Marginal analysis is used for both "either-or" and "how much" decisions. only "either-or" decisions. only "how much" decisions. only those situations where the time value of money is involved.

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Answer 1

Marginal analysis is used for both "either-or" and "how much" decisions. This means that it is used when deciding between two alternatives or determining how much of something to produce or consume.

It is not limited to only one type of decision. However, it is not necessarily used only in situations where the time value of money is involved. Marginal analysis looks at the incremental cost and benefit of a particular decision. In other words, it examines the additional costs and benefits of producing or consuming one more unit of something. For example, if a company is deciding whether to produce more than 100 units of a product, it would use marginal analysis to determine whether the additional cost of producing more units would be worth the additional revenue earned.

This type of decision is a "how much" decision, as it is determining how much of a product to produce.Other "how much" decisions that would use marginal analysis include determining how much inventory to keep on hand, how many employees to hire, or how much advertising to invest in. On the other hand, "either-or" decisions would involve choosing between two options, such as whether to invest in one project or another, or whether to purchase one asset or another.

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Related Questions

In the Managerial Solution, we estimated a focus group's demand curve for iTunes downloads. The estimated coefficient on price was-413, and the 1-statistic was -12.8. What is the standard error of this estimated coefficient?

Answers

The standard error of the estimated coefficient is 32.11.

In the Managerial Solution, a focus group's demand curve for iTunes downloads is estimated. The estimated coefficient on price is -413, and the 1-statistic is -12.8. We need to find the standard error of the estimated coefficient. The formula for calculating standard error is `s.e. = b/ t`.

Here, b is the estimated coefficient, and t is the 1-statistic. We have the value of b as -413, and t as -12.8.

So, the standard error can be calculated as follows:

Standard error = -413/-12.8= 32.11

Therefore, the standard error is 32.11.

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Please answer the following question in project management:
Other macro factors such as weather, environment, etc. that influence the demand in residential and commercial HVAC market in the state of Oklahoma.

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In project management, other macro factors such as weather, environment, etc. influence the demand in residential and commercial HVAC market in the state of Oklahoma. This means that the demand for HVAC systems in the state is higher than in other areas, as people need to have reliable heating and cooling systems to protect themselves from the extreme weather conditions.

These macro factors could include the weather conditions and environmental factors that are specific to the state of Oklahoma. For example, Oklahoma is located in Tornado Alley, which is a region of the United States that experiences more tornadoes than any other part of the country. Other macro factors that can influence the demand for residential and commercial HVAC systems in Oklahoma include changes in the overall economic conditions of the state, changes in population demographics, and changes in building codes and regulations.

Economic conditions in the state can have a direct impact on the demand for HVAC systems, as people are less likely to invest in new systems when they are facing financial hardship. Demographic changes in the state can also have an impact on the demand for HVAC systems, as changes in population density can result in changes in the amount of heating and cooling that is required in a particular area.

Finally, changes in building codes and regulations can have an impact on the type of HVAC systems that are required in new construction projects, which can influence the demand for these systems in the state.

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One reason we saw for the firms to have a large size is a large MES (the economies of scale are exhausted at a large level of output). Another reason may be the scope economies (you may want to quickly review section 4.3.1 in chapter 4 of the textbook). Use the ideas of economies of scale and economies of scope to try and explain in short Why are the BC elementary schools small, secondary schools large, and universities very large? (4)
To give you some context,
• a typical elementary school in BC probably has about 80-200 students;
• a typical secondary school in BC probably has about 800-1,500 students;
• SFU has about 30,000 students, UBC about 65,000, UVic about 20,000;
• a typical elementary school teacher teaches everything;
• a typical secondary school teacher specializes in one or two subjects;
• a typical university instructor teaches a subject (specializes in it) and conducts research.

Answers

Economies of scale and economies of scope can be used to explain why BC elementary schools are small, secondary schools are large, and universities are very large. There are several reasons for this:

Elementary schools are small because of economies of scale. A large MES is required for the economies of scale to be exhausted. Elementary schools require little in terms of facilities or staff, which means that small schools can still operate efficiently and economically. Additionally, smaller schools offer a more personalized educational experience for young children.

Secondary schools are large because of economies of scope. Secondary schools require a wide range of facilities and specialized staff to provide a comprehensive education.

Larger schools can offer more specialized courses, sports programs, and extracurricular activities, which can attract more students and increase revenue. Larger schools can also offer a wider range of resources and support services for students and staff, such as counseling services and libraries.

Universities are very large due to both economies of scale and economies of scope. Universities require a significant amount of specialized facilities and staff, including professors, researchers, and support staff.

Larger universities can offer more courses, programs, and research opportunities, which can attract more students and increase revenue. Additionally, larger universities can offer a wider range of resources and support services for students and staff, such as research funding and career services.

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This exercise parallels the machine-purchase decision for the Mendoza Company that is discussed in the body of the chapter. Assume that Mendoza is exploring whether to enter a complementary line of business. The existing business line generates annual cash revenues of approximately $4,800,000 and cash expenses of $3,720,000, one-third of which are labor costs. The current level of investment in this existing division is $12,650,000. (Sales and costs of this division are not affected by the investment decision regarding the complementary line.)

Answers

Mendoza Company must consider the following things before making a purchase decision for the machine:

The ROI and PBP should be considered before the company buy the machine. ROI is an essential aspect to evaluate before investing in a new venture. ROI measures how much profit an investment generates compared to its cost. PBP, on the other hand, is the length of time required for an investment to recoup its initial outlay. The formula for calculating ROI is simple. ROI = (gain from investment – cost of investment) / cost of investment. The PBP formula is equally easy. PBP = investment / annual cash inflow.

