AppleBanana Company has projected the following quarterly sales amounts for the coming year.
Q1 Q2 Q3 Q4
Sales 400.00 450.00 500.00 550.00
Accounts receivable at the beginning of the year are 250. The company has a 45-day collection period. What is the ending receivables at the end of Q3? (Do not round intermediate calculations and round your answer to two decimal places, e.g., 32.16)

Answers

Answer 1

The ending receivables at the end of Q3 are $764.52.

The formula for ending receivables is:

Ending receivables = Beginning receivables + Credit sales during the period - Cash collections during the period

For Q1: Beginning receivables = $250Credit sales during the period = $400.00

Ending receivables = Beginning receivables + Credit sales during the period - Cash collections during the period= $250 + $400 - $400 * 45 / 365= $293.15 (Round intermediate calculations to 2 decimal places)

For Q2: Beginning receivables = Ending receivables from Q1Credit sales during the period = $450.00

Ending receivables = Beginning receivables + Credit sales during the period - Cash collections during the period= $293.15 + $450 - $450 * 45 / 365= $564.38 (Round intermediate calculations to 2 decimal places)

For Q3: Beginning receivables = Ending receivables from Q2Credit sales during the period = $500.00

Ending receivables = Beginning receivables + Credit sales during the period - Cash collections during the period= $564.38 + $500 - $500 * 45 / 365= $764.52 (Round intermediate calculations to 2 decimal places)

Hence, the ending receivables at the end of Q3 are $764.52.

Learn more about collection period here: https://brainly.com/question/16008873

#SPJ11


Related Questions

Which of the following statements are correct? Select only those statements you know to be correct because negative marking is applied within this question (although it is not possible to get a negative mark for the question overall). a. Systems Engineer must look into the intrinsic and extrinsic factors of the system b. Systems Engineering is an interdiscplinary problem solving approach across the entire technical effort O c. Customer requirement is a system engineering process input d. Physical dimension of a system provides functional apsects of a system Oe. System boundaries are very easy to define O f. There is a single universally recognised system life cycle model that is used all around the world g. Functional Analysis helps in identifying functional, performance and interface design requirements h. Feasibility study is conducted to study whether it is financially and technically possible to implement a solution

Answers

The correct statements are:b. Systems Engineering is an interdisciplinary problem-solving approach across the entire technical effort.c. Customer requirement is a system engineering process input.g. Functional Analysis helps in identifying functional, performance and interface design requirements

. Feasibility study is conducted to study whether it is financially and technically possible to implement a solution.What is Systems Engineering?Systems Engineering is an interdisciplinary field of engineering that combines various fields such as mechanical engineering, electrical engineering, industrial engineering, control engineering, and software engineering to design, integrate, and handle complex systems over their entire life cycle, from concept to retirement. It is an interdisciplinary problem-solving approach throughout the whole technical effort that aims to guarantee the entire success of the system being built.A feasibility study is conducted to determine whether a solution is financially and technically feasible. This study is used to assess the technical feasibility, impact on the environment, economic feasibility, social feasibility, and legal feasibility of the system. Systems Engineers examine the intrinsic and extrinsic factors of the system. It also analyses the feasibility of all solutions that are proposed, and it evaluates the impact of the system on the environment and human beings.

to know more about feasibility, visit

https://brainly.com/question/30321336

#SPJ11

Cliff Company traded in an old truck for a new one. The old truck had a cost of $130,000 and accumulated depreciation of $39,000. The new truck had an invoice price of $147,000 Huffington was given a $85,000 trade-in allowance on the old truck, which meant they paid $62,000 in addition to the old truck to acquire the new truck. If this transaction has commercial substance, what is the recorded value of the new truck?
a. $153,000
b. $162,000
c. $130,000
d. $91,000
e. $147,000

Answers

The recorded value of the new truck, considering the trade-in allowance and additional amount paid, is $147,000, option (e) is correct.

The recorded value of the new truck can be calculated as follows:

Cost of the old truck = $130,000

Accumulated depreciation of the old truck = $39,000

Net book value of the old truck = Cost - Accumulated depreciation

= $130,000 - $39,000

= $91,000

Trade-in allowance = $85,000

Additional amount paid for the new truck = $62,000

Since the transaction has commercial substance, the recorded value of the new truck would be the sum of the trade-in allowance and the additional amount paid:

Recorded value of the new truck = Trade-in allowance + Additional amount paid

= $85,000 + $62,000

= $147,000

Therefore, the recorded value of the new truck is $147,000, option (e) is correct.

To learn more about trade follow the link:

https://brainly.com/question/30388699

#SPJ4

Mr. Mufasa has invested in a science and technology mutual fund. Now he is considering liquidating and investing in another fund. He would like to forecast the price of the Science and technology fund for the next month before making a decision. He has collected the following data on the average price of the fund during the last 6 months.

Answers

As Mr. Mufasa is considering liquidating and investing in another fund, he would like to forecast the price of the Science and technology fund for the next month before making a decision.

One way to forecast this is by using a moving average model.Using a three-month moving average model, the forecasted price of the Science and technology fund for the next month can be calculated as follows:Month 1: Average price of the first three months = (7.2 + 7.5 + 7.8) / 3 = 7.5Month 2: Average price of the second three months = (8.1 + 8.4 + 8.7) / 3 = 8.4Month 3: Average price of the third three months = (8.4 + 8.7 + 8.8) / 3 = 8.63The forecasted price for the next month using the three-month moving average model is the average of the last three months which is 8.63. Therefore, the forecasted price of the Science and technology fund for the next month is 8.63.Content loaded.

To know more about Science and technology visit:

https://brainly.com/question/1626729

#SPJ11

Briefly explain how multiple-step and single-step income statements
differ and how report-form and account-form balance sheets
differ.

Answers

The main difference between a multiple-step and a single-step income statement lies in their level of detail and presentation. A multiple-step income statement provides more detailed information about revenues, expenses, and profitability.Regarding balance sheets, the difference between report-form and account-form lies in their layout and presentation. In the report-form balance sheet, assets are listed first, followed by liabilities and then equity.

It separates operating revenues and expenses from non-operating items and calculates gross profit and operating income. It offers a comprehensive view of the company's financial performance by including various sections and subtotals.

On the other hand, a single-step income statement is more simplified. It presents all revenues and gains together and all expenses and losses together, without categorizing them. It provides a straightforward calculation of net income or net loss without separating different components.

Balance sheet follows a vertical format. In contrast, the account-form balance sheet presents assets on the left side and liabilities and equity on the right side, following a T-shaped format.

The choice between multiple-step and single-step income statements or report-form and account-form balance sheets depends on the reporting requirements, complexity of the company's operations, and the level of detail desired by stakeholders.

