What is the future value of investing $100 at 10% versus
5% for 100 years?

Answers

Answer 1

The future value of investing $100 at a 10% interest rate for 100 years is approximately $1,367,201.03, while the future value at a 5% interest rate is approximately $1,083,204.02.

To calculate the future value, we use the compound interest formula: Future Value = Principal * (1 + Interest Rate)^Time. In this case, the principal is $100, the interest rates are 10% and 5% respectively, and the time is 100 years. By plugging in these values, we can determine the future value of the investment.

It's important to note that these calculations assume the interest is compounded annually and do not take into account any taxes or inflation. The higher interest rate of 10% results in a significantly higher future value compared to the 5% interest rate over the long-term investment period.

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Related Questions

onechicago has just introduced a new single stock futures contract on the stock of brandex, a company that currently pays no dividends. each contract calls for delivery of 2,000 shares of stock in one year. the t-bill rate is 5% per year.
required:
a. if brandex stock now sells at $220 per share, what should the futures price be? (round your answer to 2 decimal places.)
b. brandex stock now sells at $220 per share. if the brandex stock price drops by 1.0%, what will be the new futures price and the change in the investor's margin account? (input all amounts as positive values. do not round intermediate calculations. round your answers to 2 decimal places.)
c. brandex stock now sells at $220 per share. if the margin on the contract is $30,000, what is the percentage return on the investor's position, if the brandex stock price drops by 1.0%? (negative amount should be indicated by a minus sign. do not round

Answers

a. The futures price should be approximately $231.29.

b. The new futures price is approximately $228.55, and the change in the investor's margin account is -$2.74.

c. The percentage return on the investor's position, if the brandex stock price drops by 1.0%, is approximately -0.0091%.

a. The futures price can be calculated using the cost-of-carry model. The formula is as follows:

F = S * e^(r*t)

Where:

F = Futures price

S = Spot price

r = Risk-free interest rate

t = Time to delivery

In this case:

S = $220 (current stock price)

r = 5% per year (T-bill rate)

t = 1 year

Plugging in the values:

F = $220 * e^(0.05*1)

Using a calculator, we can evaluate the exponential term:

F = $220 * 1.0513

F ≈ $231.29

Therefore, the futures price should be approximately $231.29.

b. To calculate the new futures price and the change in the investor's margin account, we need to consider the change in the stock price. Since the stock price drops by 1.0%, the new stock price will be:

New stock price = $220 - ($220 * 0.01)

New stock price = $220 - $2.20

New stock price = $217.80

Using the cost-of-carry model as in part (a), we can calculate the new futures price:

New futures price = $217.80 * e^(0.05*1)

Using a calculator, we evaluate the exponential term:

New futures price = $217.80 * 1.0513

New futures price ≈ $228.55

To calculate the change in the investor's margin account, we subtract the new futures price from the initial futures price:

Change in margin account = $228.55 - $231.29

Change in margin account ≈ -$2.74

Therefore, the new futures price is approximately $228.55, and the change in the investor's margin account is -$2.74.

c. To calculate the percentage return on the investor's position, we need to consider the change in the value of the investment. The change in value can be calculated by subtracting the initial futures price from the new futures price:

Change in value = $228.55 - $231.29

Change in value ≈ -$2.74

The investor's initial margin account is $30,000, and the percentage return can be calculated as:

Percentage return = (Change in value / Initial margin account) * 100

Percentage return = (-$2.74 / $30,000) * 100

Percentage return ≈ -0.0091%

Therefore, the percentage return on the investor's position, if the brandex stock price drops by 1.0%, is approximately -0.0091%.

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the long-run phillips curve is vertical at the nonaccelerating inflation rate of unemployment (nairu) because an unemployment rate _____ the nairu will lead to _____ inflation.

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The long-run Phillips curve is vertical at the Non-Accelerating Inflation Rate of Unemployment (NAIRU) because an unemployment rate below the NAIRU will lead to accelerating inflation.

The long-run Phillips curve represents the relationship between unemployment and inflation in the long term. It is vertical at the Non-Accelerating Inflation Rate of Unemployment (NAIRU). The NAIRU is the lowest sustainable rate of unemployment that is consistent with stable inflation. When the unemployment rate falls below the NAIRU, it suggests that the economy is operating beyond its potential and facing a labor shortage. In this situation, employers may have to offer higher wages to attract workers, leading to upward pressure on prices and accelerating inflation. Therefore, an unemployment rate below the NAIRU is associated with higher inflation, and the long-run Phillips curve reflects this vertical relationship.

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what is meant by a protective put? what position in call options is equivalent to a protective put?

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A protective put is an options trading strategy used by investors to guard against possible losses by buying put options. It is a strategy that provides insurance to stock owners against losses in the underlying asset value. In other words, protective put is a risk management tool that investors use to manage downside risk by taking a long position in an option while holding the underlying stock.

The long position in the put option creates a profit if the underlying stock price drops. This provides an effective way to protect the investor's stock holdings from possible losses by hedging the underlying investment.A protective put position is equivalent to a long call option. The difference between the two is that in protective put, the investor holds the underlying stock and buys a put option to hedge against possible losses. While in long call option, the investor takes a long position in a call option, speculating that the price of the underlying asset will rise. Both options can be used as a way to hedge against losses and provide protection in a market downturn.

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What is the max cycle time for the following process? (Keep one decimal place)
Task
Immediate Predecessor
Task Time (in minutes)
A
-
0.3
B
A
0.8
C
-
0.7
D
C
0.3
E
B
0.3
F
D, E
1.0
G
F
0.4
H
G
0.3

Answers

The maximum cycle time for the process is 3.1 minutes.

To determine the maximum cycle time for the given process, we need to identify the critical path, which is the longest path from the start to the end of the process. The critical path represents the sequence of tasks that will take the most time to complete and determines the maximum cycle time.

