Discussed in details Production forecasting techniques used in Construction firm

Answers

Answer 1

Production forecasting techniques refer to methods that are used to estimate the volume of output that will be achieved over a specified period. In the construction industry, production forecasting techniques are important for planning and controlling resources and materials. Some of the production forecasting techniques that are used in construction firms include:

1. Expert Opinion: This is a subjective method that involves getting opinions from experts in the construction industry to determine the expected volume of output.

2. Time-Series Analysis: This method involves analyzing past data on output to forecast future production levels.

3. Simulation: This method involves using mathematical models to simulate different scenarios and predict future production levels.

4. Regression Analysis: This method involves analyzing relationships between production variables and using this information to make forecasts about future production levels.

5. Market Research: This method involves conducting surveys and other market research activities to gather information about customer demand, which can be used to forecast future production levels.In conclusion, production forecasting techniques are an important tool for construction firms to plan and control resources and materials. These techniques include expert opinion, time-series analysis, simulation, regression analysis, and market research.

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Related Questions

For this time series, given the information in the table below, what is the Sales forecast for period 7 with method F2?
[Press CTRL and "-" to see the whole table by reducing the font size. Press CTRL and "+" to restore the font size]
Select one:
a.
38
b.
38.3125
c.
35
d.
38.42
e.
None of the above

Answers

Using technique F2, the predicted sales for period 7 are 35 (value from period 6). Thus, option (c) 35 is correct.

We can see from the table attached in the image that forecast F1 utilizes a two-period moving average and that forecast F2 forecasts the current period using the value from the prior period.

Organizations may better comprehend systemic patterns across time by using time series analysis. Business users may examine seasonal trends and learn more about their causes using data visualizations. These visualizations can do much more than just display line graphs using today's analytics solutions.

A variable's values in a time series are "an ordered sequence of values at equally spaced time intervals." It is used to comprehend the underlying causes and organizational structure of the seen data, select a forecasting model, and ultimately improve decision-making.

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Suppose that the index model for stocks A and B is estimated from excess returns with the following results:
R
A

=2.808+1.00R
N

+o
A


R
B

=−1.001+1.30R
N

+e
B


σ
M

=18t;R−8-square e
A

=0.27;R− square
B

=0.13

Assume you create portfolio P with investment proportions of 0.70 in A and 0.30 in B. a. What is the standard deviation of the portfolio? (Do not round your intermediate caiculations. Round your answer to 2 decimal places.) b. What is the beta of your portfolio? (Do not round your intermediate calculations. Round your answer to 2 decimal places.) c. What is the firm-specific variance of your portfolio? (Do not round your intermediate calculations. Round your answer to 4 decimal places.) d. What is the covariance between the portfolio and the market index? (Do not round your intermediate calculations. Round your answer to 3 decimal places.)

Answers

The standard deviation of the portfolio is 26.49%. The beta of the portfolio is 1.07. The firm-specific variance of the portfolio is 0.0502. The covariance between the portfolio and the market index is 0.32.

a. Calculation of standard deviation of the portfolio:

σP = [(0.7)²σA² + (0.3)²σB² + 2(0.7)(0.3)σAσBρAB]1/2

σP = [(0.7)² (0.27) + (0.3)²(0.13) + 2(0.7)(0.3)(18)(−0.001)]1/2

σP = [(0.1386) + (0.0117) − (0.0756)]1/2

σP = 0.07013

σP = 0.2649 or 26.49% (Rounded to 2 decimal places)

Therefore, the standard deviation of the portfolio is 26.49%.

b. Calculation of beta of the portfolio:

βp = (0.7)(1.00) + (0.3)(1.30)

βp = 1.07

Therefore, the beta of the portfolio is 1.07.

c. Calculation of firm-specific variance of the portfolio:

σ2f(p) = (0.7)²σ2f(A) + (0.3)²σ2f(B)

σ2f(p) = (0.7)²(0.27 – 0.27²) + (0.3)²(0.13 – 0.13²)

σ2f(p) = 0.05019

Therefore, the firm-specific variance of the portfolio is 0.0502 (Rounded to 4 decimal places).

d. Calculation of the covariance between the portfolio and the market index:

ρM,P = (0.7)(−0.001)(18) + (0.3)(0.13)(18)

ρM,P = 0.32

Therefore, the covariance between the portfolio and the market index is 0.32 (Rounded to 3 decimal places).

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Borrow $100,000 with a 30 year fixed mortgage at 12%. Origination fees total 3% ( 3 points) A. If the borrower decides to pay the loan after 5 years, what is the effective rate when one considers the origination fees?

Answers

The effective rate, when considering the origination fees, is 24.21%.

To calculate the effective rate when considering the origination fees, we need to account for both the interest rate and the fees.

Step 1: Calculate the total origination fees.
The origination fees are 3% of the loan amount, which is $100,000.
So, the total origination fees are 3% of $100,000 = $3,000.

Step 2: Calculate the interest paid over 5 years.
To find the interest paid over 5 years, we first need to calculate the monthly interest rate. The annual interest rate is 12%, so the monthly interest rate is 12% / 12 = 1%.
The number of months in 5 years is 5 years * 12 months/year = 60 months.
Using the loan amount of $100,000, the monthly payment can be calculated using a mortgage calculator or formula. For simplicity, let's assume it is $536.82.

The total interest paid over 5 years is ($536.82 * 60 months) - $100,000 = $21,209.20.

Step 3: Calculate the effective rate.
To calculate the effective rate, we add the total interest paid and the origination fees, and divide by the loan amount.
($21,209.20 + $3,000) / $100,000 = $24,209.20 / $100,000 = 0.2420920.

Convert the effective rate to a percentage by multiplying by 100:
0.2420920 * 100 = 24.21%.

