Given the following MRP matrix for Item D:

ITEM: D

Period

Lot Size: Min 100 LT: 2

1

2

3

4

5

6

7

Gross Requirements

60

90

150

150

180

270

120

Schedule Receipts

150

Project on Hand 120

Net Requirements

Planned Order Receipts

Planned Order Releases


The projected on hand quantity at the end of period 3 would be

0
20
60
70
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Question 22 2 pts

Given the following MRP matrix for Item D:

ITEM: D

Period

Lot Size: Min 100 LT: 2

1

2

3

4

5

6

7

Gross Requirements

60

90

150

150

180

270

120

Schedule Receipts

150

Project on Hand 120

Net Requirements

Planned Order Receipts

Planned Order Releases


The planned order release for period 3 would be

100
160
270
300
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Question 23 2 pts

Given the following MRP matrix for Item D:

ITEM: D

Period

Lot Size: Min 100 LT: 2

1

2

3

4

5

6

7

Gross Requirements

60

90

150

150

180

270

120

Schedule Receipts

150

Project on Hand 120

Net Requirements

Planned Order Receipts

Planned Order Releases


The planned order release for period 5 would be

100
120
160
270
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Question 24 3 pts

Given the following MRP matrix for Item D:

ITEM: D

Period

Lot Size: Min 100 LT: 2

1

2

3

4

5

6

7

Gross Requirements

60

90

150

150

180

270

120

Schedule Receipts

150

Project on Hand 120

Net Requirements

Planned Order Receipts

Planned Order Releases


The planned order receipt for period 6 would be

100
120
160
270

Answers

Answer 1

The projected on-hand quantity of Item D at the end of period 3 is 70 units. This is determined by tracking the net requirements and scheduled receipts across the periods.

After a demand of 60 units in period 1, we're left with a projected on-hand inventory of 60 units (120 initial - 60 demand). In period 2, there's no demand, but we have scheduled receipts of 150 units, giving us an on-hand inventory of 210 units (60 + 150). In period 3, a demand of 90 units reduces the inventory to 120 units (210 - 90). This calculation continues for each period, determining our projected on-hand inventory. The planned order release for Item D in period 3 is 100 units. MRP uses a lead-time offset to plan order releases In this case, with a lead time (LT) of 2 periods, we must place orders two periods in advance. Therefore, the order release in period 3 will aim to satisfy the demand in period 5, which is 100 units. It ensures the inventory arrives just in time to meet the demand, optimizing inventory management.

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Related Questions

.Kessel Company purchased a building and land with a fair market value of 575,000 (building, 475,000, and land 100,000) on January 1, 2018 Kessel signed a 25-year, 15% mortage payable. Kessel will make monthly payments of 7,364.78. Round to two decimal places. No explenations required.

Requirements:

1.Journalize the mortage payable issuance on january 1, 2018......I have Done the entry as pictured below.

2. Prepare an amortization schedule for the fist two payments..... I got some of the numbers in there not sure if I did it correctly

3. Journalize the first payment on January 31, 2018.

4. Journalize the second payment on February 28, 2018.

Requirement 1. Journalize the mortgage payable issuance on January? 1,

2018.

?(Record debits? first, then credits. Exclude explanations from any journal? entries.)

Date

Accounts

Debit

Credit

2018

Jan. 1

Building

475,000..00

Land

100,000.00

Mortgage Payable

575,000.00

Answers

Date Accounts Debit Credit

2018 Jan. 1 Building 475,000.00

|         | Land | 100,000.00 |

|         | Mortgage Payable | 575,000.00 |

The journal entry to record the issuance of the mortgage payable on January 1, 2018, for the purchase of the building and land would be as follows: Debit the Building account for the fair market value of the building, which is $475,000.00.

Debit the Land account for the fair market value of the land, which is $100,000.00. Credit the Mortgage Payable account for the total amount of the mortgage, which is $575,000.00.

This journal entry reflects the increase in assets (building and land) and the corresponding increase in liabilities (mortgage payable) due to the financing of the purchase.

Please note that this response only provides the journal entry for the issuance of the mortgage payable. If you need assistance with the other requirements or additional journal entries, please provide more details, and I'll be happy to help.

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An electronics superstore is carrying 70" TV for the upcoming Christmas holiday sales. The weekly demand is normally distributed with an average of 63 units and a standard deviation of 13 units. Compute the standard deviation of the total demand over 6 weeks sales period.

Answers

The demand per week= sqrt(6) * 13 = 29.27 Therefore, the standard deviation of the total demand over a 6-week sales period is 29.27 units.

The given data is: Average demand = 63 units  Standard deviation of demand = 13 units  Sales period = 6 weeks  We know that the standard deviation of the sum of independent random variables is equal to the square root of the sum of the squares of their standard deviations. Hence, the standard deviation of the total demand over a 6-week sales period can be calculated as follows:Standard deviation of the sum of 6-week demand= sqrt(6) * standard deviation of the demand per week= sqrt(6) * 13 = 29.27Therefore, the standard deviation of the total demand over a 6-week sales period is 29.27 units.

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A negative consequence of recording byproducts in the acct records when the sale occurs is
a. the revenue from the byproducts is usually fairly large b. managers can time earnings by their decision when to sell byproducts c. managers have an incentive to stockpile byproducts d. both (b) and (c)

Answers

A negative consequence of recording byproducts in the accounting records when the sale occurs is that managers can time earnings by their decision when to sell byproducts, and they also have an incentive to stockpile byproducts.

The negative consequences of recording byproducts in the accounting records when the sale occurs.

When managers have the discretion to decide when to sell byproducts and record the associated revenue, they can manipulate the timing of earnings. By strategically timing the sale of byproducts, managers can influence the reported earnings of the company, which can impact financial statements and affect the perceptions of investors and stakeholders. This can lead to misleading or distorted financial reporting.

