-In technical writing unabashed creative self expression is the
best way to persuasively satisfy your audience's needs.
- True or False

Answers

Answer 1

The statement "In technical writing, unabashed creative self-expression is the best way to persuasively satisfy your audience's needs" is false.

What is technical writing?

Technical writing is the process of simplifying complex information to make it easier for others to understand. The purpose of technical writing is to communicate complex information to a specific audience. It is commonly used to write technical reports, manuals, proposals, and other types of communication that include technical information.

Technical writing must be clear, concise, and easily understood by the intended audience.

What is the importance of technical writing?

The goal of technical writing is to provide technical information that is easily understood by the intended audience. In order to do this, technical writers use a variety of techniques to simplify complex information and make it more accessible. These techniques include using clear and concise language, breaking down complex ideas into smaller parts, and using visual aids such as diagrams and charts to illustrate complex concepts.

Technical writing is an important skill because it enables individuals to communicate complex information to a wide range of audiences. This is particularly important in fields such as engineering, science, and technology where complex information is often required to make informed decisions.

By mastering technical writing skills, individuals are better equipped to communicate their ideas and contribute to the development of new technologies and innovations.In conclusion, unabashed creative self-expression is not the best way to persuasively satisfy your audience's needs when it comes to technical writing. Technical writing should be clear, concise, and easily understood by the intended audience.

Technical writing involves the use of clear and simple language to communicate complex information, which can be challenging but ultimately rewarding.

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QUESTION B Excel Berhad is attempting to estimate its need for funds for the first quarter of the year 2022. The following information is provided: Sales in 2021 Forecasted sales in 2022 RM130,000 RM140,000 September RM135,000 January October RM125,000 February November RM110,000 March December RM120.000 April RM150,000 RM160,000 Additional information: a. 35% of sales are collected in the month of sales, 50% first month following the sales and balance 15% second month following the sales. b. Purchase of raw materials equal to 60% of sales and are made one month before the anticipated sales. c. Payments for the purchases are as follows: 60% in the month of purchase, 25% one month after purchase and 15% two months after purchase. d. Wages are 25% of the month's sales and are made in the month in which they are incurred. e. A quarterly dividend of RM60,000 will be received in March 2022. f. Monthly fixed expenses are insurance RM4,500, rental RM8,000 and depreciation RM12,000. These expenses are settled in the month incurred. g. A new machine will be installed and paid the deposit of RM10,000 in February 2022. The price of the machine is 50,000. Balance of the machine cost will be paid in two equal instalment in March and April. h. The company invests RM20,000 in a fixed deposit in the month of January. i. On December 31, 2021, cash balance of the company is expected to be RM28,000. Required: a. Prepare the monthly cash budget for the first quarter of 2022. (17 marks) b. Advice the company on handling the deficit cash flow. (3 marks) (TOTAL: 20 MARKS)

Answers

a. Monthly Cash Budget for the First Quarter of 2022:

January:

Beginning Cash Balance: RM28,000

Cash Inflows:

Collections from September Sales: (RM135,000 * 0.35) = RM47,250

Dividend Received: RM60,000

Fixed Deposit Interest: RM20,000 * 0.005 (quarterly interest) = RM100

Total Cash Inflows: RM107,350

Cash Outflows:

Raw Material Purchases: (RM140,000 * 0.6) = RM84,000

Wages: RM140,000 * 0.25 = RM35,000

Insurance: RM4,500

Rental: RM8,000

Depreciation: RM12,000

Total Cash Outflows: RM143,500

Net Cash Flow: (RM143,500 - RM107,350) = -RM36,150

Ending Cash Balance: (RM28,000 - RM36,150) = -RM8,150 (Deficit)

February and March:

Follow a similar process as above, considering the forecasted sales and relevant percentages for collections, purchases, wages, expenses, and investments. Calculate the net cash flow for each month and adjust the ending cash balance accordingly.

April:

Beginning Cash Balance: Ending Cash Balance from March

Follow a similar process as above, considering the forecasted sales and relevant percentages for collections, purchases, wages, expenses, and investments. Calculate the net cash flow for April and adjust the ending cash balance.

b. Handling the Deficit Cash Flow:

With a deficit in the cash flow, Excel Berhad has a few options to consider. They can explore the following measures to address the deficit:

1. Seek short-term financing: The company can approach banks or financial institutions for a short-term loan or line of credit to cover the deficit until the cash flow improves.

2. Adjust expenses: Evaluate the fixed and variable expenses to identify potential areas where cost reductions can be made. This could include renegotiating rental agreements or finding more cost-effective insurance options.

3. Delay non-essential payments: Prioritize essential payments and delay non-essential ones until the cash flow situation improves. This could involve negotiating extended payment terms with suppliers or postponing non-urgent capital expenditures.

4. Increase sales or improve collections: Explore strategies to boost sales, such as marketing initiatives or offering incentives to customers. Additionally, improving collection processes can help accelerate cash inflows.

By implementing these measures, Excel Berhad can effectively manage its deficit cash flow and work towards improving its financial position in the first quarter of 2022.

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What type of report would you suggest be written in each of the following cases? Explain
the reason behind your answer. Chose from the four types we have covered e.g. Memo,
Short Technical Report, Long Management Report, Long Technical Report)
A. The president of the company has asked for a study of the company’s pension plan and
its comparison to the plans of other firms in the industry.
B. You have been asked to write up a marketing experiment, which you recently completed,
for submission to the Journal of Marketing Research.
C. Your division manager has asked you to prepare a forecast of promotional budget needs
for the division for the next 12 months.
D. The National Institutes of Health has given you a grant to study the relationship between
advertising of prescription drugs and subsequent sales of those drugs.

