All of the following factors directly determine whether storage arbitrage is possible except:
A. Spot price of the commodity
B. Futures price of the commodity
C. Storage and transportation costs
D. Projected GDP growth
If the spot price of WTI crude oil is $100/bbl, the futures price of WTI crude oil for delivery in two months is $110/bbl and the cost of carry of $5.00/bbl per month, is storage arbitrage a profitable strategy? Why or why not?

Answers

Answer 1

Factors A, B, and C directly determine whether storage arbitrage is possible, while factor D (projected GDP growth) does not. In the given scenario, storage arbitrage is a profitable strategy because the futures price of WTI crude oil for delivery in two months is higher than the spot price, and the cost of carry is lower than the price difference between the spot and futures prices.

Storage arbitrage refers to the practice of buying a commodity at the spot price, storing it, and selling it in the future at a higher futures price, taking advantage of price differences and carrying costs. Factors A (spot price of the commodity), B (futures price of the commodity), and C (storage and transportation costs) are crucial in determining the profitability of storage arbitrage.

In the given scenario, the spot price of WTI crude oil is $100/bbl, and the futures price for delivery in two months is $110/bbl. This indicates a price difference of $10/bbl. Additionally, the cost of carry is $5.00/bbl per month.

Since the price difference of $10/bbl is greater than the carrying cost of $5.00/bbl per month, storage arbitrage is a profitable strategy. By purchasing crude oil at the spot price, storing it for two months, and selling it at the higher futures price, a trader can earn a profit of $10 - (2 * $5.00) = $0, indicating a profitable opportunity.

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Related Questions

explain the pricing strategy of a firm that faces an elastic
demand curve for its good or service. choose the most appropriate
diagram below as the basis for your answer?

Answers

The pricing strategy of a firm facing an elastic demand curve for its good or service would involve setting a lower price to maximize revenue .

The most appropriate diagram to explain this strategy is a demand and supply graph.

When a firm faces an elastic demand curve, it means that a change in price has a significant impact on the quantity demanded. In this case, the firm needs to carefully consider its pricing strategy to optimize revenue.

The demand and supply graph is a useful tool to analyze this situation. On the graph, the demand curve will be relatively flat, indicating the elasticity of demand. The supply curve represents the firm's cost of producing the goods or services.

To maximize revenue, the firm should set a price where the elasticity of demand is taken into account. This means setting a lower price that will attract more customers and increase the quantity demanded. The increase in quantity sold can compensate for the decrease in price, resulting in higher overall revenue.

In the graph, this strategy would be represented by a downward shift of the demand curve due to the lower price. The new equilibrium point will be at a higher quantity and a lower price compared to the initial equilibrium. The firm will benefit from selling more units at a lower price, generating higher total revenue.

It's important to note that the specific shape of the demand curve will determine the extent to which the firm can lower the price. The more elastic the demand, the greater the opportunity to lower the price and increase revenue.

In summary, when a firm faces an elastic demand curve, it should implement a pricing strategy that involves setting a lower price to attract more customers and increase the quantity demanded. The demand and supply graph helps visualize this strategy by showing a downward shift in the demand curve and an increase in overall revenue.

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Calculating Future Values [LO1] You are scheduled to receive $44,000 in two years. When you receive it, you will invest it for 8 more years at 8 percent per year. How much will you have in 10 years? Multiple Choice $52,455.63 $94,99270 $77,368.88 $85,512.98 $81,440.93

Answers

To calculate the future value of the $44,000 investment after 8 years at an 8% interest rate, we can use the formula for compound interest:

FV = PV * (1 + r)^n

Where:

FV = Future Value

PV = Present Value (initial investment)

r = Interest rate per period

n = Number of periods

In this case, the initial investment is $44,000, the interest rate is 8% (0.08), and the number of periods is 8 years.

FV = $44,000 * (1 + 0.08)^8

Calculating the value, we find:

FV ≈ $85,512.98

Therefore, the correct answer is $85,512.98.

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Which BCG matrix indicates that products with have high market share but low market growth?

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The BCG matrix cell for products with high market share but low market growth is the "Cash Cow" quadrant.

The BCG matrix is a strategic management tool that helps analyze and categorize a company's product portfolio based on their market share and market growth rate. The "Cash Cow" quadrant represents products that have a high market share in a mature or slow-growth market. These products are considered cash cows because they generate consistent cash flows and profits for the company. They require less investment and can be used to support other products or business ventures. The focus in this quadrant is on maintaining market dominance and maximizing profitability rather than pursuing significant growth.

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Consider a future value of $500, 5 years in the future. Assume that the nominal interest rate is 9.00%. If you are calculating the present value of this cash flow under semiannual (twice per year) compounding, you would enter for I/Y into your financial calculator. Entering in the values you just calculated for N and I/Y, along with a PMT=0 and a FV=$500, into a financial calculator yields a present value of approximately $ with semiannual compounding. If you are calculating the present value of this cash flow under quarterly (four times per year) compounding, you would enter for I/Y into your financial calculator. for N and Suppose now that the cash flow of $500 only 1 year in the future. Entering in the values you just calculated for N and I/Y, along with a PMT=0 and a FV=$500, into a financial calculator yields a present value of approximately $ with quarterly compounding. If you are calculating the present value of this cash flow under quarterly (12 times per year) compounding, you would enter for I/Y into your financial calculator. for N and for N and Entering in the values you just calculated for N and I/Y, along with a PMT=0 and a FV=$500, into a financial calculator yields a present value of approximately $ with monthly compounding.

Answers

If you are calculating the present value of a $500 cash flow 5 years in the future under semiannual compounding, you would enter 10 for N (twice the number of compounding periods) and 4.50 for I/Y (half the nominal interest rate). This would yield a present value of approximately $340.10.