Additionally, recording byproducts in the accounting records when the sale occurs can create an incentive for managers to stockpile byproducts. By accumulating large quantities of byproducts, managers can potentially delay their sale to future periods when they believe it will be more advantageous in terms of financial performance or market conditions. This behavior can distort the recognition of revenue and expenses, and it may not accurately reflect the economic reality of the business.

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O allocate Question 44 In a market with a binding price floor, rationing among suppliers is accomplished through: O the price mechanism. O the automatic adjustments in the market that reflect the supplies of sellers and the demands of buyers O non-price mechanisms. O both the 1st and 2nd options are correct Book Air

Answers

In a market with a binding price floor, rationing among suppliers is accomplished through non-price mechanisms.

When a price floor is set above the equilibrium price in a market, it creates a situation where the price is legally required to be higher than what the market would naturally determine. This results in a surplus of supply, as the quantity supplied exceeds the quantity demanded at the higher price.

In such a scenario, rationing among suppliers, or determining which suppliers are able to sell their goods, is not achieved through the price mechanism. The price mechanism typically relies on the forces of supply and demand to determine the allocation of goods and resources. However, with a binding price floor, the market price is not allowed to adjust to equilibrium, so it cannot perform its usual function of rationing through price adjustments.

Instead, rationing among suppliers in a market with a binding price floor is accomplished through non-price mechanisms. These mechanisms can include methods such as government regulations, licenses, permits, or quotas that determine which suppliers are allowed to sell their goods and in what quantities. The government or relevant authorities may impose restrictions or criteria on suppliers to allocate the limited quantity demanded at the higher price.

In a market with a binding price floor, the rationing among suppliers is accomplished through non-price mechanisms. The price mechanism is unable to adjust due to the price floor, so alternative methods such as government regulations or quotas are used to determine which suppliers can sell their goods.

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Which of the following funds would be included on the Government-Wide Financial Statements? Select ALL that apply.
a. Police Pension Trust Fund
b. Local Water Authority Fund
c. Special Sewer District Fund
d. City Council Fund
e. County Agency Fund for Town Real Estate Tax Collections

Answers

The funds that would be included on the Government-Wide Financial Statements are as follows: Police Pension Trust Fund Local Water Authority Fund Special Sewer District Fund County Agency Fund for Town Real Estate Tax Collections.

What is a Government-Wide Financial Statements?The Government-Wide Financial Statements is a statement of the government's entire operation and financial status. This statement provides data on the government's economic position and the results of its operations. It includes both governmental and proprietary funds.

The government-wide financial statements include the following: Statement of Net Position Statement of Activities Therefore, all the funds that have been mentioned i.e., Police Pension Trust Fund, Local Water Authority Fund, Special Sewer District Fund, County Agency Fund for Town Real Estate Tax Collections would be included on the Government-Wide Financial Statements.

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Auditors should not review the
client's planning of the physical inventory.
-True or False

Answers

False. Auditors should review the client's planning of the physical inventory as part of their audit procedures.

review helps the auditors understand how the client plans to conduct the physical count of inventory, including the methods used, the timing, and the personnel involved. It allows auditors to assess the adequacy and effectiveness of the client's inventory management and control processes and helps them plan their audit procedures accordingly. By reviewing the client's planning of the physical inventory, auditors can identify any potential risks or issues that may impact the accuracy and reliability of the inventory count, allowing them to design appropriate audit tests and procedures to address those risks. Management is the process of planning, organizing, coordinating, and controlling resources and activities within an organization to achieve predetermined goals and objectives. It involves making decisions, setting strategies, and directing the efforts of individuals and teams towards the accomplishment of organizational goals.

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. The Merriam Company has determined that its return on equity is 25 percent. Management is interested in the various components that went into this calculation. You are given the following information: total debt/total assets=0.50 and total assets turnover = 2.5. What is the profit margin? 22. The Amer Company has the following characteristics: What is Amer's ROE and ROA? Sales $1,000 Basic Earning Power (EBIT/TA) ratio Tax rate 15% Total assets $2,000 40% Total debt/Total assets 50% Interest rate on total debt 5%

Answers

Option (B) is correct. Total debt / Total assets = 0.50 Total assets turnover = 2.5 Return on equity = 25%. We need to find the profit margin. Profit margin = Net income / Sales.

Since we don't have information about net income, we cannot calculate it. Therefore, we cannot find the profit margin. Amer Company has the following characteristics.

Sales $1,000Basic Earning Power (EBIT/TA) ratio. Tax rate 15%Total assets $2,000 40% Total debt/Total assets 50% Interest rate on total debt5% Sales = $1,000 EBIT / TA = Basic earning power ratio = 1.5Tax rate = 15%Total assets = $2,000 Total debt / Total assets = 0.50.

The interest rate on total debt = 5% ROA (Return on Assets) = EBIT / Total assets. Basic earning power = EBIT / Total assets = Basic earning power ratio × Total assets= 1.5 × 2,000= $3,000 EBIT = Basic earning power × Total assets= $3,000 ROA = EBIT / Total assets= $3,000 / $2,000= 1.5 = 150% ROE (Return on Equity) = ROA × Equity multiplier

ROA = 1.5 Equity multiplier = Total assets / Shareholder's equity= 2,000 / (2,000 × 0.6)= 2,000 / 1,200= 1.67 ROE = ROA × Equity multiplier= 1.5 × 1.67= 2.5 = 250%. Hence, the ROE and ROA of the Amer Company are 250% and 150% respectively.

