Some UNCC students are selling Cam Newton autographed jerseys. They are selling them at two locations: the Cone Center and the Friday Building. They want to maximize total revenue, but the number of jerseys available is a constraint. Here are the two demand equations, where the Q's are the jerseys to be sold in each location: Cone Center Demand: - Pc = 240 - 5Qc Friday Building Demand: PF = 400 - 3QF The total number of jerseys (Q) available is 31. What quantity of jerseys should be allocated to the Friday Building? Enter as a value. ROUND TO THE NEAREST WHOLE NUMBER (CAN'T SELL A PARTIAL JERSEY).

Answers

Answer 1

Therefore, the quantity of jerseys that should be allocated to the Friday Building is 27.

Demand equations for the Cone Center and the Friday Building are- Cone Center Demand: - Pc = 240 - 5Qc Friday Building Demand: PF = 400 - 3QF The total number of jerseys (Q) available is 31. We have to find the quantity of jerseys that should be allocated to the Friday Building.

Here's how to calculate it-Step 1: Substituting Pc and PF values in the equations to get them in terms of a single variable, we get the following: 240 - 5Qc = PF = 400 - 3QFStep 2: Solving for QF, we get: QF = (400-240)/3 + 5Qc/3QF = 53.33 + 1.67QcStep 3: From the question, we know that the total number of jerseys (Q) available is 31. So, substituting Q into the equation we get: Q = Qc + QFWe can rewrite QF as: QF = Q - QcSo, substituting QF in terms of Q and Qc in the equation we get: Q - Qc = 53.33 + 1.67QcQ = 31Now we can solve the equation for Qc and then find QF using the value obtained in Step 2 above.Step 4: Simplifying the equation, we get: 1.67Qc + Q = 53.33 + Qc6.33Qc = -22.33Qc = -3.52 (rounded to two decimal places)To get a whole number, we round Qc up to 4.Then QF = 31 - Qc = 31 - 4 = 27Therefore, the quantity of jerseys that should be allocated to the Friday Building is 27.

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Related Questions

On June 1, Sheridan Company Ltd. borrows $162,000 from Acme Bank on a 6-month, $162,000, 4% note. The note matures on December 1.
a) Prepare the entry on June 1.
b) Prepare the adjusting entry on June 30.
c) Prepare the entry at maturity (December 1), assuming monthly adjusting entries have been made through November 30.
d) What was the total financing cost (interest expense)?

Answers

a) On June 1, when Sheridan Company Ltd. borrows $162,000 from Acme Bank, the following entry is made:

June 1:

Cash     162,000

Notes Payable     162,000

This entry records the increase in cash from the loan and the corresponding increase in notes payable.

b) On June 30, an adjusting entry is made to record the accrued interest expense for the month. Assuming a 30-day month, the interest expense can be calculated as follows:

Interest Expense = Principal Amount × Interest Rate × Time

                  = $162,000 × 4% × (30/360)

                  = $540

The adjusting entry on June 30 is:

June 30:

Interest Expense     540

Interest Payable     540

This entry recognizes the accrued interest expense and creates a liability for the interest payable.

c) On December 1, at maturity, assuming monthly adjusting entries have been made through November 30, the following entry is made:

December 1:

Notes Payable     162,000

Interest Payable     540

Interest Expense     540

Cash     162,540

This entry records the repayment of the note payable and the payment of the accrued interest expense.

d) The total financing cost (interest expense) can be calculated by summing up the monthly interest expenses. Assuming a 6-month period, the total financing cost would be:

Total Financing Cost = Interest Expense per month × Number of months

                              = $540 × 6

                              = $3,240

Therefore, the total financing cost (interest expense) for Sheridan Company Ltd. is $3,240.

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d. The company Smart Light produces lights for cars. Its CEO is considering a new product line, which requires an initial investment of £6.5 million for new equipment. This newproduct line will be used for 3 years and generate revenues £10 million per year. The cost of goods sold will be 60% of the annual sales.
The new equipment will be depreciated straight line to a book value of £0.5 million at the end of Year 3. The CEO plans to sell the equipment at the end of the project and the sale price is expected to be £1.5 million. Smart light is fully equity-financed and its cost of capital is 12%. It is in the 25% tax bracket (for both operating profits and asset sales profits).

REQUIRED:

i. Please calculate the total Free Cash Flows for each of the three years from the Smart light’s new project.

ii. Please calculate the NPV of this project.

Answers

i)the total Free Cash Flows for each of the three years from the Smart light’s new project are: Year 1: £5m, Year 2: £5m, Year 3: £5.5m

ii) the value of the NPV of this project is £11.94m.

PART (i)

a) Calculation of Depreciation

Straight-line depreciation: Initial cost - Residual value/Useful life= (£6.5m - £0.5m)/3= £2m per year

b) Calculation of Cost of goods sold

Cost of goods sold: 60% x Annual sales= 60% x £10m= £6m per year

c) Calculation of Operating cash flow

Operating cash flow: EBIT(1 - Tax rate) + Depreciation= EBIT(1 - 0.25) + £2m= (Revenue - Cost of goods sold)(1 - 0.25) + £2m= (£10m - £6m)(1 - 0.25) + £2m= £4m x 0.75 + £2m= £5m per year

d) Calculation of Free cash flow

Free cash flow: Operating cash flow - Capital expenditures= £5m - £6.5m= -£1.5m

PART (ii)

Calculation of Net present value

NPV = (CF1/(1 + r)^1) + (CF2/(1 + r)^2) + (CF3/(1 + r)^3) + (CFn/(1 + r)^n)

where

CF = cash flow in the respective period

n = the last year of the project

CF1 = operating cash flow at the end of the year 1 = £5m

CF2 = operating cash flow at the end of the year 2 = £5m

CF3 = operating cash flow at the end of the year 3 + salvage value = £5m + (£1.5m - (£6.5m - £0.5m)/3 x 2) x 0.75 = £5m + £0.5m = £5.5m

r = cost of capital = 12%

NPV = (£5m/(1 + 12%)^1) + (£5m/(1 + 12%)^2) + (£5.5m/(1 + 12%)^3)= £4.46m + £3.97m + £3.51m= £11.94m

Therefore, the answers are:

i. Year 1: £5m, Year 2: £5m, Year 3: £5.5m

ii. The NPV of this project is £11.94m.

