6. Write one example of a factor that could change the demand
for an environmentally unfriendly product and explain the
environmental implications.

Answers

Answer 1

One example of a factor that could change the demand for an environmentally unfriendly product is the implementation of stricter government regulations.

These regulations can impose restrictions on the production, distribution, or usage of the product, making it less accessible or more costly for consumers. This change in demand can have significant environmental implications.

When stricter regulations are imposed on environmentally unfriendly products, such as high carbon-emitting vehicles or single-use plastic items, it creates a shift in consumer behavior and preferences. As the demand for these products decreases, manufacturers may be forced to modify their production processes or develop alternative, more sustainable products. This can lead to reduced environmental harm, such as lower greenhouse gas emissions or reduced plastic waste.

Additionally, changes in demand can also drive innovation and investment in environmentally friendly alternatives. As consumers seek out greener options, companies are incentivized to develop and market products that have lower environmental impacts. This can spur the development of renewable energy technologies, eco-friendly materials, and more sustainable practices across various industries.

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Related Questions

1. You are a recent Berkeley College graduate and you are working in the accounting department of Macy’s. Next week, you are required to attend an inventory meeting for the store located in the Paramus Park mall. You know this store well because you shop there frequently. One of the managers of the store feels that the men’s shoe department is unprofitable because the selection is poor, there are few sizes available, and there just aren’t enough shoes. The manager is pushing for a very large shoe inventory to make the department more desirable to shoppers and therefore more profitable. Explain in this discussion why it is good or bad to have a large inventory of shoeS

Answers

It is good to have a large inventory of shoes if there is a high demand for shoes in the store. This is because a larger inventory can ensure that customers can find the shoes they are looking for in the store.

If customers can find what they need in the store, they are more likely to make a purchase and be satisfied with their shopping experience. This can lead to increased sales and profitability for the store. However, having a large inventory of shoes can also be bad if there is not enough demand for shoes in the store. This is because a large inventory can tie up a lot of the store's cash in inventory that is not selling. This can lead to cash flow problems and decreased profitability for the store. Additionally, if the shoes are not selling, the store may be forced to discount them to move the inventory, which can lead to decreased margins and profitability.

Therefore, before increasing the shoe inventory in the store, it is important to determine whether there is a demand for shoes in the store. This can be done by analyzing sales data and customer feedback. If there is a demand for shoes, a larger inventory can be beneficial. However, if there is not a demand for shoes, it may be better to focus on improving the selection and availability of other products in the store.

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You work for Hoosier Corp, a great company that offers a 401(k) plan for all of its employees. One of the investment options in the 401(k) plan is a savings account which has a APY of 2.5%. At the start of last year, you contributed $1,000 to your 401(k) account and put the money in the savings account in the 401(k) plan.
You also have a savings account with Bank of Hoosier which has a APY of 3%. This account is taxable. At the start of last year, you deposited $2,000 to this savings account.
If your tax rate is 15%, which account gives you the higher after-tax rate of return last year? Assume you are not withdrawing any money from your 401(k) account but let it grow tax-deferred.
A. The savings account in your 401(k) plan
B. The savings account with Bank of Hoosier
C. The after-tax rate of returns are the same for both accounts

Answers

Based on the information provided, the after-tax rate of return would be higher for the savings account in your 401(k) plan. So, the correct option is A.

The savings account in the 401(k) plan has an APY of 2.5% and grows tax-deferred. This means that the account grows without being taxed, allowing for potential higher returns over time.

On the other hand, the savings account with Bank of Hoosier has an APY of 3%, but it is taxable. This means that the interest earned on the account is subject to a 15% tax rate, reducing the after-tax returns.

Therefore, the savings account in your 401(k) plan would have a higher after-tax rate of return compared to the savings account with Bank of Hoosier. Hence, the correct option is A.

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Give examples of 3 government policies or regulations can have a potential impact on the pharmaceutical industry. Think fiscal and monetary policies, tariffs, standards, etc. Explain how each change in policy may affect the market for your product.

Answers

Intellectual property protection encourages pharmaceutical companies to invest in research and development, driving innovation and the availability of new drugs.

Examples of government policies or regulations that can impact the pharmaceutical industry are:

1. Intellectual property protection: Strengthening patent laws can incentivize innovation and investment in research and development, leading to the development of new drugs and treatments. This can create a more competitive market and increase access to innovative medicines.

2. Price controls and reimbursement policies: Imposing price controls or implementing reimbursement policies can impact the profitability of pharmaceutical companies. Lowering prices or reducing reimbursement rates may limit revenue potential and affect investment in research and development, potentially leading to reduced innovation and limited availability of new treatments.

3. Drug approval and regulatory processes: Changes in regulatory processes can influence the time and cost required for drug approvals. Streamlining and expediting approval processes can accelerate market entry for new drugs, while stricter regulations may increase the barriers to entry and delay product launches, affecting market competition and patient access to treatments.

Intellectual property protection encourages pharmaceutical companies to invest in research and development, driving innovation and the availability of new drugs. Price controls and reimbursement policies impact the affordability and profitability of pharmaceutical products, affecting market dynamics and investment incentives. Changes in drug approval and regulatory processes influence the speed and cost of bringing new treatments to market, impacting competition and patient access to innovative therapies. These policies can shape the market environment and have significant implications for the pharmaceutical industry's performance, innovation, and the availability of affordable and effective medicines for patients.

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Assume our world of available securities includes two risky
stocks, ABC and XYZ, and Treasury-bills. The correlation
coefficient between the two stocks is -0.3. Calculate the
proportion, wABC , in the

Answers

The proportion of ABC (wABC) in the global minimum variance portfolio is approximately 63.12%. So correct option is B

To calculate the proportion, wABC, in the global minimum variance portfolio, we need to use the concept of portfolio optimization. The global minimum variance portfolio is the portfolio with the lowest possible volatility or standard deviation.