If you are calculating the present value of a $500 cash flow 1 year in the future under quarterly compounding, you would enter 4 for N (four times the number of compounding periods) and 2.25 for I/Y (one-fourth the nominal interest rate). This would yield a present value of approximately $470.89.

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Discuss the procedures and deadlines in remitting the final withholding taxes.

Answers

These procedures include identifying the types of income subject to withholding tax, calculating the amount to be withheld, and collecting the tax from the payee.

Deadlines for remitting the tax vary depending on the tax jurisdiction and type of income. It is important for businesses to adhere to these procedures and meet the deadlines to fulfill their tax obligations.

When it comes to remitting final withholding taxes, businesses need to follow specific procedures to ensure compliance with tax regulations.

This includes identifying the types of income that are subject to withholding tax, such as interest, dividends, royalties, or payments to non-resident individuals or entities.

The applicable tax rates and thresholds must be determined, and the amount to be withheld should be calculated based on these rates and the income received.

Once the tax is calculated, the next step is to collect the withholding tax from the payee. This can be done by deducting the tax amount from the payment made to the recipient.

The withheld tax should be segregated and kept separately to facilitate its remittance to the tax authorities.

The deadlines for remitting final withholding taxes vary depending on the tax jurisdiction and the type of income. In some cases, businesses are required to remit the tax within a specified time frame, such as on a monthly or quarterly basis.

It is crucial for businesses to be aware of these deadlines and ensure timely remittance to avoid penalties or fines.

Meeting the procedures and deadlines for remitting final withholding taxes is essential for businesses to fulfill their tax obligations and maintain compliance with tax laws.

It helps ensure that the correct amount of tax is withheld and remitted to the appropriate tax authorities in a timely manner, contributing to the overall tax system's integrity and functioning.

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Lorax Industrial operates one 12-hour shift per day for 242 days per year. It employs 512 people. The company records show a history of incidents and injuries:
• 7 medical aid injuries with no days lost
• 15 property damage incidents with a total 45 days lost
• 11 equipment failures that caused a total 20 days lost
• 27 injuries requiring medical attention with a total 115 days lost
Calculate the following
a. frequency
b. severity

Answers

a. Frequency measures the rate of incidents, calculated as the total number of incidents divided by the total number of employees and days worked. In this case, the frequency is approximately 0.000481.  b. Severity measures the average impact of incidents, calculated as the total number of days lost divided by the total number of employees and days worked. In this case, the severity is approximately 0.001446.

a. The frequency of incidents can be calculated by summing up the total number of incidents and injuries and dividing it by the total number of employees and days worked:

Frequency = Total Number of Incidents / (Total Number of Employees × Number of Days Worked)

Total Number of Incidents = 7 + 15 + 11 + 27 = 60

Number of Days Worked = 512 employees × 242 days = 124,544

Frequency = 60 / 124,544 ≈ 0.000481

b. The severity can be calculated by summing up the total number of days lost due to incidents and injuries and dividing it by the number of employees and days worked:

Severity = Total Number of Days Lost / (Total Number of Employees × Number of Days Worked)

Total Number of Days Lost = 45 + 20 + 115 = 180

Severity = 180 / 124,544 ≈ 0.001446

a. The frequency of incidents measures the rate at which incidents occur within the organization. It is calculated by dividing the total number of incidents by the total number of employees and days worked. In this case, the frequency is approximately 0.000481, indicating that there is an incident occurring roughly once every 2,080 days.

b. The severity of incidents measures the average impact of incidents on the organization in terms of days lost. It is calculated by dividing the total number of days lost by the total number of employees and days worked. In this case, the severity is approximately 0.001446, suggesting that on average, each employee loses around 0.1446 days per year due to incidents. This helps in understanding the overall impact of incidents on productivity and employee well-being.

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future execution? Review the annual reports from 10 years prior, 5 years prior, and the most recent two years and explain how management has historically foreseen challenges and has adapted to changes in business conditions through time. Give specific examples.

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The management has historically foreseen challenges and adapted to changes in business conditions over time. This has been shown through reviewing the annual reports from 10 years prior, 5 years prior, and the most recent two years. Specific examples are given in the explanation below.

Changes in business conditions over time can be foreseen by management, and adaptations can be made to adjust accordingly. Annual reports from different periods provide an insight into how companies have foreseen challenges and adapted to changing business conditions. By reviewing the annual reports of a company from 10 years ago, 5 years ago, and the most recent two years, it can be observed how management has adapted to changing business conditions.The annual reports from 10 years prior may show the management's vision and plans for the future. For example, a company's annual report from 2011 may show that the management was aware of the emergence of e-commerce platforms and was planning to adapt to the new business environment. As a result, the company might have invested in its own e-commerce platform and trained employees to provide an omnichannel shopping experience. This type of foresight helps the company to adjust quickly to changing business conditions.The annual reports from 5 years prior may show how the management has dealt with business challenges and adapted to the new business environment. For instance, the annual report from 2016 may show that a company's management was aware of the growing demand for green products. As a result, the company might have adjusted its production process and started offering eco-friendly products, which helped it to remain competitive.The annual reports from the most recent two years may show the management's response to the changing business environment and emerging challenges. For example, a company's annual report from 2020 may show how the management has dealt with the COVID-19 pandemic. The management may have adapted to the pandemic by offering work-from-home options, reducing overhead costs, and adopting a new marketing strategy to reach customers who are spending more time online.In conclusion, by reviewing the annual reports from 10 years prior, 5 years prior, and the most recent two years, it can be observed how management has historically foreseen challenges and adapted to changes in business conditions. The examples given above are only a few of the many ways companies have been able to adapt to the business environment over time.

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UPX, the Toronto express train from Union Station to Pearson Airport, operates far below full capacity and demand is ______, therefore, reducing travel fares would most likely increase total revenues.

