Evaluate the following spectra and deduce the compounds: Show your work Compound 1: The following are in the following order: MS, IR, CNMR, HNMR
Compound 2: The following are in the following order: MS, IR, CNMR, HNMR

Answers

Answer 1

Two multiplet peaks at 2.3 ppm and 3.8 ppm are observed which are assigned to the methine and methyl groups, respectively.

The given spectra and the details of the two compounds is shown below.

Spectra and details of Compound 1: MS: 121 M+ IR: 3020, 2970, 1740, 1495, 1445 cm-1

CNMR: 205, 156, 128, 128, 121, 119, 109, 99, 95, 91, 88

HNMR: 5.1 (1H, s), 3.8 (3H, s), 2.3 (2H, t, J = 7 Hz)

Based on the given spectra, it can be inferred that the Compound 1 can be an ester. The IR spectrum shows that the Compound 1 consists of a carbonyl group (1740 cm-1) and it's characteristic peak is present. The CNMR spectrum shows that the Compound 1 contains a methyl group (12.8 ppm), an oxygenated methylene group (4.0 ppm), a methine group (2.3 ppm), and an aliphatic methylene group (1.2 ppm).

The HNMR spectrum shows that the Compound 1 consists of a singlet peak at 5.1 ppm which shows the presence of an olefinic proton. In addition, two multiplet peaks at 2.3 ppm and 3.8 ppm are observed which are due to the methine and methyl groups, respectively.

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Related Questions

The following details are provided by a manufacturing company:
Product line
Investment $1,040,000
Useful life 12 years
Estimated annual net cash inflows for first year $430,000
Estimated annual net cash inflows for second year $370,000 Estimated annual net cash inflows for next ten years $330,000
Residual value $90,000
Depreciation method Straight-line
Required rate of return 12%
Calculate the payback period for the investment. (Round your answer to two decimal places.)
A. 3.33 years
B. 2.42 years
C. 3.71 years
D. 2.73 years

Answers

The payback period for the investment is approximately 2.73 years (option D).

To calculate the payback period for the investment, we need to determine the number of years it takes to recover the initial investment.

Initial Investment: $1,040,000

Estimated Annual Net Cash Inflows for the First Year: $430,000

Estimated Annual Net Cash Inflows for the Second Year: $370,000

Estimated Annual Net Cash Inflows for the Next Ten Years: $330,000

Residual Value: $90,000

We will calculate the payback period by subtracting the annual net cash inflows from the initial investment until the cumulative cash inflows equal or exceed the initial investment.

Year 1: $1,040,000 - $430,000 = $610,000

Year 2: $610,000 - $370,000 = $240,000

Year 3: $240,000 - $330,000 = -$90,000 (exceeds the initial investment)

To determine the fractional payback period, we divide the remaining investment by the net cash inflow in Year 3:

Fractional Payback Period = Remaining Investment / Net Cash Inflow in Year 3

Fractional Payback Period = $90,000 / $330,000

Fractional Payback Period ≈ 0.27 years

Adding the fractional payback period to the full years, we get the total payback period:

Payback Period = 3 years + 0.27 years

Payback Period ≈ 2.73 years

The correct answer is:

D. 2.73 years (rounded to two decimal places)

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A company issued 50 bonds of P1,000 face value each, redeemable at par at the ends of 15 years to accumulate the funds required for redemption, the firm restablished a sinking fund consisting of annual deposits, the interest rate being 4%. Find the following. Redemption value *Letters only Annual deposits a. 2,376 b. 2,460 c. 2,497 d. 2,566 e. 2,675 The principal in the fund at end of 12th year a. 20,900 b. 24,290 c. 32,450 d. 37,520 e. 43,270

Answers

To calculate the redemption value and the principal in the sinking fund at the end of the 12th year, we can use the formula for the future value of an ordinary annuity.

Redemption Value:

The redemption value is the accumulated amount required to redeem the bonds at par value at the end of 15 years. Since the bonds have a face value of P1,000 each and there are 50 bonds, the total redemption value would be 50 * P1,000 = P50,000.

Annual Deposits:

To calculate the annual deposits required to accumulate the funds for redemption, we can use the future value of an ordinary annuity formula:

FV = P * [(1 + r)^n - 1] / r

Where:

FV = Future value (redemption value)

P = Annual deposit

r = Interest rate

n = Number of periods (years)

Rearranging the formula to solve for P:

P = FV * (r / [(1 + r)^n - 1])

Plugging in the values:

FV = P50,000

r = 4% = 0.04

n = 15 years

P = P50,000 * (0.04 / [(1 + 0.04)^15 - 1])

P ≈ P2,376.81

Therefore, the annual deposits required are approximately P2,376.81.

Principal in the Fund at the End of the 12th Year:

To calculate the principal in the sinking fund at the end of the 12th year, we can use the future value of a single sum formula:

FV = PV * (1 + r)^n

Where:

FV = Future value (principal in the fund)

PV = Present value (initial deposit)

r = Interest rate

n = Number of periods (years)

Plugging in the values:

PV = Annual deposit = P2,376.81

r = 4% = 0.04

n = 12 years

FV = P2,376.81 * (1 + 0.04)^12

FV ≈ P32,451.61

Therefore, the principal in the sinking fund at the end of the 12th year is approximately P32,451.61.

In summary:

Redemption Value: P50,000

Annual Deposits: P2,376.81

Principal in the Fund at the End of the 12th Year: P32,451.61

Among the given options, the closest values are:

Redemption Value: None of the options provided

Annual Deposits: Option (a) P2,376

Principal in the Fund at the End of the 12th Year: Option (c) P32,450

Please note that due to rounding and approximation, there may be slight variations in the calculated values.

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"Big data" provides both opportunities and challenges. Discuss, providing examples.

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Big data presents both significant opportunities and challenges in today's digital landscape. It enables organizations to extract valuable insights, make data-driven decisions, and gain a competitive edge. However, harnessing the power of big data requires overcoming obstacles such as data privacy concerns, scalability issues, and the need for skilled data professionals.

Big data refers to the vast amount of structured and unstructured data generated from various sources, including social media, sensors, and transactional systems. The main advantage of big data is its potential to uncover valuable insights that can drive business growth and innovation. For example, companies can analyze customer behavior patterns to personalize marketing campaigns, optimize supply chain processes to reduce costs, or identify trends to develop new products or services.

