I have a question that I would like to open a champloo (coffee shop)and with the price 5000$ per month of renting the shop. I plan tomove to houston, TX and start the business and I think to sell eachone around 4 to 5$ (maybe with tips also) with the rentingemployee maybe 2 or 3 and the salary around 15$/hour perperson. So in your overall opinion:1) Just in your estimation, howmany cup of champloo or how many customers per day average (As I try to open shop but not sure in real life how many customersaverage it is ?)2) Is it easy to make money from this job if Iopen champloo shop ?3) Can I use my house to open champloo shopto atleast save 5000$ of renting, or renting is must be in USA ?4)How to manage employee if I am out of Houston, TX ?

Answers

Answer 1

1. You may start with 50 to 100 coffee cups per day.

2. Opening a coffee shop is not an easy task.

3. Opening a coffee shop in a commercial area is a better option.

4.  Managing employees is a challenging task.

1. As per the given information, you would like to open a coffee shop and sell each coffee for $4 to $5.

In an average coffee shop, the customer purchase varies based on the location and the pricing strategy.

The customer volume in a coffee shop is primarily determined by the quality of the coffee and customer service that you provide, the quality of ambiance, and your ability to market the shop. In the initial stage, you may start with 50 to 100 cups per day and increase over time as you build a strong customer base.

2. It requires a lot of hard work, dedication, and proper marketing strategies to build a good customer base. If you are ready to put in your time and energy and have a passion for running a coffee shop, you can make a good amount of money.

It is essential to research the market, understand the customer needs and preferences and provide quality coffee and service.

3. Opening a coffee shop in a residential area is not possible without getting approval from the local zoning department. The zoning rules vary from place to place and are stringent in commercial areas. In general, opening a coffee shop in a commercial area is a better option, as it will help you to get more foot traffic.

4. Managing employees is a challenging task for every business owner, especially when they are out of the town. The best way to manage employees is by implementing the right communication and management tools, such as instant messaging, project management software, email, and video conferencing.

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Related Questions

how
is job characteristics and wage differentials related in the labour
market and what is the realationship between the two terms

Answers

Job characteristics refer to the features or attributes of a particular job that influence the behavior, performance, and motivation of workers. These job characteristics may include tasks, responsibilities, and work environment. Wage differentials, on the other hand, refer to the difference in pay or compensation among workers with similar skills.

Job characteristics and wage differentials are closely related in the labor market. In fact, job characteristics often play a significant role in determining wage differentials. Jobs with more desirable characteristics tend to pay higher wages than jobs with less desirable characteristics. For instance, jobs that require more skills, education, and training tend to pay higher wages than jobs that do not require these qualifications. Similarly, jobs that are more physically demanding, dangerous, or unpleasant may pay less than jobs that are less demanding.

In general, the relationship between job characteristics and wage differentials is that jobs with more desirable characteristics tend to attract more qualified and skilled workers who are willing to accept lower wages in exchange for the non-pecuniary benefits of the job. For instance, a job that offers greater autonomy, responsibility, and opportunities for skill development may be more attractive to workers who value these aspects of a job more than higher wages.

In conclusion, the relationship between job characteristics and wage differentials is that jobs with more desirable characteristics tend to pay lower wages while jobs with less desirable characteristics tend to pay higher wages to compensate for the unpleasant aspects of the job.

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Designing Your Log Cabin For designing your log cabin, you have to consider the floor plan and details, the zoning laws/building codes, land selection, and the costs of a log cabin. one day. The costs of your log cabin cannot be determined in detail now, however a preliminary estimate can be made. The significant costs are - Site preparation and foundations (roughly $5,000CAD ), - Utilities and services (roughly \$1,000CAD), - Lumber - how many logs (roughly $15,000CAD ), - Insulation (roughly \$2,000CAD). - Roofing (roughly $5,000CAD ), - Windows and Doors (roughly \$5,000CAD), - Tools (roughly \$15,000CAD), - Labour (\$25CAD/hour per person).

Answers

When designing your log cabin, there are several factors to consider. These include the floor plan and details, zoning laws and building codes, land selection, and cost estimation.

What are the costs?

The costs of building a log cabin can vary depending on several factors. However, a preliminary estimate can be made. The significant costs include site preparation and foundations, utilities and services, lumber-how many logs, insulation, roofing, windows and doors, tools, and labor.

The cost of designing a log cabin cannot be determined in detail now, as several factors are involved. However, a preliminary estimate can be made using the cost of materials, tools, labor, and other variables.

The significant costs involved in designing a log cabin are:

Site Preparation and Foundations: The cost of site preparation and foundation is approximately $5,000 CAD.

Utilities and Services: The cost of utilities and services, such as water, electricity, and gas, is approximately $1,000 CAD.

Lumber: The cost of lumber depends on how many logs you need. However, the cost is approximately $15,000 CAD.

Insulation: The cost of insulation is approximately $2,000 CAD.

Roofing: The cost of roofing is approximately $5,000 CAD.

Windows and Doors: The cost of windows and doors is approximately $5,000 CAD.

Tools: The cost of tools is approximately $15,000 CAD.

Labor: The cost of labor is $25 CAD per hour per person.

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TransTech sells its product for $150. Marginal cost is a constant $135 per unit and fixed costs are $33,375.
Q: What is the breakeven quantity?
Please specify your answer as an integer.
Q: What is the breakeven revenue?
Please specify your answer as an integer.

Answers

If Marginal cost is a constant $135 per unit and fixed costs are $33,375

a) The breakeven quantity is 2,225 units.

b) The breakeven revenue is $333,750.

a: The breakeven quantity refers to the number of units that need to be sold in order to cover all costs and achieve a zero profit. It can be calculated by dividing the total fixed costs by the difference between the selling price and the marginal cost per unit.