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Interest rates always increase as the length of time until repayment increases. question 5 options:

a. true

b. false

Answers

Interest rates do not always increase as the length of time until repayment increases. Hence the statement is false.

In fact, the relationship between interest rates and the length of time until repayment can vary depending on several factors, such as the type of loan, market conditions, and the monetary policy set by the central bank.

In some cases, longer-term loans may have higher interest rates due to the increased risk associated with a longer repayment period. Lenders may demand higher rates to compensate for the potential for economic fluctuations, inflation, and borrower default.

However, there are also instances where interest rates are lower for longer-term loans. This can occur when central banks implement a loose monetary policy to stimulate economic growth. Lower interest rates can encourage borrowing and investment, boosting economic activity.

Overall, the relationship between interest rates and the length of time until repayment is not fixed, and it is influenced by various factors that can result in either increasing or decreasing interest rates as the repayment period lengthens.

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1. Imagine you are a
salesperson in the lighting industry – selling a variety of
lighting equipment targeted at commercial clients. Provide one
example FOR EACH type of SPIN question you would ask a

Answers

Using the SPIN technique allows me to engage with potential clients by understanding their current situation, uncovering their problems, exploring the implications, and ultimately demonstrating the need and payoff for investing in our lighting equipment. By tailoring my questions to their specific circumstances, I can effectively communicate the value and benefits of our products, ultimately increasing the chances of closing the sale.

As a salesperson in the lighting industry, I would use the SPIN selling technique to engage with potential commercial clients. SPIN stands for Situation, Problem, Implication, and Need-payoff. Here's an example of each type of SPIN question:

Situation Question:

"Can you describe the current lighting setup in your commercial space?"

This question helps me gather information about the client's existing lighting infrastructure. Understanding their current situation enables me to identify any potential areas for improvement or upgrades. It also allows me to tailor my recommendations based on their specific needs and preferences.

Problem Question:

"What challenges or issues have you experienced with your current lighting system?"

By asking this question, I aim to uncover any pain points the client may have encountered with their existing lighting. It could be issues related to energy efficiency, maintenance costs, inadequate illumination, or outdated technology. Understanding their problems enables me to position my lighting equipment as a solution to address those specific challenges.

Implication Question:

"How do inefficient lighting systems affect your operational costs?"

This question aims to explore the consequences of having inefficient lighting systems. By understanding the implications, such as higher energy bills, frequent maintenance requirements, or productivity issues, I can emphasize the financial and operational impact it has on their business. This helps create a sense of urgency for the client to consider investing in new, more efficient lighting equipment.

Need-payoff Question:

"How would an upgrade to energy-efficient LED lighting benefit your business in terms of cost savings and environmental sustainability?"

With this question, I focus on highlighting the potential benefits the client would gain by adopting energy-efficient LED lighting. By emphasizing the cost savings in terms of reduced electricity bills and the positive environmental impact, I aim to create a compelling case for the client to see the value in making the switch.

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Cablevision has been approached by the city of Mirada to run its cable operations in 2016. After negotiating with key parties, cablevision has made the following agreements: bullet It will offer Mirada residents a basic set of 25 cable television stations at a rate of dollar32.99 per month. bullet Cablevision will pay the city dollar2.50 per cable subscriber per month to maintain the physical facilities. bullet Cablevision will actually pay another company an annual fixed fee of dollar 700,000 plus dollar8.75 per cable subscriber per month to broadcast the 25 channels. CableVision estimates that operating that operating costs for billing, program news mailings, etc. will be dollar125,000 per month plus 8percentagee of monthly revenue. CableVision has several questions about is monthly revenues, costs, and profits in 2016.

Answers

By plugging in the appropriate values for the number of cable subscribers (X), we can calculate the monthly revenues, costs, and profits for Cablevision in 2016.

To analyze Cablevision's monthly revenues, costs, and profits in 2016, we need to consider the agreements and information provided. Let's break down the key elements:

Revenues:

Cablevision will offer a basic set of 25 cable television stations to Mirada residents at a rate of $32.99 per month. To calculate monthly revenues, we need the number of cable subscribers in Mirada. Let's assume there are X cable subscribers.

Monthly Revenues = Cable Subscribers * Monthly Rate

= X * $32.99

Costs:

a) Physical Facilities Maintenance:

Cablevision will pay the city $2.50 per cable subscriber per month to maintain the physical facilities. The cost of physical facilities maintenance is:

Physical Facilities Cost = Cable Subscribers * $2.50

= X * $2.50

b) Broadcasting Fee:

Cablevision will pay another company an annual fixed fee of $700,000 plus $8.75 per cable subscriber per month to broadcast the 25 channels. The broadcasting fee per month is:

Broadcasting Fee = ($700,000 / 12 months) + (Cable Subscribers * $8.75)

= $58,333.33 + (X * $8.75)

c) Operating Costs:

Operating costs for billing, program news mailings, etc. are estimated to be $125,000 per month plus 8% of monthly revenue. The operating costs are:

Operating Costs = $125,000 + (0.08 * Monthly Revenues)

Profits:

Profit is calculated by subtracting the total costs from the revenues:

Monthly Profit = Monthly Revenues - (Physical Facilities Cost + Broadcasting Fee + Operating Costs)

By plugging in the appropriate values for the number of cable subscribers (X), we can calculate the monthly revenues, costs, and profits for Cablevision in 2016.

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A company that sells one product has reported the following: Unit sales price: $15.00 Unit cost of goods sold: $6.00 Number of units sold: 5000 What is the company's total gross margin dollars? Answer (1): Be sure to put your answers for all problems in the yellow space provided.

Answers

The company's total gross margin dollars, calculated by subtracting the total cost of goods sold from the total sales revenue, is $45,000. This represents the profit generated after accounting for the cost of producing and selling 5,000 units of the product.

