Explain why a
project sponsor might consider PM expertise as contract only and
not full time, in-house?

Answers

Answer 1

A project sponsor may opt for contract-based project management (PM) for cost efficiency, flexibility, specialized expertise, objective perspective, and reduced organizational commitment. This approach allows for varying project requirements, specialized knowledge, and a fresh perspective without internal politics or biases.

A project sponsor might consider engaging project management (PM) expertise on a contract basis instead of hiring a full-time, in-house PM for a few reasons:

1. Cost Efficiency: Hiring a full-time, in-house PM involves not only their salary but also additional costs such as benefits, training, and office space. Engaging a contract PM allows the sponsor to save on these expenses, as they only pay for the PM's services for the duration of the project.

2. Flexibility: Projects often have varying levels of PM requirements. By hiring a contract PM, the sponsor has the flexibility to scale up or down the PM resources based on the project's needs. They can engage a PM expert for a specific phase or duration of the project and then disengage them when their services are no longer required.

3. Specialized Expertise: Contract PMs are often highly skilled and experienced professionals who specialize in managing specific types of projects or industries. By hiring a contract PM with the desired expertise, the project sponsor can benefit from their specialized knowledge and experience to ensure successful project delivery.

4. Objective Perspective: An external contract PM brings a fresh perspective to the project, as they are not influenced by internal politics or biases. They can provide an unbiased assessment of the project, offer valuable insights, and facilitate effective decision-making.

5. Reduced Organizational Commitment: Hiring a full-time, in-house PM represents a long-term commitment for the organization. By engaging a contract PM, the sponsor can avoid long-term commitments and have more flexibility in managing their project management resources.

It's important to note that the decision to hire a contract PM or a full-time, in-house PM depends on various factors, such as the nature and complexity of the project, budget constraints, and the availability of qualified resources in the market.

Know more about project sponsor here:

https://brainly.com/question/33450193

#SPJ11


Related Questions

Also, try to think of ways how you could have avoided this if you
were running xerox?

Answers

Xerox Corporation is a leading document management company that has experienced considerable setbacks over the years due to its business and financial practices.

Xerox has faced a lot of challenges and if I were running Xerox, there are many ways I would have avoided them. To begin with, I would have focused on research and development to create a sustainable business model that would withstand market changes. The company could have explored other industries beyond document management, such as software development, to increase their revenue.

In addition, if I were running Xerox, I would have diversified the company's product portfolio to mitigate the risk of depending on one particular product line. The company should have diversified its services to address the growing trend of online document management systems. For instance, Xerox could have invested in mobile applications that allow users to store, share, and access documents from anywhere on their mobile devices. The company could have also invested in cybersecurity measures to prevent data breaches and protect customer data.

The company should have also reviewed its corporate culture to eliminate the toxic practices that had previously led to employee lawsuits. The company should have instituted policies that encouraged transparency, accountability, and integrity to rebuild its reputation and regain the trust of its customers. Xerox could have also expanded its operations globally to reach new markets and diversify its customer base.

Learn more about the company's product portfolio: https://brainly.com/question/31779314

#SPJ11

2 Question 2 Suppose that the inverse demand function for movies is p=120−Q 1

for college students and P=100−2Q 1

for other town residents. (i) Draw both demand curves and sketch the total demand curve. Label the demands D s,

D o ​
and D t

(ii) What is the town's total demand function?

Answers

The town's total demand function is Qt = 220 - 1.5p.

(i) To draw the demand curves, we need to solve for Q in terms of P for each demand function.

For college students:

p = 120 - Qs

Qs = 120 - p

For other town residents:

p = 100 - 2Qo

Qo = (100 - p) / 2

Drawing the demand curves:

D_s: Qs = 120 - p

D_o: Qo = (100 - p) / 2

To sketch the total demand curve, we add the quantities demanded by college students and other town residents at each price level:

D_t: Qt = Qs + Qo

(ii) The town's total demand function is given by:

Qt = (120 - p) + (100 - p) / 2

Simplifying:

Therefore, the town's total demand function is.

Qt = 220 - 1.5p

learn more about total demand function from this link.

https://brainly.com/question/33801061

#SPJ11

Orbital Communications has operating plants in over 100 countries. It also keeps funds for transactions purposes in many foreign countries. Assume in 2010 it held 350,000 kronas in Norway worth $60,000. The funds drew 8 percent interest, and the krona increased 4 percent against the dollar.
What is the value of the holdings, based on U.S. dollars, at year-end?

Answers

The value of the holdings, based on US dollars, at year-end, was 67,200. 

Given that Orbital Communications held 350,000 kronas in Norway worth 60,000 in 2010 and the funds drew 8% interest and the krona increased 4% against the dollar, we are to determine the value of the holdings based on US dollars, at year-end. 

To calculate the value of the holdings, we will use the following formula;

Value of Holdings = Principal + Interest + Currency gain or loss

Let;Principal = 60,000,Interest = 8%,Currency gain or loss = 4%

Based on the above formula, we can calculate the value of the holdings as follows;

Principal = 60,000,Interest = 8% = (8/100) x 60,000 = 4,800

Currency gain or loss = 4% = (4/100) x 60,000 = 2,400

Value of Holdings = 60,000 + 4,800 + 2,400 = 67,200

The value of the holdings, based on US dollars, at year-end, was 67,200. 

To know more about Interest visit:

https://brainly.com/question/30393144

#SPJ11

Two Firms Compete In A Market To Sell A Homogeneous Product With Inverse Demand Function P=200−Q. Each Firm Produces At A Constant Marginal Cost Of S50 And Has No Fixed Costs Assuming The Firms Collude And Act As A Monopolist, Calculate The Following A) Equatibnum Price P B) Equilbrium Quantity Q : 2 C) Total Proht: D) Total Welfare Loss Relative To Perfect

Answers

A) Equilibrium price (P) = 200 - 2Q = 200 - 2*50 = $100
B) Equilibrium quantity (Q) = 50
C) Total profit = $5000
D) Total welfare loss relative to perfect competition = $1250

To calculate the equilibrium price and quantity when two firms collude and act as a monopolist, we need to find the point where the market demand equals the combined quantity produced by both firms.

Given:
Inverse demand function:

P = 200 - Q
Marginal cost (MC) = $50
No fixed costs for each firm

Equilibrium price (P):
To find the equilibrium price, we set the market demand equal to the combined quantity produced by both firms:
P = 200 - Q1 - Q2
Since both firms have the same marginal cost and produce the same quantity (Q1 = Q2 = Q), we can rewrite the equation as:
P = 200 - 2Q

Equilibrium quantity (Q):
To find the equilibrium quantity, we set the market demand equal to the combined quantity produced by both firms and solve for Q:
Q1 + Q2 = Q + Q = 2Q
200 - 2Q = 2Q
200 = 4Q
Q = 50

Total profit:
To calculate the total profit, we need to subtract the total cost from the total revenue.