The formula to calculate the weight of a security in a portfolio is given by:

wABC = (σXYZ² - ρ * σABC * σXYZ) / (σABC² + σXYZ² - 2 * ρ * σABC * σXYZ)

Where:

wABC = Proportion of ABC in the portfolio

σABC = Standard deviation of ABC

σXYZ = Standard deviation of XYZ

ρ = Correlation coefficient between ABC and XYZ

Given the following data:

ABC: Expected return = 17.64%, Standard deviation = 24.03%

XYZ: Expected return = 33.0%, Standard deviation = 60.54%

Correlation coefficient (ρ) = -0.3

Let's calculate wABC:

wABC = (60.54² - (-0.3) * 24.03 * 60.54) / (24.03² + 60.54² - 2 * (-0.3) * 24.03 * 60.54)

wABC = (3667.4918 + 437.5732) / (578.2809 + 7329.0516 - 364.15236)

wABC = 4105.065 / 6743.18014

wABC ≈ 0.6312

Therefore, 63.12% is the proportion of ABC, so the option B is correct answer.

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Complete Question :

Assume our world of available securities includes two risky stocks, ABC and XYZ, and Treasury bills. The correlation coefficient between the two stocks is -0.3. Calculate the proportion, wABC, in the global minimum variance portfolio. Expected return (%) Standard deviation (%) ABC 17.64 24.03 XYZ 33.0 60.54 a. 14.61% b. 63.12% c. 80.18% d. 19.82% e. 87.66%

Masterson, Inc., has 7 million shares of common stock outstanding. The current share price is $67, and the book value per share is $6. The company also has two bond issues outstanding. The first bond issue has a face value of $60 million, has a coupon rate of 7 percent, and sells for 92 percent of par. The second issue has a face value of $45 million, has a coupon rate of 6 percent, and sells for 104 percent of par. The first issue matures in 22 years, the second in 7 years.
Suppose the most recent dividend was $4.15 and the dividend growth rate is 4.2 percent. Assume that the overall cost of debt is the weighted average of that implied by the two outstanding debt issues. Both bonds make semiannual payments. The tax rate is 23 percent. What is the company's WACC? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
WACC
%

Answers

Masterson, Inc.'s Weighted Average Cost of Capital (WACC) is 3.17%.

To calculate the Weighted Average Cost of Capital (WACC) for Masterson, Inc., we need to consider the cost of equity and the cost of debt, weighted by their respective proportions in the capital structure.

Cost of Equity:

The cost of equity can be calculated using the dividend discount model (DDM):

Cost of Equity = Dividend / Current Share Price + Dividend Growth Rate

Cost of Equity = $4.15 / $67 + 0.042 = 0.0619 or 6.19%

Cost of Debt:

The cost of debt is calculated as the weighted average of the yields to maturity of the two outstanding bond issues, adjusted for the tax rate:

Cost of Debt = (YTM1 * Market Value1 + YTM2 * Market Value2) / (Market Value1 + Market Value2) * (1 - Tax Rate)

Cost of Debt = (0.07 * $60,000,000 + 0.06 * $45,000,000) / ($60,000,000 + $45,000,000) * (1 - 0.23) = 0.0645 or 6.45%

Proportions of Equity and Debt:

The weights of equity and debt are determined by their market values:

Weight of Equity = Market Value of Common Stock / (Market Value of Common Stock + Market Value of Debt)

Weight of Equity = (7,000,000 * $67) / [(7,000,000 * $67) + ($60,000,000 * 0.92) + ($45,000,000 * 1.04)] = 0.4824 or 48.24%

Weight of Debt = 1 - Weight of Equity = 1 - 0.4824 = 0.5176 or 51.76%

WACC Calculation:

WACC = (Weight of Equity * Cost of Equity) + (Weight of Debt * Cost of Debt)

WACC = (0.4824 * 0.0619) + (0.5176 * 0.0645) = 0.0317 or 3.17%

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Coca-cola aired its TV commercial during the season premiere of Detective Drake. Subsequently, it also aired the commercial during the following program, which was a reality show. A certain percentage of people viewed both programs and were exposed to the ad twice. This overlap is referred to as

Answers

The overlap of people who viewed both the season premiere of Detective Drake and the reality show, and were exposed to the Coca-Cola ad twice, is referred to as "frequency overlap" or "duplicated reach."

This term describes the portion of the audience that was reached multiple times with the same advertisement. In this case, it means that some viewers saw the commercial during both programs, resulting in repeated exposure to the ad.

By targeting different programs, Coca-Cola aimed to maximize its reach and increase brand awareness among the audience. This frequency overlap is a common strategy used in advertising to reinforce the message and enhance the impact of the advertisement on the viewers.

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What can be the adverse consequences of a ‘pathological’
arbitration clause?

Answers

A "pathological" arbitration clause refers to a clause in a contract that is poorly drafted or structured in a way that can lead to adverse consequences. Here are some potential adverse consequences of such a clause:

1. Ambiguity and Interpretation Issues: A poorly drafted arbitration clause may be ambiguous or unclear, leading to disputes and disagreements over its interpretation. This can result in delays, additional costs, and a lack of clarity regarding the scope and process of arbitration.

2. Jurisdictional Challenges: If an arbitration clause does not clearly specify the jurisdiction or the governing law, it can lead to disputes over which laws apply and which arbitral institution has jurisdiction. This can result in time-consuming and costly jurisdictional challenges.

3. Lack of Procedural Rules: A pathological arbitration clause may fail to incorporate or reference established procedural rules or guidelines for the arbitration process. Without clear procedural rules, the parties may face difficulties in determining the process, timelines, and evidentiary rules to be followed during arbitration.

4. Inadequate Remedy Options: Some arbitration clauses may limit the remedies available to the parties or exclude certain types of claims or relief. This can leave parties without adequate recourse or limit their ability to seek appropriate remedies for their disputes.

5. Lack of Neutrality and Impartiality: A poorly drafted arbitration clause may fail to adequately address the issue of arbitrator selection, neutrality, or impartiality. This can raise concerns about bias or lack of fairness in the arbitration process, potentially undermining the credibility and legitimacy of the arbitration proceedings.