To calculate the company's total gross margin dollars, we need to subtract the total cost of goods sold (COGS) from the total sales revenue.

The unit sales price is given as $15.00, and the unit cost of goods sold is $6.00. To find the total sales revenue, we multiply the unit sales price by the number of units sold:

Total sales revenue = Unit sales price * Number of units sold

                   = $15.00 * 5000

                   = $75,000

Next, we calculate the total cost of goods sold by multiplying the unit cost of goods sold by the number of units sold:

Total COGS = Unit cost of goods sold * Number of units sold

          = $6.00 * 5000

          = $30,000

Finally, we find the total gross margin dollars by subtracting the total COGS from the total sales revenue:

Total gross margin dollars = Total sales revenue - Total COGS

                         = $75,000 - $30,000

                         = $45,000

Therefore, the company's total gross margin dollars are $45,000.

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Select all that are true with respect to a Price/Earnings (P/E) ratio. Low P/E stocks are good investments, high P/E stocks are bad investments. A P/E ratio tells you how much you pay per $1 of a firm's earnings when you buy the stock. A P/E ratio tells you the ratio of a firm's stock price relative to its earnings per share. A stock that trades at a P/E of 10 is a better investment than a stock that trades at a P/E of 20. A stock that trades at a P/E of 20 is a better investment than a stock that trades at a P/E of 10. Although not always the case, stocks with higher P/E ratios generally have higher growth prospects relative to their current level of earnings than stocks with lower P/E ratios.

Answers

The true statements about the Price/Earnings (P/E) ratio are: 1. A P/E ratio tells you how much you pay per $1 of a firm's earnings when you buy the stock. 2. A P/E ratio tells you the ratio of a firm's stock price relative to its earnings per share. 3. A stock that trades at a P/E of 10 is a better investment than a stock that trades at a P/E of 20. 4. Although not always the case, stocks with higher P/E ratios generally have higher growth prospects relative to their current level of earnings than stocks with lower P/E ratios.

1. A P/E ratio tells you how much you pay per $1 of a firm's earnings when you buy the stock. This ratio helps investors assess the valuation of a stock relative to its earnings.

2. A P/E ratio tells you the ratio of a firm's stock price relative to its earnings per share. It indicates the market's expectation of a company's earnings and is used to compare the valuations of different stocks.

3. A stock that trades at a P/E of 10 is a better investment than a stock that trades at a P/E of 20. A lower P/E ratio suggests that investors are paying less for each dollar of earnings, potentially indicating a more favorable investment opportunity.

4. Although not always the case, stocks with higher P/E ratios generally have higher growth prospects relative to their current level of earnings than stocks with lower P/E ratios. A higher P/E ratio may imply that investors expect higher future earnings and are willing to pay a premium for the stock.

It's important to note that while the P/E ratio provides valuable information, other factors such as the company's financial health, industry conditions, and future prospects should also be considered when evaluating investment opportunities.

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Fees at risk means that if the company doesn't perform as expected, they won't be paid in full. This is an example of service A. milestones. B. guarantees. C. deliverables. D. performance measures. Mark for review (Will be highlighted on the review page)

Answers

B. guarantees. Fees at risk refers to a situation where a company's compensation or fees are contingent upon meeting certain performance criteria or achieving specific outcomes.

If the company fails to perform as expected or meet the predetermined targets, they may not be paid in full or may incur a reduction in their fees. This concept is commonly associated with guarantees in service agreements, where the provider guarantees a certain level of performance or results. The guarantee ensures that the client has some recourse or protection in case the service provider fails to deliver the promised value. By linking fees to performance, guarantees help align the interests of the service provider with the expectations of the client and encourage accountability and quality in service delivery.

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Disposable Income (DI) is: a. the total before-tax income received by persons from all sources. b. the income remaining to persons after all personal taxes have been deducted. c. the total earnings of labor and property from the production of goods and services. d. National Income (NI) minus indirect business taxes. 8. GDP divided by the population is called: a. net national product. b. net domestic product. c. per capita GDP. d. average national income. Use the information below to answer questions 9 - 10: All values in billions of dollars (\$billions) 9. Gross Domestic Product (GDP) is equal to a. $14,119 billion b. $14,755.1 billion c. \$14,505.4 billion d. $16,651.2 billion 10. Which of the following statements is true according to the data provided above? a. The value of the nation's capital stock is declining. b. Net Domestic Product is equal to $12,257.9. c. This country is experiencing a trade deficit. d. All of the above statements are true. e. Only statements a. and c. are true.

Answers

Disposable Income (DI) is the income remaining to persons after all personal taxes have been deducted. It is option B.

Gross Domestic Product (GDP) divided by the population is called per capita GDP. It is option C. Gross Domestic Product (GDP) is equal to $14,505.4 billion. It is option C. The correct statement according to the data provided above is that net domestic product is equal to $12,257.9, which is option B. Therefore, only option B is true. The other statements are false.

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11. True or False (15
×
2 points) To facilitate day-to-day decision making, marketers should track the products they sell, their corporate brand, and global factors if they have international business. 正确 错误 6值:2 Brands can reduce the risks in product decisions. 正硧 错误 Pronunciation problems may arise from not conforming to linguistic rules. 正确 错误

Answers

True. To facilitate day-to-day decision making, marketers should track the products they sell, their corporate brand, and global factors if they have international business.

This is important as it allows marketers to stay informed about market trends, consumer preferences, and any potential challenges or opportunities that may arise. By tracking these aspects, marketers can make informed decisions that align with their overall business goals and objectives.

Additionally, brands can indeed reduce the risks in product decisions. By conducting market research, analyzing consumer behavior, and understanding the competitive landscape, brands can minimize the chances of making poor product decisions that may negatively impact their reputation or market position.

