Suppose ABC, Inc. is expected to pay a dividend of $10 next year. that is, D1 = $10. The dividends are expected to grow by 3%. What is D8, D15, D25?

Answers

Answer 1

D8 is approximately $12.65, D15 is approximately $14.98, and D25 is approximately $19.44.

To calculate the future dividends, we can use the formula for calculating the dividend in a growing dividend model:

D(t) = D(0) * (1 + g)^t

Where:

D(t) = Dividend at time t

D(0) = Initial dividend

g = Dividend growth rate

t = Number of periods

Given:

D(0) = $10 (Initial dividend)

g = 3% (Dividend growth rate)

Calculating D8 (Dividend at time 8):

D8 = D(0) * (1 + g)^8

D8 = $10 * (1 + 0.03)^8

D8 ≈ $10 * (1.03)^8

D8 ≈ $10 * 1.2653

D8 ≈ $12.65

Calculating D15 (Dividend at time 15):

D15 = D(0) * (1 + g)^15

D15 = $10 * (1 + 0.03)^15

D15 ≈ $10 * (1.03)^15

D15 ≈ $10 * 1.4983

D15 ≈ $14.98

Calculating D25 (Dividend at time 25):

D25 = D(0) * (1 + g)^25

D25 = $10 * (1 + 0.03)^25

D25 ≈ $10 * (1.03)^25

D25 ≈ $10 * 1.9437

D25 ≈ $19.44

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Related Questions

Question 41 10 pts Looking at your profit and loss statement of your trucking firm, you note that you have operating revenue of $20M and operating expenses of $16M. What is your operating ratio? 20% 2

Answers

The operating ratio for your trucking firm is 80%. The operating ratio is the proportion of a company's operating expenses to its net sales. It can be used to evaluate a company's performance and efficiency.

We must divide operating expenses by operational revenue and then convert the result to a percentage to determine the operating ratio for your trucking company.

operating income of $20M

operating costs: $16 million

Operating Ratio is defined as (Operating Expenses / Operating Revenue) * 100

Operating Ratio is defined as (16 / 20) * 100 Operating Ratio is defined as 0.8 * 100 Operating Ratio is defined as 80%

As a result, your trucking company's operating ratio is 80%. The operating ratio is a metric for operational effectiveness that shows how much operating costs are in relation to operating revenue.

The operational ratio in this instance is 80%, which means that $0.80 of every dollar of income is used to pay operating expenses.

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Identify and describe the key domestic arenas of public policy in the year 2022

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Governments or their representatives identify a system of laws, regulations, rules, and financing priorities in order to achieve certain public interest objectives. Any public policy develops through an iterative process, from conception to evaluation.

The domestic arenas of public policy in 2022 can be identified and described as follows:-

1. Health: One of the main areas of domestic policy in 2022 will be health. Health policies include actions to improve the health of the nation, including the provision of adequate healthcare, the control of infectious diseases, and the prevention of chronic diseases.

2. Economy: Another crucial area of domestic policy is the economy. Economic policies aim to maintain economic stability, reduce unemployment rates, and stimulate economic growth. This could be achieved through policies such as tax reforms, fiscal policies, and monetary policies.

3. Education: Education policy is also significant, which includes everything from early childhood education to higher education. The government aims to improve the quality of education, increase access to education, and provide students with the skills they need to succeed in the workforce.

4. Environment: Environmental policy is also a vital area of domestic policy. This could include measures to reduce greenhouse gas emissions, combat climate change, protect natural resources, and promote sustainable development.

5. Immigration: Immigration policies will continue to be crucial in 2022, as governments grapple with how best to balance the economic and social benefits of immigration with the need to protect national security. Governments may take measures to increase or decrease the number of immigrants coming into the country or to regulate the types of immigrants who are allowed into the country.

The above are the five key domestic arenas of public policy that are expected to be of great importance in the year 2022.

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i) In India, the Foreign Exchange Reserves are kept in the custody of [ ]
ii) Maximum share in India’s total external debt is of [ ]
iii) The minimum interest rate of a bank below which it is not viable to lend, is called as [ ]
iv) The Laffer curve is the graphical representation of [ ]
v) What is the upper limit of transaction of amount via NEFT to a person in Nepal via the Indo-Nepal Remittance Facility Scheme?
vi) Devaluation of currency can correct a Balance of Payments deficit because [ ]

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I) In India, the Foreign Exchange Reserves are kept in the custody of the Reserve Bank of India (RBI).

ii) The maximum share in India's total external debt is usually held by commercial banks.

iii) The minimum interest rate of a bank below which it is not viable to lend is called the Marginal Cost of Funds based Lending Rate (MCLR).

iv) The Laffer curve is the graphical representation of the relationship between tax rates and tax revenue. It suggests that there is an optimal tax rate that maximizes revenue, beyond which increasing tax rates may lead to a decrease in revenue.

v) As of my knowledge cutoff in September 2021, the upper limit of transaction amount via NEFT to a person in Nepal through the Indo-Nepal Remittance Facility Scheme was INR 50,000. Now, it is INR 25,000 from BC locations per day per person (remitter).

vi) Devaluation of currency can correct a Balance of Payments deficit because it makes the country's exports relatively cheaper and imports relatively more expensive. This can lead to an increase in exports and a decrease in imports, which can help in reducing the trade deficit and correcting the Balance of Payments. Additionally, devaluation can also attract foreign investments as assets become cheaper for foreign investors, further improving the Balance of Payments.

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Which of the following statements about a supply curve is FALSE? a. It shows a direct (positive) relationship between price and quantity supplied. b. It shows the quantity supplied at each specific price. c. It typically slopes downward to the right. d. It has a positive slope.

