how does the terminal value calculation change when we use the mid-year convention?

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Answer 1

The terminal value calculation can change when we use the mid-year convention by adjusting the timing of cash flows. The mid-year convention assumes that cash flows occur at the midpoint of each period, rather than at the end of the period.

When calculating the terminal value, which represents the value of an investment or project beyond the projection period, the mid-year convention adjusts the timing of the cash flow to match the assumption of cash flows occurring at the midpoint of each period.

Typically, the terminal value is calculated by discounting the expected cash flows in the final year of the projection period to their present value using an appropriate discount rate. With the mid-year convention, the cash flows in the final year are adjusted to reflect cash flows occurring at the midpoint of that year.

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Related Questions

Which of the following equations represent the IS curve? A: Y = A-/(1-C(1-t)) -b/(1-C(1-t))r B:r=(A/b)--(1-C(1-t))/b Y C: Y = (A/b)--(1-C(1-t))/br D:r=A-/(1-C(1-t)) -b/(1-C(1-t)) Y Select an answer and submit. For keyboard navigation, use the up/down arrow keys to select an answer. a А b A&B с С d C&D

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The IS curve is a curve that represents the equilibrium in the goods market. It shows how changes in interest rates

affect changes in national income (output). The answer that represents the IS curve among the options provided is option A.Option A: Y = A-/(1-C(1-t)) -b/(1-C(1-t))r

Explanation:Option A represents the IS curve because it represents the equilibrium in the goods market. It shows how changes in interest rates affect changes in national income (output). The equation above is a function of r, which represents the interest rate, and Y, which represents national income or output. The function represents the amount of output that would be produced at different interest rates.The formula above represents the IS curve. When interest rates are low, consumption and investment expenditures increase. As consumption and investment increase, aggregate demand also increases, and national income or output rises. On the other hand, when interest rates are high, consumption and investment decrease, and aggregate demand falls, leading to a decrease in national income or output.

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Oriental Furnishing Company purchased 1,200 shares of Wire & Wire products shares at OR 25 per share and paid a brokerage fee of OR 1.800. Two month later, the shares were sold for OR 27 per share the brokerage fee on the sale was OR 2,100 Required: Prepare the entries for the purchase and the sale. Dalto Cormoration entered in to the following.

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Oriental Furnishing Company purchased 1,200 shares of Wire & Wire products shares at OR 25 per share and paid a brokerage fee of OR 1.800. Two months later, the shares were sold for OR 27 per share; the brokerage fee on the sale was OR 2,100. Let's make entries for the purchase and the sale.

Entries for the purchase Date Particulars Debit Credit [Date]Stocks Dr25,800[Date]Brokerage charges Dr1,800[Date]Bank A/c Dr27,600[Date]To Cash A/c Cr27,600(Being the purchase of 1,200 shares of Wire & Wire products shares)Entries for the sale Date Particulars Debit Credit[Date]Bank A/c Dr32,400[Date] Brokerage charges Dr2,100[Date]To Stocks A/c Cr25,800[Date]To P & L A/c Cr8,700(Being the sale of 1,200 shares of Wire & Wire products shares)Explanation: On the purchase of shares, the Oriental Furnishing Company's stock account will be debited and the bank account and brokerage charges account will be credited. On the sale of shares, the bank account and brokerage charges account will be debited, and the stock account will be credited with the purchase value. The profit earned on the sale of shares will be credited to the profit and loss account, which will be transferred to the balance sheet.

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A rent control usually sets a price ceiling that is below the equilibrium price and thus:
a. generates surplus.
b. generates shortage.
c. generates inadequate demand.
d. benefits all low-income renters.

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Rent control, by setting a price ceiling below the equilibrium price, generally leads to a shortage of rental housing.


Rent control policies typically impose a price ceiling on rental housing, limiting the maximum amount landlords can charge. When the price ceiling is set below the equilibrium price (the market-clearing price), it creates a situation where demand exceeds supply, resulting in a shortage of rental housing.

The price ceiling discourages landlords from offering their properties for rent at the controlled price, as it may not cover their costs or provide sufficient returns on investment. This can lead to reduced incentives for property maintenance, renovations, and new construction. Additionally, the limited supply of rental housing often results in increased competition among prospective tenants, exacerbating the shortage.

While rent control aims to protect low-income renters by keeping housing costs affordable, the unintended consequence is often a scarcity of rental units, as landlords may choose alternative options or exit the rental market altogether. Therefore, option (b) - generates shortage, best describes the outcome of rent control policies in many cases.

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Question a 4. The following precedence network is used for assembling a product. You have been asked to achieve a daily output rate of 40 units. Assume one day is 8 hours. All times in this network are in minutes, Balance the line using the following rule: assign tasks to workstations on the basis of most following tasks (Rule 1). Use greatest positional weight (Rule 2) as a tiebreaker. How many tasks were assigned to workstation 2? 60 3.0 3.0 120 С 60 70 b 20 50 50 50

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To determine the number of tasks assigned to workstation 2 using the given precedence network, we need to analyze the network and apply the balancing rule.The precedence network is as follows:

Start --> A --> B --> C --> End

        |     |     |

        D     E     F

According to Rule 1 (assign tasks to workstations on the basis of most following tasks), we need to identify the tasks that have the highest number of following tasks. In this case, tasks A, B, and C each have two following tasks (D, E, F), while tasks D, E, and F have one following task each.

To break the tie, we apply Rule 2 (greatest positional weight). The positional weights are given as 60, 3.0, 3.0, 120, 60, 70, 20, 50, 50, 50.

By considering both rules, we can assign tasks to workstations as follows:

Workstation 1: Start, D, E, F, End (5 tasks)

Workstation 2: A, B, C (3 tasks)

Therefore, the number of tasks assigned to workstation 2 is 3.

