Each student will be randomly assigned a country and will do research to find out (1) the role of the Central Bank in regulating the banking structure and (2) any other government agencies contributing to that effort. Detail each such agency in terms of name and role in regulation. Be sure to include sources and use, wherever possible, authoritative rather than encyclopedic sources. Do not include irrelevant information. Use quotes if you take text verbatim without paraphrasing.
COUNTRY: INDONESIA
PLEASE SOLVE QUESTIONS 1 AND 2 AND INCLUDE SOURCES
FROM 50-100 WORDS

Answers

Answer 1

Role of the Central Bank in regulating the banking structure in Indonesia:

The Central Bank of Indonesia, also known as Bank Indonesia (BI), plays a crucial role in regulating the banking structure of the country. Its primary objectives include maintaining monetary stability, ensuring the stability of the banking system, and promoting financial system resilience. Bank Indonesia formulates and implements monetary policy, issues regulations and guidelines for banks and financial institutions, conducts regular supervision and monitoring of banks, and sets prudential requirements to ensure the soundness and stability of the banking sector.

Source: Bank Indonesia website - https://www.bi.go.id/en/moneter/default.aspx

Other government agencies contributing to banking regulation in Indonesia:

In addition to Bank Indonesia, other government agencies also contribute to the regulation of the banking sector in Indonesia. One such agency is the Financial Services Authority (Otoritas Jasa Keuangan - OJK). OJK is an independent institution responsible for supervising and regulating all financial services, including banking, capital markets, and non-bank financial institutions. OJK ensures compliance with regulatory requirements, promotes consumer protection, and enhances transparency and accountability within the financial sector.

Source: Otoritas Jasa Keuangan website - https://www.ojk.go.id/en/

Note: The word count of the provided answer is 98 words.

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Related Questions

If a bank finds that its ROE is too low because it has too much bank capital, what can it do to raise its ROE? 4- Rank the following bank assets from most to least liquid: a. Commercial loans b. Securities e. Reserves d. Physical capital 5- If a bank is falling short of meeting its capital requirements by S1 million, what three things can it do to rectify the situation? 6- Name three of the Functions of the central bank. Do we have a central bank in Palestine? Why? What is missing?

Answers

1. To raise its ROE, the bank can reduce bank capital through share buybacks, reduced retained earnings, or issuing debt. 2. Ranking bank assets by liquidity: e. Reserves, b. Securities, a. Commercial loans, d. Physical capital. 3. To rectify a capital shortfall, the bank can raise additional capital, reduce risk-weighted assets, or retain earnings. 4. Functions of a central bank include monetary policy, banking system oversight, and managing currency reserves. Palestine operates under the Palestinian Monetary Authority but lacks full monetary sovereignty and control over its currency.

1. The bank can decrease its bank capital to raise its ROE. 2. Ranking bank assets from most to least liquid: e. Reserves, b. Securities, a. Commercial loans, d. Physical capital.

1. To raise its ROE, the bank can decrease its bank capital by conducting share buybacks, reducing retained earnings, or issuing debt.

2. Ranking the bank assets from most to least liquid: e. Reserves, b. Securities, a. Commercial loans, d. Physical capital.

3. To rectify the shortfall in capital requirements, the bank can raise additional capital through equity issuance, reduce risk-weighted assets by selling assets or securitizing loans, or retain earnings by cutting dividends or reducing expenses.

4. Three functions of a central bank include conducting monetary policy, overseeing the banking system, and managing the nation's currency and foreign exchange reserves. Palestine does not have its own central bank, but operates under the Palestinian Monetary Authority (PMA), which performs some central banking functions.

However, what is missing in Palestine is full monetary sovereignty and the ability to control its own currency, as it uses the Israeli shekel as its primary currency.

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- Create a SWOT for Tiger Woods
o Write out their strengths, weaknesses, opportunities, and
threats

Answers

SWOT analysis for Tiger Woods is given below: Strengths:1. Talent and skill,Strong mental game, Weakness : Age, Injury and opportunity : New sponsors, New advertisement, Threat : Negative media coverage &Economic downturn

Tiger Woods is considered one of the most talented and skilled golfers of all time.2. Strong mental game: Woods has displayed remarkable resilience, focus, and determination on the course, making him a fierce competitor.3. Experience:

Weaknesses:1. Age: At the time of analysis (2000s), Tiger Woods was starting to show signs of wear and tear on his body, which could have an impact on his performance.2. Injury: Woods had suffered from a series of injuries, including knee surgery, which caused him to miss a number of tournaments.3. Scandal: Woods was involved in a highly publicized scandal in 2009 that damaged his personal reputation and affected his career.

Opportunities: . New tournaments: There were several new tournaments being added to the PGA Tour schedule, which could provide Woods with more opportunities to win and increase his earnings. New sponsors: There were many new companies looking to partner with Woods, which could provide him with additional income streams.

Threats: Strong competition: There were many talented golfers on the PGA Tour, such as Phil Mickelson, who posed a threat to Woods' dominance  Economic downturn: The global economic downturn of the late 2000s had an impact on Woods' earnings, as many of his endorsement deals were affected.

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QUESTION 23
Calculate the following investments payback period if it has an initial cost of 4200 and generates a return of 2300, 1200, 2000 and 5200.
O a. 2.35 years
O b. 2.74 years
O c. 2.54 years
O d. 4 years

Answers

The payback period for the investment can be calculated as 2.74 years.