6. Limited or No Appeal Mechanism: An arbitration clause may explicitly exclude any appeal mechanism or limit the grounds on which a party can challenge an arbitral award. This can leave parties with limited options for recourse, even in cases of serious procedural or substantive errors.

7. Enforcement Challenges: If an arbitration clause fails to comply with legal requirements or lacks clarity, it may face challenges in enforcement. Courts may refuse to enforce an arbitration agreement if it is deemed to be invalid, ambiguous, or unconscionable.

It is crucial for parties to carefully draft and review arbitration clauses to ensure they are clear, comprehensive, and aligned with their intentions. Consulting legal professionals with expertise in arbitration can help avoid the adverse consequences associated with "pathological" arbitration clauses.

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Describe how each of the five forces does (or does not) relate to postive enviornmenal and social impacts.

_____

Given the five forces framework, describe a market in which buyers have substantial power to raise TBL expectations on businesses. _____

Answers

The five forces framework, developed by Michael Porter, is commonly used to analyze the competitive dynamics of an industry.

1. Threat of new entrants: In industries where there is a substantial threat of new entrants, buyers may demand higher environmental and social standards from businesses. This demand can arise due to increasing awareness and preferences for sustainable and socially responsible products or services.

2. Bargaining power of buyers: If buyers have substantial power, they can influence businesses to adopt sustainable practices and consider social impacts. Buyers who value environmental and social responsibility may prioritize suppliers that demonstrate a commitment to these values.

3. Bargaining power of suppliers: While the bargaining power of suppliers does not directly relate to positive environmental and social impacts, suppliers who prioritize sustainability and social responsibility can influence businesses to adopt similar practices.

4. Threat of substitute products or services: The threat of substitute products or services can drive businesses to differentiate themselves through environmental and social initiatives. If substitutes provide sustainable alternatives or offer social benefits, it can incentivize businesses to adopt similar practices to remain competitive.

5. Intensity of competitive rivalry: While competitive rivalry does not directly relate to positive environmental and social impacts, intense competition can drive businesses to differentiate themselves through sustainability and social responsibility.

Given the above discussion, let's consider a market in which buyers have substantial power to raise Triple Bottom Line (TBL) expectations on businesses. One example could be the organic food industry. In this market, buyers, such as health-conscious consumers and environmentally aware individuals, have significant influence due to their preference for sustainably produced and socially responsible food products. They can demand higher environmental standards, such as organic farming practices and reduced pesticide use, as well as social impact considerations like fair trade and ethical labor practices. As a result, businesses operating in the organic food market need to meet these TBL expectations to attract and retain buyers, leading to positive environmental and social impacts.

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To invoke the discretionary appellate jurisdiction of the United States Supreme Court, an appellant to the Court. 1. submits a memorandum in support of jurisdiction 2. submits a petition for a writ of certiorari 3. submits an amicus curiae brief 4. None of the above 2)Secondary sources of law include which of the following? 1. are used as precedent when there is no primary source of law that applies to the facts of a case 2. restatements of law such as a restatement of contracts 3. model statutes such as the Model Penal Code 4. Both 2 and 3 #)Which of the following are considered exclusively trial-level courts? 1. The United States Supreme Court . 2. The Ohio Seventh District Court of Appeals 3. The United States Court for the Southern District of Ohio. 4. The Court of Appeals for the State of New York.

Answers

To invoke the discretionary appellate jurisdiction of the United States Supreme Court, an appellant to the Court submits a petition for a writ of certiorari.

When a party wishes to appeal a decision to the United States Supreme Court, they must follow a specific process to invoke the Court's discretionary appellate jurisdiction. The primary means of doing so is by submitting a petition for a writ of certiorari.

A writ of certiorari is a request for the Supreme Court to review a case. It is a formal document that outlines the legal issues involved, presents arguments as to why the Court should grant review, and provides relevant facts and legal precedent. The petitioner, or appellant, must demonstrate that their case meets certain criteria for the Court to exercise its discretion and grant certiorari.

Submitting a memorandum in support of jurisdiction or an amicus curiae brief are not the direct means to invoke the Court's discretionary appellate jurisdiction. A memorandum in support of jurisdiction may be filed in certain circumstances, such as when a case involves a conflict among lower courts or when a federal statute grants the Court jurisdiction. However, it is typically the petition for a writ of certiorari that serves as the main mechanism for seeking review by the Supreme Court.

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The Vield To Maturitv On 1-Vear Zero-Coupon Bonds Is Currently 7%; The YTM On 2-Year Zeros Is 8%. The Treasury Plans To Issue A 2-Year Maturity Coupon Bond, Paying Coupons Once Per Year With Acoupon Rate Of 9%. The Face Value Of The Bond Is $100.

Answers

The price of the 2-year maturity coupon bond is $103.34.

To find the price of the 2-year maturity coupon bond, we need to calculate the present value of its cash flows. The bond pays coupons once per year with a coupon rate of 9% and a face value of $100.

Step 1: Calculate the present value of each coupon payment.
Using the formula for present value of a single cash flow: PV = CF / (1 + r)^n, where PV is the present value, CF is the cash flow, r is the yield to maturity (YTM), and n is the number of years.

For the first coupon payment:
PV1 = $100 * 0.09 / (1 + 0.08)^1 = $9.00

For the second coupon payment:
PV2 = $100 * 0.09 / (1 + 0.08)^2 = $8.26

Step 2: Calculate the present value of the face value (maturity amount) at the end of the bond's term.
PV3 = $100 / (1 + 0.08)^2 = $86.08

Step 3: Calculate the total present value of the bond by summing the present values of all the cash flows.
Total present value = PV1 + PV2 + PV3 = $9.00 + $8.26 + $86.08 = $103.34
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A project that provides annual cash flows of $15,300 for nine years costs $74,000 today. At What discount rate would you be indifferent between accepting the project and rejecting it? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g. 32.16.)

