The WACC of Bridgehampton Shores Inn is 11.9%.
WACC (weighted average cost of capital) is the cost of the company's capital based on its capital structure.
It calculates the expected return on equity and debt financing while accounting for the company's tax status. The formula for WACC is as follows:WACC = ((E/V) * Re) + [((D/V) * Rd) * (1 - T)]
where,E = market value of the company's equity D = market value of the company's debt V = E + DRe = cost of equity Rd = cost of debt T = tax rateIn the scenario provided, Bridgehampton Shores Inn has a capital structure that consists of 35% debt and 65% equity.
The debt is made up of loans from the Long Island Bank at an interest rate of 7.0%. The cost of equity for shareholders in the hotel is 16.5%.
The corporate tax rate is 40%.
Using the formula for WACC, we can calculate the WACC as follows:WACC = ((0.65 * 0.165) + [(0.35 * 0.07) * (1 - 0.40)])WACC = (0.106 + [0.021 * 0.6])
WACC = (0.106 + 0.013)WACC = 0.119 or 11.9%
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The introduction of the new computer system isn't going as planned, but you are doing all that you can to coordinate activities with the change agent
to ensure that business is minimally affected.
O Transition management
O Coaching
O Change analysis
The term that best describes the scenario of "The introduction of the new computer system isn't going as planned, but you are doing all that you can to coordinate activities with the change agent to ensure that business is minimally affected" is "Transition management.
Transition management refers to the management of structural changes within an organization, which is usually as a result of changes in business processes, job roles, or IT systems.
It helps companies to assess their capabilities, skills, and capacity for change, and then develop a strategy that will help them to make the most of these resources to achieve successful transitions.
In the scenario given, the change agent, who is responsible for implementing the new computer system, is working with others to make sure that the changes go smoothly. This is the essence of transition management, and it involves working with people across different departments and levels of the organization to ensure that the changes are made with as little disruption as possible to business activities.
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The following transactions occurred for the Microchip Company 1 On October 1, 2021 Microchip lent $93.000 to another company. A note was signed with principal and 10% interest to be paid on September 30, 2022 2. On November 1, 2021. the company paid its landlord $10 200 representing rent for the months of November through January Prepaid rent was debited 3. On August 1, 2021, collected $16.200 in advance rent from another company that is renting a portion of Microchip's factory, The $16,200 represents one year's rent and the entire amount was credited to deferred rent revenue 4 Depreciation on office equipment is $5.900 for the year 5. Vacation pay for the year that had been earned by employees but not paid to them or recorded is $9.400. The company records Vacation pay as salaries expense 6. Microchip began the year with $3,400 in its asset account supplies. During the year, 57900 in supplies were purchased and debited to supplies At year-end, supplies costing $3.950 remain on hand Prepare the necessary adjusting entries at December 31, 2021 for each of the above situations. Assume that no financial statements were prepared during the year and no adjusting entries were recorded. If no entry is required for a transaction/event, select "No journal entry required in the first account field.)
he supplies expense for the year will be $50,700 ($54,650 - $3,950).Hence, these are the adjusting entries that are required for each of the above-mentioned situations.
Adjusting entries are made to the company's accounting records to reflect the true financial situation of the company, since all transactions have not been recorded at the end of the period. The following are the adjusting entries needed to reflect the proper financial status of the Microchip Company for the year ended December 31, 2021:1. Adjusting entry to record interest income earned on the note payable:At the end of the accounting period, the company must record interest earned on the note, which will be due on September 30, 2022. Interest expense of $9,300 (10% of $93,000) must be recorded. Interest revenue of $9,300 is recorded, and the note payable account is credited with this amount.2. Adjusting entry for prepaid rent:Microchip has prepaid $10,200 in rent that will be expensed over three months. A prepaid rent account of $10,200 will be debited, and rent expense of $3,400 will be credited for November, December, and January (3 months).3. Adjusting entry for deferred rent:Deferred rent revenue of $16,200 will be recorded in the books of Microchip as the renter of the company's factory paid in advance for the year. Rent revenue for the year is $16,200.4. Depreciation expense:Depreciation expense for the year is $5,900 on office equipment. Depreciation expense of $5,900 will be debited, and accumulated depreciation of $5,900 will be credited.5. Adjusting entry for vacation pay:Salaries expense will be charged with $9,400 in vacation pay earned by employees but not paid or recorded during the year. Salary expenses will be debited with $9,400, and vacation payable will be credited with $9,400.6. Supplies expense:Supplies worth $54,650 ($3,400 beginning balance + $57,900 purchased - $3,950 in ending inventory) were used during the year. Supplies worth $54,650 will be debited, and supplies on hand will be credited with $3,950. Therefore, the supplies expense for the year will be $50,700 ($54,650 - $3,950).Hence, these are the adjusting entries that are required for each of the above-mentioned situations..
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Which statement most accurately describes bonds? O a. Lenders buy bonds, and borrowers sell them. b. Long-term bonds usually pay a lower interest rate than do short-term bonds because long-term bonds are riskier. c. Junk bonds refer to bonds that have been resold many times. d. Short-term bonds usually pay a lower interest rate than do long-term bonds because short-term bonds are riskier.
The statement that most accurately describes bonds is Short-term bonds usually pay a lower interest rate than do long-term bonds because short-term bonds are riskier.
A bond is a kind of security that allows an issuer to borrow funds from investors. It pays periodic interest payments (called coupon payments) to the investor until the bond matures, at which point the principal is returned. A bond may be issued by a government or a corporation. A bond is a kind of debt instrument that is used to raise money to fund various initiatives. Long-term bonds usually pay a higher interest rate than do short-term bonds because long-term bonds are less risky and offer a higher return on investment.Junk bonds refer to bonds that have a lower credit rating than the bonds of the issuer. The issue is considered risky and, as a result, pays a higher interest rate than bonds with a higher credit rating. Junk bonds are issued by corporations that are financially distressed or have a high risk of default.
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All of the following statements are factually accurate. Which most likely explains Froissart's view of the peasants' grievances discussed in the passage?