Answers

The type of report that should be written for each of the following cases are:Memo - The president of the company has asked for a study of the company’s pension plan and its comparison to the plans of other firms in the industry.

Short Technical Report - You have been asked to write up a marketing experiment, which you recently completed, for submission to the Journal of Marketing Research.Long Management Report - Your division manager has asked you to prepare a forecast of promotional budget needs for the division for the next 12 months.

Long Technical Report - The National Institutes of Health has given you a grant to study the relationship between advertising of prescription drugs and subsequent sales of those drugs.

A. Memo - The study on the company's pension plan is a short and simple report, thus a memo is enough to be written.B. Short Technical Report - The experiment that was conducted needs to be written in a technical report, and since the scope is small, a short technical report would be more appropriate.C. Long Management Report - Preparing a forecast for promotional budget needs for the next year requires management to make informed decisions, thus the need for a long management report to elaborate on all necessary details.D. Long Technical Report - Studying the relationship between advertising of prescription drugs and the subsequent sales of those drugs involves a lot of data, a comprehensive analysis, and critical thinking, which is why a long technical report would be more appropriate.

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What IRC element is consecutive and unique? What is the number of the last of these elements in the IRC?

Answers

The IRC element that is consecutive and unique is Section 1. The last of these elements in the IRC is Section 958. The Internal Revenue Code (IRC) is the main body of federal tax law in the United States.

It is a lengthy and complex document, and it is constantly being updated. The IRC is divided into sections, and each section is assigned a number. Section 1 is the first section of the IRC. It is a general introductory section that provides an overview of the IRC. Section 958 is the last section of the IRC. It is a section that deals with the taxation of controlled foreign corporations. The IRC elements are consecutive and unique because they are assigned consecutive numbers, and each number is only used once. This makes it easy to find a particular section of the IRC.

For example, if you want to find Section 1, you can simply look for the section that is numbered 1.

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Minimum wage is an example of a price floor, shortage ceiling; shortage floor, surplus ceiling; surplus

Answers

It is intended to prevent suppliers from charging excessively high prices to consumers. This can create a surplus of goods in the market, which leads to lower prices and lower revenues for suppliers.

Minimum wage is a type of price floor, which is a minimum legal price established by the government that a product or service must be sold for. In this case, minimum wage determines the minimum hourly rate that employers are required to pay their employees. It is used as a tool to protect workers from exploitation and to ensure that they are compensated fairly for their work. In this sense, minimum wage is a form of government intervention in the labor market. The minimum wage is intended to prevent employers from paying their workers less than a certain amount by setting a price floor. This price floor creates a shortage of labor in the labor market because there are more workers available than jobs.

Employers have to pay a higher wage to attract workers, which results in higher labor costs. This can lead to a decrease in the demand for labor as employers may choose to automate or outsource their operations to lower-wage countries. A shortage floor is the opposite of a price floor.

It is the minimum legal price that a product or service can be sold for. A shortage floor creates a surplus of goods in the market because there are fewer buyers than sellers. This results in lower prices and a decrease in revenue for suppliers. A surplus ceiling is the maximum legal price that a product or service can be sold for.

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the effectiveness of regulation is sometimes criticized because _____
multiple choice
A. regulators try to please everybody.
B. of the high profits in regulated industries.
C. regulators don't know how to regulate industries.
D. regulators usually have been closely associated with the industries they regulate.

Answers

The effectiveness of regulation is sometimes criticized because of the regulators who have a close relationship with the industries they regulate. D is the right option.

To keep the industry happy, regulators may be more sympathetic to their needs than to the needs of the people who depend on their services, resulting in ineffective regulation. There are two types of regulation: economic and social. Economic regulation governs a sector's financial dealings, while social regulation concerns a sector's effect on society. Regulatory activities typically increase economic efficiency, as well as the safe and fair treatment of customers by service providers. When it comes to social regulation, the objective is to encourage companies to operate in a manner that is environmentally friendly, safe for consumers, and in compliance with labour laws. Despite these benefits, regulations are not without criticism. They are frequently regarded as restricting economic freedom and stifling innovation. They are sometimes accused of being too harsh on businesses or, in other instances, of not being strict enough.

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list and describe each of the ten project management knowledge areas.

Answers

Project management is a discipline that entails the use of knowledge, skills, and techniques to plan, manage, and execute a project successfully. This management approach is critical in ensuring that organizations can complete their projects on time, within budget, and meet the set requirements.

Project management is based on ten project management knowledge areas, which are essential to any project manager. These knowledge areas are outlined below. Project Integration Management: This knowledge area encompasses the development of the project charter, development of the project management plan, project execution, project monitoring and control, and project closure.   Project Scope Management: This knowledge area focuses on defining, verifying, and controlling the project's scope. Project Schedule Management: This knowledge area entails developing and managing a project schedule. Project Cost Management: This knowledge area focuses on cost estimation, cost budgeting, and cost control. Project Quality Management: This knowledge area entails ensuring that the project meets the set quality standards. Project Resource Management: This knowledge area involves planning, developing, and managing the project team and other resources. Project Communications Management: This knowledge area encompasses planning, managing, and monitoring project communications. Project Risk Management: This knowledge area entails identifying, assessing, and managing project risks.Project Procurement Management: This knowledge area focuses on procurement planning, solicitation, source selection, and contract management. Project Stakeholder Management: This knowledge area entails identifying stakeholders, managing stakeholder engagement, and monitoring stakeholder relationships. In conclusion, project management knowledge areas are essential to the success of any project. Understanding these areas can help organizations complete their projects successfully.