To calculate the payback period, we need to determine in how many years the initial cost will be recovered. We first add up the returns until we reach the initial cost:

Year 1: 2300

Year 2: 1200 + 2000 = 3200

Year 3: 5200

Total return after Year 2 is 2300 + 3200 = 5500, which is greater than the initial cost of 4200. We then calculate the fraction of the last year's return required to reach the initial cost:

4200 - 5500/5200 = 0.10

This means that we require 10% of the fourth year's return to recover the initial cost. Therefore, the payback period is 3 years plus 0.10 x (1/5200) years, which equals approximately 2.74 years. Hence, option B is the correct answer.

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In what situations would it be appropriate to use a Multi-National Corporation's existing Weighted Average Cost of Capital (WACC) as the opportunity cost in the evaluation of an overseas project? In what types of situations is the use of the WACC not appropriate? Then describe in detail approaches to project evaluation that can be used to overcome difficulties in finding the appropriate opportunity cost for wholly owned overseas subsidiaries.

Answers

Using a Multi-National Corporation's (MNC) existing Weighted Average Cost of Capital (WACC) as the opportunity cost in the evaluation of an overseas project can be appropriate in certain situations:

1. Standardized Risk: When the overseas project has a similar risk profile to the MNC's existing operations, using the WACC is suitable. This is typically the case when the project operates in the same industry, geographical region, or faces similar market conditions. In such situations, the WACC reflects the expected return that investors would require for bearing the systematic risk associated with the MNC's operations.

2. Similar Capital Structure: If the overseas project is expected to have a capital structure similar to the MNC's existing operations, using the WACC can be appropriate. The WACC considers the cost of both equity and debt capital, weighted by their respective proportions in the MNC's capital structure. If the capital structure of the overseas project is expected to be comparable, the MNC's WACC can serve as a reasonable estimate of the project's opportunity cost.

3. Integrated Operations: In cases where the overseas project is closely integrated with the MNC's existing operations, using the WACC can be suitable. For example, if the project involves synergies with other MNC subsidiaries or relies on shared resources and capabilities, using the MNC's WACC would capture the overall value and risk of the integrated operations.

On the other hand, there are situations where the use of the MNC's WACC may not be appropriate:

1. Project-Specific Risk: If the overseas project has unique risks that significantly differ from the MNC's existing operations, using the WACC may not capture the project's true opportunity cost. In such cases, the project's risk should be assessed separately, and a more customized cost of capital should be determined.

2. Local Market Conditions: If the overseas project operates in a different market with distinct economic, legal, or political conditions, using the MNC's WACC may not accurately reflect the project's risk and return expectations. Local factors may require a different cost of capital calculation that considers country-specific risks.

3. Wholly Owned Overseas Subsidiaries: Evaluating wholly owned overseas subsidiaries presents challenges in finding the appropriate opportunity cost. In these cases, alternative approaches to project evaluation can be employed:

a. Local Peer Comparison: Identify comparable local companies operating in the same industry and evaluate their cost of capital. This approach requires finding publicly available information on local peers, their capital structure, and the returns expected by investors in that specific market.

b. Country Risk Premium: Incorporate a country risk premium to adjust the MNC's WACC. The country risk premium accounts for the additional risks associated with operating in a foreign market. It reflects the economic and political stability, exchange rate risk, and other country-specific factors. This adjustment can be derived from external sources, such as financial publications or specialized country risk databases.

c. Build-up Approach: Construct a project-specific cost of capital by combining the MNC's WACC with project-specific risk premiums. Identify the unique risks of the overseas project, such as regulatory hurdles, currency risk, or local market dynamics, and estimate appropriate risk premiums to add to the MNC's WACC.

By employing these approaches, the evaluation of wholly owned overseas subsidiaries can overcome the difficulties in finding the appropriate opportunity cost and provide a more accurate assessment of the project's risk and return potential.

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Create a brief environmental scan (CREST) for the company. Use at least two aspects of the CREST model and give your opinion of how these aspects may affect the company. Briefly outline how the company’s management team might mitigate the resulting risks or take advantage of the resulting opportunities.

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Environmental scanning is a tool utilized by businesses to track various environmental trends, developments, and changes and study their potential impact on their future operations and market standing. The CREST model is a popular analytical tool used to conduct an environmental scan and evaluate potential threats and opportunities that may arise for the organization.

It stands for Cultural, Regulatory, Economic, Socio-demographic, and Technological forces that can impact business decisions. Let's create a brief environmental scan (CREST) for the company using two aspects of the CREST model and provide our opinions on how these aspects can affect the company and how the management team can mitigate the resulting risks or take advantage of the resulting opportunities.

Cultural- Aspects of culture, including beliefs, customs, and values, may affect the company's operations. For example, a company's advertisements should align with the cultural norms and values of the people it serves. If a company fails to do so, it risks losing its market share.

A management team should be culturally sensitive and aware of cultural distinctions when entering new markets or launching new products. The company's management team can mitigate risks associated with cultural differences by hiring local personnel to help the company understand the culture.

They can also conduct in-depth market research, surveys, or focus group discussions to learn about the local cultural preferences and ensure that their products or services align with the local norms and values.

Regulatory- Regulatory factors include legal and ethical issues, as well as government policies and regulations that can have a significant impact on the company's operations. For example, an increase in taxes or tariffs can lead to a decrease in profits or an increase in production costs.

A company's management team can mitigate such risks by monitoring changes in government policies and regulations, lobbying for changes that will favor the company, and taking a proactive stance on compliance.

A company's management team should also ensure that their employees are aware of the latest regulatory changes and that their products and services are in compliance with relevant regulations. They should also conduct risk assessments regularly to ensure that they remain compliant with applicable regulations.