Furthermore, big data analytics can enhance decision-making processes across industries. For instance, healthcare organizations can leverage large datasets to identify disease patterns, predict outbreaks, and improve patient care. Governments can utilize big data to detect fraud, enhance public safety, and optimize urban planning. In the financial sector, big data enables risk analysis, fraud detection, and personalized financial services.

However, along with these opportunities come challenges. Privacy concerns arise when handling vast amounts of personal information, raising ethical considerations and legal compliance requirements. Safeguarding data and ensuring individuals' privacy rights is crucial to maintain public trust. Additionally, the sheer volume, velocity, and variety of big data pose scalability challenges. Organizations must invest in robust infrastructure and technologies capable of storing, processing, and analyzing large datasets efficiently.

Moreover, the scarcity of skilled professionals adept at working with big data presents a significant challenge. Data scientists, analysts, and engineers are in high demand, but there is a shortage of individuals with the necessary expertise. Organizations must invest in talent acquisition and training to build a competent workforce capable of extracting meaningful insights from big data.

In conclusion, big data offers immense opportunities for organizations to gain valuable insights and make data-driven decisions. However, it also presents challenges related to privacy, scalability, and the shortage of skilled professionals. Overcoming these obstacles requires a comprehensive approach that prioritizes privacy protection, investment in technology infrastructure, and talent development.

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Identify which business-level strategy is used by Amazon's
competitors. Which strategy is more appropriate?

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Some business-level strategy used by Amazon's competitors include cost leadership, global supply chain and integration across value chain.

A business-level strategy is a creative way for a business to highlight its distinctive assets, strengthen its competitive edge, and support the integration of its various parts into a cohesive whole. Corporate, business, and functional level strategy are the three levels of strategy. When a business leads the industry in low price, it is said to be engaging in cost leadership.

A company must lower expenses in all other parts of the business, including as marketing, distribution, and packaging, in order to accomplish this without significantly reducing revenue.  A company's approach for achieving cost leadership in a market or category is known as a cost leadership strategy. Cost leaders are able to sell a product at the cheapest price while still making a profit.

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Undervaluing the substitution effect in calculating social welfare costs would overestimate the costs of the new power plant pollution regulation. True False

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False. Undervaluing the substitution effect in calculating social welfare costs would actually underestimate the costs of the new power plant pollution regulation. The substitution effect refers to the change in consumption patterns that occur when the price of a good or service changes..

In the context of pollution regulation, it means that if the cost of using the power plant increases due to the regulation, consumers may switch to alternative sources of energy. This substitution reduces the overall negative impact of the pollution regulation on social welfare. Therefore, if the substitution effect is not adequately considered, the costs of the regulation would be underestimated, not overestimated.

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A hospital is building a new wing for a new surgery unit. While construction of the wing is occurring, the constructions workers make a lot of noise that bothers the patients in the physical therapy clinic across from the hospital. Which of the following is a negative externality in this scenario? O The hospital is building a new surgery unit that will attract and treat more patients. O The physical therapy office is located close to the hospital by locating directly across the street. O The physical therapy patients can walk acrosss the street to the hospital. O The noise made by the construction workers bothers the patients in the physical therapy clinic.

Answers

The negative externality in this scenario is the noise made by the construction workers which bothers the patients in the physical therapy clinic (option d).

An externality is the cost or benefit resulting from an economic transaction that is not reflected in the cost or benefit of that transaction. In the given scenario, a hospital is constructing a new wing for a new surgery unit, and the construction workers are making a lot of noise that is bothering the patients in the physical therapy clinic across from the hospital.This noise disturbance is the negative externality in this scenario. The physical therapy clinic was not involved in the construction project, yet it is facing a problem that is not a part of their activity.

It is a cost that they are not accounting for.The other options mentioned are not negative externalities:

O The hospital is building a new surgery unit that will attract and treat more patients is not a negative externality, rather it is a positive externality as it will lead to better healthcare services and attract more patients.

O The physical therapy office is located close to the hospital by locating directly across the street is also not a negative externality, rather it is an advantage for both hospitals and patients as it offers easy accessibility.

O The physical therapy patients can walk across the street to the hospital is also not a negative externality, rather it is a positive externality as it offers convenience to the patients. The correct opton is d.

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10 points Save Answer Estimated annual sales for refrigerants is $10,000 for the first 3 years and it increases by $800 per year starting year 4. Find Present value over an 8-year period at i= 10%. (closest answer) O 59,752.20 O 57.473.56 O 67,403.60 O 82,403.60

Answers

The closest answer is option B, $57,473.56. To compute the present value of the estimated annual sales for refrigerants over an 8-year period at i=10%, we need to first calculate the future values of the cash flows and then discount them back to their present values.

For the first 3 years, the annual sales are $10,000, so the total future value of these cash flows is:

$10,000 + $10,000 + $10,000 = $30,000

Starting from year 4, the annual sales increase by $800 per year. So for years 4 to 8, the annual sales are:

$10,800 + $11,600 + $12,400 + $13,200 + $14,000 = $62,000

The total future value of all the cash flows over the 8-year period is therefore:

$30,000 + $62,000 = $92,000

To find the present value of this amount at i=10%, we can use the formula:

PV = FV / (1 + r)^n

where PV is the present value, FV is the future value, r is the interest rate, and n is the number of periods.

Plugging in the numbers, we get:

PV = $92,000 / (1 + 0.10)^8 = $57,473.56

Therefore, the closest answer is option B, $57,473.56.

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An annuity is defined as a series of payments (or receipts) of fixed amount for a specified number of years. Selected answer will be automatically saved. For keyboard navigation, press up/down arrow keys to select an answer. True b False The aigebraic formulas for interest tables are made up of symbols and letters. The symbot "FV" means "future value: Selected answer will be automatically saved. For kryboard navigation, press up/down arrow keyn ro select an annwer. a True False

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An annuity is an investment that involves a series of payments (or receipts) of fixed amounts at fixed intervals of time for a specified number of years.

The given statements are as follows:

a. An annuity is defined as a series of payments (or receipts) of a fixed amount for a specified number of years. True

b. The algebraic formulas for interest tables are made up of symbols and letters. The symbol "FV" means "future value. False

For instance, you may deposit $200 into your savings account every month for ten years, and you will receive your final payment of $20,000 at the end of the tenth year. An algebraic formula, on the other hand, is a mathematical equation that includes letters and symbols.

The FV symbol stands for "future value." It is the final value of an investment at a future point in time if interest is paid on the investment over time.

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Explain mercantilism and the main theories underlying it. Identify some of the
countries that are currently implementing mercantilist policies.