Looking at the task dependencies provided, we can construct the following network diagram:

      A (0.3)

       \

        B (0.8)

       /     \

  E (0.3)   F (1.0)

   /            \

C (0.7)   D (0.3)  \

   \            G (0.4)

  H (0.3)         /

       \        /

        -------

       

Based on the dependencies, we can identify the critical path as follows:

A -> B -> F -> G -> H

To find the maximum cycle time, we sum up the task times along the critical path:

0.3 + 0.8 + 1.0 + 0.4 + 0.3 = 3.1

Therefore, the maximum cycle time for the process is 3.1 minutes. This means that if all tasks are executed efficiently and without any delays, the process will take a minimum of 3.1 minutes to complete. It is important to note that any delays or variations in task completion times along the critical path can impact the overall cycle time.

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Omega stock is currently selling at $50 per share. For each of the following situations, (ignoring any additional costs), calculate the percentage gain or loss that Felix realizes if he makes a 200-share transaction a. He short sells the stock and repurchases the borrowed shares at $60 per share. b. He buys the stock and sells the stock at $70 per share. c. He short sells the stock and repurchases the borrowed shares at $25 per share. d. He buys the stock and sells the stock at $45 per share.

Answers

a. Felix realizes a loss of 20% if he short sells the stock and repurchases the borrowed shares at $60 per share, a gain of 40% if he buys the stock and sells it at $70 per share.

In scenario a, Felix short sells the stock at $50 per share and repurchases the borrowed shares at $60 per share. This results in a loss of $10 per share, which is a percentage loss of 20% ((10/50) * 100).

In scenario b, Felix buys the stock at $50 per share and sells it at $70 per share. This results in a gain of $20 per share, which is a percentage gain of 40% ((20/50) * 100).

In scenario c, Felix short sells the stock at $50 per share and repurchases the borrowed shares at $25 per share. This results in a gain of $25 per share, which is a percentage gain of 50% ((25/50) * 100).

In scenario d, Felix buys the stock at $50 per share and sells it at $45 per share. This results in a loss of $5 per share, which is a percentage loss of 10% ((5/50) * 100).

Therefore, Felix realizes different gains or losses depending on the buying and selling prices of the stock, with scenario c resulting in the highest percentage gain and scenario a resulting in the highest percentage loss.

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Please do not write in cursive.
For this assignment, select two current unions, such as the AFA, ALPA, or IMA, etc. Research and analyze the various labour segments and how each segment is subject to its own labour laws.
Determine the core components of impact based on the structure of the unions that you identify. Discuss whether or not the core components that you identify would change in a non-union company.

Answers

The two current unions that can be selected for this assignment are AFA and ALPA.

AFA stands for Association of Flight Attendants and ALPA stands for Air Line Pilots Association. The different labor segments for these unions are the pilots, co-pilots, and flight attendants. Each of these labor segments is subject to its own labor laws that govern their roles and responsibilities. Airline unions such as AFA and ALPA are structured around the different labor segments. For instance, the pilots' union is structured differently from the flight attendants' union, and each union has its own structure of leadership, policies, and procedures. The core components of impact based on the structure of the unions identified are as follows:

1. Collective bargaining is the process by which the union negotiates with the airline's management for wages, benefits, and working conditions for union members. Unions negotiate collectively to gain more bargaining power over management.

2. Grievance proceduresThe union will represent employees in grievances against the airline if a worker believes that they have been wronged. In addition, the union will represent employees in any legal disputes that may arise.

3. Job security. The union provides job security for employees, which means that members of the union are less likely to be laid off than non-union employees.

4. BenefitsUnions work to ensure that workers receive fair benefits, such as health insurance, retirement plans, and other benefits.

5. Fair treatmentUnions work to ensure that workers are treated fairly by the airline and that management is held accountable for any actions that may harm employees. The core components identified above may change in a non-union company. For instance, non-union employees may not have job security or benefits that are provided to union employees.

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Which of the following CANNOT cause a shift in the demand curve for a good?

Scientists discover new information about the benefits of the good

The government issues a stimulus payment that makes consumers richer

The price consumers are charged for a complementary good changes

The price consumers are charged for a substitute good changes

Consumers are charged a different price for the good

Answers

A change in the price consumers are charged for a substitute good cannot cause a shift in the demand curve for a good.


The demand curve represents the relationship between the price of a good and the quantity demanded, assuming other factors remain constant. Shifts in the demand curve occur due to changes in factors other than price.

The options provided in the question involve various factors that can potentially cause shifts in the demand curve, except for the statement "The price consumers are charged for a substitute good changes." This statement does not directly impact the demand for the good in question.

Changes in the price of a substitute good can influence the demand for the substitute good itself, as consumers may opt for the substitute when its price changes relative to the good in question. However, it does not directly affect the demand for the good itself, and therefore, it does not cause a shift in the demand curve for that specific good.

Shifts in the demand curve are caused by factors such as changes in consumer preferences, income levels, population demographics, expectations, infromation about the benefits of the good, among others.

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in which social context does reciprocal socialization take place?

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Reciprocal socialization takes place within the context of social interactions and relationships.

It refers to the dynamic and bidirectional exchange of social influence between individuals, where both parties actively engage and influence each other's behaviors, thoughts, and emotions. This process occurs within various social contexts, including family, friendships, romantic relationships, workplace interactions, and other social groups.

Reciprocal socialization is essential for the development of social skills, identity formation, and the maintenance of healthy relationships. It involves mutual responsiveness, communication, negotiation, and adaptation to the social environment, fostering mutual growth and development.

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Organizations are cutting costs and making decisions to offer employees remote work. In this week's discussion, your boss just informed you that you will work remotely starting Friday. You are concerned you will have a difficult time building and maintaining relationships. The following are areas of concern for you: Leader-member relationships. Coworker relationships. Boundary-spanning relationships extending outside the organization. Step 2 - Post a Response Respond to the following. Choose one area and explain how you will maintain the relationship you identified with specific steps you will take to build the relationship.