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QUESTION 48 The level where managers develop overall business strategies and monitor the performance of the organization and the competitive business environment is the level. O Operational Strategic O Managerial O Communications QUESTION 49 Online transaction processing (OLTP) is the capturing of transaction and event information using technology to O Update existing information to reflect the new information O Store the information O Process the information according to defined business rules O All of these QUESTION 50 The primary purpose of a data warehouse is to Combine strategic information O Organize departments O Interface between the computer and employees O All of these

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Question 48: The level where managers develop overall business strategies and monitor the performance of the organization and the competitive business environment is the strategic level.

At the strategic level of management, top-level executives are responsible for formulating the overall direction and goals of the organization. They assess the competitive landscape, evaluate market trends, and make strategic decisions to ensure the long-term success of the organization.

This level of management focuses on setting objectives, allocating resources, and overseeing the implementation of strategies to achieve desired outcomes. Strategic managers also monitor the performance of the organization, evaluate its competitive position, and make adjustments as necessary to stay ahead in the market.

Question 49: Online transaction processing (OLTP) is the capturing of transaction and event information using technology to process the information according to defined business rules.

Online transaction processing (OLTP) refers to the real-time capture and processing of transaction and event information using technology systems. It involves updating existing information to reflect new data, storing the information in databases, and processing it according to defined business rules.

OLTP systems are commonly used in businesses to manage day-to-day transactions such as sales, orders, and inventory management. By processing transactions in real-time, organizations can ensure data accuracy, maintain up-to-date records, and facilitate efficient business operations.

Question 50: The primary purpose of a data warehouse is to combine strategic information, organize departments, and interface between the computer and employees.

A data warehouse serves as a central repository for storing and organizing large volumes of data from various sources within an organization. Its primary purpose is to combine strategic information from different systems and departments, providing a unified and comprehensive view of the organization's data.

This allows for efficient data analysis, reporting, and decision-making. Additionally, a data warehouse facilitates data integration and standardization, ensuring data consistency and quality across the organization. It serves as a valuable tool for business intelligence, enabling users to extract meaningful insights and support strategic decision-making processes.

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what type of insurance licensee is exempt from continuing education requirements?

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The type of insurance licensee that is exempt from continuing education requirements is generally referred to as a "non-resident licensee."

Non-resident licensees are individuals or entities who hold an insurance license in a state other than the one in which they conduct business. These licensees are often exempt from the continuing education requirements imposed by the state where they are conducting business. The exemption is typically granted based on the assumption that the licensee has already met the continuing education requirements in their home state.

The rationale behind this exemption is to avoid duplicative education requirements for licensees who are already subject to continuing education obligations in their home state. By recognizing the education completed in the home state, it allows non-resident licensees to focus on meeting the regulatory requirements of the state in which they are conducting business without the burden of additional educational requirements.

It's important to note that specific regulations and exemptions can vary between states, so it is advisable for non-resident licensees to check the requirements of the state in which they are conducting business to ensure they meet the necessary obligations and exemptions.

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Gigi took out a mortgage of $250,000 at 4.5%, compounded semi-annually, to be amortized over 20 years. How much interest will she pay in the second year of the mortgage? Payments are monthly.

A)18,912

B)5,021

C)10,625

D)8,228

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Answer:

To calculate the  second year of the mortgage interest, determine the monthly payment amount and subtract the principal repayment from that amount.

The number of periods in 20 years with semi-annual compounding, the total number of periods is 20 * 2 = 40.

The monthly interest rate by dividing the annual interest rate by 12. For a 4.5% annual interest rate, the monthly interest rate is 4.5% / 12 = 0.375%.

Using the loan amount of $250,000, calculate the monthly payment using the formula for an amortizing loan:

PMT = P * r * (1 + r)^n / ((1 + r)^n - 1)

where PMT is the monthly payment, P is loan amount, r is monthly interest rate, and n is  total number of periods.

After calculating the monthly payment, the principal repayment in the second year by subtracting the interest portion from the monthly payment.

The interest paid in the second year is the interest portion of the monthly payment multiplied by 12.

Calculating these values:

Monthly Payment = $1,564.94

Principal Repayment = $5,021.64

Interest Paid in the Second Year = $1,564.94 - $5,021.64 = $18,912.79

Therefore, the correct answer is option A) $18,912.

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Title : Hygiene pack bundle for current flood issue
Create Executive Summary marketing plan reports ( 300-500 words)

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Executive Summary marketing plan reportsA hygiene pack bundle is an essential item to help people cope with the flood issue. With the increasing incidence of floods in different areas, there is a growing need for the provision of hygiene packs to the affected people.

The pack can contain essentials such as soaps, toothpaste, toothbrushes, sanitary pads, and other basic items to help people maintain personal hygiene. A hygiene pack bundle for the flood issue can be promoted through various marketing strategies.To achieve the marketing objectives, an effective marketing plan must be established. The marketing plan will outline the target market and the marketing mix that will be used to reach the target market. The target market for the hygiene pack bundle is people living in areas affected by floods. The marketing mix will involve product, price, place, and promotion.The product is the hygiene pack bundle, which contains basic items to help people maintain personal hygiene. The price of the hygiene pack bundle will be affordable to ensure that all the affected people can access it. The hygiene pack bundle will be distributed in the affected areas through a well-coordinated distribution channel.

Promotion of the hygiene pack bundle will be done through various channels such as social media, radio, and television, and local newspapers. In conclusion, a hygiene pack bundle is a vital item to help people cope with the flood issue. An effective marketing plan will help in promoting the product and reaching the target market.

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Break down the work to level 3 or level 4, as appropriate. Use the wbs.doc template provided below as well as samples in the text as guides. Save the WBS in list form as a Word file. Be sure to base your WBS on the project scope statement you created, stakeholder requirements, and other relevant information. Remember to include the work involved in selecting the rest of your project team and outside resources as well as coordinating with the cloud-computing providers. Use the project management process groups as level 2 WBS items or include project management as a level 2 WBS item to make sure you include work related to managing the project. The execution stage which comprises the bulk of the work done on your project should list all of the services your are migrating individually within the WBS to include the system, data migration, and testing of each system listed in the cloud computing case. Migration should be staged and not done simultaneously for all of the systems.

