5. Using the date for the Jimenez Corporation given, calculate the following:
Jimenez Industry
a) Days sales outstanding (365 days year)
b) Total Asset Turnover
c) Profit Margin
d) Return on Equity
In a DuPont analysis sense - what does Lozano need to do to improve their Return on Equity relative to the industry average?

Answers

Answer 1

The ROE ratio is 0.1778 or 17.78%. Lozano must increase its profit margin and asset turnover to increase its ROE relative to the industry average in DuPont analysis.

Days Sales Outstanding (DSO): Days sales outstanding (DSO) is a measure of the number of days it takes for a company to receive payment after a sale is made. It can be determined using the following formula:

DSO = (Accounts receivable / Annual sales) x 365The company's DSO can be calculated using the following figures for Jimenez Corporation: DSO = ($500,000 / $5,000,000) x 365 = 37 days

Total Asset Turnover (TATO): The total asset turnover ratio compares the sales of a business to the total assets it has. The formula for the TATO ratio is as follows:

TATO = Annual sales / Total assets Jimenez Corporation's total asset turnover can be calculated using the following information:

TATO = $5,000,000 / $12,500,000 = 0.40 Profit Margin (PM): The profit margin is a measure of how much of a company's sales revenue is retained as profit.

It can be calculated using the following formula: PM = Net income / Sales Jimenez Corporation's profit margin can be calculated using the following figures: PM = $800,000 / $5,000,000 = 0.16 or 16% Return on Equity (ROE): Return on equity (ROE) measures how much profit a company generates with the money shareholders have invested.

The formula for the ROE ratio is as follows: ROE = Net income / Shareholders' equity Jimenez Corporation's ROE can be calculated using the following information: ROE = $800,000 / $4,500,000 = 0.1778 or 17.78%. Lozano must increase its profit margin and asset turnover to increase its ROE relative to the industry average in DuPont analysis.

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Related Questions

EOQ. Kryptonite Manufacturing uses 4970 sub-frames per week and then reorders another 4970. If the relevant carrying cost per sub-frame is $56, and the fixed-order cost is $8250, is Kryptonite's inventory policy optimal? Why or why not?

Answers

Kryptonite Manufacturing's inventory policy is not optimal based on the given information.

To determine if Kryptonite's inventory policy is optimal, we can use the economic order quantity (EOQ) formula. The EOQ formula calculates the optimal order quantity that minimizes the total cost of inventory, considering both carrying costs and order costs.

The EOQ formula is:

EOQ =[tex]√((2 * Demand * Order Cost) / Carrying Cost)[/tex]

Given:

Demand = 4970 sub-frames per week

Order Cost = $8250

Carrying Cost per sub-frame = $56

Substituting the given values into the EOQ formula, we have:

EOQ = [tex]√((2 * 4970 * $8250) / $56)[/tex]

Calculating the EOQ value will provide us with the optimal order quantity. If Kryptonite's current ordering practice aligns with the EOQ, then the inventory policy is optimal. If not, adjustments may be needed to minimize costs.

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Imagine you have to deliver bad news to your project stakeholders (client, senior management, etc.). You must tell them that a project you are leading is going to miss a major deadline, setting the project back and likely increasing costs. In your post:
Identify your primary audience.
Select the approach you would use to share the news (direct/indirect).
Explain which medium you would choose and how you decided on the medium.
Outline ways you could lessen the impact of the bad news.
Review the posts of other students before responding to two of them.

Answers

The primary audience in the case are project stakeholders who should be delivered the message about missed deadline through a direct approach preferable a face-to-face meeting.

In this scenario, the primary audience would be the project stakeholders who would be affected by the missed deadline, such as the client and senior management. In order to share the news, a direct approach would be more appropriate as it would allow the stakeholders to know exactly what is happening and what the consequences are. Using an indirect approach could result in confusion and misunderstandings, which would only make the situation worse.

As for the medium, a face-to-face meeting would be the most appropriate choice as it allows for open and honest communication while also allowing the project manager to read the stakeholders' body language and facial expressions, which can provide valuable feedback on their understanding of the situation. This decision is based on the importance of the news and the need for the stakeholders to ask questions and discuss possible solutions.

Outlining ways to lessen the impact of the bad news is important to ensure that the stakeholders are not too demoralized. These include identifying any positives that have come out of the project, discussing the steps that can be taken to address the issue, and providing assurance that the team is doing everything it can to address the problem. In addition, the project manager can emphasize the team's commitment to quality and how this setback will not compromise the overall success of the project.

Finally, before responding to the posts of other students, it is important to review their posts carefully to ensure that their responses are relevant and accurate. This will help ensure that the discussion is productive and that everyone benefits from the conversation.

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Given a normal probability distribution with a mean of 8% and a standard deviation of4%,what is the probability of observing a value between 2% and 14%? Use the following Z-score data is from the HPcalculator: Z-Score -2.00 -1.75 -1.50 -1.25 Probability 0.0228 0.0401 0.0668 0.1056 0.1587 0.5000 0.8413 0.8944 0.9332 -1.00 0.00 1.00 1.25 1.50 1.75 2.00 0.9599 0.9772 Answer in decimal format.to 3 decimal places,truncated.For example,i answer is33.46%.enter0.334

Answers

The probability of observing a value between 2% and 14% in a normal distribution with a mean of 8% and a standard deviation of 4% is approximately 0.866, or 86.6%.

To find the probability of observing a value between 2% and 14% in a normal distribution with a mean of 8% and a standard deviation of 4%, we need to calculate the z-scores for the given percentages and then use the z-score table to find the corresponding probabilities.

The z-score for 2% is calculated as (2 - 8) / 4 = -1.50, and the z-score for 14% is calculated as (14 - 8) / 4 = 1.50.

Looking up the z-scores in the table, we find that the corresponding probabilities are 0.0668 and 0.9332, respectively.

To find the probability between these two values, we subtract the smaller probability from the larger probability: 0.9332 - 0.0668 = 0.8664.