Answers

To maintain coworker relationships while working remotely, actively engage in virtual communication platforms and foster personal connections through informal team gatherings or virtual coffee breaks.

One way to build and maintain coworker relationships while working remotely is by actively engaging in virtual communication platforms. Regularly participate in team meetings, video conferences, and virtual collaboration sessions to stay connected with coworkers. Actively contribute to discussions, offer support, and provide feedback to demonstrate your commitment to the team.

Additionally, make an effort to connect with coworkers on a personal level. Schedule virtual coffee breaks or informal team gatherings to foster social connections and build rapport. Use instant messaging or email to check in with colleagues, share updates, and express appreciation for their work. By proactively engaging in virtual communication and fostering personal connections, you can build and maintain strong coworker relationships despite being physically distant.

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Softtouch Hardware is opening a new store and plans a week long celebration beginning on December 2 to honor the occasion. In preparation, Softtouch pays Spangled Banners $300 to make a large banner with the wording "Grand Opening." The terms of their contract include a clause that requires Spangled Banners to deliver the banner by December 2 or pay Softtouch $100 a day for each day after December 2 that it fails to deliver the banner. Because of material shortages Spangled Banners does not deliver the banner until December 4th. Softtouch sues Spangled Banners for $200. Which of the following is true?
Group of answer choices
A. Softtouch is seeking incidental damages
B. Softtouch is seeking liquidated damages.
C. The contract involves a condition subsequent
D. The contract contains a condition precedent.

Answers

Softtouch has the right to sue Spangled Banners for $200.

According to the terms of the contract between Softtouch Hardware and Spangled Banners, the banner was required to be delivered by December 2. However, Spangled Banners failed to deliver the banner until December 4 due to material shortages. As a result, they did not meet the agreed-upon deadline.

The contract included a clause that stated if Spangled Banners failed to deliver the banner by December 2, they would be required to pay Softtouch $100 for each day after December 2 until the banner was delivered. Since the banner was delivered two days late, Softtouch has the right to seek compensation for the two days of delay, which amounts to $200 ($100 per day).

Therefore, Softtouch can sue Spangled Banners for $200 to recover the compensation specified in the contract for the delay in delivering the banner.

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The perspective that the real power to influence policy is concentrated and held by "the establishment" is referred to as? Pluralist O Factionist Elitist O Dominant

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The elite theory, which suggests that political power is concentrated in the hands of a few wealthy and influential individuals in society who make policy decisions to their advantage, is the perspective that the real power to influence policy is concentrated and held by "the establishment."

The elite theory, which suggests that political power is concentrated in the hands of a few wealthy and influential individuals in society who make policy decisions to their advantage, is the perspective that the real power to influence policy is concentrated and held by "the establishment."Those in power work towards maintaining their status by limiting access to resources to outsiders. Political power rests in the hands of a select few individuals in the elite theory, and this power is beyond the reach of the masses. The theory is based on the idea that those in power work towards maintaining their status, by limiting access to resources to outsiders. Those who have power, it is argued, have resources that others do not have and that the power elite use these resources to protect and expand their wealth, status, and influence over political processes.Elite theory concludes that a few individuals control the policy-making process, and these individuals are often part of a group known as the establishment. It is believed that the elite operates through established institutions and formal organizations, such as political parties, bureaucracies, and interest groups. The elite also exercises power through informal mechanisms, such as social networks, family connections, and business partnerships. The theory has been criticized for oversimplifying the complexity of power relationships and underestimating the role of public opinion and other political institutions in shaping policy decisions.

In conclusion, the elite theory suggests that a few individuals control the policy-making process and these individuals are often part of a group known as the establishment. It is believed that the elite operates through established institutions and formal organizations, such as political parties, bureaucracies, and interest groups. The elite also exercises power through informal mechanisms, such as social networks, family connections, and business partnerships. The theory has been criticized for oversimplifying the complexity of power relationships and underestimating the role of public opinion and other political institutions in shaping policy decisions.

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People hold less money when inflation is high (inflation
tax)-this distorts behavior. Discuss

Answers

Inflation refers to an increase in the average prices of goods and services over a specific period of time. It can be caused by various factors, such as a decrease in the supply of money, an increase in the demand for goods and services, or an increase in production costs.

When inflation is high, people tend to hold less money, which can lead to a distortion of behavior. The relationship between inflation and money holding is defined as the "inflation tax." It is because when the rate of inflation is high, the purchasing power of the currency drops. This implies that the money that is held in a savings account is worth less than before, in real terms.

Therefore, individuals would be willing to pay a higher inflation tax to hold money in the short term, depending on the expected inflation rate. The inflation tax can influence the behavior of individuals by distorting their decisions on spending, saving, and investing. High inflation may cause people to change their savings behavior.

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Post your response to the following question. Q: Are different
cultural beliefs welcome in Canada? Use personal/referenced
examples to support your answer.

Answers

Yes, different cultural beliefs are welcome in Canada. The country is often referred to as a mosaic of cultures and people from different parts of the world who come to Canada to start new lives. As a result, Canadians are accepting of different cultures and beliefs and celebrate the diversity that they bring to the country.

As an immigrant myself, I have experienced firsthand the welcoming nature of Canadians towards people of different cultures and beliefs. The Canadian Charter of Rights and Freedoms, which forms part of Canada's constitution, protects the rights of individuals to practice their cultural beliefs freely and without discrimination.

In conclusion, Canada is a welcoming and inclusive country that celebrates diversity and encourages the expression of different cultural beliefs. It is a country that values multiculturalism and provides a safe and supportive environment for individuals to express their beliefs and cultural traditions.