History writing in medieval Europe was aimed primarily at elite audiences.
Froissart's view of the peasants' grievances, as discussed in the passage, is most likely explained by the fact that history writing in medieval Europe was aimed primarily at elite audiences.
All of the statements are factually accurate.What is Froissart's view of the peasants' grievances?Froissart, as described in the passage, sees the peasant rebellion as a rebellion that would ultimately end in failure. He is sympathetic to the peasants, who are enduring hard times as a result of their struggles to pay rent and taxes, but he also sees them as being inferior in status and incapable of effecting real change in the social order. Froissart, it seems, sees the world in terms of a rigid hierarchy in which social mobility is limited.In the medieval period, history writing was primarily directed at an aristocratic audience.
It was intended to be read and enjoyed by members of the ruling class, who were interested in stories about other aristocrats. As a result, medieval historians, including Froissart, tended to be more interested in the doings of kings, queens, and other aristocrats than in the struggles of ordinary people. This explains why Froissart, in his account of the peasant revolt, focuses more on the deeds of aristocrats than on the grievances of peasants.
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"The four siblings are flying the South African flag high with their un-bee-liveable fynbos honey. Sana Khan (20) and her sisters - Noor (15), Ilham (13) and Asam (11) – recently scooped the top prize at the 2021 London International Honey Awards. The girls, who are from Athlone in Cape Town, were honoured with platinum, which is reserved for honey that scores between 95,5 to 100%." In reference to an abstract critically discuss what the four siblings had to do, to determine if their business ideas were feasibility or not.
The four siblings from Athlone in Cape Town had to conduct a feasibility study to determine if their business ideas were feasible or not.Feasibility study refers to an assessment of the practicality of a proposed project or plan. In this case, the four siblings had to conduct a feasibility study to determine whether their business ideas of producing fynbos honey were feasible.
During the feasibility study, the siblings had to assess the market potential, technical feasibility, financial feasibility, and economic viability of their business idea. They had to determine the demand for their product, their target market, production capacity, production costs, profitability, and sustainability of their business.
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Homework Ch 10 Homework Part 1 of 4 Ayer Furniture purchased and paying $70,000 cash and signing a $310,000 note payable. In addition, Ayer paid delinquent property tax of $2.500, the insurance costin
Ayer Furniture paid $70,000 in cash, signed a $310,000 note payable, and paid $2,500 for delinquent property tax and insurance costs.
Ayer Furniture's transaction can be broken down as follows:
A cash payment of $70,000 represents an outflow of cash.
Signing a $310,000 note payable indicates a long-term liability has been incurred.
Payment of $2,500 for delinquent property tax and insurance costs represents an expense.
These transactions affect Ayer Furniture's balance sheet by increasing its liabilities through the note payable and decreasing its assets through the cash payment. The delinquent property tax and insurance costs are expenses that reduce the company's equity. Overall, these transactions impact Ayer Furniture's financial position and require careful consideration of their impact on the company's financial statements.
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Ayer Furniture's total cost, including cash, note payable, delinquent property tax, and insurance, amounts to $382,500.
How much did Ayer Furniture pay in total?Ayer Furniture made several payments as part of its financial transactions. Firstly, they purchased furniture by paying $70,000 in cash. Additionally, they signed a note payable for $310,000, indicating their agreement to pay that amount in the future.
Furthermore, Ayer settled delinquent property tax worth $2,500 and incurred insurance costs, which are not explicitly mentioned. When all these amounts are added together, the total cost for Ayer Furniture comes to $382,500. These financial activities reflect the expenses and liabilities incurred by the company during this specific period.
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Problem 17.12 (Excess Capacity) eBook Problem Walk-Through Earleton Manufacturing Company has $3 billion in sales and $549,500,000 in fixed assets. Currently, the company's fixed assets are operating at 75% of capacity a. What level of sales could Earleton have obtained if it had been operating at full capacity? Write out your answers completely. For example, 13 million should be entered as 13,000,000, Round your answer to the nearest dollar. b. What is Earleton's target fixed assets/sales ratio? Do not round intermediate calculations. Round your answer to two decimal places. c. If Earleton's sales increase 40%, how large of an increase in fixed assets will the company need to meet its target fixed assets/sales ratio? Write out your answer completely. Do not round intermediate calculations. Round your answer to the nearest dollar $
a. To determine the level of sales Earleton could have obtained if it had been operating at full capacity, we can use the concept of the fixed assets/sales ratio.
The formula for the fixed assets/sales ratio is:
Fixed Assets/Sales Ratio = Fixed Assets / Sales
Given:
Fixed Assets = $549,500,000
Current Sales = $3,000,000,000
Current Capacity Utilization = 75% (0.75)
We can rearrange the formula to solve for Sales:
Sales = Fixed Assets / (Fixed Assets/Sales Ratio)
Sales = $549,500,000 / (0.75)
Calculating the sales at full capacity:
Sales = $549,500,000 / 0.75 = $732,666,666.67
Therefore, the level of sales Earleton could have obtained if it had been operating at full capacity is approximately $732,666,667.
b. The target fixed assets/sales ratio can be calculated by using the current fixed assets and sales figures.
Target Fixed Assets/Sales Ratio = Fixed Assets / Sales
Target Fixed Assets/Sales Ratio = $549,500,000 / $3,000,000,000
Calculating the target fixed assets/sales ratio:
Target Fixed Assets/Sales Ratio = 0.18317
Rounding the ratio to two decimal places, the target fixed assets/sales ratio for Earleton is 0.18.
c. To calculate the increase in fixed assets required to meet the target fixed assets/sales ratio after a 40% increase in sales, we can use the following steps:
Calculate the new sales figure after a 40% increase:
New Sales = Current Sales + (40% * Current Sales)
New Sales = $3,000,000,000 + (0.40 * $3,000,000,000)
1. Calculate the target fixed assets based on the new sales figure:
Target Fixed Assets = Target Fixed Assets/Sales Ratio * New Sales
Substituting the values:
Target Fixed Assets = 0.18 * New Sales
2. Calculate the increase in fixed assets:
Increase in Fixed Assets = Target Fixed Assets - Current Fixed Assets
Substituting the values:
Increase in Fixed Assets = (0.18 * New Sales) - $549,500,000
3. Calculating the increase in fixed assets:
Increase in Fixed Assets = (0.18 * $4,200,000,000) - $549,500,000 = $525,500,000
Therefore, to meet its target fixed assets/sales ratio after a 40% increase in sales, Earleton Manufacturing Company will require an increase in fixed assets of approximately $525,500,000.