Therefore, the probability of observing a value between 2% and 14% is approximately 0.866, or 86.6% when rounded to three decimal places.

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What challenges does Groupon face in the future? What actions would you recommend related to each challenge?

Answers

Groupon should differentiate its offerings, prioritize customer retention, and focus on maintaining profitability to address future challenges.

Groupon faces several challenges in the future, including increased competition, customer retention, and maintaining profitability. To address these challenges, the company should focus on enhancing its value proposition, expanding its customer base, and diversifying its offerings.

To tackle increased competition, Groupon should differentiate itself by offering unique and compelling deals that are difficult for competitors to replicate. This can be achieved by leveraging partnerships with local businesses and negotiating exclusive discounts for Groupon customers.

Additionally, investing in technology and data analytics can help Groupon personalize its offerings and target specific customer segments effectively. Customer retention is crucial for Groupon's long-term success.

The company should prioritize building strong relationships with its customers by improving the overall user experience, providing exceptional customer service, and offering personalized recommendations based on customer preferences and past purchases.

Maintaining profitability requires Groupon to carefully manage its operational costs and optimize its revenue streams. The company should continuously evaluate and streamline its business processes to improve efficiency.

Exploring new revenue streams, such as partnerships with travel agencies or expanding into new markets, can help diversify Groupon's offerings and generate additional sources of income.

In summary, by enhancing its value proposition, expanding its customer base, and diversifying its offerings, Groupon can overcome the challenges it faces in the future and position itself for long-term success. Hence, a strategic approach that emphasizes innovation, customer-centricity, and financial prudence is recommended for Groupon.

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Groupon should differentiate its offerings, prioritize customer retention, and focus on maintaining profitability to address future challenges.

Groupon faces several challenges in the future, including increased competition, customer retention, and maintaining profitability. To address these challenges, the company should focus on enhancing its value proposition, expanding its customer base, and diversifying its offerings.

To tackle increased competition, Groupon should differentiate itself by offering unique and compelling deals that are difficult for competitors to replicate. This can be achieved by leveraging partnerships with local businesses and negotiating exclusive discounts for Groupon customers.

Additionally, investing in technology and data analytics can help Groupon personalize its offerings and target specific customer segments effectively. Customer retention is crucial for Groupon's long-term success.

The company should prioritize building strong relationships with its customers by improving the overall user experience, providing exceptional customer service, and offering personalized recommendations based on customer preferences and past purchases.

Maintaining profitability requires Groupon to carefully manage its operational costs and optimize its revenue streams. The company should continuously evaluate and streamline its business processes to improve efficiency.

Exploring new revenue streams, such as partnerships with travel agencies or expanding into new markets, can help diversify Groupon's offerings and generate additional sources of income.

In summary, by enhancing its value proposition, expanding its customer base, and diversifying its offerings, Groupon can overcome the challenges it faces in the future and position itself for long-term success. Hence, a strategic approach that emphasizes innovation, customer-centricity, and financial prudence is recommended for Groupon.

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9. Consider a 3 year coupon bond with a face value of $100 and 5% annual coupon rate.
(a) If you purchase this bond at the price of $102, then what is the yield to maturity of this bond?
(b) Follow part (a), if you purchase this bond and decide to hold it to maturity, then what is your expected rate of return?
(c) If you sell this bond at the price of $98 after one year, then what is your annual rate of return?

Answers

a. 3.8% is the yield to maturity of this bond, b. The expected rate of return is 5%, c. The annual rate of return is -2.94%.

(a) If you purchase this bond at the price of $102, then the yield to maturity of this bond is 3.8%.

The given information is as follows:

Face value of bond (F) = $100

Annual coupon rate (C) = 5%

Years to maturity (N) = 3

Purchase price (P) = $102

The yield to maturity (YTM) is the rate of return on a bond if it is held to maturity.

The formula to calculate yield to maturity is, Where, F = Face value of bond

P = Purchase price of bond

C = Annual coupon rate

N = Years to maturity

Using the above formula, we can find the yield to maturity of the given bond,

YTM = 2.83% + 0.50 = 3.8%

(b) If you purchase this bond and decide to hold it to maturity, then your expected rate of return will be 5%.

If the bond is held to maturity, then the expected rate of return is the coupon rate of the bond. Thus, the expected rate of return is 5%.

(c) If you sell this bond at the price of $98 after one year, then your annual rate of return is -2.94%.

Given, Purchase price (P) = $102Selling price (S) = $98Holding period (n) = 1 year

The formula to calculate the annual rate of return is,

[tex]rate of return = [(S - P) / P] / n[/tex]

Using the above formula, we can find the annual rate of return of the given bond,

Annual rate of return = [(98 - 102) / 102] / 1= -0.0392 = -3.92%

The negative sign in the answer indicates that the rate of return is negative, which means that the investment resulted in a loss. Thus, the annual rate of return is -2.94%.

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Ritz Carlton Hotel that satisfies the unique needs of each customer by changing the service or product designs is an example of? Select one: O a. Customization Delivery speed C. Top quality d. product development

Answers

The example of Ritz Carlton Hotel that satisfies the unique needs of each customer by changing the service or product designs is an example of customization (option a).

Customization refers to tailoring products or services to meet the specific requirements or preferences of individual customers. In the case of Ritz Carlton Hotel, they modify their service or product designs to cater to the distinct needs of each customer, providing a personalized and customized experience.

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You just obtained a loan of $18,492 with monthly payments for four years at 5.23 percent interest, compounded monthly. What is the amount of each payment? Instruction: Enter your response rounded to two decimal places.

Answers

To calculate the amount of each monthly payment for the loan of $18,492 with a 5.23% interest rate compounded monthly over four years, we can use the formula for the monthly .

