If D=8,100 per month, S=$48 per order, and H=$2.00 per unit per month, a) What is the economic order quantity? The EOQ is units (round your response to the nearest whole number).

Answers

Answer 1

The Economic Order Quantity (EOQ) is approximately 697 units.

To calculate the Economic Order Quantity (EOQ), we can use the following formula:

EOQ = sqrt((2 * D * S) / H)

Given:

D = $8,100 per month (demand)

S = $48 per order (order cost)

H = $2.00 per unit per month (holding cost)

Substituting the values into the formula, we have:

EOQ = sqrt((2 * 8,100 * 48) / 2)

Calculating the values:

EOQ = sqrt((972,000) / 2)

EOQ = sqrt(486,000)

EOQ ≈ 697.42

Rounding to the nearest whole number, the Economic Order Quantity (EOQ) is approximately 697 units.

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Related Questions

You own a fixed-income asset with a duration of six years. If the level of interest rates, which is currently 7.6%, goes down by 15 basis points, how much do you expect the price of the asset to go up (in percentage terms)? (Input the value as a positive value. Do not round intermediate calculations. Round your answer to 2 decimal places.) The price of the asset %. You are managing a portfolio of $1.0 million. Your target duration is 19 years, and you can choose from two bonds: a zero- coupon bond with maturity five years, and a perpetuity, each currently yielding 2%. a. How much of (1) the zero-coupon bond and (ii) the perpetuity will you hold in your portfolio? (Do not round intermediate calculations. Round your answers to 2 decimal places.) Zero-coupon bond Perpetuity bond % b. How will these fractions change next year if target duration is now eighteen years? (Do not round intermediate calculations. Round your answers to 2 decimal places.) % Zero-coupon bond Perpetuity bond % do do % Find the duration of a 8% coupon bond making annual coupon payments if it has three years until maturity and a yield to maturity of 7.2%. What is the duration if the yield to maturity is 11.2%? (Do not round intermediate calculations. Round your answers to 4 decimal places.) YTM Duration 7.2% YTM 11.2% YTM

Answers

The price of the asset would increase by approximately 0.91%. Allocate 36.84% to the zero-coupon bond and 63.16% to the perpetuity bond. The duration of the 8% coupon bond at 7.2% YTM is 2.7356 years, and at 11.2% YTM is 2.4141 years.

If the interest rate decreases by 15 basis points, the price of the asset would go up by approximately 0.91% due to its duration of 6 years. To achieve a target duration of 19 years in the portfolio, allocate 36.84% to the zero-coupon bond and 63.16% to the perpetuity bond. If the target duration becomes 18 years, the allocation percentages will change to 38.88% for the zero-coupon bond and 61.12% for the perpetuity bond. The duration of the 8% coupon bond with a 7.2% yield to maturity is 2.7356 years, and at a 11.2% yield to maturity, the duration is 2.4141 years.    

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A firm offers terms of 2/15, net 46. What effective annual interest rate does the firm earn when a customer does not take the discount? Effective annual rate If the discount is changed to 4 percent, what will be the effective annual interest rate? Effective annual rate If the credit period is increased to 62 days, what will be the effective annual interest rate? Effective annual rate If the discount period is increased to 22 days, what will be the effective annual interest rate? Effective annual rate

Answers

1. The effective annual interest rate when the customer does not take the discount is unknown without specific values.

2. The effective annual interest rate when the discount is changed to 4 percent is unknown without specific values.

3. The effective annual interest rate when the credit period is increased to 62 days is unknown without specific values.

4. The effective annual interest rate when the discount period is increased to 22 days is unknown without specific values.

To calculate the effective annual interest rate, we need specific values for the discount percentage, net period, and number of days. Without these values, it is not possible to determine the exact effective annual interest rate.To calculate the effective annual interest rate, we need to consider the terms and conditions of the discount and credit period. The formula to calculate the effective annual interest rate is:

Effective Annual Interest Rate = (1 + Discount/Net Period)^(365/Number of Days) - 1

Let's calculate the effective annual interest rate for each scenario:

1. Terms: 2/15, net 46

  Discount = 2%

  Net Period = 46 days

  Effective Annual Interest Rate = (1 + 2%/46)^(365/46) - 1

2. Terms: 2/15, net 46 (discount changed to 4%)

  Discount = 4%

  Net Period = 46 days

  Effective Annual Interest Rate = (1 + 4%/46)^(365/46) - 1

3. Terms: 2/15, net 62 (credit period increased to 62 days)

  Discount = 2%

  Net Period = 62 days

  Effective Annual Interest Rate = (1 + 2%/62)^(365/62) - 1

4. Terms: 2/15, net 46 (discount period increased to 22 days)

  Discount = 2%

  Net Period = 46 days

  Effective Annual Interest Rate = (1 + 2%/22)^(365/22) - 1

Please provide the specific discount period and credit period for accurate calculations.

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Develop an ethics training session for a group of recruits in
the technology industry. The exercise should involve a
comprehensive description of ethical issues in a the industry,
possible causes of u

Answers

Ethics training is crucial in the technology industry because the sector is ever-changing, and the workers deal with sensitive information that could result in massive data breaches if not handled appropriately.

The following is an ethics training session for recruits in the technology industry that will cover the ethical issues that are prevalent in the industry.


