how the social influence from companies, such as tesla, are impacting consumer decisions

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Answer 1

Companies like Tesla are known to be leaders in innovative and forward-thinking technologies. Tesla's social influence and its impact on consumer decisions is significant because of its emphasis on environmentally friendly and technologically advanced vehicles. Tesla's electric vehicles are designed to be energy-efficient and environmentally friendly, which appeals to consumers who are conscious of their carbon footprint.

Tesla's social influence has helped to shift consumer behaviour towards more sustainable and environmentally friendly options.Tesla's social influence also has a positive impact on consumer decisions due to its strong brand image. Tesla is a well-known and respected brand that is synonymous with innovation and technological advancement. The brand's reputation for quality and reliability is a major factor in consumers' decision-making process.

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Consider the market for California wine. Suppose that the cost of fertilizers needed for planting grapes has gone up. We can expect wine producers to ---- their supply of wine. Therefore, we can also expect that the equilibrium price of California wine would decrease;decrease decrease increase increase increase increase; decrease.

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When the cost of fertilizers used for planting grapes has gone up in the market of California wine, the producers of wine are likely to reduce the supply of wine as they will have to pay a higher cost for the grapes. When the supply of wine reduces in the market, we can expect the equilibrium price of California wine to increase.

This is because with less wine available in the market, the demand for the wine remains constant or may increase, which leads to higher prices.Therefore, the given statement

"Therefore, we can also expect that the equilibrium price of California wine would decrease" is incorrect. Instead, the equilibrium price of California wine would increase due to the reduced supply of wine.

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One-hot coding is done for
Group of answer choices
Ordinal variable
Categorical variable
Interval variable
None of the above

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One-hot coding is done for categorical variables. One-hot coding is a method used to convert categorical data, also known as nominal data, into a format that machine learning algorithms can understand. Categorical data, such as color, language, or brand, has no quantitative meaning.

As a result, it cannot be directly used as input to machine learning models. One-hot encoding is a method for encoding categorical variables into binary arrays that are compatible with machine learning models. One-hot encoding takes a column of categorical data and creates a binary vector for each unique value in that column. The length of the vector equals the number of unique values in that column.

For example, suppose we have a color column with three unique values: blue, red, and green. In this case, we will create a binary vector of length three for each row in the dataset. This binary vector will be 1 for the color present and 0 for the other two colors. One-hot encoding has numerous advantages. It prevents a machine learning model from assuming any numerical order of categorical variables. It is suitable for both nominal and ordinal categorical variables, despite the fact that ordinal variables have a ranking associated with them. One-hot encoding works best for nominal variables, however. One-hot encoding requires a significant amount of space to store the binary vectors. This can cause issues if there are too many unique categorical values, which can result in the model running out of memory. Furthermore, one-hot encoding can produce data that is more difficult to interpret than the original categorical data. As a result, it is critical to carefully examine the resulting data after one-hot encoding.

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slavery in the americaswas based on banned in 1810.involved more women than to fighting between european countries.

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Slavery in the Americas was based on a long answer which involved more women than fighting between European countries.  Slavery was not banned in the Americas in 1810. The abolition of slavery varied by country and took place over a period of many years.

Let's look at each statement in more detail:Slavery in the Americas was based on Slavery in the Americas was a complex institution that was based on a multitude of factors, including economic, social, and political reasons. Europeans first brought enslaved Africans to the Americas in the 16th century to work on plantations and in mines. Over time, the institution of slavery became intertwined with the economy of the Americas and was deeply ingrained in society. It was a long answer to the question of how and why slavery persisted for so many years in the Americas.involved more women than fighting between European countries.

Slavery in the Americas did involve a significant number of women, both as enslaved people and as owners of slaves. Enslaved women were often used as domestic workers, and female slave owners were not uncommon. However, it is not accurate to say that slavery involved more women than fighting between European countries. This is an inaccurate comparison, as the two are unrelated topics.Conclusion: Slavery in the Americas was a complex institution that persisted for many years due to a variety of factors. It involved a significant number of women but cannot be compared to fighting between European countries.

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Explain why budgets and expenditure statements are inadequate in
cost analysis.
Please type answer.

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Budgets and expenditure statements are inadequate in cost analysis because they only provide a limited perspective on costs and fail to capture the full complexity of cost dynamics.

In cost analysis, budgets and expenditure statements primarily focus on the explicit costs incurred by an organization or project. They track the monetary outflows associated with items such as labor, materials, and overhead expenses. While these documents are important for financial planning and control, they overlook several key aspects of costs.

Firstly, budgets and expenditure statements often neglect to consider implicit costs, which refer to the opportunity cost of using resources in a particular way. For example, the value of alternative uses of resources or the potential income forgone when resources are allocated to a specific activity are not captured in these statements.

Secondly, budgets and expenditure statements may not adequately account for intangible costs such as environmental impact, social consequences, or long-term sustainability. These non-financial costs can have significant implications for decision-making and should be considered alongside explicit costs.

To conduct a comprehensive cost analysis, organizations need to go beyond budgets and expenditure statements and incorporate a broader range of cost factors, including implicit costs and intangible costs. This broader perspective enables a more accurate assessment of the true costs associated with a project or decision, facilitating informed decision-making and the identification of cost-saving opportunities.

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Explain how Hydro One setup its risk controls to mitigate the KRIs

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Hydro One is a utility company responsible for the transmission and distribution of electricity across Ontario, Canada.that includes a range of risk controls aimed at mitigating the key risk indicators (KRIs).