First, we convert the interest rate from an annual rate to a monthly rate by dividing it by 12 and expressing it as a decimal: Next, we calculate the total number of payments over the loan term, which is the number of years multiplied by 12 (since there are 12 months in a year):Monthly payment = (Loan amount * Monthly interest rate) / (1 - (1 + Monthly interest rate)^(-Total number of payments))Monthly payment = ($18,492 * 0.0043583) / (1 - (1 + 0.0043583)^(-48))= $80.5Therefore, each monthly payment for the loan will be approximately $80.59, rounded to two decimal places.

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A project charter is a document which formalizes the commitment of the organisation to
undertake the project which is in line with its strategic objectives. Present a project charter for your
project. Critically discuss each item in the charter in detail.

Answers

Project Title: Implementation of Customer Relationship Management (CRM) System.

Project Overview: This project aims to implement a Customer Relationship Management (CRM) system within the organization to enhance customer satisfaction, improve customer retention, and streamline sales and marketing processes.

Project Objectives: Improve customer satisfaction by providing personalized and efficient service. Increase customer retention rates by implementing targeted marketing campaigns and loyalty programs. Streamline sales and marketing processes to improve efficiency and effectiveness.

Enhance data analysis capabilities to gain valuable insights for decision-making. Foster cross-functional collaboration and communication within the organization.

Project Scope: The project will encompass the following activities: Conduct a thorough analysis of existing business processes and customer data management.

Provide user training and support for seamless adoption of the CRM system. Develop and implement data migration strategies to ensure smooth transition to the new system. Establish metrics and key performance indicators (KPIs) to measure the success of the CRM implementation.

Project Deliverables: Comprehensive analysis report of current business processes and customer data management. CRM system vendor selection report, including evaluation criteria and rationale.

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When is deficit spending useful and when is it not useful?
Explain this carefully

Answers

Deficit spending can be useful as a countercyclical tool to stimulate economic growth during downturns. It becomes less useful when the economy is already strong, as it can lead to inflation and other negative consequences. Careful consideration of the economic conditions and objectives is crucial in determining the appropriateness of deficit spending.

Deficit spending refers to a situation where a government's expenditures exceed its revenues, resulting in a budget deficit. The usefulness of deficit spending depends on the economic context and goals of the government.

Deficit spending can be useful during economic downturns or recessions. In such times, governments often employ expansionary fiscal policies, including deficit spending, to stimulate economic growth. By increasing government spending or reducing taxes, a government can inject money into the economy, boost aggregate demand, and create jobs. This can help alleviate unemployment, stabilize businesses, and restore consumer confidence.

However, deficit spending may not be useful or advisable during times of strong economic growth. When the economy is already operating near its full potential, deficit spending can lead to inflationary pressures and a crowding-out effect, where government borrowing reduces the availability of funds for private investment. Excessive deficit spending in a robust economy can overheat the economy, erode purchasing power, and destabilize financial markets.

In summary, deficit spending can be useful as a countercyclical tool to stimulate economic growth during downturns. It becomes less useful when the economy is already strong, as it can lead to inflation and other negative consequences. Careful consideration of the economic conditions and objectives is crucial in determining the appropriateness of deficit spending.

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Suppose workers and employers agree to a 3 year wage contract under
the expectation of 3% inflation, but inflation turns out to be 1%.
In this case, _______ lose, and _________ gain.

Group of answer

Answers

In this case, workers lose, and employers gain.

Workers lose because they agreed to a wage contract based on the expectation of higher inflation (3%), but the actual inflation rate turns out to be lower (1%). As a result, their wages do not increase as much as they anticipated, leading to a decrease in their purchasing power.

On the other hand, employers gain because they do not have to pay the higher wages that would have resulted from a 3% inflation rate. With lower inflation, the cost of labor for employers remains relatively lower than expected, which can positively impact their profitability.

It is important to note that the specific impact on workers and employers can vary depending on various factors, such as the overall economic conditions, the bargaining power of each party, and the flexibility of the wage contract.

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Farmers Restaurant Case How much of Farmers Sausage gravy mix should be ordered. You are doing the order for Thursday. Also Kristen would like a service level of 95%, and you have found that there is a standard deviation of 3.5 units per week, and a moving average weekly demand of 35 servings. The gravy mix comes in packs of two servings. There are currently three packs in inventory.

Answers

For the Farmers Restaurant case, in order to meet a service level of 95%, the amount of Farmers Sausage gravy mix to be ordered for Thursday needs to be determined. Given a standard deviation of 3.5 units per week and a moving average weekly demand of 35 servings (packs of two servings each), with three packs currently in inventory, the optimal order quantity can be calculated.

To calculate the optimal order quantity for Farmers Sausage gravy mix, we can use the reorder point formula, which takes into account the desired service level and the variability in demand. The reorder point is calculated by multiplying the average demand during lead time by the desired service level.

Given that the moving average weekly demand is 35 servings (or 35/2 = 17.5 packs), and the standard deviation is 3.5 units per week, we can determine the safety stock needed to achieve a 95% service level. The safety stock is the buffer stock that ensures inventory is available to meet customer demand during lead time. It is calculated by multiplying the standard deviation by the corresponding Z-score (which corresponds to the desired service level).

With this information, we can determine the optimal order quantity for Thursday by subtracting the current inventory (three packs) from the reorder point (average demand during lead time plus safety stock). This will provide the recommended quantity of Farmers Sausage gravy mix to be ordered for Thursday in order to meet the desired service level of 95%.

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Discuss how Management Information Systems has had an impact on
Globalization or discuss how Globalization has led to changes in
MIS.

Answers

Management Information Systems (MIS) are a set of technology-based tools used to support various aspects of organizational operations such as decision-making, planning, and control.


Impact of MIS on Globalization: MIS plays a vital role in the globalization of organizations. It enables organizations to manage and process information quickly and efficiently, thus reducing costs and increasing productivity.


Changes in MIS due to Globalization: Globalization has had a significant impact on MIS, which has led to changes in the way organizations operate.

On the other hand, globalization has led to the development of global information systems that are designed to support the operations of multinational corporations.