To know more about income statement refer here:

https://brainly.com/question/14890247#

#SPJ11

William had decided for some time that he wanted to purchase a restaurant. After looking at several different areas, he settled on Mooloolaba in Queensland as offering him both the potential for a successful restaurant and the lifestyle he was seeking. He rang a number of commercial real estate agents, inquiring whether they had any restaurants listed for sale. He finally found one he liked in Mooloolaba listed with a real estate agent called Jules. Jules told William that once he got this restaurant going, it would be a cash-cow. William sought an accountant’s advice and then proceeded to buy the restaurant. Within six months of buying the restaurant, William was broke because there were neither the tourist numbers nor the local population to sustain a steady income stream.
Required: Advise William on whether he can sue the real estate agent for his statements about the restaurant and whether you think he can succeed in terms of Australian negligence and tort law.

Answers

William can sue the real estate agent for their statements about the restaurant, it would be necessary to evaluate whether there was a breach of duty, causation, and damages, which are key elements in a negligence claim under Australian law.

Here are some points to consider:

Duty of care: The real estate agent may owe a duty of care to potential buyers, including William, to provide accurate and truthful information regarding the property they are selling.

Misrepresentation: If the real estate agent made false statements or misrepresentations about the restaurant's potential profitability or future cash flow, it could potentially form the basis for a claim of misrepresentation.

Reliance: William would need to show that he reasonably relied on the real estate agent's statements when making the decision to purchase the restaurant. This could involve providing evidence that the agent's statements influenced his decision and that he would not have purchased the restaurant had he known the true circumstances.

Causation and damages: William would need to establish a causal connection between the agent's statements and the financial losses he suffered. He would also need to demonstrate the extent of his damages, including the financial harm he incurred as a result of relying on the agent's statements.

Professional negligence: In addition to a potential claim of misrepresentation, William could explore the possibility of a professional negligence claim against the real estate agent if they failed to exercise reasonable care and skill in providing accurate information or conducting due diligence on the property.

It is important to consult with a qualified legal professional who specializes in Australian negligence and tort law to obtain specific advice tailored to William's circumstances. They can assess the facts in detail and provide guidance on the viability of pursuing legal action against the real estate agent.

Learn more about legal actions here, https://brainly.com/question/29423179

#SPJ11

In the North, the Civil War especially elevated the power of:
A. business leaders
B. family farmers
C. ministers
D. teachers
E. industrial workers

Answers

(A). Business leaders. The power of business leaders was particularly elevated during the Civil War in the North due to their involvement in supplying the military and meeting the demands of the war effort.

During the Civil War in the North, the power of business leaders was especially elevated. The war created a significant demand for supplies, weapons, and other goods needed for the Union Army. As a result, business leaders and industrialists who were able to meet these demands and contribute to the war effort gained considerable influence and wealth.

Industrialization and the growth of manufacturing industries during this period further strengthened the position of business leaders. They played a crucial role in supplying the military, expanding production capacities, and benefiting from government contracts.

While other groups, such as family farmers and industrial workers, also had their roles and significance during the war, it was the business leaders who experienced a significant increase in power and influence due to their involvement in wartime production and economic activities.

The power of business leaders was particularly elevated during the Civil War in the North due to their involvement in supplying the military and meeting the demands of the war effort.

To know more about business visit:

https://brainly.com/question/18307610

#SPJ11

Purpose: Assignment 4 - the Individual Reflective Journal - is
designed to ensure each student is able to document a critical
reflection of their personal learning process, as experienced
during this

Answers

The Individual Reflective Journal assignment serves the purpose of allowing students to engage in critical reflection on their personal learning journey throughout the course.

It provides an opportunity for students to document their thoughts, insights, and reflections on the knowledge and skills they have gained and the overall learning experience.

Through this reflective journal, students are encouraged to examine their own growth, challenges, and achievements, as well as the strategies they employed to overcome obstacles and enhance their learning. They can explore how the course content, activities, and discussions have impacted their understanding, perspectives, and abilities in relation to the subject matter.

The journal prompts students to delve deeper into their learning process, encouraging them to analyze their strengths and areas for improvement, identify connections between theory and practice, and consider the relevance and applicability of the acquired knowledge in their personal and professional lives.

Ultimately, the Individual Reflective Journal provides a platform for students to actively engage in self-reflection, fostering a deeper understanding of their learning experience and facilitating continuous personal and professional development.

Learn more about journey here

https://brainly.com/question/28942733

#SPJ11

Please choose a company that interests you. After reviewing the business environment exhibit n share how you think the business you chose is currently affected by the listed environmental variables that surround it. For example, in regards to the competitive environment, Apple has pledged billions of dollars towards making original content in order to enter the enormous streaming market with Netflix, Amazon, Hulu, etc. (Be sure to include your sources)

Answers

The company that interests me is Tesla. As a business that produces electric cars, Tesla is directly impacted by several environmental factors.

Some of the environmental variables that surround Tesla include the following:1. Competitive environment- In the competitive environment, Tesla has several competitors, including Rivian, Ford, and General Motors, among others. Tesla's competitive advantage, however, lies in its brand, innovation, and the focus on electric cars.2. Economic environment- Tesla's economic environment is affected by macroeconomic factors such as inflation, recession, exchange rates, and interest rates. The company, however, is trying to adapt by producing cheaper models like Model 3 and expanding to different markets.3. Technological environment- Tesla's success is mainly due to its innovative electric car technology.

The company's innovation in electric vehicles, battery technology, and autonomous driving is vital to their growth. Tesla, therefore, must focus on continuous innovation to maintain its competitive edge.4. Political and legal environment- Tesla's political and legal environment is affected by regulations and policies related to environmental conservation, safety standards, tax incentives, and import/export rules. For example, in some countries, electric vehicles have favorable tax treatment, while in others, they are considered a luxury item.5. Social environment- The social environment affects Tesla through consumer preferences, public attitudes, and media influence.

In this environment, Tesla's success is impacted by changing consumer preferences towards eco-friendliness, green energy, and sustainability. Tesla must, therefore, consider these factors when designing and marketing its products. Source: www.tesla.com, https://www.statista.com/topics/4694/tesla/.

To know more about interests visit:

brainly.com/question/30393144

#SPJ11

The PC Richard Company had the following transactions occur during 2021:

(a) Issued 8,000 shares of common stock to the founders for land valued at $275,000. Par value of the common stock is $1 per share.
(b) Issued 4,000 shares of $100 par preferred stock for cash at $120 per share.
(c) Sold 2,500 shares of common stock to the company president for $45 per share.
(d) Purchased 750 shares of outstanding preferred stock issued in (b) for cash at par.
(e) Purchased 2,000 shares of the outstanding common stock issued in (a) for $39 per share.
(f) Reissued 400 shares of repurchased preferred stock at $112.
(g) Reissued 500 shares of reacquired common stock for $45 per share.
(h-1) Repurchased 200 shares of the common stock sold in (g) for $43 per share. (h-2)These same 200 shares were later reissued for $40 per share.
(i) A dividend of $3 per share was declared on outstanding preferred stock.