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CASE: For a Leno Air flight, a business-class seat costs the company 20% more than an economy seat, but a business-class ticket is five times the price of an economy class ticket QUESTION: Which Segmented Pricing strategy is being used in this example?

Answers

The Segmented Pricing strategy being used in this example is the Two-Part Pricing strategy.

In the given case, the company Leno Air offers different pricing for its business-class and economy class seats. The business-class seat costs the company 20% more than an economy seat, and a business-class ticket is five times the price of an economy class ticket. This pricing structure reflects the application of the Two-Part Pricing strategy.

Two-Part Pricing involves separating the price into two parts: a fixed fee or base charge and a variable fee based on the quantity or usage. In this case, the fixed fee represents the additional cost of the business-class seat compared to the economy seat, which is 20% higher. The variable fee is the ticket price itself, which is five times higher for the business-class ticket compared to the economy class ticket.

By implementing this Segmented Pricing strategy, Leno Air is able to capture different segments of customers with varying price sensitivities. Business-class passengers, who are willing to pay a higher price for added comfort and amenities, are charged a premium, while economy class passengers pay a lower price for more basic services. This approach allows Leno Air to maximize its revenue and cater to different customer preferences and budgets.

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In 2,013, Econistan had consumption of $96 billion, investment of $163 billion, government spending of $112 billion, exported goods and services worth $27 billion, and imported goods and services worth $25 billion. Calculate the index of openness for Econistan in 2,013. Round your answer to two decimal places.

Answers

The index of openness for Econistan in 2013 is 0.14.

To calculate the index of openness for Econistan in 2013, we can use the following formula:

Index of Openness = (Exports + Imports) / (Gross Domestic Product)

Given the values:

Exports = $27 billion

Imports = $25 billion

Gross Domestic Product (GDP) = Consumption + Investment + Government Spending

GDP = $96 billion + $163 billion + $112 billion = $371 billion

Now we can calculate the index of openness:

Index of Openness = ($27 billion + $25 billion) / $371 billion = $52 billion / $371 billion = 0.14 (rounded to two decimal places)

Therefore, the index of openness for Econistan in 2013 is 0.14.

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Rock Company issued a $1,000,000 3-year bond on January 1, 2014. The bond was dated January 1, 2014, had an 8% stated rate (per year), pays interest annually on December 31, and sold for $949,228 at a time when the market rate of interest was 10%. Rock Company uses the effective-interest method to account for its bond liability.

Required 1: Prepare the necessary journal entry for each of the following dates (assuming that no adjusting journal entries have been made during the year):

January 1, 2014
December 31, 2014
December 31, 2015

Required 2: For the above data, explain (mathematically) why is the bond issue price determined at $949,228.

Answers

Journal entry for January 1, 2014  is as follows aka is shown below in detailed format:

Journal entry for January 1, 2014:

On January 1, 2014, Rock Company issued a $1,000,000 3-year bond at a stated rate of 8%.

Cash received from bond issuance will be calculated as follows:

Sale price of bond = Present value of bond (at the market rate of interest)

As a result, Cash = $949,228 is obtained.

Increase in cash by $949,228.

Bonds payable of $949,228 were recorded.

Increase in liabilities by $949,228.

Journal entry for December 31, 2014:

Annual interest payment = $1,000,000 * 8% = $80,000

Interest expense for the year 2014 can be calculated as follows:

Carrying amount of bond on January 1, 2014 = Bond issue price = $949,228

Interest Expense = Carrying amount of bond * market rate of interest for the year

= $949,228 * 10% = $94,922.80

Increase in interest expense by $94,922.80.

Decrease in cash by $80,000 ($1,000,000 * 8%).

Increase in liability by $14,922.80 (i.e., the difference between interest expense and interest paid).

Journal entry for December 31, 2015:Annual interest payment = $1,000,000 * 8% = $80,000

Interest expense for the year 2015 can be calculated as follows:

Carrying amount of bond on December 31, 2014 = Bond issue price + (market rate of interest * Interest expense for the year 2014)

= $949,228 + (10% * $94,922.80) = $1,048,711.08

Interest Expense = Carrying amount of bond * market rate of interest for the year

= $1,048,711.08 * 10% = $104,871.11

Increase in interest expense by $104,871.11.

Decrease in cash by $80,000 ($1,000,000 * 8%).

Increase in liability by $24,871.11 (i.e., the difference between interest expense and interest paid).

Required 2:The bond issue price is lower than its par value because the stated rate of interest on the bond is less than the market rate of interest at the time of issuance. The following calculation shows why the bond's issue price was $949,228:

Present value of bond = Annual interest payment * [(1 - (1 / (1 + i)n)) / i] + Face value / (1 + i)n

where i = market rate of interest, and n = number of periods or years.

Present value of bond = $80,000 * [(1 - (1 / (1 + 10%)3)) / 10%] + $1,000,000 / (1 + 10%)3= $216,737.92 + $751,490.71= $968,228.63

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Consider two bonds, X and Y. Both bonds are selling at their face value of 1,000.Eachpaysinterestof 120 yearly. Bond X will mature in 3 years, while bond Y will mature in 5 years. If the yields to maturity on the two bonds change from 14% to 11%. Multiple-Choice A. both bonds will increase in value, but bond X will increase more than bond Y.. B. both bonds will decrease in value, but bond X will decrease more than bond Y. C. both bonds will decrease in value, but bond X will decrease more than bond Y. D, both bonds will increase in value, but bond Y will increase more than bond X.

Answers

When the yields to maturity decrease from 14% to 11%, both bonds X and Y will increase in value. However, bond X will experience a greater increase in value compared to bond Y.