Buy choice is the point of view that drives a purchaser from recognizing a need, creating choices, and picking a particular item and brand. Featured in the Chapter: A Neuromarketing Perspective on How Typefaces Influence Purchase Decisions by Customers

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Rational choice theory assumes that economic agents are rational and self-interested. Based on the evidence from behavioural laboratory experiments (e.g., dictator games), behavioural economists suggest that people are not always self-interested, rather they have intrinsic preferences for others’ well-being (e.g., altruism, inequity aversion). However, some other studies in behavioural economics investigate this further and disentangle the intrinsic preferences into several other factors. Following the discussion in the lecture, state two such studies that try to disentangle the true intrinsic preferences based on dictator games in the lab. Explain clearly and briefly the following: (i) what each study addresses; (ii) brief description of the experimental design; and (iii) intuitive explanations.

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A large electric utility company spews 62 million tons of greenhouse gases (mostly carbon dioxide) into the environment each year This company has committed to spending $2.1 billion in capital over the next five years to reduce its annual emissions by 6% More will be spent after five years to reduce greenhouse gases further. a. What is the implicit cost of a ton of greenhouse gas? b. If the United States produces 2 billion tons of greenhouse gases each year, how much capital must be spent to reduce total emissions by 4% over the next five years based on your answer in Part (a)? Cons a. The implicit cost of greenhouse gas is $ per ton.

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A large electric utility company spews 62 million tons of greenhouse gases (mostly carbon dioxide) into the environment each year This company has committed to spending $2.1 billion in capital over the next five years to reduce its annual emissions by 6%  will need  $43.04 billion to be spent to reduce total emissions by 4% over the next five years in the United States.

a. To calculate the implicit cost of a ton of greenhouse gas emissions, we divide the total capital expenditure by the reduction in emissions. In this case, the company will spend $2.1 billion over five years to reduce emissions by 6%. Therefore, the implicit cost per ton of greenhouse gas emissions is:

Implicit cost = Total capital expenditure / Reduction in emissions

Implicit cost = $2.1 billion / (0.06 × 62 million tons)

Implicit cost = $5.38 per ton

b. If the United States produces 2 billion tons of greenhouse gases each year and we want to reduce total emissions by 4% over the next five years, we can calculate the capital expenditure required based on the implicit cost per ton calculated in part (a).

Capital expenditure = Reduction in emissions × Total emissions × Implicit cost per ton

Capital expenditure = (0.04 × 2 billion tons) × $5.38 per ton

Capital expenditure = $43.04 billion

Therefore, approximately $43.04 billion must be spent to reduce total emissions by 4% over the next five years in the United States.

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Newcastle Coal Company is considering a project that requires an investment in new equipment of $3,600,000, with an additional $180,000 in shipping and installation costs. Newcastle estimates that its accounts receivable and inventories need to increase by $720,000 to support the new project, some of which is financed by a $288,000 increase in spontaneous liabilities (accounts payable and accruals).
The total cost of Newcastle's new equipment is___________ the and consists of the price of the new equipment plus the_______

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The total cost of Newcastle's new equipment is $3,780,000, and consists of the price of the new equipment plus the shipping and installation costs.

The total cost of the new equipment for Newcastle Coal Company is calculated by adding the initial investment cost of the equipment ($3,600,000) to the additional costs of shipping and installation ($180,000). Therefore, the total cost of the new equipment is $3,780,000.

The investment in new equipment is not limited to just the purchase price. Additional costs such as shipping and installation expenses need to be considered when determining the total cost of the project. In this case, Newcastle estimates that it will incur $180,000 in shipping and installation costs in addition to the $3,600,000 price of the new equipment. By adding these two amounts together, the total cost of the new equipment for the project is determined to be $3,780,000.

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The city of Middleville is considering offering public bus service. Setting up the service will cost the city $1.6M (where M stands for million). The useful life of the buses is 18 years. Annual maintenance of the buses would cost $142,000 per year and they would need a major overhaul in year 11 that will cost a total of $880,000. This overhaul is in addition to the annual maintenance. Annual labor and administrative costs will begin at $165,000 in year 1 and grow at 2.0% per year thereafter. The buses will generate a revenue of $250,000 in year 1 and it will grow at 4.0% per year thereafter. Reduced parking requirements and other benefits generated by the project will save the city $325,000 per year. The salvage value (price the city can get in the future after maintenance) of the used buses in year 18 is expected to be $420,000. What is the NPV of the bus proposal? The city does not pay taxes and the discount rate is 7.7%. Assume that all cash flows except initial investments happen at the end of the year and you are strongly encouraged to use a spreadsheet to solve this problem.

A) $1,610,340.50

B) $1,110,695.76

C) $1,221,196.86

D) $1,262,224.64

Answers

To calculate the Net Present Value (NPV) of the bus proposal, we need to discount the cash flows to their present value and subtract the initial investment. Let's calculate it step by step:

1. Calculate the annual cash flows:

Year 1: Revenue - Maintenance - Labor/Admin Costs - Parking SavingsYear 2-10: Revenue (growing at 4% per year) - Maintenance - Labor/Admin Costs - Parking SavingsYear 11: Revenue (growing at 4% per year) - Maintenance - Labor/Admin Costs - Parking Savings - Overhaul CostYear 12-17: Revenue (growing at 4% per year) - Maintenance - Labor/Admin Costs - Parking SavingsYear 18: Revenue (growing at 4% per year) - Maintenance - Labor/Admin Costs - Parking Savings + Salvage Value

2. Discount each annual cash flow to its present value using the discount rate of 7.7%.

3. Sum up all the present values of cash flows.

4. Subtract the initial investment of $1.6 million.

Let's calculate the NPV using a spreadsheet:

Year | Cash Flow                       | Present Value (Discounted)              

1    | $250,000 - $142,000 - $165,000  | $256,008.59                     2-10 | $250,000 * (1.04)^(year-2)      | $1,768,619.11 - $142,000 - $165,000 11   | $250,000 * (1.04)^(year-2)      | $2,209,858.55 - $142,000 - $165,000 - $880,00012-17| $250,000 * (1.04)^(year-2)      | $13,457,840.43 - $142,000 - $165,000 18   | $250,000 * (1.04)^(year-2) + $420,000 | $2,440,003.14 - $142,000 - $165,000 + $420,000

Discount rate: 7.7%

Using the spreadsheet to calculate the present value for each year's cash flow, we find that the sum of all the discounted cash flows is approximately $14,733,860.32.