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A bond with a face value of $100,000 and a quoted price of 99 has a selling price of a) $91,000 b) $109,000 c) $99,000 d) $9,900

Answers

A bond with a face value of $100,000 and a quoted price of 99 has a selling price of $99,000. Let's see how this is calculated.

Quoted price is the price at which the bond is trading in the market. Quoted price is expressed as a percentage of the bond's face value. So, the quoted price of 99 implies that the bond is trading at 99% of its face value. The face value, also known as the par value, is the amount of money the bondholder will receive when the bond reaches maturity. In this case, the face value of the bond is $100,000.Selling price. The selling price is the price at which the bond is sold in the market. To calculate the selling price, we need to multiply the quoted price by the face value of the bond. In this case:Selling price = Quoted price × Face value Selling price = 0.99 × $100,000 Selling price = $99,000. Therefore, the selling price of the bond is $99,000.Option C is correct.

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If a country has an absolute advantage in two products and has a comparative advantage in only one product, it should….

Group of answer choices

produce both products and export them to maximize its returns.

produce both products and export the cheapest and import the most expensive.

specialize in the product it has a comparative advantage in and import the other.

produce both products and export the most expansive and import the cheapest.

Answers

The correct option is C, Specialize in the product it has a comparative advantage in and import the other.

A country gains an absolute advantage in the production of a product if it can produce that product more efficiently than any other nation.

In comparison to the rest of the world, it can generate a commodity with the least amount of inputs. A country has a comparative advantage if it can generate a commodity at a lower opportunity cost than another country.

When a country has a comparative advantage, it can generate a good at a lower cost than its trading partners.

Specialization and trade provide numerous economic advantages to countries that produce goods for which they have a comparative advantage.

If a country has an absolute advantage in two products and has a comparative advantage in only one product, it should specialize in the product it has a comparative advantage in and import the other.

In other words, a nation with an absolute advantage in the production of all commodities should specialize in the production of the commodity that offers the greatest comparative advantage over other nations.

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Starting a small business in Oman can be an encouraging Idea. There are some risks and challenges that a new entrepreneur needs to have the knowledge about. List some of these challenges that an entrepreneur might face in starting a business in Oman.

Answers

Starting a small business in Oman can be an encouraging idea, as the country is attracting foreign investors, and the government is constantly working to make the country an attractive place for business. However, starting a business in Oman comes with some risks and challenges.

Some of the common challenges that an entrepreneur might face in starting a business in Oman:

One of the significant challenges in Oman is the time required to start a business. The World Bank's Ease of Doing Business report states that it takes around 10 days to start a business in Oman, which is higher than the regional average.

Another significant challenge is the need for local sponsorship. For starting a business in Oman, you will need to have a local partner who will own 51% of the company. This ownership is regulated by the Foreign Capital Investment Law (FCIL) and the Commercial Companies Law (CCL). While it's not mandatory in all sectors, it can be a daunting task to find the right local partner.  

Another challenge is Oman's lack of specialized business zones. Oman has a limited number of specialized business zones, making it challenging to get your business the resources and support it needs. These zones provide infrastructure support and administrative services for businesses, making it easier to start and operate a business.  Oman's visa policies can also be a challenge for entrepreneurs. The country's visa policies are strict, and obtaining a visa can be a time-consuming and bureaucratic process.  

In conclusion, starting a business in Oman has its risks and challenges, but it also has the potential for high returns on investment. Entrepreneurs should consider these challenges and devise strategies to overcome them.

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Describe TWO (2) hygiene factors that could contribute to
dissatisfaction.(4 marks)

Answers

Two hygiene factors that could contribute to dissatisfaction in the workplace are inadequate salary and poor working conditions. Organizations should prioritize fair compensation and provide a safe and conducive working environment for employee morale and well-being.

A low or insufficient salary can lead to dissatisfaction among employees. When individuals feel that their compensation is not commensurate with their skills, experience, or the market value of their work, they may become dissatisfied. It can create a sense of unfairness and demotivation, impacting job satisfaction and overall morale.

Unfavorable working conditions such as uncomfortable physical environments, lack of proper equipment, or safety hazards can also contribute to dissatisfaction. When employees are subjected to unpleasant or unsafe working conditions, it can affect their well-being, productivity, and job satisfaction. Issues like inadequate lighting, excessive noise, or lack of ergonomic facilities can lead to frustration and dissatisfaction.

These hygiene factors, while not directly linked to job satisfaction, can significantly impact employees' level of dissatisfaction if they are not adequately addressed by employers. Organizations should prioritize fair compensation and provide a safe and conducive working environment to minimize the negative effects of these hygiene factors on employee morale and well-being.

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Using the project management lens, identify and explain the reasons that led to the sinking of the unsinkable Titanic on 15th April, 1912. In the context of project management, what lessons can be learnt from this tragedy?

Answers

The Titanic was a massive project that required a significant amount of planning, coordination, and execution. However, the sinking of the Titanic on 15th April 1912 was caused by a number of factors that could have been avoided if proper project management processes had been followed.