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The statement which is FALSE about the supply curve is: it has a positive slope. The correct  answer is d

In this context, supply curve refers to a graph that shows the relationship between the price of a product and the amount of the product that producers are willing to sell. A supply curve is an upward sloping curve, which shows the positive relationship between the price of a commodity and the quantity supplied of that commodity.

In economics, the supply curve is a graphical representation of the relationship between the price of a commodity and the quantity supplied by sellers.Supply curves are always upward sloping. This is because as the price increases, sellers have an incentive to produce and sell more of the product to make a profit.

The quantity supplied will increase, as the price increases, this results in the upward sloping curve.

In conclusion, the false statement about the supply curve is that it has a positive slope. The slope is always positive or upward sloping. Therefore The correct answer is d it has a positive slope

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According to Exhibit 4-8, which is the best chart for showing a distribution of a single variable, like height? About hair color? Major in college?

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A bar chart would be ideal for displaying a single variable, such as height. Typically, a bar chart or a pie chart is used to visualise the distribution of a single category variable.  

A bar chart, also known as a bar graph or column chart, displays levels of a category characteristic as bars of numerical values. Values are represented on one axis of the chart, while levels are plotted on the other.

One bar is claimed by each category value, and the value of each bar determines the length of the bar. A single record from a search is displayed on a single value chart in order to make that value stand out immediately.

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What is COP 26 for sustainable supply chain and logistics. how it can help to sustainable supply chain and example of COP 16 ?

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The 26th Conference of Parties (COP26) is a significant international event where policymakers gather to address the climate crisis. Sustainable supply chain and logistics are one of the critical topics on the agenda of COP26. COP26 aims to reduce the carbon footprint by enhancing the sustainable supply chain and logistics. It is essential to ensure that every stage of the production process contributes to the achievement of climate goals.

What is COP26 for sustainable supply chain and logistics?

COP26 is a platform for decision-makers to collaborate on various issues to address the climate crisis, including sustainable supply chain and logistics. COP26 is expected to help reduce carbon emissions in several ways. Through COP26, businesses, and policymakers can work together to increase transparency, reduce emissions, and make the supply chain more resilient and sustainable.How COP26 can help to sustainable supply chain?To achieve a sustainable supply chain, various practices must be adopted to minimize the environmental impact of logistics. Businesses and policymakers can develop strategic plans to increase the transparency of the supply chain, ensure that workers' rights are protected, and encourage sustainable production methods. Some key ways in which COP26 can help sustainable supply chains include:

1. Promoting renewable energy.

2. Encouraging electric vehicle (EV) adoption.

3. Developing circular economy practices.

4. Implementing green logistics practices.

5. Investing in low-carbon logistics.

Example of COP 16COP16 was the 16th Conference of Parties that took place in Cancun, Mexico, in 2010. The primary focus of COP16 was the development of sustainable supply chains. The conference aimed to improve sustainability in the supply chain through different practices, including reducing carbon emissions, developing green supply chain strategies, and ensuring workers' rights are protected. In conclusion, COP26 is an essential event that provides an opportunity for policymakers and businesses to collaborate on sustainable supply chain and logistics practices. By following the principles discussed in COP26, it is possible to achieve a sustainable supply chain that reduces carbon emissions and protects workers' rights.

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Match each of the Seven Tools of Quality Control to the appropriate description for each. A tool used to identify the frequency of occurrence for each identified problem Pareto Analysis Histograms A tool used to sequence the movements or actions of people of things involved in a complex systemor Check Sheets activity Scatter Diagrams A tool used to organize and present process problems from most to least severe Control Charts Pareto Analysis A tool used to plot the values of two variables along two axes in order to reveal any correlation present Cause and Effect Diagrams A tool used to aid in brainstorming and isolating the Flow Diagrams causes of a problem A tool used to graph how a process changes over time A tool to graphical display data grouped into ranges

Answers

Here are the matched descriptions for each of the Seven Tools of Quality Control:

Pareto Analysis: A tool used to identify the frequency of occurrence for each identified problem.

Histograms: A tool to graphical display data grouped into ranges.

Check Sheets: A tool used to aid in brainstorming and isolating the causes of a problem.

Scatter Diagrams: A tool used to plot the values of two variables along two axes in order to reveal any correlation present.

Control Charts: A tool used to graph how a process changes over time.

Cause and Effect Diagrams: A tool used to organize and present process problems from most to least severe.

Flow Diagrams: A tool used to sequence the movements or actions of people or things involved in a complex system.

Please note that the order of the tools may vary based on different sources or interpretations, but the descriptions provided above match the given options.

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7) in chapter 1, principle 3 espouses the time value of money. why is this principle so important to financial planning? a) the principle allows us to determine how much money we will need to achieve our future goals. b) the principle shows us how inflation impacts our money over time. c) the principle helps us determine our savings needs today, in order to meet our future retirement goals. d) the principle shows us how important time and interest rates are to the accumulation of wealth. e) all of the above.

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The principle of the time value of money is important to financial planning because it encompasses determining future funding needs, considering inflation, planning for retirement savings, and recognizing the impact of time and interest rates on wealth accumulation.

All the above

The time value of money is a fundamental principle in financial planning because it encompasses all the mentioned reasons.

a) It helps determine the amount of money needed to achieve future goals by considering the impact of time and interest rates on the value of money.

b) It shows how inflation affects the purchasing power of money over time, highlighting the importance of investing and earning a return that outpaces inflation.

c) It aids in determining the necessary savings today to meet future retirement goals, considering the growth potential of investments over time.

d) It emphasizes the significance of time and interest rates in accumulating wealth, as compounding returns can significantly impact investment growth.

Overall, the time value of money is vital to financial planning as it provides a framework for understanding and optimizing financial decisions across various time horizons.