Finally, subtracting the initial investment of $1.6 million, we get:

NPV = $14,733,860.32 - $1,600,000 = $13,133,860.32

Therefore, the NPV of the bus proposal is approximately $13,133,860.32. None of the given answer options matches this value, so none of the provided options are correct.

About Investment

Investment, is a activity, either directly or indirectly, with the hope that in the future the owner of the capital will receive a number of benefits from the results of the investment.

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Corporations have been around for a long time, but limited liability companies (LLCs), which have many of the characteristics of corporations, have become popular in recent years.

1. When is an LLC a better choice for a form of business than a corporation? Why?

2.When is a corporation a better choice for a form of business than an LLC? Why?

Answers

1. An LLC may be a better choice for a form of business than a corporation in certain circumstances. Firstly, LLCs provide flexibility in terms of management structure.

Unlike corporations, which have a more rigid hierarchy with a board of directors and officers, LLCs allow for a more informal and adaptable management structure. This can be advantageous for smaller businesses or those with a more collaborative decision-making process.

LLCs offer greater flexibility in tax treatment. By default, LLCs are taxed as pass-through entities, meaning that profits and losses are passed through to the owners' personal tax returns. This avoids the double taxation that corporations face, where both the business and its owners are taxed on profits. LLCs also have the option to elect corporate tax treatment if it aligns better with their financial goals.

2. A corporation may be a better choice for a form of business than an LLC in certain situations. Firstly, corporations offer limited liability protection to shareholders.

This means that the personal assets of shareholders are separate from the corporation's debts and obligations, providing a higher level of protection against business-related liabilities. In an LLC, while members have limited liability, it may not be as robust as the corporate structure.

Secondly, corporations are often preferred when seeking external funding or issuing shares to raise capital. The corporate structure, with its well-defined ownership shares and established market for buying and selling stocks, is more familiar and attractive to investors. This can make it easier for corporations to access capital for growth or expansion compared to LLCs.

Overall, the choice between an LLC and a corporation depends on various factors, such as the business's size, management structure preferences, tax considerations, liability protection needs, and funding requirements. Consulting with legal and financial professionals is essential to make an informed decision based on the specific circumstances and goals of the business.

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4. Explain Hofstede’s cultural dimensions. Explain
any two cultural dimensions with examples. (300 words)

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Hofstede's cultural dimensions theory is a framework for cultural analysis, widely utilized in cross-cultural communication and cultural studies. The six cultural dimensions are Power Distance, Individualism vs. Collectivism, Masculinity vs. Femininity, Uncertainty Avoidance, Long-term Orientation vs. Short-term Orientation, and Indulgence vs. Restraint. Below are two of the cultural dimensions

The theory is based on six cultural dimensions that are used to explain and assess cultural differences across different countries, regions, and cultures. The six cultural dimensions are Power Distance, Individualism vs. Collectivism, Masculinity vs. Femininity, Uncertainty Avoidance, Long-term Orientation vs. Short-term Orientation, and Indulgence vs. Restraint. Below are two of the cultural dimensions. Power Distance, this dimension refers to the level of acceptance of hierarchical authority or power between people in a given society.

Societies with high power distance generally accept unequal power distribution and may have strict social hierarchies. For instance, in India, a high power distance society, people tend to accept and follow orders from people in positions of power without questioning their authority. In contrast, in Denmark, a low power distance society, people value equality, and people in positions of power are seen as equals. Individualism vs. Collectivism, this dimension refers to the extent to which people view themselves as independent individuals or as part of a group.

In individualistic societies, people value their personal freedom and independence, while in collectivist societies, people value social harmony and cooperation. For instance, in the United States, an individualistic society, people value personal achievement and self-expression. In contrast, in Japan, a collectivist society, people value group harmony and interpersonal relationships. So therefore framework for cultural analysis created by Geert Hofstede is framework for cultural analysis with six cultural dimensions, that are are Power Distance, Individualism vs. Collectivism, Masculinity vs. Femininity, Uncertainty Avoidance, Long-term Orientation vs. Short-term Orientation, and Indulgence vs. Restraint

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Discuss what if an individual want to borrow money from the bank
what will the bank look at to see if an individual will manage to
honor her obligations?

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If an individual wants to borrow money from a bank, the bank will evaluate their credit worthiness and assess whether or not they will be able to pay back the loan.

The following are some of the things that the bank will look at to determine if the individual will be able to honor their obligations: Credit score: A credit score is a number assigned to an individual that reflects their creditworthiness. If an individual has a credit score of more than 100, the bank will be more likely to approve their loan request, as a higher score indicates that they are a lower credit risk. Income: The bank will also look at the individual's income to determine if they will be able to make their loan payments.

They will compare the individual's income to their debt-to-income ratio to determine if they can afford the loan. This is the ratio of the individual's monthly debt payments to their monthly income. Collateral: The bank may also require collateral, such as a car or a home, to secure the loan. This provides the bank with some assurance that they will be able to recover their money if the individual defaults on their loan. History of repayment: The bank may check the individual's repayment history to see if they have any late payments or delinquent accounts.