Since the firms have no fixed costs and produce at a constant marginal cost,

the total cost is simply the marginal cost multiplied by the quantity produced:
Total cost = MC * Q = $50 * 50 = $2500
Total revenue = P * Q = (200 - 2Q) * Q = (200 - 2*50) * 50 = $7500
Total profit = Total revenue - Total cost = $7500 - $2500 = $5000

Total welfare loss relative to perfect competition:
To calculate the total welfare loss, we need to compare the total surplus in a monopoly situation to the total surplus in a perfectly competitive market.
In a perfectly competitive market, the equilibrium quantity would be where the marginal cost equals the market price, i.e., MC = P.
Since MC = $50,

we can substitute this into the inverse demand function and solve for the equilibrium quantity in perfect competition:
P = 200 - Q
$50 = 200 - Q
Q = 150

The total surplus in perfect competition is given by the area under the demand curve up to the equilibrium quantity:


Total surplus in perfect competition = 0.5 * (150) * (200 - 150) = $3750

The total welfare loss relative to perfect competition is the difference between the total surplus in monopoly and perfect competition:
Total welfare loss = Total surplus in monopoly - Total surplus in perfect competition
Total welfare loss = $5000 - $3750 = $1250

In summary:
A) Equilibrium price (P) = 200 - 2Q = 200 - 2*50 = $100
B) Equilibrium quantity (Q) = 50
C) Total profit = $5000
D) Total welfare loss relative to perfect competition = $1250

Learn more about Equilibrium in the link:

https://brainly.com/question/517289

#SPJ11

A corporate bond with 10 years to maturity yields 6.4%, while Treasury notes of the same maturity yield 2.4%. The corporate bond has a liquidity premium of 1.3%. Attempt 1/5 for 10 pts.
Part 1
What is the default risk premium on the corporate bond

Answers

If a corporate bond with 10 years to maturity yields 6.4%, while Treasury notes of the same maturity yield 2.4% having a liquidity premium of 1.3%. Then the default risk premium on the corporate bond is 4.0%.

The default risk premium on the corporate bond with 10 years to maturity can be calculated as follows;

Default Risk Premium = Yield on Corporate Bond - Yield on Treasury Note

With that being said;

Default Risk Premium = 6.4% - 2.4%

Default Risk Premium = 4.0%

The yield on a corporate bond reflects the rate of return that investors expect to earn on the bond. The yield on a Treasury note reflects the rate of return that investors expect to earn on a U.S. government bond of the same maturity.

The difference between the yield on a corporate bond and the yield on a Treasury note of the same maturity is called the default risk premium. This premium reflects the additional compensation that investors demand to hold a corporate bond because of the risk of default by the issuing corporation. In other words, the default risk premium compensates investors for the risk that the corporation will be unable to make the promised payments on the bond.

The default risk premium on a corporate bond is influenced by factors such as the financial health of the issuing corporation, the industry in which the corporation operates, and the overall economic conditions in the market.

Therefore, the default risk premium on the corporate bond is 4.0%.

for more such question on risk premium

https://brainly.com/question/28523321

#SPJ8

McDonald's earns a profit in Southeast Asia but when the amount is converted into dollars, it becomes a small loss. This risk is called
A.economic risk
B.translation risk
C.transaction risk
D.taxable risk

Answers

The risk described, where McDonald's earns a profit in Southeast Asia but experiences a loss when converted into dollars, is called translation risk.

The risk in question is known as translation risk. Translation risk refers to the potential financial loss that arises due to fluctuations in exchange rates when converting the financial statements or profits from one currency to another. In this case, McDonald's is earning a profit in Southeast Asia, but when the profits are converted into dollars, they result in a small loss.

This suggests that the exchange rate between the Southeast Asian currency and the US dollar has changed unfavorably, causing the translated amount to be lower than the original profit. Translation risk is commonly faced by multinational companies operating in multiple countries, as they need to convert their financial data into a common reporting currency, typically the currency of the company's home country.

Fluctuations in exchange rates can significantly impact the financial performance and profitability of multinational corporations when translating their foreign earnings into the reporting currency.

To learn more about profit click here:

brainly.com/question/9281343

#SPJ11

Using economic concepts, discuss the impact of the following events on the equilibrium price level and output:
a) In an effort to fight inflation, the Reserve Bank of Australia decides to implement a contractionary monetary policy.
b) In an effort to fight economic recession Australian Government decides to increase spending.
c) Due to the outbreak of disease in Asia, shipments of input products from Asia to Australia have decreased significantly

Answers

a) When the Reserve Bank of Australia implements a contractionary monetary policy to fight inflation, it aims to reduce the money supply and increase interest rates.

This policy will have an impact on the equilibrium price level and output. Higher interest rates will discourage borrowing and investment, leading to a decrease in aggregate demand. As a result, the demand for goods and services will decrease, which can lead to a decrease in both the equilibrium price level and output.

b) When the Australian Government increases spending in an effort to fight economic recession, it aims to stimulate aggregate demand. This increase in government spending will have an impact on the equilibrium price level and output.

Higher government spending can lead to an increase in aggregate demand, as more money is injected into the economy. This can result in an increase in both the equilibrium price level and output.

c) The decrease in shipments of input products from Asia to Australia due to the outbreak of disease in Asia will have an impact on the equilibrium price level and output.

With a decrease in the supply of input products, the cost of production for Australian businesses will likely increase. This increase in production costs can lead to a decrease in aggregate supply. As a result, the equilibrium price level may increase, while the output may decrease due to reduced production capacity.

To learn more about reserve, refer below:

https://brainly.com/question/31633083

#SPJ11

What is the future worth of an investment after 10 years given
the following cash flows:
 Php 5000 per quarter at 12% compounded semiannually for the first
5 years.
 Php 10000 semiannually at 10% compounded quarterly for last 5 years .

Answers

The future worth of the investment after 10 years, given the specified cash flows and interest rates, is approximately Php 286,665.27.

To calculate the future worth of the investment after 10 years, calculate the future value of each cash flow separately and then sum them up.

For the first 5 years:

Cash flow: Php 5000 per quarter

Interest rate: 12% compounded semiannually

Since the cash flows occur quarterly, adjust the interest rate to reflect the compounding periods. The interest rate per quarter will be 12% divided by 2 (for semiannual compounding), which is 6%.