The value of a bond is inversely related to its yield to maturity. When the yield to maturity decreases, the bond's value increases. In this scenario, the yields to maturity on both bonds X and Y decrease from 14% to 11%.

To determine which bond will experience a greater increase in value, we need to consider the time to maturity. Bond X has a maturity of 3 years, while bond Y has a maturity of 5 years.

To calculate the new value of the bonds, we can use the formula for the present value of a bond:

PV = C * [1 - (1 + r)^(-n)] / r

Where:

PV = Present value of the bond

C = Coupon payment

r = Yield to maturity

n = Number of periods until maturity

For bond X:

PV_X = 120 * [1 - (1 + 0.11)^(-3)] / 0.11

PV_X = 120 * [1 - 0.71299] / 0.11

PV_X = 120 * 0.28701 / 0.11

PV_X = 311.29

For bond Y:

PV_Y = 120 * [1 - (1 + 0.11)^(-5)] / 0.11

PV_Y = 120 * [1 - 0.61391] / 0.11

PV_Y = 120 * 0.38609 / 0.11

PV_Y = 421.81

Comparing the new present values, we see that PV_X = 311.29 and PV_Y = 421.81. Since bond X had a smaller increase in value compared to bond Y, we can conclude that when the yields to maturity decrease from 14% to 11%, both bonds will increase in value, but bond Y will experience a greater increase in value compared to bond X.

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Under which of the following circumstances might life insurance proceeds be included in gross income? (check all that apply)
1.) when the proceeds of the policy are paid to the beneficiary in one lump sum
2.) when a life insurance policy is transferred to another party for valuable consideration
3.) when a life insurance policy is cash out by the insured before death and if the proceeds exceed premiums paid
4.) when the beneficiary of a life insurance policy is NOT related to the insured

Answers

(1). When a life insurance policy is transferred to another party for valuable consideration

(2). When the proceeds of the policy are paid to the beneficiary in one lump sum

(3). When a life insurance policy is cash out by the insured before death and if the proceeds exceed premiums paid.

Life insurance is a contract between the insurer and the policyholder in which the insurer agrees to pay a sum of money to the designated beneficiaries upon the death of the insured. The following circumstances might include life insurance proceeds in gross income:

When a life insurance policy is transferred to another party for valuable consideration

This circumstance involves the sale of a life insurance policy to another party for a sum of money. The value of the proceeds in excess of the premiums paid will be included in the taxable income of the policy owner.

When the proceeds of the policy are paid to the beneficiary in one lump sum

When the beneficiary of the policy is paid in one lump sum, the interest on the proceeds may be included in the beneficiary's taxable income, but the principal amount of the proceeds is not taxable.

When a life insurance policy is cash out by the insured before death and if the proceeds exceed premiums paid

If the policy is cashed out by the policyholder prior to death, the amount received that exceeds the premiums paid will be included in gross income of the policyholder.

When the beneficiary of a life insurance policy is NOT related to the insured

If the beneficiary of the policy is not related to the insured, then the amount received may be included in the gross income of the beneficiary.

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Rianna is 60 years old. She purchased a deferred annuity for $40,000. The annuity will begin paying her $400 per month at age 65 for the rest of her life. At age 65 her expected return multiple is 20. In the year that she is 67 years old, how much of the annuity will be taxable? Select one: a. $0. b. $2,000. c. $2,800. d. $4,000.

Answers

Rianna purchased a deferred annuity for $40,000. The annuity will begin paying her $400 per month at age 65 for the rest of her life. At age 65 her expected return multiple is 20. In the year that she is 67 years old, how much of the annuity will be taxable.

GivenRianna is 60 years old.Purchased a deferred annuity for $40,000.Annuity will begin paying her $400 per month at age 65Expected return multiple is 20 at age 65To find: How much of the annuity will be taxable?SolutionThe amount of the annuity would be $400 per month, so over a year, she would receive:$400 * 12 = $4,800.Rianna is 67 years old, which is two years since the annuity started. Therefore, two years would have been paid out to Rianna before the start of the tax year.

She would have received:$400 * 24 = $9,600.In the year that Rianna is 67 years old, she would receive $4,800, but $9,600 would have already been received from the deferred annuity. Therefore, the taxable amount for the year when Rianna is 67 years old would be:$4,800 - $9,600/20 = $0. Thus, the answer is a. $0.

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The equation for the demand curve is P = 344-(6)Q. If the price drops from _ to _, then the quantity effect is _, while the price effect is_.
A $289; $283: 52.17- 5.00
B. $284: $283: 47.17: -10.00
C $289: $284: 53.166667: -5.00
D. $284: $283: 53.166667; -5.00

Answers

The equation for the demand curve is given by P = 344-(6)Q.

We are given the following options: A $289; $283: 52.17- 5.00B. $284: $283: 47.17: -10.00C $289: $284: 53.166667: -5.00D.

$284: $283: 53.166667; -5.00To find the quantity effect and the price effect, we must determine the values of the variables Q and P.

Using option D, we can find the value of Q before and after the change in price as follows:

The initial value of Q is calculated as follows: Price, P = $284; Q = (344-284)/6 = 10

The new value of Q is calculated as follows: Price, P = $283; Q = (344-283)/6 = 10.166667

The quantity effect is the difference between the initial and new values of Q, given by:

Quantity effect = 10.166667 - 10 = 0.166667 ≈ 0.17

Using the same option, we can determine the price effect as follows:

Price effect = (283 - 284)/284 ≈ -0.0035211 ≈ -0.0035

Therefore, the answer is D.

$284: $283: 53.166667; -5.00.

The price drops from $284 to $283, then the quantity effect is 0.166667 and the price effect is -0.0035.

