For year 6, a project requires Accounts Receivable of $82,000; Inventory of $49,000; and Accounts Payable of $110,000. Each of these will return to zero in year 7 . What year 7 incremental cash flow reflects the change in NWC? Enter your answer in dollars and be sure to use a negative sign (-) if the answer is a cash outflow.

Answers

Answer 1

The year 7 incremental cash flow reflecting the change in Net Working Capital (NWC) is a cash outflow of $39,000.

Net Working Capital (NWC) represents the difference between a company's current assets and current liabilities. In this case, the given information states that in year 6, the Accounts Receivable is $82,000, the Inventory is $49,000, and the Accounts Payable is $110,000. These values are expected to return to zero in year 7, indicating a change in the Net Working Capital.

To calculate the change in NWC, we need to find the difference between the NWC in year 6 and year 7. In year 6, the NWC can be calculated by subtracting the Accounts Payable from the sum of the Accounts Receivable and Inventory:

NWC (year 6) = Accounts Receivable + Inventory - Accounts Payable

             = $82,000 + $49,000 - $110,000

             = $21,000

Since the NWC is expected to return to zero in year 7, the change in NWC can be calculated as:

Change in NWC = NWC (year 7) - NWC (year 6)

             = 0 - $21,000

             = -$21,000

Therefore, the year 7 incremental cash flow reflecting the change in NWC is a cash outflow of $21,000, which should be represented as -$21,000.

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Related Questions

The regular price of a component is $1.5. On orders of more than 1000 units, the price is discounted to $1.2. On orders of over 2000 units , the discount price is $1.0. At present, inventory carrying cost is 5% per unit price per year, and its ordering cost is $200. Annual demand is 4000 components.

What is the adjusted order quantity for the unit price of $1.5?

Answers

The adjusted order quantity for the unit price of $1.5 is approximately 327 units.

To determine the adjusted order quantity for the unit price of $1.5, we need to consider the economic order quantity (EOQ) formula. The EOQ formula helps find the optimal order quantity that minimizes the total cost of ordering and carrying inventory.

The formula for EOQ is as follows:

EOQ = √((2 * D * S) / H)

Where:

D = Annual demand (4000 components)

S = Ordering cost ($200)

H = Carrying cost per unit price per year (5% of $1.5, which is $0.075)

First, let's calculate the carrying cost per unit per year:

Carrying cost per unit per year = 5% * $1.5 = $0.075

Now we can substitute the values into the EOQ formula:

EOQ = √((2 * 4000 * 200) / 0.075)

Calculating the square root of the equation:

EOQ = √(10666666.67)

Finally, solving for the EOQ:

EOQ ≈ 326.61

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TRUE / FALSE.
"Lean practices and activity analyses are not suitable for
adaptation to service businesses or administrative processes.

Answers

The statement is false. Lean practices and activity analyses are suitable for adaptation to service businesses and administrative processes to decrease waste and improve value and quality.



The given statement that says "Lean practices and activity analyses are not suitable for adaptation to service businesses or administrative processes" is false. The above statement is false because Lean practices and activity analyses are adaptable to service businesses and administrative processes.

Lean thinking is about understanding value, and systematically eliminating waste, whereas the activity analysis focuses on managing and improving work and involves identifying, analyzing, and improving the value and non-value-adding activities of an organization's processes.

Activity analysis is a continuous process that a company uses to track work flows and identify potential improvements. The application of Lean methodologies in services, therefore, seeks to decrease waste in processes, improve value and quality, and maximize output. Thus, Lean practices and activity analyses are also useful for service businesses or administrative processes.

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Estimating the ROP for a target CSL using a Normal Distribution:

a. Overlooks the costs of the item
b. Provides a uniform level of safety stock for lower values of CSL
c. Is robust enough to account for slow-moving items
d. Can understate safety stock held for larger values of CSL

Answers

Estimating the ROP for a target CSL using a Normal Distribution: Can understate safety stock held for larger values of CSL. The correct option is d.

Estimating the Reorder Point (ROP) for a target Cycle Service Level (CSL) using a Normal Distribution involves calculating the safety stock needed to achieve the desired service level. While this method is widely used and provides a useful approximation, it has certain limitations.

Option d states that estimating ROP using a Normal Distribution can understate the safety stock held for larger values of CSL. This is because the Normal Distribution assumes a symmetrical and bell-shaped distribution of demand, which may not always reflect the actual demand pattern. In reality, demand may exhibit skewness or have a heavy-tailed distribution.

When estimating ROP using a Normal Distribution, the calculation assumes that the demand variability is normally distributed. However, in cases where demand is highly volatile or exhibits long-tailed distributions, relying solely on this method may lead to underestimating the necessary safety stock.

To account for these limitations, it is important to consider other factors such as item costs, item characteristics, demand patterns, lead times, and any specific constraints or risks associated with the item. The correct option is d.

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Match the correct group for each of the FX currencies. Review Later Majors A. Swiss Franc (CHF), Japanese Yen (JPY) B. Chinese Yuan (CNY), Brazilian Real (BRL) Minors C. Australian Dollar (AUD), Swedish Krona (SEK) Exotics

Answers

Majors: Swiss Franc (CHF), Japanese Yen (JPY), Minors: Australian Dollar (AUD), Swedish Krona (SEK), Exotics: Chinese Yuan (CNY), Brazilian Real (BRL).    

The correct groupings for each of the FX currencies are as follows:

Majors:

A. Swiss Franc (CHF), Japanese Yen (JPY)

Minors:

C. Australian Dollar (AUD), Swedish Krona (SEK)

Exotics:

B. Chinese Yuan (CNY), Brazilian Real (BRL)

Majors typically refer to the most actively traded and widely recognized currencies in the global foreign exchange market. The Swiss Franc (CHF) and Japanese Yen (JPY) fall under this category due to their significant economic and financial importance.

Minors, also known as cross-currencies or cross-rates, represent currencies that are traded against major currencies but not against each other. The Australian Dollar (AUD) and Swedish Krona (SEK) belong to this group.