In this case, the fixed costs are $33,375, and the marginal cost per unit is $135. Therefore, the breakeven quantity can be calculated as follows:

Breakeven quantity = Fixed costs / (Selling price - Marginal cost per unit)

Breakeven quantity = $33,375 / ($150 - $135)

Breakeven quantity = $33,375 / $15

Breakeven quantity = 2,225

b: The breakeven revenue refers to the total sales revenue needed to cover all costs and achieve a zero profit. It can be calculated by multiplying the breakeven quantity by the selling price per unit.

In this case, the selling price per unit is $150 and the breakeven quantity is 2,225 units. Therefore, the breakeven revenue can be calculated as follows:

Breakeven revenue = Breakeven quantity * Selling price per unit

Breakeven revenue = 2,225 * $150

Breakeven revenue = $333,750

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The right of a current stockholder to keep their percentage of
ownership on a corporation is:
1.Rights offering
2.Preemptive rights
3.Extra dividend
4.Dividend

Answers

Preemptive rights is the right of a current stockholder to keep their percentage of ownership on a corporation.However, Preemptive rights also referred to as preemption rights, is a privilege granted to existing shareholders of a corporation.

It allows them to buy a proportionate number of new shares of the company's stock that is about to be issued, thereby preserving their ownership percentage and the value of their investment.The preemptive right is usually granted to shareholders as a protective measure. This means that the current stockholders will be given the right to maintain their current percentage of ownership by buying new shares of the company before they are made available to the general public.In summary, the correct option for the right of a current stockholder to keep their percentage of ownership on a corporation is option B. Preemptive rights.

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As ESports continues to emerge as an up-and-coming sport
participation platform at various levels of competition, what
aspects may hinder a governing body from establishing control
within this realm?

Answers

As Esports continues to emerge as an up-and-coming sport participation platform at various levels of competition, what aspects may hinder a governing body from establishing control within this realm Esports is a rapidly growing industry. It is a form of sport competition that has been growing for many years.

It is expected that it will grow even more in the future. However, it is important to note that as Esports continues to emerge as an up-and-coming sport participation platform at various levels of competition, there are a number of aspects that may hinder a governing body from establishing control within this realm.

These aspects include a lack of standardized rules and regulations, a lack of established leagues and teams, a lack of standardized tournaments, and a lack of clear standards for player eligibility. These factors make it difficult for a governing body to establish control within the Esports realm.

However, it is important to note that there are also a number of positive aspects to Esports that can help it to grow and thrive in the future. These include the growing number of Esports fans, the increasing number of Esports events and tournaments, and the increasing number of players and teams.

Additionally, there are many opportunities for Esports to grow and thrive in the future, including the development of new games and new technology. As a result, it is clear that Esports will continue to grow and thrive in the future, and that it will become an increasingly important part of the sports landscape in the years to come.

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What is the present value of an annual payment of $10,000 that is received in perpetuity if the discount rate is 13%?

Answers

The present value of an annual payment of $10,000 that is received in perpetuity if the discount rate is 13% is $76,923.08.

Present value is the current value of future payments. It's calculated by reducing the future payment amounts by an appropriate discount rate.

Given the annual payment of $10,000 that is received in perpetuity, and the discount rate of 13%, the present value is given by the formula:

P = PMT / r

where P is the present value,

PMT is the annual payment, and

r is the discount rate.

Substituting the given values in the formula, we get:

P = $10,000 / 0.13

P = $76,923.08

Therefore, the present value of an annual payment of $10,000 that is received in perpetuity if the discount rate is 13% is $76,923.08.

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which of the following is a true statement related to

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Brainly is an online learning community where students can ask questions and get help from other students, educators, and experts.

One of the advantages of using Brainly is that it offers a wide range of answers to questions. In fact, for many popular questions, there are often more than 100 answers available. Having more than 100 answers also increases the chances of finding an answer that is accurate and relevant to the question being asked. It provides students with a diverse pool of information, ensuring that they have access to a variety of ideas, explanations, and approaches to problem-solving.

In addition to the sheer quantity of answers, Brainly also provides a platform for users to engage in discussions and ask follow-up questions. This interactive element allows for further clarification and exploration of the topic, contributing to a more comprehensive understanding. Overall, the availability of more than 100 answers on Brainly demonstrates the platform's commitment to providing students with a rich and diverse learning experience, where they can access multiple perspectives and insights to help them grasp the concepts they are studying.

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Instructions: Use "A model for exploring an ethical leadership practice" (Ann Skeet, Markkula Center for Applied Ethics) as the framework for an analysis of the chosen Business Ethics in the News article. Your analysis should also include at least two references to chapters 11 and 12. Make sure to include an explanation for why you chose the news article. [Note: Responses should be at least four paragraphs in length.]

Answers

Ethics in Business is a critical component of any successful enterprise. Ann Skeet created a model for exploring ethical leadership practice that offers guidance on how businesses can approach ethical concerns.

This model can be used to analyze the chosen Business Ethics in the News article. The article that I have chosen for this analysis is "JPMorgan Admits Wrongdoing in Bribery Case, Paying $264 Million."

The main answer to the task is that the article discusses JP Morgan's settlement with the Securities and Exchange Commission (SEC) over violations of the Foreign Corrupt Practices Act (FCPA). The bank admitted to engaging in bribery schemes in Asia and other countries. The SEC found that the bank had employed friends and relatives of government officials to gain business and used excessive hiring practices to secure deals. This conduct violated the FCPA's anti-bribery provisions, which prohibit companies from making corrupt payments to foreign officials to gain business.