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The term that fits best in the blank is low.

As per the given statement, UPX, the Toronto express train from Union Station to Pearson Airport, operates far below full capacity and demand is low, therefore, reducing travel fares would most likely increase total revenues.Here, the term "low" fits best in the blank since the demand for the train is low. Since the train is operating far below its full capacity, it means the number of people traveling in the train is very low. Therefore, to attract more people and increase its total revenue, reducing the travel fares would be a good idea.

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The comparative balance sheets for Cullumber Company show these changes in noncash current asset accounts: Accounts Receivable decreased $62,400, Prepaid Expenses increased $21,800, and Inventory increased $23,400. Calculate net cash provided by operating activities using the indirect method assuming that profit is $234,000 for the year ended May 31,2021 . (Show amounts that decrease cash flow with either a - sign e.g. −15,000 or in parenthesis e.g. (15,000).) Net cash______ operating activities $______

Answers

The net cash provided by operating activities is $216,800.

To calculate net cash provided by operating activities using the indirect method, we need to adjust the net profit for changes in noncash current asset accounts.

The given changes in noncash current asset accounts are:

Accounts Receivable: -$62,400

Prepaid Expenses: +$21,800

Inventory: +$23,400

To calculate net cash provided by operating activities, we start with the net profit and make the necessary adjustments:

Net profit: $234,000

Adjustments for changes in noncash current assets:

Accounts Receivable: -$62,400

Prepaid Expenses: +$21,800

Inventory: +$23,400

Net cash provided by operating activities = Net profit + Adjustments

Net cash provided by operating activities = $234,000 - $62,400 + $21,800 + $23,400

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Explain how your knowledge of the cultural differences would
influence you as a global leader if you were doing business in
China.

Answers

As a global leader, knowledge of cultural differences is essential for doing business successfully in any country. Global leaders must be aware of the differences and modify their behavior and communication style accordingly.

In the case of doing business in China, an understanding of the following cultural differences would be essential to succeed:

Language and communication: China is a country with diverse languages and dialects. While Mandarin is the official language, there are many dialects and local languages that are also spoken in different parts of the country. Therefore, a global leader must hire a local team or partner with a local firm that has language proficiency and can help with communication.

Customs and traditions: Chinese culture has a rich heritage and history with many customs and traditions that are unique. For example, respect for elders and hierarchy is a significant aspect of Chinese culture, and therefore, global leaders must understand these customs and respect them accordingly.

Business practices: Business practices in China are different from other countries. For example, in China, the concept of Guanxi, which means building relationships, is essential for conducting business. Therefore, global leaders must be patient and invest in building long-term relationships with their counterparts in China.

Etiquette:  Etiquette in China is different from other countries. For example, the Chinese value face-saving and avoiding confrontation.

Therefore, global leaders must be aware of these differences and modify their behavior and communication style accordingly.

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Prime is the interest rate that...
is applied only to non-current instalment notes payable and no other forms of debt.
a bank charges their least creditworthy customers.
a constant for the entire time of the note.
a bank charges their most creditworthy customers.

Answers

Prime is the interest rate that is a constant for the entire time of the note. It is not specific to any particular type of debt or customer creditworthiness. The prime rate is typically used as a benchmark by banks to determine the interest rates they charge on various loans and credit products.

It serves as a reference point for setting interest rates and is influenced by factors such as the central bank's monetary policy, economic conditions, and market forces. The prime rate is often used as a basis for calculating interest rates on consumer loans, mortgages, and other forms of borrowing. It represents the lowest interest rate at which banks offer loans to their most creditworthy customers, but it can also be adjusted based on individual borrower risk profiles.

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In starting a business venture, the owner is granted a loan of P3,000 at the beginning of each year for 5 years. Money is worth 7% effective. He agrees to pay all accumulated liability by a single payment at the end of 8 years. Find his payment.

Answers

Let A be the requried payment. Then A satisfies the  shown below:

PV(annuity) + PV(single amount ) = A(PV(annuity due)) +[tex]3000[1 + 0.07 + 0.07^2 + ... + 0.07^4][/tex]. where

PV(annuity) =[tex]3000[(1 - 1/1.07^5)/0.07] = 11646.2599[/tex],

PV(single amount) =[tex]3000/1.07^5 = 1965.2412[/tex],

PV(annuity due) =[tex]3000[(1 - 1/1.07^5)/(0.07/1.07)](1.07)[/tex]

=[tex]12111.9780,[/tex]

A = (PV(annuity) + PV(single amount))/PV(annuity due)

=[tex](11646.2599 + 1965.2412)/12111.9780 = 1.33157... x 10^1[/tex]

=[tex]13.32[/tex] pesos (rounded to the nearest centavo). The payment to be made is 13.32 pesos.More than 100 words

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We are in the Ricardian model. Kenya and Uganda have the following labour requirements for the production of t-shirts and bananas (in working hours): Hence T-Shirts Bananas If the two countries trade, Uganda will export Uganda 1 Kenya 6 ◆ has a comparative advantage in producing t-shirts. has a comparative advantage in producing bananas. Are these statements true or false: 12 3 and Kenya will export 1. Both countries will still produce t-shirts and bananas after they open up for trade - 2. Both countries will completely specialize in the production of a single good - 3. At least one country will completely specialize in the production of a single good - →

Answers

Both countries will still produce t-shirts and bananas after they open up for trade: True or False. After opening up trade, the countries will continue to manufacture both T-shirts and bananas.

When a country specializes in the production of goods that are relatively more efficient, it is beneficial to trade. Both countries may benefit from trade since it may result in an increase in their consumption levels.

Thus, the given statement is True. Both countries will completely specialize in the production of a single good: True or False.The statement is false. If both countries specialize in the production of only one good, the possibility of trade would be eliminated.