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Which organizational approach organizes work units based on the goods and services a company offers? Process departmentalization Customer departmentalization Product departmentalization O Functional departmentalization
Product departmentalization is the organizational approach that organizes work units based on the goods and services a company offers. Option c is correct.
Product departmentalization is an organizational strategy that groups employees based on the items produced or services provided by the business. Each work unit is in charge of a specific product, which includes both the production and delivery of the product.
A department is created for each product or product line. All activities related to a particular product are concentrated in a single department. This ensures that everyone in the department is working toward a common goal.
The advantages of product departmentalization include that it allows for the development of specialized knowledge and skills, it provides a clear focus on product or service offerings, it allows for greater efficiency and coordination in production and delivery, and it can result in faster innovation and problem-solving because teams are focused on a specific product or service.
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before launching a paid social advertising campaign it’s best to have:
Before launching a paid social advertising campaign, it's best to have a well-defined strategy and clear objectives in place. This ensures that the campaign aligns with your overall marketing goals and maximizes its effectiveness.
Having a strategy involves several key elements:
Defined Target Audience: Identify and understand your target audience, including their demographics, interests, and online behavior.
Clear Objectives: Determine specific goals for your campaign, such as increasing brand awareness, driving website traffic, generating leads, or boosting sales.
Compelling Ad Creative: Develop captivating and visually appealing ad creative that grabs attention and communicates your message effectively.
Landing Pages and Conversion Funnel: Ensure that you have optimized landing pages and a well-defined conversion funnel to guide users from the ad to the desired action, whether it's making a purchase, filling out a form, or subscribing to a newsletter.
Budget and Tracking: Set a budget that aligns with your goals and allocate it effectively across various social media platforms.
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Gentex Corporation paid a dividend yesterday of $4 per share. The dividend is expected to grow at a constant rate of 6.0% per year. The price of Gentex Corporation's stock today is $24.00 per share. If Gentex Corporation decides to issue new common stock, flotation costs will equal $2.40 per share. Gentex Corporation's marginal tax rate is 35%. Based on the above information, the cost of newly issued common stock is
a. 24.12%
b. 27.57%
c. 25.63%
d. 28.48%
To calculate the cost of newly issued common stock, we need to use the dividend growth model and consider the flotation costs and the marginal tax rate.
The cost of newly issued common stock can be calculated using the formula:
Cost of common stock = (Dividend / Price) + Growth rate + (Flotation costs / Price) * (1 - Tax rate)
Dividend = $4 per share
Price = $24.00 per share
Growth rate = 6.0%
Flotation costs = $2.40 per share
Tax rate = 35%
Cost of common stock = ($4 / $24.00) + 6.0% + ($2.40 / $24.00) * (1 - 0.35)
Cost of common stock = 0.1667 + 0.06 + 0.1 * 0.65
Cost of common stock = 0.1667 + 0.06 + 0.065
Cost of common stock = 0.2917 or 29.17%
Therefore, the cost of newly issued common stock for Gentex Corporation is 29.17%.
The provided answer choices do not match the calculated cost.
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Good News Company estimates that total factory overhead costs will be $560,000 for the year. Direct labor hours are estimated to be 70,000. Determine (a) the predetermined factory overhead rate, (b) the amount of factory overhead applied to Job 345 if the amount of direct labor hours is 460 and Job 777 if the amount of direct labor hours is 810, and (c) prepare the journal entry to apply factory overhead in April according to the predetermined overhead rate.
(a) The predetermined factory overhead rate is $8 per direct labor hour. (b) The factory overhead applied to Job 345 is $3,680, and the factory overhead applied to Job 777 is $6,480. (c) Journal entry: Debit Work in Process Inventory by the amount of factory overhead applied and credit Factory Overhead Control by the same amount.
To determine the predetermined factory overhead rate, the total factory overhead costs of $560,000 are divided by the estimated direct labor hours of 70,000, resulting in a rate of $8 per direct labor hour. This rate is used to apply factory overhead to specific jobs based on their respective direct labor hours.
For Job 345, if the direct labor hours are 460, the factory overhead applied would be calculated as 460 hours multiplied by the predetermined rate of $8 per hour, resulting in $3,680. Similarly, for Job 777 with 810 direct labor hours, the factory overhead applied would be $6,480.
To apply factory overhead in April, a journal entry is made. Work in Process Inventory is debited by the amount of factory overhead applied, which would be based on the predetermined rate multiplied by the actual direct labor hours. Simultaneously, Factory Overhead Control is credited by the same amount, reflecting the allocation of overhead costs to the appropriate job.
By using predetermined factory overhead rates and applying them accurately to jobs, the company can allocate overhead costs in a systematic and consistent manner, facilitating better cost tracking and financial management.
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great place to work institute named microsoft as the best globalized company to work for. what characteristics could have qualified the company as a global company?
Microsoft being named the best globalized company to work for by the Great Place to Work Institute suggests that the company possesses certain characteristics that qualify it as a global company. These characteristics enable Microsoft to operate effectively and successfully in multiple countries and regions around the world.
To be considered a global company, Microsoft would exhibit several key characteristics. Firstly, it would have a significant global presence with operations, offices, and employees located in various countries. Microsoft is known for its extensive international reach, with offices and subsidiaries spanning across continents.
Secondly, a global company like Microsoft would demonstrate cultural adaptability and sensitivity. It would foster an inclusive and diverse work environment that respects and values different cultures, languages, and perspectives. Microsoft's global workforce reflects diversity, embracing employees from diverse backgrounds and cultures.
Thirdly, a global company would have a strong global brand and reputation. Microsoft is recognized worldwide for its technology products and services, making it a trusted and respected brand in the global market.