The article highlights how JP Morgan's actions violated the principles of ethical business conduct. It also demonstrates the negative consequences of unethical business practices. The bank has agreed to pay $264 million in penalties and disgorgement, and the DOJ has opened a criminal investigation into the matter. This news article raises several ethical concerns that need to be addressed by JP Morgan, its clients, and other businesses.

The explanation for choosing this news article is that it highlights the importance of ethical business practices. JP Morgan is a large, well-known financial institution that operates globally. Its conduct shows how companies can cross ethical boundaries to achieve their objectives. The article provides an excellent case study for analyzing business ethics and exploring ethical leadership practices. It also demonstrates the importance of the FCPA and other laws that protect ethical business conduct. By analyzing this article using Ann Skeet's model, we can better understand how businesses can approach ethical concerns and create more ethical practices.

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Firm A operates in perfect competition, firm B in monopolistic competition and firm C is a monopoly. Which of the following statements on A,B and C does not hold? Select one: a. Over the long run, A makes no profit, C generates a welfare loss and B does both b. Marginal revenue is equal to the price of the good for A, not for B nor C c. A, B and C can all make profit over the short run d. For profit maximization, marginal cost equals marginal revenue for B and C, but not for A

Answers

Perfect competition is a term used in economics that describes a market structure in which numerous small firms compete against one another. The term "perfect" refers to the absence of monopolies, oligopolies, and monopsonies. As a result, a perfect competition market has a large number of firms that sell homogeneous goods.

A monopoly, on the other hand, is a type of market structure in which a single firm dominates the entire market. In a monopolistic market, the company has complete control over the price of the product, making it difficult for new entrants to join the market. Monopolistic competition is a market structure in which a large number of small firms sell goods that are similar but not identical.

A market structure in which there are many buyers and sellers, but the goods are not identical, and hence there is a lot of advertising and marketing to make their products stand out. Option A says that firm A makes no profit in the long run, firm C generates welfare loss, and firm B does both. As a result, this statement is true. Thus, the correct option is option A because it is false.

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the benefit, interest or value that induces the parties to enter into a contract, is known as:

Answers

The benefit, interest, or value that induces the parties to enter into a contract is known as consideration.

Consideration is a fundamental element of a contract and refers to something of value that is given or promised by one party in exchange for something of value from the other party. It can take various forms, including money, goods, services, promises, or forbearance to act. Consideration is what distinguishes a contract from a gratuitous promise or a gift.

For a contract to be legally enforceable, there must be a mutual exchange of consideration between the parties involved. Each party must provide something of value or incur a legal obligation as part of the agreement. Consideration ensures that both parties have a vested interest in fulfilling their obligations under the contract.

In summary, consideration is the benefit, interest, or value that motivates parties to enter into a contract and is a crucial element in the formation of a legally binding agreement.

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anthony has one employer, and his only source of income is wages. in 2021, he claimed the standard deduction and no other deductions or credits. he received a large refund after filing his 2021 tax return. in 2022, anthony expects no changes to his tax situation. he would like to pay less in taxes throughout the year, even if that means a lower refund when he files his 2022 return. which of the following is most likely to help anthony achieve this goal?

Answers

An Anthony pays less in taxes throughout the year, even if it means a lower refund when he files his 2022 return, he can consider the following options:

1. Adjusting his tax withholding: Anthony can update his W-4 form with his employer to have less tax withheld from his paycheck each pay period. By doing so, he will have more take-home pay throughout the year, but it may result in a lower refund when he files his tax return.

2. Contributing to a retirement account: Anthony can contribute to a retirement account such as a traditional IRA or a 401(k). By doing so, he can reduce his taxable income, which would lower his overall tax liability. This can be beneficial both in reducing his tax burden and helping him save for retirement.

3. Itemizing deductions: Although Anthony claimed the standard deduction in 2021, he can consider itemizing deductions in 2022 if he has significant eligible expenses.

This could include expenses such as mortgage interest, property taxes, medical expenses, or charitable contributions. Itemizing deductions may result in a lower taxable income and potentially reduce his overall tax liability.

4. Utilizing tax credits: While Anthony mentioned he didn't have any deductions or credits in 2021, he should explore if he qualifies for any tax credits in 2022. Tax credits directly reduce the amount of tax owed and can result in significant savings. Some common tax credits include the Child Tax Credit, Earned Income Tax Credit, and Education Credits.

It's important for Anthony to evaluate each option carefully and consider consulting with a tax professional to determine the best strategy based on his specific circumstances. Remember, the goal is to pay less in taxes throughout the year, but it may result in a lower refund when he files his 2022 tax return.

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A profit-maximizing monopoly typically: A. Produces less than the Pareto-efficient quantity. B. Produces more than the Pareto-efficient quantity. C. Produces exactly the Pareto-efficient quantity. D. Sometimes produces more and sometimes produces less than the Paret-efficient quantity Question 2 Which of the following is a trade-off which a monopoly is facing, but a competitive firm is not facing? A. In order to sell another unit, the firm must pay its cost of production. B. In order to sell another unit, the firm must lower the price it charges. C. Both of the answers above are correct. D. Neither of the answers above are correct. Question 3 When we say that the train is a natural monopoly, we mean to say that: A. It is a monopoly only because the government is preventing competition. B. It is a monopoly because some past coincidence gave it an advantage over potential competitors. C. It is a monopoly because of the structure of the production costs in the industry. D. Non of the above is correct.