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Columbus Company provides the following ABC costing information Activities Labor Gas Invoices Total costs Total Costs $400,000 $72,000 $56,000 $528,000 Activity - cost drivers 10,000 hours 6,000 gallons 3,500 Invoices The above activities used by their three departments are: P Labor Gas Invoices Lawn Department 2,900 hours 1,700 gallons 1,200 Invoices Bush Department 1,300 hours 900 gallons 400 invoices How much of the labor cost will be assigned to the Bush Department? OA. $232.000 B. $116.000 C 552,000 OD. 568,640

Answers

To determine how much of the labor cost will be assigned to the Bush Department in Columbus Company, we need to allocate the labor cost based on the activity-cost driver usage. The correct answer choice is not provided in the options.

In ABC costing, the allocation of costs is based on the activities performed and their corresponding cost drivers. To assign the labor cost to the Bush Department, we need to calculate the allocation based on the proportion of activity-cost driver usage.

The labor cost allocation can be calculated as follows:

Labor cost allocated to Bush Department = (Labor cost / Total activity cost) * Activity-cost driver usage for the Bush Department

Labor cost allocated to Bush Department = ($400,000 / $528,000) * 1,300 hours = $981,060

Based on the given information, the correct answer is not provided in the options. The labor cost assigned to the Bush Department should be $981,060, which is not included in the given answer choices (OA, B, C, OD).

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when economists say that monetary policy can exhibit cyclical asymmetry, it means that multiple choice
a. the fed is able to deal with only inflation.
b. expansionary monetary policy and restrictive monetary policy cannot both be used for economic expansion and contraction.
c. expansionary monetary policy and restrictive monetary policy do not have the same potential for economic expansion and contraction. recessions are shorter than inflations.

cyclical asymmetry is important to policymakers because multiple choice 2
a. monetary policy is more effective in fighting inflation than a recession.
b. recessions are shorter than inflations.
c. monetary policy is more effective in fighting a recession than inflation.
d. fiscal policy is more effective in fighting inflation than a recession.

Answers

When economists say that monetary policy can exhibit cyclical asymmetry, it means that:

b. Expansionary monetary policy and restrictive monetary policy cannot both be used for economic expansion and contraction.

Cyclical asymmetry is important to policymakers because:

c. Monetary policy is more effective in fighting a recession than inflation.

When economists say that monetary policy can exhibit cyclical asymmetry, it means that the effects of expansionary (stimulative) monetary policy and restrictive (contractionary) monetary policy are not symmetrical or equal in terms of their impact on economic expansion and contraction.

This means that option (b) is correct: Expansionary monetary policy and restrictive monetary policy cannot both be used effectively to stimulate economic expansion and combat economic contraction simultaneously. The effectiveness and potential outcomes of these policies may differ in their impact on the economy.

Cyclical asymmetry is important to policymakers because it suggests that monetary policy may have varying degrees of effectiveness in different phases of the economic cycle. This leads to the answer for the second question, which is:c. Monetary policy is more effective in fighting a recession than inflation. This implies that expansionary monetary policy is more successful in stimulating economic growth during a recessionary period, while restrictive monetary policy may have limited effectiveness in combating inflationary pressures.

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read, "Mixing It Up." After reading the case application, examine how diverse teams are built. You can explore organizations or companies that have merged into one. Through this exploration identify one particular merge you will be examining. Identify two to three possible processes that were needed to create this diverse team. Discuss how each process could be implemented as well as one possible negative outcome of each process.

Answers

Mixing It Up is a case application that discusses how to build diverse teams. Merging two or more organizations or companies is one way to create a diverse team.

A specific merge that will be examined in this article is the merger of Marriott International, Inc. and Starwood Hotels and Resorts Worldwide, Inc.In building a diverse team, two to three possible processes that were needed to create the diverse team are:

1. Establishing a Common Goal: The merged company should have a shared goal that will unite all employees of both companies. This will make them work together to achieve the organization's objectives. The merged company will need to consider the strengths and weaknesses of both organizations in order to develop a shared goal.

2. Communication: Communication is key to merging two organizations. After merging, employees from the former Starwood Hotels and Resorts Worldwide, Inc., and Marriott International, Inc. need to have a common language for understanding.

3. Training and Development: As the merger process progresses, there may be some employees who are not comfortable with the changes. The merged company can offer training programs to its employees to improve their skills and knowledge, particularly those who have been there for a long time and need to be updated with new procedures and policies.

One possible negative outcome of establishing a common goal is that employees may resist changes that do not align with their individual goals. A negative outcome of communication is that employees may misunderstand information and cause confusion, and a negative outcome of training and development is that employees may feel threatened by new colleagues who are more skilled and knowledgeable than them.

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A Planner is attempting to calculate the cumulative lead time needed to supply a finished good item. She/he gathers the following historical data: supplier lead time for the components - 30 days receiving & inspection lead time - 5 days components sat in stockroom inventory - 40 days pick and issue lead time - 1 day assembly and final test lead time - 5 days finished goods sat in inventory - 10 days The cumulative lead time based on the above data is : 41 days 51 35 61 0 91

Answers

To calculate the cumulative lead time needed to supply a finished good item, we need to add up the lead times for each step in the process. Based on the given historical data, the cumulative lead time can be calculated as follows:

Supplier lead time for the components: 30 days

Receiving & inspection lead time: 5 days

Components sat in stockroom inventory: 40 days

Pick and issue lead time: 1 day

Assembly and final test lead time: 5 days

Finished goods sat in inventory: 10 days

Cumulative lead time = 30 + 5 + 40 + 1 + 5 + 10 = 91 days

Therefore, the cumulative lead time based on the given data is 91 days.