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One of the fundamentals of public policy against illegal drugs is to make illegal drug sales and use more costly by imposing penalties.
Refer to the Chapter 5 reading in the textbook which covers elasticity, or how much quantity demanded or supplied changes in response to a change in price, as well as the article "End the War on Drugs." Discuss whether the imposed penalties work and whether elasticity is working for or against the public. Would you describe the demand for illegal drugs as elastic or inelastic? Justify your response.

Answers

The effectiveness of imposing penalties as a public policy measure against illegal drugs is a topic of debate. While penalties can increase the cost of engaging in drug sales and use, their impact on reducing drug consumption and supply may not always be straightforward.

When considering elasticity, it is essential to understand how changes in price affect the quantity demanded or supplied of a particular good or service. If the demand or supply is elastic, a change in price will lead to a proportionately larger change in quantity. Conversely, if the demand or supply is inelastic, a change in price will result in a proportionately smaller change in quantity.

The demand for illegal drugs can be considered as elastic. This elasticity arises due to several factors. First, illegal drugs are often addictive substances, which can create a strong demand even at higher prices. Additionally, the illegal drug market operates outside the legal framework, leading to limited availability and increased prices due to the risks involved in production, distribution, and acquisition. Consequently, as prices rise, individuals who are dependent on drugs may still be willing to pay the higher prices, albeit with potential negative consequences such as increased criminal activity.

Imposing penalties on drug sales and use can increase the cost of engaging in these activities, potentially deterring some individuals from participating. However, the effectiveness of penalties depends on various factors, including enforcement, severity, and the overall context of drug use and addiction. High penalties and strict enforcement may reduce drug supply and consumption to some extent, but they can also have unintended consequences.

One criticism of imposing penalties is that they can drive drug markets underground, leading to an increase in violent crime and unsafe drug use practices. Moreover, penalties may disproportionately affect marginalized communities, perpetuating social inequities. Additionally, high penalties can create a profitable black market, which can incentivize individuals to participate in illegal drug trade due to the potential for substantial financial gains. These factors can limit the effectiveness of penalties as a deterrent and may contribute to a sustained demand for illegal drugs.

In light of these considerations, it is important to adopt a comprehensive approach to drug policy that goes beyond penalties. Strategies that focus on prevention, education, harm reduction, and treatment can be more effective in addressing the underlying causes of drug use and reducing demand. By providing support and access to treatment options, society can help individuals overcome addiction and reduce the demand for illegal drugs over the long term.

Overall, while penalties can have some impact on reducing drug consumption and supply, their effectiveness is limited. The elasticity of demand for illegal drugs, coupled with the unintended consequences of penalties, suggests that a multifaceted approach is necessary to address drug-related issues effectively.

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Hutter Corporation declared a $0.50 per share cash dividend on its common shares. The company has 40,000 shares authorized, 21,000 shares issued, and 16,000 shares of common stock outstanding. The journal entry to record the dividend declaration is: Multiple Choice Debit Retained Earnings $8,000; credit Common Oividends Payable $8,000 Debit Retained Earnings $20,000; credit Common Dividends Payable $20,000. Debit Retained Earnings $10,500; credit Common Dividends Payable $10,500. Debit Common Dividends Payable $10,500; credit Cash $10,500 Debit Common Dividends Pavable \$8,000, credit Cash $8,000.

Answers

The journal entry to record the dividend declaration by Hutter Corporation is to debit Retained Earnings for $8,000 and credit Common Dividends Payable for $8,000.

The correct journal entry to record the dividend declaration is to debit Retained Earnings for $8,000 and credit Common Dividends Payable for $8,000.

When a company declares a cash dividend, it needs to record the declaration in its books. In this case, Hutter Corporation has declared a $0.50 per share cash dividend on its common shares. To record this, the company debits Retained Earnings, which represents the accumulated earnings of the company that have not been distributed to shareholders. The debit to Retained Earnings reduces the retained earnings balance since dividends are a distribution of profits.

On the other hand, the company credits Common Dividends Payable, which is a liability account representing the amount of dividends owed to shareholders. By crediting Common Dividends Payable, the company acknowledges the obligation to pay out the declared dividends to the shareholders.

The entry of Debit Retained Earnings $8,000; credit Common Dividends Payable $8,000 correctly reflects the declaration of the cash dividend and properly updates the company's financial records.

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Suppose a brand has the following CDIs and BDIs in two segments:
Segment1 : CDI = 125, BDI = 95
Segment2 : CDI = 85, BDI = 110
Which segment appears more interesting for the brand to invest in as far as its growth is concerned?
Explain your reasoning.
HTML Editor

Answers

Suppose a brand has the following CDIs and BDIs in two segments:  Segment1 : CDI = 125, BDI = 95, Segment2 : CDI = 85, BDI = 110Thus, in terms of investment, Segment 1 has a better chance of growing, but Segment 2 is currently performing well.

In a brand, if it has two segments, Segment 1 and Segment 2, with different CDIs and BDIs; CDI standing for Category Development Index and BDI standing for Brand Development Index,

From the given, Segment 1: CDI = 125, BDI = 95Segment 2: CDI = 85, BDI = 110CDI measures the sales of the brand in a particular category relative to the sales of that category in that region. In other words, it indicates whether the brand has captured its fair share of the market in a particular category.

It provides a signal as to whether the company should expand its marketing efforts in the category. If the CDI is greater than 100, it implies that the brand is selling above the national average, and there is potential for growth.

If the CDI is less than 100, it indicates that the brand is underperforming in that category. A brand would want to invest in a category where there is potential for growth. BDI measures the sales of the brand relative to the sales of the brand in the region.

It indicates whether the brand has captured its fair share of the market in a particular area. If the BDI is greater than 100, it implies that the brand is selling above the national average, and there is potential for growth. If the BDI is less than 100, it indicates that the brand is underperforming in that area.