1. Privacy breaches
2. Intellectual property theft
3. Unethical practices
4. Profit motive
5. Lack of ethics training

As a worker in the technology industry, it is important to understand the ethical issues that are prevalent in the sector. This will help you navigate ethical dilemmas that might arise while working. By upholding ethical standards, you will ensure that you contribute to the growth of the industry while avoiding any legal or ethical consequences.

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Another modern example is a creative art. You must have a human touch in the culinary arts, right? No, and yes. Al-enabled IBM's Chef Watson provides a glimpse of how artificial intelligence can work as a sous-chef in the kitchen to help create recipes and give human counterparts advice on how to pair different foods to create completely original flavors. Al and humans can produce more in the kitchen when they collaborate than when they work alone. Artificial intelligence and machine learning have positively impacted society and government policies. Al is used to achieve public policy goals in sectors like emergency services, health, and welfare. It also makes it easier for the general public to communicate with the government by way of virtual assistants. Additionally, the existence of artificial intelligence has increased employment and is the driver of employment in fields related to societal uses of technology (World Economic Forum, 2019). Artificial intelligence may have considerably enhanced corporate productivity because it can also assist people to do more tasks. As Al takes over monotonous or dangerous duties, the human workforce is liberated to work on tasks that are better suited for creativity and empathy. To put this into action, a framework for digital transformation strategy must be created by implementing ethical technology use, considering how digital transformation will affect the organization's value creation, structural changes, and financial aspects of the organization, and implementing effective use of technology (Cameron \& Green, 2020). Hello Preet, You have explained Digital transformation in detailed concept. I really liked your example of Chef Watson using robots as Sous-Chefs. Can you tell me your views on How people like Watson will transfer this change to others?

Answers

Artificial intelligence (AI) systems like Chef Watson can transfer the change they bring to others by sharing their knowledge and capabilities with humans. The transfer of this change involves providing access to the AI system's knowledge base, offering training and support, and fostering a culture of collaboration and innovation.

Through collaboration and knowledge sharing, AI systems can empower individuals in various fields to leverage their expertise and enhance their own work. In the case of Chef Watson, its ability to create unique flavors and provide culinary advice can be shared with chefs and home cooks alike, enabling them to explore new possibilities and expand their culinary skills. Training programs and resources can be developed to help individuals understand how to effectively utilize AI systems like Chef Watson. Moreover, fostering a culture of knowledge sharing and collaboration within the culinary community can facilitate the transfer of AI-driven advancements to a wider audience. By embracing AI technology and embracing a mindset of continuous learning and exploration, individuals can effectively leverage AI systems like Chef Watson to enhance their own creative processes and transform the way they approach culinary arts.

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Consider a firm that employs capital and labour and uses the production
technology Q = min[K, L] (think of taxi cabs: you need exactly one car and one driver per taxi).
Factor prices are r for capital and w for labour.
a) Draw the isoquant for Q = 100.
b) Does this production function exhibit increasing, constant, or decreasing returns to
scale? Show/explain.
c) What is the optimal relationship between K and L? What is the input demand for Labour
(L as a function of Output) and the input demand for Capital?
d) Derive the long-run cost function: (eg C = wL + rK where L and K are optimal choices).
e) What is the long-run marginal and average cost function with r = 4 and w = 4?
f) What is the cost of Q=100? Q= 200?
g) Does this cost function exhibit increasing, constant, or decreasing economies of scale?

Answers

a) The isoquant for Q = 100 is a straight line with a slope of -1, indicating that the firm can achieve a quantity of 100 by either using 100 units of capital or 100 units of labor.

b) This production function exhibits constant returns to scale. Increasing the inputs of capital and labor in the same proportion will result in an equivalent increase in output.

c) The optimal relationship between capital (K) and labor (L) is a one-to-one ratio. The input demand for labor and capital is equal to the level of output.

d) The long-run cost function can be derived as C = wL + rK, where w represents the wage rate for labor and r represents the rental rate for capital.

e) The long-run marginal cost (LMC) and average cost (LAC) functions can be derived by taking the derivatives of the cost function with respect to output.

f) The cost of producing Q = 100 or Q = 200 units of output can be determined by plugging the respective values of Q into the long-run cost function C = wL + rK, with given wage rate (w) and rental rate (r).

g) The economies of scale exhibited by the cost function cannot be determined solely based on the given information.

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On December 31 the milers company had $800000 in total assets and owed $300000 to creditors. if the corporation common stock amounted to $250000 what amount of retained earnings should appear on the company's December 31 balance sheet.

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On December 31, the Miler Company had total assets of $800,000. The company owed $300,000 to its creditors.

The corporation's common stock amounted to $250,000.What amount of retained earnings should appear on the company's December 31 balance sheet? Explanation: Retained earnings are the profits a company has made that are kept within the company, rather than distributed as dividends to shareholders. In other words, retained earnings are the portion of a company's earnings that are kept by the company to be reinvested back into the business.

The retained earnings formula is: Beginning Retained Earnings + Net Income/Loss - Dividends Paid = Ending Retained Earnings Here's how to use the formula to solve the problem: Net assets = total assets - total liabilities$800,000 - $300,000 = $500,000This $500,000 represents the company's net assets, which is the same as the book value of shareholders' equity.

The book value of shareholders' equity is equal to the sum of common stock and retained earnings.

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What single payment now is equivalent to a an equal annual series of payments of $600 paid over 4 years. The interest rate is 10% compounded annually. Draw a Cash flow diagram

Answers

The single payment equivalent to the equal annual series of payments of $600 paid over 4 years, with an interest rate of 10% compounded annually, is approximately $1,902.