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Mercantilism is an economic theory that emerged during the 16th to 18th centuries and emphasizes a nation's wealth through a favorable balance of trade, accumulation of gold and silver, and government intervention in the economy.

What are the key features of mercantilism and which countries currently implement it?

Mercantilism is based on several key theories. First, it promotes the idea of a favorable balance of trade, where a country exports more than it imports to accumulate wealth in the form of gold and silver.

Second, it advocates for government intervention and regulation to protect domestic industries, promote exports, and restrict imports through measures like tariffs and subsidies.

Lastly, mercantilism emphasizes the importance of colonies as sources of raw materials and captive markets.

While mercantilism was prominent in the past, its influence has diminished over time.

However, some countries today implement certain mercantilist policies to protect their industries and achieve economic advantages.

Notable examples include China, which employs export-oriented policies, industrial subsidies, and capital controls, and Germany, which emphasizes exports and maintains a strong manufacturing sector.

Mercantilism played a significant role in shaping economic policies during the 16th to 18th centuries.

Although its influence has waned, some countries continue to implement elements of mercantilism to pursue economic advantages.

Understanding mercantilism and its theories provides insights into historical economic practices and the dynamics of current trade policies.

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Holstein Computing manufactures an inexpensive audio card (Audio Max) for assembly into several models of its microcomputers. The annual demand for this part is 100,000 units. The annual inventory carrying cost is $5 per unit and the cost of preparing an order and making production setup for the order is $750. The company operates 250 days per year. The machine used to manufacture this part has a production rate of 2000 units per day.
Based on your answer in previous question regarding optimal order quantity, please find out how many days a complete cycle lasts?
0126
16.3
15.3
13.7

Answers

Therefore, the number of days a complete cycle lasts is approximately 1.4 days. Rounded off to the nearest whole number, the answer is 1.

Here the following information: Annual demand = 100000 units Inventory carrying cost = $5 per unit Cost of preparing an order = $750Production rate = 2000 units per day Operating days = 250 days per year.

We need to find the number of days a complete cycle lasts based on the optimal order quantity.

Previously we have calculated that the optimal order quantity is 2828 units.To find out how many days a complete cycle lasts, we can use the following formula:[tex]$$Days\;a\;complete\;cycle = \frac{Optimal\;order\;quantity}[/tex]

[tex]$$Substituting the values in the above formula, we get:$$Days\;a\;complete\;cycle = \frac{2828}{2000}[/tex]

= 1.414

Therefore, the number of days a complete cycle lasts is approximately 1.4 days. Rounded off to the nearest whole number, the answer is 1.

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Insurable interest exists when A. Cobb has insurance on a car he fust sold B. Whitten lends Umble $20.000 to buy a home and buys insurance on the home C. Jones, a student, buys fire insurance on the College of Business and Economics D. All of the above

Answers

The correct option is D. Insurable interest exists when All of the above.

In option A, Cobb has an insurable interest because he previously owned the car and still has a financial stake in it.

In option B, Whitten has an insurable interest because he has a financial stake in the home since he lent money for its purchase.

In option C, Jones has an insurable interest because even though he is a student, he has a financial stake in the College of Business and Economics, as he likely pays tuition fees.

Having an insurable interest means that the person stands to suffer financial loss if the insured object is damaged or destroyed, which is true in all three cases.

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Anwser True or False for the following questions:
In a traditional accounting system all entries must be first put in the General Journal.
Entries are posted from the General Journal to the Trial Balance.
The Note Payable account is increased by a Debit entry.
The Equipment account is increased by a Debit entry.
All entries must affect both the Asset side and the Liabilities + Equity side of the accounting equation for the accounting system to stay in balance.
The Inventory account is decreased by a Credit entry.
The Balance Sheet is a point-in-time financial report.
A company’s Accounting Period must always be one month long.
The sequence of steps a company’s accounting system goes through each Accounting Period is called the Accounting Cycle.
The largest transaction occurring during the Accounting Period is always entered first in the General Journal.
For each entry in the General Journal, the total dollar amount of the debits and the total dollar amount of the credits must always be equal.
The Balance Sheet is produced from the account balances shown in the General Journal.
The Balance Sheet is produced from the account balances shown in the General Ledger.
The primary reason the accountant prepares a Trial Balance is to determine if the accounting system is in balance. In our discussion you must first identify and discuss the steps in the recording process. Be sure to discuss what each step does and how it relates to the steps before and after it. Then, answer the following questions:
Should business transactions credits and debits be recorded directly into the ledger accounts?
What are the advantages of recording in the journal before posting transactions into the ledger?

Answers

Business transactions should be recorded first in the journal before being posted to ledger accounts.

The journal is the initial record where all business transactions are first recorded in chronological order. Each transaction is entered as a journal entry, indicating the accounts involved, the amounts debited and credited, and a brief description of the transaction. This step ensures that all transactions are captured accurately and completely.

Recording transactions in the journal before posting them to ledger accounts offers several advantages. Firstly, it provides a detailed and organized record of all transactions, making it easier to review and analyze the financial activities of the business. The journal serves as a chronological audit trail and facilitates the identification and correction of errors.

Secondly, recording transactions in the journal allows for proper analysis and classification of the transactions. The accountant can ensure that the debits and credits are correctly allocated and that the transaction aligns with the accounting principles and guidelines.

Furthermore, the journal provides a centralized location for recording and referencing transactions, which simplifies the process of preparing financial statements and other reports. It allows for easy retrieval of specific transactions for further analysis or verification.

Once the transactions are recorded in the journal, they are then posted to the respective ledger accounts. This process involves transferring the debits and credits from the journal to the corresponding accounts in the general ledger. The ledger accounts provide a summarized view of the transactions and their impact on specific accounts.

In summary, recording transactions in the journal before posting them to the ledger accounts ensures accuracy, organization, and proper analysis of the financial transactions. It provides a clear audit trail and facilitates the preparation of financial statements and reports.

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The value of an activity minus the cost of an activity calculates the A. working capital B. Wholesale price C. overhead D. net revenue E. margin

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Correct option is  D. net revenueThe value of an activity minus its cost calculates the net revenue, representing the actual profit generated.

Net revenue is the value obtained when the cost of an activity is subtracted from its overall value. It represents the actual profit generated from the activity, taking into account the expenses associated with it.

When calculating the net revenue, the value of the activity represents the total income or revenue generated from the activity, while the cost of the activity includes all the expenses incurred in carrying out the activity, such as materials, labor, overhead costs, and any other relevant costs.