A brand would want to invest in an area where there is potential for growth. However, if the CDI is low, and the BDI is high, the brand has a high market share, but the market itself is small. Having a higher CDI implies that the particular category has more potential for growth.

With the given data, Segment 1 with a CDI of 125 appears more attractive as there is potential for growth.

Nonetheless, it has a lower BDI of 95, which implies that it is currently not performing well in that particular area. On the other hand, Segment 2 has a lower CDI of 85, which implies that there is less potential for growth; nonetheless, it has a higher BDI of 110, which implies that the brand is performing well in that particular area.

Thus, in terms of investment, Segment 1 has a better chance of growing, but Segment 2 is currently performing well.

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A Single Father's Tax Situation A SINGLE FATHER'S TAX SITUATION Ever since his wife's death, Eric Stanford has faced difficult personal and financial circumstances. His job provides him with a fairly good income but keeps him away from his daughters, ages 8 and 10, nearly 20 days a month. This requires him to use in-home child care services that consume a major por- tion of his income. Since the Stanfords live in a small apartment, this arrangement has been very inconvenient. Due to the costs of caring for his children, Eric has only a minimal amount withheld from his salary for federal income taxes. Thus more money is available during the year, but for the last few years he has had to make a payment in April, another financial burden. Although Eric has created an investment fund for his daughters' college education and for his retirement, he has not sought to select investments that offer tax benefits. Over- all, he needs to look at several aspects of his tax planning activities to find strategies that will best serve his current and future financial needs. Eric has assembled the following information for the current tax year: Earnings from wages, $47,500 Interest earned on GIC: $125 $2,000: RRSP Deduction $65: Savings account interest $4,863: Amount withheld for federal income tax Total non- refundable tax credit amounts: $13,200 Child care deduction: $6,300. Filing status: head of household Calculate the following a. What is Eric's 2016 taxable income? b. What is his total 2017 tax liability? What is his average 2017 tax rate? c. Based on his withholding, will Eric receive a refund or owe additional tax? What is the amount?

Answers

Eric's taxable income for 2016 is $47,500 - $2,000 - $6,300 = $39,200.

Eric will owe an additional tax of $2,977 for the 2017 tax year.

In 2016, Eric's taxable income is calculated by subtracting his deductions and non-refundable tax credits from his total earnings. His total 2017 tax liability can be determined using the tax rates applicable to his taxable income. Based on his withholding, Eric may either receive a refund or owe additional tax.

To calculate Eric's taxable income for 2016, we start with his earnings from wages, which amount to $47,500. From this, we subtract his deductions and non-refundable tax credits. The deductions include the RRSP deduction of $2,000 and the child care deduction of $6,300. Therefore, Eric's taxable income for 2016 is $47,500 - $2,000 - $6,300 = $39,200.

Moving on to Eric's total 2017 tax liability, we need to determine his tax rate based on his taxable income. The tax rates vary depending on the income brackets, but for simplicity, let's assume a flat tax rate. If Eric's average 2017 tax rate is 20%, his total tax liability would be 20% of his taxable income. Therefore, his total 2017 tax liability would be 0.20 * $39,200 = $7,840.

Lastly, based on Eric's withholding of $4,863, we can determine if he will receive a refund or owe additional tax. If his withholding is greater than his total tax liability, he will receive a refund. However, if his withholding is less than his total tax liability, he will owe additional tax. In this case, Eric's withholding is less than his tax liability, so he will owe additional tax. The amount owed can be calculated by subtracting his withholding from his tax liability: $7,840 - $4,863 = $2,977.

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Q2 Health care stocks tend to do the best during Select one: a. all phases of the market, and are considered immune from market cycles. O b. the early bull phase of the stock market cycle. O c. the early bear to late bear phases of the stock market cycle. O d. the mid-bull phase of the stock market cycle.

Answers

The correct answer is: d. the mid-bull phase of the stock market cycle. Health care stocks tend to perform well during the mid-bull phase of the stock market cycle.

This phase is characterized by a general uptrend in the market, with rising investor optimism and increasing stock prices. During this phase, economic conditions are favorable, and investors have confidence in the market.

Health care stocks are considered defensive stocks, meaning they tend to be less affected by economic downturns and market volatility compared to other sectors. This is because demand for health care products and services remains relatively stable regardless of the overall economic conditions.

However, it is important to note that while health care stocks may perform well during the mid-bull phase, their performance can still be influenced by various factors such as company-specific news, regulatory changes, and advancements in medical technology. Therefore, it is crucial to conduct thorough research and analysis before making investment decisions in health care stocks or any other sector.

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What is the present value of an investment that will pay your $306 at the end of the first year, $127 at the end of the second year, and $419 at the end of the fith year. Assume the discount rate is 5.7%

Answers

The present value of the investment is $249.23.

To find the present value of an investment, you can use the formula:

PV = CF1 / (1 + r)1 + CF2 / (1 + r)2 + CF3 / (1 + r)3 + ... + CFn / (1 + r)n

where, PV = present value of the investment

CF = cash flow in each period

r = discount rate in decimal form

n = total number of periods

Given,CF1 = $306 CF2 = $127 CF3 = $0 CF4 = $0 CF5 = $419

r = 5.7% = 0.057

n = 5

Using the formula, we get:

PV = 306 / (1 + 0.057)1 + 127 / (1 + 0.057)2 + 0 / (1 + 0.057)3 + 0 / (1 + 0.057)4 + 419 / (1 + 0.057)5= $249.23 (rounded to two decimal places)

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An example of an agriculture commodity with particularly volatile prices is coffee. The price of coffee on world markets fluctuates a great deal from year to year because of weather and because of the entry of new suppliers in Brazil and new supplying countries such as Vietnam. [1] Who will lose when coffee prices fall as countries become more efficient at growing coffee and begin exporting them? Please explain your answer using the specific-factors model. [2] Can anything be done to avoid the kind of boom-and-bust cycle that occurs regularly in coffee markets? Please specify at least two possible ways to solve this problem. [3] If you are an economist, what trade policy would you suggest the government to protect your coffee farmers by propping up prices?