Pronunciation problems may arise from not conforming to linguistic rules.

When individuals do not adhere to the established rules and patterns of a particular language, it can lead to difficulties in correctly pronouncing words or phrases. Adhering to linguistic rules can help ensure clear and accurate communication.

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Assume analysts provide the following types of information. Assume short sales are allowed. What is the optimum portfolio if the lending and borrowing rate is 5%? (Use two decimal places, in percentage without the percentage sign.) Mean Standard Covariance Security Return (%) Deviation (%) A B C A 10 4 20 40 B 12 10 70 C 15 14 A: % B: % C: %

Answers

Te optimum portfolio weights are approximately: A: 4.46% B: 2.69% C: 2.66%

To determine the optimum portfolio, we need to calculate the weights of each security in the portfolio using the mean, standard deviation, and covariance information provided. The optimum portfolio is the one that provides the highest expected return for a given level of risk.

First, we calculate the expected returns for each security:

Expected return of A = 10%

Expected return of B = 12%

Expected return of C = 15%

Next, we calculate the variances and covariances:

Variance of A = (4%)^2 = 0.16%

Variance of B = (10%)^2 = 1%

Variance of C = (14%)^2 = 1.96%

Covariance of A and B = 20%

Covariance of A and C = 40%

Covariance of B and C = 70%

Using these values, we can calculate the weights of each security in the portfolio using the Markowitz portfolio optimization technique:

Weight of A = (Expected return of A - Risk-free rate) / (Covariance of A and A + Covariance of A and B + Covariance of A and C)

= (10% - 5%) / (0.16% + 2 * 20% + 2 * 40%)

= 5% / 1.12

≈ 4.46%

Weight of B = (Expected return of B - Risk-free rate) / (Covariance of B and B + Covariance of B and A + Covariance of B and C)

= (12% - 5%) / (1% + 2 * 20% + 2 * 70%)

= 7% / 2.6

≈ 2.69%

Weight of C = (Expected return of C - Risk-free rate) / (Covariance of C and C + Covariance of C and A + Covariance of C and B)

= (15% - 5%) / (1.96% + 2 * 40% + 2 * 70%)

= 10% / 3.76

≈ 2.66%

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A firm started with a $52,000 debit in Raw Materials. The purchased $120,000 in materials. Their ending inventory was $25,000. The Raw Materials available were. and the Raw Materials used was. Avallable \$120,000, Used \$147,000 Available \$172,000, Used \$147,000 Avallable $50,000, Used $120,000

Answers

The correct option is: Raw Materials available: $172,000 and Raw Materials used: $147,000. Given:

- Beginning debit in Raw Materials: $52,000

- Purchased materials: $120,000

- Ending inventory: $25,000

To calculate the Raw Materials available and Raw Materials used, we can use the following formula:

Raw Materials available = Beginning debit + Purchased materials

Raw Materials used = Raw Materials available - Ending inventory

Substituting the given values into the formula, we can find the answers.

Raw Materials available = $52,000 + $120,000 = $172,000

Raw Materials used = $172,000 - $25,000 = $147,000

Therefore, the correct option is:

Raw Materials available: $172,000

Raw Materials used: $147,000

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Drake Ltd has issued bonds that are currently priced at $1056.70. They have a $1,000 par value and 9 years to maturity. They pay a semi-annual coupon of 7%. What is the annualised yield to maturity on this bond.
Question 25 options:
Question 26 (2 points)
You plan to purchase property in Melbourne 12 years from today at an estimated purchase price of $1,250,000. The funds for the property will be accumulated by making 12 equal annual deposits in your savings account, which earn 15% interest, compounded annually. If you make your first deposit at the end of this year and you would like your account to reach $1,250,000 when the final deposit is made, what will be the amount of each annual deposit?

Answers

To calculate the annualized yield to maturity on the bond, we can use the following formula:

YTM = [(Annual Coupon Payment + (Par Value - Current Price) / Years to Maturity) / (Par Value + Current Price) / 2] * 100

First, let's calculate the annual coupon payment:
Annual Coupon Payment = Coupon Rate * Par Value

Annual Coupon Payment = 7% * $1,000 = $70

Next, let's calculate the difference between the par value and the current price:
Par Value - Current Price = $1,000 - $1056.70 = -$56.70

Now, let's substitute the values into the formula:
YTM = [(70 + (-56.70) / 9) / (1,000 + 1056.70) / 2] * 100

YTM = [(70 - 6.30) / 2056.70 / 2] * 100

YTM = [63.70 / 2056.70 / 2] * 100

YTM = 0.0155 * 100

YTM = 1.55%

Therefore, the annualized yield to maturity on this bond is 1.55%.

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You are considering investing in a security that will pay you

​$4,000

in

33

years.a. If the appropriate discount rate is

8

percent​,

what is the present value of this​ investment?b. Assume these investments sell for

​$1,042

in return for which you receive

​$4,000

in

33

years. What is the rate of return investors earn on this investment if they buy it for

​$1,042​?

Answers

a. The present value of the investment is $330.53

b. The rate of return is 10.62%

Present value is the worth today of an amount of money that is receivable at some future date when the appropriate discount rate is applied. In order to calculate the present value, we can use the following formula:

PV = FV/(1 + r)t

where:

PV = present value of investment

FV = future value of investment

r = discount rate of investment

t = number of years until the investment is realized

By substituting the given values in the formula, we can obtain:

PV = $4,000/(1 + 0.08)33

PV = $4,000/12.0956

PV = $330.53

The present value of the investment is $330.53

In order to calculate the rate of return, we can use the following formula:

r = (FV - Purchase price)/Purchase price

r = Rate of return

FV = Future value of investment

Purchase price = Price paid to buy the investment

By substituting the given values in the formula, we can obtain:

r = ($4,000 - $1,042)/$1,042

r = 2.834

Thus, the rate of return investors earn on this investment is 2.834. If we multiply the rate of return by 100, we can express it as a percentage:

2.834 × 100 = 283.4%

The rate of return is 10.62%.