Exotics refer to currencies of emerging or less frequently traded economies. The Chinese Yuan (CNY) and Brazilian Real (BRL) are considered exotic currencies due to their specific characteristics and relatively lower trading volumes compared to major and minor currencies.

It's important to note that currency categorizations can vary depending on different sources and contexts. The given groupings are commonly used, but there may be variations based on specific market perspectives or classifications.

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What is unemployment? What is inflation? Is there a way for a national economy to have both low unemployment and low inflation? The preferred policy goal is lower unemployment and lower inflation. However, sometimes policymakers make decisions that may increase one or both. What are the consequences? How does this relate to healthcare?

Answers

Unemployment refers to the state of being without a job or actively seeking employment. Inflation is the sustained increase in the general price level of goods and services in an economy.

Unemployment refers to the condition where individuals who are willing and able to work are unable to find employment. It is often measured as a percentage of the labor force that is actively seeking employment but remains unemployed.

Inflation, on the other hand, refers to the sustained increase in the general price level of goods and services in an economy over time. It erodes the purchasing power of money, as each unit of currency buys fewer goods and services.

Having both low unemployment and low inflation in a national economy is possible but can be challenging. This scenario is often referred to as the "Phillips curve" trade-off, which suggests that as unemployment decreases, inflation tends to increase, and vice versa. However, this trade-off is not always consistent, and economic policies can influence the relationship between the two.

When policymakers make decisions that prioritize reducing one or both unemployment and inflation, there can be consequences. For example, implementing expansionary monetary or fiscal policies to reduce unemployment may lead to increased inflation. Conversely, implementing contractionary policies to combat inflation may result in higher unemployment.

The relationship to healthcare can be indirect. Economic policies and decisions made by policymakers can impact healthcare systems through their effects on overall economic conditions, funding availability, and access to healthcare services.

For instance, policies that stimulate economic growth and reduce unemployment can have positive effects on healthcare affordability and access. Conversely, policies that prioritize combating inflation but result in higher unemployment may negatively affect healthcare access and affordability for certain populations.

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County Health Rankings and Roadmaps is a collaboration between the Robert Wood Johnson Foundation and the University of Wisconsin Population Health Institute. The County Health Rankings and Roadmaps compares the health of nearly all counties in the United States to others within its own state and supports coalitions tackling the social, economic and environmental factors that influence health. The annual rankings provide a revealing snapshot of how health is influenced by where we live, learn, work and play. As the Rankings provide a starting point for change, the Roadmaps provide guidance and tools to understand the data and strategies that communities can use to move from education to action.

Go the County Health Rankings website and select Middlesex County, NJ in the Overall Rankings in Health Outcomes section to see how it fares among other counties sin the State. Your county means where you lived before you started Kean University.

Write 600-800 words, reflecting on your findings and thoughts of how your country’s health is ranked. For example, you can say something like "I am not surprised that X County ranked #2 on the list because …. ", "I am surprised that Y County has high rates of smoking because ….", When I was growing up, X County had…" etc.

Answers

The County Health Rankings and Roadmaps program compares the health outcomes of counties in the United States and provides guidance for communities to take action.

By examining the health rankings of Middlesex County, NJ, this reflection aims to discuss findings and thoughts on how the county's health is ranked.

Upon exploring the County Health Rankings website and selecting Middlesex County, NJ in the Overall Rankings in Health Outcomes section, the specific rankings and data may vary depending on the current information available. However, based on the analysis of the rankings and reflecting on personal experiences, it is possible to provide insights and thoughts about the county's health status.

For example, one might express surprise or lack thereof regarding certain aspects of the county's health outcomes. This could be related to factors such as high rates of smoking, obesity, access to healthcare, or other determinants of health. Personal experiences growing up in the county may also contribute to reflections on specific health issues, community initiatives, or notable changes over time.

It is important to note that the specific findings and thoughts on Middlesex County's health ranking will depend on the data available at the time of the analysis and the individual's personal experiences and perspectives. This reflection provides an opportunity to assess the county's health status and consider potential areas for improvement or community-based interventions to address health disparities and promote overall well-being.

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"What are the implications of an upcoming recession for Canada?" (include implications on the job market, small businesses, overall economy etc)

Answers

The implications of an upcoming recession for Canada can have wide-ranging effects on various aspects of the economy, including the job market, small businesses, and the overall economy.

Here are some key implications:

Job Market: During a recession, the job market tends to weaken as businesses face declining demand and may need to reduce their workforce. Unemployment rates can rise, making it more challenging for individuals to find employment. Job losses may be particularly pronounced in sectors sensitive to economic conditions, such as manufacturing, construction, and hospitality.

Small Businesses: Small businesses are often more vulnerable during a recession due to limited resources and less access to credit. They may struggle with declining sales, reduced cash flow, and difficulties in obtaining financing. Some small businesses may be forced to downsize or even close down, leading to job losses and potential economic hardships in local communities.

Consumer Spending: During a recession, consumer confidence typically declines, leading to reduced consumer spending. This can have a significant impact on businesses across various sectors, affecting their revenue and profitability. Decreased consumer spending can also contribute to a contraction in the overall economy.

Government Finances: Recessions can strain government finances as tax revenues decline and public spending needs may increase, particularly in areas like unemployment benefits and social welfare programs. Governments may need to implement fiscal stimulus measures to support the economy and mitigate the impacts of the recession.

Financial Markets: Recessions can create volatility and uncertainty in financial markets. Stock markets may experience declines, and investors may become more risk-averse. This can impact investment decisions, capital flows, and access to financing for businesses.

Economic Growth: Overall, recessions can lead to a contraction in economic growth, as measured by the Gross Domestic Product (GDP). Negative growth or stagnant economic activity can hinder progress, slow down development, and affect the standard of living for individuals.

It's important to note that the specific implications of a recession can vary depending on the severity, duration, and underlying causes of the downturn. Additionally, government policies and interventions can play a crucial role in mitigating the negative impacts and fostering recovery.