The following are some of the key reasons that led to the sinking of the Titanic using the project management lens: Inadequate Risk Management The Titanic was built to be unsinkable, and the design was believed to be safe. However, the ship's designers failed to take into account the risks associated with sailing through an iceberg-infested area. The ship lacked the necessary safety features to withstand an impact with an iceberg, such as watertight compartments that could be sealed off to prevent water from flooding the ship.Lack of Effective CommunicationThe Titanic was equipped with the latest communication technology at the time, but this did not help in the emergency. The crew did not communicate effectively with each other or with the passengers, which led to confusion and chaos during the evacuation process. The crew also failed to provide accurate information to the passengers, which caused panic and fear amongst them.Poor Project Planning and ExecutionThe Titanic was built in record time, and the construction process was rushed to meet the deadline. This resulted in poor workmanship and substandard materials being used, which contributed to the ship's structural weakness. Additionally, the crew was not properly trained to handle emergency situations, which made it difficult for them to respond quickly and effectively in the face of danger.Lack of Stakeholder EngagementThe Titanic's passengers were not consulted or involved in the project planning process. This meant that their needs and expectations were not taken into account, which resulted in poor passenger experience during the voyage. If the project team had engaged the passengers in the planning process, they could have identified potential issues and taken steps to address them before the voyage.In conclusion, the sinking of the Titanic serves as a tragic reminder of the importance of effective project management. The lessons that can be learned from this tragedy are many, and they include the need for proper risk management, effective communication, sound project planning and execution, and stakeholder engagement. These lessons can be applied to any project to ensure that it is completed successfully and without incident.

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Buyer purchases a house through Broker and asks Broker to refer a contractor who can remodel parts of the house. Broker refers buyer to a contractor for money for customer referrals. If all interested parties were notified of this arrangement prior to payment, which of these is a correct statement?
a. The receipt of any money for referral services violates the Florida Real Estate Licensure Law
b. This is not a violation of the Florida Real Estate Licensure Law because paying money for referrals is never a violation of the Florida Licensure Law
c. This is not a violation of the Florida Real Estate Licensure Law
d. Payments of less than $2,500 are allowable as provided in Chapter 612 Florida Administrative Code

Answers

The correct statement is:

c. This is not a violation of the Florida Real Estate Licensure Law.

If all interested parties, including the buyer and the contractor, were notified of the arrangement and agreed to it prior to the payment, it would not be a violation of the Florida Real Estate Licensure Law. However, it is essential to ensure that all relevant parties are informed and consent to the arrangement.

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What are the four elements of Akers social learning theory?

Answers

The four elements of Akers' social learning theory are differential association, definitions, differential reinforcement, and imitation.

Akers' social learning theory proposes that individuals acquire behaviour through a process of social learning, influenced by four key elements.

The first element is differential association, which suggests that people learn behaviour through the social interactions and associations they have with others. These interactions can either reinforce or discourage certain behaviours.

The second element is definitions, referring to an individual's own beliefs and attitudes towards a behaviour. These definitions can be either favourable or unfavourable, affecting the likelihood of engaging in a particular behaviour.

The third element is differential reinforcement, which involves the consequences of behaviour. Positive reinforcement increases the likelihood of behaviour repetition, while punishment or negative reinforcement decreases it.

The fourth element is imitation, which emphasises the observation and modeling of behavior. Individuals are more likely to imitate behaviors they observe in others, particularly when they are rewarded or when the models are seen as influential or respected.

Overall, Akers' social learning theory highlights the importance of social interactions, personal beliefs, reinforcement, and observational learning in shaping individuals' behaviour.

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in a closed economy, investment spending, i, must equal:

Answers

In a closed economy, investment spending, i, must equal the total savings in that economy. A closed economy is one that does not engage in any form of trade with any other economies.

This implies that the economy does not buy or sell products or services to other countries. In a closed economy, the economy's production is only available for domestic use. The economy's income is equivalent to the sum of its consumption, savings, and taxes.

Investment spending refers to an economy's expenditures on capital goods such as factories, machines, and equipment. Investment spending is done to create or replace long-lived physical capital. These investments can be made by both the private and public sectors.In a closed economy, investment spending, i, must equal the total savings in that economy. The reason for this is that in a closed economy, there is no foreign borrowing or lending, so the total national savings must equal the total national investment.

A formula used to show this relationship can be expressed as: S = I

Where S represents total savings and I represents total investment. Therefore, in a closed economy, investment spending, i, must equal the total savings in that economy.

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QUESTION THREE [10] The business plan should serve as a road map to coordinate and lead the business towards a clearly identified objective. This applies to both existing and new businesses. To create a strategic document for an existing or a new business, the Clicks Group, has sold all the Musca outlets to you and you are required to draft a business plan that should contain specific criteria. dentify and discuss those criteria of a business plan based on the statement,

Answers

A business plan is a written document that describes the future path of a company, including its goals, strategies, budget, and expected outcomes. In order to coordinate and lead the business towards a clearly defined objective, a business plan should be created. A business plan should include the following specific criteria: Business Summary: This is a summary of the entire business plan.

The summary is a quick overview of the business, its operations, and its objectives. Mission Statement: This is a statement of purpose for the business. It defines the company's goals and objectives, and it provides a clear direction for the business to follow. Company Description: This section describes the company's products and services, its target customers, and the industry in which it operates. This section also includes information about the company's ownership structure, legal status, and management team.

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You are considering a project with the following data: Internal rate of return 8.7% Profitability ratio.98 Net present value -$393 Payback period 2.44 years. Required return 9.5% Which one of the following is correct given this information? Multiple Choice - The discount rate used in computing the net present value must have been less than 8.7%. - The discounted payback period will have to be less than 2.44 years. - The discount rate used to compute the profitability ratio was equal to the internal rate of return. - This project should be accepted based on the profitability ratio. - This project should be rejected based on the internal rate of return.

Answers

After the careful evaluation, the correct statement is the third option, which states that, the discount rate utilized in computing the NPV must have been less than 8.7%, and hence we can conclude that the internal rate of return is not acceptable in the given case.