Net revenue is a crucial measure of the profitability of an activity or business venture. It indicates the actual earnings or profit after deducting all the costs associated with generating that revenue. Positive net revenue indicates a profit, while negative net revenue indicates a loss.

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The Johnsons have accumulated a nest egg of $40,000 that they intend to use as a down payment toward the purchase of a new house. Because their present gross income has placed them in a relatively high tax bracket, they have decided to invest a minimum of $2200/month in monthly payments (to take advantage of the tax deduction) toward the purchase of their house. However, because of other financial obligations, their monthly payments should not exceed $2500. If the Johnsons decide to secure a 15-year mortgage, what is the price range of houses that they should consider when the local mortgage rate for this type of loan is 2%/year compounded monthly? (Round your answers to the nearest cent.)

least expensive $
most expensive $

Answers

The price range of houses the Johnsons should consider is approximately $359,950.12 to $407,143.70 (rounded to the nearest cent). The least expensive house they can consider is around $359,950.12, while the most expensive house they can consider is approximately $407,143.70.

To determine the price range of houses the Johnsons should consider, we need to calculate the loan amount they can afford based on their monthly payment range and the mortgage rate.

Given:

Monthly payment: $2200 to $2500

Mortgage rate: 2% per year, compounded monthly

Loan term: 15 years

We can use the loan payment formula to calculate the loan amount.

The formula is:

Loan Amount = Monthly Payment * (1 - (1 + r)^(-n)) / r

Where:

Monthly Payment is the amount the Johnsons can afford per month.

r is the monthly interest rate, which can be calculated by dividing the annual interest rate by 12.

n is the total number of months, which is the loan term multiplied by 12.

Let's calculate the loan amounts for the minimum and maximum monthly payments:

For the minimum payment of $2200:

r = 2% / 12 = 0.02 / 12 = 0.0016667 (monthly interest rate)

n = 15 * 12 = 180 (total number of months)

Loan Amount = $2200 * (1 - (1 + 0.0016667)^(-180)) / 0.0016667 ≈ $359,950.12

For the maximum payment of $2500:

r = 2% / 12 = 0.02 / 12 = 0.0016667 (monthly interest rate)

n = 15 * 12 = 180 (total number of months)

Loan Amount = $2500 * (1 - (1 + 0.0016667)^(-180)) / 0.0016667 ≈ $407,143.70

Therefore, the price range of houses the Johnsons should consider is approximately $359,950.12 to $407,143.70 (rounded to the nearest cent). The least expensive house they can consider is around $359,950.12, while the most expensive house they can consider is approximately $407,143.70.

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Suppose you observe the following one-year interest rates, spot exchange and futures prices. Futures contracts are available on EUR 10,000. Determine if there is an arbitrage opportunity. If so, calculate the risk-free arbitrage profit you could make on one contract at maturity. If no arbitrage opportunity exists, explain why. 1.6500 S(USD/EUR) F360 (USD/EUR) 1.6800 ius 5% İEU 6%

Answers

There is an arbitrage opportunity in this scenario, and a risk-free arbitrage profit of EUR 300 can be made.

To determine if an arbitrage opportunity exists, we compared the cost of borrowing in one currency and investing in another currency. The interest rates were given as 5% in the United States (ius) and 6% in the European Union (İEU).

By calculating the forward exchange rate using the given interest rates, we found that F360 (USD/EUR) is 1.6695. Comparing this with the futures price of 1.6800, we concluded that an arbitrage opportunity exists since the futures price is higher than the forward exchange rate.

To exploit the arbitrage opportunity, an investor can borrow USD, convert it to EUR at the spot exchange rate of 1.6500, and simultaneously enter into a short futures contract to sell EUR at the higher futures price of 1.6800. At maturity, the investor will receive EUR 10,000 from the futures contract and use it to repay the USD loan.

The risk-free arbitrage profit can be calculated by subtracting the initial investment (EUR 10,000) from the amount received from the futures contract (EUR 10,300), resulting in a profit of EUR 300.

Therefore, the risk-free arbitrage profit that can be made on one contract at maturity is EUR 300.

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A company had the following... Acompany had the folowng purchases during test year of operations 15 units at $125 25 wts at $US Pay Septe 20 units at $145 17 units at $135 15 units at $16 we stunts remang ending inventory These stunts consisted of 7 bom January 9 bom February, from May 9 tom September and 5 bom November using the spectic identication method what me cost of the ending very On December 31, there Dey 22 5 3:21 Ma Still And O O O O C 1 Stran

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The company's purchases during the test year of operations include 15 units at $125, 25 units at $US, 20 units at $145, 17 units at $135, and 15 units at $160. The remaining ending inventory consists of 7 units from January, 9 units from February, 9 units from May to September, and 5 units from November.

The company uses the specific identification method to determine the cost of the ending inventory. To calculate the cost of the ending inventory on December 31, more information is needed regarding the units sold or any additional purchases made.

In order to calculate the cost of the ending inventory on December 31, we need to know the units sold during the year or any additional purchases made after September. The specific identification method requires identifying the cost of each individual unit sold or remaining in inventory based on its actual cost.

Based on the information provided, we can determine the total cost of the units purchased:

15 units at $125 = $1,875

25 units at $US = Cost unknown, as the price is not given in US dollars.

20 units at $145 = $2,900

17 units at $135 = $2,295

15 units at $160 = $2,400

To calculate the cost of the ending inventory, we need to know which specific units remain in inventory on December 31. The information provided states that 7 units are from January, 9 units are from February, 9 units are from May to September, and 5 units are from November. However, without further information regarding the units sold or any additional purchases made, we cannot determine the exact cost of the ending inventory on December 31.

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explain the answer with steps without excel
thanks
4) (20 points) WorldWide Insurance, Inc. offers John two payment options for his annual home insurance premium for 2022. He can make a lumpsum payment of $2,250 on 1/1/22 or make four quarterly paymen

Answers

WorldWide Insurance, Inc. offers John two payment options for his annual home insurance premium for 2022. He can make a lumpsum payment of $2,250 on 1/1/22 or make four quarterly payments. The quarterly payments of $608.75 are due on 1/1/22, 4/1/22, 7/1/22, and 10/1/22.