The first step in Hydro One's risk management process is to identify the key risks to its business.The company then develops KRIs, which are measurable parameters that indicate the level of risk exposure for each identified risk.

These include operational controls, as well as monitoring its financial performance against key financial ratios and benchmarks.Regulatory controls are also in place to ensure compliance with relevant regulations and standards, such as those related to safety and environmental protection.

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Your cat’s summer kitty-cottage needs a new roof. You feel a 15-year analysis period is in line with your cat’s remaining lives. (There is no salvage value for old roofs.) Thatch Slate First cost $250 $425 Annual upkeep 65 30 Service life, in years 3 5

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The total cost of ownership for the thatch roof over the 15-year analysis period is $1,225, while the total cost of ownership for the slate roof is $875.

For the 15-year analysis period, we can calculate the total cost of ownership for each type of roof by considering the first cost and annual upkeep.

Thatch Roof:

- First cost: $250

- Annual upkeep: $65

- Service life: 3 years

To calculate the total cost of ownership for the thatch roof, we need to consider the first cost and annual upkeep for each year of the 15-year analysis period.

Total cost of ownership for the thatch roof:

= (First cost + Annual upkeep * (Analysis period - Service life)) + (Annual upkeep * Service life)

= ($250 + $65 * (15 - 3)) + ($65 * 3)

= $250 + $780 + $195

= $1,225

Slate Roof:

- First cost: $425

- Annual upkeep: $30

- Service life: 5 years

Total cost of ownership for the slate roof:

= (First cost + Annual upkeep * (Analysis period - Service life)) + (Annual upkeep * Service life)

= ($425 + $30 * (15 - 5)) + ($30 * 5)

= $425 + $300 + $150

= $875

Therefore, the total cost of ownership for the thatch roof over the 15-year analysis period is $1,225, while the total cost of ownership for the slate roof is $875

The slate roof would be the more cost-effective option in terms of total cost of ownership over the 15-year period for the cat's summer kitty-cottage.

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Which of the following statements regarding P/E multiple is NOT correct?

A firm with lower risk is likely to have a high P/E multiple than a firm with higher risk.

A stock with a low P/E multiple indicates that the stock is undervalued.

A firm’s high P/E multiple may be attributed to a temporary increase in its EPS.

All three statements are not correct.

Answers

All three statements are not correct.

A firm with lower risk is likely to have a low P/E multiple than a firm with higher risk. Generally, investors are willing to pay a higher P/E multiple for companies with higher growth potential and higher risk.

A stock  with a low P/E multiple indicates that the stock may be undervalued. A low P/E ratio suggests that the stock is trading at a lower price relative to its earnings and could potentially be a good investment opportunity.

A firm's high P/E multiple is typically attributed to a sustained increase in its earnings per share (EPS) over time. A temporary increase in EPS would not be the primary reason for a high P/E multiple.

Therefore, the statement that is NOT correct is: A firm's high P/E multiple may be attributed to a temporary increase in its EPS.

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"The purpose of contract law is to give effect to the reasonable expectations of the parties to a contract." Discuss this observation in terms of the five elements that are required for the creation of a legally binding contract.

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The purpose of contract law is often considered to be the fulfillment of the reasonable expectations of the parties involved in a contract.

This observation can be discussed in relation to the five elements required for the creation of a legally binding contract: offer, acceptance, consideration, capacity, and intention.

Contract law aims to provide a framework for parties to enter into agreements with enforceable rights and obligations. The observation that contract law gives effect to the reasonable expectations of the parties aligns with the five essential elements of a contract.

Firstly, an offer is made by one party, indicating their intention to be bound by specific terms. The reasonable expectations of the parties are reflected in the offer, which outlines the key terms and conditions they anticipate.

Secondly, acceptance by the other party indicates their agreement to the offer and its terms. The acceptance must align with the reasonable expectations of both parties, demonstrating their mutual understanding and agreement.

Consideration refers to something of value exchanged between the parties as part of the contract. The reasonable expectations of the parties regarding the value and benefit they will receive are reflected in the consideration they provide.

Capacity refers to the legal ability of the parties to enter into a contract. The expectation is that both parties have the necessary capacity to understand and fulfill their obligations, ensuring a fair and reasonable agreement.

Lastly, the intention to create legal relations is an important element. The reasonable expectations of the parties regarding the enforceability of the contract are reflected in their intention to be legally bound by the agreement.

In conclusion, the purpose of contract law aligns with the reasonable expectations of the parties to a contract, as reflected in the elements of offer, acceptance, consideration, capacity, and intention. These elements collectively support the fulfillment of the parties' reasonable expectations and the creation of legally binding agreements.

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withholding information from customers and revealing it at the close would most likely:

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Withholding information from customers and revealing it at the close would most likely result in a decreased likelihood of customer loyalty and retention and a negative impact on sales. This practice not only affects customers but also has implications for other stakeholders involved in the business.

Explanation: Customers tend to trust brands and companies that are transparent and provide them with complete information about their products or services. If companies deliberately withhold information and then reveal it only at the close of the sale, customers are likely to feel misled or tricked.

This lack of transparency can have a negative impact on sales and result in decreased customer loyalty and retention. Customers may feel that the company does not value their business and may decide to take their business elsewhere in search of a more transparent and trustworthy company.In conclusion, it is important for companies to be transparent and provide complete information to their customers to build trust, increase customer loyalty, and boost sales.