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Bilal Goldsmith broker has shown him two bonds . Each has a maturity of 5 years , a par value of BD 1,000and a yield to maturity of 14 % . Bond A has a coupon. interest rate of 8 % paid annually Bond B has a coupon rate of 12 % paid annually.
a. Identify the cash flow and illustrate the time line for each bond.
b. Calculate the selling price of each of the bonds.

Answers

a. Identify the cash flow and illustrate the time line for each Bond A=Year 5: BD 80 + Par value (BD 1,000)Bond B=Year 5: BD 120 + Par value (BD 1,000)

b. Calculate the selling price of each of the Bond A=(BD 80 / (1 + 0.14)² + (BD 80 / (1 + 0.14)²) + (BD 80 / (1 + 0.14)³) + (BD 80 / (1 + 0.14)²) + (BD 1,080 / (1 + 0.14)²)Bond B= (BD 120 / (1 + 0.14)²) + (BD 120 / (1 + 0.14)²) + (BD 120 / (1 + 0.14)³) + (BD 120 / (1 + 0.14)²) + (BD 1,120 / (1 + 0.14)³)

To calculate the selling price of each bond to determine the present value of the cash flows generated by the bond over its 5-year maturity period. calculate the selling price for Bond A and Bond B:

a. Cash Flows and Time Line:

For both Bond A and Bond B:

Par value: BD 1,000

Maturity: 5 years

Yield to maturity: 14%

Coupon payments: Paid annually

Bond A:

Coupon rate: 8% (of the par value)

Cash flow per year: 8% of BD 1,000 = BD 80

Time line:

Year 1: BD 80

Year 2: BD 80

Year 3: BD 80

Year 4: BD 80

Year 5: BD 80 + Par value (BD 1,000)

Bond B:

Coupon rate: 12% (of the par value)

Cash flow per year: 12% of BD 1,000 = BD 120

Time line:

Year 1: BD 120

Year 2: BD 120

Year 3: BD 120

Year 4: BD 120

Year 5: BD 120 + Par value (BD 1,000)

b. Selling Price Calculation:

To calculate the selling price of each bond,  to discount the future cash flows to their present value using the yield to maturity.

For Bond A:

Cash flow in Year 1 to Year 4: BD 80

Cash flow in Year 5: BD 80 (coupon payment) + BD 1,000 (par value) = BD 1,080

Discount rate: 14%

Selling price: Present value of cash flows

= (BD 80 / (1 + 0.14)²) + (BD 80 / (1 + 0.14)²) + (BD 80 / (1 + 0.14)³) + (BD 80 / (1 + 0.14)²) + (BD 1,080 / (1 + 0.14)²)

For Bond B:

Cash flow in Year 1 to Year 4: BD 120

Cash flow in Year 5: BD 120 (coupon payment) + BD 1,000 (par value) = BD 1,120

Discount rate: 14%

Selling price: Present value of cash flows

= (BD 120 / (1 + 0.14)²) + (BD 120 / (1 + 0.14)²) + (BD 120 / (1 + 0.14)³) + (BD 120 / (1 + 0.14)²) + (BD 1,120 / (1 + 0.14)³)

By calculating the above formulas,  the selling price for each bond.

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TRUE / FALSE.
Once the number of board of directors is fixed by the articles of​ incorporation, the number cannot be amended.

Answers

False. The number of board of directors can be amended even if it is initially fixed by the articles of incorporation.

The number of board of directors specified in the articles of incorporation is not necessarily set in stone. It can be amended through the appropriate legal procedures. The articles of incorporation outline the initial structure and governance of a corporation, including the number of directors. However, as circumstances change or the corporation's needs evolve, it may be necessary to adjust the size of the board of directors to ensure effective decision-making and representation.

To amend the number of board of directors, the corporation typically needs to follow the process outlined in its bylaws or under applicable corporate laws. This usually involves passing a resolution by the existing board of directors or shareholders, depending on the specific provisions of the corporation's governing documents. The amendment may also require filing the necessary paperwork with the relevant government authorities.

Overall, while the articles of incorporation provide an initial framework for the board of directors' size, it is not a fixed and unalterable requirement. Corporations have the flexibility to adjust the number of directors to suit their evolving needs and organizational structure, as long as they comply with the legal procedures and requirements.

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managers at cloudy computing would like to respond to approval requests via email. what is true in this scenario? (choose 3)

Answers

Responding to approval requests via email provides timely responses, convenience, and documentation.

When managers at Cloudy Computing choose to respond to approval requests via email, they can provide timely responses to requests, as they can review and respond to emails at their convenience. This method offers convenience and flexibility, allowing managers to access and respond to emails from various devices. Additionally, responding via email helps with documentation and record-keeping, as each approval or rejection can be recorded and stored in the email system, providing an audit trail of the decision-making process. Overall, using email for approval requests offers efficiency, convenience, and proper documentation.

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QUESTION 1

The opportunity cost of producing a laptop in South Korea is one-quarter in terms of producing a car. The opportunity cost of producing a laptop in Taiwan is one eight in terms of producing a car. We can conclude that:
South Korea has a comparative advantage in producing laptops and Taiwan has a comparative advantage in producing cars
Taiwan has an absolute advantage in producing laptops and South Korea has an absolute advantage in producing cars
Taiwan has a comparative advantage in producing laptops and South Korea has a comparative advantage in producing cars
South Korea has an absolute advantage in producing laptops and Taiwan has an absolute advantage in producing cars

1 points

QUESTION 2

Which one is not an important factor in economic growth for a country?
Nationalization of resources
Rule of law
Protection of property rights
Contractual rights

1 points

QUESTION 3

Under which circumstances, a country may make a loss from international trade with another country?
When the ratio of international prices is smaller than the opportunity cost of the product that the country has the comparative advantage
When the ratio of international prices is more than the opportunity cost of the product that the country has the comparative advantage
It is not possible. It is not rational that a country starts a trade that the result is a loss.
When the ratio of international prices is equal to the opportunity cost of the product that the country has the comparative advantage

1 points

QUESTION 4

According to your textbook, what are the three main determinants of labor productivity in each economy?
Physical capital, Innovation, and Human capital

Human capital, Invention, and Economies of scale
Human capital, Technological Change, and Economies of scale
Human capital, Innovation, and Economies of scale
1 points

QUESTION 5

What will happen when a country has an absolute advantage in all goods and services?
The country can have the highest benefit from producing all goods and services in the country
The country could benefit by producing the goods and services that have comparative advantage
The country could benefit by producing the goods and services that have the absolute advantage
The country is free to select any of goods and sevices for producing and export and let the other countries produce the other goods and services

Answers

QUESTION 1: Taiwan has a comparative advantage in producing laptops and South Korea has a comparative advantage in producing cars.

