Concepts and Terminology
From the choices presented in parentheses, choose the appropriate term for completing each of the following sentences:
Sentence Appropriate term for
completing sentence
a. Advertising costs are usually viewed as (period, product) costs. periodproduct
b. Feedback is often used to (improve, direct) operations. improvedirect
c. Payments of cash or the commitment to pay cash in the future for the purpose of generating revenues are (costs, expenses). expensescosts
d. A product, a sales territory, a department, or an activity to which costs are traced is called a (direct cost, cost object). cost objectdirect cost
e. The balance sheet of a manufacturer would include an account for (cost of goods sold, work in process inventory). cost of goods soldwork in process inventory
f. Factory overhead costs combined with direct labor costs are called (prime, conversion) costs. primeconversion
g. The implementation of automatic, robotic factory equipment normally (increases, decreases) the direct labor component of product costs.

Answers

Answer 1

Sentence Appropriate term for completing sentence

a. Advertising costs are usually viewed as period costs.

b. Feedback is often used to improve operations.

c. Payments of cash or the commitment to pay cash in the future for the purpose of generating revenues are costs.

d. A product, a sales territory, a department, or an activity to which costs are traced is called a cost object.

e. The balance sheet of a manufacturer would include an account for work in process inventory.

f. Factory overhead costs combined with direct labor costs are called conversion costs.

g. The implementation of automatic, robotic factory equipment normally decreases the direct labor component of product costs.

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Related Questions

1. Brief description of the project, goods or services to be offered, location, approximate size or capacity 2. How the price will affect the demand, is there any exceptional relationship for your product. 3. What's the expected substitute commodity for your product? 4. What's the complementary commodity for your product discuss? 5. How income would affect the demand of your product, is it normal or inferior, discuss. 6. How to prove your product is in the preferences of the consumers. 7. Determine the main goal that affects the supply. 8. How communication affects the supply of your product. 9. How transportation affects the supply of your product.
10. Discuss the input of your product that is expected to affect the supply? 11. Discuss the technology would help in increasing the supply of your product? 12. Identify the type of the market with respect to your product. My project name is: - Car exhibition company( import or buy and sell cars ). - location: Muscat, Sohar, Salalah. note: in question 1, we should write a proximation number for capacity. in question 12, we should identify is monopoly or perfect composition or monopolistic composition or oligopoly..with explanation.

Answers

Price of bananas = $2.50, given price of peanuts = $1 (utility maximization). Increase in peanut price reduces Sasha's peanut purchase (substitution effect).

The project involves establishing a car exhibition company with multiple locations in Muscat, Sohar, and Salalah. The approximate size or capacity of the exhibition venues can be determined based on the number of cars they can accommodate and the available space for display.

The price of cars will influence the demand, and it's worth exploring any exceptional relationships or factors that may affect consumer preferences, such as brand reputation, technological features, or environmental considerations.

Substitute commodities for cars include alternative modes of transportation, such as public transport or cycling. Complementary commodities for cars encompass fuel, maintenance services, and car accessories, as they are typically purchased together. Income level generally affects the demand for cars, with it being a normal good for most consumers, meaning that as income increases, the demand for cars also tends to increase.

Proving that cars are preferred by consumers can be done through market research, analyzing customer feedback, and examining sales data to understand buying patterns and consumer choices. The main goal that affects the supply of cars for the exhibition is to ensure a sufficient inventory of diverse car models to cater to customer demands and preferences.

Effective communication is crucial in maintaining relationships with car manufacturers and suppliers to secure a steady supply of cars. Transportation plays a vital role in the supply chain, as it ensures the timely delivery of cars to the exhibition locations. Various inputs, such as raw materials for manufacturing, spare parts, and skilled labor, can affect the supply of cars.

Embracing technological advancements can increase the supply of cars by streamlining production processes, improving efficiency, and reducing costs. In terms of market type, car exhibitions typically fall under monopolistic competition, as there are multiple exhibitors offering differentiated car models, features, and services, giving consumers a range of choices in the market.

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Isaacson Inc. just paid a dividend of $ 1.35 per share on its stock. The dividends are expected to grow at a constant rate of 3 percent per year indefinitely. Investors require a return of 10 p

Answers

The intrinsic value of Isaacson Inc.'s stock is approximately $19.29 per share. This implies that if the stock is currently trading below $19.29, it may be considered undervalued, and if it is trading above $19.29, it may be considered overvalued, based on the given assumptions of dividend growth rate and required return.

Based on the given information, we can determine the intrinsic value of Isaacson Inc.'s stock using the Gordon Growth Model. The Gordon Growth Model calculates the present value of future dividends by discounting them at the required return rate.

To calculate the intrinsic value, we use the formula:

Intrinsic Value = Dividend / (Required Return - Dividend Growth Rate)

In this case, the dividend is $1.35 per share, and the dividend growth rate is 3% per year. The required return is 10%.

Intrinsic Value = $1.35 / (0.10 - 0.03)

Intrinsic Value = $1.35 / 0.07

Intrinsic Value ≈ $19.29

Therefore, the intrinsic value of Isaacson Inc.'s stock is approximately $19.29 per share. This implies that if the stock is currently trading below $19.29, it may be considered undervalued, and if it is trading above $19.29, it may be considered overvalued, based on the given assumptions of dividend growth rate and required return.

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Solution of open question: Suppose you are an SSO of a tanker vessel. The vessel is at the outer anchorage of the Lagos Port Complex, Nigeria. You have been instructed by the
NPA (Nigerian Port Authority) that the current security level of their outer anchorage is Security Level-III as per ISPS regulation. Describe your action in collaboration with the CSO & the PFSO.

Answers

As a Ship Security Officer (SSO) of a tanker vessel, if I am instructed by the Nigerian Port Authority (NPA) that the current security level of their outer anchorage is Security Level-III as per the ISPS (International Ship and Port Facility Security) regulation.