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The learning curve for a product is 80%. It took 15 hours to complete the first unit. using the logarithmic method How long will it take to complete the 5th unit. Select one: a. 10.56 hours
b. 5.45 hours
c. 9.67 hours
d. 13.55 hours
e. 8.93 hours

Answers

With a learning curve of 80%, it would take around 12.55 hours to complete the 5th unit.

Learning curve of the product = 80%

Time for the first unit = 15 hours

Total number of units = 5

A learning curve is a mathematical notion that illustrates visually how a process improves with practise and learning over time. According to the learning curve idea, tasks will demand less time and resources as they are carried out more frequently due to the proficiency that is acquired when the procedure is learnt.

Calculating the time as per the learning curve -

Time for nth unit = Time for the first unit x (n^log(learning curve))

Time for 5th unit will be -

= [tex]15 x (5^log(0.80))[/tex]

= [tex]15 x (5^-0.09691)[/tex]

= 15 x 0.8367

= 12.55

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The quality department at an electronics company has noted that, historically, 93% of the units of a specific product pass a test operation, 5% fail the test but are able to be repaired, and 2% fail the test and need to be scrapped. Due to recent process improvements, the quality department would like to test if the rates have changed. A recent sample of 500 parts revealed that 471 parts passed the test, 20 parts failed the test but were repairable, and 9 parts failed the test and were scrapped. (You may find it useful to reference the appropriate table: chi-square table or F table)

a. Choose the appropriate alternative hypothesis for the test.

multiple choice 1

At least one of the pi (i = 1, 2, 3) differs from its hypothesized value.

All pi (i = 1, 2, 3) values differ from its hypothesized value.

b-1. Compute the value of the test statistic. (Round the intermediate calculations to at least 4 decimal places and final answer to 3 decimal places.)

b-2. Find the p-value.

multiple choice 2

p-value 0.10

0.05 p-value < 0.10

0.025 p-value < 0.05

0.01 p-value < 0.025

p-value < 0.01

c-1. At the 5% significance level, what is your conclusion?

c-2. Would your conclusion change at the 1% significance level?

multiple choice 3

No

Yes

Answers

The correct answer is: p-value > 0.10.

a. The appropriate alternative hypothesis for the test is: "At least one of the pi (i = 1, 2, 3) differs from its hypothesized value."

b-1. To compute the test statistic, we need to calculate the expected frequencies under the null hypothesis.

Assuming the null hypothesis is true, the expected frequencies are:

Expected frequency for passing the test: (500) * (0.93) = 465

Expected frequency for failing the test but repairable: (500) * (0.05) = 25

Expected frequency for failing the test and scrapping: (500) * (0.02) = 10

The test statistic for the chi-square test is calculated using the formula:

χ² = Σ [(Oᵢ - Eᵢ)² / Eᵢ],

where Oᵢ is the observed frequency and Eᵢ is the expected frequency for each category.

Using the observed and expected frequencies:

χ² = [(471 - 465)² / 465] + [(20 - 25)² / 25] + [(9 - 10)² / 10]

= [36 / 465] + [25 / 25] + [1 / 10]

= 0.077 + 1 + 0.1

= 1.177 (rounded to 3 decimal places)

b-2. To find the p-value, we compare the test statistic to the chi-square distribution with (3-1) = 2 degrees of freedom. Looking up the p-value in the chi-square table or using statistical software, we find that the p-value is greater than 0.10.

Therefore, the correct answer is: p-value > 0.10.

c-1. At the 5% significance level, since the p-value is greater than 0.05, we fail to reject the null hypothesis. This means there is not enough evidence to conclude that the rates have changed.

c-2. At the 1% significance level, the conclusion would remain the same.

The p-value is still greater than 0.01, so we would still fail to reject the null hypothesis and conclude that there is not enough evidence to suggest a change in the rates.

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An investor required 10% return on his money. A property had gross annual income of $110,000, a vacancy rate of 4%, and operating expenses of $10,000. What would be the maximum price that the investor

Answers

The maximum price that the investor should pay for the property would be $1,000,000.

Explanation: To calculate the maximum price, we need to use the Net Operating Income (NOI) and the required rate of return. The NOI is the gross annual income minus the vacancy rate and operating expenses.

Calculate the Net Operating Income (NOI):

Gross Annual Income = $110,000

Vacancy Rate = 4% (4/100)

Operating Expenses = $10,000

NOI = Gross Annual Income - (Gross Annual Income * Vacancy Rate) - Operating Expenses

= $110,000 - ($110,000 * 0.04) - $10,000

= $110,000 - $4,400 - $10,000

= $95,600

Determine the maximum price based on the required rate of return:

Required Rate of Return = 10% (10/100)

Maximum Price = NOI / Required Rate of Return

= $95,600 / 0.10

= $956,000

Therefore, the maximum price that the investor should pay for the property is $956,000.

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Valuation) Fingen’s 16-Year, $1,000 Par Value Bonds Pay 12% Interest Annually. The Market Price Of The Bonds Is $1,150 And The Market’s Required Yield To Maturity On A Comparable-Risk Bond Is 9%.A. Compute The Bond’s Yield To Maturity.B. Determine The Value Of The Bond To You, Given Your Required Rate
(Related to Checkpoint 9.2 and Checkpoint 9.3) (Bond valuation) Fingen’s 16-year, $1,000 par value bonds pay 12% interest annually. The market price of the bonds is $1,150 and the market’s required yield to maturity on a comparable-risk bond is 9%.

a. Compute the bond’s yield to maturity.
b. Determine the value of the bond to you, given your required rate of return.
c. Should you purchase the bond? (Options- should/should not. Overpriced/Underpriced


a. What is your yield too majority on the Fingen bonds given the market price of the bonds?
__% (Round to two decimal places.)