Answers

The discount rate at which you would be indifferent between accepting the project and rejecting it is 9.95%.

To calculate the discount rate, we need to find the rate that equates the present value of the project's cash flows to the initial cost of the project. In this case, the project costs $74,000 today and provides annual cash flows of $15,300 for nine years.

Using the formula for the present value of an annuity, we can calculate the present value of the cash flows:

PV = CF * [1 - (1 + r)⁻ⁿ] / r,

where PV is the present value, CF is the cash flow per period, r is the discount rate, and n is the number of periods.

We can rearrange this formula to solve for the discount rate:

r = [CF * (1 - PV / CF)] / PV,

where r is the discount rate, CF is the cash flow per period, and PV is the present value.

Plugging in the values from the problem, we have:

r = [$15,300 * (1 - $74,000 / $15,300)] / $74,000 = 0.0995 = 9.95%.

Therefore, the discount rate at which you would be indifferent between accepting the project and rejecting it is 9.95%.

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(MARKS: 5%)
Provide the FOUR reasons in choosing this brand for this assignment based on the Brand Resonance Pyramid Model.
Explain your psychological connection towards the brand based on your own brand resonance experience.

Answers

The Brand Resonance Pyramid Model is a brand-building framework that involves establishing brand loyalty through a series of steps.

The following are the four reasons for choosing a brand for this assignment based on the Brand Resonance Pyramid Model:

Step 1: Brand Identity - The brand identity of the selected brand is strong, visually appealing, and unique. It uses the company's brand name, logo, and design to create an image that appeals to consumers.

Step 2: Brand Meaning - The brand meaning is that it has a unique and distinctive product offering that sets it apart from other brands. It has a good reputation, and its products are of high quality

.Step 3: Brand Response - The brand is well-liked by customers and has a loyal following. It has positive associations with its customers, and its products meet their needs and desires.

Step 4: Brand Resonance - The brand has established a deep, meaningful relationship with its customers. Customers have an emotional connection with the brand and feel a sense of community and belonging to the brand. They trust the brand and are willing to pay a premium for its products.Explain your psychological connection towards the brand based on your own brand resonance experience.

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1. What should Meddevco have done to avoid some of its
problems?
2. How could Meddevco now solve the problems created by not
involving employees during the implementation of the HRIS?
3. What else should Meddevco do now to improve the operation of their system?

Answers

Meddevco could have avoided some of its problems by involving employees during the implementation of the HRIS, ensuring proper training and communication.

To solve the problems created, Meddevco should now prioritize employee involvement, conduct training programs, address concerns, and improve communication. Additionally, Meddevco should focus on ongoing system maintenance, regular feedback collection, and continuous improvement to enhance the operation of their HRIS.

To avoid some of the problems faced by Meddevco, it should have involved employees during the implementation of the HRIS. This would have ensured that employees' needs and concerns were considered, and they received proper training and support to adapt to the new system. By involving employees from the beginning, Meddevco could have addressed their buy-in, resulting in a smoother implementation process.

To solve the problems created by not involving employees, Meddevco should now prioritize employee involvement and engagement. This can be done by organizing training programs to enhance employees' understanding and proficiency with the HRIS. Additionally, Meddevco should create channels for employees to express their concerns and feedback, and address them promptly. Improving communication and providing ongoing support to employees will help rebuild trust and ensure the effective use of the HRIS.

Furthermore, Meddevco should focus on continuous improvement and system maintenance. Regularly collecting feedback from employees and stakeholders will help identify areas of improvement and address any emerging issues. Meddevco should also allocate resources for system updates, bug fixes, and user support to ensure the smooth operation of the HRIS. By actively monitoring and enhancing the system's functionality, Meddevco can optimize its performance and meet the organization's HR needs effectively.

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Kaizen refers to ________.
Select one:
A.
the philosophy of striving toward perfection
B.
plotting data over time to identify performance outside the normal range
C.
empowering employees to look for ways to improve quality
D.
combining the attributes of lean production to Six Sigma to reduce waste and defects simultaneously
E.
taking samples form the process to look for trends and anomalies

Answers

Kaizen refers to the philosophy of striving toward perfection. Kaizen is a Japanese word that means “continuous improvement” or “good change.” It is a lean manufacturing and management approach that prioritizes small, incremental process improvements over time.

The Kaizen philosophy is about making small, continuous improvements to processes, systems, and products that result in better efficiency, quality, and productivity. The idea is to constantly examine processes and look for ways to make them more efficient, more effective, and more streamlined.

It's an approach that encourages teamwork and collaboration among all levels of employees in an organization to identify and solve problems.Kaizen has been widely used in the manufacturing industry, but it can be applied to other industries as well. It's also applicable in service industries, healthcare, and government. Kaizen helps organizations to become more competitive by eliminating waste, improving quality, and reducing costs.

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Explain the purpose of Layer 3 resiliency and name the protocols
used to implement it?

Answers

Layer 3 resiliency is a method of preventing network disruption caused by link or node failure. It aims to offer redundancy at the network layer, allowing the network to recover quickly and continue to function properly in the event of a failure. This is especially essential in large networks where a single point of failure may have severe consequences.

There are several protocols that are commonly used to implement layer 3 resiliency. Here are a few examples:1. Virtual Router Redundancy Protocol (VRRP)VRRP is used to give redundancy to routers that are running IP. VRRP provides fault-tolerance by allowing several routers to share a single IP address.

One router is designated as the virtual router master and forwards packets sent to the virtual router IP address. If the master fails, another router takes over as the virtual router master and starts forwarding packets.2. Hot Standby Router Protocol (HSRP)HSRP is a Cisco proprietary protocol that offers redundancy for IP networks.

It enables several routers to work together to represent a single IP address, allowing for transparent failover if one router fails. HSRP is usually implemented in Cisco networks to give first-hop redundancy.3. Border Gateway Protocol (BGP)BGP is used to exchange routing information between different autonomous systems.

