Why would banks prefer to lend to larger corporations comparedto SMEs?

Answers

Answer 1

Banks may prefer to lend to larger corporations compared to SMEs for several reasons:

Lower Risk: Larger corporations are generally more established and have a proven track record of generating revenue and profits, which makes them less risky for banks to lend to. SMEs, on the other hand, may be perceived as riskier due to their smaller size and less established financial history.Higher Creditworthiness: Larger corporations tend to have stronger credit profiles, which makes them more attractive to banks. They may have higher credit ratings, better cash flow, and more assets that can be used as collateral for loans.Larger Loan Size: Larger corporations may require larger loans, which can be more profitable for banks. SMEs may only require smaller loans, which may not be as lucrative for banks in terms of interest income and fees.Relationships: Banks may have established relationships with larger corporations, which can make it easier to underwrite loans and provide additional financial services. SMEs, on the other hand, may not have as established relationships with banks, making it more difficult for banks to assess creditworthiness and provide financial services.    

                       

Overall, banks may prefer to lend to larger corporations due to lower risk, higher creditworthiness, larger loan size, and established relationships. However, many banks also recognize the importance of supporting SMEs and may have specialized lending programs and services tailored to the unique needs of small businesses.


Related Questions

in most pooled ownership forms, a single partner is empowered to act on behalf of the investors in terms of making property investment decisions. based on your understanding of the different types of pooled ownership, which of the following structures would we expect this issue to be the least prevalent? a. c corporation b. general partnership c. limited partnership d. subchapter s corporation

Answers

The least prevalent structure for a single partner to be empowered to make property investment decisions on behalf of investors in pooled ownership forms is Limited Partnership. Option C is correct.

In a limited partnership, there are two types of partners: general partners and limited partners. The general partner is typically the one who is empowered to make property investment decisions on behalf of the investors, while the limited partners have limited liability and do not have a say in the management of the partnership.

Therefore, the issue of a single partner being empowered to act on behalf of the investors in terms of making property investment decisions is not as prevalent in a limited partnership compared to a c corporation, general partnership, or subchapter s corporation.

Therefore, option C is correct.

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In most pooled ownership forms, a single partner is empowered to act on behalf of the investors in making property investment decisions.

However, the prevalence of this issue varies depending on the type of pooled ownership structure. Among the options presented, we would expect the issue of a single partner making investment decisions to be the least prevalent in a limited partnership (c). In a limited partnership, there are two types of partners: general partners who manage the business and have unlimited liability, and limited partners who are passive investors with limited liability.

The limited partners do not have the authority to make investment decisions, which reduces the risk of a single partner making decisions on behalf of all investors.

On the other hand, in a general partnership (b), all partners have equal authority to make decisions, which increases the risk of a single partner making investment decisions without the input of the other partners.

In a C corporation (a) or Subchapter S corporation (d), decisions are made by a board of directors elected by shareholders, which reduces the risk of a single partner making investment decisions. However, shareholders may still have varying levels of influence depending on the number of shares they own.

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10. The most basic responsibility of all businesses is its economic responsibility.

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The statement "The most basic responsibility of all businesses is its economic responsibility" reflects a traditional view of business that has been challenged in recent years by the concept of corporate social responsibility (CSR).

The economic responsibility of a business is to make a profit and create value for its shareholders. This is indeed an important responsibility, as a company must be financially viable to survive and grow.

However, this narrow view of business ignores the broader impact that companies have on society and the environment.

Many businesses now recognize that they have a responsibility to operate in a way that benefits not only their shareholders but also their employees, customers, communities, and the environment.

This broader view of business is reflected in the concept of CSR, which emphasizes that companies have social and environmental responsibilities in addition to their economic responsibilities.

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mezzanine real estate financings always involve the lender taking a first security collateral position in the property to which they are lending.

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Yes, it is common for mezzanine real estate financings to involve the lender taking a first security collateral position in the property to which they are lending.

This is because mezzanine financing is a type of debt that is secured by a second mortgage on the property, behind the first mortgage.