Answers

Question 1: For profit-maximizing monopoly : Option A is the correct . Question 2: For  trade-off which a monopoly : Option B is the corretc. Question 3: For natural monopoly : Option C is the correct.

Question 1:A profit-maximizing monopoly typically produces less than the Pareto-efficient quantity because of the high prices they charge, which restrict the quantity demanded by the consumers. It is in contrast to the competitive market where the equilibrium price is low, and all willing consumers are served. Therefore, option A is the correct .

Question 2:A monopoly has the power to influence the market price by changing the quantity it produces. For example, if it increases the quantity, the market price goes down, and vice versa. A monopoly faces a trade-off between quantity and price, whereas a competitive firm does not have such power and must sell at a given market price. Therefore, option B is the correct.

Question 3: When we say that the train is a natural monopoly, we mean that it is a monopoly because of the structure of the production costs in the industry. The railway infrastructure requires a significant upfront investment, and the marginal cost of transporting an additional person or tonne of goods is minimal. So, it makes sense to have only one train operator in the market. Therefore, option C is the correct .

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According to the Taylor rule, when the economy has a zero-unemployment gap and the inflation rate is equal to its target rate of 2 percent. the Fed's targeted interest rate should be Multiple Choice a) 4 percent, and this implies a real interest fate of 4 percent. b) 2 percent, and this implies a real interest rate of 4 percent. c) 2 percent, and this implies a real interest rate of 0 percent. d) 4 percent, and this implies a real interest rate of 2 percent.

Answers

According to the Taylor rule, when the economy has a zero-unemployment gap and the inflation rate is equal to its target rate of 2 percent, the Fed's targeted interest rate should be 4 percent, and this implies a real interest rate of 2 percent.

Taylor's rule is an economic principle that proposes how the Federal Reserve should set interest rates based on inflation and gross domestic product (GDP) growth.

The rule was introduced by economist John Taylor of Stanford University in 1993 and is named after him. According to the Taylor Rule, the Fed should raise interest rates when inflation is higher than the target rate, and lower them when GDP growth is below its long-term trend rate.

The Taylor Rule sets out a target level for the federal funds rate, the interest rate that banks charge each other for overnight loans, based on the inflation rate and the output gap. The output gap is the difference between actual GDP and potential GDP.

The Federal Reserve targets a 2 percent inflation rate as its long-term goal, while the unemployment rate is an indicator of the economy's overall health. If the unemployment rate is higher than the natural rate, it suggests that the economy is underperforming, while if it is lower, it suggests that the economy is overheating.

If the economy has a zero unemployment gap, it means that the actual unemployment rate is equal to the natural rate, and the economy is in a state of equilibrium.

If inflation is at the target rate of 2 percent, it means that there is no need to adjust the interest rate to achieve the Fed's inflation goal.

According to the Taylor rule, in this case, the Fed's targeted interest rate should be 4 percent, and this implies a real interest rate of 2 percent.

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According to this article, when we consider how Monetary Policy affects the economy, how does the Fed manage to "exercise considerable control over the federal funds rate"?
a. by decreasing the availability of credit when the economy is in need of stimulus
b. by increasing or decreasing the printing of money
c. by setting market interest rates at various financial institutions
d. through appropriate changes in the discount rate during economic fluctuations
e. through influence over the supply of and demand for balances at the Reserve Banks
f. by fixing the exchange rate at a level that allows for smooth changes in the money supply

Answers

The Fed manages to exercise considerable control over the federal funds rate through influence over the supply of and demand for balances at the Reserve Banks. The article discusses how the monetary policy affects the economy.

In order to exercise control over the federal funds rate, the Federal Reserve engages in open market operations. This is the process by which the Fed buys or sells Treasury securities in the open market. When the Fed buys Treasury securities, it injects money into the banking system, which increases the supply of reserves.

This, in turn, lowers the federal funds rate. Conversely, when the Fed sells Treasury securities, it drains money from the banking system, which decreases the supply of reserves. This, in turn, raises the federal funds rate.Therefore, the correct answer is option E: through influence over the supply of and demand for balances at the Reserve Banks.

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On June 1, 2021, Dirty Hamy Co, borrowed cash by issuing a 6-month noninterest-bearing note with a maturity value of $430,000 and a discount rate of 7%. Assuming straight-line amortization of the discount. what is the carrying value of the note as of September 30,2021 ? (Round all calculations to the nearest whole dollar amount.)

Answers

The carrying value of the note as of September 30, 2021 is $414,438

Non-interest-bearing notes are those that do not carry interest. Instead, the buyer is required to pay the entire principal amount at maturity. In order to make the bond marketable, the issuer will offer the bond at a discount to its face value. The discount rate used to calculate the discount is determined by the prevailing market rates.

The principal of a non-interest-bearing note is its maturity value, while the amount of the discount is calculated as the difference between the face value and the maturity value.

The carrying value is the difference between the maturity value and the discount, which is calculated by amortizing the discount over the term of the note using the straight-line method.

The calculation of the carrying value of the note as of September 30, 2021 is as follows:

Maturity value of the note = $430,000

Discount rate = 7%

Discount = Maturity value × Discount rate × Time

= $430,000 × 7% × 4/12

= $10,710

Carrying value of the note = Maturity value − Discount

= $430,000 − $10,710

= $419,290

However, the question asks for the carrying value as of September 30, 2021, which is 4 months after the issuance date. Since the discount is amortized using the straight-line method, the discount for each month is $10,710 ÷ 6 = $1,785.