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Suppose that initially, the policy rate is 2% and the risk premium is 1%. If the risk premium increases to 5%, what policy rate will ensure that the the borrowing rate remains unchanged?

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The borrowing rate is given as the sum of the policy rate and the risk premium. Therefore, if the risk premium increases from 1% to 5%, the borrowing rate increases from 2% + 1% = 3% to 2% + 5% = 7%. This implies that the policy rate needs to be adjusted to ensure that the borrowing rate remains unchanged.Let p be the new policy rate that ensures that the borrowing rate remains unchanged.

Then:p + 5% = 3% + 2% => p = 3% - 5% => p = -2%.This result implies that the policy rate must be set at -2% to ensure that the borrowing rate remains unchanged when the risk premium increases from 1% to 5%. Note: Negative policy rates are rarely used in practice as they imply that the central bank is paying interest to banks rather than receiving interest on their deposits. This is because negative policy rates encourage banks to lend out their reserves and invest in higher-yielding assets, which stimulate economic growth.

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e Based on consumer time spent using the media, in which area are US advertisers grossly underspending on advertising? Print Radio Television The Internet Mobile media

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Mobile advertising has the potential to become one of the most effective ways to reach a target audience.

Based on consumer time spent using the media, the area in which US advertisers are grossly underspending on advertising is the mobile media. This is because people spend an increasing amount of time on their mobile phones, which is considered one of the most effective ways to reach potential consumers in a targeted and personal way. As a result, advertisers are looking to expand their mobile advertising budgets in order to reach consumers where they are spending most of their time, and to do so with targeted and personalized content. This means that mobile advertising has the potential to become one of the most effective ways to reach a target audience.

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Find the difference in profit between these two products (in dollars). Product 1 Product 2 Selling Price $65 $115 Fixed Costs $750,000 $1,650,000 Variable Cost/unit $26 $69 Units Sold 25,000 45,000 $195,000 $1,000,000 $225,000 $420,000

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The value of the difference in profit between the two products is $195,000

Profit is defined as the amount of money remaining after all expenses have been paid. The formula for finding the profit is:

Profit = Revenue – Total Costs.

Now, let's find the revenue of each product:

Product 1 revenue = Selling price × Units sold= $65 × 25,000= $1,625,000

Product 2 revenue = Selling price × Units sold= $115 × 45,000= $5,175,000

Now let's find the total cost of each product:

Product 1 total cost = Fixed costs + Variable costs= $750,000 + ($26 × 25,000)= $750,000 + $650,000= $1,400,000

Product 2 total cost = Fixed costs + Variable costs= $1,650,000 + ($69 × 45,000)= $1,650,000 + $3,105,000= $4,755,000

Now, we can find the profit for each product:

Product 1 profit = Revenue – Total costs= $1,625,000 – $1,400,000= $225,000

Product 2 profit = Revenue – Total costs= $5,175,000 – $4,755,000= $420,000

Finally, let's find the difference in profit between the two products:

Difference in profit = Product 2 profit – Product 1 profit= $420,000 – $225,000= $195,000

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has nike created and implemented an effective approach to social responsibility that addresses the root causes of problems in nike's supply chain

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Nike has successfully implemented an approach to social responsibility that effectively addresses the root causes of problems in its supply chain by implementing strict supplier codes of conduct.

Nike has made notable progress in addressing the root causes of problems in its supply chain through its comprehensive approach to social responsibility. The company has implemented strict supplier codes of conduct, ensuring that its suppliers adhere to ethical standards and fair labor practices. Nike has also prioritized transparency and accountability by publishing detailed reports on its supply chain practices.

Furthermore, the company actively collaborates with stakeholders, including workers, NGOs, and industry organizations, to drive positive change. Additionally, Nike has invested in sustainable manufacturing practices, such as reducing waste and carbon emissions. These efforts demonstrate Nike's commitment to addressing systemic issues within its supply chain and promoting social responsibility.

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--The complete question is, To what extent has Nike successfully implemented an approach to social responsibility that effectively addresses the root causes of problems in its supply chain?--

For a venture capitalist with 10 investments how many return 10x their investment, 1x to 10x their investment, nothing? Why are venture capitalists interested in investments in their own geographic areas?

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For a venture capitalist with 10 investments, the number of returns 10x their investment, 1x to 10x their investment, nothing, Because the return on investment made on venture capital is uncertain. It may lead to huge profits or may cause lose of investment.

Return on investment is a financial measure that indicates how much profit or loss a venture capitalist has made on an investment in a particular business or venture. Venture capitalists evaluate investments by looking at their potential to make money and the risks associated with them. The percentage of returns is determined by dividing the profit or loss by the amount of money invested.

1. For a venture capitalist with 10 investments: Out of 10 investments, the number of investments that can return 10x their investment, 1x to 10x their investment, nothing would depend on the type of investment made by the venture capitalist. Venture capitalists invest in start-up businesses or in companies with new products, technologies, or services. These investments tend to be risky but can lead to huge profits. Some of the investments may be successful, some may fail to make money, while others may simply break even. Thus, it is difficult to predict the exact number of returns for each investment.

2. Venture capitalists are interested in investments in their own geographic areas because of several reasons: Venture capitalists invest in local businesses as it is easier to manage and monitor these businesses as they are geographically closer. Investing in local businesses means more opportunities to help shape their communities, which can lead to a positive reputation and help attract more investors. Venture capitalists may have an established network in their local community that can help connect them to promising start-ups. Venture capitalists may have a better understanding of the local market trends and consumer behavior in their geographic area.