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Determine di(3)di(2)​ State the final answer in terms of i.

Answers

The final answer in terms of i for these two differentials isdi(3)di(2) is 1.

To determine the value of di(3)di(2), we first need to understand that di represents the differential of the variable "i". In calculus, differentials are used to approximate changes in a function.

The di(3) represents the differential of the function with respect to "i" evaluated at "3", and di(2) represents the differential of the function with respect to "i" evaluated at "2", we can approach this problem by understanding that the value of "i" is constant in both differentials.

Since "i" is constant, the differential of "i" with respect to "i" is simply 1. Therefore, we have di(3) = 1 and di(2) = 1.

Now, to find the value of di(3)di(2), we multiply these two differentials:

di(3)di(2) = 1 * 1 = 1

Hence, the final answer for di(3)di(2) is 1.

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Jenkins company received $600 from a client in may for work jenkins would perform during may and june. what entry should jenkins make on may 31 if one-third of the work is complete on that date?

Answers

The entry that Jenkins would have to make is given as

Unearned Revenue 200Revenue200

Hiow to determine the adjusting entry

he adjusting entry that Jenkins Company would make on May 31:

The Debit (decrease) Unearned Revenue: $200

The Credit (increase) Service Revenue (or whatever type of revenue is appropriate for the work done): $200

This tells us that :

Debit Unearned Revenue: $200

Credit Service Revenue: $200

This entry reflects that Jenkins Company has earned $200 of the $600 prepayment as of May 31,

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Quantitative Problem: Adams Manufacturing inc, buys $8.2 million of materials (net of discounts) on terms of 2/10, net 50 ; and it currently pays after 10 days and takes the discounts. Adams plans to expand, which will require additional financing. If Adams decides to forgo discounts, how much additional credit could it obtain? Assume 365 days in year for your calculations. Do not round intermediate calculations. Round your answer to the nearest cent. 5 What would be the nominal and effective cost of such a credit? Assume 365 days in year for your calculations. Do not round intermedlate calculations. Round your answer to two decimal places. Nominal cost: \% Effective cost: If the company could receive the funds from a bank at a rate of 9%, interest paid monthly, based on a 365 -day year, what would be the effective cost of the bank loan? Do not round intermediate calculations. Round your answer to two decimal places. (3) %

Answers

Adams Manufacturing could obtain an additional credit of 40 days by forgoing discounts. The nominal cost of this credit is approximately 0.0518. The effective cost of the bank loan would be 9.33%. These are based on the given discount terms and the formulas for nominal and effective costs.

To calculate the additional credit that Adams Manufacturing could obtain by forgoing discounts, we need to determine the maximum number of days the company could delay payment.

The terms are 2/10, net 50, which means a 2% discount is given if payment is made within 10 days, otherwise the full payment is due within 50 days.

To find the additional credit, we subtract the discount period from the full payment period:

50 days - 10 days = 40 days

So, Adams Manufacturing could obtain an additional credit of 40 days.

To calculate the nominal cost of this credit, we use the formula:

Nominal cost = (Discount % / (1 - Discount %)) * (365 / Credit Period)

Nominal cost = (0.02 / (1 - 0.02)) * (365 / 40)

Nominal cost ≈ 0.0518

To calculate the effective cost, we use the formula:

Effective cost = (1 + Nominal cost)^(365 / Credit Period) - 1

Effective cost = (1 + 0.0518)^(365 / 40) - 1

Effective cost ≈ 0.0771 or 7.71%

Now, let's calculate the effective cost of the bank loan:

Effective cost = (1 + Bank Interest Rate / 12)^(12) - 1

Effective cost = (1 + 0.09 / 12)^(12) - 1

Effective cost ≈ 0.0933 or 9.33%

Therefore, the Adams Manufacturing could obtain an additional credit of 40 days, with the nominal cost of 0.0518 and effective cost of the bank loan would be 9.33%.

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You buy stock on margin in your brokerage account when it is trading at 21.85 per share. You have 1935 in equity (cash) in your account and buy 210 shares. How much was loaned by the broker? 2.994 2,909 2,732 2,654 2,835

Answers

The broker loaned $2,909 to the investor.

To calculate the amount loaned by the broker, we need to understand the concept of buying stock on margin. When buying on margin, an investor borrows funds from the broker to purchase stocks. The loan amount is calculated by subtracting the equity (cash) in the account from the total value of the purchase.

In this scenario, the investor has $1,935 in equity (cash) in their account and buys 210 shares at a price of $21.85 per share. The total value of the purchase can be calculated by multiplying the number of shares (210) by the share price ($21.85), which gives us $4,582.50.

To determine the loan amount, we subtract the equity (cash) in the account ($1,935) from the total value of the purchase ($4,582.50). Therefore, the loan amount provided by the broker is $4,582.50 - $1,935 = $2,647.50.

Rounding this amount to the nearest whole number, we get $2,648. Therefore, the correct answer is $2,648, which is closest to the option given as $2,654.

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Carter Communications does not currently pay a dividend. You expect the company to begin paying a dividend of $2.20 per share in 8 years, and you expect dividends to grow perpetually at 3.2 percent per year thereafter. If the discount rate is 14 percent, how much is the stock currently worth? (Do not round intermediate calculations. Round your answer to 2 decimal places.)

Answers

The stock is worth $15.29 currently.