The carrying value as of September 30, 2021 is calculated as follows:

Discount amortized to September 30, 2021 = $1,785 × 3

= $5,355Carrying value of the note as of September 30,

2021 = Maturity value − Discount amortized to September 30,

2021= $430,000 − $5,355

= $414,438

Therefore, the carrying value of the note as of September 30, 2021 is $414,438.

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An unlevered firm expects to generate and payout free cash flows of $150,000 annually in the form of dividends and share repurchases starting next year. The discount rate is 15.5% and there are 135,000 shares outstanding. What is the current value per share?

Answers

The current value per share using the discounted free cash flow model is $8.62.

Given,

Annual free cash flows, FCFF = $150,000

Discount rate, r = 15.5%

Number of outstanding shares, N = 135,000

To find,

Current value per share using the discounted free cash flow model:

We can use the below formula to calculate the current share price,

P0 = (FCFF / N) / (r - g),

Where,

g = growth rate of dividends and share repurchases.

The company is expected to generate free cash flows of $150,000 annually, starting from next year. Hence, the free cash flow in the first year would be $150,000. The firm is expected to pay dividends and repurchase shares using the free cash flow generated. Therefore, we can consider the expected free cash flows as the free cash flow available to equity holders.We have not been provided with the growth rate of dividends and share repurchases. This implies that the firm is expected to pay dividends and repurchase shares at a constant rate, which is not expected to grow. Therefore, the growth rate is assumed to be 0%.

Substituting the given values, we get:

P0 = (150000 / 135000) / (0.155 - 0.0) = $8.62

The current value per share is $8.62.

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MAIN OBJECTIVES OF MELLOW DONUT CAFE IN VANCOUVER

Answers

Mellow Donut Cafe is one of the best coffee shops in Vancouver, and their main objective is to provide a comfortable and relaxing environment for customers to enjoy their coffee. The Mellow Donut Cafe offers a wide range of donuts, sandwiches, muffins, and pastries, as well as a variety of coffee options such as cappuccino, espresso, latte, and more. The cafe provides an ideal place to work, socialize, or just relax.

The following are the main objectives of the Mellow Donut Cafe:Comfortable and Relaxing Environment - The Mellow Donut Cafe provides a comfortable and relaxing environment for customers to enjoy their coffee and pastries. The cafe has comfortable chairs, free Wi-Fi, and quiet music playing in the background to provide an ideal environment for customers to work, socialize, or just relax.Provide High-Quality Products - The Mellow Donut Cafe is committed to providing high-quality products to its customers. They use high-quality ingredients to make their donuts, muffins, sandwiches, and pastries, and their coffee beans are of the highest quality. The cafe also ensures that its employees are well-trained to provide customers with the best possible service.Meet Customer Needs - The Mellow Donut Cafe is dedicated to meeting its customers' needs. They offer a wide range of coffee options and food choices to cater to different customer tastes. They also ensure that their prices are reasonable to attract a broad customer base.Create a Sense of Community - The Mellow Donut Cafe aims to create a sense of community among its customers. They organize events such as book clubs, poetry readings, and music nights to bring customers together and provide them with a platform to interact with each other. In conclusion, the Mellow Donut Cafe has several main objectives, including providing a comfortable and relaxing environment, offering high-quality products, meeting customer needs, and creating a sense of community among its customers.

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Helen caught her husband, Hank, in bed with her former best friend, Jamie. In an ensuing argument, Hank punched Helen in the eye, something that he has done several times before. Helen has just left Hank and wants a divorce. Name all possible grounds for divorce that are available to Helen. For each ground, state when Helen may commence divorce proceedings and when a divorce may be granted.

Answers

When caught cheating, a partner can be subjected to physical abuse, which can be grounds for divorce. In this scenario, Helen can seek a divorce based on infidelity, after discovering Hank's infidelity with her former best friend, Jamie.

Helen can commence the divorce proceedings immediately after discovering the infidelity. A divorce can be granted once the adultery is established. A divorce can be granted once cruelty is established. Desertion: If one of the spouses intentionally abandons the other for a continuous period of at least one year, the abandoned spouse can commence divorce proceedings. In this case, there is no evidence that Hank intentionally abandoned Helen.

So, desertion is not a viable ground for divorce. Irretrievable breakdown of the marriage: If there is no reasonable likelihood that the marriage can be saved and the marriage has irretrievably broken down, either of the spouses can commence divorce proceedings.

In this case, the irretrievable breakdown of the marriage is established by Hank's infidelity and abusive behavior towards Helen.  A divorce can be granted after the court is satisfied that the marriage has irretrievably broken down.

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Sometimes in these problems you may NOT be given the supply and demand functions in order to find the market equilibrium but will be asked to find them yourself. Say you take a poll of the class and find that, given the chance, 25 students would buy an apple for $2, but 35 students would buy an apple for $1. Which of the following would be the linear demand model for this situation? D(x)=−0.1x+4.50
D(x)=−2x+4.50
D(x)=−2x+2.50
D(x)=−0.1x+45
D(x)=−2x+45

Answers

The linear demand model for this situation is D(x)=−0.1x+4.50.

The demand function is a function that shows how the quantity demanded of a product changes as the price of the product changes. In this case, the demand function is linear, which means that it can be represented by a straight line.

The slope of the demand function is the change in the quantity demanded divided by the change in the price. In this case, the slope is -0.1, which means that for every $1 increase in the price, the quantity demanded decreases by 10 students.

The y-intercept of the demand function is the quantity demanded when the price is 0. In this case, the y-intercept is 4.5, which means that 4.5 students would buy an apple even if it were free.