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Please answer each question situation with a description of the correct answer along with relevant points, description, and examples.
Question (A). In the context of the shareholder wealth-maximization model of a firm, what is the expected impact of each of the following events on the value of the firm?
Situation 1. New foreign competitors enter the market.
Situation 2. Strict pollution control requirements are implemented by the government.
Situation 3. A previously non-union workforce votes to unionize.
Situation 4. The rate of inflation increases substantially.
Situation 5. A major technological breakthrough is achieved by the firm, reducing its costs of production. Question
Question (B). How would each of the following actions be expected to affect shareholder wealth?
Situation 1. RJR Nabisco sells its Del Monte division for over Monte division for over $1 billion.
Situation 2. Ford Motor Company pays $2.5 billion for Jaguar.
Situation 3. General Motors offers large rebate to stimulate sales of its automobiles.
Situation 4. Rising interest rates cause the required returns of shareholders to increase.
Situation 5. Import restrictions are placed on the Japanese competitor laced on the Japanese competitors of Chrysler.
Situation 6. There is a sudden drop in the expected future rate of inflation.
Situation 7. A new, labour-saving machine is purchased by Wonder Bread and results in the layoff of 300 employees.

Answers

The issue of energy use in cryptocurrencies is important due to the significant energy consumption associated with cryptocurrency mining and transactions. This energy consumption has implications for the environment, economy, and financial markets. It contributes to carbon emissions and environmental concerns, influences the cost of cryptocurrency mining, and affects the stability and perception of the financial market.

Cryptocurrencies operate on decentralized networks that rely on complex mathematical algorithms and cryptographic processes to secure transactions. The process of validating these transactions, known as mining, requires powerful computers that consume a substantial amount of energy. The energy-intensive nature of mining has raised concerns about the environmental impact and sustainability of cryptocurrencies.

From an environmental perspective, the energy consumption associated with cryptocurrencies contributes to carbon emissions and energy waste. As the popularity and adoption of cryptocurrencies increase, so does the demand for mining operations, exacerbating the strain on energy resources and environmental sustainability. This heightened energy consumption raises questions about the compatibility of cryptocurrencies with global efforts to combat climate change and transition to renewable energy sources.

In terms of the economy, the energy requirements of cryptocurrencies have economic implications. The high energy consumption translates into significant costs for miners, including electricity expenses and hardware investments. This cost can impact the profitability of mining operations and influence the overall cost of producing and acquiring cryptocurrencies. Additionally, the concentration of mining activities in regions with cheaper energy sources can create disparities and influence economic activities in those areas.

The issue of energy use in cryptocurrencies also has implications for the financial market. Concerns about the environmental impact of cryptocurrencies may lead to regulatory actions and restrictions on their usage. Regulatory uncertainty can introduce volatility and affect investor confidence in the market. Moreover, the growing awareness of energy consumption and environmental sustainability may influence investor preferences and shift interest towards more sustainable investment options, potentially impacting the demand and value of cryptocurrencies.

The issue of energy use in cryptocurrencies is significant due to its environmental consequences, economic implications, and potential effects on the stability and perception of the financial market. Addressing these concerns and exploring more energy-efficient solutions in the cryptocurrency space are crucial steps towards a sustainable and responsible future for cryptocurrencies and their impact on the real world.

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a) Given a continuous income stream at the constant rate of $1,500 per year, what will be the present value if the income stream lasts for 6 years and the continuous discount rate is 0.08 per year?
b) What is the present value of a perpetual cash flow of $4,500 per year, discounted at r=5%?

Answers

The present value of the perpetual cash flow is $90,000.

To calculate the present value of a continuous income stream, we can use the formula for the present value of a continuous cash flow:

PV = C / r

Where PV is the present value, C is the continuous income stream, and r is the continuous discount rate.

In this case, the continuous income stream is $1,500 per year for 6 years, and the continuous discount rate is 0.08 per year. Plugging these values into the formula, we have:

PV = $1,500 / 0.08 = $18,750

Therefore, the present value of the continuous income stream is $18,750.

b) To calculate the present value of a perpetual cash flow, we can use the formula for the present value of a perpetuity:

PV = C / r

Where PV is the present value, C is the cash flow, and r is the discount rate.

In this case, the cash flow is $4,500 per year, and the discount rate is 5%. Plugging these values into the formula, we have:

PV = $4,500 / 0.05 = $90,000

Therefore, the present value of the perpetual cash flow is $90,000.

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Which of the following is not an advantage of decentralization? Multiple Choice It eliminates layers of decision making and approvals so that organizations can respond more quickly to customers and changing circumstances It enables lower-level managers to make their own decisions independent of one another, which should improve cross-departmental coordination It empowers lower level managers to make decisions, which can increase their motivation and job satisfaction It eliminates layers of decision making and approvals so that organizations can respond more quickly to customers and changing circumstances. It enables lower-level managers to make their own decisions independent of one another, which should improve cross-departmental coordination It empowers lower-level managers to make decisions, which can increase their motivation and job satisfaction. It delegates day-to-day problem solving to lower-level managers, thereby enabling top-level managers to concentrate on overall strategy

Answers

Option (e), Enabling lower-level managers to make their own decisions independent of one another, which should improve cross-departmental coordination is not an advantage of decentralization.

Decentralization refers to the distribution of power, authority, and responsibility among various levels of an organization. It’s the transfer of decision-making power from a central authority to individuals or groups at lower levels in an organization. It has several advantages, including the following:

It eliminates layers of decision-making and approvals so that organizations can respond more quickly to customers and changing circumstances.

Enabling lower-level managers to make their own decisions independent of one another, which should improve cross-departmental coordination.

It empowers lower-level managers to make decisions, which can increase their motivation and job satisfaction.

Delegates day-to-day problem-solving to lower-level managers, thereby enabling top-level managers to concentrate on overall strategy.

However, enabling lower-level managers to make their own decisions independent of one another, which should improve cross-departmental coordination is not an advantage of decentralization. This will only increase departmental rivalry, competition, and a lack of cooperation among the managers. Therefore, it’s not an advantage of decentralization.