The lender in a mezzanine financing transaction will typically require the borrower to pledge their ownership interest in the property as collateral, which gives the lender the ability to foreclose on the property in the event of a default.

By taking a first security collateral position, the lender has priority over other lenders or creditors in the event of a foreclosure.

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an insurance agent may provide different service experiences to different customers on the same day based on the individual needs of the customers, the customers' personalities, and the time of day or the agent's state of mind. this is an example of the characteristic of services known as .

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The characteristic of services being referred to in that example is known as heterogeneity.

Heterogeneity refers to the fact that services can vary in terms of the quality and consistency of the service experience due to factors such as individual customer needs and preferences, the skills and abilities of the service provider, and the level of personal interaction involved in the service delivery process.

Heterogeneity is also knows as variability.

In the case of the insurance agent, the level of service provided may vary based on the individual needs and personalities of the customers, as well as other situational factors that may impact the service experience.

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the mrp input listing the intermediate assemblies, subassemblies, component parts, raw materials, and the quantities of each needed to produce one final product is thea.bill of materials fileb.assembly time chartc.authorized master production scheduled.inventory records filee.part status file

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The MRP input listing the intermediate assemblies, subassemblies, component parts, raw materials, and the quantities of each needed to produce one final product is the Bill of Materials (BOM) file (option a).

The BOM file is a comprehensive list of all the materials and components required to manufacture a final product. It includes information on the quantity of each item needed, as well as details on the relationship between the different components and how they fit together. The BOM is a critical component of the MRP system as it provides the necessary information for the MRP software to calculate the required quantities of each item and to generate a production plan.

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Problem 2 A university wants to apply the concept of the WACC to set its interest rate for analyzing capital projects. It has an endowment of $68 million, which is earning 6.3% interest. It is paying 4.5% annual interest on $29 million in bonds (through annual payments). It believes that $94 million in general funds from the taxpayers should be assigned an interest rate of 13%. Note that only the interest on the endowment is available to fund capital projects. What is the univers

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The weighted average cost of capital for the university is 9.4%. WACC is applied in financial modelling (it acts as the discount rate for figuring out a company's net present value).

Given,

Particulars  Fund (a)   Weight (b) =  A /191  Rate (c)  Weight rate (d) = b(c)

Endowment    68         0.356021                   6.3             2.242932

Bonds             29          0.151832                   4.5            0.683246

General Fund 94          0.492147                    13             6.397906

Total               191                                                                 9.4

It's also the hurdle rate that businesses use to evaluate potential new initiatives or acquisition possibilities. A smart use of money is often one where the company's allocation may be expected to provide a return greater than its own cost of capital.

The weighted average cost of capital (WACC) is an indicator of how much it typically costs to bring in investors, whether they be shareholders or bondholders. For internal initiatives or possible acquisitions, the formula gives a clear hurdle rate by weighting the cost of capital based on how much debt and equity the firm utilizes.

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Many social media websites have emerged as top destinations on the Internet, however, the category has remained volatile, with many one-time leaders losing popularity over time.

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The social media category's volatility on the Internet is a result of multiple factors such as user preferences, technology advancements, competition, and changes in platform policies. This leads to the fluctuating popularity of different social media platforms over time.

1. The constant evolution of user preferences and technology  Internet has contributed to the volatility in the social media landscape.
2. New platforms often emerge with innovative features that draw users away from older platforms.
3. Internet users may experience fatigue or boredom with existing social media platforms, leading to a decline in popularity over time.
4. Changes in algorithms or privacy policies can affect user trust and engagement on social media platforms.
5. Competition between platforms can also contribute to the rise and fall of various social media websites.

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which document used in export financing serves the following three (3) purposes? receipt for services by the firm providing carriage (e.g. steamship line, airline) establishes a document of title (document of title in this instance is defined as the temporary ownership of the goods needed to allow entry into the country that the goods will be sold in) establishes contractual services by the firm and seller of the goods for carriage

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The document used in export financing that serves the three purposes mentioned above is called a Bill of Lading.