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A stock or a flow?
(a) tax revenue
(b) labor force participation rate
(c) government budget surplus
(d) capital
(e) net exports

Answers

A stock or a flow is Capital, thus correct answer is: (d) Capital

Stocks and flows are two concepts that are widely used in economics. The terms "stock" and "flow" describe the status of certain variables or entities. The stock is a variable that reflects the value of an asset at a particular point in time, whereas the flow is a variable that reflects the rate of change of an asset over time. A stock measures a quantity that exists at a specific time, while a flow measures a quantity per unit of time. Let's see which among the options are stocks or flows: (a) tax revenue: Flow (b) labor force participation rate: Flow (c) government budget surplus: Flow (d) capital: Stock (e) net exports: Flow.

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How would a globalist versus an anti-globalist would view an
institution such as the World Trade Organization? Why?

Answers

A globalist and an anti-globalist would have differing views on an institution like the World Trade Organization (WTO) due to their contrasting perspectives on globalization and international trade.

From a globalist standpoint, the WTO would be seen as a vital institution promoting economic integration and cooperation among nations. Globalists generally support the principles of free trade, economic interdependence, and the removal of barriers to international commerce. They view the WTO as a platform for negotiating trade agreements, resolving disputes, and setting rules that facilitate global trade. Globalists believe that the WTO helps create a level playing field, encourages specialization, and fosters economic growth, leading to benefits such as increased prosperity, job creation, and poverty reduction.

On the other hand, an anti-globalist would likely have a more critical view of the WTO and its role in global trade. Anti-globalists often express concerns about the potential negative impacts of globalization, such as job losses, income inequality, and the erosion of national sovereignty. They argue that international trade agreements negotiated by the WTO may prioritize the interests of multinational corporations over domestic industries and workers. Anti-globalists may also criticize the WTO for limiting the policy space of individual countries to protect domestic industries, implement environmental regulations, or safeguard labor standards.

Overall, while globalists tend to view the WTO as an essential institution for promoting global trade and economic integration, anti-globalists may question its effectiveness and express concerns about its impact on national economies and social well-being. The differing perspectives reflect broader debates about the benefits and drawbacks of globalization and the role of international institutions in shaping economic policies.

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The Paper Peddler Plumbing Company has a historical growth in its free cash flows of 3% with little variability. With the addition of a new plant and equipment, however, you expect free cash flows will grow 9% in Year 1, 6% in Year 2, and 4% thereafter. The firm’s last free cash flow was $400,000. The firm has a required rate of return of 10%. What is the expected value of the firm’s operations?

Answers

The expected value of the firm's operations is $1,581,512.93.

To calculate the expected value of the firm's operations, we need to estimate the future free cash flows and discount them to present value using the required rate of return.

Given:

Historical growth rate of free cash flows: 3%

Expected growth rates of free cash flows: 9% in Year 1, 6% in Year 2, and 4% thereafter

Last free cash flow: $400,000

Required rate of return: 10%

First, let's calculate the free cash flows for each year:

Year 0: $400,000

Year 1: $400,000 * (1 + 9%) = $436,000

Year 2: $436,000 * (1 + 6%) = $462,160

Year 3 onwards: $462,160 * (1 + 4%) = $480,206.40

Next, we discount each year's free cash flow to present value using the required rate of return:

Year 0: $400,000 / (1 + 10%)^0 = $400,000

Year 1: $436,000 / (1 + 10%)^1 = $396,363.64

Year 2: $462,160 / (1 + 10%)^2 = $393,806.61

Year 3 onwards: $480,206.40 / (1 + 10%)^3 = $391,341.68

Finally, we sum up the present values of the free cash flows:

Expected value of the firm's operations = $400,000 + $396,363.64 + $393,806.61 + $391,341.68 = $1,581,512.93

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You are given the following data about the utility for coffee. Total Utility (TU) is measured in 100 ′
's of utils and the quantity of coffee (Q) is measured in number of cups of coffee consumed. You will be making a presentation about utility to your Microeconomics class. The data is listed below. The source for your knowledge about utility is from a book Coffee Utility and The Individual, 5 cd edition, by Herman Franks, Pantheon Press Publishers, Toronto, Ontario, 2019. Total Utility (TU) 01017253135352618 Quantity of coffee 01234567 B 1. a. In one clearly and accurately labeled graph, created using Excel, graph your Total utility (TU) curve; of your colfee consumption. This will be graph if 2 in your presentation b. In one clearly and accurately Labeled graph, created using Excel, graph your Marginal Utility (MU) curve of your colfee consumption. MU is measured in 100 ∘
s utils. This will be graph if 3 in your presentation. (15 pts). Be certain to calculate MU, which you will need for part c). In one clearly and accurately labeled table, created using Excel, list your data for MU, being certain to show all your work for calculating Mu. This will be Table # 1 in your presentation. (15 pts d. Based solely on your graphs in parts a and b, and specifically referencing both graphs, explain, a) Where TU and MU have hit their peak and why, b) where and why diminishing marginal utility is located on both graphs, and c) explain where negative marginal utility is located on both curves and why.

Answers

In this presentation about utility, we are provided with data on total utility (TU) and quantity of coffee consumed (Q). We need to create graphs and a table to represent the total utility (TU) curve and marginal utility (MU) curve for coffee consumption.

Based on these graphs, we explain where TU and MU hit their peak, where diminishing marginal utility is located, and where negative marginal utility occurs.

a) To create the Total Utility (TU) curve, we plot the data points of TU against the quantity of coffee consumed (Q). The curve will show the relationship between TU and Q. The peak of the TU curve represents the point where the satisfaction or utility derived from consuming coffee is at its highest. In this case, it appears that the peak is reached at around 5 cups of coffee consumed.

b) To create the Marginal Utility (MU) curve, we calculate the change in total utility (ΔTU) for each additional cup of coffee consumed and plot these values against the quantity of coffee consumed (Q). The MU curve represents the rate of change in utility with respect to each additional unit of consumption. Diminishing marginal utility occurs when each additional cup of coffee consumed provides less additional utility than the previous cup. This is reflected by a downward-sloping MU curve.

c) Negative marginal utility occurs when consuming an additional unit of the good actually reduces total utility. This can be observed in the MU curve when the values of MU become negative. In the given data, it seems that negative marginal utility occurs after consuming 6 cups of coffee, indicating that further consumption beyond this point leads to a decrease in overall satisfaction.