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Consider a bond with a face value of $2,000 that pays a coupon of $150 for 10 years. Suppose the bond is purchased at $500, and can be resold next year for $400. What is the rate of return of the bond? What is the yield to maturity of the bond?

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Answer:

The rate of return of the bond is 280%.

To calculate the yield to maturity of the bond, we need to consider the current price, future value (face value), coupon payments, and the number of years to maturity. In this case, the bond is purchased at $500, has a face value of $2,000, pays a coupon of $150 for 10 years.

Explanation:

To calculate the rate of return of the bond, we need to consider both the coupon payments received and the change in the bond's price over the holding period.

The total coupon payments received over the 10-year period would be:

Coupon Payment per year * Number of years = $150 * 10 = $1,500

The change in the bond's price can be calculated as:

Resale Value - Purchase Price = $400 - $500 = -$100 (negative value indicates a loss)

The rate of return is then calculated as:

Rate of Return = (Total Gain or Loss / Initial Investment) * 100

Rate of Return = (($1,500 + (-$100)) / $500) * 100 = ($1,400 / $500) * 100 = 280%

Therefore, the rate of return of the bond is 280%.

To calculate the yield to maturity of the bond, we need to consider the current price, future value (face value), coupon payments, and the number of years to maturity. In this case, the bond is purchased at $500, has a face value of $2,000, pays a coupon of $150 for 10 years.

Using a financial calculator or spreadsheet, we can solve for the yield to maturity (YTM), which is the interest rate that equates the present value of the bond's cash flows to its current price. The yield to maturity takes into account both the coupon payments and the price change.

The yield to maturity is estimated to be approximately X% (rounded to two decimal places). Please note that the exact yield to maturity calculation requires precise cash flow timings and consideration of compounding.

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A third bond is worth $100 and grows in value by 4 percent each year, but the interest is applied continuously, at every moment. Find the function and explain how you arrived at your answer.

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The function describing the value of the third bond, which grows continuously at a rate of 4 percent per year, can be represented by the continuous compound interest formula.

It is given by the function V(t) = P * e^(r * t), where P is the initial value of the bond, e is the mathematical constant approximately equal to 2.71828, r is the interest rate in decimal form, t is the time in years. To find the function describing the value of the third bond, we can use the continuous compound interest formula. The formula is V(t) = P * e^(r * t), where V(t) represents the value of the bond at time t, P is the initial value of the bond, e is Euler's number (approximately 2.71828), r is the interest rate in decimal form, and t is the time in years.

In this case, the initial value of the bond is $100, and the interest rate is 4 percent per year. Converting the interest rate to decimal form, we have r = 0.04. Plugging these values into the formula, we get V(t) = 100 * e^(0.04 * t). This function describes how the value of the bond grows continuously over time. As time increases, the exponent e^(0.04 * t) increases, leading to an exponential growth in the value of the bond. The 4 percent interest rate represents the rate of growth per year, and since the interest is applied continuously, the bond's value experiences continuous compounding.

By evaluating the function for different values of t, we can determine the value of the bond at specific points in time. For example, to find the value of the bond after 5 years, we substitute t = 5 into the function: V(5) = 100 * e^(0.04 * 5). In conclusion, the function describing the value of the third bond that grows continuously at a rate of 4 percent per year is V(t) = 100 * e^(0.04 * t). This function allows us to calculate the value of the bond at any given point in time using continuous compound interest.

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The balance sheets provided below indicate that the Fed has: a. conducted an open market purchase b. conducted an open market sale c. lowered the discount rate d. raised reserve requirements BALANCE SHEETS OF BANKS AND THE FED Banking System_(In millions of dollars) FED Assets Liabilities Assets Liabilities Reserves +$ 10 U.S. Government Bank Reserves U.S. Government Bonds +$10 +$10 Bonds -$10 3. Using the balance sheets provided above, if the required reserve ratio for banks is 20 percent, what will happen to the money supply? Assume that banks do not hold excess reserves and that the public does not wish to hold additional cash. a. The money supply will decrease $50 million b. The money supply will decrease $10 million c. The money supply will increase $50 million d. The money supply will increase $10 million e. The money supply will increase $40 million

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The required reserve ratio for banks is 20%, which means that banks must hold 20% of their deposits in reserve and can lend out the remaining 80%. In this scenario, the banking system has $10 million in reserves and $50 million in deposits ($10 million in reserves divided by 20% reserve requirement equals $50 million in deposits).

If the Fed raises the reserve requirement, then banks will need to hold a higher percentage of their deposits in reserve, which means they will have less money to lend out. As a result, the money supply will decrease. However, the balance sheets provided do not indicate that the Fed has raised reserve requirements.

Instead, we see that the Fed has purchased $10 million in U.S. government bonds from the banking system, which increases the reserves of the banking system by $10 million. Since the reserve requirement is still 20%, banks can lend out an additional $40 million ($50 million in deposits minus $10 million in reserves equals $40 million in potential loans).

Therefore, the money supply will increase by $40 million as a result of the Fed's open market purchase. The correct answer is e. The money supply will increase $40 million.

the correct option is option A: The money supply will decrease $50 million.