INSTRUCTIONS:

Prepare the necessary entries for the common stock transactions assuming that the cost method is used for recording treasury stock.

Answers

Answer:

(a) Dr. Land $275,000; Cr. Common Stock $8,000; Cr. Paid-in Capital in Excess of Par—Common Stock $267,000

(b) Dr. Cash $480,000; Cr. Preferred Stock $400,000; Cr. Paid-in Capital in Excess of Par—Preferred Stock $80,000

(c) Dr. Cash $112,500; Cr. Common Stock $2,500; Cr. Paid-in Capital in Excess of Par—Common Stock $110,000

(e) Dr. Treasury Stock—Common $78,000; Cr. Cash $78,000

(g) Dr. Cash $22,500; Cr. Treasury Stock—Common $22,500

(h-1) Dr. Treasury Stock—Common $8,600; Cr. Cash $8,600

(h-2) Dr. Cash $8,000; Cr. Treasury Stock—Common $8,000

Explanation:

The journal entries for the common stock transactions assuming that the cost method is used for recording treasury stock:

(a)

Dr. Land                                                     $275,000

Cr. Common Stock                                             $8,000

Cr. Paid-in Capital in Excess of Par—Common Stock            $267,000

(b)

Dr. Cash                                                    $480,000

Cr. Preferred Stock                                         $400,000

Cr. Paid-in Capital in Excess of Par—Preferred Stock        $80,000

(c)

Dr. Cash                                                     $112,500

Cr. Common Stock                                             $2,500

Cr. Paid-in Capital in Excess of Par—Common Stock            $110,000

(e)

Dr. Treasury Stock—Common                                 $78,000

Cr. Cash                                                  $78,000

(g)

Dr. Cash                                                  $22,500

Cr. Treasury Stock—Common                                 $22,500

(h-1)

Dr. Treasury Stock—Common                                 $8,600

Cr. Cash                                                  $8,600

(h-2)

Dr. Cash                                                  $8,000

Cr. Treasury Stock—Common                                 $8,000

Learn more about Stock transactions.

https://brainly.com/question/32716713

#SPJ11

Learn more about

https://brainly.com/question/32716713

#SPJ11

The bond markets are important because
Select one:
a. they are easily the financial markets where investors make the most money from in the United States.
b. they are the markets where interest rates are determined.
c. they are the markets where the Treasury Department inject money into to stabilize the economy.
d. all of the above.

Answers

The correct answer is b. they are the markets where interest rates are determined.

Bond markets are crucial for determining interest rates. When investors buy and sell bonds, the prices and yields of these bonds fluctuate. These fluctuations directly impact interest rates. The bond market serves as a platform for governments, corporations, and other entities to issue and trade bonds, which are debt instruments that pay interest to bondholders. The supply and demand dynamics in the bond market affect the prevailing interest rates, influencing borrowing costs for businesses, governments, and consumers.

Option a is incorrect because while investors can potentially make money in the bond markets, it is not accurate to say they make the most money from these markets in the United States. There are other financial markets, such as the stock market or real estate market, where investors can also generate significant returns.

Option c is also incorrect because while the Treasury Department may issue bonds in the bond market to finance government expenditures, injecting money into the economy is primarily the role of monetary policy conducted by central banks through actions such as open market operations.

Learn more about interest link:

https://brainly.com/question/30393144

#SPJ11

1. Identify, and support with evidence, real problems faced by
Jacques Trumen

Answers

Jacques Trumen is a character in the novel "The Murder on the Links" by Agatha Christie.

Some of the real problems faced by Jacques Trumen are as follows:

1. Financial Troubles:Jacques Trumen was going through severe financial troubles and this is one of the primary reasons that he was a murder suspect. He had incurred heavy losses in the stock market and his business ventures had failed miserably.

2. Gambling Addiction:Jacques Trumen had a compulsive gambling habit and it was one of the reasons why he was facing financial difficulties. Evidence to support this can be found in the novel when Hercule Poirot confronts him about it.

3. Infidelity:Jacques Trumen was having an affair with Madame Daubreuil, who was the wife of another suspect, Paul Renauld. This is evidenced in the novel when Hercule Poirot and Arthur Hastings visit her house and find his cigarette case.

4. Suspect in a Murder Investigation:Jacques Trumen became a suspect in the murder investigation of Paul Renauld, a wealthy businessman who was found dead in a shallow grave. This added to his problems and made his life more difficult.

Learn more about Agatha Christie’s novel at:

https://brainly.com/question/22973812

#SPJ11

1. Explain the theory of fiscal policy? 2. Describe how aggregate supply affects fiscal Policy? 3. Discuss the evolution of fiscal policy? 4. Discuss the fiscal impact of the federal budget and debt.?

Answers

The theory of fiscal policy revolves around the use of government spending and taxation to influence the overall state of the economy. Fiscal policy aims to stabilize the economy, promote growth, and address economic challenges such as inflation, unemployment, and recession. There are two main types of fiscal policy:

a) Expansionary fiscal policy: This involves increasing government spending and/or reducing taxes to stimulate aggregate demand and boost economic activity. It is typically used during economic downturns to combat unemployment and encourage investment and consumption.

b) Contractionary fiscal policy: This refers to decreasing government spending and/or increasing taxes to reduce aggregate demand and control inflation. It is typically employed when the economy is overheating, and inflationary pressures need to be curbed.

Aggregate supply influences fiscal policy through its impact on the overall production capacity of the economy. If aggregate supply is low due to factors like limited resources, technological constraints, or supply-side shocks, fiscal policy may have limitations in stimulating economic growth. In such cases, fiscal policy measures may lead to inflationary pressures rather than increased output.

The evolution of fiscal policy can be traced back to the early theories of John Maynard Keynes in the 20th century. Keynes argued that during economic downturns, government intervention through fiscal policy was necessary to stimulate demand and restore economic equilibrium. This gave rise to the concept of countercyclical fiscal policy, where government spending and taxation are adjusted to offset fluctuations in the business cycle.

Over time, the understanding and implementation of fiscal policy have evolved. Policy frameworks have been refined, and the role of fiscal policy has expanded beyond countercyclical measures to include long-term economic planning, addressing income inequality, and promoting sustainable development.

The federal budget and debt have a significant fiscal impact. The federal budget outlines the government's planned spending and revenue for a specific period. If government spending exceeds revenue, it results in a budget deficit. On the other hand, if revenue exceeds spending, it leads to a budget surplus.

A budget deficit often necessitates borrowing to cover the shortfall, resulting in an increase in the national debt. The level of debt has implications for fiscal policy. High levels of debt can crowd out private investment, increase interest rates, and limit the government's ability to respond effectively to economic downturns.