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IM.62 Athletic Apparel is trying to determine how to manage their stock of t-shirts. For one particular size and color they have an average daily demand of 19 shirts, but it varies by about 6 shirts per day. Their lead time for receiving new t-shirts is 6 days. They are striving for a 95% service level.
What should be their safety stock for this particular t-shirt? (Display your answer to two decimal places.)
What should be their reorder point for this particular shirt? (Display your answer to two decimal places

Answers

IM.62 Athletic Apparel is trying to determine how to manage their stock of t-shirts. For one particular size and color, they have an average daily demand of 19 shirts, but it varies by about 6 shirts per day. Their lead time for receiving new t-shirts is 6 days.

They are striving for a 95% service level. The service level is the percentage of times that customers receive their orders on or before the promised due date. To achieve this, companies must provide accurate estimates of demand and lead time, and they must maintain appropriate levels of safety stock. Therefore, to calculate the safety stock and reorder point for the particular T-shirt, the following steps can be taken:

Safety Stock= z* σL*z*σL* = 1.65 * 6 shirts = 9.9 shirts, which means the company must keep a safety stock of 10 shirts. Reorder Point= (average demand per day x lead time in days) + safety stock Reorder Point = (19 shirts/day * 6 days) + 10 shirts = 124 shirts.Hence, their safety stock for this particular T-shirt should be 10 shirts, and their reorder point for this T-shirt should be 124 shirts.

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1. Summary of the most important customer persona factors that the company should be aware of in designing the marketing mix (Awake Chocolate)
2. Key characteristics on which customers may differ (Awake Chocolate)

Answers

The following is a summary of the most important customer persona factors that the Awake Chocolate company should be aware of in designing the marketing mix: 1. Demographic Characteristics The primary factor that Awake Chocolate should be aware of when designing its marketing mix is its demographic features. This includes aspects such as the age, gender, occupation, income level, and educational level of the target market.

2. Behavioral Characteristics: The second most important factor to consider in designing a marketing mix is the behavioral characteristics of the target market. The company must identify and consider its target audience's needs, preferences, and purchasing patterns.

3. Psychographic Characteristics: The third factor that the company must consider in designing its marketing mix is the psychographic features of the target market. These factors include the target audience's lifestyle, personality, and attitudes towards life and consumption.

4. Geographic Characteristics: Lastly, the company should consider the geographic features of the target market. It includes aspects like location, climate, population density, and distribution in the area. The key characteristics on which customers may differ are: 1. Age - Different age groups have different preferences and requirements. Awake Chocolate's marketing mix must reflect the preferences of the target age group.2. Gender - Gender plays a critical role in customer preferences, and the marketing mix must cater to the specific gender's likes and dislikes.3. Lifestyle - People with different lifestyles have distinct preferences and tastes, which influence their purchasing decisions. Awake Chocolate should design its marketing mix with the target audience's lifestyle in mind.4. Income Level - Customers with different income levels will have different purchasing patterns. The marketing mix must reflect the income level of the target market and the price points that are likely to resonate with them.5. Personality - The customer's personality influences their buying decisions. Awake Chocolate must identify the target audience's personality traits and design its marketing mix accordingly.

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If bonds are issued at a premium, the contractual interest rate is the market interest rate.
O equal to
O changed to
O lower than
O higher than

Answers

If bonds are issued at a premium, it means that the selling price of the bonds is higher than their face value. Option D is the correct answer.

The contractual interest rate, often known as the coupon rate, is the rate at which the bond issuer guarantees to pay bondholders interest.

The contractual interest rate on bonds issued at a premium is lower than the market interest rate. The market interest rate, also known as the yield or effective interest rate, is the rate of return that investors seek when purchasing a bond. When the bond's selling price rises, the bond's effective interest rate falls.

This link exists because the premium amount represents additional interest income received by the bondholder throughout the life of the bond. Therefore, Option D is the correct answer.

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You expect Commodore Company's stock to pay its next dividend of $6.36 exactly one year from now. After this first dividend, future dividends will grow at -3% for each of the subsequent 2 years and then 5% per year every year thereafter. What is Commodore's intrinsic value today? Use a discount rate of 12.2% and round your answer to the nearest penny.
Athens, Inc has a credit rating of A and wants to issue 15-year bonds at par value. If the 15-year Treasury bond has a YTM of 4.97% and the credit spread for Single A debt over Treasuries is 5.33%, what coupon rate should Athens select? Enter your answer as a decimal and show four decimal places. For example, if your answer is 5.25%, enter .0525.

Answers

The bonds are issued at par value, the coupon rate should be set equal to the required yield. Therefore, Athens, Inc should select a coupon rate of 10.30% (or 0.1030 as a decimal) for its bonds.

To calculate Commodore Company's intrinsic value today, we need to determine the present value of its future dividends using the dividend discount model (DDM).

Given information:

First dividend (D₁) = $6.36

Dividend growth rate for the subsequent 2 years (g₁) = -3%

Dividend growth rate after the first 2 years (g₂) = 5%

Discount rate (r) = 12.2%

Step 1: Calculate the present value of the first dividend (D₁):

PV(D₁) = D₁ / (1 + r)¹

PV(D₁) = $6.36 / (1 + 0.122)¹

PV(D₁) = $5.68

Step 2: Calculate the present value of dividends for the subsequent 2 years (D₂ and D₃):

PV(D₂) = D₁ * (1 + g₁) / (1 + r)²

PV(D₂) = $6.36 * (1 - 0.03) / (1 + 0.122)²

PV(D₂) = $5.61

PV(D₃) = D₂ * (1 + g₁) / (1 + r)³

PV(D₃) = $5.61 * (1 - 0.03) / (1 + 0.122)³

PV(D₃) = $5.54

Step 3: Calculate the present value of dividends after the first 2 years (D₄ onwards):

PV(D₄ onwards) = D₃ * (1 + g₂) / (r - g₂)

PV(D₄ onwards) = $5.54 * (1 + 0.05) / (0.122 - 0.05)

PV(D₄ onwards) = $71.72

Step 4: Calculate the intrinsic value by summing up the present values of all dividends:

Intrinsic Value = PV(D₁) + PV(D₂) + PV(D₃) + PV(D₄ onwards)

Intrinsic Value = $5.68 + $5.61 + $5.54 + $71.72

Intrinsic Value = $88.55

Therefore, Commodore Company's intrinsic value today is approximately $88.55.