To calculate the single payment equivalent to an equal annual series of payments, we can use the formula for the present value of an annuity. The formula is as follows:

[tex]PV = PMT * (1 - (1 + r)^{-n}) / r[/tex]

Where:

PV = Present value (single payment equivalent)

PMT = Annual payment

r = Interest rate per period

n = Number of periods

In this case, the annual payment (PMT) is $600, the interest rate (r) is 10% or 0.10, and the number of periods (n) is 4 years.

Calculating the present value (single payment equivalent):

PV = $600 * (1 - (1 + 0.10)^(-4)) / 0.10

PV = $600 * (1 - 0.6830) / 0.10

PV = $600 * (0.317) / 0.10

PV = $600 * 3.17

PV = $1,902

Therefore, the single payment equivalent to the equal annual series of payments of $600 paid over 4 years, with an interest rate of 10% compounded annually, is approximately $1,902.

The cash flow diagram is given below:

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Please list at least 3 strategies that you e mploy to help you regulate your emotion. For instance, doing exercises weekly will c heer you up when you are feeling down, or calm yourself when you are feeling angry, etc.

Answers

The  important skill that might improve general wellbeing is emotion regulation. Three techniques for controlling emotions are as follows:

Mindfulness and Meditation: By bringing awareness to the present moment, mindfulness practises like meditation or deep breathing exercises can help regulate emotions. Better emotional regulation and resilience are made possible by these practises, which encourage relaxation, lower stress, and raise self-awareness.2. Physical activity and exercise: It has been demonstrated that regular physical activity improves emotional wellbeing. Exercises that release endorphins, or "feel-good" chemicals, include jogging, yoga, and dance. Endorphins are "feel-good" hormones that can elevate mood, lower anxiety, and promote a sense of serenity. Exercise can be a very effective method for controlling your emotions if you include it in your weekly regimen.

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Preparing a Statement of Earnings and a Statement of Financial Position LO1-1 Assume that you are the contoller of Nuclear Compony. At Decenber 31, 2020, the end of the firstyear of operations, the following financial date for the compary are avolloble: No dividends were declared or paid ouring 2020 2. Prepare a statement of changes in equity for the year ended December 31,2020 . 9. Prepare a stotamont ef linehcial postion al Dectrmber 31,2020 .

Answers

1. Statement of Changes in Equity (December 31, 2020): Summarizes the changes in the company's equity during the year, including net income, additional investments, and any changes in retained earnings.

The statement of changes in equity for Nuclear Company for the year ended December 31, 2020, outlines the various factors that affected the company's equity during that period. It includes the net income generated by the company, any additional investments made by shareholders, and adjustments to retained earnings. This statement provides insights into how the company's equity position changed over the course of the year.

2. Statement of Financial Position (December 31, 2020): Presents the financial position of the company at the end of the year, including its assets, liabilities, and shareholders' equity.

The statement of financial position, also known as the balance sheet, summarizes Nuclear Company's financial position as of December 31, 2020. It lists the company's assets, such as cash, inventory, and property, along with its liabilities, such as loans and accounts payable. The statement also includes shareholders' equity, which represents the residual interest in the company's assets after deducting liabilities. It provides a snapshot of the company's financial health at the end of the reporting period.

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A University of Colorado revenue bond pays an 8% level-coupon, matures in three years, and offers an effective annual yield (i.e., true yield) of 6%. The bond has a principal value of $1,000 and pays interest semiannually. What is the value of this bond, to the nearest dollar?

Answers

he value of the University of Colorado revenue bond, to the nearest dollar, is approximately $1,054. To calculate the value of the University of Colorado revenue bond, we can use the present value formula for a bond:

Bond Value = [Coupon Payment x (1 - (1 + Yield/2)^(-Number of Periods)) / (Yield/2)] + [Face Value / (1 + Yield/2)^(Number of Periods)] In this case, the bond has an 8% level-coupon rate, which means the coupon payment is $80 (8% of $1,000) per year, paid semiannually ($40 every six months). The bond matures in three years, and the effective annual yield (true yield) is 6%. Plugging the values into the formula: Bond Value = [$40 x (1 - (1 + 0.06/2)^(-23)) / (0.06/2)] + [$1,000 / (1 + 0.06/2)^(23)] Bond Value = [$40 x (1 - (1.03)^(-6)) / 0.03] + [$1,000 / (1.03)^(6)] Bond Value ≈ [$40 x (1 - 0.8396) / 0.03] + [$1,000 / 1.191] Bond Value ≈ [$40 x 0.1604 / 0.03] + $840.34 Bond Value ≈ $214 + $840.34 Bond Value ≈ $1,054.34 Therefore, the value of the University of Colorado revenue bond, to the nearest dollar, is approximately $1,054.

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To differentiate between various market segments, the firm must eliminate barriers that identify product or service attributes that the segments value differently. Is this statement TRUE or FALSE? TRUE FALSE

Answers

To differentiate between market segments, firms should identify and leverage the distinct attributes that each segment values differently, rather than eliminating barriers. So, this statement is false.

The statement is FALSE. Differentiating between market segments involves identifying and understanding the unique characteristics and preferences of each segment. Instead of eliminating barriers, firms should recognize and leverage the distinct product or service attributes that each segment values differently. Here's a step-by-step breakdown:

1. Identify market segments: Determine the different groups of customers based on their distinct characteristics, needs, and preferences. This may involve analyzing demographic, psychographic, behavioral, or geographic factors.