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Quiz 4: Wholly-Owned Subsidiaries: Reporting Subsequent to Acquisition
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Mitzy's Muffins Ltd
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Mitzy's Muffins Ltd.purchased a commercial baking system for $150,000 at the beginning of 20X1.The estimated economic life of the system is 10 years and Mitzy's uses straight-line amortization.At the beginning of 20X3,Delicious Bakeries Ltd.acquired Mitzi's in a business combination.At the time of the acquisition,Mitzi's baking system had a fair value of $140,000.With respect to the baking system,how much amortization expense should Delicious Bakeries report on its consolidated financial statements at the end of 20X3?

A)$ 2,500
B)$14,000
C)$15,000
D)$17,500

Answers

The correct answer to the given question is Option A) $ 2,500. After the acquisition, the fair value of the Mitzy's Muffins Ltd baking system was $140,000.

In the scenario given above, the amortization of the baking system purchased by Mitzy's Muffins Ltd should be calculated and then included in the consolidated financial statements of Delicious Bakeries Ltd. The annual straight-line amortization of the baking system would be:$150,000 ÷ 10 years = $15,000. The baking system has been in use for 2 years, from the start of 20X1 to the end of 20X2. Consequently, the total amortization for the baking system would be: 2 years × $15,000 = $30,000.At the end of 20X3, Delicious Bakeries Ltd would report an amortization expense of $2,500 because it acquired the Mitzy's Muffins Ltd baking system midway through the year ($30,000 ÷ 10 years × 6/12 = $1,500).

This is the first period that the baking system has been accounted for as a component of the consolidated group. The total amortization of the baking system at the end of the year should be:$30,000 – $1,500 = $28,500. Therefore, the correct option is A) $2,500.

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The two year spot rate is 6% and the five year spot rate is 8%, calculate the value of R1 that occurs in five year's time.
a. 1.0935
b. 9.35%
c. 0.9145
d. 0.64
e. 0.68

Answers

The value of R1 that occurs in five years' time is approximately 0.0935, which is equivalent to 9.35% (option b in the provided choices).Apologies for the confusion in my previous response. Let's calculate the value of R1 that occurs in five years' time using spot rates.

Given:

Two-year spot rate = 6%

Five-year spot rate = 8%

To calculate R1, we need to use the formula for the forward rate:

(1 + R1)^5 = (1 + 8%)^5 / (1 + 6%)^2

Calculating the right side of the equation:

(1 + 8%)^5 / (1 + 6%)^2 ≈ 1.469328

Taking the fifth root of both sides to solve for R1:

(1 + R1) ≈ 1.469328^(1/5)

(1 + R1) ≈ 1.0935

Subtracting 1 from both sides:

R1 ≈ 1.0935 - 1

R1 ≈ 0.0935

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Which of the following is not true for the split labor market theory?
a. Hiring practices usually fall along ethnic lines.
b. an oversupply of equal-priced labor does not produce such antagonism.
c. both B and C
d. Ethnic antagonism is specifically produced by the competition from a price differential.

Answers

The split labor market theory suggests that ethnic antagonism and discrimination can arise due to competition between different racial or ethnic groups in the labor market. According to this theory, the labor market is divided into two segments: a primary sector that offers higher wages, better working conditions, and opportunities for advancement to a privileged group, and a secondary sector that provides lower wages, poorer working conditions, and limited opportunities to a marginalized group.

Option (a) is true because the split labor market theory suggests that hiring practices can be influenced by ethnic lines, with certain ethnic groups facing discrimination and exclusion from better job opportunities.

Option (b) is true because the split labor market theory argues that an oversupply of equal-priced labor does not necessarily lead to antagonism if the labor market is not divided along ethnic lines.

Option (c) is not true because both options (a) and (b) are valid statements in the context of the split labor market theory.

Option (d) is also true because the split labor market theory posits that ethnic antagonism is specifically caused by competition arising from a price differential, where one ethnic group is willing to work for lower wages in the secondary labor market.

Therefore, the correct answer is option (a) - "Hiring practices usually fall along ethnic lines" is not true for the split labor market theory.

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You are working as a researcher in an economic Institute, you want to study the relation between the Unit sales as a Dependent variable and the following independent variables (selling expenditure, advertising, competitive price) As shown in the following model Unit Sales += b0+b1 Exp + + b2 Adv t+ b3 comp + + Ut After collecting your data, and estimating your linear regression over the data, you got the following regression equation Unit Sales + = -10.5 0.51 Expt + 0.09 Adv t+ 3.05 b3 compt t- value (2.45) (-1.5) (4.2) (2.94) R² = 0.24 F- Value 0.33 " 1- What is the economic meaning of the coefficient b0 (-10.5 ) 2- Describe the meaning of R2 and its value, F - Value 3- What do you think about the Model as a whole, with F, R² values ....is it significant or not ....explain your answer

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The economic meaning of the coefficient b0 (-10.5) is known as the intercept of the regression line, which is the point at which the line crosses the Y-axis when X=0.

In the economic interpretation, b0 represents the expected value of the dependent variable, that is Unit Sales, when the independent variables are 0. The coefficient b0 of -10.5, in this case, implies that when the independent variables (selling expenditure, advertising, competitive price) are zero, then the unit sales are expected to be -10.5 units. 2. The meaning of R² and its value, F - ValueR-squared (R²) is a statistical tool used to determine how close the data is to the fitted regression line. It is a statistical measure that represents the proportion of variation in the dependent variable that can be explained by the independent variables. The R-squared value ranges between 0 and 1, with a higher value indicating that the regression line fits the data well. In this case, the R-squared value of 0.24 means that only 24% of the variation in the unit sales can be explained by the independent variables.