I would need to take the following actions in collaboration with the Company Security Officer (CSO) and Port Facility Security Officer (PFSO):Conduct a thorough risk assessment of the vessel and surrounding areas and ensure that appropriate security measures are put in place and properly maintained at all times.

Ensure that all crew members are aware of the current security level and that they comply with all security measures and procedures specified in the Ship Security Plan (SSP).Ensure that all access points to the vessel are monitored, and that only authorized personnel and visitors are allowed onboard.

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In recording the following transactions in the T-accounts, which one of the following would be correct? 1. Bought food for the week by paying $500 cash 2. Paid a utility bill for the period by paying $200 cash Select one: a. 1. Increase Unpaid Accounts (right side) $500; Increase Food Expense (left side) $500 2. Increase Cash (right side) $200; Increase Utility Expense (left side) $200 b. 1. Increase Cash (left side) $500; Increase Food Expense (left side) $500 2. Increase Cash (left side) $200; Increase Entertainment Expense (left side) $200 c. 1. Increase Cash (left side) $500; Increase Food Expense (left side) $500 2. Increase Cash (left side) $200; Increase Utility Expense (left side) $200 d. 1. Increase Cash (right side) $500; Increase Food Expense (left side) $500 2. Increase Utility Bill (right side) $200; Increase Utility Expense (left side) $200

Answers

Option c.

1. Increase Cash (left side) $500; Increase Food Expense (left side) $500.

2. Increase Cash (left side) $200; Increase Utility Expense (left side) $200.

In accounting, a T-account is a representation of an account for a company or an entity. It displays the balances of the accounts on the left and right sides of the "T" shape.

Based on the given transactions, the correct options for the recording of transactions in the T-accounts are given below:

1. Bought food for the week by paying $500 cash

The amount paid for the food was in cash, which would increase the cash balance. It would also increase the expense of food.

Therefore, the correct option would be to Increase Cash (left side) $500; Increase Food Expense (left side) $500.

2. Paid a utility bill for the period by paying $200 cash

The amount paid for the utility bill was in cash, which would decrease the cash balance. It would also increase the expense of the utility. Therefore, the correct option would be to Increase Cash (left side) $200;

Increase Utility Expense (left side) $200. Hence, the correct answer is option c.

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1.write/type a clear- unambigous – research purpose statement for a topic of interest to you here: (begin with "the purpose of this research", or "the purpose of this study is..)
2.
list at least three (3) overall research questions that may address your research purpose- correct punctuation is key!
1.
2.
3.
4.
write one clear example for each of the following goals for your research problem:
exploratory research example
descriptive research example
causal research example

Answers

Example goals for research problem:Exploratory research example: Conducting interviews and surveys with adolescents to explore their experiences with social media and mental health, identifying common themes and potential factors.

Descriptive research example: Analyzing existing data and statistics on social media usage and mental health indicators among adolescents, providing a comprehensive overview of the current state and trends.Causal research example: Conducting a longitudinal study that examines the effects of controlled social media exposure on mental health outcomes among adolescents, aiming to establish a cause-and-effect relationship between the variables.

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Your brief is to develop a business and marketing plan for an influencer to analyse current realities and then craft a comprehensive and executable plan to achieve realistic economic goals over the next three years. You may present your growth plan for any existing or new influencer. The business and marketing plan must be presented in a comprehensive document that should include the following:
I chose a fictional influencer named Tony Gibbs (Lives in South Africa) and he is influencing braai/Barbequing equipment and products such as meats and grids etc. He can also influence venues where he is barbequing to get more profit out of this influencing industry) the goal of the project is to get the influencers net worth doubled within three years.
Question: Develop Critical Risks, Critical Success Factors and Dependencies for Tony Gibbs as a influencer, consisting a answer of one page

Answers

Tony Gibbs can flourish as an influencer by developing compelling content, delivering high-quality products, and cultivating strong relationships with consumers, suppliers, and staff.

Key Threats Tony Gibbs, an influencer, faces numerous severe hazards. People follow trends and can switch to other influencers with superior content or items. Tony Gibbs must keep current in a changing market. He needs this to stay influential. Tony Gibbs may be at risk if new competitors provide cheaper products. To avoid legal complications, he must be informed of his business's legalities and obey them. Success factors Tony Gibbs must create engaging material as an influencer.

He must outperform his rivals in creativity, innovation, and entertainment. He can only keep viewers and boost brand value this way. He must also deliver high-quality products. His items must satisfy customers. This will increase brand loyalty and brand reputation. Finally, to give his customers the best items, he must stay current with technology and trends. Dependencies Several things determine Tony Gibbs' success. First, he must build good customer relations. He can only receive their feedback this way. Second, he requires solid relationships with his suppliers to receive high-quality products.

Finally, he must have solid relationships with his staff to guarantee they work hard and help his brand succeed.

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For quarter 1, Wisc Co. has 1,000 units of beginning finished goods inventory, expects to sell 5,000 units, and seeks an ending finished goods inventory of 1,500 units. As such, management is required to produce units. \begin{tabular}{|l} \hline 3,500 \\ \hline 5,000 \\ \hline 5,500 \\ \hline 7,500 \end{tabular} None of the above For quarter 1, Wisc Co. has 1,000 beginning direct materials (pounds) of inventory, expects to sell 5,000 units ( 2 pounds each), and seeks a desired ending direct materials (pounds) of inventory of 1,500 units. As such, management is required to produce pounds of direct material inventory. 7,000 10.000 10,500 11,000 None of the above Select the following sequence of events considering the company is a SERVICE provider (i.e. NOT a manufacturer) A Production budget = Budgeted cost of goods sold + desired ending finished goods inventory - beginning finished goods inventory = required finished goods purchases A Purchases budget = Budgeted cost of goods sold + desired ending merchandise inventory-beginning merchandise inventory = required merchandise purchases A Sales budget = Budgeted cost of goods sold + desired ending finished goods inventory - beginning finished goods inventory = required finished goods purchases A Service budget = Budgeted cost of goods sold + desired ending finished goods inventory-beginning finished goods inventory = required finished goods purchases

Answers

Wisc Co., a service provider, does not require a production budget as it does not manufacture products. The company focuses on service-related budgets such as the service budget, sales budget, and purchases budget to manage its operations.