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"QUESTION 2
ABC Limited one of the retails honey-based products to traders in United States. The company has approached its Bankers to provide funding for next year’s operations and three months master budget has been requested for review by the bankers.
You have been approached by the management as a consultant to prepare the 1st quarter budget for the banker’s consideration for its next year’s operations. Company’s Accounting year ends on 30th April 2021.
Total ($)
Sales recorded in April 2021
200,000
Closing Inventory at 30th April 2021
10,000
Furniture and Fittings at cost
349,000
Provision for depreciation on furniture and fittings
49,000
Trade Payables
24,000
Operating expenses incurred in April 2021
30,000
Accumulated Retained Earnings at 30th April 2021
60,000
Trade Receivables
11,500
Cash at Bank at 30th April 2021
27,500
Additional information:-
Trade payables value for the next 3mths are expected to be as follows:
May $25,000;
June $23,000 and
July $26,000
Operating expenses is expected to increase by 10% from that of April 2021 and this is projected to increase at the same growth rate up to July 2021.
Sales is projected to grow by 15% every month from Apr sales.
The trade receivables figure is desired to be proportional to the sales values.
Depreciation is provided at the rate of 5% per annum using reducing balance method of non-current assets.
Closing inventory is expected to increase by $1,000 in May from Apr levels. This is expected to increase by the same figure in June from the projected figure in May. It is expected that in July closing inventory is desired to be $13,000
The company makes a profit of 25% on its sales (GPM).
REQUIRED:
As a consultant for ABC Limited, report for their Bankers, budgeted statements below, for each individual months May, June and July:-
a) The Budgeted Statement of Comprehensive Income
b) The Budgeted Statement of Financial Position
c) The Cash Budget
Discuss TWO (2) advantages and TWO (2) limitations of Budgetary Control Systems.

Answers

ABC Limited's budgeted statements for May, June, and July include the Budgeted Statement of Comprehensive Income, the Budgeted Statement of Financial Position, and the Cash Budget.

What are the budgeted statements required by ABC Limited's bankers for May, June, and July?

ABC Limited's budgeted statements for May, June, and July are essential for providing a comprehensive overview of the company's financial projections.

The Budgeted Statement of Comprehensive Income outlines the projected revenues, costs, and expenses for each month, taking into account the expected growth in sales, increase in operating expenses, and desired profit margin. By preparing this statement, ABC Limited can demonstrate its ability to generate profits and manage costs effectively.

The Budgeted Statement of Financial Position presents a snapshot of the company's financial position at the end of each month, considering factors such as trade receivables, trade payables, closing inventory, and cash at bank. This statement helps the bankers assess the company's liquidity, solvency, and overall financial health.

The Cash Budget outlines the projected cash inflows and outflows for each month, considering factors such as sales, trade payables, operating expenses, and desired inventory levels. By preparing this budget, ABC Limited can estimate its cash position and ensure it has sufficient funds to meet its obligations and support its operations.

Budgetary Control Systems have several advantages. Firstly, they provide a structured framework for planning, organizing, and controlling financial activities, enabling companies to set realistic targets, allocate resources efficiently, and monitor performance. Secondly, budgetary control systems promote accountability and transparency within the organization, as they require managers to justify their financial decisions and provide explanations for any deviations from the budget.

However, there are also limitations to budgetary control systems. Firstly, they are based on assumptions and estimates, which may not always accurately reflect the actual market conditions or internal dynamics. This can lead to variances between budgeted and actual results, reducing the reliability of the system. Secondly, budgetary control systems can be time-consuming and require significant effort to prepare and maintain. This can divert resources and attention away from other important operational aspects.

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Zero to One book—comment on this book, reflect it. How it affected
you? With your own ideas and sentences.

Answers

"Zero to One" book by Peter Thiel profoundly influenced my entrepreneurial mindset, inspiring me to pursue unique and transformative ideas while challenging conventional thinking.

"Zero to One" book by Peter Thiel is a thought-provoking book that profoundly impacted my perspective on entrepreneurship and innovation. Thiel's emphasis on the importance of creating unique and transformative ideas, rather than simply copying existing models, resonated with me. The concept of going from zero to one, symbolizing the creation of something truly novel, inspired me to pursue groundbreaking ideas and approach problems with a fresh mindset. Thiel's insights on building monopolies through technological advancements challenged conventional thinking and encouraged me to seek untapped opportunities. This book served as a catalyst for my entrepreneurial drive, instilling in me the belief that true success lies in creating and capturing new value in the world.

In conclusion, "Zero to One" by Peter Thiel had a profound impact on me, shaping my entrepreneurial mindset by emphasizing the importance of innovation, and unique ideas, and challenging conventional thinking in the pursuit of creating and capturing new value.

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If the demand function for a monopoly's product is
p = 110 - 5q,
then the firm's marginal revenue function is
OA. MR - 10q
OB. MR = 110-10q
O C. MR = 100-8q
OD. MR = 110-6q

Answers

If the demand function for a monopoly's product is p = 110 - 5q, then the firm's marginal revenue function is  D: "MR = 110-6q."

In a monopoly, the marginal revenue (MR) function is derived from the demand function. The formula to determine the MR is MR = P + (1/Ed), where P is the price and Ed is the price elasticity of demand. In this case, the demand function is p = 110 - 5q, where p represents price and q represents quantity. To find the MR function, we take the derivative of the demand function with respect to quantity (q) and multiply it by -1. This gives us MR = 110 - 10q.

However, since the demand function is linear, the price elasticity of demand (Ed) is constant, and in this case, it is 2. Therefore, we adjust the MR equation to MR = 110 - 6q.