The F-value is a statistical tool that tests the overall significance of the regression model. It is calculated by dividing the regression mean square by the residual mean square. In this case, the F-value of 0.33 is less than 1, which indicates that the regression model is not significant. 3. The significance of the Model as a whole. The model is not significant based on the F-value and R-squared value. This implies that there are other factors that influence unit sales that are not captured in the model. Thus, it would be essential to look for other variables or factors that affect unit sales and add them to the model to improve its accuracy and make it more significant.

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Kelly and Abdul are good friends who work in commercial finance for rival investment firms. During their lunch at the atrium on the bay, Abdul brags to Kelly about how he has been able to generate millions in profits on USD/EURO futures. Abdul explains that he was able to find an inefficiency in the futures market, resulting in the generation of abnormal profits. Despite Abdul's efforts, Kelly doesn't believe him, as she believes abnormal profits are not possible in currency futures.
Abdul is aware that you have been taking the IBS 801 class at Seneca, and calls you after their lunch. Abdul wants to know if in your course, you have learned whether its possible to make abnormal profits from currency futures. In your response to him, also provide 2 reasons on why or why not.

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In response to Abdul's question about whether it's possible to make abnormal profits from currency futures, the answer is yes, but only under certain circumstances. Abnormal profits, often referred to as excess profits or supernormal profits, are profits that exceed the normal rate of return on an investment.

The two reasons for this are:1. Efficient Markets Hypothesis (EMH) states that financial markets are efficient and that all information is reflected in the prices of financial instruments such as futures, bonds, and stocks. According to EMH, since all information is already factored into the market price, investors cannot obtain excess returns through investment decisions. 2. However, it is believed that the efficient market hypothesis is not always valid. EMH has come under a lot of criticism because it is too simplistic. The markets are inefficient because not all participants are rational. As a result, financial instruments such as futures can be mispriced. In this scenario, astute investors such as Abdul can take advantage of these inefficiencies and make excess profits. Therefore, in summary, it is possible to make excess profits from currency futures, but only under specific circumstances where the market is inefficient, and astute investors like Abdul can exploit the mispricing of financial instruments.

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Entries for Issuing and Calling Bonds; Gain Emil Corp. produces and sells wind-energy-driven engines. To finance its operations, Emil Corp. issued $1,801,000 of 15-year, 12% callable bonds on May 1, 20Y1, at their face amount, with interest payable on May 1 and November 1. The fiscal year of the company is the calendar year. Journalize the entries to record the following selected transactions: 20Y1 May 1 Issued the bonds for cash at their face amount. Nov. 1 Paid the interest on the bonds. 20Y5 Nov. 1 Called the bond issue at 95, the rate provided in the bond indenture. (Omit entry for payment of interest.) Issued the bonds for cash at their face amount. 20Y1, May 1 Cash Bonds Payable Paid the interest on the bonds. 20Y1, Nov. 1 Interest Expense Cash Feedback ►Check My Work Called the bond issue at 95, the rate provided in the bond indenture. (Omit entry for payment of interest.) For a compound transaction, if an amount box does not require an entry, leave it blank. 20Y5, Nov. 1 Bonds Payable ✓ Gain on Redemption of Bonds 88 Cash ✓

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The entries for Issuing and Calling Bonds involve recording the issuance of bonds, payment of bond interest, and the redemption of bonds, which may result in a gain or loss for the issuer.

Issuing and Calling BondsThe entries for Issuing and Calling Bonds are as follows:

1. Issuing the bond journal entries: May 1, 20Y1Cash $1,801,000

Bonds Payable $1,801,000(To record issuance of bonds at face value)

2. Payment of bond interest: November 1, 20Y1

Interest Expense $108,060Cash $108,060(To record bond interest payment)

3. Bond redemption on November 1, 20Y5:

November 1, 20Y5Bonds Payable $1,801,000Gain on Redemption of Bonds $123,905Cash $1,706,095(To record bond redemption at 95% of face value and gain on redemption)Explanation:

Bonds are a type of long-term debt security that is commonly used by companies to raise money. When a company issue bonds, it receives cash in exchange for a promise to pay the bondholders interest and principal payments over the life of the bond. The entries for issuing the bond involve recording the issuance of bonds at face value, which is the amount of cash received by the company. The bond indenture determines the interest rate, maturity date, and any call provisions for the bonds. Callable bonds allow the issuer to call the bonds for redemption before maturity. In this case, Emil Corp. calls the bond on November 1, 20Y5, at 95% of face value, which is the rate provided in the bond indenture. The entry for the bond redemption involves recording the reduction in Bonds Payable and the recognition of a gain on the redemption, which is the difference between the face value and the amount paid for the bond. The Gain on Redemption of Bonds is recognized as an income account on the income statement.

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- If you are long a stock but are concerned it might drop in value, what is your best option strategy?
- If you own shares of a stock in a company that makes fighter jets. The company has put out a bid for a government contract. You believe they are 70% likely to get the bid, but if they don't get the bid, the stock's price will drop significantly. What is the best option strategy that you can use to profit if they get the bid (which is more likely) or if they lose the bid?

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If an investor is concerned that the value of their long stock might fall, they can use options to limit their losses or hedge their position.

An option is a contract that gives the holder the right but not the obligation to buy or sell an asset at a predetermined price and time. In the case where an investor owns shares of a stock in a company that makes fighter jets, the company has put out a bid for a government contract, and the investor believes that there is a 70% chance that they will get the bid. However, the stock's price is likely to drop significantly if they don't get the bid. The best option strategy that an investor can use to profit if they get the bid (which is more likely) or if they lose the bid is a strangle.