For quarter 1, Wisc Co. has 1,000 units of beginning finished goods inventory, expects to sell 5,000 units, and seeks an ending finished goods inventory of 1,500 units. As such, management is required to produce units is 5,500.

Wisc Co. has 1,000 beginning direct materials (pounds) of inventory, expects to sell 5,000 units ( 2 pounds each), and seeks a desired ending direct materials (pounds) of inventory of 1,500 units. As such, management is required to produce pounds of direct material inventory is 11,000.The correct sequence of events considering the company is a SERVICE provider is:

A Service budget = Budgeted cost of goods sold

A Sales budget = Projected sales for the period

A Purchases budget = Budgeted cost of goods sold + desired ending merchandise inventory-beginning merchandise inventory = required merchandise purchases

A Production budget = This budget is not applicable to service providers

Since Wisc Co. is a service provider, it does not manufacture any products. Therefore, the company does not require a production budget in this scenario.

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Suppose that the steel mill has the right to pollute and is under no legal obligation to install the precipitator.
What is the steel mill's willingness to accept in order to install the precipitator to abate its pollution? Why?

Answers

The steel mill's willingness to accept in order to install the precipitator and abate its pollution would depend on various factors, including the costs associated with installing and operating the precipitator, the potential benefits of reducing pollution, and the regulatory and market conditions.

Here are some factors that may influence the steel mill's willingness to accept:

1. Cost of installation: The steel mill would consider the upfront cost of purchasing and installing the precipitator. This includes the equipment cost, installation expenses, and any necessary modifications to the existing infrastructure. The higher the cost, the more the mill may be willing to accept to cover these expenses.

2. Operating costs: The steel mill would also factor in the ongoing operational expenses of running the precipitator. This includes maintenance, electricity, and other operational costs. Higher operating costs may increase the mill's willingness to accept to compensate for these expenses.

3. Environmental regulations: The regulatory environment plays a crucial role. If there are strict regulations in place or potential penalties for non-compliance, the steel mill may have a higher willingness to accept installing the precipitator to avoid legal consequences or reputational damage.

4. Market demand and reputation: The steel mill's willingness to accept may also be influenced by market demand and customer preferences. If customers value environmentally-friendly products and are willing to pay a premium for them, the steel mill may see installing the precipitator as an investment that could enhance its market position and reputation, leading to potential financial benefits.

5. External incentives: External factors such as government incentives, subsidies, or grants for pollution control measures can also influence the steel mill's willingness to accept. These incentives can offset the installation and operating costs, making it more financially attractive for the mill to implement pollution abatement measures.

It's important to note that the specific values for the willingness to accept cannot be determined without considering the specific circumstances and conducting a thorough analysis of the costs and benefits. The willingness to accept will vary for each steel mill based on their unique situation and considerations.

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What happens when you hold a bond until its maturity date?
A. YOU RECEIVE THE FACE VALUE OF THE BOND
B. YOU RECEIVE WHATEVER YOU INITIALLY PAID FOR THE BOND
C. YOU RECEIVE THE FACE VALUE OF THE BOND AND ANY INTEREST THAT HAS ACCRUED SINCE THE LAST INTEREST PAYMENT
D. YOU RECEIVE WHATEVER YOU INITIALLY PAID FOR THE BOND PLUS ANY INTEREST THAT HAS ACCRUED SINCE THE LAST INTEREST PAYMENT

Answers

When you hold a bond until its maturity date, you typically receive the face value of the bond and any interest that has accrued since the last interest payment.

Holding a bond until its maturity date means keeping the bond investment until the specified maturity date stated in the bond agreement.

At maturity, the bond issuer is obligated to repay the bondholder the face value of the bond, which is the initial principal amount invested.

Additionally, the bondholder is entitled to receive any interest that has accrued since the last interest payment. This interest is typically paid periodically, such as semi-annually or annually, depending on the terms of the bond.

Therefore, holding a bond until maturity ensures that you receive the full face value of the bond and any accrued interest that has accumulated over the bond's holding period.

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Can you explain how you arrived at the answers using a regular
calculator?

Answers

What is the result of multiplying 15 by 7? The result of multiplying 15 by 7 is 105.

To calculate the result using a regular calculator, you would input the number 15, followed by the multiplication symbol (×) or the asterisk (*) button on the calculator, and then the number 7.

Pressing the equal (=) button will display the result, which is 105. This calculation is straightforward as multiplication is the process of repeated addition.

In this case, multiplying 15 by 7 means adding 15 to itself 7 times, resulting in a total of 105.

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A new oven will save $110 per year in electricity expense. How much can we afford to pay for this oven if it is expected to last 11 years? The interest rate is 11% per year.
Click the icon to view the interest and annuity table for discrete compounding when i=11% kar year
The affordable amount of payment is $____ (Round to the nearest dollar)

Answers

According to the question the affordable amount of payment is $6,837.