Furthermore, a globalized company like Microsoft would have a global mindset and strategies. It would develop products and services that cater to the needs and preferences of customers in different countries and adapt its business practices to local regulations and customs.
Overall, the recognition of Microsoft as the best globalized company to work for suggests that it possesses these characteristics, enabling it to thrive in a globalized business environment.
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What standards/guidelines can be established by a vehicle
manufacturing company for both the production process and
employees?
A vehicle manufacturing company can establish several standards and guidelines for both the production process and employees to ensure quality, efficiency, and safety. Some examples include:
1. **Quality Control Standards**: Implementing rigorous quality control measures at each stage of the production process to maintain high-quality standards. This can include regular inspections, testing, and adherence to international quality management systems such as ISO 9001.
2. **Safety Guidelines**: Establishing comprehensive safety protocols to ensure a safe working environment for employees. This can include guidelines for operating machinery, handling hazardous materials, wearing appropriate protective gear, and implementing emergency procedures.
3. **Standard Operating Procedures (SOPs)**: Developing detailed SOPs for various manufacturing processes to ensure consistency, minimize errors, and optimize efficiency. These procedures can cover aspects such as assembly, painting, welding, and quality checks.
4. **Training and Development Programs**: Implementing training programs to enhance the skills and knowledge of employees. This can include technical training on manufacturing processes, safety training, quality control training, and continuous professional development initiatives.
5. **Environmental Sustainability Guidelines**: Establishing guidelines to promote environmentally sustainable practices throughout the production process. This can include measures to reduce energy consumption, minimize waste, recycle materials, and comply with environmental regulations.
6. **Ethical and Compliance Standards**: Defining ethical guidelines and ensuring compliance with legal and industry standards. This can encompass areas such as labor rights, fair employment practices, anti-corruption measures, and adherence to applicable regulations and laws.
7. **Continuous Improvement Initiatives**: Encouraging a culture of continuous improvement by establishing mechanisms for feedback, employee suggestions, and process optimization. This can involve regular evaluations, data analysis, and implementing lean manufacturing principles.
By implementing these standards and guidelines, a vehicle manufacturing company can enhance product quality, ensure employee safety, optimize efficiency, meet regulatory requirements, and promote sustainability. These measures contribute to building a strong reputation, customer satisfaction, and long-term success in the competitive automotive industry.
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In 2-3 paragraphs (see getting started module for details, including the specific sentence length requirements), respond to the following. Your initial post should be substantive. Also reply to at least 2 classmate's posts. Offer a substantive reply of at least 1 paragraph. Aim to complete your initial post by Thursday of each week to allow other students to respond before Friday. Make an argument for or against free trade. Should a nation take a more globalization approach and reduce a lot a barriers to trade? Or should a government take a protectionism approach and impose a lot of barriers to trade? Why?
While free trade has its advantages, governments may opt for a protectionist approach in specific circumstances. Finding a balance between open markets and protecting key industries and societal interests is crucial.
It is essential to carefully consider the potential negative consequences on domestic industries, employment, income inequality, national security, and labor and environmental standards. Governments should carefully analyze the costs and benefits and implement appropriate policies to ensure a fair and sustainable trade environment.
Argument for Free Trade:
Free trade refers to the unrestricted flow of goods and services between nations without barriers such as tariffs, quotas, or restrictions. I believe that nations should adopt a more globalization approach and reduce barriers to trade. There are several compelling arguments in favor of free trade.
Firstly, free trade promotes economic efficiency and specialization. When countries engage in trade, they can focus on producing goods and services in which they have a comparative advantage, meaning they can produce at a lower opportunity cost. This leads to increased productivity and efficiency, benefiting both domestic industries and consumers. By opening up to global markets, countries can access a wider range of products and resources, enhancing competition, innovation, and economic growth.
Secondly, free trade fosters international cooperation and peace. When nations are economically interdependent through trade, there is a mutual interest in maintaining peaceful relations. The exchange of goods and services creates incentives for countries to engage in dialogue and resolve conflicts through peaceful means rather than resorting to hostility or protectionism. The historical examples of increased trade leading to reduced tensions between nations, such as the European Union, highlight the positive role of free trade in promoting cooperation.
Lastly, free trade benefits consumers by providing them with a wider variety of goods at competitive prices. Removing trade barriers allows consumers to access products from around the world, enabling greater choice and affordability. It also encourages domestic industries to become more competitive and innovative to meet global standards, ultimately benefiting consumers with higher quality and lower-priced goods.
Argument against Free Trade:
While free trade has its benefits, there are also valid arguments against it, and governments may consider adopting a protectionist approach to trade in certain circumstances. One key concern is the potential impact on domestic industries and employment. Opening up to international competition can lead to the displacement of workers in industries that struggle to compete with cheaper imports. This can result in job losses and economic hardships for affected communities.
Furthermore, some argue that free trade can exacerbate income inequality. Industries with higher skilled workers and capital tend to benefit more from global trade, while lower-skilled workers may face challenges in finding new employment opportunities. This can widen the gap between the rich and the poor within a country.
Another argument against free trade is related to national security and strategic interests. Dependence on imports for critical goods, such as defense equipment or essential resources, can leave a country vulnerable in times of geopolitical tension or disruptions in the global supply chain. By imposing barriers to trade, governments can protect their domestic industries in key sectors to ensure self-sufficiency and safeguard national security.
Additionally, some argue that free trade can lead to a race to the bottom in terms of labor and environmental standards. When countries compete to attract foreign investment and lower costs, there may be a temptation to disregard workers' rights or environmental regulations to maintain competitiveness. This can lead to exploitation of workers and environmental degradation.
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Mathias is in charge of taking formal minutes during an Institute of Internal Auditors chapter meeting. Which of the following suggestions will help Mathias record accurate and complete meeting minutes?
a. Avoid using the exact wording of motions because that would be too time consuming. b. Omit his name and signature as the person recording the minutes because he is acting on behalf of the organization. c. Record only new business because old business will appear in previous minutes. d. Record voting results and actions taken.