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ABC ltd has a printing process comprising four separates but highly interdependent assets.The printing machinery has a combined carrying value of $1000000 made up as follow :

buliding $120000

equipment $250000,

land $320000

Fittings $310000

total cash generating unit $1000000

It was determined that the value in use of cash generating unit,which is calculated as its present value,amount to $820000.The current fair value less costs to sell the entire unit is $65000.

a. calculate and record the allocation of impairment loss against all assets.

b.preapre journal entries to record the impairment loss

Answers

a. Allocation of impairment loss against all assets is listed below Building = $0 Equipment = $0 Land = $0 Fittings = $180000 Total = $180000.The allocation of impairment loss against all assets is listed above.

b. Journal entries to record the impairment loss are listed below: Journal entries: Debit = Impairment loss account $180000 Credit = Building $0 Credit = Equipment $0 Credit = Land $0 Credit = Fittings $180000Explanation: The allocation of impairment loss against all assets is given below Building = $0Equipment = $0; Land = $0; Fittings = $180000; Total = $180000. The journal entries to record the impairment loss are given below: Debit = Impairment loss account $180000Credit = Building $0Credit = Equipment $0Credit = Land $0Credit = Fittings $180000

The balance sheet will show the revised carrying amount of $820000 of the cash-generating unit ($1000000 – $180000). The asset’s carrying amount will not be greater than its recoverable amount after the impairment loss has been recognized.

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Which of the following is associated with advanced stages of the wheel of retailing? Select one: a. lower levels of customer service O b. greater operating costs C. more members in the channel of distribution fewer members in the channel of distribution O d. O e. lower operating costs

Answers

Advanced stages of the wheel of retailing are associated with fewer members in the channel of distribution. The Correct option is D

The wheel of retailing theory suggests that retail formats start as low-cost, low-status operations and then progress through successive stages, becoming more sophisticated and upscale over time. As retailers move into advanced stages, they often streamline their operations and eliminate unnecessary intermediaries, resulting in fewer members in the distribution channel.

This consolidation allows retailers to reduce costs, increase efficiency, and exert greater control over their operations. However, it's important to note that as retailers advance, they may also invest in improving customer service, enhancing their product offerings, and providing a more upscale shopping experience. The Correct option is D

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On April 1, Julie Spengel established Spengel's Travel Agency. The following trans- actions were completed during the month.
1. Invested $15,000 cash to start the agency.
2. Paid $600 cash for April office rent.
3. Purchased equipment for $3,000 cash.
4. Incurred $700 of advertising costs in the Chicago Tribune, on account.
5. Paid $900 cash for office supplies.
6. Performed services worth $10,000: $3,000 cash is received from customers, and the balance of $7,000 is billed to customers on account.
7. Withdrew $600 cash for personal use.
8. Paid Chicago Tribune $500 of the amount due in transaction (4).
9. Paid employees' salaries $2,500.
10. Received $4,000 in cash from customers who have previously been billed in transac- tion (6).

Instructions
(a) Prepare a tabular analysis of the transactions using the following column headings: Cash, Accounts Receivable, Supplies, Equipment, Accounts Payable, Owner's Capital, Owner's Drawings, Revenues, and Expenses.
(b) From an analysis of the owner's equity columns, compute the net income or net loss for April.

Answers

From the analysis of the owner's equity columns, the net income or net loss for April can be computed by calculating the difference between the total revenues and total expenses. In this case:

[tex]Total Revenues = $10,000Total Expenses = $3,100 ($600 + $2,500)[/tex]

Net Income = Total Revenues - Total Expenses

       [tex]= $10,000 - $3,100           = $6,900[/tex]

Therefore, the net income for April is $6,900.

The tabular analysis shows the impact of each transaction on various accounts. Cash is increased (+) or decreased (-) based on cash inflows or outflows. Accounts Receivable reflects amounts owed by customers. Supplies and Equipment are adjusted for purchases or usage. Accounts Payable represents amounts owed to creditors. Owner's Capital shows the initial investment and Owner's Drawings record the withdrawals. Revenues are recorded for services performed, and Expenses account for costs incurred. By subtracting total expenses from total revenues, we can calculate the net income or net loss. In this case, the total revenues exceeded the total expenses, resulting in a net income of $6,900 for April.

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Question 2 If X = 100,0 = 8 and n = 64, construct a 95% confidence interval estimate for the population mean, u.

Answers

The 95% confidence interval estimate for the population mean, u is (98.04, 101.96).

Given:X = 100,σ = 8n = 64Confidence level is 95%

We know that the confidence interval is given by:

CI = ( X - zα/2(σ/√n), X + zα/2(σ/√n))

Whereα is the level of significanceσ the standard deviation is the sample sizezα/2 is the z-score associated with the level of significance α/2 and it can be obtained from the standard normal distribution table.

At a 95% confidence level, α/2 = 0.025The value of z0.025 = 1.96

Therefore, the 95% confidence interval estimate for the population means, u is given as:

CI = ( 100 - 1.96(8/√64), 100 + 1.96(8/√64))CI

= ( 100 - 1.96, 100 + 1.96)CI

= ( 98.04, 101.96)

Therefore, the 95% confidence interval estimate for the population mean, u is (98.04, 101.96).

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If 90% and 95% confidence intervals are developed to estimate the true cost of a gallon of milk, what difference would they have?
O The standard error value The sample mean value The value of point estimates
O The z-statistics value
O The sample standard deviation value

Answers

The difference between a 90% and 95% confidence interval lies in the level of confidence or the level of certainty associated with the estimate of the true cost of a gallon of milk.