Now let's move on to the second question:

Athens, Inc wants to issue 15-year bonds at par value. We need to determine the coupon rate for these bonds. The yield to maturity (YTM) for a 15-year Treasury bond is given as 4.97%, and the credit spread for Single A debt over Treasuries is 5.33%.

The required yield for Athens, Inc's bonds would be the sum of the YTM and the credit spread:

Required Yield = YTM + Credit Spread

Required Yield = 4.97% + 5.33%

Required Yield = 10.30%

Since the bonds are issued at par value, the coupon rate should be set equal to the required yield. Therefore, Athens, Inc should select a coupon rate of 10.30% (or 0.1030 as a decimal) for its bonds.

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2) A 40 year, $100,000 loan with effective annual interest i = 5% is paid by making payments of K at the end of each year for the first 25 years and payments of K-300 at the end of each year for the next 15 years. Find K, and find the OB15 and OB30. Lastly, fill out the following amortization table for 3 years.
t Payment
Interest
Principle Repaid
Outstanding Balance
$100,000
0
1
2
3

Answers

On the 30th year, the remaining loan term is 10 years is found as: OB30 = $8,531.79 (approximately).

Given information:

Loan = $100,000;

n = 40 years;

i = 5%;

Payments for the first 25 years are K and Payments for next 15 years are K - 300

To find: K, OB15, OB30 and an Amortization table for 3 years

Formula used: K = A/ [(1+i)^n - 1/ (i(1+i)^n)] ,

OBn = B(1+i)^n - P[(1+i)^n - 1/i] ,

Payment = A = P * i / [1 - 1/ (1+i)^n] ,

Principle Repaid = Payment - Interest  ,

Outstanding Balance = Previous Balance - Principle Repaid

Tried to solve the given problem based on the information provided.

Let’s find K:Let A be the annual payment of the loan, then according to the formula:

K = A/ [(1+i)^n - 1/ (i(1+i)^n)]

On substituting the given values, we get:

K = 100,000/ [(1.05)^40 - 1/ (0.05(1.05)^40)]

K = $3,990.07 (approximately)

Let's find OB15:

We know,

OBn = B(1+i)^n - P[(1+i)^n - 1/i] ,

where B is the balance at the end of the previous year, P is the payment and n is the number of years.

On the 15th year, the remaining loan term is 25 years, the remaining payments are 25 and the balance at the end of the 14th year is  $57,035.60.

Therefore,

OB15 = 57035.60(1.05)^15 - 3990.07[((1.05)^15 - 1)/0.05]

OB15 = $21,527.71 (approximately)

Now, let's find OB30:

On the 30th year, the remaining loan term is 10 years, the remaining payments are 10 and the balance at the end of the 29th year is $9,456.09

Therefore,

OB30 = 9456.09(1.05)^10 - 3690.07[((1.05)^25 - 1)/0.05]

OB30 = $8,531.79 (approximately)

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all of the following are true about 2022 distributions and contributions to section 529 plans except: a deduction of up to $10,000 per taxpayer ($20,000 mfj) is available on the federal income tax return for contributions. distributions may be used to pay the costs of participation in a registered apprenticeship program. distributions may be used to pay up to $10,000 in qualified student loans. nonqualified distributions are subject to a penalty tax of 10% of the amount included in income.

Answers

All statements provided about 2022 distributions and contributions to Section 529 plans are true except for the statement regarding a deduction on the federal income tax return for contributions.

Section 529 plans are tax-advantaged savings plans designed to help individuals save for future education expenses. In 2022, certain rules and benefits applied to these plans. Contributions made to a Section 529 plan are not eligible for a federal income tax deduction. However, the other statements mentioned are true. Distributions from a Section 529 plan can be used to pay for the costs of participating in a registered apprenticeship program and up to $10,000 in qualified student loans. Nonqualified distributions, which are withdrawals for non-education expenses, are subject to a penalty tax of 10% on the amount included in income.

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How a project links to the TIPS Business Leadership
Framework

Answers

The TIPS Business Leadership Framework enhances project success through its integrated approach.

The TIPS Business Leadership Framework offers valuable insights and strategies for project management. By integrating the TIPS (Theories, Ideas, People, and Systems) dimensions, project leaders can effectively address various aspects of the project. The Theories dimension helps leaders understand the project's strategic context and align it with organizational goals. Ideas dimension encourages creative problem-solving and innovation within the project.

People dimension emphasizes effective communication, collaboration, and team dynamics. The Systems dimension focuses on implementing efficient processes and structures to drive project efficiency. By leveraging the TIPS framework, project leaders can optimize their decision-making, improve project planning, foster innovation, and build strong team dynamics, ultimately leading to project success.

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Poland broke the shackles of soviet communist domination three decades ago. Free for the first time since world War 2, Poland cast off its yoke of government control and central planning in favor of the American style free enterprise system where comsumers, not elected officials or bureaucrats, drive investment, production and buying decisions.
The result to the polish economy is that price will determine....
A.only mix of output to be produced and the resources to be used in the production process
B. Only the resources to be used in the production process and for whom the output is produced
C. The mix of output to be produced the resources to be produced the resources to be used in the production process abd for who the output is produced
D. Only for whom the output is produced and the mix to be produced

Answers

Poland broke the shackles of Soviet communist domination three decades ago and cast off its yoke of government control and central planning in favor of the American style free enterprise system where consumers, not elected officials or bureaucrats, drive investment, production, and buying decisions.

The result of the Polish economy is that price will determine: the mix of output to be produced, the resources to be used in the production process, and for whom the output is produced. The correct answer is C. The mix of output to be produced, the resources to be used in the production process, and for whom the output is produced are the factors that are determined by the price.