Given that a new oven will save $110 per year in electricity expense and it is expected to last 11 years and the interest rate is 11% per year. To find how much can we afford to pay for this oven we need to calculate the affordable amount of payment. To calculate affordable amount of payment we use present value of an annuity formula which is: Present value of an annuity formula: A = P × PVIFA (i, n)Where,P is the payment amount
PVIFA is the present value interest factor of annuity
i is the interest rate
n is the number of periods
Here, Annual Savings = $110
Number of years = 11
Interest rate = 11%
Calculation: We have to find how much we can pay for the oven so that we can calculate Present value of an annuity, A. Using the formula: A = P × PVIFA (i, n)
A = Affordable amount of paymentPVIF
A = Present Value Interest Factor of AnnuityPVIF
A (i, n) = [1 - (1 / (1 + i)^n)] / iPVIF
A (11%, 11 years) = [1 - (1 / (1 + 11%)^11)] / 11%A = 110 × PVIF
A (11%, 11 years)A = 110 × 6.2164A = $6,837.04 (rounded to the nearest dollar)
Hence, the affordable amount of payment is $6,837.

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Jupiter Corporation incurred fixed manufacturing costs of $31,196 during 2020. Other information for 2020 includes: The fixed manufacturing cost rate is based on the budgeted denominator level. Under absorption costing, the production-volume variance is: (Round any intermediary calculations to the nearest cent and your final answer to the nearest dollar.) $4,254 $2,200 $2,454 $0

Answers

To calculate the production-volume variance under absorption costing, we need the budgeted fixed manufacturing cost rate and the actual denominator level.

Since the fixed manufacturing cost rate is based on the budgeted denominator level, we'll need that information. Unfortunately, the budgeted denominator level is not provided in the given information, so we cannot calculate the production-volume variance.

Therefore, based on the information provided, the answer is not determinable.

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The market where a company would go to issue stock or bonds is the...
a. Seasoned Market
b. Secondary Market
c. Primary Market
d. Treasury Market

Which of the following is true?
a. The higher the dividend payout the lower the internal growth rate will be
b. A high-dividend payout is always associated with a high stock price
c. The higher the dividend payout the higher the retention ratio will be
d. The law requires a high-dividend payout when stock prices are high

Answers

The market where a company would go to issue stock or bonds is the Primary Market i.e. option c. A primary Market is a financial market where new securities are issued to the public for the first time, meaning that securities are issued directly to the public from the company.

In the primary market, the company gets the funds from the sale of its new securities to the public. The securities offered can be bonds or stocks. As for the second question, the statement that is true is A. The higher the dividend payout the lower the internal growth rate will be. The internal growth rate refers to the growth rate that is financed by the company's retained earnings or retained profits.

The internal growth rate refers to the company's capacity to expand using its own assets and resources, without increasing its liabilities or equity. The higher the dividend payout ratio the lower will be the internal growth rate. It means the company will have fewer retained earnings, which are used for investing back into the company, and hence there will be lower capital for expansion, which will decrease the internal growth rate. Hence, option A is true.

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Need asap
Explain the importance of naming the corporation Your answer Highlight the importance of Partnership Act.

Answers

Naming a corporation is important as it provides legal identification, supports branding and marketing efforts, enhances credibility, and ensures compliance with regulations such as the Partnership Act for partnerships. A well-chosen name can contribute to the corporation's success and facilitate its business operations.

Naming a corporation is important for several reasons:

Legal Identification: A corporation's name serves as its legal identification. It distinguishes the entity from other businesses and provides a unique identity in the marketplace. It allows customers, suppliers, and stakeholders to recognize and interact with the corporation as a separate legal entity.

Branding and Marketing: The name of a corporation plays a crucial role in its branding and marketing efforts. It can convey the company's values, products, or services, creating a distinct brand identity that resonates with customers.

Credibility and Professionalism: A well-chosen name enhances the corporation's credibility and professionalism. It gives the impression of an established and legitimate entity, which can instill confidence in customers, investors, and partners. A strong and reputable name can positively influence stakeholders' perceptions and facilitate business relationships.

Compliance with Partnership Act: The Partnership Act requires partnerships to operate under a legal business name. This helps establish a separate legal identity for the partnership, making it easier to engage in contractual agreements, open bank accounts, and conduct business transactions.

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"Termination" is a component of which of the following change models?
Positive deviance
Prochaska and DiClemente's change model
Switch change model
Lewin's change model
Termination is an important component of any change initiative

Answers

Termination is a component of Lewin's change model.

Lewin's change model, also known as the unfreezing-change-refreezing model, is a widely recognized framework for understanding and managing organizational change. It consists of three stages: unfreezing, change, and refreezing. Termination is an important component of the refreezing stage.

Unfreezing: In this stage, the existing behavior and attitudes are disrupted to create a readiness for change. It involves creating awareness of the need for change and preparing individuals or the organization for the upcoming transition.

Change: This stage focuses on implementing the desired change. It involves introducing new processes, behaviors, or systems and actively engaging individuals or the organization in adopting and embracing the change. This is the stage where the actual transformation takes place.

Refreezing: The refreezing stage is about reinforcing and stabilizing the new changes to make them the new norm. It involves solidifying the new behaviors, values, and systems, and integrating them into the organizational culture. Termination is a crucial part of refreezing.

Termination, in this context, refers to the ending of the old practices or behaviors that were present before the change initiative. It involves letting go of the previous ways of doing things and ensuring that the new changes are firmly established.

Termination helps in preventing the relapse into old habits or resistance to change, as it marks the closure of the old ways and reinforces the new behaviors.

In summary, termination, as a component of Lewin's change model, signifies the ending of old practices and the establishment of new behaviors as part of the refreezing stage, ensuring the sustainability of the desired change.

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5. List and explain 3 reasons why American cities tend to see more urban sprawl than European cities.