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Imagine you were just hired as a new supervisor at a healthcare organization. You are used to working within a multidisciplinary team on various projects. However, this organization has never used workplace teams. Therefore, you are to write a persuasive paper for creating a team to work on your next project. The paper will be read by your supervisor and the points from it will also be conveyed to your teammates.
Write a 1-2 page paper which covers the following.
Explain why the organization should utilize workplace teams. What are the advantages? Are there any disadvantages?

Answers

The benefits of teamwork include improved job satisfaction, individual development, improved problem-solving, and cost reduction. However, there are disadvantages to working in teams, such as possible conflicts, time constraints, and overdependence on the team.

As a newly appointed supervisor at a healthcare organization, I highly recommend the use of workplace teams in this organization. By definition, workplace teams are groups of employees who come together to solve a common problem, make decisions, and share expertise to improve overall work performance and efficiency.

Advantages of workplace teams:

Improvement in job satisfaction: When employees work in a team, they are more likely to enjoy their jobs and feel satisfied because they have a sense of belongingness, and they know their work is essential to the team's success.

Individual development: Working in a team exposes employees to different work methods, approaches, and ideas. Employees can learn from each other, and by working collaboratively, they can develop new skills and knowledge. Improved problem-solving: Because different employees have different perspectives, ideas, and expertise, a team can come up with more creative and effective solutions to complex problems.

Cost reduction: Working in teams can reduce the workload on individual employees. As a result, employees are more likely to complete their tasks on time and with better quality, reducing the need for additional staff.

Disadvantages of workplace teams:

Possible conflicts: Workplace teams can have personality clashes and disagreements that can escalate into conflicts. Conflicts can affect productivity and morale if not addressed in a timely manner.

Time constraints: Working in a team requires time and effort. Employees may need to attend team meetings, discuss ideas and make decisions. These activities can take time away from individual tasks, leading to delays in completing work.

Overdependence on the team: Sometimes employees become too dependent on the team, leading to decreased individual initiative and creativity. To avoid this, team leaders should encourage employees to think independently and critically.

In conclusion, the healthcare organization should utilize workplace teams because of the advantages they provide. The benefits of teamwork include improved job satisfaction, individual development, improved problem-solving, and cost reduction. However, there are disadvantages to working in teams, such as possible conflicts, time constraints, and overdependence on the team. The healthcare organization can avoid these disadvantages by creating policies and guidelines for teamwork, promoting team building activities, and providing team training to employees.

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Do PESTLE analysis of Ecommerce industry in Bangladesh. (In 500/600 words)

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The PESTLE analysis of the Ecommerce industry in Bangladesh reveals significant opportunities and challenges for growth in the sector.

The PESTLE analysis is a strategic tool used to assess the external factors that can impact an industry or organization. It examines the Political, Economic, Sociocultural, Technological, Legal, and Environmental factors that shape the industry's operating environment. Here is an analysis of the Ecommerce industry in Bangladesh using the PESTLE framework.

Political Factors:

The government of Bangladesh has recognized the potential of the Ecommerce industry and has taken initiatives to promote its growth. It has implemented policies to encourage digital transactions and ease regulatory processes for online businesses. However, there are still challenges related to taxation, intellectual property rights, and consumer protection laws that need to be addressed to create a favorable political environment for the Ecommerce industry.

Economic Factors:

Bangladesh has experienced significant economic growth in recent years, with a growing middle class and increasing internet penetration. This has resulted in a rise in consumer spending and a shift towards online shopping. The Ecommerce industry has the potential to contribute to job creation and economic development in the country. However, challenges such as logistics infrastructure, payment gateways, and financial inclusion need to be addressed to fully leverage the economic opportunities presented by Ecommerce.

Sociocultural Factors:

The cultural shift towards online shopping is gradually taking place in Bangladesh. Consumers are becoming more comfortable with making online transactions and trusting Ecommerce platforms. This shift is driven by factors such as convenience, variety of products, and competitive pricing. However, there are still segments of the population that are hesitant to adopt Ecommerce due to factors like limited internet access, lack of awareness, and preference for traditional shopping methods.

Technological Factors:

Technological advancements have played a crucial role in the growth of the Ecommerce industry in Bangladesh. Increasing smartphone penetration and access to affordable internet services have expanded the customer base for online retailers. Moreover, advancements in logistics and supply chain management technologies have improved order fulfillment and delivery processes. However, ensuring cybersecurity, addressing digital divide issues, and investing in robust IT infrastructure are essential to sustain and further accelerate the growth of the Ecommerce sector.

Legal Factors:

The legal framework governing the Ecommerce industry in Bangladesh is still evolving. While the government has taken steps to regulate the sector, there is a need for clear and comprehensive laws that address issues such as consumer protection, data privacy, and intellectual property rights. Creating a supportive legal environment will foster trust among consumers and businesses, enabling the industry to thrive.

Environmental Factors:

The environmental impact of the Ecommerce industry in Bangladesh is a growing concern. The increase in online shopping has led to higher packaging waste and carbon emissions from transportation. Addressing these environmental challenges requires the adoption of sustainable practices, such as eco-friendly packaging and efficient last-mile delivery solutions. Integrating environmental considerations into the business models of Ecommerce companies will contribute to a more sustainable and responsible industry.

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vasily is a manager at a large snack foods company. vasily believes his company would benefit from being larger and thinks the shareholders would support such growth. the company is doing relatively well but needs to focus on stabilizing profits and expenditures. vasily pushes for an acquisition anyway. the reason for this acquisition is blank . multiple choice question. superior integration capability a principal-agent problem the desire to overcome competitive disadvantage a guarantee of creating shareholder value

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Vasily pushes for an acquisition anyway. The reason for this acquisition is a  principal-agent problem

Vasily, a manager of a company producing snack items, thinks that the company would gain from expanding, and he assumes that the shareholders would agree. The corporation must now concentrate on stabilising profits and expenses. Vasily is pushing for an acquisition despite this. This acquisition's motivation can be traced to a principal-agent problem.