Using the balance sheets provided above, if the required reserve ratio for banks is 20 percent, the money supply will decrease by $50 million.What is the Reserve Ratio?The reserve ratio is a percentage of total deposits that banks must hold in reserve. Reserve requirements are used by banks to make sure that they have enough money on hand to meet their clients' requests. Banks that do not have enough cash on hand must borrow money, which raises the cost of borrowing and reduces the money supply. If the Federal Reserve reduces the reserve ratio, banks are required to keep fewer reserves. When banks have more money to lend, interest rates fall, the money supply rises, and the economy expands. If the Federal Reserve increases the reserve ratio, banks are required to keep more reserves. When banks have less money to lend, interest rates increase, the money supply falls, and the economy slows.Using the balance sheets provided above, if the required reserve ratio for banks is 20 percent, the money supply will decrease by $50 million. Since the Reserve is 20%, Bank reserves will be $2, which is 20% of $10 million. As a result, the bank's excess reserves have fallen to $0. Because the banks don't have any excess reserves, their lending ability has been reduced by $10 million. They're only able to lend $40 million now since they're unable to lend their entire $50 million reserve. The whole banking system's money supply has decreased by $50 million as a result of this. Hence, the correct option is option A: The money supply will decrease $50 million.

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1. Investigate the reason why Thomas Cook group, the oldest travel agency in the world with a history of 178 years, declared bankruptcy and give your advice to avoid similar problems.

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To avoid a similar outcome to Thomas Cook, companies should manage debt, adapt to market demands, implement digital solutions, and stay relevant with consumer trends.

The primary reason for the Thomas Cook group's bankruptcy was an accumulation of long-term debt. In this case, the company was unable to recover from its substantial debt load, which was compounded by fierce competition and a change in travel patterns. Furthermore, the company had been attempting to move from a traditional package holiday model to a digital strategy, but it was too little too late. These were the major causes of the firm's collapse.There are a few things to keep in mind to avoid a similar outcome to Thomas Cook. Here are a few recommendations to consider:Avoid high levels of long-term debt and aim to pay it off on a regular basis.Keep an eye on the competition and continually review and alter your business strategy based on market demand and consumer preferences.Rapidly implement digital solutions to support customer needs, including online booking and payments.Keep a close eye on consumer trends and adjust your offerings as needed to stay relevant. In conclusion, the travel sector is always changing, so companies should adapt to the changing market and stay on top of trends to avoid the same fate as Thomas Cook. By keeping an eye on their finances and digital transformation, businesses can avoid falling into debt and remain competitive in the industry.

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A stage conducts batch processing with a set up. Which of the following statement regarding this stage is WRONG? (Difficulty Level - Medium) A large batch size leads to a high level of capacity for both simultaneous batching and sequential batching. A large batch size implies a high level of output variation. The stage capacity increases in batch size proportionally, i.e., if the batch size is doubled, the stage capacity will also be doubled. A large batch size leads to a longer wait-for-batch delay.

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The statement, "A large batch size implies a high level of output variation," is wrong.

A batch processing system is different from a continuous system in the sense that the work to be done is collected into batches and then each batch is processed as a unit of work in separate programs. The jobs that make up a batch are collected together in a file called the batch file. The system then reads and processes each job in the batch file separately. The jobs within the batch are typically programs that are compiled and linked together with an input file and job control language statements. The larger the batch size, the less the relative time spent in setup. However, a large batch size leads to a longer wait-for-batch delay.

This is because a large amount of material needs to be processed in one go. In addition, a large batch size leads to a high level of capacity for both simultaneous batching and sequential batching. The statement, "A large batch size implies a high level of output variation," is wrong. A large batch size leads to a lower level of output variation because a large amount of material is processed in one go which helps to minimize variations. This reduces the risk of quality problems that arise from the variation in the quality of raw materials.

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fill the blank. theoretical explanations for the demographic transition were initially drawn from _______ theory.

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Theoretical explanations for the demographic transition were initially drawn from "Malthusian" theory.

This theory, proposed by economist Thomas Malthus in the late 18th century, argued that population growth would outpace the availability of resources, leading to widespread poverty, famine, and other negative consequences.

Malthus believed that the only way to control population growth was through "positive checks" such as war, disease, and natural disasters. The demographic transition theory, built upon Malthusian ideas, sought to explain the observed shifts in birth and death rates in societies as they transition from pre-industrial to industrialized states. While the demographic transition theory has evolved and incorporated other factors, its initial foundations were influenced by Malthusian theory's focus on population dynamics and resource constraints.

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suppose the market for coffee shop workers is currently in equilibrium. if the supply of coffee shop workers increases, which of the following are consequences?

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If the supply of coffee shop workers increases in a market that is currently in equilibrium, several consequences can be expected:

1. Decrease in wages: With a larger supply of workers, there will be increased competition among job seekers. Coffee shop owners will have more options to choose from, which may lead to a decrease in wages as they can hire workers at lower rates.

2. Increase in employment: As the supply of coffee shop workers increases, coffee shop owners will have the opportunity to expand their workforce and hire more employees. This can result in higher employment levels within the industry.

3. Increased job competition: With more workers available, individuals seeking employment in coffee shops may face greater competition for job openings. They may need to enhance their skills or qualifications to stand out from the increased pool of candidates.

4. Potential for improved service quality: With a larger labor supply, coffee shop owners can select from a wider range of skilled workers. This may result in a potential increase in the quality of service provided by coffee shops as owners have the ability to hire individuals with more experience or expertise.

It is important to note that these consequences are based on the assumption that demand remains constant or experiences only minimal changes.

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The unmodified standard audit report of a nonpublic company does not explicitly state that: The financial statements are the responsibility of the company's management.

The auditors believe that the audit provides a reasonable basis for their opinion.

The audit was conducted in accordance with accounting principles generally accepted in the United States of America.

An audit includes evaluating the appropriateness of accounting policies used.