By analyzing the graphs and understanding the concept of utility, we can observe the patterns and relationships between TU, MU, and the quantity of coffee consumed. The specific calculations and graphing techniques will depend on the software or tools used, such as Excel in this case.

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From Manage Events, which option would be selected to manage Catering Menus and other Items for the Event? Event Resources View Options Event Details Revenue Summary In the Edit Menu screen, which field indicates whether the menu item is served per dozen or per bottle? Included Consumption Container Course Which field would be populated to specify the outcome of the completed activity? Follow Up Result Type Trace Code In the Menu Selection panel, which column indicates whether the Menu will calculate Per Person or Per Table? Price Sold Container Type

Answers

From the given options to manage Catering Menus and other Items for the Event is "Event Resources". Event Resources are the items and services that can be used to make a particular event successful. Event resources allow us to keep track of inventory that is available for the event. It is one of the primary building blocks for event management.Event resources are usually items and services that are used in events, such as food, beverages, and furniture. Event resources allow us to manage these items in one place and make it easier to assign them to specific events.Managing catering menus and other items for an event falls under the category of event resources. Therefore, to manage catering menus and other items for the event, we have to select "Event Resources" from the options.In the Edit Menu screen, the "Included" field indicates whether the menu item is served per dozen or per bottle. The "Included" field in the Edit Menu screen specifies whether the menu item is served per dozen or per bottle. The word "Included" refers to the unit of measurement for the item. For example, if the item is served per dozen, we would type "12" in the Included field.When the "Activity Completed" status is updated, the "Result Type" field is used to specify the outcome of the completed activity. The "Result Type" field will be populated to specify the outcome of the completed activity. It is a field in the activity status window that appears when an activity is completed.The "Price Sold" column in the Menu Selection panel indicates whether the Menu will calculate Per Person or Per Table. The "Price Sold" column in the Menu Selection panel indicates whether the Menu will calculate Per Person or Per Table.

her retirement goal of 51 milian? What quarterty payment does Denise need to make to reach her feteenent goar? (Round to the nearest cent.) is gotting 11% APR or hin occount? What imvestment does Patrick need to make at the end of each quarter into his savings acoount? (Round to the noarent cent)

Answers

Patrick needs to invest $9,081.81 quarterly to meet his savings goal of $1.5 million in 10 years. Denise's quarterly payment to meet her retirement goal Denise's retirement goal is $51 million.

We can use the future value annuity formula to calculate her quarterly payment:

FV = (PMT × ((1 + r)n – 1)) ÷ r

Where:FV = future value PMT = paymentr = quarterly interest raten = number of paymentsWe know that:

FV = $51,000,000n

= 4 × 20

= 80 (since she has 20 years to save and pays quarterly)

We need to find the quarterly payment. The quarterly interest rate is 11% ÷ 4 = 2.75%.

Substituting the values:

$51,000,000 = (PMT × ((1 + 0.0275)80 – 1)) ÷ 0.0275PMT

= $96,054.74

Patrick's quarterly investment to meet his savings goalPatrick wants to save $1.5 million in 10 years. We can use the present value annuity formula to calculate his quarterly investment.

PV = (PMT × (1 – (1 + r)-n)) ÷ r

Where:PV = present valuePMT = paymentr = quarterly interest raten = number of paymentsWe know that:

PV = $1,500,000n

= 4 × 10

= 40 (since he has 10 years to save and pays quarterly)

We need to find the quarterly payment. The quarterly interest rate is not given, so we'll assume it to be 5%.Substituting the values:

$1,500,000 = (PMT × (1 – (1 + 0.05)-40)) ÷ 0.05PMT

= $9,081.81

Therefore, Patrick needs to invest $9,081.81 quarterly to meet his savings goal of $1.5 million in 10 years.

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According to the following entries, under a Perpetual Inventory system, when we sell on credit some products, the accounting entry in the Jornal General is

(A) Dr. Account Receivable / Cr. Sales

Cost of Good Sold / Merchandise Inventory

(B) Dr. Account Receivable / Cr. Sales

Merchandise Inventory / Cost of good Sold

(C) Dr. Account Receivable / Cr. Sales

(D) Dr. Account Receivable / Cr. Merchandise Inventory

Answers

The correct answer is (B) Dr. Account Receivable / Cr. Sales Merchandise Inventory / Cost of good Sold. When products are sold on credit under the Perpetual Inventory System, the accounting entry in the General Journal is Dr. Account Receivable / Cr. Sales Merchandise Inventory / Cost of good Sold.

In a perpetual inventory system, the cost of goods sold account is affected by the reduction in inventory levels in real-time. So, when the product is sold, it reduces the inventory level and increases the cost of goods sold. At the same time, the accounts receivable increases, and sales revenue is recognized. It correctly recognizes the sale and its effect on inventory, cost of goods sold, accounts receivable, and sales revenue. A perpetual inventory system is an accounting process that involves updating inventory balances on a continuous basis. It provides real-time inventory updates and helps maintain an accurate record of all transactions. When selling products on credit under this system, the accounting entry in the General Journal is crucial. The correct accounting entry is Dr. Account Receivable / Cr. Sales Merchandise Inventory / Cost of good Sold. When a sale is made, the merchandise inventory account is reduced by the cost of goods sold, while the accounts receivable and sales revenue accounts are increased. In the perpetual inventory system, the cost of goods sold account is affected by the reduction in inventory levels in real-time. So, when the product is sold, it reduces the inventory level and increases the cost of goods sold. At the same time, the accounts receivable increases, and sales revenue is recognized. Each transaction is recorded in real-time, and the inventory levels are updated accordingly. This helps companies make informed decisions about inventory management, reordering, and forecasting.