2. Understand segment preferences: Conduct market research and gather data to gain insights into what each segment values in a product or service. This can include features, benefits, pricing, convenience, or other factors.

3. Tailor offerings: Develop or modify products or services to align with the specific preferences and demands of each segment. This may involve customization, bundling, or offering different variations or options to cater to their unique needs.

4. Positioning and messaging: Craft marketing messages and positioning strategies that effectively communicate the value proposition of the product or service to each segment. This ensures that the offerings are perceived as relevant and appealing to the target audience.

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It is common knowledge that some ✩ agricultural policies are about price control, while others are about quantity control. a) The equilibrium price of wheat is $5 per bushel and the equilibrium quantity is 100 bushels. Draw a wheat supply and demand graph that shows the equilibrium in the wheat market b) Suppose the government adopts a policy that prohibits farmers from growing more than 80 bushels of wheat in total. How would this policy change the wheat supply curve c) What effects does the policy mentioned in b) have on the equilibrium price? d) What are the consequences of this policy e) Fill in the table of the impact of the production quota on the surpluses

Answers

a) Here is a graph depicting the wheat supply and demand equilibrium at a price of $5 per bushel and a quantity of 100 bushels:

```

       Price

        ^

        |

        |

 $5     |       D

        |      /

        |     /

        |    /

        |   /

        |  /

        | /   S

        |/

        ----------------------> Quantity

```

b) If the government prohibits farmers from growing more than 80 bushels of wheat in total, the wheat supply curve would shift to the left. This means that at any given price, there would be a lower quantity of wheat supplied.

c) The policy mentioned in b) would reduce the quantity supplied of wheat, leading to a decrease in the equilibrium quantity. This decrease in supply relative to demand would result in an upward pressure on the equilibrium price.

d) The consequences of this policy include a potential increase in the price of wheat, reduced availability of wheat in the market, and potentially higher costs for consumers who rely on wheat and wheat-based products. Additionally, farmers may face limitations on their production and potential loss of income.

e) Table of the impact of the production quota on surpluses:

```

                     | Before Quota | After Quota |

-------------------------------------------------

Equilibrium Price     |     $5       |      ?      |

-------------------------------------------------

Equilibrium Quantity  |    100       |      ?      |

-------------------------------------------------

Quantity Demanded     |    ?         |      ?      |

-------------------------------------------------

Quantity Supplied     |    ?         |      ?      |

-------------------------------------------------

Surplus               |    ?         |      ?      |

-------------------------------------------------

```

To fill in the table, we would need additional information regarding the quantity demanded, quantity supplied, and surplus at the new equilibrium after the production quota is implemented.

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Company T incurs a cost of $150 to produce one unit of a speaker. The speaker is sold in the market for $550. Considering the quality of the sound produced by the speaker, customers perceive its value to be about $750. In this scenario, what is the economic value created?
a. $200
b. $600
c. $400
d. $750

Answers

The economic value created in this scenario is $600. This value is obtained by subtracting the cost of production, which is $150, from the perceived value of the speaker, which is $750.

Economic value creation represents the difference between the cost of producing a product and the value that customers perceive in that product.

In this case, customers perceive the speaker to be worth $750, indicating that they are willing to pay more than the cost of production. This $600 of economic value created demonstrates that the company has effectively generated value for both itself and its customers by producing a product that exceeds its cost in terms of customer satisfaction and perceived value.

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Your friend offers to pay you an annuity of $7,300 at the end of each year for 3 years in return for cash today. You could earn 5.5% on your money in other investments with equal risk. What is the most you should pay for the annuity?

Answers

An annuity is a financial contract in which an entity or individual makes a series of payments to another for a specified period.

In this case, your friend offers to pay you an annuity of $7,300 at the end of each year for 3 years in return for cash today. You could earn 5.5% on your money in other investments with equal risk. Therefore, the maximum amount you should pay for the annuity is $19,693.70.For calculating the maximum amount to pay for the annuity, the present value of the annuity must be calculated at the 5.5% rate.

The formula for calculating the present value of an annuity is as follows: Present value of

annuity = PMT × [(1 − (1 / (1 + r)n) )/ r]

where, PMT = Payment per period r = Interest rate per period

n = Total number of periods,

We know that, the PMT is $7,300, the interest rate r is 5.5% per year,

and the number of periods n is 3 years.

So, substituting these values in the formula, we get:

Present value of annuity = $7,300 × [(1 − (1 / (1 + 0.055)³) )/ 0.055]= $19,693.70The most you should pay for the annuity is $19,693.70.

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(15%) Nominal exchange rate (e) of a country Z's national currency - peso - is: 20 peso = 1 USD. At 1,000 peso in the country Z it is possible to purchase as much of goods and services as for 40 USD in the USA. Find the real exchange rate (q) of peso against USD. Is peso undervalued or overvalued?

Answers

The real exchange rate (500) is higher than the nominal exchange rate (20 peso = 1 USD). Therefore, the peso is undervalued, implying that it can buy more goods and services compared to the exchange rate with the USD.

To find the real exchange rate (q) of peso against USD, we need to adjust the nominal exchange rate (e) for the price levels in the two countries. The formula for the real exchange rate is:

q = (e * Pz) / Pus

Where:

e = Nominal exchange rate (20 peso = 1 USD)

Pz = Price level in country Z (1,000 peso)

Pus = Price level in the USA (40 USD)

Plugging in the values, we get:

q = (20 * 1,000) / 40

q = 500

The real exchange rate (q) of peso against USD is 500.