An example, where the interests of the principal and the agent, in this case Vasily, are not entirely congruent is referred to as a principal-agent issue. Different objectives, risk preferences, or information asymmetries can all contribute to this misalignment. Vasily's ambition to seek an acquisition to expand the business may not be in line with the immediate interests of the shareholders in this situation, who place a higher priority on stabilising profits and expenses.

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Complete Question:

Vasily is a manager at a large snack foods company. Vasily believes his company would benefit from being larger and thinks the shareholders would support such growth. The company is doing relatively well but needs to focus on stabilizing profits and expenditures. Vasily pushes for an acquisition anyway. The reason for this acquisition is ______.

Numerical Example • Q: Suppose the monetary base is B = $800 billion, the reserve- deposit ratio is rd = 0.1, and the currency-deposit ratio is cd = 0.8. Calculate C, R, M, D, and m. • A: -R= $88.

Answers

The reserve-deposit ratio is the fraction of bank deposits that a bank holds in reserve. Currency-deposit ratio is the fraction of deposits that is held in cash by depositors. The value of C = $640 billion, R = $88 billion, M = $1,440 billion, D = $728 billion, and m = 7.27.

Let the monetary base be B = $800 billion, Reserve-Deposit Ratio is rd = 0.1,

Currency-Deposit Ratio is cd = 0.8, Reserves, R = rd × D = 0.1 × D

Where D is deposits.C = cd × D = 0.8 × DR = $88 billion M = B + C = $800 + $640 billion M = $1,440 billion. D = C + R = $640 + $88 billion D = $728 billion. Money multiplier, m = C/ R = $640 billion/ $88 billion m = 7.27

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Richard Whately, observed that "…pearls are not valuable because men have dived for them, but men dive for them because they are valuable." Speculate how J.S. Mills, Jevons and Alfred Marshall would response to the statement.

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The statement made by Richard Whately, that "…pearls are not valuable because men have dived for them, but rather is determined by the subjective valuations of buyers and sellers in the market.

would have been responded to differently by J.S. Mills, Jevons, and Alfred Marshall. Let's take a look at each of their potential responses: J.S. Mills was a philosopher, political economist, and civil servant who advocated for individual freedom and economic liberalism. In response to Whately's statement, Mills would likely argue that the value of pearls is not simply an objective, intrinsic property of the pearls themselves, but rather is created by the subjective preferences and choices of individual people. According to Jevons, people will only continue to dive for pearls so long as the marginal utility of each additional pearl exceeds the cost of obtaining it. Alfred Marshall :Alfred Marshall was a British economist who is widely regarded as one of the founders of neoclassical economics. In response to Whately's statement, Marshall would likely argue that the value of pearls is determined by the interplay of supply and demand.

According to Marshall, people dive for pearls because there is a demand for them in the market, and the price of pearls is determined by the relative scarcity of pearls and the extent to which people are willing to pay for them. The value of pearls is not an objective or intrinsic property of the pearls themselves.

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for nsls 1. there are four goal categories. what are the four categories? *

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The four goal categories for NSLS-1 are: (1) Advanced Energy Systems, (2) Material Design and Discovery, (3) Structural Biology, and (4) Nanoscience and Nanotechnology.

These categories represent the primary areas of scientific research and innovation that NSLS-1 aims to support.

NSLS-1's first goal category, Advanced Energy Systems, focuses on developing new materials and techniques for energy storage, conversion, and utilization. This includes research on batteries, fuel cells, and renewable energy technologies.

The second category, Material Design and Discovery, aims to understand and engineer materials with desirable properties. This research contributes to fields such as electronics, catalysis, and environmental science.

The third category, Structural Biology, explores the structure and function of biological molecules to deepen our understanding of diseases and develop new therapies. It involves techniques like protein crystallography and X-ray imaging.

Lastly, the Nanoscience and Nanotechnology category investigates the properties and applications of materials at the nanoscale. It involves research in areas such as nanoelectronics, nanomaterials, and nanomedicine, with the potential for groundbreaking advancements.

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what is data governance? occurs when the same data element has different values occurs when a system produces incorrect, inconsistent, or duplicate data refers to the overall management of the availability, usability, integrity, and security of company data the practice of gathering data and ensuring that it is uniform, accurate, consistent, and complete, including such entities as customers, suppliers, products, sales, employees, and other critical entities that are commonly integrated across organizational systems

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Data governance  refers to the overall management of the availability, usability, integrity, and security of company data the practice of gathering data .

Data management is the process of collecting, storing, organizing, maintaining, retrieving, and making use of data in an efficient and effective manner. It also includes the processes, procedures, and equipment used in this process.Data management, to put it simply, is the process of putting into action the procedures and policies that have been established by data governance in order to collect and make use of the data for decision-making.

Information administration is the method involved with guaranteeing that information is dependable, precise, accessible, and useable. The steps people need to take, the procedures they need to follow, and the technology that will help them are all laid out in the data life cycle.

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Oil price increase is generally thought to be result with increase in inflation and reduce economic growth. BRENT petrol prices has fallen significantly and today it is below $35. What will be the impact of this sustained decline, of petrol prices on the macroeconomic indicators for petrol exporter and importer countries.

Answers

The impact of sustained decline in petrol prices on macroeconomic indicators will differ for petrol exporter and importer countries.

Petrol Exporter Countries:

a) Government revenues: Petrol exporter countries heavily rely on oil revenues to fund their budgets.

b) Current account balance: A decline in petrol prices can negatively impact the current account balance of petrol exporter countries.

c) Economic growth: Petrol exporter countries' economic growth may be adversely affected by the decline in petrol prices.

d) Exchange rates: The decline in petrol prices can put downward pressure on the currency of petrol exporter countries, affecting their exchange rates.