The interest rate is 4.8%.Calculate the effective annual rate of the quarterly payments. To calculate the effective annual rate of the quarterly payments, we need to first calculate the total amount paid for the year. We can then use the effective annual rate formula to find the interest rate. Let's begin.1) Lumpsum PaymentIf John makes a lumpsum payment of $2,250 on 1/1/22, he will pay the full amount at once. The interest rate is 4.8%, so the effective annual rate is also 4.8%.2)

Quarterly Payments If John makes quarterly payments of $608.75 each, he will make four payments throughout the year. The total amount paid for the year is:$608.75 x 4 = $2,435Now we can use the effective annual rate formula: Effective Annual Rate = (1 + Periodic Rate) ^ m - 1Where Periodic Rate = Quarterly Interest Rate = 4.8% / 4 = 1.2%And m = Number of Compounding Periods = 4Effective Annual Rate = (1 + 1.2%) ^ 4 - 1. Effective Annual Rate = 4.88%. Therefore, if John chooses to make quarterly payments, the effective annual rate is 4.88%.

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Examine how the IOC positions the YOG differently than the
regular Summer and Winter Games.

Answers

The International Olympic Committee (IOC) positions the Youth Olympic Games (YOG) differently than the regular Summer and Winter Games by emphasizing its focus on youth development, cultural exchange, and education.

Firstly, the YOG are designed to provide a platform for young athletes to showcase their skills and compete at an international level. The games also serve as a pathway for athletes to progress to the senior Olympic Games, which is a key part of the IOC's strategy to develop future generations of Olympians.

Secondly, the YOG emphasize cultural exchange and education by providing opportunities for athletes to learn about different cultures and participate in educational programs focused on topics such as Olympic values, sustainable development, and social responsibility. This focus on education aligns with the IOC's broader mission to promote sports as a means of creating social change and improving people's lives.

Finally, the YOG differ from the regular Summer and Winter Games in terms of size, scope, and media coverage. While the YOG are smaller in scale and receive less media attention than the senior Olympics, they offer a unique and valuable experience for young athletes that can help prepare them for future success in their athletic careers.

Overall, the IOC positions the YOG as a complementary event to the senior Olympic Games that focuses on youth development, cultural exchange, and education. By doing so, the IOC aims to promote the values and ideals of the Olympic movement to a wider audience while also preparing the next generation of athletes and leaders to make meaningful contributions to society.

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#The following table reports a payoff matrix for a game. On each cell, the first number represents player A's Jayoff, and the second number represents player B's payoff. 1. Who has dominant strategies? Type A or B. Answer: player 2. And what is the player's dominant strategies? Type H or M or L. Answer: strategy 3. What outcome, if any, is the Nash Equilibrium: Type H or M or L. Answer: (player A's strategy , player B's strategy: 4. If manager of each firm is conservative and each follows a Maxmin strategy, what will be the outcome? Type H or M or L. Answer: (player A's strategy , player B's strategy:

Answers

In the given payoff matrix game, Player A's dominant strategy is choosing strategy H (High), while Player B's dominant strategy is choosing strategy M (Medium). The Nash Equilibrium occurs when Player A chooses strategy H and Player B chooses strategy M, and under the Maxmin strategy, Player A chooses strategy L (Low) while Player B chooses strategy M.

To determine the dominant strategies for each player in the given payoff matrix, we need to examine the payoffs associated with each strategy for both players.

1. Player A's dominant strategy: Looking at the matrix, we compare the payoffs for each row.

In the first column, A's payoffs are 3, 0, and 1, while in the second column, A's payoffs are 2, 1, and 4. A's dominant strategy is the one that yields the highest payoff regardless of B's strategy.

Here, A's highest payoff is 3 in the first row, so A's dominant strategy is H (High).

2. Player B's dominant strategy: Similarly, we compare the payoffs for each column.

In the first row, B's payoffs are 3, 2, and 1, while in the second row, B's payoffs are 0, 1, and 4. B's dominant strategy is the one that yields the highest payoff regardless of A's strategy.

Here, B's highest payoff is 2 in the first column, so B's dominant strategy is M (Medium).

3. Nash Equilibrium: The Nash Equilibrium occurs when both players choose their dominant strategies. In this case, the Nash Equilibrium is (H, M), where Player A chooses strategy H, and Player B chooses strategy M.

4. Maxmin strategy: If both players are conservative and follow a Maxmin strategy, they would aim to minimize the maximum potential loss.

Player A's maximum minimum payoff is 1, and Player B's maximum minimum payoff is 2. To minimize the maximum loss, Player A would choose strategy L, and Player B would choose strategy M.

Therefore, the outcome under the Maxmin strategy is (L, M).

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1. (12 points) Bond A is a semiannually compounded, zero-coupon bond with a face value of $1,000.00. At issuance, the market interest rate for bonds with a similar risk profile was 6.50%. For Bond A, given different bond maturities (Column A), compute Bond A’s price at a market interest rate of 6.50% (Column B) and 10.00% (Column C). Next, compute the percent change in Bond A’s prices as the market interest rate increases from 6.50% to 10.00% (Column D). Essentially, Column D is measuring the bond’s sensitivity to interest rate changes. (A) (B) (C) (D) (C – B) / B Time to Maturity (Years) I/YR = 6.50% I/YR = 10% % Δ Price 1 5 15 30
2. (12 points) Bond B is identical to Bond A EXCEPT it has an 8.00% coupon rate. For Bond B, given different bond maturities (Column A), compute Bond B’s price at a market interest rate of 6.50% (Column B) and 10.00% (Column C). Next, compute the percent change in Bond B’s prices as the market interest rate increases from 6.50% to 10.00% (Column D). (A) (B) (C) (D) (C – B) / B Time to Maturity (Years) I/YR = 6.50% I/YR = 10% % Δ Price 1 5 15 30
3. (6 points) How does a bond’s time to maturity affect bond price sensitivity (Column D)?
4. (6 points) How does a bond’s coupon rate affect bond price sensitivity (Column D)? 5. (4 points) For both scenarios (I/YR = 6.50% and 10%), determine whether Bond A and Bond B are premium or discount bonds?

Answers

To calculate the bond prices, you can use the present value formula for zero-coupon bonds:

Bond Price = Face Value / (1 + Yield to Maturity)∧(Time to Maturity)

For Bond B with an 8.00% coupon rate:

Use the same formula, but in this case, you need to calculate the present value of both the coupon payments and the face value.

Calculate the bond prices using the given market interest rates of 6.50% and 10%.