Answers

Answer:

‘People have become obsessed with travelling ever further and faster. However,

travel is expensive, dangerous, damaging and a foolish waste of time!’

Write an article for a news website in which you argue your point of view on this

statement.

(24 marks for content and organisation

16 marks for technical accuracy)

[40 marks]  

Explan‘People have become obsessed with travelling ever further and faster. However,

travel is expensive, dangerous, damaging and a foolish waste of time!’

Write an article for a news website in which you argue your point of view on this

statement.

(24 marks for content and organisation

16 marks for technical accuracy)

[40 marks]  

ation:

Willow Window Washing Services prepares adjustments monthly and shows the following selected accounts 2020, unadjusted trial balance: Account Debit Credit Prepaid insurance Prepaid office rent $ 3,840 25,000 1,340 27,440 Prepaid subscriptions Prepaid equipment rental Required: Prepare the required monthly adjusting entries at December 31, 2020, based on the following additional infor a. The remaining balance in Prepaid Insurance was for a six-month insurance policy purchased for $7,680 and 1, 2020. b. $5,600 of the balance in Prepaid Office Rent had not been used as at December 31, 2020. c. $1,180 of the balance in Prepaid Subscriptions had been used as at December 31, 2020. d. The company paid $35,280 on April 1, 2020, to rent equipment for a three-year period beginning April 1, 20 View transaction list Journal entry worksheet < 1 2 3 4 Record the expired insurance. Prev # www

Answers

Adjusting Entries for Willow Window Washing Services' 2020 Unadjusted Trial Balance:

a. Expired Insurance:

Debit: Insurance Expense ($3,840)

Credit: Prepaid Insurance ($3,840)

b. Unused Office Rent:

Debit: Rent Expense ($5,600)

Credit: Prepaid Office Rent ($5,600)

c. Used Subscriptions:

Debit: Subscription Expense ($1,180)

Credit: Prepaid Subscriptions ($1,180)

d. Allocating Equipment Rental Expense:

Debit: Equipment Rental Expense ($11,760)

Credit: Prepaid Equipment Rental ($11,760)

a. Expired Insurance:

The Prepaid Insurance account has a balance of $3,840. It was purchased for a six-month insurance policy, which means $7,680 was initially paid (6 months x $1,280 per month). Since the balance is for the entire year and only six months have passed, we need to recognize the expired insurance. The adjusting entry is as follows:

Insurance Expense: $3,840

Prepaid Insurance: -$3,840

This entry reduces the Prepaid Insurance account and recognizes the expense for the expired insurance.

b. Unused Office Rent:

The Prepaid Office Rent account has a balance of $25,000. However, only $19,400 ($25,000 - $5,600) worth of rent has been used by December 31, 2020. The adjusting entry is:

Rent Expense: $5,600

Prepaid Office Rent: -$5,600

This entry reduces the Prepaid Office Rent account and recognizes the expense for the unused portion of the prepaid rent.

c. Used Subscriptions:

The Prepaid Subscriptions account has a balance of $1,340. $1,180 worth of subscriptions has been used by December 31, 2020. The adjusting entry is:

Subscription Expense: $1,180

Prepaid Subscriptions: -$1,180

This entry reduces the Prepaid Subscriptions account and recognizes the expense for the subscriptions that have been used.

d. Allocating Equipment Rental Expense:

On April 1, 2020, the company paid $35,280 to rent equipment for a three-year period. Since the rental period is three years, and only nine months have passed by December 31, 2020, we need to allocate the rental expense for the current year. The adjusting entry is:

Equipment Rental Expense: $11,760 ($35,280 / 36 months x 9 months)

Prepaid Equipment Rental: -$11,760

This entry reduces the Prepaid Equipment Rental account and recognizes the expense for the equipment rental used in the current year.

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3. The current price of stock A (B) is $87.20 ($62.50). Analysts expect that in one year a dividend of $3.64 ($3.12) will be paid on stock A (B). In addition, analysts expect the price of stock A (B) in one year to be $93.50 ($67.80). Stock A (B) has a beta of 0.90 (1.30). The risk-free rate is 4.0% and the expected return on the market is 11.0%. 4 pts a. What is the expected return on stock A given its current price and analysts' expectations? b. Given the required return from CAPM, what current stock price for stock B would we expect? C. What is the alpha for stock B? d. Is stock A overvalued or undervalued?

Answers

Expected return on stock A is 9.64%. b. Expected stock price for stock B is $63.11. c. Alpha for stock B is -3.25%. d. Stock A is undervalued.

To calculate the expected return on stock A, we use the dividend discount model (DDM). The expected return is the sum of the dividend yield and the capital appreciation rate, which gives us 9.64%. Using the Capital Asset Pricing Model (CAPM), we can determine the expected stock price for stock B based on its required return. By rearranging the CAPM equation, we find the expected stock price to be $63.11. Alpha measures the excess return of a stock compared to its expected return based on its beta and the market return. For stock B, the alpha is -3.25%, indicating that it has underperformed relative to its expected return based on the CAPM. Stock A is considered undervalued if its current price is lower than its expected future price based on analysts' expectations.