Petrol Importer Countries:

a) Inflation: Sustained decline in petrol prices for importer countries can lead to lower input costs, particularly for transportation and energy-intensive industries.

b) Current account balance: Petrol importer countries may benefit from a sustained decline in petrol prices as it reduces their import bill for petroleum products.

c) Consumer spending: Lower petrol prices can positively impact consumer spending in petrol importer countries.

d) Business costs: Industries reliant on petroleum products as inputs, such as transportation or manufacturing sectors, can benefit from lower costs, enhancing their competitiveness and potentially driving economic expansion.

It's important to note that the impact of sustained decline in petrol prices on macroeconomic indicators can be influenced by various factors, including the overall economic structure, government policies, and the level of diversification within each country's economy.

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Consider a three-commodity market model given by the following:

Market 1 P₁ = 4 D₁ = 29-P₁ + P₂ + P₂ S₁ = -2 + 10P₁
Market 2 P₂ = 2 2P₂ = Seth. -13 D₂ = 25+ P₁-P₂ + 2P3 S₂ = -1 + 5P₂ Русь
Market 3 D₂ = 21+P₁ +2P₂ - P3 S₁=+3+6P₂

Find the equilibrium expressions for each of the three markets.

Answers

Equilibrium is a state of balance that occurs when the supply and demand for a commodity, good, or service are equal. In economics, this refers to a situation where the quantity of a commodity supplied by producers equals the quantity demanded by consumers.What is the Equilibrium in the Three Commodity Markets Model Equilibrium is a state of balance that occurs when the supply and demand for a commodity, good, or service are equal. In economics, this refers to a situation where the quantity of a commodity supplied by producers equals the quantity demanded by consumers.

Market 1P₁ = 4D₁ = 29-P₁ + P₂ + P₂S₁ = -2 + 10P₁The equilibrium of market 1 can be obtained by solving the system of equations. So, we get:P₁ = 4D₁ = 29- P₁ + P₂ + P₂S₁ = -2 + 10P₁Substituting P₁ in D₁ and S₁, we get:D₁ = 25+P₂-3P₃S₁=+3+6P₂Market 2P₂ = 2D₂ = 25+ P₁-P₂ + 2P3S₂ = -1 + 5P₂Substituting P₂ in D₂ and S₂, we get:D₂ = 21+P₁ +2P₂ - P₃S₁=+3+6P₂Market 3D₂ = 21+P₁ +2P₂ - P₃S₁=+3+6P₂Therefore, we can get the equilibrium expressions for each of the three markets as:P₁ = 4, P₂ = 2, andP₃ = 7.5.

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7. Last year a company had stockholder's equity of $160,000, net operating income of $16,000 and sales of $100,000. The turnover was 0.5. The return on investment (ROI) was: a. 10% b. 9% d. 7% c. 8%

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Turnover, also known as asset turnover, indicates how efficiently a company is utilizing its assets to generate sales. It calculates the amount of revenue earned for every dollar invested in assets. Therefore, the correct option is (c) 8%.

The formula for turnover is as follows: Turnover = Sales / Average Total Assets. Average Total Assets = (Beginning Total Assets + Ending Total Assets) / 2.

Here, the asset turnover is given to be 0.5, and sales are given to be $100,000. Average Total Assets = Sales / Turnover= 100,000 / 0.5= $200,000.

Now, Return on Investment (ROI) is calculated using the following formula: ROI = Net Operating Income / Average Total Assets. ROI = $16,000 / $200,000 ROI = 0.08 or 8%.

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Article: The Foundations of Enterprise Performance: Dynamic and Ordinary Capabilities in an (Economic) Theory of Firms by David J. Teece.

1. What are the article's implications for managers?

2. What do you think about the article? What do you agree/disagree?

Answers

Article: The Foundations of Enterprise Performance: Dynamic and Ordinary Capabilities in an (Economic) Theory of Firms by David J.

What are the article's implications for managers?The article highlights the importance of dynamic and ordinary capabilities of an organization. Managers can use these insights to identify areas where their organization needs improvement. By doing so, they can improve their organization's ability to compete in the marketplace. The article also suggests that firms need to focus on developing their dynamic capabilities, which are the ability to adapt and innovate in the face of changing market conditions. This can be done by investing in research and development, or by creating strategic partnerships with other organizations.

Overall, I agree with the article. I think that it provides valuable insights into how firms can improve their performance by focusing on both their dynamic and ordinary capabilities. I think that managers can benefit from this article by using it to identify areas where their organization needs improvement. However, I do think that the article could have gone into more detail about how firms can develop their dynamic capabilities. I would have liked to see more concrete examples of how this can be done. Additionally, I think that the article could have explored the role of leadership in developing an organization's capabilities. Overall, though, I think that the article is a valuable contribution to the field of strategic management.

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Can
someone explain to me what are the advantages of short term
scheduling? Thanks in advance!

Answers

The advantages of short-term scheduling include increased flexibility, efficient resource utilization, and improved responsiveness to changing conditions.

The advantages of short-term scheduling include increased flexibility, efficient resource utilization, and improved response to changing conditions. Short-term scheduling allows for the optimization of resources and work assignments on a daily or weekly basis, enabling organizations to adapt quickly to unexpected events or variations in demand. By closely monitoring and adjusting schedules in the short term, companies can ensure that resources, such as employees and equipment, are utilized efficiently, reducing idle time and maximizing productivity. Additionally, short-term scheduling enables organizations to respond promptly to changing customer demands, prioritize urgent tasks, and address any operational bottlenecks.

In conclusion, short-term scheduling provides several benefits that contribute to operational efficiency and responsiveness. It allows for flexibility in resource allocation, ensures optimal resource utilization, and enables quick adaptation to changing conditions.