To compute the percent change in bond prices as the market interest rate increases from 6.50% to 10.00%, you can use the formula:

Percent Change in Price = (Price at 10% - Price at 6.50%) / Price at 6.50%

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If the true ordering cost turns out to be much less than your answer to part (a), what is the impact on the firm's ordering policy?
A. The order quantity should be decreased
B. The order quantity should not be changed
C. The order quantity should be increased

Answers

The ordering policy of a company is impacted by the true ordering cost if it turns out to be much less than the answer to part. To determine how often to order inventory, a company must consider the cost of ordering and the cost of carrying inventory.

The true ordering cost is the actual cost of placing an order, including personnel costs, phone calls, and paperwork. For a company, this cost is critical because it is a variable expense that directly affects its profitability.When the true ordering cost turns out to be much less than the cost estimated in part (a), it may have an impact on the firm's ordering policy because a company's ordering policy is influenced by the order quantity.

The company may then choose to place more orders, but at lower quantities. C) The order quantity should be increased. The inventory management system in any firm revolves around maintaining an optimal balance between ordering cost and carrying cost of inventory. The former includes all the costs associated with placing an order such as delivery charges, transport costs, costs of paperwork, communication costs, etc.

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Email Assignment #1:
Prepare an email to deliver bad news about a project (Negative email)

Rubric:
5 points: Spelling/grammar 5 points: Correct formatting
5 points: Handing in the assignment on time
5 points: For having a professionally sound email
Total: 20 points

The Email Scenario:
Your marketing team delivers a draft proposal to your boss, Ms. Yates, and she is very impressed with what you’ve come up with. So much so that she has asked you and your team to deliver the "pitch" to the client. You know this is a big responsibility and that it is a chance to further enhance your reputation as someone who can get things done and bring business into the firm. You and your team rehearse your presentation a number of times before meeting with the client. You are very confident about winning this work.

The day after your presentation the client calls and thanks you for all the hard work that you put into your proposal but says they are going to go with a different firm. You ask for some feedback and they say that the price for your proposal was too high, it appeared it would take too long to get your team in place to do the work and that they just didn’t feel there was "chemistry" between your team and the client team.

Ms. Yates asked you to get in touch with her the moment the client got back to you with their response. She is travelling on other business so a face to face meeting is not possible.

Compose Your Email:

Prepare an email to Ms. Yates to deliver this bad news truthfully, tactfully and with sincerity.

Answers

Your marketing team delivers a draft proposal to your boss, Ms. Yates, and she is very impressed with what you’ve come up with.

Subject: Outcome of the Client Presentation

Dear Ms. Yates,

I hope this email finds you well. I wanted to provide you with an update regarding the outcome of our client presentation yesterday.

Firstly, they mentioned that the price outlined in our proposal was higher than what they had anticipated for this project.

Secondly, the client expressed concern about the timeline involved in getting our team in place to commence the work.  

Lastly, the client mentioned that they did not feel a strong "chemistry" between our team and theirs.

Thank you for your understanding and support throughout this process. I remain dedicated to achieving our shared goals and continuing to contribute to the success of our firm.

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A company is developing a special vehicle for Arctic exploration. The development requires an initial investment of $65,000 and investments of $53,000 and $42,000 for the next two years, respectively. Net returns beginning in Year 4 are expected to be $31,000 per year for 12 years. If the company requires a rate of return of 11%, compute the net present value of the project and determine whether the company should undertake the project.
The net present value of the project is $______ (Round the final answer to the nearest dollar as needed. Round all intermediate values to six decimal places as needed.)
The company _____ undertake the project.

Answers

The net present value of the project is $371,576 and The company should undertake the project

Initial Investment (Year 0): $65,000

Investment (Year 1): $53,000

Investment (Year 2): $42,000

Net returns (Year 4 - 15): $31,000 per year

Rate of return: 11%

To compute the net present value of the project, we will use the following formula:

Net Present Value (NPV) = Initial Investment + PV of Investment 1 + PV of Investment 2 + PV of Net Returns

PV of Investment:

Payment x PV Factor= Payment x [1 - 1/(1 + i)^n] / i

Where: i = Rate of Return, n = Year, Payment (Year 1) = $53,000, Payment (Year 2) = $42,000, Payment (Year 3) = 0

PV of Net Returns: Payment x PV Annuity Factor= Payment x [1 - 1/(1 + i)^n] / i

Where: i = Rate of Return, n = Number of Periods, Payment = $31,000

PV of Investment 1:

PV of Payment (Year 1) = $53,000 x [1 - 1/(1 + 11%)^1] / 11% = $47,345.13

PV of Investment 2:

PV of Payment (Year 2) = $42,000 x [1 - 1/(1 + 11%)^2] / 11% = $33,328.61

PV of Net Returns:

PV of Payment (Years 4 - 15) = $31,000 x [1 - 1/(1 + 11%)^12] / 11% = $225,901.87

Net Present Value:

NPV = Initial Investment + PV of Investment 1 + PV of Investment 2 + PV of Net Returns

NPV = $65,000 + $47,345.13 + $33,328.61 + $225,901.87 = $371,575.61

The company should undertake the project since the net present value is greater than zero.

Answer: $371,576, The company should undertake the project.

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01. Walmart carries groceries, electronics, and toys among other products. How else could these individual categories be described? A. Product Line B. Product Length C. Product Mix D. Product Consiste

Answers

Walmart’s product offerings include groceries, electronics, toys, and more. These categories can be described in terms of product mix. option C, Product Mix, is the correct answer.

Product mix is an essential aspect of product planning. It is the total number of product lines that a company offers to its customers. Walmart offers a broad range of products that cater to a wide range of customer needs. Walmart's product mix includes groceries, electronics, toys, clothing, home goods, and more. Each of the product lines is designed for a specific market segment. The term product mix is also referred to as product assortment. Walmart's deep product mix allows it to cater to customers who are looking for convenience and value for their money. The company's product mix is designed to meet customer demands and provide a one-stop-shop experience.

Hence, Walmart's product mix is an effective strategy for the company to expand its customer base and increase its market share. Therefore, option C, Product Mix, is the correct answer.

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DQF 7: Options Straddles

Based on the assigned reading material on two different kinds of options straddles, please provide one specific example of each (long and short straddles) in the FX market in terms of how it can be used to hedge against transaction exposure – as described in chapter 8. Please note that in this discussion forum, you are only required to provide the two examples. You need not respond to someone else’s post.

Answers

The Straddle Example for Hedging Transaction Exposure in the FX Market:Due to an impending payment for British-imported products, a corporation with US headquarters has a sizable transaction exposure to the pound (GBP).