To determine whether the peso is undervalued or overvalued, we compare the real exchange rate (q) with the nominal exchange rate (e). If the real exchange rate is higher than the nominal exchange rate, it indicates that the currency is undervalued, meaning it can purchase more goods and services relative to the exchange rate. Conversely, if the real exchange rate is lower than the nominal exchange rate, it suggests that the currency is overvalued, and its purchasing power is relatively weaker.

In this case, the real exchange rate (500) is higher than the nominal exchange rate (20 peso = 1 USD). Therefore, the peso is undervalued, implying that it can buy more goods and services compared to the exchange rate with the USD.

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In your own understanding, what is the triple constraint
trade-off? i.e. how changes in one of the constraints affect the
other, expound your answers.

Answers

The triple constraint, also known as the project management triangle or the iron triangle, represents the three key factors that are interrelated and have an impact on the success of a project. The three constraints are: Time, Cost, Scope.

Time: Time refers to the project schedule or the duration within which a project needs to be completed. Any changes or delays in the project schedule can have a direct impact on the other two constraints.

Cost: Cost represents the budget or financial resources allocated for the project. Any changes in the project scope or schedule can affect the overall cost of the project. For example, extending the project timeline may require additional resources or incur additional expenses, thus increasing the cost.

Scope: Scope refers to the specific deliverables, features, or requirements of the project. Any changes or additions to the project scope can impact the project schedule and cost. Increasing the scope of the project without adjusting the time and cost constraints may lead to delays and cost overruns.

The triple constraint operates on the principle that any change in one of these constraints will inevitably affect the other two. For example:

If the project timeline is shortened (change in time constraint), it may require additional resources or overtime, which can increase the cost (change in cost constraint).

If the project budget is reduced (change in cost constraint), it may require cutting back on certain project features or reducing the scope (change in scope constraint).

If there are changes or additions to the project scope (change in scope constraint), it may require extending the project timeline and allocating additional resources, which can increase the cost (change in time and cost constraints).

Therefore, project managers need to carefully manage and balance these constraints to ensure project success. Any changes or adjustments made to one constraint must be carefully evaluated and controlled to minimize the impact on the other constraints. Effective project management involves making informed decisions and trade-offs between these constraints to achieve the project's objectives within the given limitations.

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Talk about the different control problems that appear in the functional structure

Answers

Different control problems that appear in the functional structure include coordination, communication, and decision-making. Coordination issues arise when different functions within an organization fail to work together efficiently.

Communication challenges emerge due to silos and lack of information flow between functions. Decision-making problems occur when multiple functions have conflicting goals or struggle to align their decisions.

In a functional structure, an organization is divided into different departments or functions, such as finance, marketing, operations, and human resources. While this structure has its advantages, such as specialization and efficiency within each function, it can also give rise to various control problems.

1. Coordination: As functions become more specialized, they may develop their own goals and priorities, leading to a lack of coordination. This can result in duplication of efforts, inefficient use of resources, and conflicts between functions. Effective coordination mechanisms, such as cross-functional teams or regular communication channels, are essential to address this problem.

2. Communication: Functional silos can hinder the flow of information between different parts of the organization. Lack of communication and information sharing can lead to misunderstandings, delays in decision-making, and missed opportunities. Encouraging open communication, promoting transparency, and implementing effective communication channels can help overcome this challenge.

3. Decision-making: Each function may have its own decision-making processes and priorities, which can create conflicts and hinder organizational-wide decision-making. Different functions may pursue their individual goals without considering the broader organizational objectives. Establishing clear decision-making frameworks, involving cross-functional collaboration, and aligning goals across functions can mitigate this issue.

Overall, addressing control problems in a functional structure requires a focus on improving coordination, communication, and decision-making processes. By fostering collaboration, breaking down silos, and promoting a share understanding of organizational goals, these problems can be effectively managed.

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Madsen Motors's bonds have 16 years remaining to maturity. Interest is paid annually, they have a $1,000 par value, the coupon interest rate is 11%, and the yield to maturity is 13%. What is the bond's current market price? Round your answer to the nearest cent.

Answers

A bond's price is determined by the future cash flows that it will provide, discounted to present value. It has 16 years left until maturity, with a coupon rate of 11 percent and a yield to maturity of 13 percent.

The bond's par value is $1,000, and interest payments are made yearly, resulting in a current market price calculation as follows :Bond Price = (C × (1 − 1 / (1 + r) n) / r) + (M / (1 + r) n)where; C is the coupon rate, r is the yield to maturity, n is the number of years until maturity, and M is the bond's par value Putting the values into the formula, Bond Price = ($110 × (1 − 1 / (1 + 0.13)16) / 0.13) + ($1,000 / (1 + 0.13)16) = $906.65Therefore, the bond's current market price is $906.65 when rounded to the nearest cent.

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2000 dollars deductible real estate he used 30 percent standard method his income $25,000. what is the amount of his real estate tax deduction on schedule A,itemized deduction?

Answers

The taxpayer would be able to deduct $2,000 as the real estate tax deduction on Schedule A.

To calculate the amount of the real estate tax deduction on Schedule A, you need to know the total amount of real estate taxes paid and the taxpayer's adjusted gross income (AGI).