Using the future value of an ordinary annuity formula:

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

Where:

PMT = Cash flow per period

r = Interest rate per period

n = Number of periods

For the first 5 years (20 quarters):

PMT = Php 5000

r = 6% (0.06 in decimal form)

n = 20

Calculating the future value for the first 5 years

FV1 = 5000 * [(1 + 0.06)^20 - 1] / 0.06

FV1 ≈ Php 162,949.09

For the last 5 years:

Cash flow: Php 10000 semiannually

Interest rate: 10% compounded quarterly

Since the cash flows occur semiannually, we need to adjust the interest rate to reflect the compounding periods. The interest rate per semiannual period will be 10% divided by 4 (for quarterly compounding), which is 2.5%.

For the last 5 years (10 semiannual periods):

PMT = Php 10000

r = 2.5% (0.025 in decimal form)

n = 10

Calculating the future value for the last 5 years:

FV2 = 10000 * [(1 + 0.025)^10 - 1] / 0.025

FV2 ≈ Php 123,716.18

Finally, sum up the future values from both periods:

Future Worth = FV1 + FV2

Future Worth = Php 162,949.09 + Php 123,716.18

Future Worth ≈ Php 286,665.27

Learn more about future worth here:

https://brainly.com/question/29441992

#SPJ11

Poisson distribution
Suppose the avenge mmber of vegans is 2 per 50,000 insureetionists. Find the probability that, dusing an actual sinsurection involving 100,000 insurectionists, the are: a. no vegans b. exactly 1 vegan c. exactly 2 vegans
d. 2 or more vegans

Answers

The probability are:

a. No vegans: 0.1353

b. Exactly 1 vegan: 0.2707

c. Exactly 2 vegans: 0.2707

d. 2 or more vegans: 0.594

The Poisson distribution is commonly used to model the number of events occurring in a fixed interval of time or space, given the average rate of occurrence. In this case, we are considering the number of vegans during an insurrection.

a. Probability of no vegans:

To find the probability of having no vegans during the insurrection, we substitute x = 0 and μ = (average number of vegans per insurrectionist) * (number of insurrectionists):

P(0; 2/50000 * 100000) = (e(-2) * (2/50000 * 100000)0) / 0!

= e(-2) * 1

= 0.1353

b. Probability of exactly 1 vegan:

Using the same formula, we substitute x = 1 and μ = 2/50000 * 100000:

P(1; 2/50000 * 100000) = (e(-2) * (2/50000 * 100000)1) / 1!

= 0.2707

c. Probability of exactly 2 vegans:

Substituting x = 2 and μ = 2/50000 * 100000:

P(2; 2/50000 * 100000) = (e(-2) * (2/50000 * 100000)2) / 2!

= 0.2707

d. Probability of 2 or more vegans:

To find the probability of having 2 or more vegans, we need to sum the probabilities of having exactly 2, 3, 4, and so on, up to infinity. However, for practical purposes, we can approximate this probability by subtracting the sum of the probabilities of having no vegans and exactly 1 vegan from 1:

To learn more about probability click here:

brainly.com/question/29753086

#SPJ11

3. A fully amortizing mortgage loan is made for $100,000 at 6 percent interest for 30 years. Determine payments for each of the periods a-d below if interest is accrued a. Monthly. b. Quarterly. c. Annually.
d. Weekly.

Answers

A fully amortizing mortgage loan is a type of mortgage loan in which the principal of the loan, along with the interest, is paid off by the end of the loan period. In this case, the mortgage loan is made for $100,000 at an interest rate of 6 percent for a period of 30 years.

To calculate the payments for each of the periods a-d below, we will use the amortization formula, which is given as: PMT = (P * r) / (1 - (1 + r)^(-n)) where, PMT = periodic payment, P = principal amount, r = periodic interest rate, and n = total number of payments.
a. Monthly:

To determine the monthly payments, we need to find the monthly interest rate, which is given as 6%/12 = 0.5%.

Also, the total number of payments will be 30*12 = 360.

Therefore, the monthly payments can be calculated as:PMT = (100000 * 0.005) / (1 - (1 + 0.005)^(-360))= $599.55.

Therefore, the monthly payments will be $599.55.
b. Quarterly:

To determine the quarterly payments, we need to find the quarterly interest rate, which is given as 6%/4 = 1.5%.

Also, the total number of payments will be 30*4 = 120.

Therefore, the quarterly payments can be calculated as:PMT = (100000 * 0.015) / (1 - (1 + 0.015)^(-120))= $2,081.18

Therefore, the quarterly payments will be $2,081.18.
c. Annually:

To determine the annual payments, we need to find the annual interest rate, which is given as 6%. Also, the total number of payments will be 30.

Therefore, the annual payments can be calculated as: PMT = (100000 * 0.06) / (1 - (1 + 0.06)^(-30))= $7,691.57

Therefore, the annual payments will be $7,691.57.
d. Weekly:

To determine the weekly payments, we need to find the weekly interest rate, which is given as 6%/52 = 0.115%.

Also, the total number of payments will be 30*52 = 1,560.

Therefore, the weekly payments can be calculated as: PMT = (100000 * 0.00115) / (1 - (1 + 0.00115)^(-1560))= $145.96

Therefore, the weekly payments will be $145.96.

To know more about loan visit :

https://brainly.com/question/30015539

#SPJ11

Reddick Enterprises' stock currently sells for $31.50 per share. The dividend is projected to increase at a constant rate of 4.20% per year. The required rate of return on the stock, rs, is 9.00%. What is the stock's expected price 3 years from today?
a. $40.79
b. $35.64
c. $34.34
d. $36.26
e. $32.82

Answers

The stock's expected price 3 years from today is $40.79. The correct option is a.

To calculate the expected price of the stock, we can use the dividend growth model, which states that the price of a stock is equal to the dividend expected in the next period divided by the difference between the required rate of return and the dividend growth rate.

Given that the current stock price is $31.50 per share, the dividend growth rate is 4.20% per year, and the required rate of return is 9.00%, we can calculate the expected dividend per share in 3 years as follows:

Expected dividend per share in 3 years = Dividend * (1 + Dividend growth rate)³

Expected dividend per share in 3 years = $31.50 * (1 + 0.042)³ = $38.68

Using the dividend growth model, we can now calculate the expected price of the stock 3 years from today:

Expected price = Expected dividend per share in 3 years / (Required rate of return - Dividend growth rate)

Expected price = $38.68 / (0.09 - 0.042) = $40.79

Therefore, the stock's expected price 3 years from today is $40.79.

learn more about rate of return here:

https://brainly.com/question/33047514

#SPJ11

: The costs of outsourcing include which of the following decreased economic growth job growth job loss utilizing comparative advantages

Answers

Outsourcing is a common practice that businesses and organizations use to reduce costs, increase efficiency and take advantage of available resources to enhance productivity. This practice involves hiring a third-party company or individual to perform certain tasks or services that the organization would otherwise perform in-house.