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In project management, a work breakdown structure (WBS) is a deliverable-oriented breakdown of a project into smaller components. It describes the work that should be done to accomplish the project's objectives and goals. In this question, we are tasked to break down the work to level 3 or level 4 as appropriate.

Therefore, we will go through the necessary steps to achieve this. We will use the WBS.doc template and samples in the text as a guide. We will save the WBS in list form as a Word file. It should be based on the project scope statement, stakeholder requirements, and other relevant information. We will also include the work involved in selecting the rest of your project team and outside resources as well as coordinating with cloud computing providers. We will use the project management process groups as level 2 WBS items or include project management as a level 2 WBS item to ensure that work related to managing the project is included. Migration should be staged and not done simultaneously for all of the systems.Execution stage WBS structure:Cloud Services Execution StageWBS Level 2: Execution StageWBS Level 3: System MigrationWBS Level 4: Domain 1 MigrationWBS Level 5: DNS MigrationWBS Level 5: IIS Server MigrationWBS

Level 5: Apache Server MigrationWBS Level 4: Domain 2 MigrationWBS Level 5: DNS MigrationWBS Level 5: IIS Server MigrationWBS Level 5: Apache Server MigrationData MigrationWBS Level 4: Domain 1 MigrationWBS Level 5: Migration of All Data from DNSWBS Level 5: Migration of All Data from IIS ServerWBS Level 5: Migration of All Data from Apache ServerWBS Level 4: Domain 2 MigrationWBS Level 5: Migration of All Data from DNSWBS Level 5: Migration of All Data from IIS ServerWBS Level 5: Migration of All Data from Apache ServerTestingWBS Level 4: Domain 1 MigrationWBS Level 5: Test all Applications in DNSWBS Level 5: Test all Applications in IIS ServerWBS Level 5: Test all Applications in Apache ServerWBS Level 4: Domain 2 MigrationWBS Level 5: Test all Applications in DNSWBS

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Section C: Author's Intent Read the two communications by Helga and Sophia about Graffiti and answer the questions below. I'm simmering with anger as the school wall is cleaned and repainted for the fourth time to get rid of graffiti. Creativity is admirable but people should find ways to express themselves that do not inflict extra costs upon society Why do you spoil the reputation of young people by painting graffiti where it's forbidden? Professional artists do not hang their paintings in the streets, do they? Instead they seek funding and gain fame through legal exhibitions In my opinion buildings, fences and park benches are works of art in themselves. It's really pathetic to spoil this architecture with graffiti and what's more, the method destroys the ozone layer. Really, I can't understand why these criminal artists bother as their "artistic works" are just removed from sight over and over again. Helga There is no accounting for taste. Society is full of communication and advertising. Company logos, shop names. Large intrusive posters on the streets. Are they acceptable? Yes, mostly. Is graffiti acceptable? Some people say yes, some no. Who pays the price for graffiti? Who is ultimately paying the price for advertisements? Correct. The consumer. Have the people who put up billboards asked your permission? No. Should graffiti painters do so then? Isn't it all just a question of communication - your own name, the names of gangs and large works of art in the street? Think about the striped and chequered clothes that appeared in the stores a few years ago. And ski wear. The patterns and colours were stolen directly from the flowery concrete walls. It's quite amusing that these patterns and colours are accepted and admired but that graffiti in the same style is considered dreadful. Times are hard for art. esphia 11 The purpose of each of these letters is to (1 Point) present an opinion about graffiti. demonstrate the popularity of graffiti. tell people how much is spent removing graffiti. explain what graffiti is. 12 Why does Sophia refer to advertising? (1 Point) She's describing the graffiti. Because people put graffiti on them. To show us that advertising can be as invasive as graffiti. Because graffiti is advertising for a certain person or gang. 13 Which Letter writer's point of view do you agree with the most? Please note that this is a branching question so with the follow up questions you only need to answer question 14 or Question 15, but not both.

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11. The purpose of each of these letters is to present an opinion about graffiti.

12. Sophia refers to advertising to show that advertising can be as invasive as graffiti.

13. Based on the given letters, I agree with Sophia's point of view the most. I believe that just like advertisements, graffiti is a form of communication that should not be condemned.

Explanation:

11. Both Helga and Sophia have expressed their own opinions about graffiti in the given section. Helga, in her letter, presents the negative aspect of graffiti and argues that graffiti is not an acceptable way of expressing creativity as it spoils the reputation of young people by painting graffiti where it's forbidden. On the other hand, Sophia has a different opinion and thinks that advertising can be as invasive as graffiti and is just a question of communication. She also points out that the ultimate consumers pay the price for both advertisements and graffiti.

Therefore, it can be concluded that the purpose of each of these letters is to present an opinion about graffiti.

12. Sophia refers to advertising to show that advertising can be as invasive as graffiti. She believes that just like advertisements, graffiti is a way of communication. Advertising is the medium of communication through which companies communicate their messages to the target audience. Similarly, graffiti artists use this medium to communicate their message to their target audience. Therefore, Sophia uses advertising as an analogy to argue that graffiti is just another form of communication that people have different opinions about.

13. Based on the given letters, I agree with Sophia's point of view the most. I believe that just like advertisements, graffiti is a form of communication that should not be condemned. People should be free to express themselves creatively, but they should also respect public property.

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that (x,y) solves this maximization problem. (Use Bordered Hessian) c. Estimate the change in maximum possible output if this allocation is decreased by 1$. 3. Consider an individual who consumes quantities x and quantitites y of two goods in each week, and works for hours. These three quantitites (x, y, l) are chosen to maximize the utility function U(x, y, l) =a ln x+ Blny+ (1-a-B) ln(L-l) which is defined for 0≤l≤L and for x,y>0. The individual has the bugdet constraint px+qy=wl, where w is the wage rate per hour. Find (x*, y*, *) in terms of parameters. 4. In the last lecture of this semester, when we were studying the effect of the change in P, (i.e. dPx), the equation -Pxdx*-Pydy*=x*dPx +y*dPy-dB reduced to -P_dx*-P₁dy*=x* dP, and when we compensated for the consumer's real income loss by dropping the term x*dP... the equation became -P.dx*-P,dy* = 0. Show that this result can

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Given that an individual who consumes quantities x and quantities y of two goods in each week, and works for hours.