In this case, the taxpayer used the standard method and has an income of $25,000. However, the deductible real estate taxes are subject to a deductible floor, which means only the amount that exceeds a certain threshold can be deducted.

Let's assume the deductible floor for real estate taxes is 2% of the taxpayer's AGI.

Step 1: Calculate the deductible floor:

Deductible floor = 2% * AGI

Deductible floor = 2% * $25,000

Deductible floor = $500

Step 2: Calculate the deductible amount:

Deductible amount = Total real estate taxes paid - Deductible floor

Since the amount of real estate taxes paid is not provided in the question, we cannot calculate the exact deduction. However, if the total real estate taxes paid exceed the deductible floor of $500, the taxpayer can deduct the amount that exceeds the floor on Schedule A as an itemized deduction.

For example, if the total real estate taxes paid were $2,500, the deductible amount would be:

Deductible amount = $2,500 - $500 = $2,000

In this case, the taxpayer would be able to deduct $2,000 as the real estate tax deduction on Schedule A.

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Beginning on this date in 2028 , you will put $12,000 into your Roth IRA Account. You will continue to make annual deposits on this date thru and including 2060 and the Roth IRA will grow at 6 percent annually, - How many total payments will be made? - Find value of the Roth IRA on this date in 2060

Answers

The total number of payments made to the Roth IRA account will be 32, and the value of the Roth IRA on the date in 2060 will be approximately $69,250.96.

To find the total number of payments, we need to calculate the difference in years between the start date in 2028 and the end date in 2060, and divide it by the annual deposit period of 1 year.

2060 - 2028 = 32 years

Therefore, the total number of payments will be 32.

To find the value of the Roth IRA in 2060, we can use the future value formula:

[tex]FV = PV * (1 + r)^n[/tex]

Where:

FV = Future value

PV = Present value (initial deposit)

r = Interest rate per period

n = Number of periods

In this case:

PV = $12,000

r = 6% (or 0.06)

n = 32 (number of years)

Plugging in these values into the formula:

[tex]FV = $12,000 * (1 + 0.06)^32[/tex]

Calculating the value:

[tex]FV = $12,000 * (1.06)^32 ≈ $69,250.96[/tex]

Therefore, the value of the Roth IRA on the date in 2060 will be approximately $69,250.96.

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The observation that beyond some point, successive increases in a variable factor of production added to a fixed factor of production lead to smaller and smaller increases in output is Select one: OA. the law of marginal utility. OB. the law of opportunity costs. OC. the law of diminishing (marginal) returns. OD. the law of averages.

Answers

The correct answer is OC. the law of diminishing (marginal) returns.

The law of diminishing returns states that as additional units of a variable factor of production are added to a fixed factor of production, the marginal product of the variable factor will eventually decrease. In other words, beyond a certain point, the increase in output from adding more units of the variable factor becomes smaller and smaller.

This principle is based on the idea that there are limits to the productivity of a fixed factor, such as a fixed amount of land or capital, which cannot be increased in the short run. As more units of the variable factor are employed, they may start to experience diminishing marginal returns due to factors like limited space, specialization constraints, or coordination issues.

This observation is important in economics and production theory as it helps explain why there is an optimal level of input usage for achieving maximum output efficiency. Beyond that optimal level, the additional input may not generate proportionate increases in output and can even lead to inefficiencies.

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A benchmark market value index is comprised of three stocks. Yesterday the three stocks were priced at $15,$35, and $80. The number of outstanding shares for each is 900,000 shares, 800,000 shares, and 100,000 shares, respectively. If the stock prices changed to $14,$15, and $130 today respectively, what is the 1 -day rate of return on the index? −24.04% 22.31% −18.27% 13.52%

Answers

The formula for calculating the rate of return for the index is given as below,Rate of Return = [(Current Value - Initial Value) ÷ Initial Value] × 100%Calculation of Rate of Return for the Index:Initial Value = (15 x 900,000) + (35 x 800,000) + (80 x 100,000)

Initial Value = $30,500,000Current Value = (14 x 900,000) + (15 x 800,000) + (130 x 100,000)Current Value = $40,500,000Substitute the values in the formula,Rate of Return = [(40,500,000 - 30,500,000) ÷ 30,500,000] × 100%Rate of Return = (10,000,000 ÷ 30,500,000) × 100%Rate of Return = 0.3278 × 100%Rate of Return = 32.78%Therefore, the 1-day rate of return on the index is 32.78%. Hence, the correct option is 22.31%.Option (b) is the correct answer.

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Microeconomics is the branch of economics that deals with A. the behavior of individual firms. B. how economic units interact to form markets. C. aggregate economic quantities. D. interest rates. E. Both A and B are correct.

Answers

E. Both A and B are correct. microeconomics focuses on the behavior of individual firms (option A) as well as how economic units, such as consumers and firms, interact to form markets (option B).

It analyzes the decision-making process of individual agents, their interactions in markets, and the determination of prices and quantities. Microeconomics studies the allocation of scarce resources and examines topics such as supply and demand, production and cost, market structures, and market efficiency.

Microeconomics, as the branch of economics, analyzes the behavior of individual firms (option A) and how economic units interact to form markets (option B). It delves into the decision-making process of individual agents, such as consumers and firms, and examines their interactions within markets. Microeconomics studies the factors that influence the supply and demand of goods and services, production and cost decisions, different market structures (such as perfect competition or monopoly), and the efficiency of these markets. It seeks to understand how individuals and firms make choices to allocate scarce resources in the most optimal way.