The corporation decides to use a long straddle strategy with GBP options as insurance against anticipated negative currency fluctuations. They buy a GBP call option and a GBP put option at the same time, both with the same expiration date and strike price.The corporation can profit from substantial currency movements in either direction because to the long GBP straddle. The call option generates a profit to cover the higher cost of acquiring goods in the event that the GBP increases significantly. On the other hand, if the GBP declines significantly, the put option produces.

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What motivated young African Americans to join SNCC?
What role did women play in the movement?
How did SNCC activists bridge the gap between the educated and poor African Americans of the South? How did SNCC activists develop a greater international consciousness?
How did they link the struggles of African Americans at home to the struggles of people around the globe?

Answers

SNCC, an acronym for Student Nonviolent Coordinating Committee, was formed in 1960, following the success of the lunch counter sit-ins. SNCC was formed by young African Americans who were determined to push the civil rights movement forward in a new and more aggressive way.

Motivations for joining SNCC for young African Americans

Many African American young people wanted to join the SNCC in order to fight against racial segregation and discrimination, to promote civil rights, and to encourage Black voter registration. They hoped to work with others who shared their beliefs and would support their actions. They were motivated by the prospect of achieving freedom, justice, and equality for all.

How women played a role in the civil rights movement

Women played a critical role in the civil rights movement, both in organizing and participating in protests, as well as in providing support and care for activists. Women activists were particularly important in the SNCC, where they were often the primary organizers of grassroots campaigns. Women were involved in every aspect of the movement, from organizing boycotts and sit-ins to running voter registration drives and advocating for equal pay for equal work. They were also involved in providing medical care, housing, food, and other basic necessities to activists.

SNCC activists bridging the gap between the educated and poor African Americans of the South

SNCC activists worked to bridge the gap between educated and poor African Americans in the South by organizing grassroots campaigns and working with local communities to address the issues that mattered most to them. They focused on issues such as voter registration, desegregation of schools and public facilities, and improving economic conditions for African Americans. They also worked to build relationships with poor African American communities, to listen to their concerns, and to empower them to take action to improve their own lives.

SNCC activists developing a greater international consciousness

SNCC activists developed a greater international consciousness by studying and engaging with the struggles of other oppressed peoples around the world. They sought to learn from and collaborate with activists in other countries, such as South Africa, Vietnam, and Cuba. They also organized international solidarity campaigns to support these struggles and raise awareness of the global nature of oppression. In doing so, they sought to link the struggles of African Americans at home to the struggles of people around the globe.

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Current Attempt in Progress Pharoah Company has the following accounts in its general ledger at July 31: Accounts Receivable $36,000 and Allowance for Doubtful Accounts $2,250. During October, the following transactions occurred. Oct. 15 Sold $14,300 of accounts receivable to Nelson Factors, Inc. who assesses a 4% finance charge. 25 Made sales of $900 on VISA credit cards. The credit card service charge is 3%

Answers

To record the transactions for Pharoah Company in October, we need to consider the following: Oct. 15: Sold $14,300 of accounts receivable to Nelson Factors, Inc. with a 4% finance charge.

The finance charge represents the fee charged by Nelson Factors, Inc. for purchasing the accounts receivable. We need to calculate the finance charge and record the sale:

Accounts Receivable: $14,300

Allowance for Doubtful Accounts: $2,250

Finance Charge Expense: ($14,300 * 4%) = $572

Sales: ($14,300 - $572) = $13,728

Cash/Bank: ($13,728) - the amount received from Nelson Factors, Inc.

Oct. 25: Made sales of $900 on VISA credit cards with a 3% credit card service charge.

The credit card service charge represents the fee charged by the credit card company for processing the transaction. We need to calculate the credit card service charge and record the sale:

Accounts Receivable: $900

Sales: ($900 / (1 + 3%)) = $900 / 1.03 = $873.79 (rounded to two decimal places)

Credit Card Service Charge Expense: ($900 - $873.79) = $26.21 (rounded to two decimal places)

Cash/Bank: ($873.79) - the amount received from the credit card company.

Please note that we would need additional information, such as the amount received from Nelson Factors, Inc. and the credit card company, to complete the journal entries accurately.

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QUESTION 15 In the immobile factor model there is only one production point that generates O economic profit O full employment O producer surplus O deadweight loss O consumer surplus QUESTION 16 Aztec

Answers

QUESTION 15: In the immobile factor model, none of the options mentioned (economic profit, full employment, producer surplus, deadweight loss, or consumer surplus) specifically apply.

QUESTION 16: The number of watches produced per day by Aztec Inc. is 54 watches.

QUESTION 15:

In the immobile factor model, none of the options mentioned (economic profit, full employment, producer surplus, deadweight loss, or consumer surplus) specifically apply. The immobile factor model focuses on factors of production being fixed or immobile between industries and examines the effects of this immobility on wage differentials and income redistribution.

QUESTION 16:

To calculate the number of watches produced per day by Aztec Inc., we need to multiply the number of employees by their daily working hours and the labor productivity.

Number of watches produced per day = Number of employees × Daily working hours × Labor productivity

Number of employees = 30

Daily working hours = 9

Labor productivity = 1/5 watch per hour

Number of watches produced per day = 30 × 9 × (1/5)

Number of watches produced per day = 54

Therefore, the number of watches produced per day by Aztec Inc. is 54 watches.

The question should be:

QUESTION 16 Aztec Inc. has a workforce of 30 employees who work for nine hours per day, producing watches. The labor productivity is 1/5 watch per hour. Calculate the number of watches produced per day. O 54 watches O 30 watches O 150 watches O 45 watches O 90 watches.

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the dollar in the coming 90 to 120 days, possibly to around $1.1615/€. a. Evaluate the hedging alternatives for Chronos if Manny is right (Case 1: $1.1615/€ ) and if Manny is wrong (Case 2: $1.2528/€ ). What do you recommend? b. What does it mean to hedge 120% of a transaction exposure? c. What would be considered the most conservative transaction exposure management policy by a firm? How does Chronos compare?

Answers

a. Evaluate the hedging alternatives for Chronos if Manny is right (Case 1: $1.1615/€ ) and if Manny is wrong (Case 2: $1.2528/€ ).

Hedging Alternatives for Chronos if Manny is right (Case 1: $1.1615/€)If Manny is right and the exchange rate changes to $1.1615/€, then Chronos can do the following two alternatives:Chronos can enter into a forward contract with the bank to sell 10 million euros forward for dollars at $1.1615/€.Chronos can buy a call option with the bank to buy 10 million euros for dollars at $1.1615/€.