Outsourcing can either be onshore, nearshore, or offshore .The benefits of outsourcing include reduced costs, increased flexibility, and access to a wider pool of talent.  While outsourcing creates jobs in the destination countries, it results in job losses in the home country as companies seek to cut costs and enhance their profits by shifting operations to countries with lower wages. Additionally, outsourcing can lead to decreased economic growth in the home country, as companies redirect their resources to other countries.

Finally, outsourcing can undermine job growth in the home country as it reduces demand for domestic labor .The costs of outsourcing, therefore, outweigh the benefits, and organizations need to weigh the potential costs and benefits before making the decision to outsource. It is important for organizations to take a holistic view of outsourcing to ensure that they do not expose themselves to unnecessary risks while trying to achieve short-term benefits.

To know more about Outsourcing visit:

https://brainly.com/question/29544430

#SPJ11

Suppose we have a simple bond which has exactly 1.5-years until maturity. The bond pays interest semi-annually (the coupon is broken into 2 payments per year, 1 every six months). The bond's par value is $100. Finally, the bond's coupon rate is 4%. Below are zero-rates over the next 2 years: −.5 year zero rate =4.0% compounded continuously −1 year zero rate =4.8% compounded continuously −1.5 year zero rate =5.4% compounded continuously What is the bond's price, via properly discounting all future cash flows of the bond at the corresponding zero rates? $95.92 $96.91 $97.93 $99.94 $101.90 $102.95

Answers

The bond's price, by properly discounting all future cash flows of the bond at the corresponding zero rates, is $96.91.A bond is a form of debt security that can be purchased by an investor. Bonds are issued by corporations, municipalities, and governments. Bond holders loan their money to the bond issuer in return for a fixed return at a predetermined time, typically with interest payments on an annual, semi-annual, or quarterly basis.

Solution :To calculate the bond price, we need to compute the semi-annual interest payment and the bond's principal payment. The semi-annual coupon rate is 4 percent/2 = 2%.The interest payment would be $2, the coupon payment. To compute the present value of each payment, we will utilize the following formula: PV = Coupon/(1 + YTM/2)^t, where YTM is the yield to maturity, t is the number of semi-annual periods, and Coupon is the coupon payment for each period .For the 1st semi-annual period, the yield to maturity is 4%, and the time is 0.5 years. Therefore, we have ;PV = 2/(1 + 4%/2)^0.5

= $1.9426For the 2nd semi-annual period, the yield to maturity is 4.8%, and the time is 1 year. Therefore, we have;

PV = 2/(1 + 4.8%/2)^1

= $1.8627For the 3rd semi-annual period, the yield to maturity is 5.4%, and the time is 1.5 years. Therefore, we have ;PV = (2 + 100)/(1 + 5.4%/2)^1.5

= $100.3106Adding all the present values obtained from the above computation will give the bond price as;

Price = $1.9426 + $1.8627 + $100.3106

= $96.91Thus, the bond's price, by properly discounting all future cash flows of the bond at the corresponding zero rates, is $96.91.

To know more about Bonds visit:

https://brainly.com/question/31388849

#SPJ11

A Disrupted Recovery, And Higher Inflation The Global Economy Enters 2022 In A Weaker Position Than Previously Expected. As The New Omicron COVID-19 Variant Spreads, Countries Have Reimposed Mobility Restrictions. Rising Energy Prices And Supply Disruptions Have Resulted In Higher And More Broad-Based

Answers

The global economy enters 2022 in a weaker position than previously expected due to the spread of the new Omicron variant, reimposed mobility restrictions, rising energy prices, and supply disruptions. These factors have led to a disrupted recovery and higher inflation.

The new Omicron COVID-19 variant has created uncertainty and prompted countries to implement stricter mobility restrictions, such as travel bans and lockdown measures. These measures aim to contain the spread of the variant but also have adverse effects on economic activity. Reduced mobility restricts trade, tourism, and consumer spending, impacting various sectors of the economy.

In addition, rising energy prices and supply disruptions have contributed to the weakened global economy. Higher energy prices increase production costs for businesses, leading to higher prices for goods and services. Supply disruptions, such as shortages of raw materials or components, can disrupt production and hinder economic growth.

The combination of these factors has resulted in a disrupted recovery and higher inflation. Slower economic growth and restricted economic activity hinder the overall recovery process. Higher energy prices and supply disruptions add inflationary pressures to the economy, as businesses pass on increased costs to consumers.

To know more about Omicron variant refer here:

https://brainly.com/question/30555104?#

#SPJ11

Suppose the interest rate is 8.9 % APR with monthly compounding.
What is the present value of an annuity that pays $110 every six
months for four years?
The present value of the annuity is? $__

Answers

An annuity is a sequence of equal cash flows paid or received at equal intervals. The present value of an annuity is a lump sum that is worth as much as the series of payments it represents .Suppose the interest rate is 8.9 % APR with monthly compounding, the present value of an annuity that pays $110 every six months for four years is $1,246.89.

To calculate the present value of the annuity, we use the following formula:PV = C x (1 - 1 / (1 + r)ⁿ) / rWherePV is the present valueC is the periodic paymentr is the interest rate per periodn is the total number of periods.To calculate the value of r per month, we divide the annual percentage rate by 12: r = 8.9% / 12

= 0.74%We will receive payments twice a year for four years, so the total number of periods is 2 x 4

= 8.PV

= 110 x (1 - 1 / (1 + 0.0074)⁸) / 0.0074PV

= 110 x (1 - 1 / 1.062516937) / 0.0074PV

= $1,246.89Therefore, the present value of the annuity that pays $110 every six months for four years is $1,246.89.

To know more about annuity visit:

https://brainly.com/question/32931568

#SPJ11

Which areas represent the total lost consumer and producer surplus (i.e., social welfare) as a result of the tax?

Answers

The specific areas representing the lost consumer and producer surplus may vary depending on the shape of the demand and supply curves and the magnitude of the tax.

To determine the areas that represent the total lost consumer and producer surplus due to a tax, we need to understand the concept of consumer and producer surplus. Consumer surplus refers to the difference between the maximum price a consumer is willing to pay for a product and the actual price they pay.

Producer surplus, on the other hand, is the difference between the minimum price a producer is willing to accept for a product and the actual price they receive. When a tax is imposed on a product, it increases the price paid by consumers and decreases the price received by producers. This leads to a reduction in both consumer surplus and producer surplus, resulting in a loss of social welfare.

To identify the areas representing the total lost consumer and producer surplus, we can refer to a supply and demand diagram.

1. Draw the demand curve, representing the willingness of consumers to buy the product at different prices.

2. Draw the supply curve, representing the willingness of producers to sell the product at different prices.

3. Mark the equilibrium point where the demand and supply curves intersect. This represents the initial price and quantity without the tax.