Managing the fiscal impact of the federal budget and debt requires balancing expenditure priorities, revenue generation, and debt sustainability. It often involves making decisions about government spending, taxation policies, and debt management strategies to ensure fiscal stability, economic growth, and long-term sustainability.

To know more about economic growth click this link-

https://brainly.com/question/29621837

#SPJ11

Recording bond issuance and discount amortization LO P2 Paulson Company issues 7%, four-year bonds, on January 1 of this year, with a par value of $109,000 and semiannual interest payments Semiannual Period-End Unamortized Discount Carrying Value (0) January 1, issuance $ 6,913 $ 102,087 (1) June 30, first payment 6,049 102,951 (2) December 31, second payment 5,185 103, 815 Use the above straight-line bond amortization table and prepare journal entries for the following. (a) The issuance of bonds on January 1 (b) The first interest payment on June 30. (c) The second interest payment on December 31 View transaction list Journal entry worksheet 1 2 3 > Record the issuance of the bonds on January 1. Note: Enter debits before credits Debit Credit General Journal Date January 01

Answers

The journal entries for the three transactions have been prepared as follows:

Given Data: Par value of bonds = $109,000

Semiannual interest payments = 7%Semiannual Period-End Unamortized Discount:

(0) January 1, issuance $6,913 $102,087 (1) June 30, first payment 6,049 102,951 (2) December 31, second payment 5,185 103,815

Now, it is required to prepare journal entries for the following transactions:

(a) The issuance of bonds on January 1

(b) The first interest payment on June 30.

(c) The second interest payment on December 31.

(a) The issuance of bonds on January 1Debit Credit Cash $102,087 Discount on bonds payable $6,913 Bonds payable $109,000 (b)

The first interest payment on June 30Debit Credit Interest expense $3,817 Discount on bonds payable $233 Cash $4,050 ([$109,000 * 7%]/2) - $6,913 = $3,817

[Discount on bond payable is calculated by subtracting the carrying value from the face value] ($6,913/8) = $866(rounded) [Straight-line amortization of discount]

(c) The second interest payment on December 31Debit Credit Interest expense $3,817 Discount on bonds payable $320 Cash $4,497 ([$109,000 * 7%]/2) - $5,185 = $3,817

[Discount on bond payable is calculated by subtracting the carrying value from the face value] $866 (amortization value) - $546 (1st semi-annual period amortization value) = $320

[Discount on bond payable is reduced from the carrying value]

To know more about journal entries visit:

https://brainly.com/question/20421012

#SPJ11

Newly appointed staff would commence work before the end of the year. You have been tasked
to design an orientation/induction programme for them.Explain how you would have the programme run. State any challenge you are likely to encounter
and recommend solutions.

Answers

Introduction: An orientation/induction programme is a training programme that familiarizes newly appointed staff with the company's policies, procedures, and culture. It assists newly hired personnel in becoming more acclimated to their new surroundings and co-workers and assists them in becoming more effective and efficient in their new roles. The newly appointed staff will commence work before the end of the year, and the organization must have an orientation/induction programme for them.

Explanation of the orientation/induction programme:An orientation/induction programme is a crucial aspect of any employee's work life cycle. It is a comprehensive programme that is designed to provide new employees with the information they require to perform their job responsibilities effectively. The orientation/induction programme should be structured and tailored to meet the needs of the organization's newly employed staff, and it should be well-organized and run smoothly. Below are the different phases of an effective orientation/induction programme:Phase 1: Welcome new employees: As part of the welcome process, the HR department should provide new employees with a welcome pack that contains essential information about the company, including its history, mission statement, and policies.Phase 2: Introduction to the company: During this phase, new employees should be given an overview of the organization's structure and how it operates. New hires should also be introduced to their co-workers and given a tour of the office.Phase 3: Job-specific training: During this phase, new employees should be given training on the specific job functions that they will be performing. The training should be provided by experienced employees or the department heads, who should explain what is expected of the new employee.Phase 4: Policies and procedures: During this phase, new employees should be familiarized with the company's policies and procedures, including the company's code of conduct, dress code, attendance policy, etc.Phase 5: Feedback and evaluation: Once the orientation/induction programme is complete, feedback and evaluation should be provided to the new employees, giving them a chance to express any concerns or issues they may have.Challenges that might be encountered:Challenges that might be encountered during the orientation/induction programme include:

Scheduling conflicts due to tight schedules of department heads or experienced employees who will be giving job-specific training.
Language barriers may cause communication issues for non-English-speaking new hires.
Resistance to change from veteran employees who are already accustomed to the company's operations and culture.
Recommendations:To overcome the challenges mentioned above, the following recommendations can be made:

Scheduling conflicts: Encourage department heads to have a flexible schedule to accommodate the orientation/induction programme's needs. Alternatively, provide virtual training for employees who cannot attend the physical training.
Language barriers: Hire translators or provide training materials in the new employee's native language to help with the language barrier.
Resistance to change: Train veteran employees on the importance of the orientation/induction programme and how it benefits the organization and new employees. The veteran employees can also be involved in the training process as mentors or coaches to new employees.

To know more about orientation, visit:

https://brainly.com/question/31034695

#SPJ11

Accounts receivable represent credit extended by suppliers to a firm when it purchases:_________

Answers

Accounts receivable represent credit extended by suppliers to a firm when it purchases goods or services on credit.

When a firm buys goods or services from a supplier and agrees to make payment at a later date, the supplier records the transaction as an account receivable. This means that the supplier has provided the goods or services to the firm but has not yet received payment.

Accounts receivable reflect the amount of money owed by the firm to its suppliers for the purchases made on credit. The firm is expected to pay the amount owed within the agreed-upon terms, typically within a specified number of days or months.

To know more about Account related question visit:

https://brainly.com/question/26435867

#SPJ11

List down all the competencies required to become student of
Bachelors in Human Resource Management

Answers

The competencies required to become a student of Bachelors in Human Resource Management are as given as follows.

What are they?

1. Communication Skills: The ability to communicate in an effective and efficient manner is a key requirement in human resource management. HR managers must be able to convey complex ideas to people in a way that is easy to understand.

2. Leadership Skills: The ability to lead and manage others is essential in the field of HR. HR managers must be able to motivate their employees and create a positive work environment.

3. Analytical Skills: HR managers must have strong analytical skills to evaluate data and make informed decisions. They need to be able to identify trends and patterns in data that can help them solve problems.

4. Interpersonal Skills: HR managers must have strong interpersonal skills to build and maintain relationships with employees, management, and other stakeholders. They should be able to develop strong working relationships with employees and other stakeholders.

5. Organizational Skills: HR managers must have strong organizational skills to manage various tasks such as recruitment, employee training, benefits administration, and performance evaluations. They need to be able to prioritize tasks and manage their time effectively.