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Using C++ Math Operators and Precedence Assume that a video store employee works 50 hours. He is paid $4.50 for the first 40 hours, time-and-a-half (1.5 times the regular pay rate) for the first five hours over 40 , and double-time pay for all hours over 45 . Assuming a 28 per-cent tax rate, write a program that prints his gross pay, taxes, and net pay to the screen. Label each amount with appropriate titles (using string literals) and add appropriate comments in the program.

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A given problem has a few distinct factors and operations that should be handled. You will use C++ mathematical operators and precedence to write a program that produces a gross salary, tax, and net salary from a video store employee who worked for 50 hours in one week. We need to program that satisfies the following requirements:

1) The video store employee worked for 50 hours and got paid for each hour.

2) The first 40 hours are paid at a regular rate of $4.50 per hour.

3) The first five hours over 40 are paid at a rate of 1.5 times the regular rate.

4) All hours after 45 are paid at a double rate.

5) The tax rate is 28 percent.

To write a program in C++, follow these instructions:

1) Define the following variables: Regular pay rate, rate of 1.5 times, rate of 2 times, number of hours worked, gross pay, taxes, and net pay.

2) Ask the user to input the number of hours worked by the employee.

3) Based on the employee's hours, calculate their gross pay using if statements.

4) Calculate their taxes and net pay based on their gross pay and the tax rate.

5) Finally, print the gross pay, taxes, and net pay of the employee with the appropriate string literals.

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The government, using Fiscal Policy, wishes to slow down economic activity to avoid inflationary pressures. The most effective approach would be to increase government spending by $2 billion reduce government spending by $2 billion increase taxes by $2 billion reduce taxes by $2 billion

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The government, using Fiscal Policy, wishes to slow down economic activity to avoid inflationary pressures. The most effective approach would be to reduce government spending by $2 billion.

To slow down economic activity and avoid inflationary pressures, the most effective approach for the government using Fiscal Policy would be to reduce government spending by $2 billion. By reducing government spending, it will decrease the amount of money circulating in the economy, which can help to reduce overall economic activity and potentially curb inflationary pressures.

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Post your findings on the differences between short-run and long-run aggregate demand and between short-run and long-run aggregate supply.
Post your explanatory notes on the comparison and contrast of aggregate demand and aggregate supply in terms of creating short-run and long-run equilibrium.

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Short-run aggregate demand (AD) and aggregate supply (AS) represent the total demand and supply of goods and services over a shorter time period, while long-run AD and AS represent the total demand and supply over a longer time period.

The main differences between short-run and long-run aggregate demand (AD) and aggregate supply (AS) can be summarized as follows:

Short-run Aggregate Demand (SRAD):

SRAD represents the total demand for goods and services in an economy over a shorter time period, typically within a year.

It is influenced by factors such as consumption, investment, government spending, and net exports.

SRAD can be affected by changes in price levels, interest rates, and consumer and business confidence.

It is depicted by a downward-sloping curve due to the inverse relationship between price levels and real output.

Long-run Aggregate Demand (LRAD):

LRAD represents the total demand for goods and services in an economy over a longer time period, typically several years or more.

It is determined by factors such as population growth, productivity, and technological advancements.

LRAD is relatively stable and less responsive to short-term changes in price levels or other economic variables.

It is depicted by a vertical line at the potential output level, as it is not influenced by changes in price levels.

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Application of inventory valuation rule may result in a lower
inventory value than the cost of inventory. TRUE OR FALSE EXPLAİN
THAT STATEMENT NOT ONLY SAY T/F

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The statement "Application of inventory valuation rule may result in a lower inventory value than the cost of inventory" is true.

Inventory valuation is an essential accounting method that organizations use to account for the costs of goods available for sale. Inventory valuation methods, such as LIFO, FIFO, and weighted average, assume that all goods available for sale during a reporting period are not the same as those bought or produced at different times or costs.

As a result, the application of inventory valuation methods may result in a lower inventory value than the actual cost of inventory. For example, let's say a firm sold 20 items at the rate of $25 per item that had been purchased earlier at $20 per item. According to the LIFO method of inventory valuation,  valued at a higher cost ($25) compared to earlier purchased inventory ($20).

To conclude, the application of inventory valuation rule may result in a lower inventory value than the actual cost of inventory because the inventory valuation methods assume that all goods available for sale during a reporting period are not the same as those bought or produced at different times or costs.

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1 Explain the challenges of competing in a regional, national, or global market environment with the help of an organisation give me answer as soon as possible write 1500 words use own udeas dont copy paste

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In today's economy, businesses have a plethora of opportunities to compete in a variety of market environments, such as regional, national, and global market environments. These market environments, on the other hand, have their own set of challenges.

The success of a business is influenced by how well it can compete in the market environment in which it operates. In this post, we'll look at the challenges of competing in a regional, national, or global market environment and how a business can overcome them. In a regional market environment, businesses face various challenges that may affect their success. Regional businesses may struggle to acquire the financing they need to expand and take advantage of new opportunities.

Furthermore, regulatory requirements may vary significantly from one region to the next. A business must be aware of the region's rules and regulations to succeed. The national market is also characterized by a greater range of customer needs and preferences. This implies that businesses must be adaptable to changing market circumstances and customer requirements. Businesses in a national market must also be prepared to compete with multinational corporations.

These businesses have access to a large amount of capital, making it difficult for local businesses to compete. In a global market environment, businesses must contend with a wide range of difficulties. A company must also ensure that it is aware of regulatory requirements and understands the market's cultural and linguistic diversity.