Price is a fundamental factor in determining the production process of a country. When a country shifts from a centralized economy to a free-market economy, the pricing mechanism plays a crucial role. The pricing mechanism in a free-market economy is one of the significant determinants of the mix of output to be produced, the resources to be used in the production process, and for whom the output is produced.

In a free-market economy, the consumer is king.

The price mechanism determines the mix of output to be produced, the resources to be used in the production process, and for whom the output is produced. The free-market economy is the opposite of a command economy, where the government determines what is produced, how much is produced, and for whom it is produced.

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Upload a word document with screen shots and steps to show the following 1- How to Insert a hyperlink. 2- Share workbooks so that multiple users can edit them.

Answers

1. How to Insert a Hyperlink:

  a. Open the Word document and navigate to the desired location for the hyperlink.

  b. Select the text or image that you want to turn into a hyperlink.

  c. Right-click on the selected text or image and choose "Hyperlink" from the context menu.

  d. In the "Insert Hyperlink" dialog box, you can choose the type of link you want to insert (e.g., web page, email address, document, etc.).

  e. Enter the URL or file path for the link destination and click "OK" to insert the hyperlink.

  f. The selected text or image will now be clickable and will redirect to the specified location when clicked.

2. How to Share Workbooks for Multiple Users to Edit:

  a. Open the Excel workbook that you want to share.

  b. Click on the "File" tab in the ribbon menu and select "Share" from the options.

  c. In the sharing options, you can choose to share via email, OneDrive, SharePoint, or other methods depending on your preference.

  d. Enter the email addresses of the users you want to share the workbook with.

  e. Choose the level of access you want to grant to each user (e.g., edit, view, etc.).

  f. Optionally, you can add a message or specify additional sharing settings.

  g. Click on the "Send" or "Share" button to send the workbook invitation to the specified users.

  h. The recipients will receive an email notification with a link to access and edit the shared workbook.

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What is stock b's beta if the covariance between stock b and the market is 3.75, and the variance of the market is 2.5?

Answers

The beta of stock B is 1.5. Beta is a measure of systematic risk that indicates how a stock's returns are expected to respond to changes in the overall market. It quantifies the volatility of a stock relative to the market.

The formula to calculate beta is as follows:

Beta = Covariance(stock B, market) / Variance(market)

Given that the covariance between stock B and the market is 3.75 and the variance of the market is 2.5, we can substitute these values into the formula:

Beta = 3.75 / 2.5

    = 1.5

A beta of 1.5 means that stock B is expected to experience returns that are 1.5 times as volatile as the overall market returns. If the market returns increase by 1%, stock B's returns would be expected to increase by 1.5%. Conversely, if the market returns decrease by 1%, stock B's returns would be expected to decrease by 1.5%.

This indicates that stock B is more volatile than the market and carries a higher level of systematic risk. Investors seeking higher potential returns may be attracted to stocks with higher betas, but they should also be aware of the increased risk associated with such investments.

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An ambulatory surgery center receives $18,700 in payments from insurance companies. Which choice below represents the proper way to record the transaction on the Balance Sheet for the accounting period?
Group of answer choices
Decrease accounts receivable and increase cash
Decrease accounts receiveable and decrease net assets
Increase cash and increase net assets
Decrease cash and increase accounts receivable

Answers

The proper way to record the transaction on the Balance Sheet is to increase cash and increase net assets.The correct choice is "Increase cash and increase net assets."

the proper way to record the transaction on the Balance Sheet for the accounting period when an ambulatory surgery center receives $18,700 in payments from insurance companies is to increase cash and increase net assets.

Here is a step-by-step explanation:

1. The ambulatory surgery center receives $18,700 in payments from insurance companies. This means that the center has received cash.

2. Cash is an asset, and an increase in cash should be recorded on the Balance Sheet as an increase in the cash account.

3. The increase in cash also increases the net assets of the ambulatory surgery center. Net assets represent the total value of the center's assets after deducting its liabilities.

Therefore, the proper way to record the transaction on the Balance Sheet is to increase cash and increase net assets.

To summarize, the correct choice is "Increase cash and increase net assets."

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Phillip Witt, president of Witt Input Devices, wishes to create a portfolio of local suppliers for his new line of keyboards. Suppose that Phillip is willing to use one local supplier and up to two more located in other territories within the country. This would reduce the probability of a "super-event" that might shut down all suppliers at the same time at least 2 weeks to 0.4%, but due to increased distance the annual costs for managing each of the distant suppliers would be $24,500 (still $16,000 for the local supplier). A total shutdown would cost the company approximately $470,000. He estimates the "unique-event" risk for any of the suppliers to be 5%. Assuming that the local supplier would be the first one chosen, how many suppliers should Witt Input Devices use? Find the EMV for alternatives using 1, 2, or 3 suppliers. EMV(1) = $ ___________________(Enter your response rounded to the nearest whole number.)

Answers

To determine the expected monetary value (EMV) for alternatives using different numbers of suppliers, we need to calculate the expected costs associated with each option. Therefore, EMV(1) is $23,500

Given the information provided, let's calculate the EMV for alternatives using 1, 2, or 3 suppliers:

EMV(1): If only the local supplier is chosen, the probability of a total shutdown is 5% since there is only one supplier. The cost of a total shutdown is $470,000. Therefore, the EMV(1) can be calculated as follows:

EMV(1) = Probability of shutdown * Cost of shutdown

= 5% * $470,000

= $23,500

EMV(2): If the local supplier and one additional distant supplier are chosen, the probability of a total shutdown is reduced to 0.4%. The cost of managing each distant supplier is $24,500 per year, in addition to the $16,000 cost for the local supplier. Therefore, the EMV(2) can be calculated as follows:

EMV(2) = Probability of shutdown * Cost of shutdown + (1 - Probability of shutdown) * Total annual costs

= 0.4% * $470,000 + (1 - 0.4%) * ($16,000 + $24,500)

= $1,880 + 0.996 * $40,500

= $1,880 + $40,347.60

= $42,227.60

EMV(3): If the local supplier and two additional distant suppliers are chosen, the probability of a total shutdown is further reduced to 0.4%. The total annual costs would be double that of the EMV(2) scenario. Therefore, the EMV(3) can be calculated as follows:

EMV(3) = Probability of shutdown * Cost of shutdown + (1 - Probability of shutdown) * Total annual costs

= 0.4% * $470,000 + (1 - 0.4%) * ($16,000 + 2 * $24,500)

= $1,880 + 0.996 * $65,000

= $1,880 + $64,740

= $66,620

Therefore, the EMV for alternatives using 1, 2, or 3 suppliers is as follows:

EMV(1) = $23,500

EMV(2) = $42,228

EMV(3) = $66,620 (rounded to the nearest whole number)

Hence, the EMV(1) is $23,500.