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The unmodified standard audit report of a nonpublic company does not explicitly state that the auditors believe that the audit provides a reasonable basis for their opinion.

In the standard audit report of a nonpublic company, it is stated that the financial statements are the responsibility of the company's management and that the audit was conducted in accordance with accounting principles that are generally accepted in the United States of America. The report also highlights that an audit includes evaluating the appropriateness of accounting policies used.In the audit report of a nonpublic company, the auditor provides an opinion about whether the financial statements are presented fairly, in all material respects, in accordance with the applicable accounting framework. The auditor's opinion is usually presented in the form of an unmodified audit report. This report is also referred to as a clean opinion report.The auditor's opinion confirms that the audit was conducted in accordance with the Generally Accepted Auditing Standards (GAAS), and also confirms that the audit provides a reasonable basis for the opinion provided by the auditor.In conclusion, the unmodified standard audit report of a nonpublic company does not explicitly state that the auditors believe that the audit provides a reasonable basis for their opinion.

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A working version of an information system or part of the system that can be used to give users a better way to evaluate a system to see if it meets information requirements is known as a _ (blank) _. Select one: a. prototype b. end-user development c. RFP d. customization e. JAD

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The correct answer is (a) prototype.

A prototype is a working version or a preliminary model of an information system or a specific part of the system. It is developed to provide users with a tangible representation of the system's functionality and features. By using a prototype, users can interact with the system and evaluate its performance and capabilities to determine if it meets their information requirements.

Prototyping allows users to provide feedback, identify potential issues or improvements, and make informed decisions about the final system design. It helps in gathering user requirements, testing system functionality, and refining the system before full-scale development and implementation.

Therefore, a prototype is the term that best fits the definition provided for an information system or part of the system that can be used to give users a better way to evaluate if it meets information requirements.

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Interpreting and Applying Disclosures on Property and Equipment
Following are selected disclosures from the Evett and Sternard Company (a specialty chemical company) 2007 10-K.

Land, Building and Equipment, Net
(in millions) 2007 2006
Land $ 146 $ 142
Buildings and improvements 2,000 1,900
Machinery and equipment 6,200 5,800
Capitalized interest 352 340
Construction in progress 271 218
Land, Building and Equipment, Gross 8,969 8,400
Less: Accumulated depreciation 5,908 5,481
Total $ 3,061 $ 2,919

The principal lives (in years) used in determining depreciation rates of various assets are: buildings and improvement (10-50); machinery and equipment (5-20); automobiles, trucks and tank cars (3-10); furniture and fixtures, laboratory equipment and other assets (5-10); capitalized software (5-7). The principal life used in determining the depreciation rate for leasehold improvements is the years remaining in the lease term or the useful life (in years) of the asset, whichever is shorter.

IMPAIRMENT OF LONG-LIVED ASSETS
Long-lived assets, other than investments, goodwill and indefinite-lived intangible assets, are depreciated over their estimated useful lives, and are reviewed for impairment whenever changes in circumstances indicate the carrying value of the asset may not be recoverable. Such circumstances would include items such as a significant decrease in the market price of a long-lived asset, a significant adverse change in the manner the asset is being used or planned to be used or in its physical condition or a history of operating or cash flow losses associated with the use of the asset ... When such events or changes occur, we assess the recoverability of the asset by comparing the carrying value of the asset to the expected future cash flows associated with the asset's planned future use and eventual disposition of the asset, if applicable ... We utilize marketplace assumptions to calculate the discounted cash flows used in determining the asset's fair value ... For the year ended December 31, 2007, we recognized approximately $24 million of fixed asset impairment charges.

(a) Compute the PPE (land, buildings and equipment) turnover for 2007 (Sales in 2007 are $8,897 million). (Round your answer to two decimal places.)
Answer
If the median PPE turnover rate for all publicly traded companies is approximately 5.03 in 2007, what does Evett and Sternard's turnover rate tell us about the company?
Evett and Sternard is less capital intensive than the median publicly traded company.
Evett and Sternard is more capital intensive than the median publicly traded company.
Evett and Sternard is the same capital intensive as the median publicly traded company.
The PPE turnover rate does not tell us anything about how capital intensive Evett and Sternard is.

(b) Evett and Sternard reported depreciation expense of $412 million in 2007. Estimate the useful life, on average, for its depreciable PPE assets. (Round your answer to two decimal places.)
Answer
(c) By what percentage are Evett and Sternard's assets "used up" at year-end 2007? (Round your answer to two decimal places.)
Answer

Answers

This indicates that approximately 65.82% of Evett and Sternard's assets have been depreciated or "used up" by the end of 2007.

(a) The PPE (land, buildings, and equipment) turnover for Evett and Sternard in 2007 is approximately 1.49. Compared to the median PPE turnover rate of 5.03 for all publicly traded companies, this indicates that Evett and Sternard is less capital intensive than the median publicly traded company.

(b) Based on the given information, we cannot directly estimate the average useful life for Evett and Sternard's depreciable PPE assets. The disclosure provides the principal lives (in years) used in determining depreciation rates for different types of assets, but it does not specify the composition or proportion of the PPE assets. Without more detailed information, we cannot accurately estimate the average useful life.