Answers

Urban sprawl is defined as a poorly organized spread of urban development, where cities expand quickly, horizontally, and uncontrollably into rural areas. In the United States, urban sprawl is often considered an endemic issue and a primary challenge for town planning professionals. In comparison, European cities are more likely to have higher population densities and more compact urban development. This is due to the following reasons:
1. Lower population densities:
The United States has a lower population density than Europe, and its urban regions are usually smaller, making it more feasible to develop in surrounding rural regions. People may also prefer a less dense lifestyle, which means they will reside in more suburban and rural areas, resulting in more sprawl.
2. Different urban development models:
Cities in the United States are typically automobile-focused, with extensive highway systems, big parking lots, and few public transportation options. This promotes urban sprawl as people live and work far apart, requiring more transportation infrastructure to connect them. However, in Europe, city design emphasizes public transit, walking, and cycling over automobiles, with compact development that promotes walkability and a high density of public transportation.
3. Zoning regulations:
In America, zoning policies have contributed to urban sprawl, with low-density land use designations that allow more sprawling development, resulting in more separation between different land use types. European cities, on the other hand, have more comprehensive zoning policies that concentrate development in specific areas, which reduces sprawl by making more compact and mixed-use communities.

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1. Show that price-cost margin (PCM) is given by −1/ϵ in the monopoly market equilibrium, where ϵ>0 is the price elasticity of demand. 2. Show that the following in the monopoly market:
PCM>
ϵ
1

⇔MR−MC>0
PCM<
ϵ
1

⇔MR−MC<0

3. Discuss the usage of information of the PCM and ϵ for the optimal pricing decision in the monopoly market.

Answers

Price-cost margin (PCM) can be determined by using the equation -1/ϵ in the equilibrium state in the monopoly market where ϵ>0 is the price elasticity of demand. Also, in the monopoly market, PCM values are determined based on MR-MC comparisons.

In the monopoly market, price-cost margin (PCM) is a valuable parameter for calculating profit margins. This is because the margin is determined by the difference between the selling price of the commodity and the cost incurred in its production.

Therefore, understanding the PCM value can help in determining the profit margin, and identifying any inefficiencies that may exist in the production process.

A higher PCM value is associated with a lower price elasticity of demand. In this case, the company can increase its revenue by increasing the price of the product. However, if the company increases its price, it will result in a reduction in the quantity of goods sold. On the other hand, a lower PCM value indicates that the price elasticity of demand is high.

In this case, the company cannot increase its revenue by increasing the price of the product. Instead, a reduction in the price of the commodity will lead to an increase in the quantity sold, and in turn, an increase in revenue.

In addition, the difference between the marginal revenue (MR) and marginal cost (MC) is another parameter that is used in determining the PCM.

When PCM > ϵ, MR-MC > 0, and when PCM < ϵ, MR-MC < 0.

This means that if the MR exceeds the MC, then the PCM is high, which is desirable.

However, if the MC exceeds the MR, then the PCM is low, which is undesirable.

For the optimal pricing decision, the PCM and price elasticity of demand (ϵ) are both essential parameters.

These parameters allow companies to determine the best pricing strategy for their products.

By understanding the PCM and ϵ values, companies can optimize their profit margins while still remaining competitive in the market. Therefore, companies can use this information to make strategic pricing decisions and to maximize their profits.

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Who
benefits from low interest rates - borrower or lender - and
why?

Answers

The one who benefits from low-interest rates is the borrower.

The borrower benefits when interest rates are low. This is due to the fact that lower interest rates decrease the cost of borrowing, making it less expensive to borrow money, and hence increasing the amount of money that a borrower can borrow and afford to repay. For instance, when interest rates are low, a borrower might opt to take out a loan to buy a car, or home, or start a business. This makes it easier for borrowers to access loans and credit. This, in turn, benefits lenders because they have more clients and lend more money, increasing their profits.
In conclusion, borrowers benefit more from low-interest rates. While lenders may have more clients and lend more money, the low-interest rates benefit borrowers by lowering the cost of borrowing.

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If I have an utility function as u(C,L) = CL2 how can
I find my Labor Supply function?

Answers

The labor supply function can be derived by maximizing the utility function with respect to leisure (L) while considering the budget constraint.

To find the labor supply function, we maximize the utility function u(C, L) = CL² with respect to leisure (L) while taking into account the budget constraint. The budget constraint implies that the individual's total earnings (w) must equal the cost of consumption (C) and leisure (L), which can be expressed as w = C + T, where T represents non-labor income.

The first step is to set up the Lagrangian function:

Λ = CL² + λ(w - C - T),

where λ is the Lagrange multiplier. Next, we take partial derivatives with respect to C, L, and λ, and set them equal to zero to find the critical points:

∂Λ/∂C = L² - λ = 0,∂Λ/∂L = 2CL - λ = 0,

w - C - T = 0.

From the first two equations, we can solve for λ and C in terms of L:

λ = L²,C = 2CL.

Substituting C = 2CL into the budget constraint equation, we have:

w - 2CL - T = 0.

Now, we can solve for L in terms of w, C, and T, which gives us the labor supply function. The specific solution will depend on the values of w, C, and T.

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Which advertising objectives are outdoor media most suitable for and why? What are the principle benefits of trade shows and exhibitions, and what are some uses for your own company or industry? Explain key differences between specialty advertising and premium advertising.

Answers

Specialty advertising and premium advertising differ in their approach and objectives. Specialty advertising involves the distribution of promotional products imprinted with a company's logo or message, aiming to increase brand visibility and create long-term exposure.

These products, such as pens, keychains, and calendars, are typically given away to a wide range of customers. On the other hand, premium advertising focuses on offering high-quality, exclusive items to a select group of individuals. These items are often limited in quantity and reserved for loyal customers or high-level clients, aiming to enhance brand image and strengthen relationships.
The key benefits of specialty advertising include a wide range of customizable products and long-term exposure, while premium advertising focuses on exclusivity, brand enhancement, and relationship building. Specialty advertising is effective in reaching a broader audience and creating brand recognition through everyday items. Premium advertising, on the other hand, aims to reward and incentivize important stakeholders, fostering loyalty and generating a sense of exclusivity.
Both approaches can be valuable in marketing strategies, depending on the objectives and target audience. Specialty advertising is suitable for broader brand exposure and creating awareness, while premium advertising is more focused on building strong relationships and enhancing the brand's perception among a select group of individuals.