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Johnson Foods processes bags of organic frozen fruits sold at specialty grocery stores. i (Click the icon to view additional information.) Read the requirements. Requirement 1. How much variable overhead would have been allocated to production? How much fixed overhead would have been allocated to production? The variable overhead allocated to production is I More info The company allocates manufacturing overhead based on direct labor hours. Johnson has budgeted fixed manufacturing overhead for the year to be $633,000. The predetermined fixed manufacturing overhead rate is $16.80 per direct labor hour, while the standard variable manufacturing overhead rate is $0.85 per direct labor hour. The direct labor standard for each case is one - quarter (0.25) of an hour. The company actually processed 160,000 cases of frozen organic fruits during the year and incurred $703,300 of manufacturing overhead. Of this amount, $650,000 was fixed. The company also incurred a total of 41,000 direct labor hours. Requirements 1. How much variable overhead would have been allocated to production? How much fixed overhead would have been allocated to production? Compute the variable MOH rate variance and the variable MOH efficiency variance. What do these variances tell managers? 2. 3. Compute the fixed MOH budget variance and the fixed overhead volume variance. What do these variances tell managers? Print Done

Answers

Variable overhead allocated to production: $34,000

Fixed overhead allocated to production: $267,200

Variable MOH rate variance: $693,150 (unfavorable)

Variable MOH efficiency variance: $850 (favorable)

Fixed MOH budget variance: $17,000 (favorable)

Fixed overhead volume variance: $16,800 (unfavorable)

The variable overhead allocated to production would be $34,000 (160,000 cases * $0.85 per direct labor hour * 0.25 hour per case), while the fixed overhead allocated to production would be $267,200 ($16.80 per direct labor hour * 41,000 hours). The variable MOH rate variance can be calculated by multiplying the actual direct labor hours (41,000) by the difference between the actual variable MOH rate ($703,300 / 41,000 hours = $17.15) and the standard variable MOH rate ($0.85), resulting in a variance of $693,150.

The variable MOH efficiency variance can be calculated by multiplying the standard variable MOH rate ($0.85) by the difference between the actual direct labor hours (41,000) and the standard direct labor hours for actual production (160,000 cases * 0.25 hour per case = 40,000 hours), resulting in a variance of $850. These variances provide information to managers about the differences between actual and standard variable overhead costs and the efficiency of using direct labor hours.

The fixed MOH budget variance is the difference between the actual fixed overhead cost ($650,000) and the budgeted fixed overhead cost ($633,000), resulting in a variance of $17,000 (favorable). The fixed overhead volume variance can be calculated by multiplying the difference between the actual direct labor hours (41,000) and the standard direct labor hours for actual production (160,000 cases * 0.25 hour per case = 40,000 hours) by the predetermined fixed manufacturing overhead rate ($16.80), resulting in a variance of $16,800 (unfavorable). These variances provide information to managers about the differences between actual and budgeted fixed overhead costs and the impact of production volume on fixed overhead costs.

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Choose 2 from the following list to create marketing tag lines for either a pediatric dental practice or a private dental practice:
Competing on price
Competing on convenience
Competing on quality
Competing in a particular niche

Answers

Marketing tag lines are statements that are used to promote brands or products and differentiate them from other brands or products.

The following are two marketing tag lines for either a pediatric dental practice or a private dental practice: Competing on quality: "We don't compromise on quality dental care."Competing in a particular niche: "We specialize in orthodontics to help you achieve your dream smile.

"Marketing: Marketing is the study of identifying the requirements of a target market and satisfying them by offering a product or service. It encompasses various advertising techniques, such as market research, product distribution, pricing, and promotion.

Tag: A tag is a label that is used to classify something. In the context of marketing, tags are used to organize and manage content and improve website ranking and visibility. Tags aid in the navigation of content and provide users with a better experience.

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2. THE YIELD TO MATURITY Determine the yield to maturity of each of the following bonds a. A discount bond with a face value of $1000, a maturity of three years, and a price of $800 of four years, and a price of $800 of four years, and a price of $850 b. A discount bond with a face value of $1000, a maturity c. A discount bond with a face value of $1000, a maturity

Answers

a. The yield to maturity for the discount bond with a face value of $1000, a three-year maturity, and a price of $800 is approximately 8.24%.

b.yield to maturity for the discount bond with a face value of $1000 and an unspecified maturity cannot be determined without additional information.c. The yield to maturity for the discount bond with a face value of $1000 and an unspecified maturity cannot be determined without additional information.

a. To calculate the yield to maturity for the discount bond, we need to use the formula:

Yield to Maturity = ((Face Value / Price) ^ (1 / Number of Years)) - 1

Substituting the given values, we have:

Yield to Maturity = ((1000 / 800) ^ (1 / 3)) - 1Yield to Maturity = (1.25 ^ 0.333) - 1

Yield to Maturity ≈ 0.0824 or 8.24%

b. The yield to maturity for the second discount bond cannot be determined without knowing the bond's maturity. The maturity information is missing, which is necessary to calculate the yield to maturity accurately.

c. Similarly, without the maturity information for the third discount bond, we cannot calculate the yield to maturity. The maturity term is essential for determining the precise yield to maturity value.

In summary, the yield to maturity can be calculated for the first discount bond using the provided information, but for the remaining bonds, the absence of maturity details prevents us from determining their respective yields to maturity accurately.

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Any transfer made within two years of filing a petition in
bankruptcy that is intended to hinder, delay, or defraud creditors
is :
void as a fraudulent transfer.
an exempt transfer
allowable because t

Answers

Any transfer made within two years of filing a petition in bankruptcy that is intended to hinder, delay, or defraud creditors is void as a fraudulent transfer.

What is a fraudulent transfer? A fraudulent transfer is a transfer of an interest in the property or a transfer of an obligation made by a debtor with the intent of hindering, delaying, or defrauding its creditors. A transfer can be made without fair consideration or without any consideration at all.

What is the fraudulent transfer act? The Fraudulent Transfer Act was created to assist creditors in the pursuit of their legal claims. It assists them in avoiding or invalidating fraudulent transfers and other transactions made by debtors with the intent to avoid paying creditors.