Answers

a. The yield to maturity on the bond is 10.15%.

b. The bond is worth $1,045.88 to you given your required rate of return.

c. You should not purchase the bond as it is overpriced.

a. The yield to maturity is a useful method of estimating the expected return on a bond, taking into account any premium or discount to par value and the coupon rate. This calculation assumes that all interest payments are reinvested at the same rate, resulting in a more precise estimate of actual return.

The formula for calculating the yield to maturity is as follows:

YTM = (C + ((FV - PV) / n)) / ((FV + PV) / 2)

Where: C is the annual coupon payment, FV is the face value of the bond, PV is the present value of the bond, n is the number of years to maturity

Substituting the given values, we get;

YTM = (120 + ((1000 - 1150) / 16)) / ((1000 + 1150) / 2) ≈ 10.15%

b. The bond's value is calculated using the present value formula, which is:

PV = C * (1 - (1 / (1 + r)^n)) / r + FV / (1 + r)^n

Where: r is the required rate of return, C is the annual coupon payment, FV is the face value of the bond, PV is the present value of the bond, n is the number of years to maturity

Substituting the given values and using the yield to maturity computed in part a., we get;

PV = 120 * (1 - (1 / (1 + 0.11)^16)) / 0.11 + 1000 / (1 + 0.11)^16 ≈ $1,045.88

c. Since the bond's value is less than the current market price, it is overpriced. Therefore, you should not purchase the bond.

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if you wish to pursue an accounting job with a focus on cost analysis and budgeting, you would pursue the path of a:

Answers

If you wish to pursue an accounting job with a focus on cost analysis and budgeting, you would pursue the path of a Cost Accountant.

Cost accounting is a kind of accounting that aims to assist firms in assessing their processes by evaluating the costs of goods and services and then providing a report on those costs. Cost accounting techniques differ from those used in financial accounting in that they are created to help managers make better decisions.The following are some of the key roles of cost accountants:

Assess the costs of manufacturing a good or providing a service

Estimating the price of producing a product or service can be difficult. A cost accountant will assist a company in determining the direct and indirect expenses associated with producing a product or providing a service. The cost accountant will use a combination of methods to collect data on each expense and will include them in the cost analysis. By accurately assessing the costs associated with production, cost accountants can assist businesses in setting prices that are both competitive and profitable.

Analyzing cost variances.

Cost accountants study the differences between the expected costs and the actual costs of producing a good or providing a service. They investigate these variances to determine why there was a difference and what can be done to reduce the differences in the future.

Providing financial insightCost accountants can provide management with financial data that can aid in decision-making. By studying data and assessing the impact of cost changes on pricing and overall profitability, cost accountants may give insights that help management optimize performance and maintain the financial health of the firm.

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The charter of a corporation provides for the issuance of 150,000 shares of common stock. Assume that 62,000 shares were originally issued and 12,700 were subsequently reacquired. What is the number of shares outstanding?
a.62,000
b.150,000
c.12,700
d.49,300

Answers

The number of shares outstanding is 49,300 shares, which corresponds to option d.

To determine the number of shares outstanding, we subtract the number of shares reacquired from the number of shares originally issued.

In this case:

Number of shares originally issued = 62,000 shares

Number of shares subsequently reacquired = 12,700 shares

We can calculate the number of shares outstanding using the formula:

Number of shares outstanding = Number of shares originally issued - Number of shares subsequently reacquired

Number of shares outstanding = 62,000 shares - 12,700 shares

Number of shares outstanding = 49,300 shares

Therefore, the correct answer is option d.

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On June 1, Shamrock, Inc. issues 2,600 shares of no-par common stock at a cash price of $8 per share. Journalize the issuance of the shares. (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter for the amounts.)

Answers

To journalize the issuance of the shares of no-par common stock by Shamrock, Inc. on June 1, you would record the following entry:

Date         Account Titles                   Debit           Credit

-----------------------------------------------------------------------------

June 1     Cash                                        $20,800    (2,600 shares x $8)

               Common Stock                                      $20,800

Explanation:

In this transaction, Shamrock, Inc. issues 2,600 shares of no-par common stock at a cash price of $8 per share. The total cash received is calculated by multiplying the number of shares (2,600) by the cash price per share ($8), resulting in $20,800. The amount received from the issuance of shares is recorded as a debit to the Cash account.

The Common Stock account is credited with the same amount, representing the issuance of the shares to the shareholders. This entry reflects the increase in the company's equity due to the issuance of the new shares.

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Which of the following would not be found on an income statement?
(a) Rent expense
(b) Dividends
(c) Revenues
(d) Net income.

Answers

Dividends would not be found on an income statement.

An income statement, also known as a profit and loss statement, is a financial statement that reports a company's revenues, expenses, and net income or net loss over a specific period. It is used to assess the profitability and performance of a business. The items typically included on an income statement are revenues, expenses, and net income or net loss.

Rent expense is an operating expense that represents the cost of renting or leasing a property for business operations and would be found on an income statement. Revenues represent the income generated from the sale of goods or services and are a key component of an income statement. Net income is the final result after deducting all expenses from revenues and is reported on an income statement.

However, dividends are not recorded on an income statement. Dividends are distributions of earnings to shareholders and are reported on the statement of retained earnings or the statement of changes in shareholders' equity.