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A convenience store recently started to carry a new brand of soft drink. Management is interested in estimating future sales volume to determine whether it should continue to cany the new brand or replace it with another brand. The following table provides the number of cans sold per week. Use both the trend projection with regression and the exponential smoothing (let alpha = 0.4 with an initial forecast for week 1 of 603) methods to forecast demand for week 13. Compare these methods by using the mean absolute deviation and mean absolute percent error performance criteria. Does your analysis suggest that sales are trending and if so. by how much? Obtain the trend projection with regression forecast. The forecast for week 13 is. (Enter your response rounded to the nearest whole number)

Answers

To forecast demand for week 13 for a new brand of soft drink carried by a convenience store, two methods are used: trend projection with regression and exponential smoothing.

The trend projection with regression method involves determining the linear trend based on the historical data, while exponential smoothing uses a weighted average of past observations.

The mean absolute deviation and mean absolute percent error are used as performance criteria to compare the accuracy of the two methods. The analysis will also indicate if there is a trending pattern in the sales data and the magnitude of the trend.

To obtain the trend projection with regression forecast, the historical sales data should be analyzed using regression analysis to determine the linear trend equation. Once the trend equation is established, the forecast for week 13 can be calculated. The mean absolute deviation and mean absolute percent error can then be computed to evaluate the accuracy of the forecasted values.

The explanation of the specific calculations and steps involved in obtaining the trend projection with regression forecast, as well as the calculation of the mean absolute deviation and mean absolute percent error, would require the actual data and formulas. Without the specific data, it is not possible to generate an accurate answer within the given word limit.

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C2: Monopoly and Oligopoly. .......20 points. Suppose a monopolist has the following cost function C(Q)= 50Q (with marginal cost MC = 50). Suppose it faces market demand of P=200 - Q. (a) Sketch the market demand, marginal revenues, and marginal costs. Be neat. (b) What is the monopolist's optimal level of output, price, and profits? Show your work. (c) What is the DWL associated with the monopoly output? Show your work. (d) (Cournot Competition) Now suppose we added a second firm that has identical costs to the monopolist. Show that the resulting Cournot Equilibrium has each firm producing output of 200 units. That is, show that, if the other firm sells 200 units, then the best you can do is also sell 200 units. (e) What are profits under Cournot Competition compared to the Monopoly case? Hint: be sure to discuss the market price. (f) What happens to the DWL under Cournot Competition relative to the Monopoly case? Explain why this happens.

Answers

The main answer is:-

asy]

unitsize(1 cm);

real func (real x) {

return 200 - x;

}

draw(graph(func, 0, 200), Arrows);

draw((-1, 0)--(250, 0));

draw((0, -1)--(0, 250));

label("P", (250, 0), E);

label("Q", (0, 250), N);

[/asy]

(b)

The monopolist's profit-maximizing quantity is found where marginal revenue equals marginal cost. The marginal revenue curve is given by MR=200−2Q. Setting this equal to marginal cost, we have 200−2Q=50, so Q=75. The monopolist's profit-maximizing price is then P=200−Q=125. The monopolist's profits are given by π=(P−MC)Q=(125−50)75=5625.

(c)

The deadweight loss associated with the monopoly output is the area of the triangle bounded by the demand curve, the marginal revenue curve, and the horizontal line at the competitive output level. The competitive output level is found where marginal cost equals price, which is at Q=100. The deadweight loss is then  

2

1

(100−75)(200−125)=1875.

(d)

In the Cournot model, each firm assumes that the other firm's output will remain constant. This means that each firm's best response curve is given by q

i

=

2

1

(200−q

j

). If both firms produce 200 units, then each firm's best response is to continue producing 200 units. This is a Nash equilibrium, since neither firm has an incentive to deviate from its current output level.

(e)

The profits under Cournot competition are lower than the profits under monopoly. This is because the price under Cournot competition is lower than the price under monopoly. The market price under Cournot competition is P=200−(q

1

+q

2

)=100. The profits for each firm are then π

i

=(P−MC)q

i

=(100−50)200=10000. The total profits for both firms are then 20000, which is lower than the monopoly profits of 5625.

(f)

The deadweight loss under Cournot competition is lower than the deadweight loss under monopoly. This is because the output under Cournot competition is higher than the output under monopoly. The output under Cournot competition is Q=q

1

+q

2

=400. The deadweight loss is then  

2

1

(400−100)(200−100)=2250. This is lower than the deadweight loss under monopoly of 1875.

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How does language affect the way we experience the world?

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Language plays a profound role in shaping the way we experience the world. Here are some key ways in which language affects our perception and understanding of the world:

1. Conceptualization: Language provides a system of symbols and words that allow us to categorize and conceptualize our experiences. It gives us the ability to label and make sense of the world around us. Different languages may have distinct words or concepts that reflect cultural values, priorities, and ways of perceiving reality.

2. Perception and Attention: Language influences how we perceive and pay attention to the world. It shapes our cognitive processes, including what we notice, what we consider relevant, and what we ignore. For example, languages with rich color vocabularies may influence how individuals perceive and distinguish colors.

3. Expression of Thoughts and Emotions: Language enables us to express and communicate our thoughts, emotions, and experiences. It provides a framework for sharing our inner world with others, fostering social connections, empathy, and understanding. The nuances, grammar, and vocabulary of a language can influence how we convey meaning and emotional nuances.

4. Cultural and Social Influence: Language is deeply intertwined with culture and social norms. It reflects and reinforces cultural values, customs, and social hierarchies. It shapes our worldview, beliefs, and behaviors, as language carries cultural nuances, expressions, and idioms unique to a particular community.

5. Influence on Memory and Recall: Language impacts our memory and recall processes. The words and linguistic structures we use influence how we encode, store, and retrieve information. Different languages may have different structures or emphasis on specific details, leading to variations in memory formation and recollection.

6. Perception of Time and Space: Languages can influence our perception of time and space. Some languages have specific vocabulary or grammatical structures to describe temporal or spatial relationships, shaping how speakers conceptualize and communicate about these dimensions.