The suggestion that will help Mathias record accurate and complete meeting minutes is to "Record only new business because old business will appear in previous minutes." For that reason, The correct option is C.
The fact that (option C) to record only new business during a meeting is a crucial responsibility because these minutes serve as legal documents.
It is essential to have accurate and complete meeting minutes that summarize the information discussed in the meeting and its outcomes.
This is why it is important for Mathias to keep in mind the following suggestions to record accurate and complete meeting minutes: Record both new and old business to avoid errors and to adapt to demand.Formal minutes should record both new and old business.
Doing this is important for several reasons. First, recording only new business will not give a complete picture of the meeting, and it will be difficult for people to understand what happened.
Second, by recording old business, members will be able to see what has been discussed before, which will help them better understand new discussions.
Finally, recording both new and old business will help avoid errors and ensure that the minutes are accurate.Record only what is needed for the business of the meetingFormal minutes should only record what is needed for the business of the meeting.
This includes discussions, decisions, and actions taken. The minutes should not include irrelevant information such as personal opinions, emotions, or off-topic discussions.
By doing this, the minutes will be concise, accurate, and easy to read. Record behaviors and judgments formal minutes should record behaviors and judgments made during the meeting.
This includes how people responded to discussions, whether they were in favor or against decisions, and how the group made judgments.
By recording these behaviors and judgments, members can better understand the dynamics of the meeting and how decisions were made. Use clear, economic, and social trade-offDesign clear, economic, and social trade-offs.
This means that the minutes should be easy to read, include data to support decisions, and address social concerns. By doing this, members will have a better understanding of the meeting and can use the minutes as a guide when making decisions.
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compute the discounted payback statistic for project c if the appropriate cost of capital is 7 percent and the maximum allowable payback period is 3 years 0, $-14,00 1,$640 2, $600 3, $640 4, $380 5, $180
To compute the discounted payback statistic for Project C, we need to calculate the discounted cash flows for each period and determine the payback period.
The discounted cash flows for each period can be calculated by dividing the cash flow for that period by (1 + Cost of Capital)^n, where n is the period number.
0: -$14,000
1: $640 / (1 + 0.07)^1 = $598.13
2: $600 / (1 + 0.07)^2 = $529.28
3: $640 / (1 + 0.07)^3 = $538.82
4: $380 / (1 + 0.07)^4 = $311.41
5: $180 / (1 + 0.07)^5 = $138.01
To calculate the discounted payback statistic, we add up the discounted cash flows starting from year 0 until the cumulative sum exceeds the initial investment. In this case, the cumulative discounted cash flows at the end of year 3 are:
Cumulative discounted cash flows:
Year 0: -$14,000
Year 1: -$14,000 + $598.13 = -$13,401.87
Year 2: -$13,401.87 + $529.28 = -$12,872.59
Year 3: -$12,872.59 + $538.82 = -$12,333.77
Since the cumulative discounted cash flows are still negative at the end of year 3, we continue to year 4:
Year 4: -$12,333.77 + $311.41 = -$12,022.36
Now, at the end of year 4, the cumulative discounted cash flows become positive, indicating that the payback period is between 3 and 4 years.
To calculate the exact discounted payback period, we use interpolation:
Payback period = 3 years + (Cumulative discounted cash flow at the end of year 3 / Cash flow in year 4)
Payback period = 3 + (-$12,333.77 / $311.41) ≈ 3.04 years
Therefore, the discounted payback period for Project C is approximately 3.04 years.
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1.. Explain in your own words, your understanding of the power
of Fairness with the use of an example to enhance your
explanation.(5 marks)
Fairness has the power to promote equality, trust, diversity, and social cohesion. By treating individuals and groups equitably, fairness creates a positive environment that benefits individuals, organizations, and society as a whole.
Fairness refers to the concept of treating individuals and groups equitably, justly, and without bias. In various aspects of our lives, fairness plays a crucial role, including law, economics, education, and social interactions. The power of fairness lies in its ability to promote equality, foster trust, and create a harmonious society.
An example that illustrates the power of fairness is in the context of employment. Imagine a company that practices fair hiring processes. They ensure that all candidates are evaluated based on their qualifications, skills, and experience, regardless of their gender, race, or background.
This commitment to fairness creates a level playing field, allowing the most deserving individuals to secure employment opportunities.
When fairness is upheld, it leads to several positive outcomes. First, it cultivates a sense of trust among employees, as they perceive that their contributions and achievements are recognized and rewarded fairly. This, in turn, boosts employee morale and motivation, leading to increased productivity and job satisfaction.
Furthermore, fairness enhances diversity and inclusion within organizations. When individuals from diverse backgrounds are treated fairly, it encourages them to contribute their unique perspectives and talents.
This diversity of thought and experiences can drive innovation, problem-solving, and creativity within the company, leading to a competitive advantage.
Fairness also extends beyond the workplace. When fairness is embraced in society, it fosters social cohesion and reduces discrimination and inequality. People feel valued, respected, and have a greater sense of belonging, resulting in a more harmonious and cohesive community.
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T & T Corporation issued a dividend of $2.08 per share on its common stock. The company paid dividends of $1.71, $1.82, $1.93, and $1.99 per share in the last four years. If the stock currently sells for $45, what is your best estimate of the company’s cost of equity capital using the arithmetic average growth rate in dividends?
The best estimate of the company's cost of equity capital using the arithmetic average growth rate in dividends is approximately -0.3% (rounded to two decimal places).