The confidence interval represents a range of values within which the true population parameter, in this case, the cost of a gallon of milk, is likely to fall. A 90% confidence interval means that there is a 90% level of confidence that the true cost of a gallon of milk lies within the interval. Similarly, a 95% confidence interval indicates a 95% level of confidence in the estimate.

The difference between the two confidence intervals is the width of the interval. A 95% confidence interval will be wider than a 90% confidence interval. This is because the higher level of confidence requires a larger range of values to encompass the true population parameter with a higher degree of certainty. Therefore, the precision or the level of confidence in the estimate increases as the confidence interval becomes wider.

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(a) what is the probability that the size of a single droplet is less than 1365 µm? at least 950 µm? (round your answers to four decimal places.)

Answers

The size of water droplets in clouds is usually represented by the lognormal distribution. The size distribution in log space can be characterized by the mean and standard deviation, which is typically measured using remote sensing devices.

What is the probability that the size of a single droplet is less than 1365 µm?The formula for a lognormal distribution is given as:f(x) = 1/(xσ sqrt(2π)) * exp(-(ln(x)−µ)²/(2σ²))where μ is the mean of the natural logarithm of the distribution, and σ is its standard deviation.P( X < 1365) is the probability that the size of a single droplet is less than 1365 µm.In order to compute this probability, we have to compute the mean and the standard deviation of the distribution.

The mean, µ is given as:µ = ln(104) = 4.644For standard deviation, σ:σ = sqrt(ln(16)) = 1.19The formula will be substituted with values:f(x) = 1/(x1.19sqrt(2π)) * exp(-(ln(x)−4.644)²/(2*1.19²))The final step is to integrate the function from 0 to 1365. This can be done numerically using any software or a simple scientific calculator.

What is the probability that the size of a single droplet is at least 950 µm?P( X >= 950) is the probability that the size of a single droplet is at least 950 µm.The formula will be substituted with values:f(x) = 1/(x1.19sqrt(2π)) * exp(-(ln(x)−4.644)²/(2*1.19²))The final step is to integrate the function from 950 to infinity. This can be done numerically using any software or a simple scientific calculator.

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During tensile tests, the ratio of width shrinkage to length extension is O Elastic modulus O Poisson's ratio o Modulus of resilience o Fracture toughness

Answers

The ratio of width shrinkage to length extension during tensile tests is referred to as Poisson's ratio.

Poisson's ratio is a material property that describes the ratio of lateral strain (width shrinkage) to longitudinal strain (length extension) when a material is subjected to tensile or compressive forces. It is denoted by the Greek letter "ν" (nu).

Poisson's ratio is calculated as the negative ratio of transverse strain to longitudinal strain:

Poisson's ratio (ν) = - (lateral strain / longitudinal strain)

In the context of tensile tests, when a material is stretched in one direction, it typically contracts in the perpendicular direction. Poisson's ratio quantifies this relationship between changes in width and changes in length.

For most common materials, Poisson's ratio ranges between 0 and 0.5. A value of 0 indicates that the material does not change in width when subjected to length extension, while a value of 0.5 indicates that the material contracts in width to the same extent as it extends in length.

In summary, Poisson's ratio is the appropriate term to describe the ratio of width shrinkage to length extension during tensile tests.

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Assume the demand function in the market for shoes is shown with P = −2.5Qd + 4 and the supply in this market is shown with P = 1.5Qs + 4. Find the equilibrium price and quantity in this market. Show your calculations.

Answers

In economics, equilibrium price and quantity is a state of balance between the demand and supply of a product or service, where the quantity demanded equals the quantity supplied and the price is set accordingly. The formula for the equilibrium price and quantity is found by equating the demand and supply equations and solving for Q and P.

The equation of demand is P = −2.5Qd + 4 and the equation of supply is P = 1.5Qs + 4. Thus, for the equilibrium price and quantity,Qd = QsP = −2.5Qd + 4P = 1.5Qs + 4By substituting Qs with Qd we get,-2.5Qd + 4 = 1.5Qd + 4Solving for Qd,3.5Qd = 0Qd = 0Substituting the value of Qd in either equation of demand or supply, we can find the equilibrium price. Thus,P = −2.5Qd + 4= −2.5(0) + 4= 4Therefore, the equilibrium price in this market is 4. Since the value of Qd is zero, this indicates that at a price of 4, the quantity demanded and supplied are equal. Hence, the equilibrium quantity is zero The equilibrium price and quantity is determined by the interaction of the demand and supply curves of a product or service.

Equilibrium price is the price at which the quantity demanded and supplied are equal. Equilibrium quantity is the quantity of a product or service that is demanded and supplied at the equilibrium price. The demand and supply curves are essential tools for understanding the economics of the market. Demand curve shows the quantity of a product or service that is demanded at each price level. The supply curve shows the quantity of a product or service that is supplied at each price level. The intersection of the demand and supply curves represents the equilibrium price and quantity. In the given problem, the demand function in the market for shoes is shown with P = −2.5Qd + 4 and the supply in this market is shown with P = 1.5Qs + 4. To find the equilibrium price and quantity in this market, we need to equate the demand and supply functions and solve for Q and P. Let Qd and Qs be the quantity demanded and supplied at a given price level. Then, P = −2.5Qd + 4 …..(1)P = 1.5Qs + 4 …..(2)Equating (1) and (2), we get,−2.5Qd + 4 = 1.5Qs + 4Subtracting 4 from both sides,-2.5Qd = 1.5QsDividing both sides by 3.5, we get, Qd = (1.5/2.5)QsQd = 0.6QsSubstituting Qd in equation (1), we get, P = −2.5Qd + 4= −2.5(0.6Qs) + 4= −1.5Qs + 4Therefore, the equilibrium price is -1.5Qs + 4. To find the equilibrium quantity, we can substitute Qd in either equation (1) or (2) as,Qd = 0.6Qs−2.5Qd + 4 = −2.5(0.6Qs) + 4= -1.5Qs + 4Thus, the equilibrium price and quantity are P = -1.5Qs + 4 and Q = 0.6Qs, respectively. To find the numerical values of equilibrium price and quantity, we can substitute Q in equation (2) as,Qs = Q/0.6Qs = Qd = 0.6QsThus,P = -1.5Qs + 4= -1.5(0.6Qs) + 4= 3Therefore, the equilibrium price in this market is 3. At a price of 3, the quantity demanded and supplied in this market are equal, which is given by, Q = 0.6Qs = 0.6Qd= 0.6(2.4)= 1.44Therefore, the equilibrium quantity is 1.44. The equilibrium price and quantity is a fundamental concept in economics that describes the state of balance between the demand and supply of a product or service. In this state, the quantity demanded equals the quantity supplied and the price is set accordingly. The equilibrium price and quantity is determined by the intersection of the demand and supply curves.