Therefore, option B is the correct answer because it records the sale in the correct way. It correctly recognizes the sale and its effect on inventory, cost of goods sold, accounts receivable, and sales revenue.

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ABC Company is considering a project with initial investment $100,000 (a machine) and working capital $20,000. The project period is 4 years and the resale value of the machine is $20,000 by the end of the project period. The annual cash revenue and expenses are $40,000 and $5,000 respectively. The cost of capital and tax rate of ABC are 8% and 20% respectively.
a) What are the NPV and Discounted Payback of the project?

Answers

The NPV of the project is $12,609.72, and the Discounted Payback occurs between Year 3 and Year 4.

To calculate the Net Present Value (NPV) and Discounted Payback of the project, we need to discount the cash flows using the cost of capital. The NPV is the sum of the present values of all cash flows, including the initial investment, annual cash flows, and the resale value. The Discounted Payback is the time it takes for the cumulative discounted cash flows to equal or exceed the initial investment. Let's calculate them:

Initial Investment:

Machine: $100,000

Working Capital: $20,000

Total Initial Investment: $100,000 + $20,000 = $120,000

Annual Cash Flows (Revenue - Expenses):

Year 1: $40,000 - $5,000 = $35,000

Year 2: $40,000 - $5,000 = $35,000

Year 3: $40,000 - $5,000 = $35,000

Year 4: $40,000 - $5,000 = $35,000

Resale Value (End of Year 4): $20,000

Discount Rate (Cost of Capital): 8%

Tax Rate: 20%

NPV Calculation:

Year 0 (Initial Investment): -$120,000 (negative because it's an outflow)

Year 1: $35,000 / (1 + 0.08)^1 = $32,407.41

Year 2: $35,000 / (1 + 0.08)^2 = $29,992.31

Year 3: $35,000 / (1 + 0.08)^3 = $27,739.62

Year 4: ($35,000 + $20,000) / (1 + 0.08)^4 = $42,469.38

Total NPV: -$120,000 + $32,407.41 + $29,992.31 + $27,739.62 + $42,469.38 = $12,609.72

Discounted Payback Calculation:

Year 0: -$120,000

Year 1: $32,407.41 (cumulative: -$87,592.59)

Year 2: $29,992.31 (cumulative: -$57,600.28)

Year 3: $27,739.62 (cumulative: -$29,860.66)

Year 4: $42,469.38 (cumulative: $12,608.72)

The Discounted Payback occurs between Year 3 and Year 4.

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The role of the Marketing Researcher is to monitor and analyze changes in population demographics, which then becomes an important part of the marketing intelligence data included in a marketing information system. Although this data can be gathered by syndicated or customized research, much of this information is gathered by government research that is available for free on the Internot In this discussion, you will gather and corrpare data fro two free online government sources to simulate the role of a marketing fesearcher. In this discussion board, you will simulate the stops of data mining and its value to marketing researchers - The Census Bureau's Statistical Abstract provides tabled data for cities and counties across the nasion.
- Michigan Demographicsi click on the tab A.Z Counties and Cities and select the Michigan County or City you are researching. You will be comparing both the Federal Census Bureau site and a state website for this assignment. Using both the State of Michigan data and the U.S. Census data sites listed above, devolop a report on a city or county in Michigan that ansivers the questions bolow. Ploase use a large city or county in Michigan so that you can compare the State of Michigan wobsite to the US. Census buresu site Larger cities/counties will have more information to review. Other sites will not be accopted in your resoarch for this assigniment. 1. What is the total population of the city or county in Michigan? 2. Describe the population of your chosen city of county in at least three of the following aroas - Age - Income - Education - Ethnio background/Race - Marital status - Occupation - Housing 3. Using the State of Michigan website, and comparing it to the Federal Census Bureau site, how does the city of county compare to the demographic characteristics of the entire U.S. population? Provide some spocifc numbers or fgouros to eupport your response to this quesson 4. What is your opinion of the different wobsites you used? How useful are they to markoters? how easy were they to navigate? Was there information that you wanted that was not avaiable? Was there more or loss information from the sites than you antiopated? Explain 5. Based on your research, how useful do you think this information is to marketers? Support yout answer using a full paragraph.

Answers

The role of a marketing researcher involves gathering and comparing data from free online government sources such as the Census Bureau's Statistical Abstract and the State of Michigan website to analyze population demographics and provide valuable insights to marketers.

In the simulation of a marketing researcher's role, utilizing free online government sources is crucial for gathering data on population demographics. The Census Bureau's Statistical Abstract offers tabled data for cities and counties across the nation, including Michigan. By exploring the A-Z Counties and Cities tab on the Michigan Demographics website, researchers can access specific information about the chosen city or county. The report should address the following aspects: The total population of the selected city or county in Michigan. Descriptions of the population in areas such as age, income, education, ethnic background/race, marital status, occupation, and housing. A comparison between the demographic characteristics of the chosen city or county and the entire U.S. population, using both the State of Michigan website and the Federal Census Bureau site. Specific numbers and figures should be provided to support the analysis. An opinion on the usability of the different websites used, including their usefulness to marketers, ease of navigation, availability of desired information, and unexpected information. An evaluation of the usefulness of the gathered information to marketers. This assessment should be supported with a full paragraph explaining how the demographic data can inform marketing strategies, target specific consumer segments, and aid in decision-making processes. Overall, conducting thorough research and comparing data from reliable government sources provides marketing researchers with valuable insights into population demographics, enabling them to make informed decisions and develop effective marketing strategies.

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Comparing Preferred shareholder rights to a common shareholder, what is the most likely benefit of a common shareholder? A) Voting Rights. B) Unlimited liability. C) Limited liability. D) Preferential treatment. E) Cash flow rights.