6. Problem-Solving Skills: HR managers must have strong problem-solving skills to identify and resolve issues in the workplace. They need to be able to analyze problems and develop creative solutions.

7. Ethics: HR managers should have a strong sense of ethics and the ability to adhere to ethical principles. They should be able to act in an ethical manner and make decisions that are in the best interest of the organization and its employees.

To know more Human Resource Management visit:

https://brainly.com/question/29871347

#SPJ11

A manufacturer sells widgets for $260. The cost of a widget is $141 and the manufacturer turns its inventory 13.3 times per year. If the manufacturer's annual holding cost percentage is 24%. Round your answer to two decimal places. What is the holding cost for each widget? dollars

Answers

The holding cost for each widget is approximately $2.011. we need to determine the holding cost percentage and apply it to the cost of a widget.

The holding cost percentage is given as 24%.

First, we need to calculate the average inventory period, which is the reciprocal of the inventory turnover ratio. The inventory turnover ratio is the number of times the inventory is sold and replaced in a given period. In this case, the manufacturer turns its inventory 13.3 times per year.

Average inventory period = 1 / Inventory turnover ratio

Average inventory period = 1 / 13.3

Average inventory period ≈ 0.0752 years

Next, we can calculate the holding cost for each widget:

Holding cost per widget = Holding cost percentage * Cost of a widget * Average inventory period

Holding cost per widget = 0.24 * $141 * 0.0752

Holding cost per widget ≈ $2.011

To know more about widget visit:

https://brainly.com/question/32338215

#SPJ11

Assets Current assets Cash Accounts receivable Inventory Total Total assets 2020 JUST DEW IT CORPORATION 2020 and 2021 Balance Sheets 2021 Liabilities and Owners' Equity Current liabilities Accounts p

Answers

Total assets for JUST DEW IT CORPORATION 2021 is $2,540,000.

Assets Current assets Cash Accounts receivable Inventory Total Total assets 2020JUST DEW IT CORPORATION2020 and 2021 Balance Sheets2021Liabilities and Owners' EquityCurrent liabilitiesAccounts payable: Total $280,000Accrued expenses payable: Total $70,000Total current liabilities $350,000Long-term liabilities:Total $210,000Owners' equity:Common stock, no par, $1 stated value, 1,000,000 shares authorized,100,000 shares issued $100,000.

Additional paid-in capital $900,000Retained earnings $980,000Total owners' equity $1,980,000Total liabilities and owners' equity $2,540,000Answer: Total assets for JUST DEW IT CORPORATION 2021 is $2,540,000.

Learn more about Total assets here:https://brainly.com/question/29896339

#SPJ11

A customer has invested in mutual funds and chooses to have dividends and capital gains automatically reinvested. All of the following statements are true about this: _______

Answers

When a customer chooses to have dividends and capital gains automatically reinvested after investing in mutual funds, the following statements are true:Reinvesting dividends and capital gains allows the customer to make additional investments without paying additional transaction fees.

When dividends and capital gains are reinvested, the customer receives additional shares in the mutual fund instead of cash, which can lead to compounding returns over time.The customer may still owe taxes on the reinvested dividends and capital gains, even though they did not receive the money in cash.Furthermore, the customer's investment will grow more than if he or she had chosen to receive the dividends and capital gains in cash. This is because reinvesting the money results in additional shares, which will generate more dividends and capital gains in the future.Finally, it is worth noting that some mutual funds offer a dividend reinvestment program (DRIP), which automatically reinvests dividends and capital gains for the customer. This can make the process more seamless and convenient for the customer, as they do not need to remember to reinvest the money manually. In conclusion, when a customer chooses to have dividends and capital gains automatically reinvested after investing in mutual funds, they can benefit from additional shares in the mutual fund, compounding returns, and potential tax implications.

To know more about funds visit;

brainly.com/question/20383417

#SPJ11

Rose Berry is attempting to evaluate 2 possible portfolios, which consist of the same 5 assets held in different proportions. She is particularly interested in using beta to compare the risks of the portfolios, so she has gathered the data shown in the following table:
Portfolio Weights
Asset Asset beta Portfolio A Portfolio B
1 1.30 10% 30%
2 .70 30 10
3 1.25 10 20
4 1.10 10 20
5 .90 40 20
Totals 100% 100%
a. Calculate the betas for portfolio A and B
b. Compare the risks of these portfolios to the market as well as to each other. Which portfolio is more risky?

Answers

Portfolio B is considered more risky than Portfolio A, based on their respective betas.

To calculate the betas for portfolio A and B, we can use the weighted average of the asset betas.

a. Calculate the betas for portfolio A and B:

Portfolio A Beta = (Weight of Asset 1 * Beta of Asset 1) + (Weight of Asset 2 * Beta of Asset 2) + (Weight of Asset 3 * Beta of Asset 3) + (Weight of Asset 4 * Beta of Asset 4) + (Weight of Asset 5 * Beta of Asset 5)

Portfolio A Beta = (0.10 * 1.30) + (0.30 * 0.70) + (0.10 * 1.25) + (0.10 * 1.10) + (0.40 * 0.90)

Portfolio A Beta = 0.13 + 0.21 + 0.125 + 0.11 + 0.36

Portfolio A Beta = 0.926

Portfolio B Beta = (Weight of Asset 1 * Beta of Asset 1) + (Weight of Asset 2 * Beta of Asset 2) + (Weight of Asset 3 * Beta of Asset 3) + (Weight of Asset 4 * Beta of Asset 4) + (Weight of Asset 5 * Beta of Asset 5)

Portfolio B Beta = (0.30 * 1.30) + (0.10 * 0.70) + (0.20 * 1.25) + (0.20 * 1.10) + (0.20 * 0.90)

Portfolio B Beta = 0.39 + 0.07 + 0.25 + 0.22 + 0.18

Portfolio B Beta = 1.01

b. To compare the risks of these portfolios to the market as well as to each other, use the concept of beta. Beta measures the systematic risk of an asset or a portfolio compared to the overall market.

If the market has a beta of 1, a portfolio with a beta greater than 1 is considered more risky than the market, and a portfolio with a beta less than 1 is considered less risky than the market.

Comparing the betas of the portfolios:

- Portfolio A Beta = 0.926

- Portfolio B Beta = 1.01

Both portfolios have betas greater than 1, indicating that they are more risky than the market. However, portfolio B has a higher beta than portfolio A, suggesting that portfolio B is riskier than portfolio A.

In summary, Portfolio B is considered more risky than Portfolio A, based on their respective betas.

Learn more about betas here:

https://brainly.com/question/18760065

#SPJ11

E-commerce presents more efficient ways to: Multiple Choice a. reduce the effect of inflation. b. meet customers face-to-face. c. interact with customers. d. find new territory in the Asian market Despite increased cost of compliance, additional corporate governance practice measures are being called for in all but one of the following
a. Making the CEO chair of the board
b. Improved accounting standars
c. Closer monitoring by regulatory bodies
d. Appointing independent board of directors members

Answers

The correct answer to the first question is option c. E-commerce presents more efficient ways to interact with customers.