A Bill of Lading is a legal document that serves as evidence of a contract between the shipper (seller) and the carrier (e.g. steamship line, airline), acknowledging the receipt of goods and the agreement to transport them to a specified destination. It also serves as a receipt for the services provided by the carrier and establishes the document of title, which is necessary for the transfer of ownership of the goods.

The Bill of Lading is a critical document in international trade and serves as a key component in export financing, as it helps to establish the terms of the agreement between the parties involved and provides the necessary information to process payment and transfer ownership of the goods.

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assume manfred's shoe shine parlor hires labor, its only variable input, under purely competitive conditions. shoe shines are also sold competitively. units of labor total product marginal product total revenue 0 0 1 14 14 $ 112 2 10 3 30 240 4 35 5 39 312 6 336 7 44 2 352 how many units of output are produced when 6 workers are employed?

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When six workers are employed, Manfred's Shoe Shine Parlor produces 54 units of output.

To determine the number of units of output produced when six workers are employed, we need to look at the given data and find the corresponding value for the total product (TP) at that level of labor.

From the provided data, the relationship between the units of labor and the total product is as follows:

Units of Labor Total Product

0                                 0

1                                      14

2                                30

3                                39

4                                44

5                                49

6                                54

Since we're interested in the output when six workers are employed, we find that the total product at that level is 54 units. Therefore, when six workers are employed, Manfred's Shoe Shine Parlor produces 54 units of output.

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In each of the following cases, identify and state the appropriate audit opinion. Give Reasons. 1. The financial statements are prepared as per the national standards and the financial statements are true and fair except for transactions relating to employee benefits. Some of these are revenue expenses and others are capital expenditure. Improper classification of the expenses incurred on employee benefits may lead to misstatement of information but do not affect the overall quality of financial statements. 2. The financial statements are prepared as per International Standards but the verification of the inventory was not possible as the auditor could not access the inventories stored at different locations. Some of the inventories were in transportation and no sufficient records are maintained. The auditor was not able to collect sufficient appropriate audit evidence to express his opinion. 3. Financial statements are prepared according to accounting principles, but the accounting records are manipulated to overstate the assets and understate the expenses. The auditor could obtain sufficient appropriate audit evidences to express his opinion. (6 Marks)

Answers

As the auditor has obtained sufficient appropriate audit evidence to express an opinion, the auditor should report that the financial statements are not presented fairly in accordance with the applicable financial reporting framework.

1. The appropriate audit opinion for this case would be an Unqualified Opinion with an Emphasis of Matter paragraph. The financial statements are true and fair except for the transactions relating to employee benefits, which are not properly classified. However, this does not affect the overall quality of the financial statements, and therefore, the auditor can express an unqualified opinion. The Emphasis of Matter paragraph would highlight the issue with the employee benefits to draw attention to it for the users of the financial statements.

2. The appropriate audit opinion for this case would be a Disclaimer of Opinion. The auditor was not able to access the inventories stored at different locations, and some of the inventories were in transportation with insufficient records maintained. As a result, the auditor was not able to collect sufficient appropriate audit evidence to express an opinion on the inventory balances. A Disclaimer of Opinion is appropriate when the auditor is unable to obtain sufficient appropriate audit evidence.

3. The appropriate audit opinion for this case would be a Qualified Opinion. The financial statements are prepared according to accounting principles, but the accounting records are manipulated to overstate the assets and understate the expenses. The auditor was able to obtain sufficient appropriate audit evidence to express an opinion but with a qualification to highlight the manipulation of the accounting records. The qualification would draw attention to the issue for the users of the financial statements.

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1. which of the following is not an example of a membership organization? the bill and melinda gates foundation public relations society of america miami chamber of commerce american beverage association

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The American Beverage Association is not an example of a membership organization.

The Bill and Melinda Gates Foundation, Public Relations Society of America, and Miami Chamber of Commerce are all membership organizations as they have members who pay dues and have a say in the organization's operations. The American Beverage Association, on the other hand, is a trade association that represents the interests of beverage companies, but it does not have individual members. Trade associations typically represent specific industries and advocate for policies that benefit their members. Membership organizations, on the other hand, are typically non-profit organizations that have members who share a common interest or goal, such as a professional association or a community organization.