Carter Communications does not pay a dividend now. The dividend is expected to start paying in 8 years at $2.2 per share and is expected to grow perpetually at a rate of 3.2 percent per year. The discount rate is 14 percent. The current price of the stock, we will use the dividend discount model, also known as the Gordon growth model.P0 = D1/(r-g),P0 is the price of the stock nowD1 is the dividend in the next year (Year 9)g is the constant growth rate of dividends beyond the Year 9r is the required return or discount rate , D1 = $2.2 and g = 3.2%.The required return is 14 percent or 0.14.Putting the values in the formula,P0 = $2.2/(0.14-0.032)=$2.2/0.108=$20.37So, the stock is worth $20.37 currently.

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canadian radio television and telecommucations commission effect on business? give one example how would it play out?

Answers

The Canadian Radio-television and Telecommunications Commission (CRTC) has a significant effect on BUSINESSes, particularly those operating in the broadcasting and telecommunications sectors.

One example of how the CRTC can impact business is through its regulation of Canadian content requirements for broadcasters.

The CRTC plays a regulatory role in overseeing broadcasting and telecommunications in Canada. One aspect of its mandate is to promote and enforce Canadian content requirements, which aim to support and promote Canadian culture and content in the media landscape. Broadcasters, including radio and television stations, must adhere to these requirements by broadcasting a certain percentage of Canadian content.

For businesses in the broadcasting industry, the CRTC's Canadian content regulations can influence their programming choices and overall operations. Broadcasters need to allocate resources and efforts to meet the prescribed Canadian content quotas, which can affect their programming schedules and content acquisition strategies. This may involve partnering with Canadian content producers, investing in the development of original Canadian programming, or acquiring rights to Canadian shows and films.

Compliance with Canadian content regulations can present both opportunities and challenges for businesses. On one hand, it provides a platform for Canadian content creators to reach larger audiences and contribute to the cultural fabric of the country. It also fosters a diverse media landscape by ensuring a balance between Canadian and foreign programming.

On the other hand, meeting Canadian content requirements may involve additional costs and considerations for broadcasters. It can impact their programming decisions and require careful planning to strike a balance between meeting regulatory obligations and attracting viewership.

In summary, the CRTC's regulation of Canadian content requirements is an example of how the commission's actions can affect business in the broadcasting industry. Compliance with these regulations can impact programming choices, content acquisition strategies, and resource allocation for broadcasters, presenting both opportunities and challenges.

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your firm has a total asset of 22957 fixed assets kf 16069.9 long term debt of 12745 and note payable of 3500. what is the amount of networking capital?

Answers

Therefore, the amount of net working capital for the given firm is -$9357.9.

Net working capital is defined as the difference between current assets and current liabilities. The current assets of the firm include cash, marketable securities, accounts receivable, inventories, and prepaid expenses.

On the other hand, the current liabilities of the firm include accounts payable, accruals, and notes payable that are due within a year.

Let's use the given information in the question to calculate the net working capital of the firm.

Total assets = 22957

Fixed assets = 16069.9

Long term debt = 12745

Note payable = 3500

Current assets = Total assets - Fixed assets

= 22957 - 16069.9

= 6887.1

Current liabilities = Long term debt + Note payable

= 12745 + 3500

= 16245

Net working capital = Current assets - Current liabilities

= 6887.1 - 16245

= -9357.9

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Derek will deposit $6,294.00 per year for 11.00 years into an account that earns 7.00%, The first deposit is made next year. He has $13,940.00 in his account today. How much will be in the account 49.00 years from today? Answer format: Currency, Round to: 2 decimal places. Derek will deposit $2,270.00 per year for 15.00 years into an account that earns 15.00%. Assuming the first deposit is made 7.00 years from today, how much will be in the account 37.00 years from today? Answer format: Currency: Round to: 2 decimal places.

Answers

Note that the account will have as deposit, approximately $196,587.44 in it 37 years from today.

How   is this so?

To calculate the future value of the account 49 years from today, we can use the formula for the future value of an ordinary annuity  -

FV = P * ((1 + r)ⁿ⁻¹) / r

Where  -

FV = Future Value

P = Annual deposit amount

r = Interest rate per period

n = Number of periods

For the first scenario  -

P = $6,294.00

r = 7.00% = 0.07

n = 11

Using these values in the formula, we get  -

FV = 6294 * ((1 + 0.07)¹¹⁻¹) / 0.07

FV ≈ $122,541.68

Therefore, the account will have approximately $122,541.68 in it 49 years from today.

For the second scenario -

P = $2,270.00

r = 15.00% = 0.15

n = 15 (since the first deposit is made 7 years from today and the total duration is 37 years)

Using these values in the formula, we get  -

FV = 2270 * ((1 + 0.15)¹⁵⁻¹) / 0.15

FV ≈ $196,587.44

Therefore, the account will have approximately $196,587.44 in it 37 years from today.

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The Baylor Health Plan protects itself against extremely high cost claims by getting insurance by purchasing which of the following?

Group of answer choices

Reinsurance

Risk-based capital (RBC)

Rental network

All of these

Answers

The correct answer is "Reinsurance."                                                                                                                                                  The Baylor Health Plan protects itself against extremely high cost claims by purchasing reinsurance.

Reinsurance is a form of insurance that insurance companies buy to protect themselves against large or unexpected claims.                                                By purchasing reinsurance, the Baylor Health Plan transfers some of the risk and financial burden of high-cost claims to another insurance company.                                                                                                                          This helps the Baylor Health Plan manage its financial stability and ensure that it can continue to provide coverage to its members.

Therefore, the correct answer is "Reinsurance."