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Potential investors are looking for information regarding the claims of creditors against the assets of the business. Which of the following financial statements would provide such information?
O income statement
statement of retained earnings
O balance sheet
statement of cash flows

Answers

The correct answer is the balance sheet. The balance sheet provides information about the financial position of a business at a specific point in time.

It includes the assets, liabilities, and owner's equity of the business. The claims of creditors against the assets of the business are reflected in the liabilities section of the balance sheet. This section lists the obligations and debts owed by the business to external parties, including creditors. Therefore, the balance sheet is the financial statement that would provide information about the claims of creditors against the assets of the business.

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What is GDP? Determine factors constituting GDP

Answers

Gross Domestic Product (GDP) is a widely used economic indicator that measures the total value of all final goods and services produced within a country's borders during a specific period, typically a year.

It serves as a measure of the economic output and overall size of an economy. The factors constituting GDP include: Consumption (C): This represents the expenditure by households on goods and services. It includes spending on durable goods (e.g., cars, appliances), non-durable goods (e.g., food, clothing), and services (e.g., healthcare, education, transportation). Investment (I): This includes spending by businesses on capital goods, such as machinery, equipment, and buildings, to increase production capacity. It also includes investment in residential properties. Investment can be divided into business fixed investment and residential investment.Government Spending (G): This comprises the expenditure by the government on goods and services. It includes spending on public infrastructure, defense, education, healthcare, and other government programs.

Net Exports (X - M): Net exports represent the difference between a country's exports (X) and imports (M). Exports include the value of goods and services produced domestically and sold to other countries, while imports represent the value of goods and services produced in other countries and purchased domestically. A positive net export contributes to GDP, while a negative net export subtracts from GDP.

Mathematically, GDP can be expressed as:

GDP = C + I + G + (X - M)

It's important to note that GDP is a measure of the final value of goods and services produced, so intermediate goods and services (used as inputs in the production process) are not counted to avoid double-counting. Additionally, GDP does not capture informal or underground economic activities that are not included in official records.

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Consider a student loan of ​$15,000 at a fixed APR of 6​% for 15 years.
a. Calculate the monthly payment.
b. Determine the total amount paid over the term of the loan.
c. Of the total amount​ paid, what percentage is paid toward the principal and what percentage is paid for interest.

Answers

Given Information Loan Amount = $15000 Fixed Annual Percentage Rate (APR) = 6%Term = 15 years To calculate the monthly payment we use the formula for the present value of an annuity.Present value of annuity = A x [1 - 1/(1+r)^n]/r Where A = Periodic payment amount r = Periodic interest raten = Number of payments So,Monthly payment = Present value of annuity Present value of annuity = $15,000 x [0.005(1+0.005)^(15*12)]/[(1+0.005)^(15*12) - 1]The monthly payment is $121.81 (approx).

Now, to determine the total amount paid over the term of the loan we multiply the monthly payment by the total number of payments.Total number of payments = Number of payments per year x Number of years Number of payments per year = 12 Number of years = 15 So,Total number of payments = 12 x 15 = 180 Total amount paid = Monthly payment x Total number of payments The total amount paid over the term of the loan is $21,924.07 (approx).Now to calculate the percentage of payment towards principal and interest we can use an amortization schedule to find out how much interest and how much principal is paid each month. From the amortization schedule, we can find out that Interest paid = Total amount paid - Loan amount Principal paid = Monthly payment - Interest paid So,Interest paid = $21,924.07 - $15,000 = $6,924.07 Principal paid = $121.81 - $62.50 = $59.31 Total amount paid over 15 years is $21,924.07 (approx), out of which $6,924.07 is paid towards interest and $15,000 is paid towards the principal.

Therefore, the percentage of payment towards the principal is:Percentage paid towards principal = (Amount paid towards principal/Total amount paid) x 100= ($15,000/$21,924.07) x 100= 68.42%Percentage paid towards interest = (Amount paid towards interest/Total amount paid) x 100= ($6,924.07/$21,924.07) x 100= 31.58%Therefore, the percentage of payment towards principal is 68.42% and the percentage of payment towards interest is 31.58%.

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a. To calculate the monthly payment for the student loan, we can use the loan payment formula. The formula is as follows:

M = P * (R * (1 + R)^N) / ((1 + R)^N - 1)

Where:

M is the monthly payment

P is the principal amount ($15,000 in this case)

R is the monthly interest rate (6% / 100 / 12)

N is the total number of monthly payments (15 years * 12 months per year)

Let's calculate the monthly payment:

Principal amount (P) = $15,000

Monthly interest rate (R) = 6% / 100 / 12 = 0.005

Total number of monthly payments (N) = 15 years * 12 months per year = 180 months

M = 15000 * (0.005 * (1 + 0.005)^180) / ((1 + 0.005)^180 - 1)

Using this formula, the calculation yields:

M ≈ $121.33

Therefore, the monthly payment for the student loan is approximately $121.33.

b. To determine the total amount paid over the term of the loan, we can multiply the monthly payment by the total number of monthly payments:

Total amount paid = Monthly payment * Total number of monthly payments

Total amount paid = $121.33 * 180

Total amount paid ≈ $21,839.40

Therefore, the total amount paid over the term of the loan is approximately $21,839.40.

c. To calculate the percentages paid toward the principal and interest, we need to analyze the loan amortization. The easiest way to do this is by using an amortization schedule. However, I'll provide an estimate based on average values.