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A landlord who collects last month's rent and a security deposit at the beginning of a rental agreement with a tenant who is a college student is required to pay?
a. Interest, only if agreed by the parties
b. interest on the security deposit only
c. interest on last month's rent only
d. interest on the security deposit and last month's rent

Answers

The correct option is b) The landlord is required to pay interest on the security deposit only.

The requirement to pay interest on the security deposit is determined by local laws and regulations. In many jurisdictions, landlords are required to hold the security deposit in an interest-bearing account and pay interest to the tenant. However, the same requirement may not apply to the last month's rent.

Therefore, while the landlord is obligated to pay interest on the security deposit, there is typically no requirement to pay interest on the last month's rent.

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The systematic component of demand does not include 1) Level 2) Trend 3) Seasonality 4) Random fluctuation

Answers

The systematic component of demand does not include random fluctuation.

The systematic component of demand refers to the predictable and consistent patterns or factors that influence demand over a period of time. It consists of level, trend, and seasonality.

1) Level represents the average or baseline demand for a product or service, which remains relatively constant over time.

2) Trend refers to the long-term upward or downward movement in demand, indicating a consistent change in demand over time.

3) Seasonality reflects the recurring patterns in demand that occur due to seasonal factors such as holidays, weather conditions, or cultural events.

On the other hand, random fluctuation, also known as random variation or noise, refers to the unpredictable and irregular changes in demand that do not follow any specific pattern or trend. Random fluctuations can arise from various factors, such as random consumer behavior, unexpected events, or measurement errors. However, they are not considered part of the systematic component of demand because they are not driven by consistent and predictable factors.

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Select ONE of the indicated audience profiles. Use the audience profile you have chosen to answer the questions.
Answer ALL THREE questions. You will need to decide on the most suitable product/service/offering for your target audience, create a value proposition and develop suitable marketing messages
. Audience Profiles Audience Profile
1 – Professional: Sales manager in medium to large company, covers large geographic area (e.g., North of England), covering approximately 30-40,000 miles per year. Audience Profile
2 – Growing family: Parents and 2/3 children. One works full time professional role, other part-time plus child duties. Kids aged between 4- 12, active, football, swimming etc. Holiday in UK. Audience Profile
3 – Retired couple: Recently retired. Higher disposable income, still active and using new-found time to explore both new places and new experiences / activities. Answer ALL THREE questions.
1. Choose a product/service/offering from the case study organisation that you believe is most suitable for your chosen audience, and academically justify why that product/service/offering is appropriate. or Create your own solution to a customer problem the organisation can use to launch a new product/service/offering. Again, academically justify why it is appropriate for your chosen audience.
2. Write a value proposition statement for your product/service/offering. Academically justify your value proposition utilising the customer pains, gains and jobs, plus product and pricing features you have developed.
3. For the value proposition statement from question 2, create THREE marketing campaign messages to communicate at a specific stage of the customer journey to your chosen audience profile. Provide academic justification to support your choice of message, alongside insights identified from the customer pains, gains and jobs, and/or product/pricing features.

Answers

Audience Profile 2 - Growing family: Parents and 2/3 children. One works full-time professional role, the other part-time plus child duties. Kids aged between 4-12, active in activities like football and swimming. They prefer holidaying in the UK.

1. Product/Service/Offering: The most suitable product/service/offering for this audience profile is a family-friendly holiday package at a UK resort. This offering provides an opportunity for the family to enjoy quality time together, engage in various activities suitable for children, and create lasting memories in a convenient location.

2. Value Proposition: Our family-friendly holiday package offers a perfect blend of relaxation, fun, and convenience for your entire family. With a range of child-friendly amenities and activities, including football and swimming, parents can unwind while their children enjoy supervised recreational programs. Our spacious accommodation options cater to the needs of growing families, ensuring comfort and privacy. Additionally, our package includes access to nearby attractions, ensuring an enjoyable and hassle-free holiday experience. All of this is offered at an affordable price, allowing you to create cherished memories without breaking the bank.

3. Marketing Campaign Messages:

  a. Message 1 (Awareness Stage): "Unwind and bond with your family at our exclusive UK resort! Enjoy a stress-free holiday with child-friendly amenities, exciting activities, and comfortable accommodation."

  Justification: This message focuses on creating awareness among the target audience about the family-friendly features of the resort, highlighting the convenience and relaxation it offers.

  b. Message 2 (Consideration Stage): "Make lasting memories with your kids in our safe and engaging environment. From football to swimming, our resort is a paradise for active families like yours!"

  Justification: This message emphasizes the safety and engaging nature of the resort's activities, appealing to parents who want their children to have fun while ensuring their well-being.

  c. Message 3 (Decision Stage): "Affordable family holidays that won't compromise on quality! Experience the perfect blend of comfort, fun, and convenience at our UK resort."

  Justification: This message addresses the pricing aspect, highlighting the affordability of the package while assuring the target audience that they will still receive a high-quality experience.

By tailoring these messages to different stages of the customer journey, the marketing campaign effectively addresses the pain points of parents seeking a family-friendly holiday, the gains they desire in terms of quality time and convenience, and the specific features of the product/service that fulfill those needs.

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