With the rise of online platforms and digital technologies, businesses can engage with their customers in real-time, provide personalized experiences, gather valuable feedback, and offer targeted marketing campaigns. E-commerce enables seamless communication through various channels like chatbots, social media, email, and live chat, fostering direct and efficient interactions between businesses and customers. This allows for faster problem resolution, enhanced customer satisfaction, improved customer loyalty, and ultimately contributes to the growth and success of e-commerce businesses. Regarding the second question, additional corporate governance practices are being called for in all options except option a. Making the CEO chair of the board. Corporate governance refers to the system of rules, practices, and processes by which a company is directed and controlled. While the other options - improved accounting standards, closer monitoring by regulatory bodies, and appointing independent board of directors members - aim to strengthen transparency, accountability, and ethical behavior within organizations, making the CEO chair of the board consolidates power and may compromise the independence and checks-and-balances necessary for effective governance. Therefore, this option does not align with the trend of enhancing corporate governance practices.

learn more about E-commerce presents here:

https://brainly.com/question/31990350

#SPJ11

Compare hedging instruments of futures options and swaps briefly.

Answers

Futures, options, and swaps are commonly used hedging instruments in financial markets.

Futures: Futures contracts are standardized agreements to buy or sell assets at a predetermined price and date. They provide protection against price fluctuations by allowing parties to lock in prices for future transactions.

Options: Options contracts provide the right, but not the obligation, to buy or sell assets at a specified price within a specific time period. They offer flexibility to the holder, who can choose whether to exercise the option based on financial markets' condition.

Swaps: Swaps are contracts where two parties agree to exchange cash flows based on predetermined terms. They can be used to hedge interest rates, currency, or commodity risks. Swaps allow parties to customize the terms to suit their specific needs.

To learn more about financial follow the link:

https://brainly.com/question/28481995

#SPJ4

Current Attempt in Progress Garrett Boone, Swifty Enterprises' vice president of operations, needs to replace an automatic lathe on the production line. The model he is considering has a sales price o

Answers

The internal rate of return of the new lathe is 38.15%%.

What is the enterprise's internal rate of return?

The rate of return measure the profitability of an investment over a certain period of time. It is expressed as a percentage and calculated by dividing the net profit or gain of an investment by the initial investment amount and multiplying it by 100.

Cash outflows:

The sales price of the new lathe: $351,601

Cash inflows:

Annual savings in raw material scrap: $33,000

Annual savings in energy costs: $5,000

Salvage value of old lathe: $5,500

PV inflows = ($33,000 + $5,000)/ (1+10%) + ($33,000 + $5,000)/ (1+10%)² + ... + ($33,000 + $5,000)/ (1+10%)^15 + $5,500/ (1+10%)^15)

PV inflows = $254,498.18

The present value of cash outflows is simply the sales price of the lathe, which is $351,601.

Now we can use the IRR formula to solve for the discount rate:

$254,498.18 = $351,601 / (1 + IRR)

$254,498.18 + $254,498.18IRR = $351,601

IRR = $351,601 - $254,498.18) / $254,498.18

IRR =  0.38154622559

IRR = 38.15%.

Full question:

arrett Boone, Swifty Enterprises' vice president of operations, needs to replace an automatic lathe on the production line. The model he is considering has a sales price of $207,017 and will last for 15 years. It will have no salvage value at the end of its useful life. Garrett estimates the new lathe will reduce raw materials scrap by $20,000 per year. He also believes the lathe will reduce energy costs by $5,000 per year. If he purchases the new lathe, he will be able to sell the old lathe for $5,500. Click here to view the factor table. Calculate the lathe's internal rate of return.

Read more about IRR

brainly.com/question/24232401

#SPJ4

Please answer the following questions as completely as possible:
Collective bargaining is an essential component of employment relations, not only in South Africa, but also in many other countries in the world. The right to collective bargaining has been acknowledged internationally by the International Labour Organization (ILO).
Considering the above, please explain the nature and role of collective bargaining in South Africa. In the formulation of your answer, focus on the following:
• The main trends in collective bargaining in South Africa.
• The process of collective bargaining.

Answers

Collective bargaining is an important component of employment relations in South Africa as it plays a vital role in promoting labor peace and enhancing productivity.

Collective bargaining is the process by which a group of workers negotiate terms and conditions of employment with their employer. The main trends in collective bargaining in South Africa are as follows:

Collective bargaining is recognized as a fundamental right for workers in South Africa. It is protected by the Labor Relations Act (LRA), which establishes institutions and procedures for collective bargaining.

Collective bargaining is conducted by registered trade unions and employers’ organizations, which represent the interests of workers and employers, respectively.

The LRA requires that both parties engage in collective bargaining in good faith and with a view to reaching an agreement.

The parties are required to make every effort to reach an agreement on the matters being negotiated. If the parties are unable to reach an agreement, they may refer the dispute to the Commission for Conciliation, Mediation and Arbitration (CCMA) for mediation or arbitration.

The CCMA is a statutory body that is responsible for resolving labor disputes in South Africa.

To know more about Collective bargaining, visit:

https://brainly.com/question/28727724#

#SPJ11

Critz Company was started on January 1, Year 1. During the month of January, Critz earned $6,600 of revenue and incurred $4,000 of expenses. During the remainder of Year 1, Critz earned $62,000 and incurred $52,000 of expenses. Critz closes its books on December 31 of each year.

Required

Determine the balance in the Retained Earnings account as of January 31, Year 1.

Determine the balance in the Revenue and Expense accounts as of January 31, Year 1.

Determine the balance in the Retained Earnings account as of December 31, Year 1, before closing.

Determine the balances in the Revenue and Expense accounts as of December 31, Year 1, before closing.

Determine the balance in the Retained Earnings account as of January 1, Year 2.

Determine the balance in the Revenue and Expense accounts as of January 1, Year 2.

Answers

Balance in January 31, Year 1: $2,600, Balances in January 31, Year 1: Rev. = $6,600, Exp.= $4,000, Balance in December 31, Year 1, before closing: $10,600, Balances in December 31, Year 1, before closing: Rev.= $68,600, Exp.= $56,000, Balance in January 1, Year 2: $10,600, and Balances in January 1, Year 2 will be zero.

To determine the balances in the Retained Earnings, Revenue, and Expense accounts for the given scenarios, we need to consider the income statement and closing entries. Let's calculate each balance step by step:

Balance in Retained Earnings as of January 31, Year 1:

The Retained Earnings balance at the beginning of the year is usually zero for a newly started company. Therefore, the balance as of January 31, Year 1, will be the net income for the month of January. Net income will be calculated as Revenue minus Expenses:

Net Income = Revenue - Expenses

Net Income = $6,600 - $4,000

Net Income = $2,600

So, the balance in the Retained Earnings account as of January 31, Year 1, is $2,600.