QUESTION 2: Nationalization of resources is not an important factor in economic growth for a country.

QUESTION 3: It is not possible. It is not rational that a country starts a trade that the result is a loss.

QUESTION 4: Human capital, Technological Change, and Economies of scale.

QUESTION 5: The country could benefit by producing the goods and services that have comparative advantage.

QUESTION 1:

The correct answer is:

Taiwan has a comparative advantage in producing laptops and South Korea has a comparative advantage in producing cars.

Comparative advantage refers to the ability of a country to produce a good or service at a lower opportunity cost compared to another country. In this case, South Korea has a higher opportunity cost of producing laptops (one-quarter of a car) compared to Taiwan (one-eighth of a car). Therefore, Taiwan has a comparative advantage in producing laptops, as it sacrifices less car production to produce laptops. Conversely, South Korea has a comparative advantage in producing cars since it sacrifices fewer laptops to produce cars.

QUESTION 2:

The correct answer is:

Nationalization of resources.

Nationalization of resources refers to the government taking control and ownership of resources or industries within a country. While factors such as the rule of law, protection of property rights, and contractual rights are important for economic growth, nationalization of resources can hinder economic growth by reducing private sector efficiency, discouraging investment, and creating inefficiencies in resource allocation.

QUESTION 3:

The correct answer is:

It is not possible. It is not rational that a country starts a trade that the result is a loss.

Under normal circumstances, countries engage in international trade to benefit from specialization and exchange based on their comparative advantage. Trade is generally based on mutual benefits, where both countries can gain from trading goods or services that they can produce more efficiently or at a lower opportunity cost. Therefore, it is not rational for a country to engage in trade that results in a net loss.

QUESTION 4:

The correct answer is:

Human capital, Technological Change, and Economies of scale.

The three main determinants of labor productivity in an economy, as stated in the textbook, are human capital, technological change, and economies of scale. Human capital refers to the knowledge, skills, and abilities of the workforce. Technological change involves improvements in technology, processes, and innovation. Economies of scale occur when increasing the scale of production leads to lower average costs per unit produced.

QUESTION 5:

The correct answer is:

The country could benefit by producing the goods and services that have comparative advantage.

Having an absolute advantage in all goods and services means that a country can produce any good or service more efficiently than any other country. However, even in this scenario, the country would still benefit from focusing on producing and exporting goods and services in which it has a comparative advantage. Comparative advantage is based on the concept of opportunity cost, where countries specialize in producing goods or services with lower opportunity costs, allowing for more efficient resource allocation and increased overall welfare through international trade. Therefore, the country would benefit by producing and exporting goods and services in which it has a comparative advantage, while importing goods and services in which other countries have a comparative advantage.

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A ​$21,000​, 6.6​% bond redeemable at par is purchased 6 years before maturity to yield 5.2% compounded semi-annually. If the bond interest is payable semi-annually, what is the purchase price of the​ bond?

Answers

The purchase price of the bond can be calculated by determining the present value of its future cash flows. In this case, a $21,000 bond with a 6.6% coupon rate and redeemable at par is purchased 6 years before maturity to yield 5.2% compounded semi-annually.

The purchase price of the bond can be calculated using the present value formula.

To calculate the purchase price of the bond, we need to determine the present value of its future cash flows. The bond has a face value (redeemable at par) of $21,000 and a coupon rate of 6.6%. The coupon payments are made semi-annually.

First, we calculate the present value of the bond's coupon payments. Since the coupon rate is 6.6% and payments are made semi-annually, the coupon payment per period is (6.6% / 2) * $21,000 = $693.

Next, we determine the number of periods until maturity. Since the bond is purchased 6 years before maturity and payments are made semi-annually, the number of periods is 6 * 2 = 12.

We then calculate the present value of the coupon payments using the yield rate of 5.2% compounded semi-annually. Using the present value formula, the present value of the coupon payments is:

PV = $693 * (1 - (1 + 0.052/2)^(-12)) / (0.052/2)

Finally, we calculate the purchase price of the bond by adding the present value of the coupon payments to the present value of the bond's face value:

Purchase Price = PV + $21,000

By plugging in the values into the formula, we can find the specific purchase price of the bond.

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This type of control culture means that control processes are pursued with a flexible attitude and the willingness to compromise.
a. Direct control
b. Indirect control
c. External control
d. Internal control

Answers

The correct answer is a. Direct control. Direct control emphasizes strict adherence to procedures, hierarchical relationships, and a top-down management approach.

The statement describes a control culture where control processes are pursued with a dominating attitude and conflict is viewed as a negative thing. This aligns with the characteristics of direct control. In a direct control culture, there is a centralized authority that exercises direct influence and control over decision-making and operations. Conflict is often discouraged or suppressed to maintain control and ensure compliance with established processes and rules.

Direct control emphasizes strict adherence to procedures, hierarchical relationships, and a top-down management approach. The focus is on maintaining order, standardization, and minimizing deviations from established norms. This type of control culture may limit autonomy and creativity within the organization as decision-making authority is concentrated at the top.

Based on the description provided, the correct answer is a. Direct control. Direct control emphasizes strict adherence to procedures, hierarchical relationships, and a top-down management approach.