(c) To determine the percentage of assets "used up" at year-end 2007, we need to calculate the accumulated depreciation as a percentage of the gross PPE. The accumulated depreciation at year-end 2007 is $5,908 million, and the gross PPE is $8,969 million. Therefore, the percentage of assets "used up" is:

Percentage of assets "used up" = (Accumulated depreciation / Gross PPE) * 100

Percentage of assets "used up" = ($5,908 million / $8,969 million) * 100

Percentage of assets "used up" ≈ 65.82%

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What is ABC inventory analysis? 2. What is the EOQ quantity if the annual demand is 1,000 units, cost of the item is $10, carrying rate is 10%, and order processing cost is $50? 3. Assuming that the annual demand is 1,000 units, cost of the item is $10, carrying rate is 10%, and order processing cost is $50. If the firm order this item at 500 units per order, what are the (a) annual ordering cost, and (b) annual holding cost?

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ABC Inventory Analysis:ABC Inventory Analysis is an inventory categorization process that deals with determining the importance of items in a store. It helps classify the company's inventory into three different categories: A, B, and C.A-items.

Those items which have the highest dollar volume of annual consumption value, which is usually about 20% of the total items in inventory and 80% of the annual consumption value. They require close attention to their inventory levels and management.B-items: Those items that are moderately important, usually about 30% of the total inventory items and 15% of the annual consumption value.C-items: Those items which are less important, usually about 50% of the total items in inventory but only about 5% of the annual consumption value.Economic Order Quantity:EOQ quantity can be calculated by using the following formula:EOQ = sqrt((2SD)/(H))whereS is the annual demandD is the ordering cost per purchaseH is the holding cost per unit per yearThe calculation is shown below:EOQ = sqrt((2SD)/(H))EOQ = sqrt((2*1,000*50)/1)EOQ = 224.72Therefore, the EOQ quantity is 225 units.

Approximately, to minimize ordering and holding costs, the EOQ model helps in determining the optimum number of units for ordering. It specifies the order quantity that minimizes the total cost, including ordering and holding costs.Annual Ordering Cost:Annual ordering cost can be calculated by using the following formula:Annual Ordering Cost = (Annual Demand/EOQ) * Ordering CostAnnual Ordering Cost = (1,000/500) * $50Annual Ordering Cost = $100Annual Holding Cost:Annual holding cost can be calculated by using the following formula:Annual Holding Cost = (EOQ/2) * Holding CostAnnual Holding Cost = (225/2) * $1Annual Holding Cost = $112.50Therefore, the annual holding cost is $112.50.

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In late 2007, as the U.S. economy slid into the Great Recession, the Federal Reserve began to…

Select one:

a. sell government bonds.

b. raise the federal funds rate.

c. decrease the monetary base.

d. pursue an accommodating monetary policy.

e. All of the above

Answers

The correct answer is e. All of the above In response to the Great Recession in late 2007, the Federal Reserve pursued various measures, including selling government bonds, raising the federal funds rate, and decreasing the monetary base.

During the Great Recession, the Federal Reserve implemented a range of measures to address the economic downturn. One of the actions taken was selling government bonds, which aimed to reduce the money supply and increase interest rates.

Additionally, the Fed raised the federal funds rate, which is the rate at which banks lend money to each other, to encourage banks to lend less and tighten credit.

Furthermore, the central bank decreased the monetary base by reducing the amount of reserves in the banking system. Lastly, the Fed pursued an accommodating monetary policy by implementing measures such as quantitative easing to stimulate the economy and promote lending and investment

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14. Tutoring is Fun, Inc., performs adjusting entries every month, but cloeses its accounts only at year-end. The company’s year-end asjusted trial balance dated December 31, 2007, was: Tutoring is Fun, Inc. Adjusted Trial Balance December 31, 2007 Debit Credit Cash $99,200 Accounts receivable 4,500 Supplies 300 Equipment 12,000 Accumulated depreciation: equipment 5,000 Accounts payable 1,500 Capital stock 25,000 Retained earnings 45,000 Dividends 2,000 Tutoring revenue earned 96,000 Salary expense 52,000 Supply expense 1,200 Advertising expense 300 Depreciation expense: equipment 1,000 Total 176,000 176,000 a) Prepare an income statement for the year ended December 31, 2007. Also pepare a company’s balance sheet dated December 31, 2007. (6 points per statement) b) Does the company appear to be liquid? Defend your answer.

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The income statement for the year ended December 31, 2007:Revenue Tutoring Revenue earned $96,000 Expenses Salary Expense $52,000 Supply Expense 1,200 Advertising Expense 300 Depreciation Expense

Equipment 1,000 Total Expenses 54,500 Net Income before Taxes 41,500 Income Tax Expense 8,300 Net Income $33,200b) Company’s balance sheet dated December 31, 2007: Tutoring is Fun, Inc. Balance Sheet December 31, 2007 Assets Cash $99,200 Accounts receivable 4,500 Supplies 300 Equipment 12,000 Less

Accumulated Depreciation 5,000 Net Equipment 7,000 Total Assets $110,000 Liabilities and Stockholders’ Equity Liabilities Accounts Payable $1,500 Stockholders’ Equity Capital Stock 25,000 Retained Earnings 45,000 Total Liabilities and Stockholders’ Equity $71,500b) The company appears to be liquid as it has cash worth $99,200.

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1. In preparing the operating activities section of the statement of cash flows by indirect method, gains are added to net income. True or False?

2. In preparing the operating activities section of the statement of cash flows by indirect method, decreases in noncash current liabilities are added to net income. True or False?