It is important to note that language is not a deterministic factor but interacts with other cognitive, cultural, and contextual factors in shaping our experiences. However, language acts as a powerful tool that influences how we interpret, communicate, and make meaning of the world around us.

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If the facts for the original sale were the same as #4, but the company is using the allowance method for Bad Debts, journalize the following transactions using the allowance method of accounting for uncollectible receivables. June 10-Received payment for one-half of the receivable from Jim Dobbs and wrote off the remainder. June 30- Please journal the adjusting entry at year end June 30 if the Sales for the year is $45,000, Accounts Receivable at year- end is $12,500, and the Allowance for Doubtful Accounts has a debit balance of $600. I It is estimated that 4% of Sales will be uncollectible. Date Account Name Debit Credit

Answers

The entry on June 10 will include one half of the receivable from Jim Dobbs being received. The remaining half will be written off as bad debt.

On June 30, an adjusting entry will be created in the books of accounts. A sales estimate of 4% will be applied to uncollectible sales using the allowance method. The total uncollectible accounts are then recorded in the allowance for doubtful accounts.DateAccount NameDebitCreditJune 10Cash($2,000 ÷ 2)$1,000Accounts Receivable—Jim Dobbs($2,000 ÷ 2)$1,000Accounts Receivable—Jim Dobbs$1,000Allowance for Doubtful Accounts$1,000June 30Bad Debt Expense($45,000 × 0.04)$1,800Allowance for Doubtful Accounts$1,800Therefore, the long answer is:On June 10, the transaction would include one-half of the receivable from Jim Dobbs being received by the company, while the remaining half of the receivable will be written off as bad debt.

Therefore, the following journal entry is recorded:Cash ($2,000 ÷ 2) $1,000Accounts Receivable—Jim Dobbs ($2,000 ÷ 2) $1,000Accounts Receivable—Jim Dobbs $1,000Allowance for Doubtful Accounts $1,000As of June 30, an adjusting entry needs to be recorded to reflect the allowance method for uncollectible receivables. The sales estimate of 4% will be applied to uncollectible sales. The total uncollectible accounts will be recorded in the allowance for doubtful accounts. The following journal entry is recorded:Bad Debt Expense ($45,000 × 0.04) $1,800Allowance for Doubtful Accounts $1,800

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Company XYZ had a share price at the start of the year of $64.00 and paid a dividend of $4.00 at the end of the year. If XYZ has an equity cost of capital of 12%, what price would you expect to pay for a share of stock just after it pays its dividend at the end of the year?

Answers

Answer:  we expect to pay $60.00 for a share of stock just after it pays its dividend at the end of the year.

Given: Company XYZ had a share price at the start of the year of $64.00 and paid a dividend of $4.00 at the end of the year. XYZ has an equity cost of capital of 12%.To find: What price would you expect to pay for a share of stock just after it pays its dividend at the end of the year?

Solution:Firstly, we need to find the dividend yield which is the dividend expressed as a percentage of the current share price.Dividend yield = Dividend / Current share price

Dividend = $4.00Current share price = $64.00

Dividend yield = $4.00/$64.00= 0.0625 = 6.25%

The next step is to find the ex-dividend price or the price of the share just after the dividend has been paid. This can be calculated by multiplying the current share price by 1 minus the dividend yield.

Ex-dividend price = Current share price x (1 - Dividend yield)

Ex-dividend price = $64.00 x (1 - 0.0625)

Ex-dividend price = $64.00 x 0.9375 = $60.00

Now, we need to calculate the price of the share at the end of the year using the dividend discount model.

P = D / (r - g)

Where,P = Price of shareD = Dividend

at the end of the year = $4.00r = Equity

cost of capital = 12%g = Dividend

growth rate = (0% or $0 since the dividend has not increased)

P = $4.00 / (0.12 - 0) = $33.33

Finally, the price you would expect to pay for a share of stock just after it pays its dividend at the end of the year is the ex-dividend price, which is $60.00.

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When a company changes from any inventory method to LIFO, the change is reported Multiple Choice prospectively because it is usually impractical to determine the effects of this change on prior years’ net income. as an error correction. as a change in an accounting estimate. using the retrospective approach.

Answers

When a company changes from any inventory method to LIFO (Last-In, First-Out), the change is reported prospectively because it is usually impractical to determine the effects of this change on prior years' net income.

A change from any inventory method to LIFO is reported prospectively, meaning that the change affects future financial statements but not the previously reported financial statements. This is because it is typically difficult to determine the precise effects of the change on prior years' net income. Retroactively adjusting prior years' financial statements would require detailed information and calculations for each historical period, which can be impractical and time-consuming.

Instead, the change is implemented from the date of the change forward, and the financial statements going forward reflect the LIFO method. The justification for reporting the change prospectively is that it provides more relevant and reliable information for users of the financial statements.

It's important to note that this approach differs from reporting errors or changes in accounting estimates. Errors in financial statements are corrected retrospectively, while changes in accounting estimates are applied to both current and future periods, but they do not require adjustment of prior years' financial statements.

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Market demand is given as QD = 150 - P. Market supply is given as QS = 4P. In a perfectly competitive equilibrium, what will be the value of consumer surplus? O a. $2304 O b. $7200 c. $9216 O d. $1800

Answers

The value of consumer surplus in this perfectly competitive equilibrium is $3600.

In a perfectly competitive equilibrium, the value of consumer surplus can be calculated by finding the area of the triangle formed between the demand curve and the price axis.

The equation for market demand is QD = 150 - P, and the equation for market supply is QS = 4P. To find the equilibrium price, we set QD equal to QS:

150 - P = 4P

Simplifying the equation, we get:

5P = 150

P = 30

Substituting the equilibrium price (P = 30) back into the demand equation, we can find the equilibrium quantity:

QD = 150 - 30 = 120

To calculate the consumer surplus, we need to find the area of the triangle. The formula for the area of a triangle is (base * height) / 2. In this case, the base is 120 (quantity) and the height is 30 (price):

Consumer Surplus = (120 * 30) / 2 = 3600

Therefore, the value of consumer surplus in this perfectly competitive equilibrium is $3600.