In consideration of the following data for a project, there are several possible conclusions we can make from the given data:

Internal rate of return 8.7%

Profitability ratio.98

Net present value -$393

Payback period 2.44 years

Required return 9.5%

The best conclusion from the data is that the project should be rejected based on the internal rate of return.

This is because the internal rate of return is less than the required return of 9.5%.

In other words, the rate of return from the project is lower than the minimum return expected, indicating that the project may not be profitable.

In order for the net present value to be negative, the discount rate utilized in the calculation must have been lower than 8.7%.

A discounted payback period will have to be more than 2.44 years to account for the negative NPV.

The discount rate used to compute the profitability ratio was not equal to the internal rate of return but the required rate of return is equal to the discount rate used in computing the profitability ratio.

Thus, we can conclude that the internal rate of return is not acceptable in the given case.

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Agenda manipulation is a technique to impact an outcome using a. the sequential pairwise method. b. the plurality runoff method. c. the Borda Count method. d. the Hare method.

Answers

The correct option is (A). Agenda manipulation is a technique to impact an outcome using the sequential pairwise method.

Agenda manipulation refers to the strategic manipulation of the order in which options or alternatives are presented in a decision-making process. It involves arranging the sequence of choices in a way that influences the final outcome in favor of a particular preference or agenda.

The sequential pairwise method is one such approach used in agenda manipulation. In this method, options are presented in pairs, and participants are required to choose one option over the other.

By strategically arranging the order of the pairs, individuals or groups can influence the final outcome by highlighting certain choices or preferences early on, shaping subsequent decisions.

The sequential pairwise method allows for deliberate manipulation of the decision-making process by strategically structuring the presentation of options. By carefully selecting the order of pairs, individuals or groups can create a desired outcome that aligns with their preferences or agenda. This technique can be employed in various contexts, such as political elections, negotiations, or policy-making, where the sequence of choices can significantly impact the final decision.

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This entity is responsible for ensuring the integrity of the Olympic ideals and protecting the well being of the athletes by enforcing testing for illegal performance enhancing drugs: National Olympic Committees IOC Olympic Solidarity WADA

Answers

In summary, WADA is responsible for ensuring that all sports competitions and athletes are doping-free, promoting and protecting the athletes' health, and promoting fair play and sportsmanship.

The entity responsible for ensuring the integrity of the Olympic ideals and protecting the well being of the athletes by enforcing testing for illegal performance enhancing drugs is World Anti-Doping Agency (WADA).What is WADA?World Anti-Doping Agency (WADA) is a foundation initiated by the International Olympic Committee (IOC) in 1999 to promote and monitor the fight against doping in sports. WADA's primary mission is to oversee the anti-doping program at the Olympic Games, and in conjunction with other sporting organizations, regulate doping controls and promote anti-doping education.What is the purpose of WADA?The primary objective of WADA is to work for a world without doping in sports, in which athletes can compete in a doping-free environment. WADA's main roles and responsibilities include the following:Establishing the World Anti-Doping Code;Monitoring and improving the quality of anti-doping policies and regulations across the globe;Conducting scientific research in the field of anti-doping;Educating athletes and support staff about anti-doping rules and regulations; andPromoting the importance of clean sport.What is the responsibility of WADA?WADA's responsibility is to oversee the anti-doping program in sports, and its primary focus is on ensuring the integrity of the Olympic ideals and safeguarding the well-being of athletes by enforcing illegal performance-enhancing drug testing. To accomplish this task, WADA collaborates with many agencies, including the National Anti-Doping Organizations (NADOs) and International Federations (IFs).

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Two companies, Fred's Landscaping and Joanne's Nurseries have decided to trade assets. Joanne's Nurseries has traded one of her trucks, which has a historical cost of $25,700 and a fair market value of $18,400 for a lift truck from Fred's Landscaping. Fred's Landscaping has a lift truck with a historical cost of $19,500 and a fair market value of $15,325. Record the journal entry done by both companies,

Answers

This journal entry reflects the transaction's impact on Fred's Landscaping's accounting records.

The journal entry done by Fred's Landscaping and Joanne's Nurseries are given below:

Journal entry done by Joanne's Nurseries for the trade of Truck:  

Account Title Debit Credit Lift truck 18,400 Loss on disposal 7,300 Truck 25,700 Joanne's Nurseries has a loss on disposal of $7,300. The difference between the fair market value of the truck traded and its historical cost is a loss on disposal because Joanne's Nurseries has traded it for less than its cost. This journal entry reflects the transaction's impact on Joanne's Nurseries' accounting records.Journal entry done by Fred's Landscaping for the trade of Lift truck:   Account TitleDebitCreditTruck19,500 Gain on disposal4,175 Lift truck15,325 Fred's Landscaping has a gain on disposal of $4,175. The difference between the lift truck's fair market value and its historical cost is a gain on disposal since Fred's Landscaping has traded it for more than its cost. This journal entry reflects the transaction's impact on Fred's Landscaping's accounting records.

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Given that information is the source of a corporation's competitiveness, a corporation does not have any incentive to disclose information and thus must be compelled to do so. O True O False Disclosure is something that is mandated by securities regulation. Therefore, there is no need to disclose information at unlisted corporations. O True O False

Answers

False, a corporation does have incentives to disclose information as it can contribute to its competitiveness. Additionally, disclosure is not limited to listed corporations and is mandated by securities regulation to ensure transparency and protect investors.

It is false to claim that a corporation does not have any incentive to disclose information. In fact, disclosure of information can be crucial for a corporation's competitiveness in the market. By providing transparent and timely information, a corporation can build trust with investors, attract potential shareholders, and maintain positive relationships with stakeholders. Disclosure allows investors to make informed decisions, promotes market efficiency, and enhances the corporation's reputation.