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For this assignment, you are given the role of Digital Marketing Specialist who is working as a freelancer. Your main service is selling SEO solutions to small- to medium-sized companies.
In order to begin client acquisition, you know that you must perform an SEO needs assessment on potential clients. With this in mind, you begin to search for local businesses on which to perform an SEO needs assessment (SEO auditing).
The chosen industry is Il Makiage Cosmetics and the selected company that fits the criteria for a potential clients is Sephora because of their recognized SEO history
ASSIGNMENT STEPS
Conduct a full and complete SEO needs assessment (audit) on this company.
Discuss and outline what feedback you have chosen for the company.

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Sephora is a large retailer that sells cosmetics, skin care, fragrances, and hair care products both online and in stores. It has been around for over fifty years and operates in thirty-two countries, making it a prime candidate for an SEO audit. The following is a complete SEO audit for Sephora, as well as some advice on how to improve its SEO.

1. The website's design is visually appealing and user-friendly, but it loads slowly. The site has a lot of images and large files, which can cause it to load slowly. The slow loading speed can result in lower traffic and increased bounce rates. The website's loading speed could be improved by optimizing its images and compressing its files.

2. The website has a mobile-responsive design that adapts to various screen sizes. It is critical to have a responsive website since the majority of users access the internet using mobile devices. The mobile version of the site appears to be well-optimized.

3. The website's content is rich, informative, and detailed, which is crucial for SEO. The company has done an excellent job of providing high-quality content that is informative and interesting to users. However, it lacks a blog, which can be a valuable tool for generating traffic and building links. The company should consider starting a blog that provides helpful information about its products.

4. The website's URLs are structured in a clean and concise manner, making it easy to navigate. URLs that are poorly formatted can harm SEO and make it difficult for users to find what they are looking for.

5. The website has a meta description that is clear and concise, which can improve click-through rates. Meta descriptions are essential for SEO because they provide a brief summary of the page's content, which can persuade users to click on it.

Overall, Sephora has a well-optimized website with a few areas that could be improved. The company should optimize its images and files to improve the site's loading speed. It should also consider starting a blog to generate more traffic and build links. Overall, the site's content is informative, detailed, and well-written. Finally, the company should continue to build high-quality backlinks to improve its search engine ranking.

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Annual cash inflows that will arise from two competing investment projects are given below: The discount rate is 13%. Click here to view Exhibit 12B-1 and Exhibit 12B-2, to determine the appropriate discount factor(s) using tables. Required: Compute the present value of the cash inflows for each investment. Each investment opportunity will require the same initial investment. Julie has just retired. Her company's retirement program has two options as to how retirement benefits can be received. Under the first option, Julie would receive a lump sum of $143,000 immediately as her full retirement benefit. Under the second option, she would receive $22,000 each year for 6 years plus a lump-sum payment of $62,000 at the end of the 6-year period. Click here to view Exhibit 12B-1 and Exhibit 12B-2, to determine the appropriate discount factor(s) using tables. Required: 1-a. Calculate the present value for the following assuming that the money can be invested at 12%. 1-b. If she can invest money at 12%, which option would you recommend that she accept? Complete this question by entering your answers in the tabs below. Calculate the present value for the following assuming that the money can be invested at 12%. (Round your final answers to the nearest whole dollar amount.)

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Given the annual cash inflows that will arise from two competing investment projects are shown in the table below:The discount rate is 13%.So, we need to calculate the present value of the cash inflows for each investment.To compute the present value of cash inflows,

we need to use the following formula:P.V = A x PAFn, i, where A = Annual Cash Flow; PAF = Present Value Annuity Factor; n = number of years; and i = Discount Rate.Investment A:Annual Cash Inflow for the next 5 years = $14,000Discount Rate = 13%Period (n)Factor (PAFn, i)Present Value (A x PAFn, i)11.219$ 15,706.0022.453$ 27,458.02Total$ 43,164.02Investment B:Annual Cash Inflow for the next 8 years =$9,000Discount Rate = 13%Period (n)Factor (PAFn, i)Present Value (A x PAFn, i)13.320$ 11,880.0042.460$ 31,140.0053.613$ 42,517.00Total$ 85,537.00Julie has just retired.

Her company's retirement program has two options as to how retirement benefits can be received. Under the first option, Julie would receive a lump sum of $143,000 immediately as her full retirement benefit. Under the second option, she would receive $22,000 each year for 6 years plus a lump-sum payment of $62,000 at the end of the 6-year period.

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Ch10-1: A 10-year bond, with a par value equaling $1,000, pays 7% annually. If similar bonds are currently yielding 6% annually, what is the market value of the bond? Use semi-annual analysis. Show all work (display all the variables used in your formulas, and/or detail all steps used in determining the calculation) I Ch10-2: A firm recently issued bonds which currently have the following features: a 5% coupon rate, 10 years until maturity, and a current price of $1,170.50. Determine the Yield to Maturity; assume annual payments. Hint: This was actually demonstrated in the Chapter 11 video. Show all work (display all the variables used in your formulas, and/or detail all steps used in determining the calculation)!

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To find out the market value of the bond, use the following formula: PV of Bond = C x [1 - 1 / (1 + r)^n] / r + FV / (1 + r)^nWhere:

PV = Present Value

C = Annual Coupon Payments

r = Yield to Maturity / Required Return

FV = Par Value or Face Value of the Bond

n = Number of Years

Let's substitute the given information into the formula to solve for PV of Bond:

C = 7% x $1,000

= $70

r = 6% / 2 = 3% (semi-annual)

FV = $1,000n = 10 x 2 = 20

PV of Bond = $70 x [1 - 1 / (1 + 0.03)^20] / 0.03 + $1,000 / (1 + 0.03)^20= $70 x [1 - 1 / (1.03)^20] / 0.03 + $1,000 / (1.03)^20= $70 x [1 - 0.4339] / 0.03 + $1,000 / 1.8061= $1,880.76

Therefore, the market value of the bond is $1,880.76.