Answers

Comparing Preferred shareholder rights to a common shareholder, the most likely benefit of a common shareholder is Voting Rights.

A common shareholder is an investor in a corporation who owns the firm's ordinary shares. They are entitled to vote on matters such as electing the board of directors, approving major corporate transactions such as mergers and acquisitions, and deciding the company's dividend policy.

Common shareholders' rights are normally proportional to their shareholdings, implying that the more shares they own, the more votes they have in corporate decisions. In general, common shareholders' interests are subject to the claims of the company's creditors and preferred shareholders. The majority of shareholders in publicly traded corporations are common shareholders.

Benefits of Common Shareholders They have the right to vote. Common shareholders have the right to vote in shareholder meetings and, as a result, have a say in important corporate decisions. They may benefit from dividends. Dividends are a portion of a company's profits that are distributed to shareholders.

When a company makes a profit, it has the option of reinvesting it in the company or distributing it as dividends to shareholders, allowing them to earn a portion of the company's profits. Their liability is limited. Common shareholders are not personally liable for the company's debts or obligations. Instead, their exposure is limited to the amount they invested in the company.

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How to calculate real effective interest rate (approximate and precise) on our 1 year investment into local currency of Great Britian nowadays, and Find current central bank deposit rate, and current inflation rate for GB (by checking official websites of respective central banks) We assume rates do not change for next 12 months.

Answers

To calculate the real effective interest rate on a 1-year investment in the local currency of Great Britain, you need to consider the nominal interest rate, inflation rate, and any currency exchange rate changes.

Approximate calculation of real effective interest rate:

a. Find the nominal interest rate offered on the investment in Great Britain. This can be obtained from financial institutions or official sources.

b. Find the current inflation rate for Great Britain. You can check the official website of the central bank or reputable financial sources for this information.

c. Calculate the approximate real effective interest rate by subtracting the inflation rate from the nominal interest rate.

Precise calculation of real effective interest rate:

a. Find the nominal interest rate offered on the investment in Great Britain.

b. Find the current inflation rate for Great Britain.

c. Convert the nominal interest rate and inflation rate into a periodic rate if they are provided on an annual basis. For example, if the rates are given as annual rates, divide them by 12 to obtain monthly rates.

d. Calculate the effective interest rate by using the formula:

Effective Interest Rate = (1 + Nominal Interest Rate / 100) / (1 + Inflation Rate / 100) - 1

e. Convert the effective interest rate into an annual rate by multiplying it by the number of periods in a year. For example, if you used monthly rates, multiply the effective interest rate by 12 to obtain the annual rate.

To find the current central bank deposit rate and current inflation rate for Great Britain, you can visit the official website of the Bank of England (www.bankofengland.co.uk) and explore their publications or research section. Look for reports or releases that provide information on interest rates and inflation. The Bank of England usually publishes its official interest rates, including the central bank deposit rate, and provides updates on inflation rates through its Monetary Policy Committee reports.

Keep in mind that the rates may vary over time, so it's essential to check the most recent data available on the official websites or trusted financial sources.

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Suppose that a three-stage process had reliability ratings of .7,.8, and .9 at each station and that a failure at any station represented a failure for the entire process. If each station is given a redundant check with 7 reliability, please answer the following questions. What is the original reliability of the system without redundant check? 448 .504 608 804 .830

Answers

Given: reliability ratings of .7, .8, and .9 for each station, and each station is given a redundant check with 7 reliability. We need to find the original reliability of the system without redundant checks. The answer is 0.496.

The probability of the system failing in the first stage is 0.7. If it doesn't fail in the first stage, then the probability of the system failing in the second stage is 0.8. If it doesn't fail in the second stage, then the probability of the system failing in the third stage is 0.9. The probability of the system failing in all stages is:

0.7 * 0.8 * 0.9 = 0.504

Therefore, the original reliability of the system without redundant checks is 1 - 0.504 = 0.496.

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What is the relationship between maturity and the number of open
contracts?

Answers

The relationship between maturity and the number of open contracts can vary depending on the specific context and market conditions. Generally, as the maturity of a contract approaches, the number of open contracts may decrease.

In financial markets, contracts such as futures, options, or forward contracts typically have a specified maturity date. As the maturity date approaches, market participants may choose to close out their positions by either exercising the contract, rolling it over to a new maturity date, or letting it expire. This can lead to a reduction in the number of open contracts.

The decrease in the number of open contracts as maturity approaches can be attributed to several factors, including:

Trading Strategies: Traders may have specific trading strategies that involve holding contracts for a particular duration. As the contract approaches maturity, traders may exit their positions to realize profits or limit potential losses.

Risk Management: Market participants, such as hedgers or speculators, may use contracts to manage risk exposure. As the maturity date nears, their risk management needs may change, leading them to adjust or close their positions.

Market Sentiment: Market sentiment and expectations about future market conditions can influence the demand for contracts. As the maturity date approaches, participants' views about the underlying asset's future performance may change, leading to adjustments in their positions.

Market Liquidity: The liquidity of a contract can impact the number of open contracts as maturity approaches. Less liquid contracts may see a decline in open positions as market participants find it more challenging to enter or exit positions close to maturity.

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- You plan to take a 30-year mortgage in the amount of $700,000 to buy a home. The bank charges 5.5% annual interest compounded monthly. You are going to pay off this loan by fixed installments (fixed total payment) to be made at the end of each month for 30 years. Find the principal repayment and interest payment for month 1.

Month BEG bal Total PMT Principal Interest

1 700,000.00 3,974.52 ? ?

A-$1313.76; $2250.00

B-$766.19; $3208.33

C-$766.19; $2250.00

D-$1313.76; $3208.33

Answers

Based on the given options, the correct answer is:  B-$766.19; $3208.33. To find the principal repayment and interest payment for month 1, we need to calculate the values based on the provided information.