In summary, while the Bill and Melinda Gates Foundation, Public Relations Society of America, and Miami Chamber of Commerce are examples of membership organizations, the American Beverage Association is a trade association and not a membership organization.

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15. The taxpayer had the following losses during the year: Condemnation of investment property I..... Condemnation of business property Theft of business property ($10,000) (8,000) (6,000) 15. What is the taxpayer's net IRC S 1231 loss? o a. ($24,000) ($18,000) O c. ($14,000) O d. $0

Answers

The taxpayer's net IRC S 1231 loss is $0.

Explanation:
- The condemnation of investment property and condemnation of business property are both considered IRC Section 1231 losses.
- These losses can be netted against any IRC Section 1231 gains in the same tax year.
- However, in this case, there is no mention of any IRC Section 1231 gains.
- The theft of business property is not an IRC Section 1231 loss, so it cannot be netted against the other losses.
- Therefore, the total net IRC Section 1231 loss is ($10,000 + $8,000) = ($18,000).
- However, since this loss cannot be used to offset any other income, the net loss for the taxpayer is $0.

What do you mean by taxpayer?

A taxpayer is an individual, business, or entity that is subject to paying taxes to a government, typically a federal or state government. Taxpayers are responsible for complying with tax laws and regulations and paying the required amount of taxes on time. The type and amount of taxes a taxpayer owes depends on various factors such as their income, assets, and activities. Taxpayers may include employees, self-employed individuals, corporations, partnerships, trusts, and estates, among others. In general, taxpayers have a legal obligation to file tax returns and pay taxes on their income, property, and other taxable transactions, according to the tax laws and regulations of the jurisdiction where they reside or operate.

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Investment in human capital shifts the aggregate production function:
A.
downward.
B.
leftward.
C.
inward.
D.
rightward.
E.
upward.

Answers

The correct option is E: upward. Investment in human capital refers to the process of improving the skills, knowledge, and abilities of individuals through education, training, and other forms of learning.

By increasing the human capital of a workforce, an economy can produce more goods and services with the same amount of inputs. This increase in productivity shifts the aggregate production function upwards. An upward shift indicates that for any given level of inputs, such as labor and capital, the economy can produce more output. This leads to economic growth and higher living standards for individuals. Investment in human capital can lead to several positive externalities, such as increased innovation, higher rates of technological progress, and improved health outcomes.

These benefits can further enhance the productivity of an economy and contribute to long-term economic growth. In conclusion, investment in human capital is a critical driver of economic growth and development. It enhances the productivity of an economy, leading to an upward shift in the aggregate production function.

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A WBS dictionary is a document that provides details about the associated deliverable, activity scheduling information, predecessor successor, person responsible for it, resources required, and associated risks for each work package.
(TRUE or FALSE).

Answers

Your statement about the WBS dictionary is TRUE. It provides details about deliverables, activity scheduling, predecessor-successor relationships, the person responsible, resources required, and associated risks for each work package.

A WBS dictionary is a document that provides details about each work package within a project's work breakdown structure (WBS).

The WBS dictionary typically includes information such as the associated deliverable, activity scheduling information, predecessor and successor tasks, the person responsible for completing the work, resources required, and any associated risks or issues. This information helps to ensure that everyone involved in the project has a clear understanding of what needs to be done, when it needs to be done, and who is responsible for doing it.

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1. Foreign exchange market intervention
Suppose the Fed wants the dollar to depreciate. The Fed hopes to accomplish this goal by using $19 billion in U.S. currency in a foreign exchange market intervention.
In order to cause the dollar to depreciate, the Fed will need to $19 billion in the foreign exchange market, while also currency reserves of another country.
Use the following table to show the changes in the balance sheet of the Fed.
Assets Liabilities
by $19 billion by $19 billion
This intervention would be classified as foreign exchange intervention, and would have effect on the money supply.
Suppose the Fed wants the dollar to depreciate, but also wants the domestic money supply to remain unchanged.
In addition to the foreign-exchange market intervention you just outlined, the Fed will also need to government securities, thereby the monetary base so that it remains unchanged. This intervention would be classified as foreign exchange intervention since the net result would be no change in the domestic money supply.
Use the following table to show the changes in the Fed’s balance sheet that result from the Fed’s policy of counteracting the change in the money supply caused by its previous foreign-exchange market intervention.
Assets Liabilities
by $19 billion by $19 billion

Answers

To achieve a depreciation of the dollar, the Fed can use foreign exchange market intervention by using $19 billion in U.S. currency. This would result in a decrease in assets and liabilities by $19 billion.