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Boutique and Corneo are two competing garment businesses that produces only one type of product. Information about the expected sales volume, price and cost structures of the two businesses are given below: Boutique 1,200 450 Corneo 1,000 480 Budgeted monthly sales Selling price Variable cost per unit Direct material Conversion costs Fixed cost per month 120 260 50,000 100 230 120,000 Assume a tax rate of 28% Required: 1. Calculate the following for Boutique: (a) Break-even in dollars. (3 marks) (b) Target sales volume in units, assuming a target profit of $30,000 after tax. (4 marks) (c) Margin of safety as a percentage. (3 marks) (d) If Boutique's conversion cost increase by 6%, how many units will the company have to sell to reach its break-even point? (3 marks) 2. Calculate the sales volume that will result in Boutique and Corneo having the same operating profit. (5 marks)

Answers

Boutique and Corneo are two garment businesses that are in competition and produce only one type of product. The expected sales volume, price, and cost structures of both businesses are given below:Budgeted monthly sales:Selling price:Variable cost per unit .

Calculation of Break-Even in Dollars for Boutique is done as follows:Total Fixed Cost = $50,000Variable cost per unit = $260Selling price per unit = $450Let's use the following equation to calculate the break-even point: Break-even point = Fixed costs / (Sales price per unit - Variable costs per unit)Break-even point = $50,000 / ($450 - $260) = 314.1Thus, Boutique's break-even point is $141,041.56. Calculation of Target sales volume in units, assuming a target profit of $30,000 after tax for Boutique:Target net profit = Operating profit * (1 - Tax rate)Target net profit = $30,000 / (1 - 0.28) = $41,666.67.

We can use the following equation to determine the required sales volume: Target unit sales = (Fixed costs + Target net profit) / (Sales price per unit - Variable costs per unit)Target unit sales = ($50,000 + $41,666.67) / ($450 - $260) = 320.6Thus, Boutique will need to sell 321 units to achieve its target net profit of $30,000 after tax. The calculation of Margin of safety as a percentage for Boutique is done as follows:Margin of safety = (Actual Sales – Break-even sales) / Actual SalesMargin of safety = (1,200 - 314.1) / 1,200 = 73.83%Thus, Boutique has a margin of safety of 73.83%. If Boutique's conversion cost increases by 6%,.

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Answer all parts (a) to (e) of this question. If a firm produces quantities q₁ and q2 of two goods, its total cost is: C = q₁ +q_1^2+q_2^2-aq1q2. The goods are sold in competitive markets at prices p₁>1 and p2. (a) [10 marks] Write down an expression for the profit of the firm. Obtain and provide an economic interpretation for the first-order profit-maximising conditions. (b) [10 marks] Using the Cramer's rule, find the quantities q₁ and q2 that satisfy the first order conditions. (c) [10 marks] Find the second-order conditions for profit maximisation. For what values of a are the second-order conditions satisfied? (d) [10 marks] Assume the second-order condition is satisfied. Use calculus to determine the way in which the supply of good 2 varies with a rise in p₁. Explain why it depends on the sign of a. (e) [10 marks] Assume the second-order condition is satisfied. If p₁ = 0.5 and p2 = 1, under which condition about a will good 1 be supplied by the firm? Explain the economic intuition behind the results.

Answers

The profit of a firm can be expressed as C By substituting the expression of C in the equation above Taking the partial derivative of P with respect to q₁ and setting it equal to zero Using Cramer's rule, we can solve for The second-order condition is satisfied when the determinant of the Hessian is negative.

The Hessian of P with respect to q₁ and q₂ is given by The determinant of the Hessian is After simplifying, we get When the second-order condition is satisfied, the supply of good 2 varies with a rise in p₁ according to the following equation The sign of a determines whether the supply of good 2 will increase or decrease as p₁ increases.

When which means that the supply of good 2 increases with an increase in . On the other hand, when which means that the supply of good 2 decreases with an increase in When and the profit of the firm can be expressed as The supply of good 1 will be positive when the partial derivative of P with respect to q₁ is positive. The economic intuition behind this result is that when a is small, the firm can produce both goods at a low cost, so it will supply good 1 as long as the price is higher than half the cost.

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Which one of the following is not a reason why a company decides to enter foreign markets?
O To gain access to more buyers for the company's products/services
O To achieve lower costs and thereby become more cost competitive
O To further exploit the company's competitively valuable resources and capabilities
O To spread business risk across a wider geographic market area
O To build the profit sanctuaries necessary to wage guerilla offensives against global challengers endeavoring to invade the company's home market

Answers

The option "O To build the profit sanctuaries necessary to wage guerrilla offensives against global challengers endeavoring to invade the company's home market" is not a typical reason why a company decides to enter foreign markets.

The primary reasons for a company to enter foreign markets typically include:

To gain access to more buyers for the company's products/services.

To achieve lower costs and become more cost competitive.

To further exploit the company's competitively valuable resources and capabilities.

To spread business risk across a wider geographic market area.

The mentioned reason about building profit sanctuaries and waging guerrilla offensives against global challengers is not a common motivation for entering foreign markets. Instead, companies often expand globally to tap into new market opportunities, access resources, increase market share, and diversify their operations.

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marketing question advertising
V. Discussion (15') Define issues affecting the management of creative strategy and its implementation? C) se C) op D) co C) m. B) Bra A) con B) cog D) do/f B) Obje C) creati C) brand B) paralle B) ow

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The various issues that affect the management of creative strategy and its implementation in advertising are listed below: Coordination, brand knowledge, objectives, paralleling of objectives, creative brief, creative quality, constraints, and cooperation.

Coordination: All the team members involved in the process of creative strategy and its implementation must be on the same page. There should be no communication gaps in the team to develop an effective creative strategy and put it into action.

Brand knowledge: The marketing manager should be familiar with the brand that he/she is promoting. Without proper knowledge about the brand, it becomes difficult to create a creative strategy that suits the brand.

Objectives: The objectives of the creative strategy should align with the organization's objectives. An effective creative strategy must achieve the organization's objectives and should also attract the target audience to the brand.

Paralleling of objectives: The creative strategy should not conflict with the organization's objectives or values. Instead, it should complement and support them.