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Most clothing purchased in New Zealand are now made overseas. Who are the winners, compared with the
historic situation where most clothing in New Zealand were made domestically?

Answers

The shift towards overseas clothing production in New Zealand has led to winners and losers. The winners include consumers who benefit from lower prices and a wider variety of clothing options.

On the other hand, domestic clothing manufacturers face challenges due to increased competition and the need to adapt to the changing market dynamics.

The shift towards overseas clothing production in New Zealand has resulted in several winners compared to the historic situation where most clothing was domestically made. One of the primary winners is the consumers.

With clothing production moving overseas, consumers now have access to a broader range of clothing options at more affordable prices. However, the historic situation where most clothing in New Zealand was domestically made has had an impact on local clothing manufacturers. With the rise of overseas production, domestic manufacturers have faced increased competition.

They have had to navigate the challenges of cost competitiveness, keeping up with changing consumer preferences, and adapting to global market dynamics. Some domestic manufacturers have struggled to compete with the lower-priced imported clothing, leading to closures or downsizing of local businesses.

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Wilson Cullumber is a leading producer of vinyl replacement windows. The company's growth strategy focuses on developing domestic markets in large metropolitan areas. The company operates a single manufacturing plant in Kansas City with an annual capacity of 500,000 windows. Current production is budgeted at 450,000 windows per year, a quantity that has been constant over the past three years. Besed on the budget, the accounting department has calculated the following unit costs for the windows:
Direct materials $55,00
Direct labor $19.00
Manufacturing overhead 20,00
Selling and andiminstrative 14,00
Total unit costs $108,00
The compary's budget includes $5,400,000 in fixed overhead and $3,150,000 in fixed selling and administrative expenses. The windows sell for $150.00 each. A. 2% distributor's commission is included in the selling and administrative expenses.
(a1)
(a2)
(C1)
(c2)
(d1)
If Wilson decides to accept Monk's offer, it will need to find an additional 30,000 windows to meet both the special order and normal sales. Marin Panes has offered to provide them to Wilson at a price of $140.00 per window. Marin Panes will deliver the windows to Wilson, and Wilson would then distribute them to its customers.
Calculate total contribution from outsourcing.
Total contribution from outsourcing $_______

Answers

The total contribution from outsourcing is -$3,360,000.

Given:

To find: The total contribution from outsourcing.

              Total contribution per unit = Selling price per unit - Total unit cost per unit

                                                          = $150 - $108

                                                         = $42

              Contribution margin ratio = Total contribution / Total sales

                                                         = ($42 / $150) x 100

                                                        = 28%

              Total fixed overheads and expenses = Fixed overheads + Fixed selling and administrative expenses

                                                                            = $5,400,000 + $3,150,000

                                                                           = $8,550,000

              Contribution margin per unit = Selling price per unit - Total unit cost per unit

                                                              = $150 - $108

                                                             = $42

The total cost of outsourcing 30,000 windows

                                                   = $140 x 30,000

                                                   = $4,200,000

               Total contribution from outsourcing= Total contribution margin x Quantity outsourced

                                                                           = ($42 x 30,000) - $4,200,000

                                                                           = $840,000 - $4,200,000

                                                                           = -$3,360,000

Therefore, the total contribution from outsourcing is -$3,360,000.

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ABC Corp has an average inventory period (production process time + time before sale) of 35 days. Accounts receivables are outstanding an average of 15 days. Gross margins for the firm average 8%. What is the average length of the firm's short-term operating cycle?

Answers

The average length of ABC Corp's short-term operating cycle is 50 days.

The short-term operating cycle is a measure that combines the average inventory period and the average accounts receivable period to determine the time it takes for a company to convert its investments in inventory into cash from sales.

The average inventory period of 35 days represents the average time it takes for ABC Corp to produce goods and hold them in inventory before they are sold. This period includes the production process time and the time required before the goods are ready for sale.

The average accounts receivable period of 15 days represents the average time it takes for ABC Corp to collect payment from its customers after the goods are sold. This period reflects the delay between the sale of goods and the receipt of cash.

By adding these two periods together, we get the average length of the short-term operating cycle, which in this case is 50 days. This means that it takes ABC Corp approximately 50 days to convert its investments in inventory into cash from sales. Managing and reducing this operating cycle can help improve cash flow and working capital efficiency for the company.

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An investment scheme promises to pay $11,007 next year, and
$39,568 the year after that. What is the present value of this
scheme, if your discount rate is 8% p.a.?
(Round your answer to the nearest $

Answers

The present value of the investment scheme, with future cash flows of $11,007 and $39,568 and a discount rate of 8% per year, is approximately $44,774.50.

To calculate the present value of the investment scheme, we need to discount the future cash flows back to their present value using the given discount rate.

The cash flows are as follows:

Year 1: $11,007

Year 2: $39,568

Using the discount rate of 8% per year, we can calculate the present value of each cash flow:

PV1 = $11,007 / (1 + 0.08)^1

PV2 = $39,568 / (1 + 0.08)^2

PV1 = $11,007 / 1.08 ≈ $10,192.59

PV2 = $39,568 / 1.08^2 ≈ $34,581.91

Next, we add the present values of the cash flows to find the total present value:

Total PV = PV1 + PV2

Total PV = $10,192.59 + $34,581.91 ≈ $44,774.50

Therefore, the present value of the investment scheme, with future cash flows of $11,007 and $39,568 and a discount rate of 8% per year, is approximately $44,774.50.

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8. The constitution of a company is a statutory contract between which of the following parties? Select one: Select one: a. Between the members themselves only. b. Eletween the company and its members only. c. Between the company and the relevant Government authority. d. Between the company and its members and between the members themselves.

Answers

The correct answer is option (d), "Between the company and its members and between the members themselves."

The constitution of a company serves as a statutory contract that governs the rights, obligations, and relationships within the company. However, it is important to identify the parties involved in this contract.

The constitution of a company establishes the rules and regulations that govern the company's internal affairs, including the rights and duties of its members (shareholders) and the company itself.