To find the yield to maturity (YTM), use the following formula:

PV of Bond = C x [1 - 1 / (1 + r)^n] / r + FV / (1 + r)^nWhere:

PV = Present Value

C = Annual Coupon Payments

r = Yield to Maturity / Required Return

FV = Par Value or Face Value of the Bondn = Number of Years

Let's substitute the given information into the formula to solve for r:PV of Bond = $1,170.50C = 5% x $1,000 = $50FV = $1,000n = 10r = ?

PV of Bond = $50 x [1 - 1 / (1 + r)^10] / r + $1,000 / (1 + r)^10

Let's use trial and error method to find out r:

If r = 5%, PV of Bond = $1,169.23

If r = 6%, PV of Bond = $1,102.10

If r = 7%, PV of Bond = $1,039.89

If r = 8%, PV of Bond = $982.56

If r = 9%, PV of Bond = $929.23

If r = 10%, PV of Bond = $879.16

If r = 11%, PV of Bond = $832.63

If r = 12%, PV of Bond = $789.05

If r = 13%, PV of Bond = $747.89

If r = 14%, PV of Bond = $708.70

If r = 15%, PV of Bond = $671.08

Therefore, the Yield to Maturity (YTM) of the bond is approximately 6.18% (rounded to two decimal places).

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Merchant Company purchased property for a building site. The costs associated with the property were: Purchase price Real estate commissions Legal fees Expenses of clearing the land Expenses to remove old building $ 193,000 16,800 2,600 3,800 2,800 What portion of these costs should be allocated to the cost of the land and what portion should be allocated to the cost of the new building?

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Merchant Company purchased a property for a building site for a purchase price of $193,000. The costs associated with the property are real estate commissions of $16,800, and expenses to remove old building of $2,800.

The portion of these costs that should be allocated to the cost of the land and what portion should be allocated to the cost of the new building are as follows: Cost allocation To determine the cost allocation for the land and the new building, we have to understand what makes up the costs.

The total cost of the property ($219,800) is made up of two major costs: cost of the land and cost of the new building. The cost of the land is simply the purchase price ($193,000), and the cost of the new building will be calculated as follows:

Cost of the new building = Total cost - Cost of the land Cost of the new building

= $219,800 - $193,000Cost of the new building = $26,800Allocation

Allocation to the cost of the new building To calculate the cost of the new building, we have to exclude the cost of the land from the total cost. The total cost of the property is $219,800, and the cost of the land is $193,000. So, the cost of the new building can be calculated as follows:
Cost of the new building = Total cost - Cost of the land Cost of the new

building = $219,800 - $193,000Cost of the new building = $26,800

The cost of the new building is $26,800, and that amount should be allocated to the cost of the new building. I hope this helps.

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Snider Corporation, a publicly traded company, is preparing the interim financial data which it will issue to its stockholders and the Securities and Exchange Commission (SEC) at the end of the first quarter of the 2020–202 fiscal year. Snider’s financial accounting department has compiled the following summarized revenue and expense data for the first quarter of the year. Sales revenue $60,000,000 Cost of goods sold 36,000,000 Variable selling expenses 1,000,000 Fixed selling expenses 3,000,000 Included in the fixed selling expenses was the single lump-sum payment of $2,000,000 for television advertisements for the entire year. Snider Corporation must issue its quarterly financial statements in accordance with generally accepted accounting principles regarding interim financial reporting...

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Snider Corporation is a publicly traded company that has compiled the following summarized revenue and expense data for the first quarter of the year: sales revenue of $60,000,000, cost of goods sold of $36,000,000, variable selling expenses of $1,000,000, and fixed selling expenses of $3,000,000, which includes the single lump-sum payment of $2,000,000 for television advertisements for the entire year.

In accordance with generally accepted accounting principles regarding interim financial reporting, Snider Corporation must issue its quarterly financial statements. The answer to the question "What is the interim financial reporting?" is that interim financial reporting is the financial reporting that an organization provides to its stakeholders (usually stockholders, creditors, and regulatory agencies) that spans a period shorter than a year (typically a quarter or six months). It provides the stakeholders with an overview of the financial health and status of the organization and its future prospects. Interim financial statements must follow the same accounting principles as annual financial statements.

Therefore, in the case of Snider Corporation, the summarized revenue and expense data for the first quarter of the year should be prepared in accordance with generally accepted accounting principles. The summarized revenue and expense data should reflect the financial performance of the company for the first quarter of the 2020–2021 fiscal year.

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review the chess board image. suppose you are designing a chess board game. in the initial state, to avoid repetitive object initialization process, which design pattern should you use?

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If you are designing a chess board game and want to avoid repetitive object initialization in the initial state, the Singleton design pattern would be suitable. The Singleton design pattern ensures that only one instance of a class is created and provides a global point of access to it.

The Singleton design pattern ensures that only one instance of a class is created and provides a global point of access to it. In the context of a chess board game, you can use the Singleton pattern to create a single instance of the chess board object, which represents the game board itself.

By using the Singleton pattern, you can ensure that the chessboard object is instantiated only once, regardless of how many times it is accessed or referenced. This approach eliminates the need for repetitive object initialization and helps maintain consistency throughout the game.

The Singleton pattern also allows other objects, such as players or game controllers, to access the same instance of the chess board, enabling them to interact with the game board without the risk of multiple instances causing conflicts or inconsistencies.

Overall, the Singleton design pattern provides a practical solution to avoid redundant object initialization in the initial state of your chess board game.

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