What is the Uniform Fraudulent Transfer Act (UFTA)? The Uniform Fraudulent Transfer Act (UFTA) is a model law that has been enacted in most states. The UFTA's objective is to provide creditors with a means of avoiding fraudulent transfers by giving them a mechanism for unwinding such transfers.

So, any transfer made within two years of filing a petition in bankruptcy that is intended to hinder, delay, or defraud creditors is void as a fraudulent transfer.

The question should be:

Any transfer made within two years of filing a petition in bankruptcy that is intended to hinder, delay, or defraud creditors is:

void as a fraudulent transfer an exempt transfer.

The answer is void as a fraudulent transfer.

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You are able to choose between a $1,500 tax credit and a $1,500 tax deduction. What should you choose?
Group of answer choices
The tax credit, as it will reduce your taxes by $1,500
Insufficient data
Neither
Either one, as both will reduce your taxes in the same manner
The tax deduction, as it will reduce your taxes by $1,500

Answers

El crédito fiscal de $1,500 reduce directamente la cantidad de impuestos que debes, mientras que la reducción de impuestos de $1,500 reduce tu ingreso gravable. El beneficio real de la reducción depende de tu tasa marginal de impuestos.

La elección entre un préstamo fiscal de $1,500 y una reducción fiscal de $1,500 depende de su situación fiscal individual y otros factores. Sin embargo, puedo brindarle alguna información general para que pueda comprender la diferencia entre las dos opciones.Un crédito fiscal reduce directamente la cantidad de impuestos que debes. En este caso, elegir el préstamo fiscal de $1,500 resultaría en una reducción de $1,500 en su deuda fiscal. Tax credit would provide a greater benefit if your tax liability is greater than $1,500.Por otro lado, una reducción de impuestos reduce su ingreso gravado. If you choose the $1,500 tax deduction, it would reduce your taxable income by $1,500. El verdadero ahorro fiscal de una reducción depende de su tasa marginal de impuestos.El crédito fiscal de $1,500 reduce directamente la cantidad de impuestos que debes, mientras que la reducción de impuestos de $1,500 reduce tu ingreso gravable. El beneficio real de la reducción depende de tu tasa marginal de impuestos

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What is the most important consideration in determining whether
an item is a fixture?
the intent of the seller
the size of the building
the age of the building
the intent of both the buyer and seller

Answers

The most important consideration in determining whether an item is a fixture is the intent of both the buyer and seller. The intent of the parties involved in the transaction plays a crucial role in determining whether an item is considered a fixture or personal property.

When determining whether an item is a fixture or personal property, courts typically consider the intent of both the buyer and seller. The intent refers to the understanding and agreement between the parties regarding the attachment of the item to the property. If both parties intended for the item to become a permanent part of the property and considered it as such during the transaction, it is more likely to be classified as a fixture.

While factors such as the size of the building and the age of the building may provide some context, they are not as significant as the intent of the buyer and seller. Ultimately, the primary consideration is the intent of the parties involved in the transaction to determine whether an item should be classified as a fixture or personal property.

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On April 22, 2020, Blossom Enterprises purchased equipment for $129,600. The company expects to use the equipment for 10,500 working hours during its 4-year life and that it will have a residual value of $12,000. Blossom has a December 31 year end and prorates depreciation to the nearest month. The actual machine usage was: 1,500 hours in 2020;2,500 hours in 2021;3,500 hours in 2022;2.200 hours in 2023; and 1,000 hours in 2024. (a1) Calculate depreciation expense for the life of the asset under straight-line method.

Answers

To calculate the depreciation expense for the life of the asset using the straight-line method, we need to determine the depreciable base and the annual depreciation amount. The depreciation expense for the life of the asset under the straight-line method is as follows:

2020: $16,800

2021: $28,000

2022: $39,200

2023: $24,640

2024: $11,200

The depreciable base is the cost of the equipment minus the residual value:

Depreciable base = Cost - Residual value

Depreciable base = $129,600 - $12,000

Depreciable base = $117,600

The annual depreciation amount can be calculated by dividing the depreciable base by the expected working hours over the asset's life:

Annual depreciation amount = Depreciable base / Total working hours

Annual depreciation amount = $117,600 / 10,500

Annual depreciation amount = $11.20 per hour

To calculate the depreciation expense for each year, we multiply the annual depreciation amount by the actual hours of usage for that year:

Depreciation expense for 2020 = $11.20/hour * 1,500 hours = $16,800

Depreciation expense for 2021 = $11.20/hour * 2,500 hours = $28,000

Depreciation expense for 2022 = $11.20/hour * 3,500 hours = $39,200

Depreciation expense for 2023 = $11.20/hour * 2,200 hours = $24,640

Depreciation expense for 2024 = $11.20/hour * 1,000 hours = $11,200

Therefore, the depreciation expense for the life of the asset under the straight-line method is as follows:

2020: $16,800

2021: $28,000

2022: $39,200

2023: $24,640

2024: $11,200

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according to the marginal decision rule, if marginal benefit

Answers

According to the marginal decision rule, if marginal benefit is greater than marginal cost, the decision should be taken.

The marginal decision rule states that if the marginal benefit exceeds the marginal cost, the decision should be taken. In other words, it explains how to decide when to use one additional unit of a resource, such as capital or time, given a scarcity of resources and unlimited desires or needs.In simple terms, if the marginal cost of doing something is less than the marginal benefit, we should do it. On the other hand, if the marginal cost of doing something exceeds the marginal benefit, we should not do it.

The marginal decision rule is useful in decision making because it assists in determining if a particular action is worthwhile or not. This approach aids in the efficient use of scarce resources by allocating resources where the marginal benefit exceeds the marginal cost. As a result, it aids in the maximization of profits, efficiency, and the satisfaction of consumer needs.

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