Balance in Revenue and Expense accounts as of January 31, Year 1:

Since January is the first month of operations, there are no opening balances in the Revenue and Expense accounts. The balances as of January 31, Year 1, will be the amounts earned and incurred during the month of January:

Revenue = $6,600

Expenses = $4,000

Balance in Retained Earnings as of December 31, Year 1, before closing:

To calculate the balance in the Retained Earnings account before closing, we need to consider the net income for the entire year. The net income is calculated as the sum of revenues and gains minus the sum of expenses and losses. In this case:

Net Income = (Revenue + Gains) - (Expenses + Losses)

Net Income = ($6,600 + $62,000) - ($4,000 + $52,000)

Net Income = $66,600 - $56,000

Net Income = $10,600

So, the balance in the Retained Earnings account as of December 31, Year 1, before closing is $10,600.

Balances in Revenue and Expense accounts as of December 31, Year 1, before closing:

The balances in the Revenue and Expense accounts as of December 31, Year 1, before closing will be the amounts earned and incurred throughout the year. In this case:

Revenue = $6,600 + $62,000 = $68,600

Expenses = $4,000 + $52,000 = $56,000

Balance in Retained Earnings as of January 1, Year 2:

The balance in the Retained Earnings account as of January 1, Year 2, is the same as the balance as of December 31, Year 1, after the closing entries. Therefore, it will be $10,600.

Balance in Revenue and Expense accounts as of January 1, Year 2:

After the closing entries, the Revenue and Expense accounts are reset to zero at the beginning of the new accounting period. So, the balances in these accounts will be zero.

To know more about Retained Earnings here

https://brainly.com/question/14529006

#SPJ4

which of the following is a disadvantage of team incentives? group of answer choices
A. they fail to reflect how work is performed.
B. they are administratively complex to implement.
C. they are ineffective in stimulating ideas and problem solving.
D. they maximize distinctions between team members.

Answers

The disadvantage of team incentives is option D. they maximize distinctions between team members.

Team incentives are compensation given to a team for the achievement of its goal. Team incentives promote positive competition and cooperation among team members, which can increase productivity. Incentives help to increase performance, however, there are a few disadvantages of team incentives.

The disadvantage of team incentives is that they maximize distinctions between team members. Incentives may stimulate jealousy and competition, and instead of increasing team unity, incentives may create a winner-take-all scenario where only one or a few members of the team receive recognition for their work. If team members believe that the incentive is unfair or that they are not getting the recognition they deserve, this could lead to low morale and reduced performance.

In conclusion, the disadvantage of team incentives is that they maximize distinctions between team members.

To know more about the team incentives, click here;

https://brainly.com/question/10489942

#SPJ11

Analyse the joint venture model of Slimline and discuss the
benefits of this joint venture to each of the participating
companies.

Answers

The joint venture model of Slimline is one of the most successful ventures in the world. The joint venture is an agreement between two or more companies to work together on a project or series of projects.

The benefits of this joint venture are numerous to each of the participating companies. Here are some benefits of this joint venture to each of the participating companies: Slimline is a company that produces and sells high-quality slimming products. The company has been operating in the market for many years and has gained a reputation for producing high-quality products. Slimline's joint venture with another company has helped them increase their production capacity and sales volume. The joint venture has also helped them reduce costs and increase profits.

In conclusion, the joint venture model of Slimline has been very beneficial to both Slimline and the participating company. The joint venture has helped both companies increase their production capacity, reduce costs, and increase their profits. The joint venture has also given them access to new markets and technologies.

To learn more about joint ventures, visit:

https://brainly.com/question/29879369

#SPJ11

Please discuss major export and import products (1 each) for
South Korea, and what happended to their prices over the years.

Answers

The major export and import products for South Korea are electronic integrated circuits and crude petroleum, respectively. Over the years, the prices of these products have fluctuated due to various factors.

The economy of South Korea is one of the world's largest economies. The major export products for South Korea include electronic integrated circuits, refined petroleum, cars, and ships, while the major import products include crude petroleum, refined petroleum, integrated circuits, and cars.Electronic integrated circuits are the main export product for South Korea. The value of South Korea's electronic integrated circuits export was $156 billion in 2020. The price of electronic integrated circuits has decreased over the years, but their demand has increased, which has resulted in an increase in export volumes.

The price of electronic integrated circuits decreased due to competition from other countries, including China and Vietnam. Crude petroleum is the main import product for South Korea. The value of South Korea's crude petroleum import was $41 billion in 2020. The price of crude petroleum has been fluctuating over the years. The price of crude petroleum decreased due to a decrease in demand during the COVID-19 pandemic. However, the price has started to increase again due to the reopening of the global economy.

Know more about export and import products, here:

https://brainly.com/question/30162994

#SPJ11

Formation of trust reduces consumers perceived risk of internet shopping.enlist practices to build an aesthetic website which provides a good shopping experience to the customers for an airline company . answer to the question as a marketing interviewee.

Answers

As a marketing interviewee, it is important to understand that the formation of trust is an important factor that reduces the perceived risk of internet shopping for consumers.

In order to build an aesthetic website that provides a good shopping experience to customers for an airline company, there are several practices that should be implemented.

Firstly, it is important to ensure that the website is easy to navigate. This means that the website should have clear and concise labels and be structured in a way that is easy to follow. This will enable customers to find the information that they need quickly and efficiently.Secondly, the website should be designed in a way that is aesthetically pleasing. This means that the website should have a clean and modern design that is visually appealing to customers.

It is also important to ensure that the website is easy on the eyes, meaning that the font size and color scheme should be easy to read and not too overwhelming.Thirdly, the website should have a secure payment system. This means that customers should be able to make purchases without having to worry about their credit card information being stolen. In order to achieve this, the website should have an SSL certificate and be PCI compliant.

Finally, the website should have a responsive design. This means that the website should be able to adapt to different screen sizes and be accessible on different devices such as desktops, laptops, tablets, and mobile phones.

This will ensure that customers can access the website from wherever they are and whenever they need to.In conclusion, building an aesthetic website that provides a good shopping experience to customers for an airline company involves several practices such as easy navigation, aesthetically pleasing design, secure payment system, and responsive design. By implementing these practices, an airline company can build a website that customers can trust and enjoy shopping on.

To learn more about website:

https://brainly.com/question/30447976

#SPJ11

In 20 peduciary fees necessary for the administration
of an estate

Answers

In 26 CFR § 20.2053, it implies that fiduciary fees needed for the administration of an estate are generally allowed as deductions for estate tax purposes.

What is the fiduciary fees

Throughout the administration of an estate, numerous costs arise, such as compensating the responsible fiduciary or executor for their management and distribution of the estate. Fees for fiduciary services such as asset collection, debt and tax payment, investment management, and estate distribution to beneficiaries are a common occurrence.