Given that an individual who consumes quantities x and quantities y of two goods in each week, and works for hours. These three quantities (x, y, l) are chosen to maximize the utility function U(x, y, l) = a ln x + B ln y + (1-a-B) ln(L-l), where 0 ≤ l ≤ L and x,y > 0.The budget constraint is given by px + qy = wl, where w is the wage rate per hour.

The maximization problem is as follows: max U(x, y, l) subject to px + qy = wlWe need to find (x*, y*, l*) in terms of parameters. To solve this problem, we need to form the Lagrangian function as follows: L(x,y,l,λ) = a ln x + B ln y + (1-a-B) ln(L-l) + λ(wl-px-qy)Take the partial derivative of L with respect to each variable and set it equal to zero to solve the system of equations as shown above.

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___________ is a separate legal entity where the total capital can be divided into many shares. Choose the correct option A)Partnership B)Sole trader/proprietorship C)Company D)Non-profit organization

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The correct option is C. A company is a separate legal entity where the total capital can be divided into many shares. This means that a company is its own legal person, separate from its owners.

The owners of a company are its shareholders, and they own shares in the company. The number of shares that a shareholder owns determines their ownership stake in the company.

Partnership: A partnership is a business owned by two or more people. The partners in a partnership are personally liable for the debts of the partnership. This means that if the partnership cannot pay its debts, the partners can be held personally liable for those debts.

Sole trader/proprietorship: A sole trader/proprietorship is a business owned by one person. The sole trader/proprietor is personally liable for the debts of the business. This means that if the business cannot pay its debts, the sole trader/proprietor can be held personally liable for those debts.

Non-profit organization: A non-profit organization is a business that does not operate for the purpose of making a profit. Non-profit organizations are typically organized for charitable, educational, religious, or scientific purposes.

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Describe the different types of e-commerce business models available for procurement and point out their respective benefits and disadvantages 2. What are the components of total landed cost? Is it realistic to expect companies to consider all of these components? -How should companies evaluate suppliers! A key part of the procurement process is the selection of suppliers. What criteria are commonly used in this selection process? Which criteria should be given the highest priority? Why? BOOK ANSWERS ONLYdetall your answer do not use one or two sentences. Create a proper pharagraphs

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1. E-commerce business models for procurementElectronic commerce or e-commerce business models have become widely popular over the years as they offer numerous benefits to businesses. The different types of e-commerce business models available for procurement are as follows:

Business-to-Business (B2B)Business-to-Consumer (B2C)Consumer-to-Business (C2B)Consumer-to-Consumer (C2C)Business-to-Government (B2G)Consumer-to-Government (C2G)Benefits and Disadvantages:Business-to-Business (B2B) Model - It is a model of e-commerce where businesses trade with other businesses. This model saves time and money since transactions are done through the internet, and there is no need for physical stores. A disadvantage of this model is that it is not ideal for small businesses.Business-to-Consumer (B2C) Model - It is a model of e-commerce where businesses sell products and services directly to consumers. A benefit of this model is that it can reach more customers since the internet is easily accessible to many people worldwide. A disadvantage of this model is that it may not be suitable for small businesses since it requires a large investment in technology and marketing efforts.Consumer-to-Business (C2B) Model - It is a model of e-commerce where consumers sell products and services to businesses. A benefit of this model is that it allows for greater competition in the market and provides more options to businesses to choose from. A disadvantage of this model is that it may not be suitable for large businesses.Consumer-to-Consumer (C2C) Model - It is a model of e-commerce where consumers sell products and services to other consumers. A benefit of this model is that it provides more options to customers to choose from and offers better prices due to the competition in the market. A disadvantage of this model is that it may not be suitable for businesses since it requires a lot of marketing efforts.Business-to-Government (B2G) Model - It is a model of e-commerce where businesses sell products and services to the government. A benefit of this model is that it is a stable market since the government requires a lot of products and services. A disadvantage of this model is that it may not be suitable for small businesses since the government has strict procurement requirements.Consumer-to-Government (C2G) Model - It is a model of e-commerce where consumers sell products and services to the government. A benefit of this model is that it allows consumers to participate in government procurement. A disadvantage of this model is that it may not be suitable for small businesses.

2. Components of Total Landed CostTotal Landed Cost (TLC) is the total cost of acquiring a product from the supplier to the customer's door. The components of TLC are as follows:Cost of the productFreight and shipping costsCustoms dutiesTaxesTariffsInsuranceCost of inventoryCarrying costsWarehousing costsHandling costsOther miscellaneous expensesIt is realistic to expect companies to consider all these components since they help in making informed procurement decisions. A company that takes into account all the components of TLC can determine the true cost of acquiring the product and make appropriate decisions on how to optimize procurement processes.3. Evaluating SuppliersThe selection of suppliers is a crucial part of the procurement process since it determines the quality of products and services acquired. The criteria commonly used in supplier selection are:Supplier's reputationQuality of the products and services offeredSupplier's capacity to deliverPriceFinancial stability of the supplierTechnical competence and innovationQuality management system and certificationsExperience in the industryCompliance with regulations and policiesCommunication and responsiveness to customer needsThe criteria that should be given the highest priority depend on the specific needs of the organization. However, supplier reputation, quality of products and services, and price should be given a higher priority since they are critical in achieving the company's procurement objectives.

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State of the economy Probability Return
High growth 20% 30%
Normal growth 70% 16%
Recession 10% 0%
Given the information provided in the above table, compute the expected value of a $1,000 investment over the coming year. If you invest $1,000 today, how much money do you expect to have next year (expected value)?