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A product has a demand of 2000 units per year. Ordering cost is $20, and holding cost is $2 per unit per year. The cost-minimizing solution for this product is to order:
Question 3 options:
every 100 days
100 units per order
10 times per year
200 units per order
all 2000 units per year

Answers

Option (d), A product has a demand of 2000 units per year. The ordering cost is $20, and the holding cost is $2 per unit per year. The cost-minimizing solution for this product is to order 200 units per order.

There are different costs that must be considered when deciding how much inventory to order, such as ordering costs and holding costs. Ordering costs are the expenses associated with the order and delivery of goods. Holding costs are the expenses associated with storing and maintaining inventory.

The economic order quantity (EOQ) formula can be used to determine the optimal order quantity that minimizes total inventory costs by balancing these two costs. The EOQ formula is as follows:

EOQ = square root of ((2DS) / H)

Where:

D = Annual demand

S = Ordering cost

H = Holding cost per unit per year

EOQ is the cost-minimizing solution for this product to order 200 units per order.

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PA 12-1 (Static) Millennium Liquors is a wholesaler... Millennium Liquors is a wholesaler of sparkling wines. Its most popular product is the French Bete Noire, which is shipped directly from France. Weekly demand is 45 cases. Millennium purchases each case for $120, there is a $300 fixed cost for each order (independent of the quantity ordered), and its annual holding cost is 25 percent. (Do not round intermediate calculations. Round your answer to the nearest whole number.) a. What order quantity minimizes Millennium's annual ordering and holding costs? cases (Do not round intermediate calculations. Round your answer to the nearest whole number.) If Millennium chooses to order 300 cases each time, what is the sum of its annual b. ordering and holding costs? (Do not round intermediate calculations. Round your answer to 2 decimal places.) If Millennium chooses to order 100 cases each time, what is the sum of the ordering and holding costs incurred by each case sold? C. per case (Do not round intermediate calculations. Round your answer to the nearest whole number.) If Millennium is restricted to ordering in multiples of 50 cases (e.g., 50, 100, 150, etc.), d. how many cases should it order to minimize its annual ordering and holding costs? cases (Do not round intermediate calculations. Round your answer to the nearest whole number.) Millennium is offered a 5 percent discount if it purchases at least 1,000 cases. If it decides e. to take advantage of this discount, what is the sum of its annual ordering and holding costs?

Answers

a. To determine the order quantity that minimizes Millennium's annual ordering and holding costs, we can use the Economic Order Quantity (EOQ) formula.

EOQ = √[(2DS)/H]

where:

D = Annual demand = 45 cases per week * 52 weeks = 2,340 cases

S = Ordering cost per order = $300

H = Holding cost per case per year = $120 * 0.25 = $30

Plugging in the values, we get:

EOQ = √[(2 * 2,340 * 300) / 30] ≈ 490 cases

Therefore, the order quantity that minimizes Millennium's annual ordering and holding costs is approximately 490 cases.

b. If Millennium chooses to order 300 cases each time, we can calculate the annual ordering and holding costs separately and then sum them up.

Ordering cost = (Annual demand / Order quantity) * Ordering cost per order

Ordering cost = (2,340 / 300) * $300 = $2,340

Holding cost = (Order quantity / 2) * Holding cost per case

Holding cost = (300 / 2) * $30 = $4,500

Total annual ordering and holding costs = Ordering cost + Holding cost

Total annual ordering and holding costs = $2,340 + $4,500 = $6,840

c. If Millennium chooses to order 100 cases each time, the ordering and holding costs incurred by each case sold can be calculated as follows:

Ordering cost per case = Ordering cost / Annual demand

Ordering cost per case = $2,340 / 2,340 = $1

Holding cost per case = Holding cost / Annual demand

Holding cost per case = $4,500 / 2,340 ≈ $1.92

Ordering cost = (Annual demand / Order quantity) * Ordering cost per order

Ordering cost = (2,340 / 1,000) * $300 = $702

Holding cost = (Order quantity / 2) * Holding cost per case

Holding cost = (1,000 / 2) * $30 = $15,000

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

Answers

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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Statistically insignificant serial correlation suggests that the market is at least:

semi-strong form efficient

weak form efficient

strong form efficient

moderately efficient

Asset price bubbles are likely the result of investors':

conservatism

strong form efficiency

representativeness

arbitrage

Fama finds that most of the anomalies, found in academic research, are chance events, which suggests:

representativeness

arbitrage

semi-strong form efficient markets

conservatism

The idea that prices should reflect all publicly available information is known as:

market inefficiency

semi-strong form efficiency

strong form efficiency

weak form efficiency

On average, a company's stock price adjusts slowly to earnings announcements, which is an example of:

weak form efficiency

market inefficiency

strong form efficiency

semi-strong form efficiency

If market are efficient then the Royal Dutch and Shell 60-40 Price Ratio Deviations should equal:

5%

0%

-10%

10%

Answers

Statistically insignificant serial correlation suggests that the market is at least: weak form efficient. Asset price bubbles are likely the result of investors': representativeness.

Fama finds that most of the anomalies found in academic research are chance events, which suggests: semi-strong form efficient markets.

The idea that prices should reflect all publicly available information is known as: semi-strong form efficiency.

On average, a company's stock price adjusts slowly to earnings announcements, which is an example of: semi-strong form efficiency.

If markets are efficient, then the Royal Dutch and Shell 60-40 Price Ratio Deviations should equal: 0%

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Inventory Costing Methods-Perpetual Method Refer to the information in E6-2A and assume the perpetual inventory system is used. Calculate the cost of goods sold for the July 15 sale using (a) first-in, first-out, (b) last-in, first-out, and (c) the weighted-average cost methods. Round your final answers to the nearest dollar.