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Does the NLRA decision unfairly limit Starbucks in the management of the stores?

Answers

The NLRA decision has limited Starbucks in managing its stores, but it is not unfair. Starbucks management, as well as the company's employees, have to follow certain rules and regulations that were implemented as a result of the NLRA decision.

These regulations and rules are intended to ensure that Starbucks employees are treated fairly and that the company complies with federal labor laws. For instance, the decision restricts Starbucks from making any unilateral changes to employee wages, working conditions, or other terms and conditions of employment without the approval of the National Labor Relations Board (NLRB). The decision also prohibits Starbucks from interfering with its employees' right to join or form a union or engage in any other concerted activity for mutual aid or protection. Furthermore, the decision requires Starbucks to negotiate with a certified union over any changes to employee terms and conditions of employment. These limitations have prevented Starbucks from imposing its own management policies on employees and have instead required it to engage in collective bargaining with employees and their representatives.

In conclusion, the NLRA decision has limited Starbucks' management of its stores, but it has done so to ensure that the company complies with federal labor laws and treats its employees fairly. The decision is not unfair as it has given Starbucks employees the right to participate in collective bargaining and has protected their right to engage in concerted activity for mutual aid or protection.

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Standardization of documents is the main focus of: O Accounting and Auditing Organization for Islamic Financial Institutions (AAOIFI) O Islamic Financial Services Board (IFSB) O International Islamic Financial Market (IFM) O International Islamic Rating Agency (IIRA)

Answers

The main focus of standardization of documents lies with the Accounting and Auditing Organization for Islamic Financial Institutions (AAOIFI).

The Accounting and Auditing Organization for Islamic Financial Institutions (AAOIFI) is an international organization that plays a significant role in setting standards for Islamic finance. One of its primary objectives is the standardization of documents used in Islamic financial transactions.

AAOIFI develops and issues accounting, auditing, and governance standards for Islamic financial institutions. These standards cover a wide range of areas, including financial reporting, investment, risk management, and Shariah compliance. By standardizing documents and practices, AAOIFI aims to enhance transparency, consistency, and comparability within the Islamic finance industry.

The organization's standards are widely recognized and followed by Islamic financial institutions globally. They provide guidance on the preparation of financial statements, the classification and valuation of assets and liabilities, and the treatment of specific Islamic financial instruments. Standardization facilitates better understanding, improves investor confidence, and promotes harmonization across different jurisdictions.

While other organizations such as the Islamic Financial Services Board (IFSB), International Islamic Financial Market (IIFM), and International Islamic Rating Agency (IIRA) also contribute to the development and regulation of Islamic finance, the main focus on standardization of documents lies with AAOIFI.

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You are reqired to explain your Critical understanding of everything around the cost of quality and how you can help program to reduce the cost of quality.

Answers

To reduce the cost of quality, it is crucial to address root causes, implement effective quality management systems, and focus on prevention rather than detection.

The cost of quality includes expenses related to ensuring that products or services meet customer requirements and expectations. This encompasses both the cost of preventing defects and the cost of dealing with defects that occur. By understanding the different components of the cost of quality, such as prevention costs, appraisal costs, internal failure costs, and external failure costs, an organization can identify areas for improvement.

To help reduce the cost of quality, it is crucial to focus on prevention. This involves identifying and addressing the root causes of quality issues, implementing robust quality management systems, and promoting a culture of quality throughout the organization. This includes investing in employee training and development, improving processes and systems, and implementing effective quality control measures.

By proactively addressing quality issues, organizations can reduce the occurrence of defects, minimize rework or repair costs, and enhance customer satisfaction. It is also important to continuously monitor and measure quality performance, identify areas for improvement, and implement corrective actions as necessary. This iterative process helps to drive continuous improvement and reduce the overall cost of quality.

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Language is the learned and shared part of your
culture but also an obstacle to communication. Why? How?

Answers

Language is the learned and shared part of your culture, but also an obstacle to communication.

Why? How? Language is considered as the most significant aspect of culture that helps individuals to communicate, convey their messages, and share their experiences.

However, language can also be an obstacle to communication due to various reasons such as differences in dialect, vocabulary, and grammar. Language can create a language barrier that can affect communication between two or more individuals.

People may find it hard to communicate effectively when they cannot understand each other's language. It can lead to misunderstandings, misinterpretations, and confusion, making it challenging to exchange ideas or express thoughts.

The following are the possible ways in which language can be an obstacle to communication:

1. Vocabulary Vocabulary refers to the words that people use to communicate. Different cultures have different vocabularies, and there may be words that are common in one culture but are unfamiliar in another.

2. Grammar Grammar rules vary from one language to another. The rules that apply in one language may not apply in another, which can lead to confusion and misinterpretation.