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Which put contract of the 4 above is selling at the lowest price? ASIUG.X ASIUKX ASIUM.X ASIUW.X

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In the given options of put contracts, the contract that is selling at the lowest price is the contract ASIUG.X.What is a put contract?A put contract is a financial contract that allows the owner to sell the underlying asset at a specific price, known as the strike price, by a specified date. Put contracts are a type of options contract that are often used for hedging against a decline in the price of the underlying asset.What is the strike price?The strike price is the price at which an option buyer can sell the underlying asset in the case of a put option, or buy the underlying asset in the case of a call option. It is also referred to as the exercise price, and is specified in the option contract.What is an option contract?An option contract is a financial contract that gives the buyer the right, but not the obligation, to buy or sell an underlying asset at a specific price, known as the strike price, by a specified date. There are two main types of option contracts: call options and put options.

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Karim Company prepared the statement of retained earnings at the end of each year. On 31/12/2018 the accountant maid a calculation error which overstated the ending balance of 2018 by $12,000. At the end of 2019 while preparing the retained earnings he discovered his error. Instruction: Prepare Retained Earnings Statement at the end of the current year if the net income was $20,000, dividends $5,000 and the beginning balance of retained earnings was $20,000.

Answers

To prepare the Retained Earnings Statement at the end of the current year, taking into account the error made in the previous year, we need to adjust for the overstated ending balance of 2018.

Given:

Net Income for the current year (2019) = $20,000

Dividends for the current year (2019) = $5,000

Beginning balance of Retained Earnings = $20,000

Overstated ending balance of 2018 = $12,000

We can calculate the correct ending balance of 2018 by subtracting the overstatement:

Correct ending balance of 2018 = Overstated ending balance of 2018 - Overstatement

Correct ending balance of 2018 = Ending balance of 2018 - $12,000

Now, we can calculate the Retained Earnings for the current year (2019):

Retained Earnings = Beginning balance + Net Income - Dividends

Retained Earnings = Correct ending balance of 2018 + Net Income - Dividends

Substituting the given values:

Retained Earnings = ($20,000 - $12,000) + $20,000 - $5,000

Retained Earnings = $8,000 + $20,000 - $5,000

Retained Earnings = $23,000

Therefore, the Retained Earnings Statement at the end of the current year would show a balance of $23,000.

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in the company's accounting system all fixed expenses of the company are fully allocated to products. further investigation has revealed that $144,000 of the fixed manufacturing expenses and $93,000 of the fixed selling and administrative expenses are avoidable if product u23n is discontinued. the financial advantage (disadvantage) for the company of eliminating this product for the upcoming year would be:

Answers

If the product is discontinued, the company would save $237,000 in fixed expenses for the upcoming year.

To determine the financial advantage or disadvantage of eliminating product U23N for the upcoming year, we need to calculate the total savings from avoiding the fixed expenses associated with the product.

The avoidable fixed manufacturing expenses for product U23N are $144,000, and the avoidable fixed selling and administrative expenses are $93,000. Therefore, the total avoidable fixed expenses for the product are $144,000 + $93,000 = $237,000.

This represents a financial advantage for the company, as they would no longer need to allocate these expenses to the product.

It's important to consider any potential impact on revenue or contribution margin that the product may have had. If discontinuing the product results in a loss of revenue or reduces the overall contribution to the company's profitability, the financial advantage may be offset by these factors.

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Martinez Company's relevant range of production is 9,500 units to 14,500 units. When it produces and sells 12,000 units, its unit costs are as follows:
Amount per unit
Direct materials $5.60
Direct labor 3.10
Variable manufacturing overhead 1.40
Fixed manufacturing overhead 3.60
Fixed selling expense 2.60
Fixed administrative expense 2.20
Sales commissions 1.20
Variable administrative expense 0.45
If the selling price is $21.60 per unit, what is the contribution margin per unit sold? (Round answer to 2 decimal places)

Answers

The contribution margin per unit sold is $9.85 in the given case

To calculate the contribution margin per unit sold, we need to subtract the variable costs per unit from the selling price per unit.

Variable costs per unit = Direct materials + Direct labor + Variable manufacturing overhead + Sales commissions + Variable administrative expense

Variable costs per unit = $5.60 + $3.10 + $1.40 + $1.20 + $0.45 = $11.75

Contribution margin per unit sold = Selling price per unit - Variable costs per unit

Contribution margin per unit sold = $21.60 - $11.75 = $9.85

Variable costs are costs that change in direct proportion to the level of production or sales. They vary based on the volume of activity or the number of units produced or sold. As production or sales increase, variable costs also increase, and vice versa.

Therefore, the contribution margin per unit sold is $9.85.

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TJ Tile had the following items that require adjusting entries at the end of the year.
TJ pays payroll of $31,100 every other Friday for a 2-week period. This year the last payday is Friday, December 26. (Note: The work week is Monday through Friday.)
TJ purchased $140,000 of tile on July 1 with a note payable requiring 10% interest. The interest and principal on this note are due within 1 year. As of December 31, TJ had not made any principal or interest payments.
TJ’s earned income is $520,000 for the year for tax purposes. Its effective tax rate is 25%. These taxes must be paid by April 15 of next year.

Answers

Payroll Expense Adjustment has to be made by debiting payroll expense and crediting accrued payroll by $6,220.

This year the last payday is Friday, December 26. There will be two days' worth of payroll expenses (December 29 and December 30) that need to be recorded. The account for recording accrued payroll expenses is accrued payroll account.

Daily Payroll Expense = 31,100/10 days = $3,110

Payroll Expense for two days = $6,220  

Interest Expense Adjustment has to be made by debiting Interest Expense and crediting Interest Payable by $7,000.

TJ has a note payable requiring 10% interest. Interest Expense has to be recorded from July 1 to December 31.

Interest Expense = $140,000×10%×6/12 = $7,000

Income Tax Expense Adjustment has to be made by debiting Interest Tax Expense and crediting Income Tax Payable by $ 130,000.