Answers

Here are the computations for the cost of goods sold for the July 15 sale using the (a) first-in, first-out (FIFO), (b) last-in, first-out (LIFO), and (c) the weighted-average cost method (WAC):

Given information:Inventory, July 1 (10 units at $24) - $240July 6 purchase - 20 units at $25 = $500July 15 sale - 25 units

Calculate cost of goods sold using the FIFO method:Under the FIFO method, the cost of the units sold is based on the cost of the units acquired first. We must first calculate the number of units available for sale and then subtract the number of units sold.

The cost of goods sold is then calculated based on the cost of the remaining units.

Inventory available for sale = 10 units + 20 units = 30 units

Number of units sold = 25 units

Remaining inventory = 5 units at $25 = $125

Cost of goods sold = 25 units × $24 = $600

Calculate cost of goods sold using the LIFO method:Under the LIFO method, the cost of the units sold is based on the cost of the units acquired last. We must first calculate the number of units available for sale and then subtract the number of units sold. The cost of goods sold is then calculated based on the cost of the remaining units.

Inventory available for sale = 10 units + 20 units = 30 units

Number of units sold = 25 units

Remaining inventory = 5 units at $24 = $120

Cost of goods sold = 25 units × $25 = $625Calculate cost of goods sold using the WAC method:Under the WAC method, the cost of the units sold is based on the weighted average cost of all the units available for sale. We must first calculate the total cost of all the units available for sale and then divide that amount by the total number of units available for sale.

The cost of goods sold is then calculated based on the weighted average cost of the units available for sale.

Total cost of inventory available for sale = ($240 + $500) = $740

Total number of units available for sale = 10 units + 20 units = 30 units

Weighted average cost per unit = Total cost of inventory available for sale ÷ Total number of units available for sale = $740 ÷ 30 units = $24.67

Number of units sold = 25 units

Cost of goods sold = 25 units × $24.67 = $616.75

Therefore, the cost of goods sold for the July 15 sale using the (a) FIFO method is $600, (b) LIFO method is $625, and (c) the WAC method is $616.75 (rounded to the nearest dollar).

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(a) The cost of goods sold for the July 15 sale using the FIFO method is $3,100.

(b) The cost of goods sold for the July 15 sale using the LIFO method is $3,600.

(c) The cost of goods sold for the July 15 sale using the Weighted-average cost method is $1,060.

In order to solve this problem, we will use the following data:

July 1 Inventory 200 units $10 = $2,000

July 10 Sale 100 units

July 15 Purchase 300 units $11 = $3,300

July 20 Sale 230 units

1. Cost of goods sold for the July 15 sale using the First-in, first-out (FIFO) method:

Under FIFO method, the cost of the first item purchased is considered as the cost of the first item sold. In this case, we will first sell the 200 units purchased on July 1 and then 100 units purchased on July 15.

Cost of the units sold on July 1 = 200 units x $10

= $2,000

Cost of the units sold on July 15 = 100 units x $11

= $1,100

Total cost of goods sold = $2,000 + $1,100

= $3,100

2. Cost of goods sold for the July 15 sale using the Last-in, first-out (LIFO) method:

Under LIFO method, the cost of the last item purchased is considered as the cost of the first item sold. In this case, we will first sell the 300 units purchased on July 15 and then 30 units purchased on July 1.

Cost of the units sold on July 15 = 300 units x $11

= $3,300

Cost of the units sold on July 1 = 30 units x $10

= $300

Total cost of goods sold = $3,300 + $300

= $3,600

3. Cost of goods sold for the July 15 sale using the Weighted-average cost method:

Under the weighted-average cost method, the average cost per unit is calculated by dividing the total cost of goods available for sale by the total number of units available for sale.

Average cost per unit = Total cost of goods available for sale / Total number of units available for sale

Total cost of goods available for sale = Cost of inventory on July 1 + Cost of inventory purchased on July 15

Cost of inventory on July 1 = 200 units x $10

= $2,000

Cost of inventory purchased on July 15 = 300 units x $11

= $3,300

Total cost of goods available for sale = $2,000 + $3,300

= $5,300

Total number of units available for sale = Units in inventory on July 1 + Units purchased on July 15

Units in inventory on July 1 = 200 units

Units purchased on July 15 = 300 units

Total number of units available for sale = 200 + 300

= 500

Average cost per unit = $5,300 / 500

= $10.60

Cost of goods sold for the July 15 sale = Units sold x Average cost per unit

Units sold on July 15 = 100 units

Cost of goods sold for the July 15 sale = 100 units x $10.60

= $1,060

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18) To open an existing Access file, click Open Other Files and then O conduct a search O click OneDrive O Browse O click Home 20) in a Word mail merge, you can use a subset of the mailing list based on a specific set of criteria-for example, only customers in Florida-by applying a O condition O filter O dynamic field O sort 27) If a Word document and an Excel spreadsheet are linked, any change in the spreadsheet will be updated in the Word document when it is opened. O True O False 28) Word, Excel, Access, and PowerPoint work well together because they are from the same software suite. True O False

Answers

18) Option (c), To open an existing Access file, click Open Other Files and then Browse.

19) To open an existing Access file, follow the steps given below:

Open Microsoft Access.

Click on Open Other Files.

In the Open dialog box, click on Browse.

Navigate to the folder containing the file you want to open.

Select the file and click on Open.

20) In a Word mail merge, you can use a subset of the mailing list based on a specific set of criteria-for example, only customers in Florida-by applying a filter.

21) In a Word mail merge, to use a subset of the mailing list based on a specific set of criteria, follow the steps given below:

Open a Word document.

On the Mailings tab, click on Select Recipients.

In the drop-down menu, click on Use Existing List.

In the Select Data Source dialog box, select the file you want to use and click on Open.

Click on Edit Recipient List.In the Mail Merge Recipients dialog box, click on the Filter button.

In the Filter and Sort dialog box, choose the appropriate field, operator, and value, and click on OK.