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Is Affirmative Action Ethical for an individual, in an organization, and in society? If so, how. If not, why not?
Note: please do not copy-paste please make sure you rephrase not just summaries if you will take an example from other people.

Answers

Yes, Affirmative Action is ethical for an individual, in an organization, and in society because it promotes equal opportunity and eliminates discrimination and bias from the selection process.

Affirmative Action is ethical for an individual, in an organization, and in society for several reasons. The term "Affirmative Action" refers to steps that are taken to guarantee equal opportunity and prevent discrimination in relation to employment, education, and other areas. It is ethical since it promotes equal opportunity and helps to eliminate discrimination and bias from the selection process.The following are some reasons why affirmative action is ethical:For Individuals: Affirmative action helps to promote diversity in the workplace, resulting in a more comfortable and welcoming work environment.

This, in turn, boosts employee morale and leads to a more productive workplace. In addition, affirmative action promotes equal opportunity, allowing everyone to be considered for a position based on their merits, rather than their gender, race, or other irrelevant factors.For Organizations: Affirmative action programs assist in the elimination of discriminatory hiring and promotion practices, resulting in a more diverse and qualified workforce. This has been proven to boost employee morale, enhance workplace performance, and result in higher employee retention rates.For Society: Affirmative action assists in promoting equal opportunity for all members of society. It assists in the establishment of a more equitable society by offering people of all races, genders, and religions the chance to obtain a decent job and earn a living. It helps to level the playing field for minorities and women, ensuring that they have the same opportunities to succeed as everyone else.

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3 tries left You have paid a deposit on a two-week vacation at a luxury hotel on an island in the West Indies. Unfortunately, two days before you are to arrive, the hotel is destroyed by a hurricane. In this situation the most likely legal outcome is The contract has been frustrated and you should be entitled to a refund. The contract has been frustrated, so the loss must be shared evenly between you and the hotel owners. You can sue the hotel owners for failing to provide your accommodation. The contract has been frustrated but you will not be able to recover the advance payment you made.

Answers

In the given scenario where the hotel is destroyed by a hurricane before your arrival, the most likely legal outcome would be that the contract has been frustrated and you should be entitled to a refund.

Frustration of contract is a legal doctrine that applies when unforeseen events occur, making it impossible to fulfill the terms of the contract. In this case, the destruction of the hotel by a hurricane is an unforeseen event that makes it impossible for the hotel to provide the accommodation as agreed upon in the contract.

When a contract is frustrated, both parties are typically released from their contractual obligations, and the law seeks to achieve fairness in the allocation of losses. In this situation, it is reasonable to expect that you should be entitled to a refund of the advance payment you made since you will not be able to receive the agreed-upon services due to the hotel's destruction.

It is important to note that the specific legal outcome may vary depending on the jurisdiction and the terms and conditions outlined in the contract. Therefore, consulting with a legal professional would provide more accurate advice based on the applicable laws and the specific details of the contract.

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Determine the balance of taxes payable and deferred tax asset amounts for each three years given the following information.
20X1 20X2 20X3
Sales 900,000 1,008,000 1,129,000
Expenses 747,000 836,600 937,100
Bad debt expense 22,500 25,200 28,225
Pre-tax income 130,500 146,200 163,675
Tax expense 39,150 43,860 49,103
Net income 91,350 102,340 114,572
Tax rate each year 30% 30% 30%
Accounts written-off during the year 15,980 16,380 22,860
Collections of previously written off accounts 1,900 1,300 2,700
Estimated tax payment 24,300 27,200 30,400
What is the deferred tax asset balance as of December 31, 20X1?
The correct answer is 2526. I just need to know how to get that answer please.
I also would like to know how to get the deferred tax asset balance as of December 31, 20X2 for which the answer is 5562. please help I have a test that I am studying for and I am so lost.

Answers

To calculate the deferred tax asset balance as of December 31, 20X1 and December 31, 20X2, we need to determine the temporary differences between the accounting and tax treatments of certain items and apply the applicable tax rate.

Deferred tax assets arise when the tax expense recognized on the income statement exceeds the tax payable calculated based on the tax return. It represents future tax benefits that can be offset against future taxable income.

To calculate the deferred tax asset balance, we need to consider the following items:

1. Bad debt expense: This represents a temporary difference because bad debts are deductible for tax purposes when they are actually written off, while they are recognized as an expense for accounting purposes when estimated. The temporary difference is the difference between the actual write-offs and the estimated bad debt expense.

To calculate the deferred tax asset balance, we follow these steps:

1. Calculate the temporary difference for bad debt expense for each year:

  Temporary Difference = Actual write-offs - Estimated bad debt expense

2. Apply the tax rate of 30% to the temporary difference to calculate the deferred tax asset:

  Deferred Tax Asset = Temporary Difference * Tax Rate

Let's calculate the deferred tax asset balance for December 31, 20X1:

Temporary Difference for bad debt expense in 20X1 = 15,980 - 22,500 = -6,520

Deferred Tax Asset for 20X1 = (-6,520) * 0.30 = -1,956 (Note: Negative sign indicates a tax benefit)

Therefore, the deferred tax asset balance as of December 31, 20X1 is $1,956.