Foreign exchange market intervention:

To rephrase your question, you would

like to know the changes in the Fed's balance sheet when they intervene in the foreign exchange market with $19 billion in order to depreciate the dollar and keep the domestic money supply unchanged.

To cause the dollar to depreciate, the Fed will need to sell $19 billion in the foreign exchange market, while also increasing currency reserves of another country. The changes in the balance sheet of the Fed are as follows:
Assets: Decrease by $19 billion (due to selling USD)
Liabilities: Decrease by $19 billion (due to buying foreign currency)

This intervention would be classified as unsterilized foreign exchange intervention, and would have an effect on the money supply.

If the Fed wants the dollar to depreciate but also wants the domestic money supply to remain unchanged, in addition to the foreign-exchange market intervention, the Fed will also need to buy government securities, thereby offsetting the decrease in the monetary base so that it remains unchanged. This intervention would be classified as sterilized foreign exchange intervention since the net result would be no change in the domestic money supply.

The changes in the Fed's balance sheet that result from the Fed's policy of counteracting the change in the money supply caused by its previous foreign-exchange market intervention are as follows:  

Assets: Increase by $19 billion (due to buying government securities)
Liabilities: Increase by $19 billion (due to increasing reserves)
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assume that a town places an order for a truck with an estimated cost of $56,000. when the truck is delivered, the actual cost is $59,000. prepare the journal entries to record the issuance of the purchase order and its payment when the truck is delivered.

Answers

The entry would only be recorded upon payment upon delivery will be Debit: Equipment $59,000 and Credit: Cash $59,000

Assuming the town uses the accrual basis of accounting:

Issuance of purchase order:
Debit: Equipment $56,000
Credit: Accounts Payable $56,000

Payment upon delivery:
Debit: Accounts Payable $59,000
Credit: Cash $59,000

If the town uses the cash basis of accounting, there would be no entry for the issuance of the purchase order. The entry would only be recorded upon payment upon delivery:

Debit: Equipment $59,000
Credit: Cash $59,000

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During the 2016 financial year, ABC Pty Ltd, a resident Australian Company, received a franked dividend of $50,800 with $3,200 of attached franking credits. It had no allowable deductions. PAYG instalment payments of $9,000 were made. Required: Calculate ABC Pty Ltd's tax payable or refundable. Hints: Remember to gross up the assessable income (in step 1) by including the dividend AND the credits (which can then be deducted in step 3) Also, when working with companies, there is no need to look up the tax rate payable. Always use 30%.

Answers

In this problem, we are given information about ABC Pty Ltd, an Australian company, and asked to calculate its tax payable or refundable for the 2016 financial year.

To do this, we need to gross up the assessable income by adding the franked dividend and franking credits and applying the corporate tax rate of 30%. Then we can calculate the taxable income by subtracting any deductions.

Finally, we can calculate the tax payable or refundable by applying the corporate tax rate to the taxable income and subtracting any PAYG installment payments made.

After following these steps, we find that ABC Pty Ltd's grossed-up dividend is $72,571.43, its taxable income is $72,571.43, and its tax payable is $14,771.43.

This means that the company owes the Australian government $14,771.43 in taxes for the 2016 financial year. This calculation demonstrates how corporate taxes are calculated in Australia and how to apply franking credits to reduce the tax payable.

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the roi formula typically uses blank . multiple choice question. average operating and non-operating assets for the year average operating assets for the year end of year operating and non-operating assets end of year operating assets

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The ROI formula typically uses average operating assets for the year. The correct option is B

This is calculated by adding the beginning and ending operating asset balances and dividing by two. ROI, or return on investment, is a performance metric used to evaluate the efficiency of an investment or to compare the profitability of different investments.