Creative brief: The creative brief is an important document that outlines the strategy for the creative team. It should contain all the necessary information and data to help the creative team work efficiently.

Creative quality: The creative quality should be consistent with the creative brief. The creative team should keep the client's requirements in mind while developing the creative strategy and its implementation.

Constraints: Budget and time constraints can affect the implementation of a creative strategy. It is the marketing manager's responsibility to ensure that the creative strategy is implemented within the allocated budget and time frame.

Cooperation: Cooperation between different teams is necessary to develop an effective creative strategy and its implementation. The team should be open to feedback and be able to make necessary changes to the creative strategy if needed.

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what are the key considerations when evaluating the design and testing of the operating effectiveness of internal controls in conjunction with a financial statement audit?

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When it comes to the financial statement audit, internal control plays a vital role in enhancing the accuracy and reliability of financial reporting. The internal controls can detect errors, frauds, and other irregularities that may exist in the organization.

As an auditor, you should evaluate the design and testing of the operating effectiveness of internal controls to assess the extent to which the internal controls provide reasonable assurance that financial reporting is accurate and reliable. Here are some key considerations for evaluating the design and testing of the operating effectiveness of internal controls in conjunction with a financial statement audit.

1. Understand the entity's internal control system
The auditor should develop a clear understanding of the internal control system of the entity. The auditor should understand the design of the internal control system and evaluate the effectiveness of the system in mitigating the risks associated with the financial reporting process.
2. Evaluate the design of internal control
The auditor should evaluate the design of the internal control system to ensure that the controls are designed to mitigate the risks associated with the financial reporting process. The auditor should also evaluate whether the controls are operating effectively.
3. Test the operating effectiveness of internal controls
The auditor should test the operating effectiveness of the internal control system to determine whether the controls are operating effectively. The auditor should perform tests of controls to assess whether the controls are functioning as intended and are effective in mitigating the risks associated with the financial reporting process.
4. Evaluate deficiencies in internal control
The auditor should evaluate any deficiencies in the internal control system and determine whether the deficiencies are significant enough to affect the auditor's opinion on the financial statements. The auditor should also evaluate whether management has taken appropriate corrective action to address the deficiencies.5. Document the results of the evaluation
The auditor should document the results of the evaluation of the internal control system. The documentation should include the auditor's assessment of the design and operating effectiveness of the internal controls, any deficiencies in the internal control system, and the auditor's conclusion on the effectiveness of the internal control system.
In conclusion, the auditor should consider the above key considerations when evaluating the design and testing of the operating effectiveness of internal controls in conjunction with a financial statement audit. The auditor's evaluation of the internal control system provides assurance to the users of the financial statements that the financial statements are accurate and reliable.

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Use the following information for stock ROCK and stock

ROLL:E( rROCK)=.11 SDrock=.20

E(rROLL)=.15 SDroll=.25

rf=.02 Correlation coefficient= .75

Find the standard deviation of a portfolio with 30% allocated to stock ROCK and 70% allocated to stock ROLL

Answers

The standard deviation of a portfolio with 30% allocated to stock ROCK and 70% allocated to stock ROLL is 0.227 or 22.7%.To find the standard deviation of a portfolio with 30% allocated to stock ROCK and 70% allocated to stock ROLL, use the following formula:

σp = √[(wrock)^2 × σrock^2 + (wroll)^2 × σroll^2 + 2(wrock)(wroll) × σrock × σroll × ρrock,roll]

Where,σp = Standard deviation of portfolio with two stocks

wrock = Proportion of investment in stock

ROCKwroll = Proportion of investment in stock

ROLLσrock = Standard deviation of stock

ROCKσroll = Standard deviation of stock

ROLL Rock and

Roll stocks E(rROCK) = 0.11SDrock = 0.20E(rROLL) = 0.15SDroll = 0.25rf = 0.02ρrock,roll = 0.75σp = √[(0.3)^2 × (0.20)^2 + (0.7)^2 × (0.25)^2 + 2(0.3)(0.7) × (0.20)(0.25) × (0.75)]σp = 0.227 or 22.7%.

Therefore, the standard deviation of a portfolio with 30% allocated to stock ROCK and 70% allocated to stock ROLL is 0.227 or 22.7%. Portfolio is a combination of multiple investments, such as stocks, bonds, and real estate. Investors who diversify their investments across different types of securities may reduce their overall risk since their investments' returns are not closely linked to one another.

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Why would a potential lender be interested in fixed assets and current assets when reviewing the balance sheet of a company applying for a long-term loan? How right equity financing versus debt financing meact a potencial lender's decision?

Answers

A potential lender reviews fixed assets and current assets on a company's balance sheet for a long-term loan to assess collateral and liquidity.

Fixed assets, like property and equipment, can be used as collateral, providing security for the lender in case of default. They also indicate the company's long-term investment and cash flow potential. Current assets, such as cash and inventory, reflect short-term liquidity and the ability to meet obligations.

Equity financing, where owners bear risk, provides more cushion for lenders compared to debt financing, which increases the lender's risk. Lenders consider the company's debt-to-equity ratio, profitability, and cash flow to evaluate financial stability. Higher equity and lower debt-to-equity ratio signify better stability, reducing the lender's risk.