Now let's calculate the deferred tax asset balance for December 31, 20X2:

Temporary Difference for bad debt expense in 20X2 = 16,380 - 25,200 = -8,820

Deferred Tax Asset for 20X2 = (-8,820) * 0.30 = -2,646 (Note: Negative sign indicates a tax benefit)

To calculate the deferred tax asset balance as of December 31, 20X2, we need to consider the cumulative deferred tax asset balance from the previous year. Assuming no other temporary differences, the deferred tax asset balance for 20X2 is:

Deferred Tax Asset Balance 20X2 = Deferred Tax Asset 20X1 + Deferred Tax Asset 20X2 = -1,956 + (-2,646) = -4,602

However, please note that the answer provided for the deferred tax asset balance as of December 31, 20X2 is different from the calculated value of -4,602. Therefore, it is recommended to review the calculations and double-check the information to ensure accuracy.

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Given the desire to cut carbon emissions, Ford is considering introducing a new production line of electtic sedans. The expected annual unit sales of the electric cars is 26,000 ; and the selling price is $21,000 per car. Variable costs of production are $11,000 per car. The fixed overhead, including salary of top executives is $80 million per year. However, the introduction of the electric sedans will decrease Ford's sales of regular sedans by 9.000 cars per year: the regular sedans have a unit price of $20,000, a unit variable cost of $12,000, and fixed costs of $250,000 per year. Depreciation costs of the new production line are $49,000 per year, The marginal tax rate is 29 percent. What is the incremental annual cash flow from operations? Incremental annual cash flow from operations $

Answers

The incremental annual cash flow from operations is $401,866,000.

To calculate the incremental annual cash flow from operations, we need to consider the changes in revenue, costs, and depreciation associated with the introduction of the new production line of electric sedans.

First, let's calculate the changes in revenue and costs:

1. Change in revenue: The new electric sedans are expected to have annual unit sales of 26,000 and a selling price of $21,000 per car. Therefore, the change in revenue would be (26,000 * $21,000).

2. Change in variable costs: The variable costs of production for the electric sedans are $11,000 per car. Therefore, the change in variable costs would be (26,000 * $11,000).

3. Change in fixed costs: The fixed overhead, including executive salaries, is $80 million per year. However, the introduction of the electric sedans will result in a decrease in sales of regular sedans by 9,000 cars per year. The regular sedans have a unit price of $20,000 and a unit variable cost of $12,000, with fixed costs of $250,000 per year. Therefore, the change in fixed costs would be ($80 million - ($250,000 + (9,000 * ($20,000 - $12,000)))).

Next, let's calculate the depreciation:

The depreciation costs of the new production line are $49,000 per year.

Now, we can calculate the incremental annual cash flow from operations using the following formula:

[tex]\( Incremental\ annual\ cash\ flow\ from\ operations = Change\ in\ revenue - Change\ in\ variable\ costs - Change\ in\ fixed\ costs - Depreciation \)[/tex]

Substituting the values we calculated:

[tex]\( Incremental\ annual\ cash\ flow\ from\ operations = (26,000 * $21,000) - (26,000 * $11,000) - (80\ million - ($250,000 + (9,000 * ($20,000 - $12,000)))) - $49,000 \)[/tex]

Performing the calculations will give us the final value of the incremental annual cash flow from operations.

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Write a SQL query that displays the booth information (including booth location and rent) that w held in Venue Hotel Royal. Run the SQL SELECT query in MySQL Workbench and copy both the the output to show as the result of the query. (one statement only)

Answers

To display the booth information for an event held at Venue Hotel Royal, a SQL SELECT query can be used. The query will retrieve the booth location and rent details from the appropriate table. Running the query in MySQL Workbench will provide the desired output.

The SQL SELECT query to retrieve the booth information for an event held at Venue Hotel Royal would look like this:

sql

SELECT booth_location, booth_rent

FROM booth_table

WHERE event_venue = 'Venue Hotel Royal';

In this query, the booth_table is the name of the table that stores the booth information, and event_venue is the column that indicates the venue where the event is held. By specifying the condition WHERE event_venue = 'Venue Hotel Royal', the query filters the data and retrieves only the booth information related to the specified venue. When this query is executed in MySQL Workbench, the output will display the booth location and rent details for the event held at Venue Hotel Royal. The result will include all the relevant records from the booth table that match the specified condition.

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Dragon Sports Inc. manufactures and sells two products, baseball bats and baseball gloves. The fixed costs are $340,400, and the sales mix is 60% bats and 40% gloves. The unit selling price and the unit variable cost for each product are as follows: Products Unit Selling Price Unit Variable Cost Bats $70 $40 Gloves 130 60 This information has been collected in the Microsoft Excel Online file. Open the spreadsheet, perform the required analysis, and input your answers in the questions below. Open spreadsheet Compute the break-even sales (units) for the overall enterprise product, E. fill in the blank 2 units How many units of each product, baseball bats and baseball gloves, would be sold at the break-even point? Baseball bats: fill in the blank 3 units Baseball gloves: fill in the blank 4 units

Answers

At the break-even point, the company would sell 3 units of baseball bats (60% of 2 units) and 4 units of baseball gloves (40% of 2 units). These quantities ensure that the company's total sales revenue covers its fixed costs, resulting in a break-even position.

To calculate the break-even sales units for the overall enterprise product, we need to find the point where the total sales revenue equals the total costs. The formula to calculate the break-even point is:

Break-even sales units = Fixed costs / Contribution margin per unit

First, we need to calculate the contribution margin per unit for each product. The contribution margin is the difference between the unit selling price and the unit variable cost. For baseball bats, the contribution margin is $70 - $40 = $30, and for baseball gloves, it is $130 - $60 = $70.

Next, we can calculate the break-even sales units using the formula. Since the sales mix is 60% bats and 40% gloves, we multiply the contribution margin per unit by the sales mix percentages and divide the fixed costs by the total contribution margin per unit. This gives us:

Break-even sales units = $340,400 / (($70 × 0.6) + ($130 × 0.4)) = 2 units.

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a. )Explain why a current account deficit "must be financed by
capital inflows."
b.) Under what circumstances should the debtor nation status of
the United States be a concern?