It measures the amount of return earned on an investment relative to its cost. The ROI formula is calculated by dividing the net income of an investment by the total investment cost, and multiplying by 100 to express it as a percentage.

By using average operating assets for the year in the denominator, ROI takes into account the change in investment over the course of the year, rather than just a single point in time. This allows for a more accurate measurement of the efficiency of the investment.

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the ROI formula typically uses _____ blank . multiple choice question.

a. average operating and non-operating assets for the year

b. average operating assets for the year

c. end of year operating and non-operating assets

d. end of year operating assets

2. The key initial element in developing pro forma statements is:
A. a cash budget.
B. an income statement.
C. a sales forecast.
D. a collections schedule.

Answers

The key initial element in developing pro forma statements is C. a sales forecast. A sales forecast is an essential starting point because it estimates the future sales revenue a company expects to generate over a specific period.

This projection forms the basis for budgeting and planning various aspects of the business, such as production levels, inventory management, and financing needs. Once the sales forecast is established, the company can create pro forma income statements, balance sheets, and cash flow statements. These pro forma statements are valuable tools for businesses to assess the potential impact of different strategies or decisions, allowing them to make informed choices for their future growth and development. In summary, a sales forecast is the cornerstone of developing pro forma statements, as it provides the necessary data to create accurate financial projections that can guide a company's decision-making process.

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T/F Some multinational corporations are so large that they resemble small countries.

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True. Some large multinational corporations are so vast and powerful that they possess an economic influence and political clout that can rival small countries. These corporations, which are often referred to as global or transnational corporations, have operations and offices in multiple countries and generate massive revenues.

They also have significant political and social influence, as their actions can impact entire economies and communities. For example, some large corporations have been accused of violating human rights, engaging in environmental exploitation, and contributing to income inequality. Their reach and power have prompted concerns about accountability and transparency, and some have called for greater regulation and oversight of these corporations.

Overall, the size and influence of some multinational corporations underscore the need for careful scrutiny and management of their activities.

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When a project is expedited, it will often ________________.
a. cost less
b. create more problems
c. save resources
d. be more fun for the project managers

Answers

When a project is expedited, it will often create more problems. Therefore, the answer is b. create more problems.

Expedited projects are those that are completed more quickly than originally planned, often with compressed timelines or accelerated schedules. While expedited projects may be necessary to meet urgent deadlines or respond to changing circumstances, they can also create a range of problems and challenges for project teams.

For example, expediting a project may require additional resources, such as overtime pay or additional staff, which can increase project costs.

It may also require changes to the project plan, such as cutting corners or reducing the scope of the project, which can compromise the quality of the final product or service. In addition, expedited projects can put stress on project team members, leading to burnout, lower morale, and reduced productivity.

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‘Firms with more cash flows tend to make more real investments."True or false? Explain

Answers

Firms with stronger cash flows tend to have more opportunities to make real investments that can drive growth and profitability. The given statement is true.

 The following statement is true regarding Firms:

The statement "Firms with more cash flows tend to make more real investments" is generally true. Firms with higher cash flows have more financial resources available to invest in real assets, such as property, plant, equipment, and inventory.

When a firm has a strong cash flow, it is in a better position to:

1. Identify and seize new investment opportunities: Companies with more cash flows can more easily pursue growth opportunities, such as entering new markets or acquiring other businesses.

2. Finance capital expenditures: Firms need to invest in real assets to maintain and grow their operations. Strong cash flows enable companies to make these investments without incurring additional debt.

3. Manage risks and uncertainties: A healthy cash flow allows firms to navigate economic downturns, industry changes, or other unexpected events without significant disruptions to their operations.

4. Enhance their creditworthiness: Companies with strong cash flows are often viewed as more financially stable by lenders, leading to better borrowing terms and increased access to capital.

In summary, firms with more cash flows generally have more resources to invest in real assets, which can drive business growth and improve their competitive position in the market.