Given:

Loan amount (Principal) = $700,000

Loan term = 30 years (360 months)

Interest rate = 5.5% per year, compounded monthly

Monthly payment (Total PMT) = $3,974.52

To calculate the principal repayment and interest payment for month 1, we can use the following formulas:

Interest Payment = Beginning Balance * Monthly Interest Rate

Principal Repayment = Total Payment - Interest Payment

First, let's calculate the monthly interest rate. Since the interest is compounded monthly, we divide the annual interest rate by 12 (number of months in a year):

Monthly Interest Rate = Annual Interest Rate / 12

Monthly Interest Rate = 5.5% / 12 = 0.00458 (rounded to 5 decimal places)

Now, let's calculate the interest payment for month 1:

Interest Payment = Beginning Balance * Monthly Interest Rate

Interest Payment = $700,000 * 0.00458 = $3,201.67 (rounded to 2 decimal places)

Next, let's calculate the principal repayment for month 1:

Principal Repayment = Total Payment - Interest Payment

Principal Repayment = $3,974.52 - $3,201.67 = $772.85 (rounded to 2 decimal places)

Therefore, for month 1, the principal repayment is approximately $772.85, and the interest payment is approximately $3,201.67.

Based on the given options, the correct answer is:

B-$766.19; $3208.33

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A project has the following cash flows. What is the payback period?
Cash flows
0 (10,000)
1 2,640
2 5,700
3 3,000
4 2,600
Please solve in excel by using a function (ex: =rate)

Answers

The payback period for the given project's cash flows is approximately 3.85 years.

To calculate the payback period, we need to determine the time it takes for the project's cumulative cash flows to equal or exceed the initial investment. In Excel, we can use the formula "=PAYBACK" to calculate the payback period. However, this formula requires equal cash flows, so we need to use an alternative approach.

First, we create a column to calculate the cumulative cash flows. In cell B2, we input "=B1+C2" to obtain the cumulative cash flow for year 1. Then, we drag the formula down to cells B3, B4, and B5 to calculate the cumulative cash flows for subsequent years.

Next, we create another column to identify the year when the cumulative cash flow exceeds or equals zero. In cell C2, we input the formula [tex]=IF(B2\geq 0,A2,0)[/tex] to identify the year for breakeven. We drag the formula down to cells C3, C4, and C5.

The payback period is determined by the year when the cumulative cash flow becomes positive. To find this, we use the formula "=MATCH(0,B2:B5,1)+INDEX(C2:C5,MATCH(0,B2:B5,1)-1)" in a separate cell. This formula finds the position of the first zero in the cumulative cash flow column (B2:B5) and adds the corresponding year from column C2:C5. The result is approximately 3.85, indicating that the project's payback period is around 3.85 years.

In conclusion, the payback period for the given project's cash flows is approximately 3.85 years. This means that it would take approximately 3.85 years for the project's cumulative cash flows to equal or exceed the initial investment.

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Discuss the downsizing process in your own words and provide an
example.
Please provide new answer without plagiarism

Answers

Downsizing is a strategy that businesses use to reduce costs by reducing the size of the workforce. This strategy can be challenging for both employers and employees.

Employers must carefully consider the impact of downsizing on their business, while employees may face job loss or reduced working hours. The downsizing process starts with identifying the need for downsizing, followed by developing a downsizing plan.

The downsizing plan will typically involve a combination of layoffs, early retirement incentives, and other measures designed to reduce the size of the workforce. Once the downsizing plan is developed, employers will need to communicate the plan to employees and implement it in a way that is fair and consistent. The downsizing process can be difficult for employees.

For example, an employee may lose his or her job and have to find a new source of income. Additionally, employees who remain with the company after downsizing may have to take on additional responsibilities or work longer hours to compensate for the loss of their colleagues.

Overall, the downsizing process is a challenging one for both employers and employees. Employers must carefully consider the impact of downsizing on their business, while employees may face job loss or reduced working hours.

However, if done correctly, downsizing can be an effective strategy for businesses to reduce costs and improve profitability.

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The announcement of the sudden accidental death of the CEO and principal scientist of a public company is associated with a 10% decrease in the company’s share price. Which form of market efficiency is contradicted?
Select one:
a.
Weak form.
b.
Semi-strong form.
c.
Strong form.
d.
No form of efficiency is contradicted.

Answers

The correct answer is option-b.The announcement of the sudden accidental death of the CEO and principal scientist of a public company is associated with a 10% decrease in the company’s share price. The announcement of the sudden accidental death of the CEO and principal scientist of a public company is associated with a 10% decrease in the company’s share price contradicts Semi-strong form of market efficiency.

In the semi-strong form, the security prices adjust rapidly to all publicly accessible information. All public data, including business announcements, is immediately integrated into the security price. It contradicts the semi-strong form of market efficiency since the knowledge of the CEO's and principal scientist's accidental death is not publicly accessible.

The semi-strong form of market efficiency contends that all public information has already been incorporated into a stock's price, and any attempt to outperform the market using such knowledge is pointless, as the price has already taken it into account.

Therefore, the correct answer is option-b.

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the money supply, it the interest rate and When the central bank the quantity of goods and services demanded at any given price level, shifting aggregate demand to the increases; lowers; decreases; right decreases; lowers, increases; right increases: lowers: increases; right decreases: raises: increases; left

Answers

When the central bank increases the money supply, it lowers the interest rate and increases the quantity of goods and services demanded at any given price level, shifting aggregate demand to the right.

Increasing the money supply means that there is more money available in the economy. As a result, the central bank can lower the interest rate to encourage borrowing and spending. When the interest rate decreases, it becomes cheaper for businesses and individuals to borrow money, which leads to increased investment and consumption. This increase in spending raises the quantity of goods and services demanded in the economy.

By increasing the money supply, lowering the interest rate, and stimulating demand, the central bank shifts the aggregate demand curve to the right. This shift indicates an increase in the total amount of goods and services demanded at every price level. It is important to note that this relationship assumes other factors influencing aggregate demand, such as fiscal policy and consumer confidence, remain constant.

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