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1. In preparing the operating activities section of the statement of cash flows by the indirect method, gains are added to net income is true. (2) false

When preparing the indirect method for the operating activities section of the statement of cash flows, gains must be added to net income. This is because gains are not part of the actual revenue. A gain occurs when the value of an asset exceeds its carrying value, or when a liability is settled for less than its carrying amount. Such increases aren't included in net income, so they must be added back to the bottom line.2. In preparing the operating activities section of the statement of cash flows by the indirect method, decreases in noncash current liabilities are added to net income is false. When preparing the indirect method for the operating activities section of the statement of cash flows, the decrease in noncash current liabilities should be subtracted from net income. Non-cash current liabilities such as deferred revenue, accounts payable, and accrued expenses are included in net income, but they do not impact cash flow, and their decrease would boost cash flow. However, because they are non-cash, they are subtracted. When a decrease in non-cash current liabilities is subtracted from net income, the resulting number is cash generated from operating activities, which is the goal of the operating section of the cash flow statement.Overall, the operating section of the statement of cash flows summarizes cash inflows and outflows resulting from a company's main business activities, which are then used to determine the net cash flow from operating activities. Hence, gains are added, and decreases in non-cash current liabilities are subtracted from net income when preparing the indirect method of operating activities section of the statement of cash flows.

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ASAP - Sany Company!!
1. As an equipment manufacturing company, suppliers are a very important part of the operation. Can you discuss the supply chain and has any significant world events ever disturbed the supply chain?
2. Bad publicly is a crossroad for a company's brand. Was SANY Company able to regain their footing? If so what steps were taken to reestablish their brand?

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As an equipment manufacturing company, SANY understands the significance of suppliers in its operations. The company relies on a complex supply chain to source raw materials and other necessary inputs for its manufacturing processes.

SANY's supply chain involves multiple tiers of suppliers, with each tier contributing to the overall production and delivery of equipment.

Significant world events have indeed disrupted SANY's supply chain in the past. For example, the outbreak of the COVID-19 pandemic in 2020 resulted in widespread disruptions across global supply chains, including SANY's. Travel restrictions, lockdown measures, and disruptions in logistics and transportation networks impacted the availability of raw materials and components, causing delays and shortages in production.

To mitigate such disruptions, SANY implemented various strategies. The company diversified its supplier base, seeking alternative sources for critical inputs to reduce reliance on specific regions or suppliers. SANY also strengthened communication and collaboration with suppliers, sharing information and working together to address challenges. Additionally, the company focused on building resilience and flexibility in its supply chain by implementing contingency plans, improving inventory management, and exploring local sourcing options.

It is unclear from the provided information whether SANY Company faced a significant public relations crisis or bad publicity that required them to regain their footing. Without specific details about the nature of the crisis or event, it is challenging to assess the steps taken by SANY to reestablish their brand.

However, in general, companies facing reputation challenges can employ several strategies to rebuild their brand. This may include:

Transparency and accountability: Being open and honest about any issues, acknowledging mistakes, and taking responsibility for them.

Communication and engagement: Engaging with stakeholders, including customers, employees, and the public, to listen to their concerns and address them effectively.

Quality and innovation: Focusing on delivering high-quality products or services while emphasizing innovation to regain customers' trust and loyalty.

Social responsibility: Demonstrating a commitment to social and environmental responsibility through sustainable practices and community involvement.

Rebranding and marketing efforts: Developing a new brand identity, refreshing the company's image, and implementing targeted marketing campaigns to rebuild public perception.

Without more specific information about the situation faced by SANY Company, it is challenging to provide a detailed analysis of their brand recovery efforts.

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which forms of business organization are considered to be separate accounting entities?

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Forms of business organization that are considered separate accounting entities include corporations and limited liability companies (LLCs).

Corporations and limited liability companies (LLCs) are both forms of business organization that are considered separate accounting entities. This means that these entities are legally distinct and separate from their owners or shareholders.

Corporations are formal business structures that are owned by shareholders and managed by a board of directors. They have their own legal rights, liabilities, and obligations. Corporations are subject to various legal and regulatory requirements, including the need to file separate tax returns and maintain proper accounting records.

Limited liability companies (LLCs) are hybrid entities that offer the limited liability protection of a corporation and the flexibility of a partnership. Like corporations, LLCs are considered separate legal entities, which means that the owners (referred to as members) are not personally responsible for the company's debts or liabilities. LLCs also have their own tax identification numbers and file separate tax returns.

By treating corporations and LLCs as separate accounting entities, it allows for clear separation of personal and business finances and ensures that the financial records accurately reflect the financial position and performance of the entities themselves.

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What would economic conditions potentially be like in the U.S if the Federal Reserve did not regulate monetary policy, monitor banks, and provide services for banks?
Responses
The financial system would be more risky.
In the economy, transactions would likely be less costly and more efficient.
The economy would revert to a barter system.

Answers

If the Federal Reserve did not regulate monetary policy, monitor banks, and provide services for banks in the U.S., the financial system would be more risky. However, transactions in the economy could potentially be less costly and more efficient, while the economy itself would not necessarily revert to a barter system.

The Federal Reserve plays a crucial role in regulating monetary policy, monitoring banks, and providing services for banks. Without these functions, the financial system would lack oversight and regulation, potentially leading to increased risks such as instability, fraud, and financial crises. The absence of a central authority to regulate monetary policy could also result in uncontrolled inflation or deflation. On the other hand, without the involvement of the Federal Reserve, the economy may experience lower transaction costs and greater efficiency. This could be due to reduced bureaucratic processes and regulations, potentially facilitating faster and more streamlined transactions.

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division of labor that works on a regional or international basis is known as

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The division of labor that works on a regional or international basis is known as global division of labor.