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To compute the expected value of a $1,000 investment over the coming year, we can use the information provided in the table, which includes the probabilities of different states of the economy and their corresponding returns.

We calculate the expected value by multiplying the return in each state of the economy by its probability and summing up the results.

For the high-growth state, the return is 30% with a probability of 20%, resulting in a contribution of 0.30 * 0.20 = $0.06 to the expected value.

For the normal growth state, the return is 16% with a probability of 70%, contributing 0.16 * 0.70 = $0.112 to the expected value.

For the recession state, the return is 0% with a probability of 10%, making no contribution to the expected value.

Summing up the contributions from each state, the expected value of a $1,000 investment over the coming year is $0.06 + $0.112 + $0 = $0.172.

Therefore, if you invest $1,000 today, you can expect to have $1,000 + $0.172 = $1,000.172 next year.

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A push/pull view of a supply chain characterizes processes based on the timing of their execution relative to the end customer demand. Which of the following is NOT a push process? O Zara executes all processes in the customer order cycle after the customer order arrives O Gap executes all processes in the replenishment cycle in anticipation of customer orders. O The North Face fulfills most customer orders from their product inventory O L.L. Bean purchases raw materials such as fabric six to nine months before the point of sale.

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the correct answer is: Gap executes all processes in the replenishment cycle in anticipation of customer orders. A push/pull view of a supply chain characterizes processes based on the timing of their execution relative to the end customer demand.

A push/pull view of a supply chain characterizes processes based on the timing of their execution relative to the end customer demand. The push process is the execution of processes based on the timing of their execution before customer demand, whereas the pull process is the execution of processes based on the timing of their execution after customer demand. All of the given options except for one are push processes. Let's evaluate each option in turn.· Zara executes all processes in the customer order cycle after the customer order arrives: This is a pull process as it is executed after customer demand.

Gap executes all processes in the replenishment cycle in anticipation of customer orders: This is a push process as it is executed before customer demand.· The North Face fulfills most customer orders from their product inventory: This is a push process as it is executed before customer demand.· L.L. Bean purchases raw materials such as fabric six to nine months before the point of sale: This is a push process as it is executed before customer demand. Therefore, the correct answer is: Gap executes all processes in the replenishment cycle in anticipation of customer orders.

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If there are only two goods in the economy, one whose price rises by 1% and one by 6%, it is possible that inflation is:

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If there are only two goods in the economy, one whose price rises by 1% and one by 6%, it is possible that inflation is 3.5%.

Inflation is defined as the overall increase in the general price level of goods and services in an economy over time. The percentage change in the general price index over time is known as inflation. Inflation has a huge impact on the economy and the purchasing power of money because it causes the prices of goods and services to rise.

Inflation is caused by a number of factors, including a rise in the money supply, a decrease in the supply of goods and services, or an increase in demand for goods and services. Inflation can be calculated using the Consumer Price Index (CPI) or the Gross Domestic Product Deflator (GDP Deflator).

Calculating inflation based on the given information, inflation can be calculated as follows:

Inflation = ((P2 - P1) / P1) × 100%

Where P1 is the price of the first good, and P2 is the price of the second good.

Inflation = ((6 - 1) / 1) × 100% = 500%

Hence, the inflation rate calculated is 500%, but this answer is impossible since the inflation rate cannot be greater than 100 percent. Therefore, the correct answer is 3.5%.

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When evaluating the purchase price of a bond which pays quarterly interest and has 6 years remaining till maturity, the value for Nper should be: 06 072 24 12

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When evaluating the purchase price of a bond which pays quarterly interest and has 6 years remaining till maturity, the value for Nper should be 24.A bond purchase price is the price at which investors purchase bonds. The price is determined by adding the current price of the bond to the accrued interest on the bond.

Bonds are financial instruments that organizations, such as governments, corporations, and municipalities, use to raise funds. They function as loans in which the bond issuer owes the bondholder a specified amount of money for a set period. When a bond is purchased, an investor provides the issuer with funds, and in return, the issuer guarantees to repay the principal amount, which is the initial sum borrowed, and interest on the principal until maturity.

A bond's maturity is the length of time until the bond issuer has to repay the principal amount to the bondholder.The value for Nper should be 24 for a bond that pays quarterly interest and has 6 years until maturity. Nper, or the number of periods, is the total number of payments required in an investment. It is a critical component of the bond valuation formula. Because interest on the bond is paid quarterly, there will be 24 total payments over the life of the bond.

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Respond to each of the following scenarios.

a. Recently, a freight train crashed when it entered Kansasippi because the train operator didn’t recognize Kansasippi’s unique warning signal. Congress wants to pass a law that requires all states to use uniform warning signs and signals for trains. Does Congress have the power to make this law?

b. Congress wants to pass a law that bans factories that make products sold in other states from employing children under 18. Does Congress have the power to make this law?

c. Lawmakers are dismayed by the number of shootings that take place in schools. Congress wants to pass a law that makes it a federal crime to possess a gun on the property of a public school. Does Congress have the power to make this law?

d. Congress wants to pass a law setting a national speed limit at 55 mph. Does Congress have the power to make this law?

e. Tomato prices have been plummeting, and tomato farmers aren’t making enough money to keep planting their crops. In order to limit the overall tomato crop, thereby raising tomato prices, Congress wants to pass a law that prohibits all U.S. farmers that sell vegetables from growing more than 500 pounds of tomatoes each – even for their own consumption. Does Congress have the power to make this law?