4. Draw a vertical line to represent the tax amount. This shifts the supply curve upwards, reflecting the increase in price paid by consumers and decrease in price received by producers.

5. The area between the new supply curve and the demand curve, above the new equilibrium quantity, represents the lost consumer surplus.

6. The area between the new supply curve and the demand curve, below the new equilibrium quantity, represents the lost producer surplus.

7. The sum of these two areas represents the total lost consumer and producer surplus, or the total loss in social welfare due to the tax.

It's important to note that the specific areas representing the lost consumer and producer surplus may vary depending on the shape of the demand and supply curves and the magnitude of the tax.

Learn more about Producer surplus:

brainly.com/question/15080185

#SPJ11

6. A recent edition of The Wall Street Journal reported interest rates of 6 percent, 6.35 percent, 6.65 percent, and 6.75 percent for three- year, four-year, five- year, and sixyear Treasury notes, respectively. According to the unbiased expectations theory, what are the expected one- year rates for years 4,5 , and 6 (i. e., what are 4

f 1

, 5

f 1

, and of f 1

?

Answers

The unbiased expectations theory is the belief that the future spot rates for different periods would be equal to the market's forecast of future rates.

In this case, the unbiased expectations theory means that the market should expect the future one-year rates of interest to be the same as the current rates of interest.

Therefore, it is expected that the one-year rate of interest for years

4, 5, and 6 would be the current rates of interest for the three-year, four-year, and five-year

Treasury notes.  4f1 = 6%5f1 = 6.35%6f1 = 6.65%

To know more about future visit:

https://brainly.com/question/1621783

#SPJ11

Seved: A community health system's nurse team consists of 14 nurses working in the local community. It takes a nurse 15 hours to complete one patient visit (including travel time and breaks). Nurses w

Answers

In a community health system, a nurse team comprising 14 nurses takes 15 hours to complete one patient visit, including travel time and breaks. Nurses work an average of 40 hours per week and visit 6 patients per day, spending approximately 2.5 hours with each patient.

Given that there are 14 nurses in the team, and each nurse takes 15 hours to complete one patient visit, we can calculate the total number of patient visits completed in a week. Assuming each nurse works an average of 40 hours per week, the total work hours for the team in a week would be 40 hours/week * 14 nurses = 560 nurse-hours per week.

Since each patient visit takes 15 hours, the number of patient visits completed per week would be 560 nurse-hours per week / 15 hours per visit = 37.33 visits.

Considering that the team visits 6 patients per day, they visit 6 patients/day * 7 days/week = 42 patients in a week. Therefore, on average, each patient receives 37.33 visits / 42 patients = 0.89 visits per week.

With 6 patients visited per day and assuming an 8-hour workday, the nurses spend approximately 2.5 hours with each patient (8 hours/day * 60 minutes/hour / 6 patients = 80 minutes = 1 hour and 20 minutes). This includes travel time, breaks, and the time spent directly with the patient.

Learn more about nurse team workload here: brainly.com/question/29356717

#SPJ11

Apply the various schools of social responsibility to product
dumping.

Answers

Product dumping refers to the practice of selling goods in a foreign market at prices lower than their production costs, often with the intention of driving local competitors out of business.

Let's examine how different schools of social responsibility can be applied to this Product dumping:

1. Economic School:

The economic school of social responsibility primarily focuses on maximizing profits and shareholder value. From this perspective, product dumping may be seen as a legitimate business strategy aimed at gaining a competitive advantage and increasing market share. Advocates of the economic school may argue that market forces should determine prices and that consumers benefit from lower-priced goods. However, critics argue that product dumping can create an unfair playing field and hinder local industries.

2. Legal School:

The legal school emphasizes adherence to laws and regulations. In the case of product dumping, this school would advocate for strict enforcement of trade laws and anti-dumping measures. It supports the idea that countries should establish and enforce regulations to prevent unfair trade practices and protect domestic industries from harm caused by artificially low-priced imports.

3. Ethical School:

The ethical school of social responsibility considers broader ethical implications beyond legal requirements. From an ethical perspective, product dumping can raise concerns about fairness and the impact on local communities and economies. Proponents of this school may argue that companies have a moral obligation to engage in fair trade practices and avoid actions that harm local industries or exploit vulnerable markets.

4. Philanthropic School:

The philanthropic school focuses on the social and environmental responsibilities of businesses. In the context of product dumping, this school may advocate for companies to consider the long-term social impact of their actions. It encourages companies to engage in responsible business practices, support local industries, and contribute to the development of the communities they operate in.

5. Sustainability School:

The sustainability school emphasizes the need for businesses to consider the long-term environmental and social consequences of their actions. In the case of product dumping, this school may highlight the negative environmental impact of transporting goods over long distances, as well as the potential harm to local industries and livelihoods. It calls for companies to adopt sustainable business practices that prioritize social and environmental well-being.

Learn more about Product dumping here:

brainly.com/question/29729824

#SPJ11

Extra Credit: The price elasticity of demand for airline tickets is -2.2. Provide a precise interpretation of what this number means in words.

Answers

The price elasticity of demand for airline tickets being -2.2 means that for every 1% increase in the price of airline tickets, the quantity demanded will decrease by 2.2%.

In other words, the demand for airline tickets is relatively elastic, indicating that a change in price has a significant impact on the quantity demanded. A negative elasticity value indicates an inverse relationship between price and quantity demanded, meaning that as prices increase, the demand for airline tickets decreases.

The magnitude of -2.2 suggests that the demand is relatively responsive to price changes. A higher absolute value of elasticity (-2.2, in this case) indicates greater sensitivity to price fluctuations. Therefore, a 1% increase in price would result in a 2.2% decrease in the quantity of airline tickets demanded. Similarly, a 1% decrease in price would lead to a 2.2% increase in the quantity demanded.

Overall, the price elasticity of demand being -2.2 implies that consumers are highly responsive to changes in the price of airline tickets, indicating a relatively elastic demand for air travel.

To know more about elasticity of demand, visit:

https://brainly.com/question/16970667

#SPJ11

Wine and Roses, Incorporated, offers a bond with a coupon of 6.5 percent with semiannual payments and a yield to maturity of 7.25 percent. The bonds mature in 13 years. What is the market price of a $1,000 face value bond?
O $937.54
O $1,541.33
O $1,060.64
O $1,478.87
O $1,396.21

Answers

The market price of the bond is approximately $937.54 (option a).

To calculate the market price of the bond, we can use the present value formula for bond valuation.