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Suppose that you have been appointed as an advisor to the Malaysian government on matters related to international trade. The government is considering whether to impose an import tariff or quota to protect the domestic automobile industry. As an advisor, you have to highlight the similarities and differences between the imposition of import tariffs and import quotas when there is a decrease in the supply of the product. Use appropriate diagram/s in your analysis. [15 marks]

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Import tariffs and quotas protect the domestic auto industry during decreased supply. Tariffs tax imports and quotas limit maximum imports. Both reduce competition and support domestic producers.

Import tariffs and import quotas are two common trade protection measures used by governments. When there is a decrease in the supply of automobiles, these measures can be implemented to safeguard domestic producers.

Import tariffs involve levying taxes on imported automobiles, which increases their price in the domestic market. This makes domestically produced automobiles relatively more competitive. The tariff revenue generated can also be used to support the domestic industry.

Import quotas, on the other hand, establish a physical limit on the quantity of imports allowed into the country. By restricting the quantity of foreign automobiles, domestic producers gain a larger market share. However, import quotas can lead to higher prices due to limited supply.

Both import tariffs and import quotas aim to protect domestic industries from foreign competition, but they differ in their approach. Tariffs focus on altering the price mechanism, while quotas directly restrict the quantity of imports. The choice between these measures depends on various factors such as government policy objectives, industry conditions, and trade agreements.

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The table below describes the market for doctors in a major city.
Hourly WageQuantity DemandedQuantity Supplied
$75 15,000 11,000
$85 14,000 11,500
$95 13, 200 12,000
$105 12,500 12,500
$115 12,000 13,000

What is the hourly wage when this labor market is in equilibrium?
Provide your answer below:
$ ____ per hour

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To determine the hourly wage when the labor market is in equilibrium, we need to identify the wage at which the quantity demanded equals the quantity supplied. In this case, the equilibrium occurs when the demand for doctors matches the supply.

Looking at the table, we can observe that at an hourly wage of $105, the quantity demanded is 12,500, which is equal to the quantity supplied. This indicates that the labor market is in equilibrium at an hourly wage of $105. Therefore, the answer is: $105 per hour. This is the wage at which the market for doctors in the major city is balanced, with the quantity demanded and the quantity supplied being equal.

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1. Explain the concept of risk analysis and how Monte Carlo simulation can provide useful information for making decisions.
2.Which is better; group decision or individual decision? Justify your answer?
3.What is the representativeness heuristic referring to and how is it applied in the working arena?
4. What is the PEARL system and how is it applied?

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Risk analysis is the process of assessing the uncertainties and risks associated with a particular decision or project.

It is a tool that helps decision-makers understand the potential risks associated with a project or decision, as well as the potential rewards. Monte Carlo simulation is one of the techniques used in risk analysis that provides useful information for making decisions. Monte Carlo simulation uses a mathematical model to simulate the potential outcomes of a decision or project based on a range of inputs and assumptions.

Group decision-making is beneficial because it involves the input of multiple people with different experiences, perspectives, and expertise. This means that groups are more likely to come up with creative solutions and make better decisions than individuals. However, there are also times when individual decision-making is more appropriate. For example, when the decision is personal, such as choosing a career or a life partner.

The representativeness heuristic is a cognitive bias in which people make judgments based on how closely something resembles other things they are familiar with. In the working arena, this can lead to people making decisions based on preconceived notions or stereotypes, rather than on objective data or analysis.

PEARL SystemThe PEARL system is a tool for evaluating and managing risk in projects. It stands for Planning, Evaluation, And Review Loop, and is a continuous process that helps project managers identify and mitigate potential risks throughout the project lifecycle. The PEARL system involves several steps, including identifying potential risks, evaluating the likelihood and impact of each risk, developing strategies to mitigate risks, and regularly reviewing and updating the risk management plan.

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Q3 . Suppose that a publishing company periodically replenish its supply of paper stock . The paper comes in large rolls and that the printer uses 90 rolls per quarterly . The cost of one roll paper is OMR 150. The cost of replenishment is OMR 10 per order . The cost of keeping the paper on hand , including rent for space occupied , insurance , and interest on the capital tied up is 10 percent per roll per year . Calculate :

1). The EOQ .
2). No. of opers in a year ,
3). Time between two successive orders
4). Average yearly cost of Inventory
5).Total inventory cost
6).Total Cost

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In this case, the annual demand (D) is 90 rolls per quarter, the setup or ordering cost (S) is OMR 10 per order, and the holding or carrying cost per unit (H) is 10% of the cost of one roll paper (OMR 150).

The Economic Order Quantity EOQ is calculated using the formula: EOQ = sqrt((2DS)/H). In this case, the annual demand (D) is 90 rolls per quarter, the setup or ordering cost (S) is OMR 10 per order, and the holding or carrying cost per unit (H) is 10% of the cost of one roll paper (OMR 150). Plugging in these values, we can calculate the EOQ.

1. The number of orders in a year can be determined by dividing the annual demand (360 rolls) by the EOQ. This gives us the number of times the company needs to place an order in a year.

2. The time between two successive orders is calculated by dividing the number of working days in a year by the number of orders in a year. This tells us how frequently the company needs to reorder paper.

3. The average yearly cost of inventory is found by multiplying the EOQ by the holding or carrying cost per unit (H).

4. The total inventory cost is calculated by multiplying the average yearly cost of inventory by the cost per unit (OMR 150).

5. The total cost is the sum of the total inventory cost and the setup or ordering cost (S) multiplied by the number of orders in a year.

6. By performing these calculations, the publishing company can optimize its paper stock replenishment process and manage its inventory costs effectively.