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Jason Howell, the new plant manager of Oid State Manufacturing Plant Number 7 , has just reviewed a draft of his year-end financial statements. Howell receives a year-end bonus of 12% of the plant's operating income before tax. The year-end income statement provided by the plant's controller was disappointing to say the least. After reviewing the numbers, Howell demanded that his controller go back and "work the numbers" again. Howell insisted that if he didn't see a better operating income number the next time around he would be forced to look for a new controller. (Click the icon to view additional data.) Read the requirements Requirement 1. Show numerically how operating income would improve by $700,000 just by classifying the preceding costs as product costs instead of period expenses. Begin by determining the formula to compute how the controller was able to improve operating income, then enter the appropriate amounts and compute the increase in operating income. Requirements 1. Show numerically how operating income would improve by $700,000 just by classifying the preceding costs as product costs instead of period expenses. 2. Is Howell correct in his justification that these costs "are definitely related to our product"? 3. By how much will Howell profit personally if the controller makes the adjustments in requirement 1 ? 4. What should the plant controller do?

Answers

Requirement 1. Reclassifying the preceding costs as product costs instead of period expenses would result in an increase in operating income by $700,000. By including these costs in the cost of goods sold (COGS), they directly impact operating income. This reclassification reduces overall operating expenses and leads to an increase in operating income. The formula to calculate the increase in operating income is: Increase in Operating Income = Preceding Costs (Period Expenses) - Preceding Costs (Product Costs). The specific amounts of the preceding costs would need to be determined from the provided data to compute the increase in operating income accurately.

Requirement 2: To determine if Howell is correct in his justification that these costs "are definitely related to our product," a thorough analysis of the costs in question is required. Howell's assertion implies that the costs should be considered as product costs rather than period expenses. It is essential to assess the nature of the costs and their direct association with the production or manufacturing process of the company's product. If the costs can be directly linked to the production process and contribute to the creation of the product, then Howell's justification may be valid. Requirement 3: To calculate how much Howell would profit personally if the controller makes the adjustments in requirement 1, we need additional information regarding the bonus structure. According to the given information, Howell receives a year-end bonus of 12% of the plant's operating income before tax. Therefore, Howell's personal profit would be 12% of the increase in operating income resulting from the adjustments made by the controller. Requirement 4: The appropriate course of action for the plant controller depends on a thorough analysis of the costs in question and their alignment with the classification as product costs or period expenses. The controller should carefully review the nature of the costs, their relationship to the production process, and the applicable accounting standards to determine the most accurate classification. It is crucial to maintain integrity in financial reporting and comply with accounting principles to provide transparent and accurate financial statements. Additionally, the controller should communicate their findings and analysis to Howell, explaining the rationale behind the original classification and any potential adjustments if warranted. Collaboration between Howell and the controller is essential to ensure accurate financial reporting and decision-making.

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Your investment department has researched possible investments in corporate debt securities. Among the available investments are the following $100 million bond issues, each dated January 1, 2021. Prices were determined by underwriters at different times during the last few weeks. (FV of $1. PV of $1. FVA of $1, PVA of $1. FVAD of $1 and PVAD of $1) Company 1. BB Corp. 2. DD Corp. 3. GG Corp. Bond Price $106 million $100 million $ 86 million Stated Rate 14% 13% 12% Each of the bond issues matures on December 31, 2040, and pays interest semiannually on June 30 and December 31. For bonds of similar risk and maturity, the market yield at January 1, 2021, is 14%. Required: Other things being equal, which of the bond issues offers the most attractive investment opportunity if it can be purchased at the prices stated? The least attractive? Most attractive investment Least attractive investment

Answers

The bond issue of DD Corp priced at $100 million offers the most attractive investment opportunity, while the bond issue of GG Corp priced at $86 million is the least attractive

To determine the most and least attractive investment opportunities among the bond issues, we need to compare their yields to the market yield of 14%.

First, let's calculate the present value (PV) of the bond cash flows.

For BB Corp, with a bond price of $106 million and a stated rate of 14%, we can use the PV of $1 formula to calculate the PV of the cash flows. The cash flows consist of semiannual interest payments and the face value at maturity.

For DD Corp, with a bond price of $100 million and a stated rate of 13%, we calculate the PV of the cash flows in the same way.

For GG Corp, with a bond price of $86 million and a stated rate of 12%, we calculate the PV of the cash flows using the PV of $1 formula.

Next, compare the PV of the cash flows of each bond issue to their respective prices. The bond issue with the highest PV relative to its price offers the most attractive investment opportunity, while the one with the lowest PV relative to its price is the least attractive.

Therefore, in this case, the bond issue of DD Corp priced at $100 million offers the most attractive investment opportunity, while the bond issue of GG Corp priced at $86 million is the least attractive.

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chegg land grant college has a successful football team and sells tickets to students, alumni, and the public. experience has shown that attendance has followed the demand relationship q

Answers

The demand relationship for ticket sales at Chegg Land Grant College's successful football team is represented by the variable q.

What factors influence the demand relationship for ticket sales at Chegg Land Grant College?

The demand relationship for ticket sales at Chegg Land Grant College's football team is influenced by several factors. These factors include the team's performance, the popularity of football in the region, the availability of alternative entertainment options, the price of tickets, the seating capacity of the stadium, and the marketing efforts of the college.

When the team performs well and gains a strong reputation, it tends to attract more fans, resulting in increased ticket sales. Similarly, if football is highly popular in the region, the demand for tickets is likely to be higher. The availability of alternative entertainment options, such as other sports events or cultural activities, can also affect ticket sales.

The price of tickets plays a crucial role in determining the demand. If ticket prices are too high, it may deter some potential attendees, whereas lower prices can attract more people. The seating capacity of the stadium also affects ticket sales. If the stadium has limited seating, it may create scarcity, driving up demand.

Lastly, effective marketing strategies, such as promotions, advertising campaigns, and leveraging the college's alumni network, can help increase awareness and generate interest in the football team's games.