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2-42
Gross Margin and Contribution Margin
General Mills produces and sells food products such as cereals (Cheerios and Wheaties) and baking products (Gold Medal flour and Betty Crocker cake mixes). A condensed 1994 income statement follows (in millions):
Sales
Costs of goods sold
Gross margin
Other operating expenses
Operating income
$8.517
4,458
4,059
3,306
$
753
Required
Assume that $960 million of the cost of goods sold is a fixed cost representing depreciation and other production costs that do not change with the volume of production. In addition, $2,120 million of the other operating expenses is fixed.
1. Compute the total contribution margin for 1994 and the contribution margin percentage. Explain why the contribution margin differs from the gross margin.
2. Suppose that sales for General Mills were predicted to increase by 10% in 1995 and that the cost behavior was expected to continue in 1995 as it did in 1994. Compute the predicted operating income for 1995. By what percentage did this predicted 1995 operating income exceed the 1994 operating income?
3. What assumptions were necessary to compute the predicted 1995 operating income in requirement 2?

Answers

Total contribution margin = sales - variable costs.Contribution margin percentage = (contribution margin / sales) x 100 For General Mills:Total contribution margin = 8,517 - (4,458 - 960) = 5,019 Contribution margin percentage = (5,019 / 8,517) x 100 = 59.02%.

The difference between the contribution margin and the gross margin is the fixed costs, which were subtracted from the sales to obtain the contribution margin, but included in the cost of goods sold to obtain the gross margin. 2. Predicted operating income for 1995 = 0.1(8,517) + 4,059 - 3,306 - 2,120 = $834.3 million Percentage increase in predicted operating income from 1994: (834.3 - 753) / 753 x 100 = 10.80%.

3.The assumptions that were necessary to compute the predicted 1995 operating income are that:Sales are predicted to increase by 10%.The cost behavior will continue in 1995 as it did in 1994.Fixed costs are not expected to change in 1995.

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T/F. A conflict involves a serious clash of values, perceptions, or ideas and can jeopardize productivity in terms of one's relationships at work and dealings with customers

Answers

True. A conflict involves a serious clash of values, perceptions, or ideas, and it has the potential to disrupt relationships and productivity in the workplace.

Conflicts can arise due to differences in opinions, goals, or approaches, leading to tension and strain among individuals or groups. When conflicts remain unresolved or escalate, they can have negative consequences on teamwork, communication, and overall work environment.

Conflicts can impact relationships with colleagues, superiors, and even customers, as they can create a hostile or uncooperative atmosphere. Productivity may suffer as focus and energy are diverted towards the conflict rather than the tasks at hand.

Therefore, it is important to address conflicts promptly and effectively to minimize their impact and maintain a positive and productive working environment.

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Consider one of the organizations you have been affiliated with. What are some examples of human resource practices that were consistent with that organization’s strategy? What are examples of practices that were inconsistent with its strategy?

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One organization that I have been affiliated with is a technology startup company that aimed to disrupt the e-commerce industry by offering innovative solutions. The organization's strategy was centered around agility, innovation, and attracting top talent.

1. Flexible Work Arrangements: The company offered flexible work hours and remote work options, allowing employees to have a better work-life balance and fostering a culture of trust and autonomy. This practice aligned with the organization's focus on agility and innovation.

2. Emphasis on Continuous Learning: The organization provided opportunities for employees to participate in training programs, attend conferences, and engage in skill development activities. This practice promoted a culture of continuous learning and innovation, supporting the organization's strategic objective of staying ahead in a rapidly evolving industry.

3. Recruiting Top Talent: The company had a rigorous recruitment process that focused on attracting and hiring top talent with a strong track record of innovation and creativity. This practice aligned with the organization's strategy of being at the forefront of technological advancements.

On the other hand, there were some human resource practices that were inconsistent with the organization's strategy:

1. Lack of Performance Recognition: The organization had a limited system in place for recognizing and rewarding exceptional performance. This inconsistency undermined the company's goal of attracting and retaining top talent by not adequately acknowledging and motivating high performers.

2. Limited Career Development Opportunities: The company did not have a well-defined career development framework or clear growth paths for employees. This inconsistency hindered the organization's strategy of attracting and retaining talented individuals by not providing them with sufficient opportunities for career progression and skill enhancement.

Addressing these inconsistencies would involve aligning the recognition and rewards system with performance outcomes and implementing a robust career development program that offers clear growth opportunities. By doing so, the organization would strengthen its alignment between human resource practices and its overall strategy, thereby enhancing its ability to attract and retain top talent and drive innovation and success.

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T/F tiger woods is paid high endorsement fees by companies because his marginal revenue product is very high

Answers

True. Tiger Woods is paid high endorsement fees by companies because his marginal revenue product is very high.

Marginal revenue product (MRP) is the additional revenue earned by the company when it hires an additional unit of a resource such as labor, capital, or land. It measures the value of each additional unit of the resource in terms of its contribution to the firm's revenue. Tiger Woods is one of the most famous golfers in the world, and his success has led to many lucrative endorsement deals. The value of his endorsement contracts is so high because he is a popular and successful athlete. He has won numerous awards, including 82 PGA Tour events, 15 major championships, and two FedEx Cup championships. The companies that hire Tiger Woods for endorsements expect him to boost their revenue through increased brand recognition and sales. Therefore, his marginal revenue product is very high. He has endorsed brands such as Nike, Pepsi, Gillette, and Rolex, which have contributed significantly to his net worth and the overall revenue of the companies he works with.

In conclusion, Tiger Woods is paid high endorsement fees by companies because its marginal revenue product is very high.

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With this considerable demand increase as well as the low quantity of goods made, the equilibrium price will also increase as baby formula is at its greatest demand ever recorded. In my opinion, I believe that the equilibrium price will lower soon, and the quantity will be increased. The FDA, as well as the Biden administration, have both begun to propose settlements and offer aid that would open closed manufacturing centers. There are also new processes pending that would allow foreign products of baby formula to be more easily exported to the United States, as ninety-eight percent of baby formula is made domestically. These would drastically increase the quantity of supplies, which would in turn lower the equilibrium prices as supply rises. Addition and subtraction of vectors: Velocities are vectors, we can add subtract velocities: [5A] a). 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