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What are the possible criteria for fitting a regression line?
Why OLS is considered as the best criteria in this regard?

Answers

Possible criteria for fitting a regression line:Here are some of the possible criteria for fitting a regression line:Least-squares: It is used to minimize the sum of the squared distances between the regression line and each data point.

Ordinary least squares (OLS): This is the most common type of least-squares regression.OLS is considered the best criteria for fitting a regression line due to the following reasons:It provides estimates that have minimum variance.The estimates are unbiased.OLS provides the maximum likelihood estimates, assuming normal errors.OLS estimation is computationally efficient and easily implementable.

OLS estimation is the most widely used and considered the best criteria for fitting a regression line. This estimation is used to minimize the sum of squared differences between the actual and predicted values in a dataset.OLS is preferred because it provides estimates that have minimum variance, and the estimates are unbiased.OLS is the most common type of least-squares regression. It provides maximum likelihood estimates, assuming normal errors. This is because OLS estimation is computationally efficient and easily implementable.Another advantage of OLS is that the regression model's coefficients are estimated in such a way that the sum of the squared residuals is minimized. This is accomplished by taking the partial derivative of the residual sum of squares with respect to each coefficient and equating it to zero.

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5. Distinguish the bilateral promise against unilateral promise. Provide an example.

Answers

The primary difference between the two is that bilateral promises require mutual consideration and obligation from both parties, whereas unilateral promises only require one party's obligation.

A promise is a legal contract that must meet the standards of a valid contract to be enforced by law. Both parties should agree to the terms of the agreement for it to be considered a legally binding contract. There are two types of promises in contracts, bilateral promises, and unilateral promises. Bilateral promise vs unilateral promise: In bilateral promises, two parties are involved, and each has an obligation to meet. In unilateral promises, one party has an obligation to meet, and there is no obligation on the other party.

Unilateral promises are usually created to incentivize or encourage an act or performance. They are one-sided and rely on the goodwill of the promisee to perform. Example of a bilateral promise: If someone promises to paint someone else's house, and in return, the other party promises to pay them for the work performed, this is an example of a bilateral promise. Both parties have obligations to fulfill, and the agreement is mutual. Example of a unilateral promise: If someone promises to pay someone else $100 if they run a marathon, this is an example of a unilateral promise. There is no obligation on the person making the promise to fulfill their end of the bargain unless the promisee completes the action. Therefore, the obligation is only on one side.

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Which of the following is the best example of a search good?
A) A haircut
B) A meal at a restaurant
C) A softball
D) Psychotherapy

Answers

C) A softball. A search good is a product or service that can be evaluated and experienced before purchase. The correct option is c.

It refers to goods or services where the quality and attributes can be easily assessed by consumers through search and comparison.

Among the options provided, a softball best exemplifies a search good. When considering purchasing a softball, consumers can examine its size, weight, material, and other physical characteristics.

They can touch, hold, and inspect the softball to determine if it meets their requirements and preferences. The quality and attributes of a softball can be easily observed and assessed before making a purchase decision.

In contrast, options A, B, and D represent experience goods or credence goods rather than search goods.

For example, a haircut, a meal at a restaurant, and psychotherapy involve subjective experiences and outcomes that are not fully known or easily evaluated. The correct option is c.

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Explain how Total Quality Management (TQM) can benefits
organization. Provide example.

Answers

Total Quality Management (TQM) benefits organizations by focusing on continuous improvement, customer satisfaction, and employee involvement. TQM emphasizes the importance of quality in all aspects of the organization's operations, leading to improved efficiency, productivity, and customer loyalty.

For example, a manufacturing company implementing TQM may see reduced defects in their products, leading to higher customer satisfaction and increased sales. By involving employees at all levels, TQM fosters a culture of collaboration, empowerment, and accountability, which can result in better teamwork, innovation, and problem-solving.

TQM promotes a systematic approach to quality management, with the aim of meeting or exceeding customer expectations. Through methods like quality control, quality assurance, and continuous improvement, organizations can identify and address issues proactively, preventing errors and waste. This not only improves the quality of products or services but also reduces costs and increases efficiency.

For instance, a service-oriented organization implementing TQM may develop customer feedback mechanisms and regularly analyze the data to identify areas for improvement. By addressing customer concerns and making necessary adjustments, the organization can enhance customer satisfaction and loyalty, leading to repeat business and positive word-of-mouth.

In summary, Total Quality Management brings numerous benefits to organizations, including improved product quality, customer satisfaction, employee engagement, and overall organizational performance. It provides a framework for continuous improvement, ensuring that the organization remains responsive to customer needs and competitive in the market.

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If capital markets are semi-strong form efficient, then: Multiple Choice Traders can earn exceptional profits using publicly available information Stock analysts have a trading advantage because of their access to vast amounts of public information. Company insiders can profit based on the inside information Individuals can identity mispriced stocks using publicly available information Studying post prices will help predict the future performance of a security

Answers

If capital markets are semi-strong form efficient, then the correct statement from the given multiple-choice options would be: B. Stock analysts have a trading advantage because of their access to vast amounts of public information.

In semi-strong form efficient markets, all publicly available information is already reflected in the current stock prices. Therefore, traders cannot earn exceptional profits using publicly available information, company insiders cannot profit based on inside information, and individuals cannot consistently identify mispriced stocks using publicly available information.

However, stock analysts who have access to vast amounts of public information may have an advantage in analyzing and interpreting the available information to make informed investment decisions.

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solve 10 fast please
U M Moving to another question will save this response. Question 10 The units-of-production method of depreciation charges a varying amount of expense for each period of an asset's useful life dependi

Answers

The units-of-production method of depreciation charges a varying amount of expense for each period of an asset's useful life depending on the asset's usage, hence calculating the total expense of the asset.