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which of the following strategies would most likely be used by a non-european company wanting to gain quick entry inside the european community? group of answer choices offshoring greenfield investment

Answers

A non-European company wanting to gain quick entry inside the European community would most likely opt for a greenfield investment strategy. Greenfield investment involves setting up a new facility or business from scratch in a foreign market. This approach is particularly attractive to companies looking to establish a strong presence in the European community quickly.

Offshoring, on the other hand, involves moving existing operations to a foreign country. While this approach may be suitable for certain businesses, it may not be the best choice for companies looking to establish themselves in the European market rapidly. Offshoring can be a lengthy process, and it may take a significant amount of time to establish the necessary infrastructure and workforce to support the business.

In contrast, a greenfield investment strategy allows a company to establish a new operation that is tailored to the specific needs of the European market. This can be particularly advantageous for companies looking to take advantage of unique market conditions or to establish a competitive advantage.

Overall, while both offshoring and greenfield investment can be viable strategies for entering the European community, a greenfield investment approach is likely to offer the most significant benefits for companies looking to establish a presence quickly.

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which of the following statements about corporate social responsibility (csr) is true? question 1 select one: reports about small business social responsibility can be easily found and accessed via internet. small business social responsibilities (sbsr) main goal is creating new workplaces. small businesses are more likely to be engaged in csr activities than large companies. even though many smes perform csr activities, they do not admit it and consider it unattractive.

Answers

The true statement about corporate social responsibility (CSR) is small businesses are more likely to be engaged in CSR activities than large companies. Option C is correct.

While CSR reporting for small businesses may not be as easily accessible as it is for larger companies, research has shown that small businesses are more likely to engage in socially responsible practices due to their connection to their local community and their desire to maintain positive relationships with their customers and stakeholders.

Option B is incorrect because while creating new workplaces may be a potential benefit of CSR activities, it is not the main goal. Option A is incorrect because it is not necessarily easy to find information on CSR for small businesses. Option D is also incorrect as research has shown that many SMEs do publicly acknowledge and promote their CSR activities.

Therefore, option C is correct.

which of the following statements about corporate social responsibility (csr) is true? question 1 select one:

A. reports about small business social responsibility can be easily found and accessed via internet.

B. small business social responsibilities (sbsr) main goal is creating new workplaces.

C. small businesses are more likely to be engaged in csr activities than large companies.

D. even though many smes perform csr activities, they do not admit it and consider it unattractive.

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A business with a clear ____ plan will be better able to respond effectively wen crisis situations or disasters occur.
contingency

Answers

A business with a clear contingency  plan will be better able to respond effectively when crisis situations or disasters occur.

A contingency plan outlines the steps and strategies to be taken in the event of unexpected events or emergencies, allowing the business to minimize disruptions, mitigate risks, and quickly recover from the impact of the crisis.

It helps the business maintain continuity, protect its assets and operations, and ensure the safety of its employees and stakeholders.

Stakeholders are individuals or groups that have an interest or stake in the activities, decisions, and outcomes of a business or organization. They can include employees, customers, shareholders, suppliers, government agencies, communities, and others who are affected by or have an impact on the organization.

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pretend you are hired by a new business. how would you demonstrate that you are an effective co-worker? read more >>

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To demonstrate that I am an effective co-worker in a new business, I would start by being proactive in learning about the company culture and the expectations of my team.

I would make an effort to establish positive relationships with my colleagues by being friendly, respectful, and communicative. I would also demonstrate my willingness to collaborate and contribute by asking for feedback and offering my own ideas and insights.

Additionally, I would prioritize being organized and efficient in my work, meeting deadlines, and being adaptable to changing priorities. Ultimately, I would strive to be a reliable, supportive, and productive member of the team, committed to achieving the company's goals and contributing to its success.

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Assume a U.S.-based subsidiary wants to raise $1,000,000 by issuing a bond denominated in pakistani rupees (pkr). the current exchange rate of the rupee is $.025. Thus, the mnc needs ___ rupees to obtain the $1,000,000 needed.

Answers

The MNC would need to obtain 40,000,000 Pakistani rupees (PKR) to obtain the $1,000,000 needed. This is because $1,000,000 divided by the current exchange rate of $.025 equals 40,000,000 PKR.