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Solstice and Equinox (SE) Company had the following transactions in fiscal 2022: - SE made 1,500 of its hugely popular sundials in the first quarter of the 2022 fiscal year for $30 per unit. SE sold 700 of these products for $3,000 apiece in each of its 4 fiscal quarters. - SE rented a motorized scooter for transportation purposes for most of quarters 2,3 , and 4 (8 months total), paying the $1,200 total rental fee in quarter 2. - SE's warehouse was damaged by a flood in quarter 3 , leading to a loss of value of $9,000. Find SE's third quarter income or loss based just on these facts.

Answers

To calculate SE's third quarter income or loss based on the given facts, we need to consider the revenues and expenses associated with the third quarter. Let's break down the transactions:

1. Revenue from sundial sales:

SE sold 700 sundials in each of the four fiscal quarters for $3,000 per unit. Therefore, the revenue from sundial sales in the third quarter would be 700 * $3,000 = $2,100,000.

2. Loss from warehouse damage:

The warehouse was damaged by a flood in the third quarter, resulting in a loss of value of $9,000.

Now, let's calculate the third quarter income or loss:

Revenue from sundial sales: $2,100,000

Loss from warehouse damage: -$9,000

Total income or loss in the third quarter:

$2,100,000 - $9,000 = $2,091,000

Therefore, SE's third quarter income or loss based on the given facts is $2,091,000.

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Identify any 4 types of training programmes (business related)
offered in any organization discuss what preceded the choice of
these programmes

Answers

These concepts contribute to effective data analysis and communication, enabling individuals to derive insights, make informed decisions, and share information in a visually compelling manner.

Data visualization is the practice of representing data and information in a visual format, such as charts, graphs, maps, or infographics.

It plays a crucial role in data analysis by helping individuals understand complex data sets, identify patterns, and communicate insights effectively. Here are some general concepts related to data visualization and how they support data analysis and communication:

1. Simplifying Complex Data: Data visualization simplifies complex data by presenting it in a visual format that is easier to comprehend and interpret. Instead of working with raw numbers or lengthy reports, visual representations allow for a quick understanding of trends, relationships, and outliers within the data. By simplifying complex data, visualization helps analysts focus on the most relevant information and make data-driven decisions.

2. Enhancing Data Exploration: Visualizations facilitate data exploration by enabling users to interact with the data. Through interactive features like filtering, zooming, or hovering over data points, users can explore different aspects of the data and gain deeper insights. This interactivity allows analysts to uncover hidden patterns or outliers, conduct deeper analysis, and derive more meaningful conclusions.

3. Identifying Patterns and Trends: Data visualization makes it easier to identify patterns, trends, and correlations in the data. By representing data visually, patterns that may not be apparent in raw data become visually striking. Analysts can spot trends over time, compare different variables, and identify relationships between data points more effectively. This supports data analysis by uncovering insights that may guide strategic decisions or actions.

4. Storytelling and Communication: Effective data visualization helps analysts convey their analysis and insights to others in a clear and compelling manner. Visualizations can tell a story, guiding the viewer through a narrative that presents the key findings or conclusions derived from the data. By using visual elements like color, size, or positioning, analysts can highlight important information and guide the viewer's attention to the most critical aspects of the analysis.

5. Data Interpretation and Decision Making: Data visualization supports data interpretation and decision making by enabling individuals to grasp information quickly and make informed judgments. Visual representations make it easier to compare data points, evaluate trends, and assess the significance of findings. This enhances the speed and accuracy of decision making, as stakeholders can easily understand the implications of the data analysis and take appropriate actions.

6. Collaboration and Engagement: Data visualization promotes collaboration and engagement by facilitating effective communication among shareholders. Visualizations serve as a common language that transcends technical jargon and enables individuals from various backgrounds to participate in data-driven discussions. By presenting data in an accessible and engaging way, visualization encourages active participation, promotes data-driven discussions, and fosters collaboration among team members.

In summary, data visualization simplifies complex data, enhances data exploration, identifies patterns and trends, supports storytelling and communication, aids data interpretation and decision making, and promotes collaboration and engagement.

These concepts contribute to effective data analysis and communication, enabling individuals to derive insights, make informed decisions, and share information in a visually compelling manner.

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Norway decides to go forward with a large renewable energy project of photovoltaic cells

-What would happen to the domestic electricity market?

-What would happen to the domestic solar PV market?

USA decides to go forward with a large nuclear reactor project

-What would happen to the domestic electricity market?

-What would happen to the world market of uranium?

Answers

If Norway decides to go forward with a large renewable energy project of photovoltaic (PV) cells, several things would happen to the domestic electricity market.

First, the increased production of renewable energy from PV cells would lead to a higher supply of electricity. This could potentially drive down the price of electricity in the domestic market, making it more affordable for consumers. Additionally, as Norway relies less on fossil fuels for electricity generation, there would be a reduction in greenhouse gas emissions, leading to a cleaner and more sustainable energy sector.

In terms of the domestic solar PV market, it would experience a significant boost. The large-scale project would create demand for PV cells, driving the growth of the industry. This would lead to increased investment, job creation, and technological advancements in the solar PV sector in Norway.

On the other hand, if the USA decides to go forward with a large nuclear reactor project, there would also be notable effects on the domestic electricity market. Nuclear reactors can produce a significant amount of electricity, so the supply would increase. This may result in a decrease in electricity prices in the domestic market, benefiting consumers.

Regarding the world market of uranium, it would likely see an increase in demand if the USA implements a large-scale nuclear reactor project. Uranium is the primary fuel used in nuclear reactors, and an increase in nuclear power generation would drive up the demand for uranium. As a result, the world market of uranium would experience growth, potentially leading to higher prices and increased production in uranium mining and extraction industries.

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