To estimate the company's cost of equity capital using the arithmetic average growth rate in dividends, we need to calculate the growth rate first. The growth rate can be calculated using the formula:
Growth rate = (Dividend in Year N - Dividend in Year N-1) / Dividend in Year N-1
Using the given dividends, we can calculate the growth rates for the past four years:
Year 1: (1.71 - 1.82) / 1.82 = -0.0604 or -6.04%
Year 2: (1.82 - 1.93) / 1.93 = -0.0569 or -5.69%
Year 3: (1.93 - 1.99) / 1.99 = -0.0302 or -3.02%
To estimate the growth rate for the current year, we can take the average of the growth rates from the past three years:
Average growth rate = (-6.04% - 5.69% - 3.02%) / 3 = -4.92%
Now, to estimate the cost of equity capital, we can use the Gordon Growth Model:
Cost of Equity = (Dividend per Share / Stock Price) + Growth Rate
Using the current dividend of $2.08 and the stock price of $45, we can calculate:
Cost of Equity = (2.08 / 45) + (-0.0492)
≈ 0.0462 + (-0.0492)
≈ -0.003
The best estimate of the company's cost of equity capital using the arithmetic average growth rate in dividends is approximately -0.3% (rounded to two decimal places). Note that a negative cost of equity is unusual and could indicate issues with the calculation or data provided. It's important to consider other factors and validate the result before making any investment decisions based on this estimate.
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Supply chain today is affected by many information-based technologies. What information-based technologies that facilitate the structuring of decision logic so that it can be automated an applied without consuming the time of a subject matter expert? (2 mark)
Information-based technologies have significantly impacted supply chain management, enabling the automation and application of decision logic without relying on subject matter experts.
One such technology that facilitates the automation of decision logic in supply chain management is Artificial Intelligence (AI). AI systems can analyze vast amounts of data, identify patterns, and make data-driven decisions without human intervention. Machine Learning algorithms within AI systems can continuously learn and improve decision-making over time.
Another technology is Robotic Process Automation (RPA), which automates repetitive tasks and processes by mimicking human interactions with digital systems. RPA eliminates manual intervention, streamlines operations, and reduces errors. Both AI and RPA enable the automation of decision logic in supply chain management, freeing up time for subject matter experts to focus on higher-value strategic activities.
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When a researcher encounters data quality issues, there are several options. Which of the following is NOT one of the options in addressing data quality issues?
A) Throw out the respondent's entire data row.
B) Leave the respondent's entire data row in the dataset.
C) Leave the respondent's data row but correct the answers.
D) Set the bad data items to blanks or missing data.
When a researcher encounters data quality issues, there are several options.
Option B (Leave the respondent's entire data row in the dataset) is not one of the options in addressing data quality issues.
What is Data Quality?
The degree to which a dataset meets the needs of data consumers and its accuracy, completeness, consistency, and timeliness are all examples of data quality. As a result, data quality is critical in the study of data science. It aids in the reduction of costs and the enhancement of data-driven decision-making.
The following are some of the methods used to address data quality problems:
Leave the respondent's data row but correct the answers.
Instead of deleting the entire row of data, the researcher can correct the wrong responses in the same row.
In the event of flawed data, the poor data items may be replaced with empty spaces or missing data.
The option that is not used to address data quality concerns is to leave the entire row of data in the dataset.
Data with low-quality information should be discarded to ensure data accuracy.
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What makes up the U.S. national debt? Which of the following is most accurate? O The national debt is equal to total borrowing by the nation's households. O The national debt is equal to the total amount of U.S. Treasury bonds outstanding. O The national debt is equal to U.S. net exports. O The national debt is equal to total borrowing by the nation's businesses
The most accurate statement is: "The national debt is equal to the total amount of U.S. Treasury bonds outstanding."
The U.S. national debt is the total outstanding debt owed by the U.S. federal government. It includes both debt held by the public (individuals, institutions, and foreign governments) and debt held by government accounts such as the Social Security Trust Fund. The primary method through which the government borrows money is by issuing U.S. Treasury bonds, notes, and bills. These are debt securities sold to investors, both domestic and foreign. The government pays interest on these bonds, and the principal is repaid when the bonds mature.
The U.S. national debt is primarily comprised of the outstanding U.S. Treasury bonds. While households, businesses, and net exports can contribute to the overall financial situation of the country, they do not directly determine the national debt. It is crucial to understand the composition of the national debt to assess its implications and potential economic consequences accurately.
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sociology examines the rules of society and the ways these rules may be broken and change. sociologists observe society:
Sociology examines the rules of society and the ways these rules may be broken and change. Sociologists observe society to identify patterns in social behavior and to understand how people interact with each other.
Sociology is the study of human society, social interactions, and social behavior. Sociologists seek to understand how society works by studying social institutions and the ways in which they shape individual behavior and the larger social order. They also look at how people interact with each other and how social norms and values influence individual behavior.Sociologists observe society to identify patterns in social behavior and to understand how people interact with each other. They also study the ways in which social structures and institutions shape individual behavior and the larger social order.
In order to understand society, sociologists use a range of research methods, including surveys, interviews, and observations. These methods allow them to gather data about social behavior and to analyze it in a systematic way. By doing so, they can identify patterns in social behavior and draw conclusions about how society works.Sociologists also study the ways in which social norms and values change over time. They look at how new ideas and technologies emerge and how they affect social behavior and social institutions. Through their research, sociologists hope to provide insights into how society works and how it can be improved.
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In a product’s life cycle, supply chain efficiency becomes most
important during the
a.
Maturity phase
b.
Start up phase
c.
Decline phase
d.
Growth phase
Supply chain efficiency becomes most important during the d. The growth phase of a product's life cycle.
The product life cycle consists of different stages: introduction/start-up, growth, maturity, and decline. Each stage has its own unique characteristics and requirements. Supply chain efficiency refers to the effectiveness and optimization of the processes involved in the movement of goods and services from suppliers to customers.
During the growth phase of a product's life cycle, demand for the product is increasing rapidly. This surge in demand necessitates a well-functioning and efficient supply chain to ensure that the product can be produced and delivered in a timely manner to meet customer needs. Supply chain efficiency becomes crucial during this phase as companies must handle increased production volumes, manage inventory effectively, and ensure the smooth flow of goods from suppliers to manufacturing facilities and distribution centers.
Options a. (Maturity phase) and c. (Decline phase) are incorrect because during these phases, the product has reached a more stable state, and the focus may shift toward cost reduction, managing market saturation, or product discontinuation. Option b. (Start-up phase) is also incorrect as supply chain efficiency is still important, but the primary focus during this phase is typically on product development, market-entry, and establishing supplier relationships.