This method is ideal for businesses that rely on assets to generate revenue. The main advantage of this method is that it aligns depreciation expense with the actual usage of the asset. This means that when the asset is used more, the business will charge more expense to reflect that level of usage.

The formula for units-of-production method of depreciation is as follows: Depreciation expense = (Cost of asset - Salvage value) / Total units of production Expected total units of production is the estimated life of the asset in units of usage. In the units-of-production method of depreciation, depreciation expense is determined by multiplying the cost of the asset (less its salvage value) by a fraction representing the units of production expected from the asset in the current year divided by its total expected units of production.

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Below are the information of Ameena Enterprise. Ameena is planning to sell giant curry puff named "Yummy Curry Puff" The selling price for her curry puff is RM 3.00. The followings are cost data related to
Cost for one unit (RM)
Direct material 0.90 Direct labor 0.30 Factory overhead: variable 0.30
The fixed cost for the product is RM 260 and the normal production is 500 curry puffs.
Required:
A. Calculate the break-even point (in units and in value).
B. Determine the margin of safety (in percentage).
C. How many curry puffs needs to be produced if Ameena wanted to obtained RM 100 profit.
D. Calculate the profit if Ameena planned to increase the fixed cost from RM 260 to RM 300 and to reduce 10% of direct material and direct labour.
E. Calculate the profit if Ameena planned to increase the production to 550 curry puffs by maintaining the same fixed cost and to reduce the factory overhead cost to RM0.25 cents

Answers

A. Break-even point: To calculate the break-even point in units, we can use the formula:  Break-even point (in units) = Fixed cost / Contribution margin per unit

The contribution margin per unit is calculated as follows:

Contribution margin per unit = Selling price per unit - Variable cost per unit

Given the information:

Fixed cost = RM 260

Selling price per unit = RM 3.00

Variable cost per unit = Direct material + Direct labor + Factory overhead (variable)

Variable cost per unit = 0.90 + 0.30 + 0.30 = RM 1.50

Contribution margin per unit = RM 3.00 - RM 1.50 = RM 1.50

Break-even point (in units) = RM 260 / RM 1.50 = 173.33 units

To calculate the break-even point in value, we can multiply the break-even point in units by the selling price per unit:

Break-even point (in value) = Break-even point (in units) * Selling price per unit

Break-even point (in value) = 173.33 * RM 3.00 = RM 520

Therefore, the break-even point is 173.33 units (rounded up to 174 units) and RM 520 in value.

B. Margin of safety: To calculate the margin of safety percentage, we can use the formula:

Margin of safety percentage = (Actual sales - Break-even sales) / Actual sales * 100

Given the information:

Actual sales = Normal production = 500 units

Break-even sales = Break-even point (in units) = 174 units

Margin of safety percentage = (500 - 174) / 500 * 100 = 65.20%

C. Number of curry puffs to obtain RM 100 profit: To calculate the number of curry puffs needed to obtain RM 100 profit, we need to consider the contribution margin per unit:

Profit = Number of units * Contribution margin per unit

Given the information:

Profit = RM 100

Contribution margin per unit = RM 1.50

Number of curry puffs = RM 100 / RM 1.50 = 66.67 units (rounded up to 67 units)

D. Profit with increased fixed cost and reduced direct material and direct labor:

To calculate the profit with the changed parameters, we need to adjust the fixed cost and variable cost per unit:

Adjusted fixed cost = RM 300

Adjusted variable cost per unit = Reduced direct material + Reduced direct labor + Factory overhead (variable)

Reduced direct material = 0.90 - (0.90 * 10%) = 0.81

Reduced direct labor = 0.30 - (0.30 * 10%) = 0.27

Adjusted variable cost per unit = 0.81 + 0.27 + 0.30 = RM 1.38

Profit = Number of units * (Selling price per unit - Adjusted variable cost per unit) - Adjusted fixed cost

Using the previous calculated number of curry puffs (500 units), we can substitute the values into the equation to find the profit.

Profit = 500 * (3.00 - 1.38) - 300 = RM 810

E. Profit with increased production and reduced factory overhead cost:

To calculate the profit with the changed parameters, we need to adjust the production and factory overhead cost:

Increased production = 550 curry puffs

Reduced factory overhead cost per unit = RM 0.25

Profit = Number of units * (Selling price per unit -

Variable cost per unit) - Fixed cost

Variable cost per unit = Direct material + Direct labor + Reduced factory overhead cost per unit

Variable cost per unit = 0.90 + 0.30 + 0.25 = RM 1.45

Profit = 550 * (3.00 - 1.45) - 260 = RM 940

Therefore, the profit in scenario E would be RM 940.

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Fiery Bhd has determined that its China division is a cash generating unit (CGU). The carrying amounts of the assets at 31 December 2019 are as follows: i. ii. iii. Land Plant Additional information:

Answers

The impairment loss and reversal of impairment loss on the following dates: i. 31 December 2019 ii. 31 December 2020 on December 31, 2019, is RM24,000.

How to solve for the values

Calculation:

Carrying quantity of CGU at December 31, 2019 = RM150,000 + RM750,000 - RM150,000 + RM24,000 = RM874,000

Recoverable quantity of CGU at December 31, 2019 = RM816,000

Impairment loss = RM874,000 - RM816,000 = RM58,000

Distribution of impairment loss:

Land: RM0

Plant: RM58,000

Goodwill: RM24,000

Inventory: RM120,000

Cash: RM6,000

Total: RM208,000

The impairment loss on December 31, 2019, is RM24,000.

For December 31, 2020:

The impairment loss is nil.

The recoverable quantity of the China department is RM854,000.

The carrying quantity of the China department's property is RM885,000.