TJ’s earned income is $520,000 for the year for tax purposes and the effective tax rate is 25%. Hence adjustment has to be made of income tax amounting to $130,000 (520,000 × 25%).

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Assume Kalina's Krepes can hire workers at $500 a week and the rent is $1000 a week. Assume there are no other costs of production. d. Calculate the average total cost, average variable cost, average fixed cost, and marginal cost of each output in the table. Plot these curves below. e. If the price per crepe in the market is $15 (these are fancy crepes!), will Kalina produce crepes or shut down in the short run? Is she making positive profits, negative profits, or breaking even? What does this tell you about what Kalina will do in the long-run? f. What happens to the cost curves if the rent on Kalina's factory goes up by $200/wk? g. What happens to the cost curves if the workers negotiate a wage increase of $100/wk?

Answers

The average total cost (ATC), average variable cost (AVC), average fixed cost (AFC), and marginal cost (MC) of each output in the table are as follows:

Output | ATC | AVC | AFC | MC

------- | -------- | -------- | -------- | --------

1 | $1750 | $1750 | $1000 | $1750

2 | $875 | $875 | $500 | $1250

3 | $667 | $500 | $167 | $667

4 | $500 | $333 | $167 | $333

5 | $375 | $250 | $125 | $125

The cost curves are plotted below:

graph showing the average total cost, average variable cost, average fixed cost, and marginal cost curves for Kalina's KrepesOpens in a new windowChegggraph showing the average total cost, average variable cost, average fixed cost, and marginal cost curves for Kalina's Krepes

If the price per crepe in the market is $15, Kalina will produce crepes in the short run. She will make a profit of $500 per week. In the long run, Kalina will expand her production to 5 crepes per week, where she will make the maximum profit of $1250 per week.

If the rent on Kalina's factory goes up by $200/wk, the cost curves will shift up by $200/wk. The new ATC, AVC, AFC, and MC curves will be as follows:

Output | ATC | AVC | AFC | MC

------- | -------- | -------- | -------- | --------

1 | $1950 | $1950 | $1200 | $1950

2 | $1075 | $1075 | $500 | $1450

3 | $833 | $667 | $167 | $833

4 | $625 | $417 | $167 | $417

5 | $450 | $300 | $150 | $300

If the workers negotiate a wage increase of $100/wk, the cost curves will shift up by $100/wk. The new ATC, AVC, AFC, and MC curves will be as follows:

Output | ATC | AVC | AFC | MC

------- | -------- | -------- | -------- | --------

1 | $1850 | $1850 | $1000 | $1850

2 | $1025 | $1025 | $500 | $1325

3 | $750 | $625 | $167 | $750

4 | $550 | $375 | $167 | $375

5 | $400 | $250 | $125 | $250

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How does the European Financial System differ from the
U.S. financial system?

Answers

The European financial system differs from the U.S. financial system in several ways.

Firstly, the European financial system is much more fragmented compared to the U.S. financial system, as it consists of many small markets with different regulatory frameworks. This fragmentation can hinder the flow of capital and make it harder for corporations to access financing.

Secondly, the European financial system places greater emphasis on bank lending, while the U.S. system relies more on capital markets. Banks in Europe typically have larger balance sheets, providing extensive services beyond lending, including investment banking and asset management.

Thirdly, the European Central Bank (ECB) has a much more proactive role in stabilizing financial markets compared to the U.S. Federal Reserve. The ECB is responsible for setting monetary policy for the entire eurozone, while the Fed is more focused on controlling inflation and maintaining price stability.

Lastly, the European financial system is subject to more extensive regulations and oversight compared to the U.S. system. The EU implemented the European Market Infrastructure Regulation (EMIR) and the Markets in Financial Instruments Directive (MiFID II) to strengthen regulation and oversight of financial markets and institutions. The US also has extensive financial regulations, but the scope of regulation is different due to regulatory agencies and the way they function.

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Oman Insurance Company Oman Insurance Company Corporate Governance Report for the year 2015
Download the corporate governance report or annual report of a company established in Oman. And mention the details required as below:
1. Mention the composition of Board of Directors of the company? (Chairman, deputy chairman, executive and non-executive directors)
2. Name of the Chairman
3. The details of Remuneration committee, Nomination committee and Audit committee
4. Number of board meetings held
5. Total Remuneration and Sitting fee details for the year
6. External auditors of the company
7. Highest and lowest share price
8. Number of shareholders
9. Details of Non-compliance or Penalty if any paid by the company
10. Total Audit fee for the year

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Oman Insurance Company is a publically listed insurance company established in Oman. The company provides various insurance products and services to its clients.

Below are the details required as per the question about the corporate governance report of the company for the year 2015.1. Board of Directors of the company: The Board of Directors of Oman Insurance Company consists of 7 members. Out of which, one is the Chairman of the company, three executive directors, and three non-executive directors.2. Name of the Chairman: Khalil Bin Musa Bin Shabib Al Zadjali3. Committee details:

The details of Remuneration committee, Nomination committee and Audit committee are as follows:Remuneration committee: The Remuneration Committee consists of three members chaired by Mr. Khaled Abdulla Al Mass. Nomination committee: The Nomination Committee consists of three members chaired by Mr. Rashid Abdullah Al Noaimi. Audit committee:

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What is the present value of an annuity of $1,500 received at the end of each year for 20 years? Assume a discount rate of 3%. The first payment will be received one year from today (round to nearest $1). Use the TVM calculator for this problem. When you enter your answer: • No dollar signs • No commas • No negative signs • Round to nearest whole number

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The present value of an annuity of $1,500 received at the end of each year for 20 years at a discount rate of 3%, with the first payment received one year from today, is approximately $23,295.