3. Dialects Dialects refer to the regional variations of a language. People from different regions may have different dialects, which can make it difficult for them to communicate effectively.

In conclusion, language is the learned and shared part of your culture, but also an obstacle to communication due to its differences in dialect, vocabulary, and grammar.

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In a block in a blockchain, what represents a block's unique identifier like a fingerprint? O previous hash O data O proof-of-stake O hash

Answers

In a blockchain, a block's unique identifier, similar to a fingerprint, is represented by its hash value.

The hash serves as a digital fingerprint or unique identifier for the block within the blockchain network.

A hash is a cryptographic function that takes an input (in this case, the data within the block) and produces a fixed-size output, which is a string of characters. This output is unique to the specific input data, meaning that even a small change in the input will result in a significantly different hash value.

In the context of a blockchain, each block contains a hash of its own data and the hash of the previous block in the chain. This creates a chain of blocks where each block is linked to its preceding block through the previous hash value. This linking mechanism ensures the integrity and immutability of the blockchain, as any change in a block's data would alter its hash, subsequently affecting the hashes of all subsequent blocks.

Therefore, the hash of a block represents its unique identifier, providing a way to validate and secure the data within the blockchain network.

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Monica wants to sell her share of an investment to Barney for $190,000 in 7 years. If money is worth 6% compounded semiannually, what would Monica accept today? Multiple Choice O $ 124,856 $ 125,613. $6.786. $124.359

Answers

Monica would accept $124,856 today. If money is worth 6% compounded semiannually, then the present value of $190,000 in 7 years is $124,856. This is calculated using the following formula:

Present Value = [tex]\frac{Future value}{(1+\frac{r}{n} )^n^t}[/tex]

where:

Present Value is the value of the investment today

Future Value is the value of the investment in 7 years

r is the interest rate

n is the number of times interest is compounded per year

t is the number of years

In this case, we have:

Present Value = $124,856

Future Value = $190,000

r = 6% = 0.06

n = 2 (semiannual compounding)

t = 7 years

Substituting these values into the formula, we get:

Present Value = [tex]\frac{190000}{(1+\frac{0.06}{2} )^1^4}[/tex]

= $124,856

Therefore, Monica would accept $124,856 today.

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At the beginning of current year, CFAS Company was organized and authorized to issue 100,000 shares with P50 par value. During the current year, the entity 1 had the following: transactions relating to shareholders equity: • Issued 10,000 shares.at P70 per share. · Issued 20,000 shares at P80 per share. • Reported net income of P 1,000,000. • Paid dividends of P200,000. • Purchased 3,000 treasury shares at P100 per share. 1. What amount should be reported as share capital at year - end? (Select] < 2. What amount should be reported as share premium at year - end? [Select] 3. What is the total shareholders' equity at year-end? (Select] 4. What is the contributed capital at year-end? (Select]

Answers

1. The amount that should be reported as share capital at year-end is P7,000,000.

2. The amount that should be reported as share premium at year-end is P1,400,000.

3. The total shareholders' equity at year-end is P8,200,000.

4. The contributed capital at year-end is P3,500,000.The computation of share capital, share premium, contributed capital and total shareholders' equity is as follows:

Issued shares at the beginning of the year: 100,000 shares x P50 = P5,000,000 Issued shares during the year: 10,000 shares x P70 = P700,00020,000 shares x P80 = P1,600,000 Total amount received for the issuance of shares = P2,300,000 Share capital at year-end = Issued shares at the beginning of the year + Issued shares during the year Share capital at year-end = P5,000,000 + P2,300,000 = P7,300,000 The amount paid in excess of par value is called share premium.

Share premium at year-end = Total amount received for the issuance of shares – Par value of issued shares Share premium at year-end = P2,300,000 – (P50 x 30,000 shares) = P1,400,000Total shareholders' equity at year-end is computed by adding the share capital, share premium and retained earnings: Total shareholders' equity at year-end = Share capital + Share premium + Retained earnings Total shareholders' equity at year-end = P7,300,000 + P1,400,000 + P500,000 = P8,200,000 Contributed capital is the sum of share capital and share premium. Contributed capital at year-end = Share capital + Share premium Contributed capital at year-end = P7,300,000 + P1,400,000 = P8,700,000 However, since the entity purchased 3,000 treasury shares at P100 per share, the total contributed capital at year-end will be reduced by the purchase price of the treasury shares: Total contributed capital at year-end = Contributed capital – Treasury shares Contributed capital at year-end = P8,700,000 – (3,000 shares x P100) = P3,500,000.

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5) Given the following information, please provide the estimated value of the following stocks using the P/E Valuation Model Firm EPS Boeing $8.35 Consolidated Edison $4.62 Walmart $9.75 Amazon $10.32 Industry Aerospace / Defense Railroads Retail (general) Retail (online) Utility (general) Industry P/E Raties 35.7 20.3 44.2 60.3 18.3 25.7 Paper/Forest Products
Previous question

Answers

The industry P/E ratio gives us two values through its formula:

Value/EPS:

1) value of the stock of Boeing(aerospace)

=35.7×8.35

=$298.095

2) consolidated edison(utility)

=18.3×4.62

=$84.546

3) Walmart (retail general)

=44.2×9.75

=$430.95

4) A( retail online)

=60.3×10.32

=$622.296

Thus, the value of A's stock is the highest.

The analytical process of estimating the worth of a company or an asset is known as valuation. There are several methods for performing an evaluation. In addition to other factors, an analyst putting a value on a firm considers the management of the company, the make-up of its capital structure, the likelihood of future profits, and the market worth of its assets.

Although there are alternative methodologies that may be used, such as the capital asset pricing model (CAPM) or the dividend discount model (DDM), fundamental analysis is frequently used in valuation.

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