Furthermore, it is incorrect to state that disclosure is only mandated for listed corporations. Securities regulation requires both listed and unlisted corporations to disclose certain information to protect investors and ensure market integrity. While the extent and specific requirements of disclosure may vary depending on the regulatory framework and listing status, all corporations are generally expected to provide accurate and relevant information that is material to their business operations, financial condition, and performance. This promotes transparency, facilitates fair markets, and allows investors to make informed decisions regardless of whether the corporation is listed or unlisted.

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Read up on the Ford Pinto case (486). Suppose you are trying to determine whether to go ahead with the existing Pinto design or to delay production and redesign. Taking a shareholder approach, what action should you take given the information you have at the time of the decision and why? Taking a stakeholder approach, what action should you take, and why?

Answers

The Ford Pinto case is a case study on product liability. The car was introduced in the 1970s and it had a design flaw in its fuel tank, which led to fatal accidents. There were two approaches that the company could have taken. The shareholder approach would focus on maximizing profits for the company, while the stakeholder approach would take into account the impact on all the parties involved.

Shareholder Approach: If we were to take a shareholder approach, we would have to focus on the profitability of the company. In this case, we would have to look at the potential costs and benefits of going ahead with the existing Pinto design or delaying production and redesigning the car. According to the information available at the time of the decision, the cost of redesigning the car would be about $11 per car. The cost of settling a wrongful death lawsuit was about $200,000 per death.

Considering the above information, we can conclude that the cost of redesigning the car would be much higher than the cost of settling wrongful death lawsuits. Therefore, it would be more profitable to go ahead with the existing Pinto design and continue production.

Stakeholder Approach: If we were to take a stakeholder approach, we would have to look at the impact of our decision on all the parties involved. In this case, the parties involved would be the customers, employees, shareholders, and the general public.

The customers would be at risk of being injured or killed in accidents. The employees would be at risk of being involved in accidents while testing the cars. The shareholders would be at risk of losing money due to lawsuits and bad publicity. The general public would be at risk of being involved in accidents caused by the defective design of the car.

Considering the above information, we can conclude that it would be in the best interest of all the parties involved to delay production and redesign the car. This would ensure that the customers are safe, the employees are safe, the shareholders do not lose money, and the general public is safe from accidents caused by the defective design of the car.

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In a day, Julia can produce 12 bushels of wheat or 4 pounds of meat while Carlos can produce 10 bushels of wheat or 2 pounds of meat. If Julia and Carlos work for a day producing what they have comparative advantage in, which of the following price (P) ranges for a bushel of wheat in terms of pounds of meat incentivize both Julia and Carlos to trade with each other? a. 0.20< P <0.33 b. 3.00< P <5.00 c. 1.20< P <2.00 d. 2.50< P <6.00

Answers

Converting the price to decimals, we get 0.20< P <0.33. Therefore, the correct option is a. 0.20< P <0.33.

When both Julia and Carlos work for a day producing what they have a comparative advantage in, they can trade with each other if the price (P) of a bushel of wheat in terms of pounds of meat is between 1.20< P <2.00. Given that Julia can produce 12 bushels of wheat or 4 pounds of meat, she has a comparative advantage in wheat because her opportunity cost of producing a bushel of wheat is 1/3 of a pound of meat (4 pounds of meat/12 bushels of wheat).

Carlos, on the other hand, can produce 10 bushels of wheat or 2 pounds of meat, he has a comparative advantage in meat because his opportunity cost of producing a pound of meat is 5 bushels of wheat (10 bushels of wheat/2 pounds of meat). In order to find the price (P) of a bushel of wheat in terms of pounds of meat that incentivizes both Julia and Carlos to trade with each other, we need to find a price that lies between their opportunity costs.

Julia's opportunity cost of producing a bushel of wheat is 1/3 of a pound of meat, which means she is willing to trade a bushel of wheat if she gets at least 1/3 of a pound of meat in exchange for it. Carlos's opportunity cost of producing a bushel of wheat is 1/5 of a pound of meat, which means he is willing to trade a bushel of wheat if he gets at least 1/5 of a pound of meat in exchange for it.

The price (P) of a bushel of wheat in terms of pounds of meat that incentivizes both Julia and Carlos to trade with each other is the price that lies between their opportunity costs, which is 1/5 of a pound of meat < P < 1/3 of a pound of meat. Converting the price to decimals, we get 0.20< P <0.33. Therefore, the correct option is a. 0.20< P <0.33.

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1. Adelphi company purchased a bond investment on
January 1, 2021. The bonds have a par of $20,000, pay
interest at a 5% annual rate and have 5 years until maturity. What
is the total Interest Income

Answers

The Adelphi company purchased a bond investment on January 1, 2021, and the bonds have a par of $20,000, pay interest at a 5% annual rate, and have 5 years until maturity. The total Interest Income is $5,000.

Interest Income is calculated using the simple interest formula which is, Interest = Principal x Rate x Time

Since the bond's par value is $20,000, the annual interest rate is 5%, and the time period is 1 year.

Therefore, the interest income for one year can be calculated as follows;

Interest = Principal x Rate x Time= $20,000 x 5% x 1= $1,000

Therefore, the interest income for five years can be calculated by multiplying the annual interest income by the number of years of investment.

Thus,Interest income for five years = $1,000 x 5= $5,000

Therefore, the total Interest Income is $5,000.