Answers

a. Explain why a current account deficit "must be financed by capital inflows."A current account deficit means that a nation's total imports of goods and services exceed its total exports of goods and services.

The current account deficit, which is financed by capital inflows, occurs when a country is unable to pay for its imports with its exports. As a result, the country has to rely on foreign investors to purchase its debt and finance the deficit.Capital inflows are necessary for a country with a current account deficit because they provide the necessary funds to finance the deficit. When a country has a current account deficit, it needs to import more than it exports, and it must make up the difference by borrowing money from foreign investors. These foreign investors, who purchase the country's debt, provide the necessary funds to finance the deficit.

The term capital inflows refers to the funds that foreign investors invest in a country to finance its current account deficit. These capital inflows can take many different forms, such as foreign direct investment (FDI), portfolio investment, and short-term borrowing. Capital inflows are critical for countries with current account deficits because they provide the necessary funds to finance the deficit. Countries that are unable to attract capital inflows may face serious economic problems.

b.) Under what circumstances should the debtor nation status of the United States be a concern?The United States has been running a current account deficit for many years, and it has become a debtor nation as a result. A debtor nation is a country that owes more money to foreign investors than it receives from foreign investors. Under certain circumstances, the debtor nation status of the United States could be a concern.For example, if the United States is unable to attract sufficient capital inflows to finance its current account deficit, it may face serious economic problems. A lack of capital inflows could lead to a decline in the value of the U.S. dollar, which could make imports more expensive and lead to inflation.

Additionally, a lack of capital inflows could make it more difficult for the United States to finance its debt, which could lead to a decline in its credit rating and an increase in borrowing costs.Finally, if the United States is unable to attract capital inflows to finance its current account deficit, it may need to reduce its imports, which could lead to a decline in living standards for Americans. Therefore, it is essential for the United States to attract sufficient capital inflows to finance its current account deficit and avoid these potential problems.

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A 5%-coupon bond paying interest semi-annually at a face value of $1,000, has a current yield of 5.5%. The bond has 10 years to maturity. This implies that the bond will have a positive change in price over time. True False

Answers

False. The bond will not necessarily have a positive change in price over time.

The current yield of a bond is calculated by dividing the annual interest payment by the current market price of the bond. In this case, the bond has a 5% coupon rate and pays interest semi-annually, which means it pays $25 ($1,000 * 0.05 / 2) in interest every six months. The current yield is given as 5.5%, indicating that the bond is currently priced at a discount.

When the current yield is higher than the coupon rate, it suggests that the bond is trading at a discount. A bond trading at a discount means its price is below its face value. As the bond approaches maturity, the price will gradually increase towards its face value of $1,000. However, it is important to note that the bond will only have a positive change in price over time if the increase in price compensates for the discount at which it was purchased. If the discount is significant or other market factors come into play, the bond may still have a negative or zero change in price over time.

The statement that the bond will have a positive change in price over time is false. While the bond may experience a price increase as it approaches maturity, it depends on various factors such as the initial discount at which it was purchased and market conditions.

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Company A is an AAA-rated company firm desiring to issue five-year FRNs. It finds that it can issue FRNs at six months LIBOR + .125 percent or at three-month LIBOR + .125 percent. Given its asset structure, the three-month LIBOR is the preferred index. Company B is an A-rated firm that also desires to issue five-year FRNs. It finds it can issue at six-month LIBOR + 1.0 percent or at three-month LIBOR + .625 percent. Given its asset structure, six-month LIBOR is the preferred index. Assume a notional principal of $15,000,000. Determine the QSD and set up a floating for floating rate swap where the swap bank receives .125 percent and the two counterparites share the remaining savings equally.

Answers

QSD (Quoted Spread Differential) is the difference between the credit spread of two corporate bonds and refers to the number of basis points between the two firms' cost of debt financing given that their respective bond maturities and ratings are equivalent.

Quoted Spread Differential (QSD) is used to compare credit risk between firms with the same bond maturity and credit rating. In this case, Company A can issue FRNs at six months LIBOR + .125% or at three-month LIBOR + .125%. Given that the preferred index for Company A is the three-month LIBOR, it would opt for the latter.Company B, on the other hand, can issue FRNs at six-month LIBOR + 1.0% or at three-month LIBOR + .625%. Since the preferred index for Company B is six-month LIBOR, it would opt for the former.As a result, the QSD between Company A and Company B will be:QSD = LIBOR spread of Company B - LIBOR spread of Company A = (6-month LIBOR spread of Company B - 3-month LIBOR spread of Company B) - (6-month LIBOR spread of Company A - 3-month LIBOR spread of Company A)QSD = (100 - 62.5) - (12.5 - 12.5) = 25 basis points or 0.25%Thus, Company A can issue its FRNs at three months LIBOR + .125% and Company B can issue its FRNs at six months LIBOR + 1.0%. In the swap, the swap bank will receive .125 percent and the two counterparties will divide the remaining savings equally.

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Home Depot's 2022 dividend is $6.60. The growth rate is expected
to be 1.96% for 2023. The required return is 7.50%. What is the
forecasted price for Home Depot?

Answers

If rhe required return is 7.50%. the forecasted price of Home Depot would be $121.28.

From the question above, Dividend paid by Home Depot = $6.60 per share

Growth rate = 1.96%

Required return = 7.50%

To calculate the forecasted price of Home Depot, we will use the Dividend Discount Model as follows;

P=D1/(r-g)

Where P is the forecasted price of the stock

D1 is the expected dividend next year

r is the required rate of return

g is the expected growth rate

Substitute the given values in the formula,

P = $6.60(1 + 1.96%)/(7.50% - 1.96%)= $6.72/0.0554= $121.28

Therefore, the forecasted price of Home Depot would be $121.28.

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