The impairment loss is RM31,000.

b. Journal entries on December 31, 2019:

Debit:

Impairment loss on plant: RM58,000

Accumulated depreciation on plant: RM58,000

Goodwill: RM24,000

Inventory: RM120,000

Cash: RM6,000

Total Debit: RM208,000

Credit: None

Explanation:

The amount of loss due to impairment on December 31, 2019, is RM24,000. The impairment loss is allocated to various assets such as plant, goodwill, inventory, and cash. On December 31, 2020, there is no impairment loss.

The recoverable quantity and carrying quantity of the China department are given. The journal entries for December 31, 2019, include the impairment loss on plant, accumulated depreciation on plant, goodwill, inventory, and cash.

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Fiery Bhd has determined that its China division is a cash generating unit (CGU). The carrying amounts of the assets at 31 December 2019 are as follows: i. ii. iii. Land Plant Additional information: Accumulated depreciation Goodwill Inventory Cash b) RM 150,000 750,000 (150,000) 24,000 120,000 6,000 The cost model were used to measure all assets. The recoverable amount of the CGU at 31 December 2019 was RM816,000. At 31 December 2020, the depreciation charge on plant was RM69,000 (RM75,000 would have been charged for the depreciation if the plant had not been impaired). iv. At 31 December 2020, the recoverable amount of the entity was calculated to be RM39,000 greater than the carrying amount of the assets of the entity. Required: a) Calculate the impairment loss and reversal of impairment loss on the following dates: i. 31 December 2019 ii. 31 December 2020 Show all workings. Prepare the journal entries relating to (a) above. (11 marks) (4 marks)

Below is the information about company's selling price, fixed cost and variable
variable cost per unit= 55$
fixed cost=10000
sales price= 100$
a) Find BEP of the company in terms of units sold and dollars sold?
b) How do you interpret BEPs?
c) what are your suggestions to lower BEP?

Answers

a) To calculate the break-even point (BEP) in terms of units sold, we divide the fixed cost by the contribution margin per unit. The contribution margin is the sales price per unit minus the variable cost per unit.

Variable cost per unit = $55

Fixed cost = $10,000

Sales price per unit = $100

Contribution margin per unit = Sales price per unit - Variable cost per unit

Contribution margin per unit = $100 - $55 = $45

BEP in terms of units sold = Fixed cost / Contribution margin per unit

BEP in terms of units sold = $10,000 / $45 ≈ 222.22 units

To calculate the BEP in terms of dollars sold, we multiply the BEP in units by the sales price per unit.

BEP in terms of dollars sold = BEP in units sold * Sales price per unit

BEP in terms of dollars sold = 222.22 units * $100 = $22,222.22

b) The break-even point (BEP) represents the level of sales or units sold at which a company neither incurs a profit nor a loss. It is the point at which total revenue equals total costs. At the BEP, the company covers all its fixed costs, and any sales beyond the BEP contribute to generating a profit. BEP is an important metric for assessing the financial viability and risk of a business.

c) To lower the break-even point (BEP), the company can consider implementing various strategies:

1. Reduce variable costs: Finding ways to decrease the variable cost per unit, such as negotiating better prices with suppliers or optimizing production processes, can lower the BEP.

2. Increase selling price: If feasible, the company can raise the selling price per unit, which would increase the contribution margin and reduce the number of units required to break even.

3. Reduce fixed costs: Identifying opportunities to reduce fixed costs, such as streamlining operations, renegotiating leases or contracts, or exploring cost-sharing arrangements, can help lower the BEP.

4. Improve efficiency: Enhancing productivity and efficiency in all aspects of the business, including production, marketing, and administration, can lead to cost savings and contribute to a lower BEP.

5. Expand market reach: Increasing sales volume by entering new markets, expanding distribution channels, or targeting new customer segments can help achieve higher revenue and reduce the BEP.

It's important to carefully evaluate the potential impact and feasibility of these suggestions in the specific context of the company's operations and market conditions.

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The following quotes are obtained from two banks:

Bank A Bank B
USD/SEK Spot 10.9570/80 10.9570/80

(a) Is there an arbitrage opportunity? (b) What kind of a market will result? (c) What might be the reasons for this?

Answers

There is no arbitrage opportunity in this situation, because both banks are quoting the same bid and ask prices for the USD/SEK currency pair. This means that there is no profit to be made by buying from one bank and selling to another.

This is an example of a perfectly competitive market, where there are many buyers and sellers, and the price is determined by the forces of supply and demand. In such a market, there is no excess profit or loss for any participant.

One possible reason for this situation is that both banks have access to the same information and technology, and they are able to adjust their prices quickly and efficiently to reflect the market conditions. Another possible reason is that there is a high degree of liquidity and transparency in the USD/SEK market, which reduces the transaction costs and risks for both banks and their customers.

About Banks

Bank is an intermediary financial institution that is generally established with the authority to accept deposits, lend money, and issue promissory notes. The word bank comes from the Italian banca which means a place where money is exchanged.

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DONT USE EXCEL
The present value of an annuity is payable annually for 2 years, with the first payment at the end of 10 years is P 42,114. If money is worth 3.6%, what is the value of annuity?

Answers

The approximate value of the annuity is negative 148,647.33 Philippine Pesos (P).

To calculate the value of the annuity, we can use the present value of an annuity formula.

Given:

Payment amount = P 42,114

Interest rate = 3.6%

Number of periods = 2

Using the present value of an annuity formula:

Value of Annuity = Payment amount * (1 - (1 + interest rate)^(-number of periods)) / interest rate

Plugging in the values:

Value of Annuity = P 42,114 * (1 - (1 + 0.036)^(-2)) / 0.036

Calculating the expression inside the brackets:

(1 + 0.036)^(-2) = 1.073216

Calculating the value of the annuity:

Value of Annuity = P 42,114 * (1 - 1.073216) / 0.036

Value of Annuity ≈ P 42,114 * (-0.073216) / 0.036

Value of Annuity ≈ P -148,647.33

Therefore, the value of the annuity is approximately -P 148,647.33.

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