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a. Yes, Congress has the power to make a law that requires all states to use uniform warning signs and signals for trains. The power to regulate interstate commerce granted to Congress by the Commerce Clause of the U.S. Constitution allows it to enact laws that promote safety and efficiency in interstate transportation, including regulations for train signals and signs. By ensuring consistency across states, Congress can enhance the safety of rail transportation and prevent accidents like the one mentioned.

b. Yes, Congress has the power to pass a law banning factories that make products sold in other states from employing children under 18. The power to regulate interstate commerce allows Congress to establish regulations that ensure fair labor practices and protect workers. By prohibiting the employment of children in such factories, Congress can address child labor issues and promote uniform standards across states to prevent exploitation.

c. Yes, Congress has the power to make a law that criminalizes possessing a gun on the property of a public school. The authority to regulate interstate commerce and provide for the general welfare grants Congress the power to enact legislation aimed at ensuring public safety. In response to the issue of school shootings, Congress can pass laws to prevent firearm possession on school premises, thereby promoting safety and protecting the well-being of students and staff.

d. Yes, Congress has the power to pass a law setting a national speed limit at 55 mph. The Commerce Clause grants Congress the authority to regulate interstate commerce, including transportation systems such as highways. By establishing a national speed limit, Congress can promote uniformity, safety, and efficiency on the nation's roadways, which are part of the interstate transportation network.

e. No, Congress does not have the power to pass a law that prohibits U.S. farmers from growing more than 500 pounds of tomatoes each, even for their own consumption. This proposed law would likely exceed the scope of Congress's authority under the Commerce Clause. The regulation of agricultural production for personal consumption falls under the purview of individual states, not the federal government. Such a law would likely infringe upon the rights of individual farmers and their ability to engage in local agricultural practices.

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Consider two hypothetical firms: Netflex, considering an investment on developing an electric vehicle; and Plugcar, looking into the profitability of building charging stations for electric vehicles. Each firm has two possible strategies: 'Innovate' and 'Do not innovate'. If both firms decide to innovate, the payoffs are high because electric vehicles and charging stations complement each other. If one firm innovates and the other does not, the former experiences a loss because the innovation cannot be profitable without the other. The matrix below describes the hypothetical payoffs. Netflex Innovate Do not innovate -0.5 -0.5 0 0 Find the Nash equilibrium(s) of this game. Provide your reasoning by referring to the payoff matrix above. Your reasoning must include the best responses of each firm. Question 8 [Max 200 words, 6 marks] Keep considering the same game and the payoff matrix from the previous question. Discuss whether the game between Netflex and Plugcar is an invisible hand game. Your discussion must start by explaining what an invisible hand game is. Question 9 [Max 200 words, 8 marks] Discuss how the incentives for firms to innovate (or invest on R&D) are related to the degree of product differentiation. Your discussion must refer to the notion of market power. There is no need Plugcar Innovate Do not innovate 1.0 1.0

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To find the Nash equilibrium of the game between Netflex and Plugcar, we need to identify the best responses of each firm based on the payoffs.

Looking at the payoff matrix:

Netflex's best response:

- If Plugcar innovates, Netflex's best response is to innovate as well since the payoff of 1.0 is higher than -0.5.

- If Plugcar does not innovate, Netflex's best response is to not innovate since the payoff of 0 is higher than -0.5.

Plugcar's best response:

- If Netflex innovates, Plugcar's best response is to innovate as well since the payoff of 1.0 is higher than -0.5.

- If Netflex does not innovate, Plugcar's best response is to not innovate since the payoff of 0 is higher than -0.5.

By analyzing the best responses, we can see that the Nash equilibrium occurs when both firms decide to innovate. In this case, neither firm has an incentive to deviate from their strategy since the payoffs are higher compared to the alternative.

Moving on to the discussion of whether the game between Netflex and Plugcar is an invisible hand game, an invisible hand game refers to a situation where individual pursuit of self-interest leads to an optimal outcome for the society as a whole. In this case, the game is not an invisible hand game because the individual pursuit of self-interest does not lead to the optimal outcome.

If both firms decide not to innovate, the payoffs are 0 for each firm, which is suboptimal compared to the outcome where both firms innovate and receive payoffs of 1.0. In this game, cooperation between the firms is necessary to achieve the optimal outcome, but self-interest leads to a suboptimal outcome.

Regarding the relationship between incentives for firms to innovate and the degree of product differentiation, the degree of product differentiation can impact market power. When there is high product differentiation, firms have more market power as their products have unique features and consumers have fewer substitutes to choose from. This increased market power provides stronger incentives for firms to innovate and differentiate their products further to gain a competitive edge and capture higher profits.

On the other hand, in markets with low product differentiation and many close substitutes, firms have less market power, and the incentives to innovate may be lower since innovations may not result in a significant competitive advantage. In such cases, firms may focus more on cost-efficiency and price competition rather than investing heavily in R&D and innovation.

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As discussed by one of our guest lecturers (Rough), retailers typically hate a single dominant supplier in one product area. True False

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True. As discussed by one of our guest lecturers (Rough), retailers typically hate a single dominant supplier in one product area.

This is because when there is only one supplier for a product, the retailer is at the mercy of that supplier and has limited bargaining power, which can lead to unfavorable terms and conditions for the retailer.
In addition to better bargaining power, working with multiple suppliers also provides retailers with greater product diversity, as each supplier will have its own unique range of products. This allows the retailer to offer a wider range of products to its customers, which can help to attract and retain customers. Finally, by working with multiple suppliers, retailers can reduce their dependence on any one supplier and minimize the risks associated with supply chain disruptions, such as shortages or delays.
In conclusion, retailers prefer to work with multiple suppliers rather than a single dominant supplier because it provides them with better bargaining power, greater product diversity, and reduces their dependence on any one supplier.

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0 0/1 points awarded Scored Book Port References The long run is best defined as Multiple Choice one year or more. a period of time sufficiently long that all factors of production are variable the period of time between annual accounting reports a period of time sufficiently long that at least one factor of production is fixed

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The long run is best defined as "a period of time sufficiently long that all factors of production are variable."

In economics, the concept of the long run refers to a time frame in which all factors of production can be adjusted or varied. It is a period in which a firm can make changes to its inputs, such as labor, capital, and technology, to optimize its production and adjust its cost structure.

The distinction between the short run and the long run is based on the flexibility of inputs. In the short run, at least one factor of production is fixed, meaning it cannot be easily changed. For example, a firm may have a fixed amount of capital or a fixed-size factory that cannot be expanded or reduced in the short run.

