Now let's turn to page seventeen of the business plan. This section addresses our strategy for long-ter development of the company. In order to minimize risk over the long haul, we hope to grow only as quickly as the company can support. In other words, we want to avoid more borrowing so that the primary funding for growth comes from profits. We beleive taht this is the best way to develop a strong company that will not be seriously harmed by temporary downturns in the market. On page eighteen you will se our evaluation method outlined. The first phase of the evaluation of our business plan is set to begin early next year.
1.What is the topic of the talk?
A.Long-term growth plans
B.An offer for a leveraged buyout
C.How to minimize risk
D.where to borrow funds the answer is B Why?
2.How will the company fund its growth?
A.Bank loans
B.Profits
C.Sale of stocks
D.Owner investment the answer is A Why?
Hope someone could solve my problems!! Thanks very much!!