Therefore, the correct answer is d. The growth phase, as it is during this phase that supply chain efficiency becomes most important in meeting increased customer demand and ensuring the timely delivery of products.
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Supply chain efficiency becomes most important during the d. The growth phase of a product's life cycle.
The product life cycle consists of different stages: introduction/start-up, growth, maturity, and decline. Each stage has its own unique characteristics and requirements. Supply chain efficiency refers to the effectiveness and optimization of the processes involved in the movement of goods and services from suppliers to customers.
During the growth phase of a product's life cycle, demand for the product is increasing rapidly. This surge in demand necessitates a well-functioning and efficient supply chain to ensure that the product can be produced and delivered in a timely manner to meet customer needs. Supply chain efficiency becomes crucial during this phase as companies must handle increased production volumes, manage inventory effectively, and ensure the smooth flow of goods from suppliers to manufacturing facilities and distribution centers.
Options a. (Maturity phase) and c. (Decline phase) are incorrect because during these phases, the product has reached a more stable state, and the focus may shift toward cost reduction, managing market saturation, or product discontinuation. Option b. (Start-up phase) is also incorrect as supply chain efficiency is still important, but the primary focus during this phase is typically on product development, market-entry, and establishing supplier relationships.
Therefore, the correct answer is d. The growth phase, as it is during this phase that supply chain efficiency becomes most important in meeting increased customer demand and ensuring the timely delivery of products.
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Describe the payoff from a portfolio consisting of a floating lookback call and a floating lookback put with the same maturity.
A portfolio consisting of a floating lookback call and a floating lookback put with the same maturity can result in a payoff that is either constant or increasing.
In general, the payoff from a floating lookback call is increasing while the payoff from a floating lookback put is decreasing. As a result, the two options can offset each other and result in a portfolio payoff that is either constant or increasing. In this particular portfolio, if the floating lookback call is exercised when the underlying asset price is at its highest point over the lookback period, the payoff will be the difference between the current underlying asset price and the strike price.
Similarly, if the floating lookback put is exercised when the underlying asset price is at its lowest point over the lookback period, the payoff will be the difference between the strike price and the current underlying asset price. If both options are exercised, the portfolio payoff will be the sum of the call and put payoffs. Since the payoff from the floating lookback call is increasing and the payoff from the floating lookback put is decreasing, the two payoffs can offset each other and result in a portfolio payoff that is either constant or increasing.
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Question 9 1 pts The ACME Company needed answers quickly on how consumers felt about electric cars. Their marketing researchers used their personal judgment to select respondents to their survey. What format of participant sampling did the ACME Company use? O stratified sampling. O nonprobability sampling. O systematic sampling O simple random sampling O probability sampling Question 4 Online sources of Marketing Association. secondary data primary data O ethnographic data reality mining data Ocausal research data 1 pts for marketers include the U.S. Census Bureau, the Bureau of Labor Statistics and the American
The ACME Company used nonprobability sampling as the format of participant sampling. The correct answer is nonprobability sampling.
The marketer has not obtained directly. It is based on the marketing research that has already been conducted by someone else, such as government organizations like the U.S. Census Bureau.
Nonprobability sampling is a statistical method used when there is no way to get data that represents the whole population. This method is not reliable, but it is much quicker and easier than probability sampling. The online sources of marketing data for marketers include primary data and secondary data.
Primary data is information that the marketer has obtained directly from their target audience. It is based on original research conducted to address specific questions. Therefore, The correct answer is nonprobability sampling.
Secondary data, on the other hand, is information that the marketer has not obtained directly. It is based on the marketing research that has already been conducted by someone else, such as government organizations like the U.S. Census Bureau, the Bureau of Labor Statistics, and the American Marketing Association. Such organizations collect vast amounts of data, making it possible for marketers to obtain information relevant to their industry and target audience.
The sources of ethnographic data include observation, interviews, and focus groups, while reality mining data involves the analysis of data collected from mobile phones and social networks. Finally, causal research data is information used to determine cause-and-effect relationships between variables.
Therefore, The correct answer is nonprobability sampling.
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Consider any company of your choice and make a
critical evaluation of the profit and loss (Income) statement and
Balance sheet for past 5 years.
The company's balance sheet suggests that the company's total assets and liabilities have grown over the past year
Let us consider Coca-Cola Company for the purpose of critical evaluation of the profit and loss statement and balance sheet for the past five years. Coca-Cola is a multinational corporation engaged in the production, marketing, and distribution of beverages, concentrates, and syrups worldwide. The company has a vast range of brands under its umbrella, including Coca-Cola, Diet Coke, Sprite, Fanta, Minute Maid, and many others.The company's financial statements, including the income statement and balance sheet, have been examined to understand its financial health and future growth prospects. Here is a detailed evaluation of the company's financial statements. The company's revenue, net income, and diluted earnings per share increased steadily over the past five years. Coca-Cola's revenue for 2020 was $33.01 billion, representing a 9.96% decline from 2019. The company's net income decreased by 13.69% to $7.3 billion in 2020 from $8.44 billion in 2019. The diluted earnings per share decreased by 13.52% to $1.71 in 2020 from $1.98 in 2019. The company's net income decreased by 13.69% to $7.3 billion in 2020 from $8.44 billion in 2019. The balance sheet of Coca-Cola Company showed that the company's total assets increased by 4.02% from $86.63 billion in 2019 to $90.06 billion in 2020. The company's total liabilities also increased by 6.67% from $50.17 billion in 2019 to $53.51 billion in 2020. The company's stockholders' equity decreased by 0.59% from $36.46 billion in 2019 to $36.25 billion in 2020. In conclusion, Coca-Cola's financial statements reveal a decline in revenue and net income over the past five years. However, the company's balance sheet suggests that the company's total assets and liabilities have grown over the past year. Despite the challenges presented by the Covid-19 pandemic, Coca-Cola remains a leader in the beverage industry and is well-positioned to grow in the future. The company's strong financial position allows it to invest in new product development, expand its market share, and create value for its shareholders.