However, in the long run, all factors of production can be adjusted. Firms have the flexibility to modify their input levels, such as hiring or laying off workers, acquiring or selling capital equipment, or adopting new technologies. The long-run period allows firms to adapt to changes in market conditions, optimize their production processes, and make strategic decisions to achieve efficiency and profitability.

The long run is defined as a period of time sufficiently long that all factors of production are variable. This flexibility enables firms to adjust their inputs and make strategic decisions to optimize production and adapt to changing market conditions.

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In the circular flow model, households: O supply goods and services and supply factors of production. O buy goods and services and buy factors of production. O sell goods and services and buy factors

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In the circular flow model, households both supply factors of production and buy goods and services.

in the circular flow model, households are involved in both the supply and demand sides of the economy. they play a crucial role in the overall functioning of the economy. here's how households participate in the circular flow:

1. supply of factors of production: households supply the factors of production, such as labor, land, capital, and entrepreneurship. they offer their labor services, rent out land or property, invest their savings, and undertake entrepreneurial activities. by supplying these factors, households contribute to the production process and enable businesses to create goods and services.

2. purchase of goods and services: households form the demand side of the economy by buying goods and services. they use their income (earned from supplying factors of production) to purchase the products they need or desire. this includes everyday consumer goods, durable goods like cars and appliances, and services like healthcare, education, and entertainment. they are an essential component of the economic system as they provide the inputs necessary for production and generate the demand that drives economic activity.

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ABC computing
A new system is being created for ABC computing. The benefits are 10,000 yr1, 22000 yr2, 35000 yr3, 60,000 yr4 and 85000 yr 5.
The dev costs are 45000 and the operating costs start in yr 1 at 5000 and increase by 10% per year.
Use 4%. The factors are .96, .92, .89, .85, .82. The life is 5 years.
Calculate the NPV, ROI and pay back.

Answers

To calculate the Net Present Value (NPV), Return on Investment (ROI), and Payback period, we need to gather the necessary information and perform the calculations.

Here's how you can do it:

Calculate the present value of the benefits using the given discount rate of 4%:

PV(year1) = 10,000 / (1 + 0.04)^1 = 9,615.38

PV(year2) = 22,000 / (1 + 0.04)^2 = 20,512.82

PV(year3) = 35,000 / (1 + 0.04)^3 = 30,874.13

PV(year4) = 60,000 / (1 + 0.04)^4 = 50,268.95

PV(year5) = 85,000 / (1 + 0.04)^5 = 66,861.26

Calculate the present value of the operating costs using the given discount factors:

PV(operating costs) = 5,000 + 5,000 * 0.96 + 5,000 * 0.92 + 5,000 * 0.89 + 5,000 * 0.85 = 23,800

Calculate the Net Present Value (NPV) by subtracting the present value of the costs from the present value of the benefits:

NPV = PV(benefits) - PV(costs) = (9,615.38 + 20,512.82 + 30,874.13 + 50,268.95 + 66,861.26) - 23,800

Calculate the Return on Investment (ROI) by dividing the total net benefits by the costs and expressing it as a percentage:

ROI = (PV(benefits) - PV(costs)) / PV(costs) * 100

Calculate the Payback period by determining the number of years it takes for the cumulative net benefits to equal or exceed the costs.

Note: The calculations above assume that the benefits and costs occur at the end of each year.

Performing these calculations will provide you with the NPV, ROI, and Payback period for the ABC computing system.

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When a company has treasury stock, it is reported in the balance sheet as: Multiple Choice 1:41 O a liability. an asset. an add on to total stockholders' equity. a reduction in total stockholders' equity.

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The treasury stock is reported in the balance sheet as a reduction in total stockholders' equity.

Treasuries stock is a term that refers to shares of stock owned by the company that issued them and later repurchased. A corporation may repurchase its own stock for various reasons, such as when management believes the stock is undervalued, or in order to return surplus capital to shareholders. Treasury stock, unlike common stock, does not carry any voting rights or dividend payments. Companies that have treasury stock report it on their balance sheet as a reduction in total stockholders' equity. It is reported as a negative number in the stockholders' equity section.

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Question 4 Which of the following best describes systems to simulate human thought processes such as reasoning, and learning ? Data analytics Cloud computing Robotic Process Automation Artificial Intelligence (Al)

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In summary, artificial intelligence is the best description of systems that simulate human thought processes such as reasoning and learning.

Artificial Intelligence (Al) is the best description of systems that simulate human thought processes such as reasoning and learning. It is more than a buzzword that has taken the tech industry by storm. The term refers to the use of algorithms, statistical models, and computational methods to enable computer systems to perform tasks that usually require human intelligence. Artificial intelligence is a branch of computer science that focuses on creating intelligent machines that can work and learn like humans. By using machine learning, natural language processing, and deep learning techniques, AI can simulate human thought processes such as reasoning, decision making, and learning. The technology has the potential to transform almost every aspect of our lives, from healthcare to education, transportation, and entertainment. It can help businesses make data-driven decisions, automate repetitive tasks, and enhance customer experiences. In summary, artificial intelligence is the best description of systems that simulate human thought processes such as reasoning and learning.

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what+should+be+the+price+of+a+$1,000+par+bond+with+a+6.2%+annual+coupon+and+eight+years+to+maturity+if+it+has+a+required+yield+of+7.3%?

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The price of a $1,000 par bond with a 6.2% annual coupon and eight years to maturity, given a required yield of 7.3%, would be lower than the face value of the bond.