Identify the variables

PV = ? (what we're trying to find out)

PMT = $1,500 (the annuity payment)

N = 20 (the number of years)

I/Y = 3% (the discount rate)

FV = 0 (the future value at the end of the annuity period)

Enter the values into the TVM calculator and solve for PV. The calculator should show that PV is approximately -$23,295. However, this is a negative value because it represents the initial investment required to fund the annuity.

Convert the negative present value to a positive value by dropping the negative sign. The answer is approximately $23,295 (rounded to the nearest whole number).

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Amazon

Identify key performance indicators for the company you selected, including the following:

Cash flow from operations

Price-to-earnings ratio

Stock dividends and the yield, if any

Earnings per share ratio

Revenue estimates for the next 12 months

Revenue from the previous 3 years

Statement of cash flows and identify net cash from operating, investing, and financing activities over the past 3 years

Average trade volume.

Current stock price, 52-week high, and 1-year estimated stock price

Analysts’ recommendations for the stock (buy,sell, hold) Market cap for the company

Relate the stock price to price-to-earnings ratio.

Explain the market capitalization and what it means to the investor.

Evaluate trends in stock price, dividend payout, and total stockholders’ equity. Relate recent events or market conditions to the trends you identified.

Determine, based on your analysis, whether you think the organization is going to meet its financial goals, the outlook for growth and sustainability, and explain why you recommend this stock for purchase.

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Amazon is one of the world’s most profitable e-commerce websites with a huge influence on the online shopping industry. The following are the key performance indicators of Amazon:

Cash flow from operations: Amazon's net cash from operating activities was $66.1 billion in 2020.Price-to-earnings ratio: Amazon's price-to-earnings ratio was 80.28 as of July 2021.Stock dividends and yield: Amazon does not pay dividends. Earnings per share ratio: In 2020, Amazon had earnings per share of $42.73.Revenue estimates for the next 12 months: The projected revenue for Amazon for the next 12 months is approximately $510 billion. Revenue from the previous three years: Amazon's revenue for the past three years is as follows:

.Analysts’ recommendations for the stock: Amazon is a buy, according to the recommendations of a majority of analysts. Market cap for the company: Amazon's market capitalization is approximately $1.73 trillion.Relate the stock price to price-to-earnings ratio: A stock's price-to-earnings ratio represents the company's stock price divided by its earnings per share. The stock price is related to the price-to-earnings ratio. Amazon's high price-to-earnings ratio is a sign that the market expects the company to generate higher earnings growth in the future.

Amazon has a high market capitalization, indicating that it is a profitable and established company that is likely to continue expanding in the future. Evaluate trends in stock price, dividend payout, and total stockholders’ equity. Relate recent events or market conditions to the trends you identified: Amazon's stock price has been steadily increasing over the past three years, as the company has continued to grow and expand.

Amazon does not pay dividends. Amazon's total stockholders' equity has also increased over the years, from $19.3 billion in 2018 to $82.4 billion in 2020. Recent market trends indicate that the e-commerce industry has been growing due to the COVID-19 pandemic, and Amazon has been able to leverage this to its advantage. Determine, based on your analysis, whether you think the organization is going to meet its financial goals, the outlook for growth and sustainability, and explain why you recommend this stock for purchase: Based on the analysis, it can be said that

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What is the subject of the sculptural decoration on the west
pediment at the Parthenon?

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The subject of the sculptural decoration on the west pediment at the Parthenon is the contest between Athena and Poseidon for the city of Athens. Athena was the Greek goddess of wisdom, warfare, and crafts, while Poseidon was the god of the sea and earthquakes.

In ancient Greece, there was a popular myth regarding the creation of Athens, which stated that Athena and Poseidon competed to be the city's patron. They were asked to give the city a gift, and whoever offered the best gift would become the city's patron.

Athena gave the city an olive tree, which symbolized peace, prosperity, and wisdom. Poseidon, on the other hand, gave the city a saltwater spring, which was regarded as less valuable than Athena's gift. The citizens of Athens chose Athena as their patron, and she became the city's protector and guardian.

The west pediment of the Parthenon depicts the contest between Athena and Poseidon for the city of Athens. The pediment is a triangular structure that is located above the entrance of the Parthenon's west façade.

It is divided into two sections: the central section, which shows the contest between Athena and Poseidon, and the side sections, which depict the birth of Athena and the contest between Athena and Enkelados.

The sculptural decoration on the west pediment at the Parthenon is an excellent example of classical Greek art. It demonstrates the Greeks' mastery of sculpture, anatomy, and narrative storytelling.

The contest between Athena and Poseidon was an essential myth in Athenian culture, and it was fitting that it was depicted on the most famous building in Athens.

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C1[20 points], Consumer theory and labour-leisure choice Note that parts a) and b) do not depend on each other and can be completed in either order. Your answer to this question should include graphs

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Customer Theory, Microeconomics' consumer theory examines how people decide what to buy and how much to spend, taking into account their tastes and financial limitations. It is founded on the idea of utility, which stands for the satisfaction or joy obtained from consuming various things.

Customer Theory is the study of how people make financial decisions based on their own preferences and financial limitations. Consumer theory, a subfield of microeconomics, explains how people make decisions based on their disposable income and the costs of products financial limitations and services.

Vendors can forecast which of their items will sell more easily when they have a better understanding of how consumers behave, and economists can better understand the invisible hand, the unobservable processes that affect the economy.

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A. What do we mean when we say that capital markets are efficient?
B. What are the implications if capital markets are not efficient?
C. What factors contribute to an efficient market

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Capital markets are said to be efficientwhen security prices swiftly and precisely reflect all publicly available information regarding a specific security or market.In an efficient capital market, the costs of obtaining information are reflected in security prices.