PV = C * (1 - (1 + r)^(-n)) / r + F * (1 + r)^(-n)

Where:

PV = Present value or market price of the bond

C = Coupon payment per period

r = Yield to maturity per period

n = Total number of periods

F = Face value of the bond

In this case, the coupon payment is $1,000 * 6.5% / 2 = $32.50 (semiannual payments), the yield to maturity is 7.25% / 2 = 0.03625 (semiannual rate), and the total number of periods is 13 years * 2 = 26 (semiannual periods). The face value of the bond is $1,000.

Using these values in the formula, we can calculate the market price of the bond:

PV = $32.50 * (1 - (1 + 0.03625)^(-26)) / 0.03625 + $1,000 * (1 + 0.03625)^(-26)

PV ≈ $937.54

The correct answer is O $937.54.

To know more about market price:

https://brainly.com/question/1757801

#SPJ4

What is the purpose of job analysis and competency modeling? Describe a situation at your current or past workplace problem that either of these models would have helped solve. What would have been the biggest challenge and benefit encountered by the use of the model?

Answers

By using these models in specific workplace situations, organizations can improve recruitment and selection, performance management, and employee development processes.

The purpose of job analysis is to systematically gather information about a job in order to understand its requirements and responsibilities. This includes identifying the knowledge, skills, abilities, and other characteristics (KSAs) necessary for successful job performance. Competency modeling, on the other hand, involves identifying the behaviors, skills, and abilities that distinguish high performers in a particular job or role.

One situation at a past workplace where job analysis would have been helpful was when a new position was created and there was uncertainty about the specific tasks and responsibilities it entailed. By conducting a job analysis, we could have determined the key tasks, required qualifications, and competencies needed for success in the role. This would have provided clarity to both the hiring team and potential candidates.

The biggest challenge in using job analysis would have been ensuring that all stakeholders are involved in the process and agree on the findings. This may require open communication and collaboration between managers, employees, and HR professionals.

The benefit of job analysis would have been a well-defined and accurate job description, which would have allowed for a more targeted recruitment and selection process. It would have helped attract candidates with the right skills and competencies for the role, increasing the chances of hiring a qualified candidate.

Similarly, competency modeling would have been useful in another situation where there were performance issues in a team. By identifying the competencies required for success in the role, we could have compared them to the actual performance of team members to identify any gaps. This would have allowed us to develop targeted training and development plans to address those gaps and improve performance.

The biggest challenge in using competency modeling would have been obtaining accurate and reliable data on the competencies of team members. This may require conducting assessments, interviews, or other methods to gather the necessary information.

The benefit of competency modeling would have been a clearer understanding of the skills and behaviors needed for success in the role. It would have provided a basis for performance evaluations, training and development plans, and succession planning.

Job analysis and competency modeling are valuable tools for understanding job requirements and identifying the skills and competencies needed for success.

to know more about competency modeling visit:

https://brainly.com/question/33446407

#SPJ11

Filer Manufacturing has 9,882,380 shares of common stock outstanding. The current share price is $62.83, and the book value per share is $6.05. Filer Manufacturing also has two bond issues outstanding. The first bond issue has a face value of $40,125,136, has a 0.06 coupon, matures in 13 years and sells for 98 percent of par. The second issue has a face value of $74,988,583, has a 0.07 coupon, matures in 20 years, and sells for 99 percent of par. What is Filer's weight of equity on a market value basis? Enter the answer with 4 decimals (e.g. 0.2345)

Answers

Filer Manufacturing's weight of equity on a market value basis is approximately 0.8453.

To calculate Filer Manufacturing's weight of equity on a market value basis, we need to determine the market value of the common stock and the total market value of the company's equity.

Market value of common stock = Number of shares outstanding * Current share price

Market value of common stock = 9,882,380 * $62.83 = $620,823,707.40

Market value of first bond issue = Face value of bond issue * Market price

Market value of first bond issue = $40,125,136 * 0.98 = $39,321,631.28

Market value of second bond issue = Face value of bond issue * Market price

Market value of second bond issue = $74,988,583 * 0.99 = $74,238,697.17

Total market value of equity = Market value of common stock + Market value of first bond issue + Market value of second bond issue

Total market value of equity = $620,823,707.40 + $39,321,631.28 + $74,238,697.17 = $734,383,035.85

Weight of equity on a market value basis = Market value of common stock / Total market value of equity

Weight of equity on a market value basis = $620,823,707.40 / $734,383,035.85 = 0.8453

Learn more about  common stock visit:

brainly.com/question/11453024

#SPJ11

You invest $ 4,114 in an account today. You make no additional deposits into the account. One year from today there is $ 5,289 in the account. What is the nominal interest rate that you earned on your money? (Record your answer as a percent rounded to 1 decimal place; for example, record .527945 = 52.8% as 52.8).

Answers

The nominal interest rate earned on the investment is 28.4%. This indicates a 28.4% growth in the account balance over one year.

To calculate the nominal interest rate earned on your investment, we can use the formula:

Nominal interest rate = (Ending balance / Beginning balance - 1) * 100

Given that you initially invested $4,114 and after one year the account balance is $5,289, let's plug these values into the formula:

Nominal interest rate = ($5,289 / $4,114 - 1) * 100

                    = (1.284 - 1) * 100

                    = 0.284 * 100

                    = 28.4%

Therefore, the nominal interest rate you earned on your investment is 28.4%.

This means that over the course of one year, your investment grew by 28.4% based on the ending balance compared to the beginning balance. It's important to note that the nominal interest rate does not take into account the compounding frequency or any other factors such as inflation.

If you would like to compare this nominal interest rate to other investments or assess its real value, it's recommended to consider the effects of inflation and take into account the compounding frequency and any additional fees or charges associated with the investment.

Learn more about nominal interest rate  here:

https://brainly.com/question/25816355

#SPJ11

Applicants react most favourably when employers use which of the following selection methods? A. work samples and personality tests B. skill tests and informal interviews C. references and résumês D. interviews and work samples

Answers

Applicants react most favorably when employers use work samples and personality tests as selection methods. The correct answer is (a)

Using work samples and personality tests as selection methods can elicit a positive response from applicants. Work samples provide applicants with the opportunity to showcase their skills and abilities in a practical setting, allowing them to demonstrate their competence and suitability for the job.

Personality tests, on the other hand, provide insights into an applicant's behavioral traits and characteristics, helping employers assess their fit within the organizational culture and job requirements. This combination of assessing practical skills and evaluating personality traits can engage applicants and give them a sense of being evaluated fairly and accurately.

These selection methods are considered more objective and reliable compared to other options. Skill tests and informal interviews may lack standardized evaluation criteria, while references and résumés may be subject to biases or incomplete information.