Global division of labor is a phenomenon in which the division of labor operates at a regional or global level. It refers to the distribution of labor and production tasks around the world. As a result, the world's economies are interconnected, with countries specializing in producing particular goods or services.A global division of labor is a product of globalization, which has increased international trade, movement of capital, technology, and labor.

As countries specialize in producing specific products or services, they become more dependent on each other to meet their needs. The concept of global division of labor has led to increased efficiency and competitiveness for some countries, while others have suffered from job losses and economic inequality.In summary, the global division of labor refers to the distribution of labor and production tasks around the world.

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Can management or organizational culture actually cause a mishap. If this is true, then provide examples of "paper trails" an investigator would need to examine that would support this alleged causation or influence on an accident. Explain and list various other types of paper trails associated with an investigation. Consider the fact that an accident investigation report must not only prove a factor but also eliminate or rule out elements NOT associated with the accident e.g., the Zonk Air accident.

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Yes, management or organizational culture can actually cause a mishap. The "paper trails" an investigator would need to examine that would support this alleged causation or influence on an accident are: employee complaints, safety inspection reports, previous incidents reports, and documentation of accidents and injuries. Various other types of paper trails associated with an investigation are: Equipment manuals and maintenance logs, employee training records, safety procedures and guidelines, and incident and accident reports.

These paper trails are crucial to the accident investigation process because they provide essential information that will be required to prevent a similar incident from occurring again in the future. An investigator will review the available documentation and compare it to the incident report to determine if the event could have been avoided or if a mistake was made. If the investigator determines that the incident could have been avoided, they will work with the company to make changes to the policies, procedures, and training programs to ensure that similar events do not happen again.

Zonk Air Accident Zonk Air is a company that specializes in providing airplane tours over beautiful areas of the country. Unfortunately, an incident occurred that resulted in the loss of the plane and the passengers on board. During the investigation, it was found that the plane was not properly maintained and that the employees were not properly trained on how to deal with an emergency.

Additionally, it was discovered that the company had a culture of putting profits before safety, which may have contributed to the incident. As a result of this investigation, changes were made to the company's policies, procedures, and training programs to ensure that a similar incident does not occur in the future.

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Suppose that you are hired as business consultant for a company, and after collecting data you estimated the following profit function:
poˆ=−18.8+8P −0.3P2+7 −0.32,
where P is the price of the product the company sells, and A is advertising spending.
Find the advertising level which maximizes the firm's profit.
Round your answer to the nearest 0.01.

Answers

The given profit function of a company is poˆ=−18.8+8P −0.3P²+7A −0.32A²,where P is the price of the product the company sells, and A is advertising spending.

Now, we need to find the advertising level which maximizes the firm's profit. For this purpose,

we have to apply the concept of partial differentiation. We will first differentiate the profit function w.r.t A and then equate it to zero,

as follows: poˆ=−18.8+8P −0.3P²+7A −0.32A²Differentiating w.r.t A,

we get:∂poˆ/∂A = 7 - 0.64A = 0 (Equating to zero)7 = 0.64A or,

A = 10.9375 (Rounded to the nearest 0.01)

Therefore, the advertising level which maximizes the firm's profit is $10.94.

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Middletown, U.S.A., has been dealing with several monopoly firms, making it difficult for new firms to enter. Match each company to the best description of the particular "barrier to entry" it is benefitting from Drag each item on the left to its matching item on the right. Larry's Lawn Care has exclusive rights to mow the grass for all city government property in town for the next 5 years. Marvin's Mining Company runs 100 different pieces of large equipment and trucks in daily operations. control of resources problems raising capital Burt's Brass Band gets a royalty from every download of a song. economies of scale patents and copyright law Wanda's Water Park adds a new water slide or ride each year to the already large park, and can do it fairly cheaply due to volume discounts from the firm that produces the slides. licensing Lucinda's Lake Condos owns all the property around Middletown Lake, the only lake for 200 miles.

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In Middletown, U.S.A.,

Larry's Lawn Care - control of resources

Marvin's Mining Company - economies of scale

Burt's Brass Band - patents and copyright law

Wanda's Water Park - volume discounts from the firm that produces the slides

Lucinda's Lake Condos - licensing

1. Larry's Lawn Care has exclusive rights to mow the grass for all city government property in town for the next 5 years. This exclusive contract grants them control of resources, as they have sole access to the city government properties for lawn care services.

2. Marvin's Mining Company runs 100 different pieces of large equipment and trucks in daily operations. They benefit from economies of scale because their large-scale operations allow them to achieve cost efficiencies and lower average costs compared to smaller competitors.

3. Burt's Brass Band gets a royalty from every download of a song. They benefit from patents and copyright law, which grant them exclusive rights to their songs and allow them to receive royalties for their use.

4. Wanda's Water Park adds a new water slide or ride each year to the already large park, and can do it fairly cheaply due to volume discounts from the firm that produces the slides. They benefit from volume discounts, which result from their large purchasing power due to the size of their park. This enables them to obtain the new attractions at a lower cost compared to smaller parks.

5. Lucinda's Lake Condos owns all the property around Middletown Lake, the only lake for 200 miles. They benefit from licensing, as they have the exclusive rights to develop and operate properties around the lake, creating a barrier to entry for potential competitors.

These examples illustrate different barriers to entry that the companies in Middletown, U.S.A. are benefiting from, such as control of resources, economies of scale, patents and copyright law, volume discounts, and licensing.

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