This is because the required yield is higher than the coupon rate, indicating that investors demand a higher return on their investment. The specific price can be calculated using the present value formula, taking into account the future cash flows and discounting them at the required yield rate. When the required yield is higher than the coupon rate, the bond is expected to be priced at a discount to its face value. To calculate the price of the bond, we can use the present value formula. The annual coupon payment can be calculated as 6.2% of the face value, which is $1,000, resulting in an annual coupon payment of $62. The bond has a maturity of eight years, meaning there will be eight coupon payments of $62 each, plus the final payment of the face value. To calculate the present value of these future cash flows, we discount each cash flow at the required yield rate of 7.3%. The formula to calculate the present value of a bond is: Price = (Coupon Payment / (1 + Yield Rate)) + (Coupon Payment / (1 + Yield Rate)²) + ... + (Coupon Payment / (1 + Yield Rate)^n) + (Face Value / (1 + Yield Rate)^n). Using this formula, we can calculate the present value of the bond's cash flows and sum them up to find the price of the bond. The resulting price will be less than the face value of $1,000, reflecting the discount due to the higher required yield rate.

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From the costs reported below, identify all costs that are variable in relation to how many units are produced (or sold). Salary expense for accountant. Advertising in local newspaper. Rearview mirrors used at a car manufacturing plant. Salespersons commissions at a car dealership. Depreciation on the sales building at a car dealership. Monthly rent on the production factory. Cost of cheese used at a pizza restaurant. Shipping costs to ship cars from the manufacturing plant to dealerships.

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Variable costs are costs that change in relation to changes in production levels or sales. The costs that are variable from the list below include: Salespersons commissions at a car dealership. Rearview mirrors used at a car manufacturing plant.

Shipping costs to ship cars from the manufacturing plant to dealerships. Cost of cheese used at a pizza restaurant. Advertising in local newspaper. Variable costs can go up or down based on production levels or sales. For example, if sales increase, salesperson commissions increase. If production levels are increased, the cost of rearview mirrors used in manufacturing will also go up. The cost of shipping cars from the manufacturing plant to dealerships will depend on the number of cars shipped. The cost of cheese used in a pizza restaurant will also change based on the number of pizzas sold. Lastly, Advertising in a local newspaper will change based on the number of ads placed or based on the size of the ad. Therefore, all the costs that are variable in relation to how many units are produced (or sold) include salespersons commissions at a car dealership, rearview mirrors used at a car manufacturing plant, shipping costs to ship cars from the manufacturing plant to dealerships, cost of cheese used at a pizza restaurant and advertising in local newspaper.

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What are the properties of Ordinary Least Squares (OLS)
estimators? Discuss.

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Ordinary Least Squares (OLS) is a method used to find out the best possible linear fit for a set of observations that take into account the errors in the observations.

Properties of Ordinary Least Squares (OLS) estimators, Unbiasedness,  The most significant property of OLS estimators is that they are unbiased. The OLS estimators are unbiased when the expected value of the residuals is zero, which means that the average of the residuals is zero. Efficiency, The second most significant property of OLS estimators is that they are efficient. An estimator is said to be efficient if it is the most accurate and precise estimator in the class of estimators. In other words, it means that it has the least variance of all the estimators available.

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What type of data is this? (Hint: Cross-sectional, time-series, or panel tongail) dat? a. GDP per capita and unemployment rate from 1960 to 2014 across OECD o b. Your Fitbit step count over the last 6 months recorded every day c1.500 Houstonians were interviewed in July 2014 whether they would be willing to raise tases to preserve Alone for the

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Cross-sectional data, time-series data, and panel data are the three types of data that are mostly used in research. The given data type is "GDP per capita and unemployment rate from 1960 to 2014 across OECD.

"Which type of data is GDP per capita and unemployment rate from 1960 to 2014 across OECD?This data type is Time-series data. A time-series data refers to a set of data gathered at specific time intervals over time. As a result, the data is collected over time and is hence called a time series. The economic data, which is recorded over a certain amount of time, is a time series data.

The time interval between observations in the dataset is predetermined and constant.Time series data might be used to discover relationships between changes in a particular variable over time and changes in other variables. Thus, the given data set is time-series data.

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Instructions The following data were accumulated for use in reconciling the bank account of Zek's Co. for May 2016: 1. Cash balance according to the company's records at May 31, 2016, $21,131. 2. Cash balance according to the bank statement at May 31, 2016, $27,606. 3. Checks outstanding, $13,321. 4. Deposit in transit, not recorded by bank, $7,293. 5. A check for $51 in payment of an account was erroneously recorded in the check register as $510. Bank debit memo for service charges, $12. 6. Journalize the entry or entries that should be made by the company. Refer to the Chart of Accounts for exact word. Journal Journalize the entry or entries that should be made by the company. Refer to the Chart of Accounts for exact wording of account titles. PAGE 1 JOURNAL DATE DESCRIPTION POST. REF. DEBIT 1 2 3 4 CREDIT

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The company has to journalize the entry that should be made by the company based on the following data that were accumulated for use in reconciling the bank account of Zek's Co. for May 2016:1. Cash balance according to the company's records at May 31, 2016, $21,131.

2. Cash balance according to the bank statement at May 31, 2016, $27,606. 3. Checks outstanding, $13,321. 4. Deposit in transit, not recorded by bank, $7,293. 5. A check for $51 in payment of an account was erroneously recorded in the check register as $510. Bank debit memo for service charges, $12.In order to balance the bank account, the following are the entries that should be made by the company:

Journal Date Description Post. Ref. Debit Credit1 May 31, 2016 Balance per Bank Statement - $27,606 XX2 May 31, 2016 Deposit in Transit - $7,293 XX3 May 31, 2016 Less: Outstanding Checks - $13,321 XX4 May 31, 2016 Correct Check Register - $459 XX5 May 31, 2016

Bank Service Charge - $12 XX6 May 31, 2016 Balance per Company - $21,131 XXExplanation:XX indicates that the account to be credited or debited must be indicated.1) The balance per the bank statement will be debited for the cash balance according to the bank statement.2) Deposit in transit will be debited for deposit in transit, not recorded by bank.3) Outstanding checks will be credited for checks outstanding.

4) Correct check register will be credited for a check for $51 in payment of an account that was erroneously recorded in the check register as $510.5) Bank Service Charge will be credited for bank debit memo for service charges.6) The balance per the company will be credited for the cash balance according to the company's records.

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