! ;)
the idea that firms will get the most for their money when they pay wages higher than the equilibrium wage is called: responses optimal-wage theory. optimal-wage theory. efficiency-wage theory. efficiency-wage theory. the insider-outsider model. the insider-outsider model. equilibrium-wage theory
Efficiency-wage theory is that the idea that firms will get the most for their money when they pay wages higher than the equilibrium wage .
Efficiency wages are a level of pay given to employees over the minimum wage in labour economics in order to keep a competent and productive workforce. According to the efficiency wage hypothesis, an employer must offer employees a wage that is comparable with the market in order to keep highly trained individuals and provide them with an incentive to be productive. The "efficiency wage" theory contends that wages, at least in some labour markets, do not develop in a manner consistent with market clearing. According to the efficiency wage principle, it is legitimately "fair pay" to pay your employees more than the market rate for their position. The efficiency wage hypothesis contends that these higher rates promote overall productivity and long-term profitability for the company, which helps to explain why businesses appear to overpay for employees.
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Which of the following is the most common traits of entrepreneurs? A. Passionate B. Risk-taker C. Independence D. Self-assured
Answer:
A. Passionate
Explanation:
Hope this helps
Answer: independence
Explanation:
can i doit without pay
Answer:
what?
Explanation:
application of marginal cost
Marginal cost is a concept widely used in economics and business to make informed decisions about resource allocation and pricing. Its application can be seen in various areas:
Production and Pricing: Marginal cost helps businesses determine the optimal level of production by comparing the additional cost of producing one more unit with the additional revenue generated. It assists in setting prices that cover variable costs and contribute to profit maximization.
Investment Analysis: When considering investment decisions, businesses analyze the marginal cost of capital to evaluate the potential return on investment. By comparing the expected marginal benefits with the marginal cost of financing, they can assess the viability of investment projects.
Cost Control: Identifying the marginal cost of each activity or input helps in cost control. Businesses can allocate resources efficiently by weighing the incremental cost against the incremental benefit to ensure that resources are used optimally.
Supply Chain Management: Marginal cost analysis aids in optimizing supply chain operations. By assessing the additional cost incurred at different stages of the supply chain, businesses can identify bottlenecks, make informed decisions about outsourcing, and streamline processes to minimize overall costs.
In summary, the application of marginal cost enables businesses to make informed decisions regarding production levels, pricing strategies, investment choices, cost control, and supply chain optimization. It assists in maximizing efficiency and profitability by considering the incremental cost associated with each decision.
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Community colleges and vocational schools offer programs in maintenance and repair.
A
True
B.
False
What is the difference between monetary
and fiscal policy?
A Monetary policy is controlled by the
federal government while fiscal policy
is controlled by the Federal Reserve.
B Monetary policy is controlled by the
Federal Reserve while fiscal policy is
controlled by Congress and the
President.
C They are effectively the same thing.
D Fiscal policy was invented to combat
inflation. Monetary policy was
invented to improve GDP.
Answer:
B.
Explanation:
Monetary policy is an action taken by the central bank to bring the money supply under control. Under this policy, the central bank also oversees the macroeconomic goals of the nation. The organization that controls the monetary policy is the Federal Reserve of the United States.
Fiscal policy, on the other hand, is a term used to refer to spendings and taxation. Fiscal policy is undertaken by the executive and legislative branches of the government. The executive and legislative branch of the government includes both the President and the Congress.
Therefore, option B is correct.
Creating a chant that rhymes to remember information is a memorization technique.
a
Please select the best answer from the choices provided
ОТ
OF
Answer:
OT
Explanation:
BECAUSE I AM SMART AND BECAUSE I TOOK THAT SAME CLASS
Thomas and stephani are married with four qualifying children. Their earned income is 28500. Calculate the eic using the eic formula
Answer:
$6,557.
Explanation:
Following the eic formula, The eic of Thomas and Stephani filling as jointly married with over 3 children and an income < $55952 is = $6,557.
using the eic formula
= $6557
a seller transfers title to a buyer with a general warranty deed. in which clause of the deed does the seller define the quality of ownership interest conveyed to the buyer?
A seller transfers title to a buyer with a general warranty deed. The seller defines the quality of ownership interest conveyed to the buyer in the habendum.
Habendum is an important concept in real estate and property transactions. It may also be used in other transactions related to leases and deeds, for example in the energy sector.
A habendum clause is part of a contract that is concerned with the rights, interests, and other features of ownership that is transferred to the other party. In cases of transfer of rights, for example in relation to a coal mine, it sets out the nature of the right and its duration.
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how can interest rate on loan for rental property determine the rent