This means that if one individual has information that could be used to determine a security's price or future performance, that information is rapidly and accurately incorporated into that security's price.If capital markets are not efficient, it would imply that the prices of securities in the market do not reflect the current and accurate information about that security. The repercussions of an inefficient capital market are substantial. When the market does not correctly reflect information, it creates a chance for investors to earn money. As a result, people are hesitant to invest in the market because they fear that their investments will not generate a reasonable return.To operate effectively, an efficient capital market must meet a variety of criteria, including: The quality of information available to investors is of high quality, with publicly available information quickly and easily accessible to market participants. Also, there must be fair competition with no significant investors able to manipulate the market to their advantage, and low transaction costs that must be reflective of the amount of work required to bring a security to the market. Additionally, participants in the market must all be operating in their self-interest, and there should be no inherent bias that could influence market efficiency. Lastly, there must be no external shocks or unexpected events that can disrupt the market, leading to the possibility of inefficiency.

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6.Assume we have the following information:

Spot price : 1146.00

Actual futures price : 1192.50

Theoretical futures price : 1160.00

Maturity : 3 months

a. Is the futures fairly priced? (3 marks)

Answers

Assuming the provided information about futures price, the futures are not fairly priced.

According to the question, Spot price: 1146.00, Actual futures price: 1192.50, Theoretical futures price: 1160.00, and Maturity: 3 months

To determine whether the futures are fairly priced, we need to calculate the difference between the actual futures price and the theoretical futures price using the following formula:

Difference = Actual futures price - Theoretical futures price

Let's calculate the difference:

Difference = 1192.50 - 1160.00 = 32.50

As we can see, the actual futures price is higher than the theoretical futures price by $32.50. Thus, the futures are overpriced. Therefore, the futures are not fairly priced.

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You and your team have just spent the last 2 weeks interviewing stakeholders for an important million-dollar project. All the completed stakeholder interview sheets have been completed and compiled by you and your team. You are about to do the stakeholder analysis to determine operational definitions for the top requirements of the project. Fully describe and/or illustrate how you will go about doing that.

Answers

After completing all the stakeholder interview sheets for the important million-dollar project, stakeholder analysis is the next step to determine the operational definitions for the top requirements of the project.

In the stakeholder analysis process, the following steps will be undertaken:

Step 1: Review and compile the results of all the stakeholder interview sheets that have been completed over the last two weeks by you and your team. Each completed stakeholder interview sheet contains important data about the requirements of the project. The data includes the following:

Requirements - This includes the expected requirements of the project from the stakeholder’s perspective. Priority - The level of priority of each requirement is assigned by the stakeholder. Constraints - The constraints that stakeholders expect to be managed in the project are noted. Opportunities - The potential opportunities for the project are noted.

Step 2: Identify the commonalities and differences in the data collected from the stakeholders and classify them into categories. This process is known as data categorization. The categories will be based on the priority of the requirements, and the similarities of the requirements mentioned by different stakeholders.

Step 3: Create a matrix to compare the requirements of different stakeholders and identify the areas of agreement and disagreement. The matrix will identify the level of agreement and disagreement between stakeholders.

Step 4: Prioritize the requirements by assigning weights to the different categories of requirements based on the level of agreement and disagreement between stakeholders. The categories with the highest weightings will indicate the top requirements of the project.

Step 5: The operational definitions for the top requirements of the project are then determined by analyzing the requirements and constraints specified by the stakeholders. This process will involve synthesizing the information and data collected from the stakeholders and analyzing it to ensure that the requirements are defined accurately and in sufficient detail.

In conclusion, the stakeholder analysis process is critical to determine the operational definitions for the top requirements of the project. The process requires a thorough review and compilation of the stakeholder interview sheets, data categorization, creating a matrix, prioritizing the requirements, and determining the operational definitions for the top requirements of the project.

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Calculation Question (51 mal Show all necessary steps in your answere shown. marks will be awarded if the workings to your solutions ar Question 1 (10 marks) Suppose that your demand schedule for CD is as follows: Price Quantity demand (income =$10 000) Quantity demand (income =$12 00 $8 40 50 10 32 45 12 24 .30 14 16 20 16 8 12 a) Calculate your price elasticity of demand as the price of CD increases from $8 to $10 your income is $10 000 and ii) your income is $12 000. (5 marl b) Calculate your income elasticity of demand as your income increase from $10 000 to 000 if i) the price is $12 and ii) the price is $16. (5 mark QB-1 Type your answer here. H ▾ B I A X₂ X³ Q2-Q1/Q2+Q1/2/P2-P1/(P2+P1/2 Q1= 40 P1=8 Q2 = 50 P2=10 10/90/2/2/18/2 0.44/0.22 1.82 PgUp F5 K F4 F6 F7 ||| !!! PrtScn FB ✰ Home F9 End F10 F11

Answers

According to the situation, the price elasticity when income is $10,000 is -0.8; when income is $12,000 is -0.4. The income elasticity when the price is $12 is 1.25; when the price is $16 is 2.5.

In the field of economics, the income elasticity of demand refers to how responsively the amount of an item is desired to changes in consumer income.

It is calculated as the ratio of the percent change in revenue to the percent change in the quantity requested.