To calculate the amount of Pakistani Rupees (PKR) needed to raise $1,000,000, you can use the following formula:

Amount in PKR = Amount in USD / Exchange Rate

In this case, the Amount in USD is $1,000,000, and the Exchange Rate is $0.025 per PKR. Plugging these values into the formula, you get:

Amount in PKR = $1,000,000 / $0.025

Amount in PKR = 40,000,000

Thus, the U.S.-based subsidiary needs 40,000,000 PKR to obtain the $1,000,000 needed.

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description on business model and the business plan at least 10
sentences

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A business model is essentially the way in which a company generates revenue and profits, and it's the foundation upon which a business plan is built. A business plan, on the other hand, is a more detailed document that outlines the overall strategy and operational plans for a company, including its mission, vision, and values, as well as financial projections and marketing strategies.

1. A good business model typically includes factors such as target customers, pricing strategies, revenue streams, cost structure, key partners and resources, and channels of distribution.

2. A business plan typically includes an executive summary, company overview, market analysis, product or service description, marketing and sales plan, operations plan, management and staffing plan, and financial projections.

3. In essence, a business model is the framework for generating revenue, while a business plan is the roadmap for achieving that revenue and building a successful company.

4. Together, they provide a comprehensive guide for entrepreneurs and business owners to follow in order to achieve their goals and succeed in their industry.

5. A business model is a conceptual framework that outlines how a company generates revenue, creates value, and sustains itself in the marketplace.

6. It typically includes the company's value proposition, target customer segments, revenue streams, cost structure, and key partners.

7. The business model is crucial in determining how the company will achieve success and differentiate itself from competitors.

8. On the other hand, a business plan is a formal written document that outlines the company's goals, strategies, and financial projections.

9.  It serves as a roadmap for the company's operations, management, and growth.

10. The business plan often includes an executive summary, company description, market analysis, organizational structure, product or service offerings, marketing and sales strategies, financial projections, and potential risks.

In summary, the business model is a high-level conceptual framework that shows how the company creates and captures value, while the business plan is a comprehensive written document that details the company's strategies and projections to achieve success. The business model is an essential component of the business plan, as it provides the foundation for the plan's strategies and goals.

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which of the following is correct?multiple choicehedge funds often sell stock they don't even own.hedge funds maintain secrecy about their holdings, trading, and strategies.hedge funds are limited to sophisticated investors.all of these choices are correct.

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The correct statement are hedge funds often sell stock they don't even own, maintain secrecy about their holdings, trading, and strategies, and hedge funds are limited to sophisticated investors. Option D is correct because all of the statement is true.

Hedge funds often engage in short selling, which means selling stock they don't own, in the hopes of buying it back at a lower price.

Hedge funds maintain secrecy about their holdings, trading, and strategies to protect their investment ideas and maintain a competitive advantage in the market.

Typically, hedge funds cater to accredited investors who have a high net worth and a greater understanding of the financial markets.

Therefore, option D is correct.

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Which one characteristic most clearly defines a market structure?

Group of answer choices

the type of product sold

the market share

how the company is organized

the emphasis the company places on quality

the number of suppliers in a market

Answers

Out of the given options, the number of suppliers in a market is the characteristic that most clearly defines a market structure.

The number of suppliers in a market is an important factor that affects the level of competition and the behavior of the suppliers. In a market with a large number of suppliers, the competition is likely to be intense, which can lead to lower prices and better quality products for consumers. On the other hand, in a market with a small number of suppliers, the competition is likely to be less intense, which can result in higher prices and lower quality products.

The number of suppliers also affects the bargaining power of buyers and suppliers. In a market with a large number of suppliers, buyers are likely to have more bargaining power, as they have more options to choose from. In contrast, in a market with a small number of suppliers, the suppliers are likely to have more bargaining power, as they have fewer competitors to deal with.

Therefore, the number of suppliers is a key characteristic that defines a market structure, as it affects the behavior of the suppliers, the level of competition, and the bargaining power of buyers and suppliers.

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