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Mertyle Inc. announced that they will pay a dividend of $4 per share at the end of this year and will increase the dividend by 5% every year to the indefinite future. Suppose the required rate of return is 12%. (1) What is the current stock price? (5 points) (2) What is the expected stock price six years from today? (3) If you buy the stock today and sell it a year later, a. Calculate your selling price. b. Calculate your dividend yield. c. Calculate your capital gains yield.
d. Calculate your total return.
The expected stock price six years from today is $76.00 per share.
To determine the current stock price, we can use the dividend discount model (DDM). The DDM formula calculates the present value of all future dividends. The formula for the DDM is as follows:
Current Stock Price = Dividend / (Required Rate of Return - Dividend Growth Rate)
Using the given information, the dividend for the end of this year is $4 per share, and the dividend growth rate is 5%. The required rate of return is 12%. Let's calculate the current stock price:
Current Stock Price = $4 / (0.12 - 0.05) = $4 / 0.07 = $57.14
Therefore, the current stock price is $57.14 per share.
To calculate the expected stock price six years from today, we can use the formula for the future stock price based on dividend growth. The formula is as follows:
Expected Stock Price = Dividend * (1 + Dividend Growth Rate)^n / (Required Rate of Return - Dividend Growth Rate)
Using the given information, the dividend is $4 per share, the dividend growth rate is 5%, and the required rate of return is 12%. Let's calculate the expected stock price:
Expected Stock Price = $4 * (1 + 0.05)^6 / (0.12 - 0.05) = $4 * 1.3401 / 0.07 = $76.00
Therefore, the expected stock price six years from today is $76.00 per share.
If you buy the stock today and sell it a year later:
a. The selling price can be calculated using the expected stock price formula:
Selling Price = Dividend * (1 + Dividend Growth Rate) / (Required Rate of Return - Dividend Growth Rate)
Selling Price = $4 * (1 + 0.05) / (0.12 - 0.05) = $4.20 / 0.07 = $60.00
b. The dividend yield can be calculated as the dividend per share divided by the purchase price:
Dividend Yield = Dividend / Purchase Price
Dividend Yield = $4 / $57.14 = 0.0698 or 6.98%
c. The capital gains yield can be calculated as the percentage change in stock price:
Capital Gains Yield = (Selling Price - Purchase Price) / Purchase Price
Capital Gains Yield = ($60.00 - $57.14) / $57.14 = 0.0498 or 4.98%
d. The total return is the sum of the dividend yield and capital gains yield:
Total Return = Dividend Yield + Capital Gains Yield
Total Return = 6.98% + 4.98% = 11.96%. Therefore:
a. The selling price is $60.00.
b. The dividend yield is 6.98%.
c. The capital gains yield is 4.98%.
d. The total return is 11.96%.
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Discuss four (4) challenges currently faced by the Ghanaian
economy and indicate their underlining causes.
Despite economic growth, Ghana's unemployment rate is high, particularly among young people. Ghana has one of the highest inflation rates in the world, which affects the prices of goods and services and reduces the purchasing power of consumers. This is due to poor monetary and fiscal policies, and external shocks such as global oil prices.
Limited access to credit: The lack of credit access for small and medium-sized enterprises (SMEs) is a significant challenge in Ghana. Banks often prefer to lend to large corporations, which leaves SMEs with limited access to credit. This results in many businesses failing to expand, create jobs, and contribute to economic growth.
Energy crisis: Ghana's energy sector faces many challenges such as poor infrastructure, low tariffs, inadequate maintenance of power plants, and lack of investment in renewable energy sources. These challenges contribute to frequent power outages and an increase in the cost of electricity, which affects both households and businesses negatively.
In conclusion, Ghana's economy faces several challenges that hinder its growth and development. Addressing these challenges requires strategic policy decisions, public-private partnerships, and investments in key sectors to enhance economic growth.
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Bunty makes greeting greeting cards. She has reduced the price
of her cards by 15% and demand has increased from
75 to 100 cards per week.
Calculate the Price Elasticity of Demand for her cards.
To calculate the Price Elasticity of Demand (PED) for Bunty's greeting cards, we need to use the formula:
PED = (% Change in Quantity Demanded) / (% Change in Price)
The percentage change in quantity demanded is calculated as follows:
Percentage Change in Quantity Demanded = ((New Quantity Demanded - Old Quantity Demanded) / Old Quantity Demanded) * 100
In this case, the old quantity demanded is 75 cards per week, and the new quantity demanded is 100 cards per week. Plugging these values into the formula, we get:
Percentage Change in Quantity Demanded = ((100 - 75) / 75) * 100 = (25 / 75) * 100 = 33.33%
The percentage change in price is given as a reduction of 15%.
Plugging these values into the formula, we get:
PED = (33.33% / -15%) = -2.22
Since the PED value is negative, it indicates that Bunty's greeting cards are price elastic. A value of -2.22 indicates that for every 1% decrease in price, the quantity demanded increases by approximately 2.22%. This suggests that customers are quite responsive to price changes, and a decrease in price leads to a proportionally larger increase in demand.
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Which of the following characteristics increases the likelihood of an entrepreneur's success?
a. Avoiding risky situations
b. Avoiding uncertainty
c. Unwillingness to sacrifice
d. Opportunity obsession
e. intolerance of ambiguity
The characteristic that is most likely to increase an entrepreneur's success is Opportunity obsession. The correct option is d.
This trait refers to an entrepreneur's relentless pursuit and passion for identifying and capitalizing on opportunities. Entrepreneurs who possess this quality tend to have a keen eye for recognizing gaps in the market, innovating new solutions, and taking calculated risks to seize those opportunities.
Their unwavering commitment and drive help them navigate challenges and persevere in the face of setbacks. While avoiding risky situations and uncertainty may seem like a safe approach, successful entrepreneurs understand that taking calculated risks is often necessary for growth and innovation.
Furthermore, tolerance of ambiguity is crucial in the entrepreneurial journey as it allows for flexibility and adaptability in an ever-changing business landscape. The willingness to sacrifice may be important, but it is the combination of passion, persistence, and the ability to spot and capitalize on opportunities that are more likely to lead to entrepreneurial success.The correct option is d.
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