It outlines the relationship between the company and its members, as well as the relationships among the members themselves. This contractual agreement defines the framework within which the company operates and provides a legal basis for the rights and obligations of all parties involved.

Therefore, Option D is correct.

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how to write a good cover letter for an internship

Answers

A good cover letter for an internship should include a professional greeting, express interest in the position and organization, highlight relevant qualifications, connect skills to the internship's needs, demonstrate enthusiasm, mention notable achievements, express gratitude, and end with a professional closing and contact information.

When writing a cover letter for an internship, it's important to make a strong impression in a concise manner.

Start with a professional greeting, addressing the recipient by name if possible.

Begin the letter by stating your interest in the specific internship position and the organization you're applying to.

Highlight your relevant skills, experiences, and qualifications that make you a strong candidate for the internship. Be specific and focus on the most relevant points.

Connect your skills and experiences to the needs of the internship and the organization. Explain how you can contribute and make a difference.

Show enthusiasm and passion for the industry or field of the internship. Demonstrate your eagerness to learn and grow.

Briefly mention any notable achievements or projects that showcase your abilities and dedication.

Express gratitude for the opportunity to apply and request an interview or further consideration.

End with a professional closing and your contact information.

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Which of the following is a good suggestion for managers when conducting interviews?
a. Plan which questions you want to ask, and ask them to every interviewee.
b. Do more than half of the talking to make sure you are sharing enough about the company and its culture.
c. Ask questions spontaneously to get the most straightforward answers from the candidate.
d. Ask about the candidate's family to show personal interest

Answers

The good suggestion for managers when conducting interviews is to plan which questions you want to ask and ask them to every interviewee.

When conducting interviews, it is important for managers to have a structured approach. This means planning which questions to ask and asking them to every interviewee to ensure that the same information is gathered from each candidate.

This will also help to ensure that the hiring process is fair and objective, as each candidate will be evaluated using the same criteria.
On the other hand, managers should not do more than half of the talking to make sure they are sharing enough about the company and its culture, because the focus of the interview should be on the candidate and their qualifications. Additionally, asking questions spontaneously is not recommended as it can lead to inconsistencies in the interview process. Finally, asking about the candidate's family is not relevant to their qualifications or ability to do the job, and could be seen as intrusive or unprofessional.
Overall, planning which questions to ask and asking them to every interviewee is a good suggestion for managers when conducting interviews. This approach will help to ensure that the hiring process is fair, objective, and consistent, and will help managers to identify the best candidate for the job.

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are discussions surrounding the preparation of a tax return privileged

Answers

Though I do not practise law, in general, tax return preparation-related conversations are not protected by the same legal professional-client privilege.

Normally, privilege relates to private conversations between a lawyer and their client for the purpose of obtaining legal counsel. However, in some circumstances, a restricted type of privilege known as "limited non-attorney-client privilege" may apply to tax professionals like certified public accountants (CPAs) and registered agents (EAs). Communications made in the course of offering tax advice or representation before the Internal Revenue Service (IRS) or other tax authorities are protected by this privilege. Regarding privilege and the private nature of conversations relating to tax preparation, it is crucial to seek counsel from a lawyer or tax specialist.

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You are a venture capitalist considering a $1.5 million investment in Floating Line Electronics Apparatus, Inc. (FLEA) that is expected to require no additional capital through year 3. FLEA is expected to have EBITDA of $2.7 million in year 3. You expect to get your initial investment plus your return at that time by selling your stock. In your opinion, FLEA should at that time be comparable to companies priced at 12 times EBITDA. Flea has no debt outstanding and plans to pay no dividends in years 1 through 3. There are already 400,000 shares outstanding that are owned by the entrepreneur and other investors. You require 50% rate of return from this type of investment. What equity percentage ownership would you demand?
Group of answer choices
a 42%
b 55%
c 19%
d 16%
e 23%

Answers

The equity percentage ownership that you would demand is 42%.

Here is the calculation:

First, calculate the value of the company in year 3 by multiplying the EBITDA by the multiple:

$2.7 million x 12 = $32.4 million

Next, calculate the total value of the company by adding the value in year 3 to the investment:

$32.4 million + $1.5 million = $33.9 million

Calculate the amount of money you would need to receive in year 3 to meet your required rate of return:

$1.5 million x 1.5 = $2.25 million

Calculate the percentage ownership that you would need to receive this amount:

$2.25 million / $33.9 million = 0.0664 or 6.64%

Finally, calculate the percentage ownership that you would demand by dividing the required percentage by (1 - the percentage of the company already owned):

6.64% / (1 - 400,000 / total shares) = 42%

Therefore, the equity percentage ownership that you would demand is 42%. Answer choice A is correct.

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Which of the following would cause a decrease in aggregate supply?
A. A severe drought.
B. An increase in productivity.
C. An increase in oil prices.
D. Both A and B
E. Both B and C.
F. Both A and C.

Answers

Among the options given, an increase in oil prices (option C) would cause a decrease in aggregate supply. This is because higher oil prices increase production costs for businesses, leading to a decrease in their willingness and ability to supply goods and services. Options A and B do not directly cause a decrease in aggregate supply, and options D, E, and F include at least one correct choice but are not the most accurate answer.

A. A severe drought: While a severe drought can have negative effects on specific industries such as agriculture, it does not directly cause a decrease in aggregate supply across the entire economy. It may lead to a decrease in supply for certain agricultural products, but it does not impact the overall supply of all goods and services.

B. An increase in productivity: An increase in productivity generally leads to an increase in aggregate supply. When productivity improves, businesses can produce more output with the same amount of inputs, resulting in an expansion of aggregate supply.

C. An increase in oil prices: An increase in oil prices has a direct impact on production costs for businesses that rely on oil as an input. Higher oil prices lead to increased expenses, which can result in a decrease in aggregate supply as businesses may reduce their production levels or increase prices to maintain profitability.

D. Both A and B: This option includes a combination of choices that are not accurate. While severe drought (option A) does not directly cause a decrease in aggregate supply, an increase in productivity (option B) actually leads to an increase in aggregate supply.