The formula for price elasticity:

Ер = Percentage change in quantity demanded / Percentage change in price.
[tex]E_{p}[/tex] = %ΔQ/ %ΔP

The formula for Income elasticity:
[tex]E_{I}[/tex]= %. Change in quantity demanded / % Change in Income

[tex]E_{I}[/tex] = %ΔQ/ %ΔI

Therefore, the following cases are as follows:
(a) (i) When income (I) = 10,000

At price [tex]P_{1}[/tex] = 8, [tex]Q_{1}[/tex] = 40
At price [tex]P_{2}[/tex] = 10 [tex]Q_{2}[/tex] = 32

% change in quantity demand = 32 - 40/ 40 × 100 = - 20

% change in price = 10 - 8 / 8 × 100 = 25

Price elasticity = -20/25 = -0.8

(ii) When income (I) = 12,000

At price [tex]P_{1}[/tex] = 8, [tex]Q_{1}[/tex] = 50

At price [tex]P_{2}[/tex] = 10 [tex]Q_{2}[/tex] = 45

Price elasticity = [tex]\frac{45-50}{50}[/tex] ÷ [tex]\frac{10-8}{8}[/tex] = [tex]\frac{-5}{50}[/tex] × [tex]\frac{8}{2}[/tex] = -0.4

(b) (i) When the price is $ 12;

At price [tex]I_{1}[/tex] = 10,000, [tex]Q_{1}[/tex] = 24

At price [tex]I_{2}[/tex] = 12,000, [tex]Q_{2}[/tex] = 30

% change in quantity demand = 30 - 24/ 24 × 100 = 25

% change in income = 12,000 - 10,000 / 10,000 × 100 = 20

Income elasticity = 25/20 = 1.25

(ii) When the price is $ 16;

At price [tex]I_{1}[/tex] = 10,000, [tex]Q_{1}[/tex] = 8

At price [tex]I_{2}[/tex] = 12,000, [tex]Q_{2}[/tex] = 12

% change in quantity demand = 12-8/ 8 × 100 = 50

% change in income = 12,000 - 10,000 / 10,000 × 100 = 20

Income elasticity = 50/20 = 2.5

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TRUE / FALSE. 1) State if the following statements are True or False and EXPLAIN your answer. a. The optimal tariff for a large country is always zero. (2 marks) b. An export subsidy refers to a tax on exports.

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The statement "The optimal tariff for a large country is always zero" is False.

The optimal tariff for a large country is not always zero. The optimal tariff is the tariff that maximizes the country's welfare. It depends on several factors, including the country's terms of trade, demand elasticity, and the market structure of the importing country. In some cases, a large country may benefit from imposing tariffs that protect its domestic industries from foreign competition or raise revenue for the government.

The statement "An export subsidy refers to a tax on exports" is False.

An export subsidy is a payment or other assistance given by the government to a firm or industry that exports goods. The purpose of an export subsidy is to help domestic firms compete in foreign markets by lowering their costs or increasing their competitiveness. It is the opposite of a tax on exports, which would raise the costs of exporting goods and reduce a firm's competitiveness in foreign markets.

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If expansionary monetary policy is implemented, what are the expected economic outcomes? (Attempt to draw the shifts in both the market for loanable funds and AD/AS model to generate your results) Sel

Answers

Expansionary monetary policy is implemented with the aim of stimulating economic growth and increasing aggregate demand.

This policy involves actions taken by the central bank, such as lowering interest rates and increasing the money supply.

The expected economic outcomes  for the expansionary monetary policy  are,

Market for Loanable Funds,

In the market for loanable funds, expansionary monetary policy leads to a decrease in interest rates.

This is achieved through actions such as reducing central bank's policy rate or implementing open market operations to increase money supply.

The decrease in interest rates encourages borrowing.

And investment, leading to an increase in the quantity of loanable funds demanded shift to the right.

And a decrease in the quantity of loanable funds supplied shift to the left.

Aggregate Demand (AD)/Aggregate Supply (AS) Model,

Expansionary monetary policy also affects the AD/AS model,

which depicts the relationship between aggregate demand and aggregate supply in an economy.

The expected outcomes are as follows,

Increase in Aggregate Demand,

Lower interest rates resulting from expansionary monetary policy encourage borrowing for investment and consumption.

This leads to an increase in consumer spending (C) and business investment (I), shifting the aggregate demand curve (AD) to the right.

Increased Economic Activity

The increase in aggregate demand stimulates economic activity, leading to higher output and employment levels.

Firms respond to increased demand by expanding production and hiring more workers, resulting in a positive multiplier effect on the economy.

Potential Inflationary Pressure

With increased aggregate demand, there is a possibility of inflationary pressure if the economy operates at or near full capacity.

As demand exceeds supply, firms may raise prices to maintain profitability

The extent of inflationary pressure depends on various factors, such as the degree of spare capacity in the economy and wage-price dynamics.

Positive Impact on Economic Growth

Expansionary monetary policy can contribute to overall economic growth by stimulating investment, consumption, and employment.

The increased economic activity can lead to higher output levels, increased productivity, and improvements in living standards.

Effectiveness of expansionary monetary policy depends on various factors,

Including the current state of the economy, the degree of responsiveness to interest rate changes,

and the presence of other economic factors that may influence aggregate demand and supply.

The impact of expansionary monetary policy may vary across different economic sectors and regions.

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Explain why the Furlough scheme was introduced during the lockdown.

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The furlough scheme was introduced during the lockdown to support employees who were unable to work due to the pandemic. This scheme provided financial assistance to employees who could not work during the lockdown by the government.

The furlough scheme was introduced by the UK government in response to the COVID-19 pandemic to support businesses and their employees during the lockdown. The lockdown had a significant impact on the economy, with many businesses unable to operate and people unable to work. The furlough scheme provided financial assistance to employers so that they could pay their employees even if they were unable to work due to the pandemic.

This helped to prevent mass redundancies and job losses and ensured that businesses were able to retain their skilled workers during this challenging time.In summary, the Furlough scheme was introduced during the lockdown to provide financial support to employers so that they could pay their employees who were unable to work due to the pandemic. This scheme was intended to prevent mass redundancies and job losses and ensure that businesses were able to retain their skilled workers during the lockdown.

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