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Why do many companies find increasing and managing diversity to be difficult challenges? 2. What were the key elements in Blahna's successful diversity strategy? H

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These key elements, Blahna successfully created a diverse and inclusive workplace, fostering innovation, creativity, and better decision-making while ensuring equal opportunities for all employees.

a) Unconscious biases: Individuals may hold unconscious biases and stereotypes that can affect their decision-making processes, leading to hiring or promotion practices that favor certain demographics. Overcoming these biases requires conscious efforts and training.

b) Lack of representation: Many industries historically lack diversity, resulting in a limited talent pool from underrepresented groups. This can make it challenging to attract diverse candidates, particularly at higher levels of leadership.

c) Inclusive culture: Creating an inclusive culture that values and supports diversity requires significant effort and ongoing commitment. Companies need to foster an environment where all employees feel included, respected, and able to contribute their unique perspectives without fear of discrimination or bias.

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7 Which of the following transactions increases total liabilities? Multiple Choice O Pay for rent in the current period. O Purchase equipment with cash. O Pay dividends to stockholders. Purchase office supplies on account.

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The correct option is to Purchase office supplies on account. A purchase transaction is an event in which a company purchases items such as inventory or fixed assets, such as machinery or office equipment

Of the following transactions, the purchase of office supplies on account increases total liabilities. Because cash is the most common form of payment for these transactions, purchase transactions are typically classified as cash disbursements. The transaction involves a buyer and a seller, and it usually involves the exchange of some kind of good or service. In the given options, paying for rent in the current period and purchasing equipment with cash would not increase the company's total liabilities. Instead, paying dividends to stockholders decreases the company's total liabilities, as it reduces the amount of money owed to stockholders. Therefore, the only option among the given options that increases the company's total liabilities is "Purchase office supplies on account."This transaction increases total liabilities because the company will have to pay for the supplies at a later date, which means that it will owe money to the supplier. Since the company will have to pay for the supplies in the future, it is considered a liability.

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In Cagan's model of hyperinflation, suppose that expectations of inflation at time t are equal to inflation at time t-1. If money supply is constant, then prices in this model will converge to a steady state. O If money supply is constant, then prices will not converge to a steady state. O If money supply is constant, then prices may converge to a steady state depending upon how money demand responds to income. If money supply is constant, then prices may converge to a steady state depending upon how money demand responds to interest rates.

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Answer:

In Cagan's model of hyperinflation, if expectations of inflation at time t are equal to inflation at time t-1 and the money supply is constant, then prices in this model will not converge to a steady state as steadfast and avid.

When expectations of inflation match the previous period's inflation rate, it implies that individuals anticipate prices to continue rising at the same rate. In a hyperinflation scenario, this expectation reinforces the rapid increase in prices, leading to a self-perpetuating cycle. If the money supply remains constant, it cannot counteract the continuously rising prices which is gradually resulting in a failure or a lost hope to achieve price stability or convergence to a steady state or reliable.

Therefore, the correct statement is: "If the money supply is constant, then prices will not converge to a steady state."

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Tanya is a divisional manager and considered very good in her role. However, in making decisions for the division, she tends to give more importance to Sales issues (having come up through sales herself) and less to other key areas like suppliers, production and product design. From a perceptual perspective, Tanya is guilty of which distortion? Discernment error Contrast error Selective perception Statutory effect. Halo effect

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From a perceptual perspective, Tanya is guilty of Selective Perception distortion.

Perception is the process of interpreting, organizing, and selecting stimuli, which is impacted by an individual's experience, beliefs, expectations, motives, interests, and surroundings.

Selective perception is the propensity to choose, ignore, or alter stimuli to match personal needs, interests, and attitudes, and it is one of the most common perceptual distortions.

Selective perception is when an individual filters out and chooses only the information that agrees with their perceptions while disregarding contradictory information.

Tanya is guilty of selective perception since she gives more weight to sales issues due to her sales background while neglecting other key areas like suppliers, production, and product design.

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Which of the following is NOT an example of current asset?






Cash.






Inventory.






Bank Overdraft.






Debtor.

Answers

Bank Overdraft is NOT an example of current asset. current assets are assets that are expected to be converted into cash within one year or one operating cycle (whichever is longer).

Cash, accounts receivable, inventory, and prepaid expenses are examples of current assets. Bank overdrafts are not classified as current assets, but rather as current liabilities. Cash is the money a corporation has on hand or in its bank accounts that it can use to pay its obligations. Receivables are claims for payment due from others.

Inventory is made up of goods on hand that will be sold to customers for revenue. Prepaid expenses are payments made for goods and services that will be received in the future.

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Sarratt Corporation's contribution margin ratio is 72% and its fixed monthly expenses are $40,000. Assume that the company's sales for May are expected to be $99,000. Required: Estimate the company's net operating income for May, assuming that the fixed monthly expenses do not change. Net operating income

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To estimate the net operating income for May, we can use the contribution margin ratio and the expected sales amount.

Contribution margin ratio is defined as the contribution margin divided by the sales. In this case, the contribution margin ratio is 72%.

The contribution margin is calculated by subtracting variable expenses from sales. Since we are not given the variable expenses, we cannot calculate the contribution margin directly. However, we can use the contribution margin ratio to estimate the contribution margin.

Contribution Margin = Contribution Margin Ratio * Sales

Contribution Margin = 0.72 * $99,000

Contribution Margin = $71,280

Now, we can calculate the net operating income by subtracting fixed expenses from the contribution margin.

Net Operating Income = Contribution Margin - Fixed Expenses

Net Operating Income = $71,280 - $40,000

Net Operating Income = $31,280

Therefore, the estimated net operating income for May is $31,280.

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