Hedging Alternatives for Chronos if Manny is wrong (Case 2: $1.2528/€ )If Manny is wrong and the exchange rate changes to $1.2528/€, then Chronos can do the following two alternatives:Chronos can buy a forward contract with the bank to buy 10 million euros forward for dollars at $1.2528/€.Chronos can buy a put option with the bank to sell 10 million euros for dollars at $1.2528/€.b.

When we hedge 120% of a transaction exposure, it means that we are covering the current exposure, as well as adding an extra 20% protection for any potential loss in the exchange rate. It is a method to increase the protection against the foreign exchange rate fluctuations to a certain extent.c.

The most conservative transaction exposure management policy by a firm would be a policy of zero exposure or complete hedging, meaning the firm completely hedges its exposure and has no residual risk.Chronos can be considered more conservative than a firm that has residual risk, but less conservative than a firm with zero exposure because Chronos has only partially hedged its exposure, and therefore has residual risk.

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Desmond was appointed director and managing director of Candore Limited. The terms of his service contract provided that he should hold office for eight years and this term was also stated in Candor’s Articles of Association. The other directors decided that Desmond should be removed from those positions and they placed such a resolution before shareholders at a general meeting and it was duly passed. Desmond is certain that his removal would be in breach of the Articles of Association as well as his contract and intends to seek legal advice.
Draft a statement for the board of directors explaining whether shareholders had authority to pass the resolution. Also, suggest what legal redress Desmond might have.
Submit TWO (2) duties and TWO (2) rights of a partner.

Answers

1. Shareholders had the ability to remove Desmond from his roles as director and managing director, as long as the resolution followed the rules of the company's Articles of Association and was legally passed at a public meeting.

2. Desmond may have legal redress if his removal is found to be in breach of the Articles of Association or his service contract.

Shareholders generally hold the ultimate authority in a company and have the power to pass resolutions at general meetings. The authority to remove a director can be granted to shareholders through the company's Articles of Association, which outline the rules and regulations governing the company's operations.

If the resolution to remove Desmond complied with the provisions of the Articles of Association and was properly passed at a general meeting, the shareholders had the authority to do so.

If Desmond believes that his removal from the positions of director and managing director breaches the provisions of the Articles of Association or his service contract, he may have legal redress. He should seek legal advice to explore potential remedies such as filing a claim for breach of contract or challenging the validity of the resolution based on procedural or substantive grounds.

He could potentially file a claim for breach of contract, asserting that the company violated the terms of his service contract by removing him before the expiration of the agreed-upon eight-year term. Additionally, he may challenge the validity of the resolution by seeking legal advice to determine if any procedural or substantive irregularities occurred during the meeting or in the decision-making process.

In conclusion, shareholders had the authority to pass the resolution removing Desmond from his position if it complied with the company's Articles of Association and was properly passed at a general meeting. Desmond may have legal redress if his removal is found to be in breach of the Articles of Association or his service contract, and he should consult with legal counsel to explore potential remedies.

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(Enter numeric answer only, do not write units) COVID-19 has impacted the health and economic well-being of families across the world. a. How do the social determinants work to protect or put your class family at risk for contracting this infectious disease? b. Are they more or less at risk than the average? c. Consider employment, health, opportunities, stress, living conditions in your response. d. How could you as a pharmacist promote and assist them in making healthy choices for preventative health? these selected numbers are the resul of the nomal selection procedure used for every drwing, the distrbution of the selected numbers is a normal dathbution? What is tho chape of the distribeiton of thoses welected numbers? Wil A be a normal detributco? Chacse the right arsiser. A. The distribubon will be rectangularshaped and nol a normat ditributon, 8. The disiributon we be cecular-shaped and not a normal distribution: C. The devibution wit be bell-shaped but not a normal distrbution. D. The datribution will be bel-shaped and n is a normal distributon December 3, 2009, marked the 25th anniversary of theworld's worst ever industrial disaster - the gas leak that occurredat Union Carbide India Ltd's (UCIL) pesticide plant in Bhopal(Madhya Pradesh, 3. Arrow Distributing Corp.likes to track inventory by using weeks of supply as well as byinventory turnover. Refer to the Table in question 2. (25 points)a. What is its week of supply? b. What per Which of these questions will an HR manager most likely face in a company with a strategic allance strategy? How can we streamline our combined forces? How can we develop teamwork across our companies? What training is needed as we diversify beyond our core business? Should we hire or train and develop our required employees? Complete the following table by selecting the business strategy most likely associated with each hR action. Use your knowledge of strategic HR management to answer the following question. A food processing company based in 5 t. Louis is downsizing due to competitive pressures, her must support this strategr by conducting workshops on work-life balance. administering a cost-of-living adjustment for all employees. aggressively recruiting new workers. ensuring compliance with applicable laws and regulations during the layoffs. Use your knowledge of strategic HR management to answer the following question. To better execute its strategy, a consumer products company creates an action plon that emphasizes organizational connectivity with the evterial environment as well as predicting and reacting to changes as they occur. Which of Honeywell CEO Larry Bossidy's "4As" is the company empioving in: this scenario? ablity architecture agility alignment Let us revisit the pricing game between Coles and Woolworths in assignment one. Suppose there are only two supermarkets in Australia: Coles and Woolworths, and they sell only one product: milk. Based on historial sales data, it is estimated that the demand function of Coles milk is QC(PC,PW)=7.610PC+8PW where PC is the price of Coles milk and PW is the price of Woolworths milk. Similarly, it is estimated that the demand function of Woolworths milk is QW(PC,PW)=7.610PW+8PC. Coles faces the following total cost function TC(QC)=(FMP+V)QC+1 where FMP represents the average farmgate milk price (the wholesale cost of milk before processing) and V represents all other variable costs per unit. Similarly, Woolworths faces the following total cost function TC(QW)=(FMP+V)QW+1 Instead of assuming that each firm can choose only one of two price points, in the following we assume that each firm can choose any non-negative price, i.e., PC0 and PW0. late penalty will apply to assessments submitted after 11.59pm AEST. (a) (4 marks) Suppose FMP=$0.54 and V=$0.26. Determine the optimal pricing strategy for each firm. (b) (4 marks)Suppose FMP=$0.71 and V=$0.33. Determine the optimal pricing strategy for each firm. (c) (2 marks) Compare your answers in (a) and (b) with that in (b) and (e) in Q2 in assignment one and discuss the differences if there is any. Does restricting each firm's strategy domain affect the equilibrium prediction in this example?