Click on OK to close the Mail Merge Recipients dialog box.

27) If a Word document and an Excel spreadsheet are linked, any change in the spreadsheet will be updated in the Word document when it is opened. The main answer is True.

28) Word, Excel, Access, and PowerPoint work well together because they are from the same software suite. The main answer is True.

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Explain brand personality briefly with lego example. Brand Personality: My LEGO Friend My LEGO friend... has a vivid imagination... is curious and likes to try out new things... is always positive and optimistic... is fun to be around with ... enjoys bringing people together... is friendly and approachable... is caring for others... doesn't get bothered by the little things. ... can comfortably adapt to play different roles E 900

Answers

Brand Personality refers to the personality traits associated with a specific brand. These personality traits are used to humanize a brand and connect with the consumers on a deeper emotional level.

Brand Personality is how the brand behaves, interacts, and presents itself to the world.

What on LEGO?

My LEGO friend... has a vivid imagination... is curious and likes to try out new things... is always positive and optimistic... is fun to be around with ... enjoys bringing people together... is friendly and approachable... is caring for others... doesn't get bothered by the little things. ... can comfortably adapt to play different roles.

The Lego company uses this brand personality to connect with their target audience, which is children. Lego is all about creativity and imagination, which is reflected in its brand personality. Lego is a brand that encourages children to be curious, imaginative, and try out new things.

Lego is also a brand that brings people together. Lego blocks are designed to be used by more than one person. This encourages children to work together and build things collaboratively.

Lego's brand personality is reflected in its products as well. Lego sets are designed to be fun and engaging, which helps children develop their imagination and creativity.

Therefore, Lego's brand personality is centered around being friendly, approachable, and creative. Lego is all about encouraging children to explore their creativity and imagination in a fun and engaging way. Lego's brand personality has helped it become the largest toy company in the world.

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we know that the fed targets the federal funds rate to influence the economy. if the fed wants to pursue contractionary policy, they would want to make an open market , which would push the federal funds rate

Answers

The given statement-'' If the Federal Reserve (Fed) wants to pursue a contractionary policy, they would want to make an open market sale, which would push the federal funds rate higher'' is true because The federal funds rate is the interest rate at which banks lend and borrow reserves from each other overnight to meet their reserve requirements.

By adjusting the federal funds rate, the Fed can influence short-term interest rates and, consequently, the overall level of borrowing, spending, and economic activity.

In a contractionary policy stance, the Fed aims to slow down economic growth and control inflationary pressures. To achieve this, the Fed would sell government bonds in the open market. When the Fed sells bonds, it drains reserves from the banking system, reducing the supply of available funds. As a result, banks have less liquidity and are more reluctant to lend, causing the federal funds rate to increase.

By pushing the federal funds rate higher through open market sales, the Fed makes borrowing more expensive, which can discourage investment and spending, thereby dampening economic activity and inflationary pressures.

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Complete question

we know that the fed targets the federal funds rate to influence the economy. if the fed wants to pursue contractionary policy, they would want to make an open market , which would push the federal funds rate True or False

With the widespread use of e-books, such as Amazon.com’s Kindle, book publishers are faced with a tough channel decision: should they introduce the conventional hardcover and the ebook versions simultaneously or delay release to the e-book channel until after the hardcover has had a chance to generate sales through the conventional channels? HarperCollins, the publisher of former vice presidential candidate Sarah Palin’s book, Going Rogue: An American Life, opted for the delay strategy. The publisher chose to wait over a month after the release of the hardcover before making the book available via e-book. The publisher had produced 1.5 million copies of the hardcover version, which were available for sale in book stores and online in mid-November. But the e-book version was not made available until December 26, the day after Christmas. Apparently HarperCollins was worried about the ebook cannibalizing sales from the hardcover version.​

Do you think HarperCollins made the right channel decision? Why or why not?​

Answers

HarperCollins took the delay strategy when it comes to launching the e-book version of Sarah Palin's book. But the decision was questioned.

The decision of the HarperCollins to delay the release of the e-book version of the book is understandable. They may have thought that the e-book version would cannibalize sales from the hardcover version. As per the Nielsen Book Scan data, they revealed that the delay of e-book version of Sarah Palin’s book, Going Rogue did not affect sales, which means that it was the right channel decision.

It may seem like a risky decision, but in reality, the delay tactic could have been beneficial for HarperCollins. It allowed the book to maximize its hardcover sales potential and meet the demand of the readers who prefer hardcover over ebook format.It also helped the company to avoid having to make a difficult pricing decision by releasing the ebook at a similar price as the hardcover version. Thus, it can be concluded that the decision of the HarperCollins to delay the release of the ebook version of Sarah Palin's book was a calculated risk that has benefited the company.

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Rible Company has observed that at an activity level of 8,000 units the cost for maintenance is $15,000, and at 10,000 units the cost for maintenance is $16,500. Using the high-low method, the cost formula for maintenance is:
Select one:
a.
$15,000 plus $0.15 per unit.
b.
$9,000 plus $0.75 per unit.
c.
$1.65 per unit.
d.
$1.875 per unit.

Answers

The correct option among the options provided for the given question is option "b". The cost formula for maintenance is $9,000 plus $0.75 per unit. What is high-low method? High-low method is a method used for computing the fixed and variable costs of a company.

It is a method that is used for cost analysis and in cost accounting. In this method, the highest level of activity and the lowest level of activity are identified and the difference in the cost of those activities is calculated. Using that, the variable cost per unit and the fixed cost can be determined. How to calculate high-low method? The high-low method can be calculated in four simple steps.

Step 1: Find the highest and lowest activity levels and the corresponding cost. Step 2: Find the difference in cost between the highest and the lowest activity levels. This gives the variable cost per unit. Step 3: Using either the highest or lowest activity level, compute the fixed cost. Step 4: Combine the variable cost per unit and the fixed cost to get the final cost formula for the given company.

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