Interviews, although widely used, can be influenced by subjective judgments and personal biases. Work samples and personality tests, on the other hand, provide tangible and measurable data that can be objectively evaluated, reducing the potential for bias and increasing the validity of the selection process. This transparency and fairness in the evaluation process can lead to a more positive reaction from applicants.

Learn more about personality tests here:

https://brainly.com/question/30923709

#SPJ11

Question 3
Econo-Cool Air Conditioners cost $400 to purchase and results in an electricity bill of $170 per year. The Econo-Cool Air Conditioners lasts for 7 years. The discount rate is 22%. What is the equivalent annual cost?

Answers

The equivalent annual cost of the Econo-Cool Air Conditioner is approximately $170.65.

The equivalent annual cost of the Econo-Cool Air Conditioner can be calculated by taking into account the initial cost, operating cost, and the discount rate over the product's lifespan.

To calculate the equivalent annual cost, we first need to determine the present value of the total cost. The initial cost of $400 occurs at the beginning of year 1, so its present value is simply $400. The electricity bill of $170 occurs each year for a total of 7 years.

We can calculate the present value of this annuity using the formula for the present value of an ordinary annuity. Given a discount rate of 22%, we can calculate the present value of the annuity to be approximately $794.56.

Adding the present value of the initial cost and the present value of the annuity, we get a total present value of approximately $1,194.56. Since the product's lifespan is 7 years, the equivalent annual cost is calculated by dividing the total present value by the number of years, resulting in an equivalent annual cost of approximately $170.65.

Therefore, the equivalent annual cost of the Econo-Cool Air Conditioner is approximately $170.65. This represents the annual expense that would yield the same present value as the combination of the initial cost and operating costs over the product's lifespan, considering the given discount rate.

Learn more about annual cost here; brainly.com/question/13993790

#SPJ11

"On May 12, 2022, Itsy Bitsy, a 15-year-old citizen of Illinois, scheduled an appointment with a local planned parenthood facility for an abortion. It was determined that Itsy Bitsy became pregnant on March 15, 2022. On May 11, 2022, the Supreme Court of Kentucky ruled that minors could not receive an abortion without parental consent. Itsy Bitsy's parents refused to provide consent. Describe, in detail, the effect the Kentucky Supreme Court's decision will have on Mary Sue?
(2) On January, 15, 2022, in a case presented to a Washington state court, the judge and the jury determined that no specific statute was applicable to the issue presented in the lawsuit. Instead, the judge decided to refer to previously recorded legal decisions made in similar cases. Discuss, in detail, whether this action was/is appropriate. Why or why not?"

Answers

On May 12, 2022, Itsy Bitsy, a 15-year-old citizen of Illinois, scheduled an appointment with a local planned parenthood facility for an abortion. It was determined that Itsy Bitsy became pregnant on March 15, 2022.

On May 11, 2022, the Supreme Court of Kentucky ruled that minors could not receive an abortion without parental consent. Itsy Bitsy's parents refused to provide consent. The Kentucky Supreme Court's decision will have the effect of denying Itsy Bitsy the right to receive an abortion without her parent's consent. Therefore, Mary Sue's request for an abortion will be denied because minors are not authorized to seek abortion without parental consent, as per the Supreme Court of Kentucky's decision.

The Supreme Court of Kentucky's ruling means that minors can only seek abortion with parental consent, thereby, restricting minors' abortion rights. Itsy Bitsy's request for an abortion would be denied because her parents refused to provide their consent. The Supreme Court of Kentucky's decision will have the effect of limiting access to abortion services for minors who do not have the consent of their parents. The decision restricts the right of minors to make decisions about their reproductive health.

The judge's action of referring to previously recorded legal decisions made in similar cases is an appropriate approach. This is because a legal precedent has been set, which allows for a similar case to be decided based on a previous decision that has been made on the issue. The use of precedent ensures consistency in judicial decisions, making the law more predictable. In addition, it ensures that cases with similar facts are decided consistently. Thus, it can be said that the judge's action of referring to previously recorded legal decisions made in similar cases is appropriate.

Learn more about legal precedent : https://brainly.com/question/29618654

#SPJ11

Use the following information to calculate net present value:

Upfront cash outflow = $20

Cash inflow in one year = $30

Discount rate = 10%

Select one:

a. -$7. 27

b. $7. 27

c. $18. 18

d. $27. 27

Answers

The net present value (NPV) is calculated by subtracting the upfront cash outflow from the present value of the cash inflow, resulting in an NPV of $7.27.


1. Calculate the present value of the cash inflow using the formula:

PV = CF / (1 + r)^n, where CF is the cash inflow, r is the discount rate, and n is the number of periods.
PV = $30 / (1 + 0.10)^1 = $27.27

2. Subtract the upfront cash outflow from the present value of the cash inflow to find the net present value (NPV).
  NPV = $27.27 - $20 = $7.27

Therefore, the correct answer is b. $7.27.

To learn more about net present value

https://brainly.com/question/32720837

#SPJ11

Gamora's AIME is $8,500. The bend points for 2021 are $996 and $6,002
Question 15 What is Gamora's PIA per month for retiring at full retirement age?

Answers

Gamora's PIA per month, based on an AIME of $8,500 and the bend points for 2021, is calculated to be $3,377.68. This represents the amount she would receive as her monthly benefit at full retirement age.

To determine Gamora's Primary Insurance Amount (PIA) per month for retiring at full retirement age, we need to determine the Average Indexed Monthly Earnings (AIME) and apply the benefit formula.

First, we find the AIME by taking the average of Gamora's highest 35 years of indexed earnings. Since the AIME is already given as $8,500, we can proceed to calculate the PIA.

The PIA is determined by applying a formula that applies different percentages to different portions of the AIME. For 2021, the formula is as follows:

For the first bend point ($996), the benefit formula applies a 90% rate.

For the second bend point ($6,002), the benefit formula applies a 32% rate.

To determine the PIA, we calculate the benefit for each portion of the AIME and sum them up.

Benefit for the first bend point: $996 * 0.9 = $896.40

Benefit for the second bend point: ($8,500 - $996) * 0.32 = $2,481.28

Summing up the benefits: $896.40 + $2,481.28 = $3,377.68

Therefore, Gamora's PIA per month for retiring at full retirement age is $3,377.68.

To know more about AIME,

https://brainly.com/question/32182066#

#SPJ11

Check my work
9
The December 31, 2021, balance sheet of Chen, Incorporated, showed $153,000 in the common stock account and 12780000 in the additional paid-in surplus account. The December 31, 2022, balance sheet showed $163.000 and $3,080,000 in the same two accounts, respectively. The company paid out $158,000 in cash dividends during 2022. What was the cash flow to stockholders for the year?
Note: A negative answer should be indicated by a minus sign. Do not round intermediate calculations and round your answer to the nearest whole number, e.g. 32.
абсок
Cash tow to stockholders
References

Answers

The cash flow to stockholders for the year was -$9,342,000. (The negative sign indicates that the cash flow was outward.) Hence, option C is correct.