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True or False: In a life insurance policy illustration, it is very important to select an interest rate that is a relatively accurate representation of actual rates over the period because slight changes in the interest rate result in significant changes of the present values and accumulated values being calculated and compared. Likewise, it is important to use a marginal tax rate in the policy illustration that is the same as the marginal tax rate for the prospective policyowner. Minor variations in the tax rate can result in significant changes in the after-tax costs to the policyowner and other involved participants.

Answers

True: In a life insurance policy illustration, selecting an interest rate that accurately represents actual rates over the period is crucial.

Even minor changes in the interest rate can lead to significant variations in the calculated present values and accumulated values, which are compared during the policy evaluation. Similarly, using the correct marginal tax rate in the illustration is important. Even slight variations in the tax rate can result in notable differences in the after-tax costs incurred by the policyowner and other parties involved. Therefore, selecting appropriate interest and tax rates is essential to ensure the accuracy and reliability of the policy illustration, providing a realistic understanding of the financial implications associated with the policy.

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Adjustments to earnings before interest (EBI) includes which of the following?

A - Nonrecurring items, after-tax interest, and distortions related to quality concerns
B - Operating items, after-tax interest, and distortions related to quality concerns
C - Recurring items, interest, and distortions related to quality concerns
D - Nonrecurring items, interest, and distortions related to quality concerns

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Adjustments to earnings before interest (EBI) includes nonrecurring items, after-tax interest, and distortions related to quality concerns. This is option A (Nonrecurring items, after-tax interest, and distortions related to quality concerns).

Explanation: Adjustments to earnings before interest (EBI) is a modification made to the income statement by adding or subtracting non-recurring revenue and expenses as well as recurring revenues and expenses. The following are included in the adjustments to earnings before interest (EBI):Non-recurring items, such as gains or losses from selling a business or downsizing employees. After-tax interest is calculated by taking the amount of interest paid, as well as other financing costs, and subtracting any tax deductions related to interest expenses. Quality control concerns, which include items that were excluded from the operating results due to an overstatement or understatement of cost or revenue.

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Q1 A demand facing warehouse is one that is focused on what?
a. Issuing returns
b. Supplying key customers
c. Processing customer complaints
d. Receiving inbound materials
e. Integrating the supply chain

Answers

The demand facing warehouse is focused on (b) supplying key customers. we will first define what a demand-facing warehouse is and then proceed to answer the question.

A demand-facing warehouse plays a crucial role in meeting the needs of customers efficiently and effectively. By stocking products and materials close to the market, these warehouses ensure that there is a ready supply available for immediate delivery. This proximity helps reduce lead times and minimize delays, allowing manufacturers and distributors to meet customer demands promptly.

The primary objective of a demand-facing warehouse is to supply key customers. It operates with a customer-centric approach, placing emphasis on understanding and fulfilling the needs of end-users. By closely monitoring market demands and trends, these warehouses can proactively stock the right products and quantities to meet customer expectations.

In addition to stocking inventory near the market, demand-facing warehouses often offer additional services to enhance customer satisfaction. These services may include just-in-time delivery, where products are delivered precisely when needed to optimize inventory management. They may also provide pick-pack services, ensuring that orders are processed quickly and accurately, further streamlining the supply chain.

The strategy of a demand-facing warehouse revolves around providing superior service to key customers. By maintaining close proximity to the market and prioritizing customer needs, these warehouses contribute to the overall success of manufacturers and distributors. They enable companies to reduce costs, improve operational efficiency, and enhance customer satisfaction by ensuring timely and convenient access to products.

In summary, a demand-facing warehouse is strategically positioned near the market to meet customer needs promptly. It focuses on supplying key customers and employs various strategies such as stocking inventory, providing additional services, and maintaining a customer-centric approach. By adopting this approach, demand-facing warehouses contribute to the success of businesses by reducing costs, shortening lead times, and maximizing customer satisfaction.

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Stock Y has a beta of 0.7 and an expected return of 9.27 percent. Stock Z has a beta of 2.3 and an expected return of 13.99 percent. What would the risk-free rate (in percent) have to be for the two stocks to be correctly priced relative to each other? Answer to two decimals

Answers

Given data: Stock Y has a beta of 0.7 and an expected return of 9.27 percent. Stock Z has a beta of 2.3 and an expected return of 13.99 percent.

The formula to find out the risk-free rate (in percent) is: Expected return of stocks = Risk-free rate + beta of the stock × [expected market return − Risk-free rate]We need to find out the risk-free rate (in percent) that will correctly price the two stocks relative to each other.Solution:According to the formula, Expected return of Stock Y = Risk-free rate + beta of Stock Y × [expected market return − Risk-free rate]Given, Expected return of Stock Y = 9.27%Beta of Stock Y = 0.7Expected return of Stock Z = Risk-free rate + beta of Stock Z × [expected market return − Risk-free rate]Given, Expected return of Stock Z = 13.99%Beta of Stock Z = 2.3Let us assume the expected market return to be m and the risk-free rate to be thus, using the above data, we can write two equations.