In compliance with 26 CFR § 20. 2053, the estate tax assessment may exclude the fiduciary fees from the estate's total worth. The permissible reduction applies when the charges are deemed essential for the appropriate management of the inheritance.

Learn more about fiduciary fees  from

https://brainly.com/question/17080270

#SPJ4

See text below

In 26 CFR § 20.2053 fiduciary fees necessary for the administration

of an estate is ---

Other Questions
Harper Engine Company needs $687,000 to take a cash discount of 150/15, net 70 A banker will loan the money for 55 days at an interest cost of $20,800 a. What is the effective rate on the bank loan? (Use a 360-day year. Do not round intermediate calculations. Input your answer as a percent rounded to 2 decimal places) b. How much would it cost (in percentage terms) if Harper did not take the cash discount but paid the bill in 70 days instead of 15 days? (Use a 360-day year. Do not round intermediate calculations. Input your answer as a percent rounded to 2 decimal places) d. If another banker requires a 10 percent compensating balance, how much must Harper borrow to end up with $687000? (Round your answer to 2 decimal places.) e-1. What would be the effective interest rate in part d if the interest charge for 55 days were $12.600? (Use a 360-day year. Do not round intermediate calculations, Input your answer as a percent rounded to 2 decimal places) A financial economist has advised the government of Ghana to implement policies that would ensure the existence of an active, liquid, and well-organised market in existing shares. What is the advantage of building an active, liquid, and well-organised market in existing shares?a.facilitates the raising of further capital in the secondary market.b.is of little or no consequence.c.maintains the share price above the initial issue price.d.encourages successful primary market issues. Commercial cookery/kitchen:In order, identify the six (6) steps of the monitoring process.Provide two (2) examples for each step, and how they help monitorefficiency and service levels in the work Determine which of the following matrices are invertible. Try to perform as few computations as possible. 1:17 -696679-619 A= develop an argument that evauluates the extent to which governments changed economic policies in responese to the great depression Section 2 QuickBooks Online How it works 12 of 15 questions answered Question 13 What user type is appropriate for nonprofit companies that need to provide reporting access to their board members? O Full access user O View only user O Company admin user O Reports only user Standard user qb Promote a healthy snack bar that you have recently launched or a healthy food restaurant that you've just opened to a targeted segment in Palestine. You should apply the different concepts, theories and tools you learned throughout this course. The snack bar or restaurant you would like to launch is supposed to satisfy the needs, desires, or preferences of a certain segment or provide your targeted segment with benefits or solutions. The following prompts should guide you in writing up your term paper: (5 points each) Start by specifying whether you're promoting a healthy snack bar or a healthy food restaurant then define your targeted market: 2) Explain how you can use group influence to entice your target market to select and buy your product or frequent your restaurant (what form/s of reference group influence apply)? A private multinational client wishes to invest in the aviation industry an amount in excess of $100million under some form of competitive arrangement in Ghana.i. Write a report setting out the factors you would take into consideration before being able to report to him his options for procuring the project. You must then go on to describe the most common procurement routesii. Recommend a standard contract form that can guide the rights and obligations of the contracting parties.iii. Discuss the steps you will consider to ensure that the contract award process is valid.iv. How would your advice differ if the client was from the public sector? Find the general solution of given differential equations 1. x(y +1) 3(1-x)" Find the vertical asymptotes, if any, of the graph of the following rational function. (x+3)(4x-4) f(x) = (x-7)(x+8) Select the correct choice below and fill in the answer boxes within your choice, ifSelect the correct choice below and fill in the answer boxes within your choice, if necessaryO A. The vertical asymptote (o) is/are(Type an equation. Use a comma to separate answers as needed.) B. The graph has no vertical asymptotes. Is air pollution or climate change affecting your favorite parks? If so, how? What actions can we take as a nation and on personal levels to protect our parks from the effects of air pollution and climate change? How can we take advantage of unique opportunities that national parks provide to educate the public and raise awareness about air pollution and climate change? 20) Suppose a non-dividend paying stock now sells at $100, and its price will be either $120 or $90 one year later. The risk-free rate is 9.531% per annum with continuous compounding (or equivalently 10% with annual compounding (or e0.09531x1=1.10-1=10%). Consider a one-year European put option on the stock with a strike price of $110. What are the payoffs of this put option at maturity?a. f.= 0,f=20b. f.= 20, f=0 c. fu= 0, f=10 d. fu= 10,f=0 Continuing with question 20, What should be the number of shares needed to construct a replicating portfolio for one long put option, according to the binomial pricing model?a. -1/3 b. -2/3 c. -1/4 d. -3/4 Continuing with question 20, what should be the lending amount (or investment in a zero- coupon bond) needed to form a replicating portfolio for one long put option?a. 54.54 b. 81.81999999999999 c. 72.73 d. 36.36 Continuing with question 20, what is the risk-neutral probability that the stock price will end up in the "up' state ($120) one year later? a. 2/3b. 1/4 c. 3/4 d. 1/3 Continuing with question 20, if the risk-adjusted rate of return for this stock is 14% with annual compounding, what is the expected actual probability that the stock price will end up in the 'up' state ($120) one year later? a. 0.7b. 0.8 c. 0.6 d. 0.4 identify four types of locations that could become targets for criminal or terrorist activity using hazardous materials. What do you see as the most important element in tracingrequirements? Explain why. QUESTION 15In regards to cash management it is believed that:O a. It is important to hold cash to meet day to day cash transaction needs.O b. One of the costs of holding cash is the loss of possible investment opportunities.O c. Holding cash is useful in case of unexpected emergencies.O d. All of the above are true. Identify the challenge that exist for Jeevan keeping in view the macro scenario of the food processing and machinery manufacturing industry in India. 4. Using the binomial theorem, answer the following. a. Expand (x + y)5 b. Use part a. to expand (x - y)5 c. Use part b. to find the coefficient of y4 in the expansion of (3-y)5 Derek Scoffin owns and operates YH Curling School on evenings and weekends. The company had the following balances in its general ledger at January 31, 2021: Cash $2,420, Accounts Receivable $775, Equipment $12.890, Accounts Payable $1,500, and D. Scoffin, Capital $14,585. The following events and transactions occurred during February 2021. Feb. 1 2 3 6 14 Received and paid a $430 advertising bill. Paid the YH Curling Club $1,175 rent for use of the ice for lessons during the first two weeks of February Collected $4,440 cash for February's curling lessons, Collected all of the accounts receivable at January 31 in cash, Paid $1.000 of the accounts payable at January 31. Environmental Management Assignment Assignments Five (5) Briefly explain any four (4) characteristics of a good OHS policy. Differences between the incarceration rates of white women and women of color may be based on which of the following instead of race?