E. Both B and C: This option includes an accurate choice (increase in oil prices) that causes a decrease in aggregate supply (as explained earlier), but it also includes an inaccurate choice (increase in productivity) that actually leads to an increase in aggregate supply.

F. Both A and C: This option includes an accurate choice (increase in oil prices) that causes a decrease in aggregate supply, but it also includes an inaccurate choice (severe drought) that does not directly impact aggregate supply.

Therefore, among the options provided, an increase in oil prices (option C) would cause a decrease in aggregate supply. This is because higher oil prices increase production costs for businesses, leading to a decrease in their willingness and ability to supply goods and services.

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Assume a R60 000 half yearly payment towards a bond, for the next 10 years. The property developers charge 12% interest compounded semi-annually. Calculate the value of the bond today.

Answers

For a Rs 60 000 half-yearly payment towards a bond, for the next 10 years where the property developers charge 12%  interest compounded semi-annually the value of the bond today will be R11,470,000.

To calculate the present value of the bond, use the formula: PV = PMT * (1 - (1 + r/n)^(-nt))/(r/n)

where: PV is the present value of the bond PMT is the half-yearly payment of R60 000

r is the annual interest rate of 12%

n is the number of times interest is compounded per year, i.e. 2 (semi-annually)

t is the number of years, i.e. 10

Substituting the values into the formula, we get:

PV = 60,000 * [1 - (1 + (0.12 / 2))^(-20)] / (0.12 / 2)

PV = 60,000 * [1 - (1.06)^(-20)] / 0.06

PV = 60,000 * [1 - 0.3118] / 0.06

PV = 60,000 * 0.6882 / 0.06

PV = 688,200 / 0.06

PV = R11,470,000

The value of the bond today is R11,470,000.

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For each legal problem question you are required to

State the issue or issues
State the relevant rule or rules
Cite the relevant case or cases
Answer yes or No to the question posed at the end of the problem and EXPLAIN the reasons for your answer.

IRCA Recommended
Adrian runs a successful car sales business on the Gold Coast. Adrian enters into a contract with Acme Security Systems whose guards are required to patrol his premises every night. While undertaking his security rounds, Des (the guard), decides to light a cigarette, which he fails to properly extinguish before throwing away. Unfortunately the cigarette lands in a box containing inflammable materials, which catches fire and quickly spreads through the car-yard, destroying all Adrian’s cars. The contract between Adrian and Acme Security Systems includes the following clause:

Acme Security Systems shall not be responsible, under any circumstances, for damage or injurious acts caused by an employee of the company unless such act could have been foreseen and avoided by the exercise of due diligence on the part of the Company as his employer.

Will Adrian win if he sues Acme Security Systems despite the exemption clause?

Answers

No, Adrian is unlikely to win if he sues Acme Security Systems despite the exemption clause.

The main issue in this scenario is whether Adrian can hold Acme Security Systems liable for the actions of its employee, Des, and the resulting damages caused by the fire. To determine the outcome, we need to analyze the relevant rule and consider any applicable cases.

The contract between Adrian and Acme Security Systems includes an exemption clause. This clause states that the company shall not be responsible for damage caused by an employee unless the act could have been foreseen and avoided through the exercise of due diligence by the company as the employer.

Based on this clause, the relevant rule is that Acme Security Systems can avoid liability if it can demonstrate that the act of Des lighting the cigarette and causing the fire could not have been foreseen and avoided through the exercise of due diligence.

In this case, Adrian would need to prove that Acme Security Systems failed to exercise due diligence in its hiring or supervision of Des, making it foreseeable that such an incident could occur. However, the facts provided do not indicate any negligence on the part of Acme Security Systems in hiring or supervising Des. Therefore, it is unlikely that Adrian would be able to overcome the exemption clause and hold Acme Security Systems liable for the damages.

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Using an example of a relevant airline. Describe how the company planned and implemented a post COVID-19 financial recovery. What key areas were most important and how successful were they?

Answers

Delta Air Lines is one example of an airline that designed and carried out a post-COVID-19 financial recovery. Delta concentrated on a number of crucial areas to achieve recovery.

First, they put cost-cutting measures into place, such as lowering labour costs through voluntarily taking time off and retiring early. In order to better meet demand, they retired older aircraft from service and streamlined routes. Thirdly, they put a high priority on health and safety measures, such as improved cleaning procedures and flexible booking policies, to win back client confidence. Additionally, Delta was able to raise money through private capital raising and government grants. Overall, Delta's recovery efforts have been somewhat successful, as seen by a slow but steady rise in passenger demand and a drop in losses compared to the pandemic's height.

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Oriole Service Company’s net income for 2025 was $294400. At the end of the year, the company’s accounts receivable balance was $22300 higher than at the beginning of the year. The accounts payable balance was $8900 lower than at the beginning of the year and the company reported depreciation expense of $45000. Net cash provided by operating activities for the year is

Answers

Therefore, the net cash provided by operating activities for the year is $352,800.

The net cash provided by operating activities, we need to consider the changes in accounts receivable and accounts payable, as well as the depreciation expense.

Net cash provided by operating activities can be calculated using the indirect method by adjusting net income for non-cash items and changes in working capital.

Net income: $294,400

Depreciation expense: $45,000

Increase in accounts receivable: $22,300

Decrease in accounts payable: $8,900

Adjusted net income: Net income + Depreciation expense

Adjusted net income: $294,400 + $45,000 = $339,400

Changes in working capital: Increase in accounts receivable - Decrease in accounts payable

Changes in working capital: $22,300 - $8,900 = $13,400

Net cash provided by operating activities: Adjusted net income + Changes in working capital

Net cash provided by operating activities: $339,400 + $13,400 = $352,800

Therefore, the net cash provided by operating activities for the year is $352,800.

The net cash provided by operating activities represents the cash generated from the core operations of the business. It indicates the company's ability to generate cash flow from its day-to-day activities. In this case, Oriole Service Company had a net income of $294,400, which was adjusted by adding back the depreciation expense of $45,000 to account for its non-cash nature. Additionally, the increase in accounts receivable of $22,300 and the decrease in accounts payable of $8,900 are considered as changes in working capital.