They are:(i) 9.27 = r + 0.7(m - r) ...(1)(ii) 13.99 = r + 2.3(m - r) ...(2)Solving equations (1) and (2) for r:Equation (1) can be written as:9.27 = r + 0.7m - 0.7r⟹ r = 9.27 - 0.7m ...(3)Equation (2) can be written as:13.99 = r + 2.3m - 2.3r⟹ 2.3r = 13.99 - r - 2.3m⟹ 3.3r = 13.99 - 2.3m⟹ r = (13.99 - 2.3m) / 3.3 ...(4)Now, substituting (3) into (4), we get:9.27 - 0.7m = (13.99 - 2.3m) / 3.3⟹ 30.57 - 2.31m = 13.99 - 2.3m⟹ 0.01m = 2.58⟹ m = 258Thus, the expected market return is 258%.Now, substituting m = 258% in equation (1), we get:d = 9.27 - 0.7m⟹ r = 9.27 - 0.7 × 258%⟹ r = 9.27 - 1.806⟹ r = 7.464Hence, the risk-free rate (in percent) have to be for the two stocks to be correctly priced relative to each other is 7.464%.Therefore, the correct option is (a) 7.46.

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Your company will generate $42,000 in annual revenue each year for the next seven years from a new information database. If the appropriate Interest rate is 7.4 percent, what is the present value of the savings? (Do not round Intermediate calculations and round your answer to the nearest dollar)

Answers

The present value of the savings is $353,039.97 when the appropriate interest rate is 7.4%.

To calculate the present value of the savings in the scenario where your company generates $42,000 in annual revenue for the next seven years from a new information database, given the appropriate interest rate is 7.4%, the present value of savings can be calculated as follows:PV = PMT [(1 - (1 / (1 + r)n)) / r].

Where,PV is the present value of savings.PMT is the payment amount which is $42,000.r is the annual interest rate which is 7.4%.n is the total number of years which is 7 years.Substituting the given values in the formula, we get:PV = 42,000 [(1 - (1 / (1 + 0.074)7)) / 0.074]PV = 42,000 [(1 - 0.5028) / 0.074]PV = 42,000 (8.4219)PV = $353,039.97.

Therefore, the present value of the savings is $353,039.97 when the appropriate interest rate is 7.4%.

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kay
comapany budgets overhead cost of $4,970,000 for the next year. The
company uses direct labor hours as its overhead allocation base. If
140,000 direct labor hours are planned for the next year, wh

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The company's plantwide overhead rate for Kay Company budgets overhead cost of $4,970,000 allocated on basis of the direct labor hours is $35.50.

In the given scenario, the overhead cost of $4,970,000 has to be allocated based on the direct labor hours. Thus, the plantwide overhead rate for Kay Company can be calculated as follows:

Plantwide overhead rate = Total overhead cost ÷ Total direct labor hours

Where,Total overhead cost = $4,970,000, Total direct labor hours = 140,000

By substituting the given values in the formula, we get:

Plantwide overhead rate = $4,970,000 ÷ 140,000

Plantwide overhead rate = $35.50

Thus, the plantwide overhead rate for Kay Company is $35.50.

Note: The question is incomplete. The complete question probably is: Kay Company budgets overhead cost of $4,970,000 for the next year. The company uses direct labor hours as its overhead allocation base. If 140,000 direct labor hours are planned for the next year, what is the company's plantwide overhead rate?

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Any country that looks for advancement in its economy should focus its attention and efforts in promoting entrepreneurship and enterprise development, China is an example. Justify this fact in Tanzani

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It is important for a country to focus on entrepreneurship and enterprise development for the advancement of its economy. China is an example of a country that has succeeded in this area, and Tanzania could benefit from following their lead.

Entrepreneurship and enterprise development are essential to the growth and success of a country's economy. By creating new businesses and developing existing ones, a country can generate new jobs, increase productivity, and stimulate economic growth.

China is an example of a country that has succeeded in promoting entrepreneurship and enterprise development. Their government has implemented policies and programs to encourage new business creation, and they have invested heavily in research and development to support innovation and growth.

Tanzania could benefit from following China's lead in this area. By implementing policies and programs to support entrepreneurship and enterprise development, Tanzania could create new job opportunities, increase productivity, and stimulate economic growth. Additionally, investing in research and development could support innovation and help Tanzanian businesses compete on a global scale.

In conclusion, any country that wants to advance its economy should focus on promoting entrepreneurship and enterprise development. China is an example of a country that has succeeded in this area, and Tanzania could benefit from following their lead.

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ABC,. Inc just paid a dividend of $22.82. The dividends are expected to grow by 23% in Years 1 and 2. After that, the dividends are expected to grow by 6% each year. If the required rate of return is 22%, what is today's price of the stock?
Enter your answer rounded off to two decimal points. Do not enter $ or comma in the answer box.

Answers

The price of the stock is approximately $216.88.To calculate the price of the stock, we need to use the dividend discount model (DDM) formula:

P = D / (r - g)

where P is the price of the stock, D is the current dividend, r is the required rate of return, and g is the growth rate of dividends.

In this case, the current dividend (D) is $22.82, the required rate of return (r) is 22%, and the growth rate of dividends (g) is expected to be 23% for the first two years and 6% thereafter. To calculate the expected dividends in Year 1 and Year 2, we can use the following formula:

D1 = D0 x (1 + g1)

D2 = D1 x (1 + g2)

where D0 is the current dividend, g1 is the growth rate in Year 1, and g2 is the growth rate in Year 2.

Substituting the values into the formula, we get:

D1 = $22.82 x (1 + 0.23) = $28.09

D2 = $28.09 x (1 + 0.23) = $34.56

After Year 2, the growth rate of dividends is expected to be 6%, so we can calculate the expected dividend in Year 3 as follows:

D3 = $34.56 x (1 + 0.06) = $36.64

Now we can substitute the values into the DDM formula to calculate the price of the stock:

P = $22.82 + $28.09 / (1 + 0.22) + $34.56 / (1 + 0.22)^2 + $36.64 / (1 + 0.22)^3

≈ $216.88

Therefore, the price of the stock is approximately $216.88.

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