Given:

Balance sheet of Chen, Incorporated:

Common stock account: $153,000

Additional paid-in surplus account: $12,780,000

Common stock account: $163,000

Additional paid-in surplus account: $3,080,000

Cash dividends paid out during 2022: $158,000

We are to determine the cash flow to stockholders for the year.

Using the balance sheets given above, we can find out the amount by which the additional paid-in surplus account has decreased from December 31, 2021 to December 31, 2022.

Additional paid-in surplus account decreased by $9,500,000 ($12,780,000 - $3,080,000)

Therefore, the cash flow to stockholders for the year is:

Cash flow to stockholders = Cash dividends paid - Net decrease in additional paid-in surplus account

= $158,000 - $9,500,000

= -$9,342,000

To know more about the stockholders, visit:

https://brainly.com/question/14495153

#SPJ11

Other Questions
An important consequence of the decision in Re Spectrum Plus Ltd [2005] UKHL 41 is that Caribbean companies that have borrowed on the security of book debts are now free to fund general operations out of receipts on receivables.Discuss The line graph below shows the population of black bears in New York over eight years. Part A: Between which two consecutive years did the population of black bears increase by 250? The framers of the Articles decided not to include an executive branch or a federal court system. Why do you think the framers did this? Do you think this was a good idea or a bad idea? According to Voltaire's Story of a Good Brahmin," it is contradiction to prefer which of the following O Happiness to contentment O Felicity to reason O Reason to felicity O None of the above According to Voltaire's Story of a Good Brahmin' the Brahmin should feel which of the following upon examining the life of his old neighbor in relation to his own life O Happy O Ashamed O Silly O Ignorant The wavefunction for a wave on a taut string of linear mass density u = 40 g/m is given by: y(xt) = 0.25 sin(5rt - Tx + ), where x and y are in meters and t is inseconds. The energy associated with three wavelengths on the wire is: Solve each equation. Check your answers.|2 y-3|=12 A skater spins at an initial angular velocity of 11 rads/s with his arms outstretched. The skater then lowers his arms, thereby decreasing his moment of inertia by a factor 5. What is the skater's final angular velocity? Assume that any friction between the skater's skates and the ice is negligible. -critically analyse the key stakeholder risks facing the olympics due to its complex stakeholder environment and how it affects the way stakeholders are managed.-critically analyse how stakeholder motivation creates stakeholder risk.-evaluate the stkeholder risk environment and risk management strategies, tools and techniques that could be deployed in hosting the olympic games,-assess how stakeholders are engaged to mitigate stakeholder risk to the programme. What preparations do you need to make to complete a Gemba walk in your organization?What obstacles are you encountering in your preparations, and what are you doing to overcome them?What are the strengths and weaknesses of a Gemba walk?If you cannot perform a Gemba walk what are features of Studer's rounding, Management by Walking Around (MBWA) or managing re-engineering using the Quality Circles concept. What are the attributes of each of these. I am having a hard time coming up with answers to these questions because i am not quite sure how to explain it. Would you be able to help me ot in any way. I would really appreciate it.ThanksUrinary System PhysioEx SummaryActivity1: The Effect of Arteriole Radius on Glomerular FiltrationWhat is the effect of afferent radius on GFR and urine volume?What is the effect of efferent radius on GFR and urine volume?Activity 5: Reabsorption of Glucose via Carrier ProteinsNote the relationship between total # of glucose carriers and glucose concentration in bladder (which is same as glucose concentration in urine).What happens to urine glucose levels if there is excessive glucose in the blood?Activity 6: The Effect of Hormones on Urine FormationWhat is the effect of aldosterone on urine volume and urine concentration?What is the effect of ADH on urine volume and concentration?Urinary System PhysioEx SummaryWhat would be the effect of alcohol on urine volume and concentration? Why? Toddlers who can talk about what they want and explain their own behavior and that of others in terms of wants have developed O A) conventional morality B) a desire psychology, C) a mutually responsive orientation. OD joint attention An investor wants to purchase shares of Burrow Ltd. and then hold this stock for six years. The company has a stated dividend policy of $2.00 annually per share for the next six years, at the end of which time you will sell the stock. You expect to be able to sell the stock for $35.00 at that time. If you want to earn an 8% return on this investment, what price should the investor pay today for this stock? Show your calculations. Q.2. Discuss the Autonomous Robots and Additive Manufacturing contribution to Smart Systems. Why are these two technologies are important for the Smart Systems? Explain the technologies with an example. (25-Marks) Q.3. Industrial Internet of Things (IoT) are the backbone of the Smart Systems. Explain the functionality of IIoT in a Smart System with an example. (25-Marks) Q.4. How will smart factories impact the skill demand globally? (15-Marks) why is mg cos theta onthe y-axis and mgsintheta on the xaxis? and why is it that whencalculating work done by gravity we use ""sintheta"" instead of""costheta"" i" The total mass of a skier is 60.0 Kg. He starts from rest and slides down a slope without exerting any effort. After he has descended through a total vertical displacement of 50.0 mhe is travelling at a velocity of 30.0 m/s. How much work has been done against resistive forces experienced by the skier as hisvelocity increases from 0 to 30.0 m/5?Take the gravitational field strength g as 10 N/kg.) Marcus receives an inheritance of$12,000.He decides to invest this money in a16-yearcertificate of deposit (CD) that pays4.0%interest compounded monthly. How much money will Marcus receive when he redeems the CD at the end of the16years? Question 2 (6 pts): Draw the process by which lipid-soluble nutrients are absorbed. Include the following labels: 1. Bile salts 2. Micelle 3. Monoglycerides and fatty acids 4. Chylomicron (newly formed) 5. Exocytosis 6. Triglycerides (newly absorbed) 7. Blood capillary 8. Lacteal 9. Chylomicron (in lymph) Draw a line to match each sentence to the correct determiner. Use each determiner only once. Sentence At the zoo we saw owl. There was also cute baby penguin. I thought it was day ever. best Determiner a the an 1 mark C(s, graphite) + CO2(g) 2CO (g) a) Determine mol of CO present if 1 mole of C and 1 mole of CO2 are present initially at 1000K and 2 bar pressure. Enthalpy of rsn is function of temp Using heat capacities from pg 642-643, only use A term, Assume ideal gasses for b-d. b) Repeat with the pressure at 10 bars and initial quantities being 1 mol C and 2 mol CO2. A parallel plate has an area 1.0x10m and a plate separation of 3.00 mm. Find: a) the capacitance b) the charge on each plate if a 12-V battery is connected to the capacitor,