By adding the adjusted net income and the changes in working capital, we arrive at the net cash provided by operating activities of $352,800. This indicates that Oriole Service Company generated $352,800 in cash from its operating activities during the year.

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Aggregation of orders is quite applicable in retail because

a. Demand is more stable and predictable in retail environments
b. Bullwhip is not an issue at the retail level
c. Inventory of one product means less space for another
d. Order quantities are typically not very large

Answers

Aggregation of orders is quite applicable in retail because: c. Inventory of one product means less space for another. The correct option is C.

Aggregation of orders is quite applicable in retail because inventory space is often limited, and retailers need to maximize the utilization of their available space. By aggregating orders, retailers can consolidate multiple small orders into larger ones, which reduces the number of individual products stocked and frees up space for other products.

In a retail environment, shelf space is a valuable resource, and retailers aim to offer a wide variety of products to meet customer demands. However, stocking every product in large quantities would result in space constraints and inefficient use of inventory space.

By aggregating orders, retailers can combine multiple smaller orders for the same or similar products, resulting in larger order quantities and reduced individual product SKUs (Stock Keeping Units). This allows retailers to allocate inventory space more effectively and carry a broader range of products to cater to customer preferences.

Additionally, aggregating orders in retail helps in achieving economies of scale. By consolidating orders, retailers can negotiate better prices and terms with suppliers, reducing overall procurement costs and increasing profitability.

Therefore, the option c is correct as inventory space optimization is a crucial factor driving the applicability of order aggregation in retail environments. The correct option is C.

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Topic: Cost -Volume-Profit (CVP)


Sarah used GMIT Success, a test-prep book and software package for the business school admission test. Sarah loved the book and program so much that after graduating she signed a contract with GMIT Success’s publisher to sell the learning materials. She recently sold them at a college fair in Kuala Lumpur and is now thinking of selling them at a college fair in Selangor. Sarah knows she can purchase each package (book and software) from the publisher for RM480 per package, with the privilege of returning all unsold packages and receiving a full RM480 refund per package. Sarah decided to sell each package at RM800. She knows that she must pay RM2,000 to rent a booth at the fair. She will incur no other costs. Should she rent the booth or not?
a) Sarah like most managers who face such situation, will need to work to go through the decision-making process in order to make the most profitable decision. Explain the decision-making process that Sarah has to go through in making the decision on whether to rent the booth or not.

b) How much would be Sarah’s operating income if she managed to sell
i) 5 packages, and
ii) 40 packages.
With a different number of packages sold, what costs are likely to change when the number of units sold change?

c) How much is the contribution margin per unit in dollars and percentage based on the answers that you get from b) above?

d) Calculate the break-even point (in units and in dollars) using contribution margin technique?

e) Suppose that Sarah anticipates selling 40 packages at the fair and she is considering advertising the product and its features in the fair brochure. The advertisement will be a fixed cost of RM1,500. Sarah thinks that advertising will increase sales by 10% to 44 packages. Should Sarah advertise?

f) Sarah is contemplating whether to reduce the selling price by 12.5%. At this price, she thinks she will sell 50 packages. At this quantity, the test-prep package company that supplies GMIT Success will sell the packages to Sarah for RM400 instead of RM480. Should Sarah reduce the selling price?

Answers

a) Sarah needs to go through the decision-making process to make the most profitable decision.

She should consider the fixed costs (booth rental), variable costs (cost per package), selling price, and the potential number of packages to be sold. By analyzing the costs and revenues at different levels of sales, she can determine if renting the booth will generate a profit.

b) i) If Sarah sells 5 packages, her total revenue would be RM4,000 (5 packages x RM800). The cost of the packages would be RM2,400 (5 packages x RM480), and booth rental is RM2,000. Therefore, her operating income would be RM400 (RM4,000 - RM2,400 - RM2,000).

ii) If Sarah sells 40 packages, her total revenue would be RM32,000 (40 packages x RM800). The cost of the packages would still be RM19,200 (40 packages x RM480), and booth rental remains RM2,000. Her operating income would be RM10,800 (RM32,000 - RM19,200 - RM2,000).

As the number of packages sold changes, the variable costs (cost per package) and the total revenue will change accordingly.

c) The contribution margin per unit can be calculated by subtracting the variable cost per unit from the selling price per unit. From the previous calculations:

i) Contribution margin per unit = RM800 - RM480 = RM320

Contribution margin percentage = (RM320 / RM800) x 100% = 40%ii) Contribution margin per unit = RM800 - RM480 = RM320

Contribution margin percentage = (RM320 / RM800) x 100% = 40%

d) The break-even point can be calculated using the contribution margin technique. The break-even point in units is determined by dividing the fixed costs by the contribution margin per unit.

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The demand curve and supply curve for one-year discount bonds with a face value of $1,020 are
represented by the following equations:
B°: Price = -0.7Quantity + 1.120
BS: Price = Quantity + 720
1) The expected equilibrium quantity of bonds is

Answers

The expected equilibrium quantity of bonds can be determined by finding the point of intersection between the demand curve (B°) and supply curve (BS) equations, the expected equilibrium quantity of bonds is approximately 423.46.

The expected equilibrium quantity of bonds can be determined by finding the point of intersection between the demand curve and supply curve equations provided.

To find the expected equilibrium quantity of bonds, we need to find the point at which the quantity demanded (Q) equals the quantity supplied (Q). This can be done by setting the demand curve equation (B°) equal to the supply curve equation (BS) and solving for Q.

Setting -0.7Q + 1.120 = Q + 720, we can rearrange the equation to obtain 1.7Q = 720 - 1.120.

Simplifying further, we have 1.7Q = 718.88.

Dividing both sides of the equation by 1.7, we find Q ≈ 423.46.

Therefore, the expected equilibrium quantity of bonds is approximately 423.46.

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