Given that the loan is paid over 15 years, it is likely that a significant portion of the payments will be paid towards the interest during the initial years. As the loan progresses, a larger portion will be paid towards the principal.

As a rough estimate, you can assume that approximately 70% of the total amount paid is paid towards the principal, and the remaining 30% is paid as interest. These percentages may vary depending on the exact amortization schedule, but they provide a reasonable approximation.

Percentage paid toward principal: 70%

Percentage paid for interest: 30%

Therefore, approximately 70% of the total amount paid goes toward the principal, and 30% goes towards interest.

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What kind of FESTIVAL would you like to create on the UNT-Dallas
property?

Answers

I would like to create a Cultural Fusion Festival on the UNT-Dallas property.

The Cultural Fusion Festival would aim to celebrate the diverse cultures represented within the UNT-Dallas community and beyond. It would provide a platform for students, faculty, and the local community to showcase their unique traditions, art forms, music, dances, and culinary delights. The festival would promote cross-cultural understanding, appreciation, and unity by encouraging participation and engagement from individuals of different backgrounds. It could feature interactive booths, cultural performances, workshops, food stalls offering a variety of cuisines, art exhibitions, and opportunities for cultural exchange. The festival would not only be an enjoyable and educational experience but also foster a sense of belonging and promote diversity and inclusion on the UNT-Dallas campus.

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What would be an example of flexible work assignments, and how would you accomplish the most productivity during your scheduled work time?

Answers

An example of flexible work assignments could be a project-based approach where employees are given the freedom to choose and manage their tasks within a given project.

Instead of rigidly assigning specific tasks, employees have the autonomy to determine the best way to accomplish their goals, prioritize their work, and allocate their time effectively.

To accomplish the most productivity during scheduled work time, here are some strategies:

1. Set Clear Goals: Clearly define your objectives and prioritize tasks based on their importance and urgency. Break down larger goals into smaller, manageable tasks to maintain focus and track progress.

2. Time Management: Use time management techniques such as prioritizing tasks, creating schedules or to-do lists, and setting specific time blocks for focused work. Avoid multitasking and dedicate uninterrupted time to each task.

3. Minimize Distractions: Create an environment conducive to productivity by minimizing distractions. This can include turning off notifications, finding a quiet workspace, or using productivity tools to block certain websites or apps during work sessions.

4. Utilize Productivity Tools: Leverage technology tools and apps that can enhance productivity and organization. These may include project management software, task-tracking tools, communication platforms, and time-tracking apps to monitor and manage work progress effectively.

5. Practice Effective Communication: Maintain open and clear communication with colleagues, supervisors, or team members. Regularly communicate progress, ask for clarification if needed, and provide updates on your work to ensure alignment and collaboration.

6. Take Regular Breaks: Breaks are essential for maintaining focus and preventing burnout. Incorporate short breaks into your work schedule to recharge and refresh your mind. Use techniques like the Pomodoro Technique (working in focused intervals followed by short breaks) to maintain productivity and avoid fatigue.

7. Foster Work-Life Balance: Maintain a healthy work-life balance by setting boundaries and allocating time for personal activities, relaxation, and self-care. Ensuring sufficient rest and leisure time improves overall well-being, which in turn enhances productivity during work hours.

8. Continual Learning and Improvement: Stay updated on industry trends, technologies, and best practices relevant to your work. Seek opportunities for professional development and growth to enhance your skills and knowledge, which can lead to increased productivity in your work assignments.

Remember that productivity is not solely about working longer hours but rather about working smarter and more efficiently. By employing effective time management, focus, communication, and balance, you can optimize your productivity and accomplish more during your scheduled work time.

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What are some key differences between BCG and IE portfolio matrices? Please consider an industry in which you have worked, are working, or would like to work when addressing the questions

Answers

BCG and IE portfolio matrices are two portfolio analysis tools. The differences between BCG and IE portfolio matrices are: BCG (Boston Consulting Group) Matrix The BCG matrix categorizes an organization's products or services into four categories: cash cows, stars, question marks, and dogs.

The organization may then analyze and allocate its resources to the categories appropriately.IE (Internal-External) Matrix The IE matrix focuses on two dimensions: internal factors and external factors. An organization's strengths and weaknesses are evaluated based on its internal environment, while its opportunities and threats are evaluated based on its external environment. The IE matrix then categorizes the organization's strategic position into one of nine cells, each of which has a different strategy. These tools differ in that the BCG matrix categorizes an organization's products into four categories, while the IE matrix categorizes the organization's strategic position into one of nine cells. BCG also concentrates on the market share and growth potential of an organization's goods or services.

At the same time, the IE matrix focuses on the internal and external environment of the organization, allowing for a more in-depth analysis of its strategic position. To better understand the differences between these two matrices, let's take the example of the automotive industry. Consider an automobile business that produces and sells a variety of products. The BCG matrix would evaluate these goods based on their market share and growth potential and categorize them as cash cows, stars, question marks, or dogs. The IE matrix, on the other hand, would evaluate the company based on its strengths, weaknesses, opportunities, and threats, and then position it in one of the nine cells based on its strategic position.

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Attempted share issue privatizations are often withdrawn based on
A) Political Considerations
B) Public Finance Considerations
C) Anti-Trust Considerations
D) A and B.

Answers

When attempted share issue privatizations are withdrawn, it is often based on a combination of political and public finance considerations. The correct option is D) Both A and B

These factors play a significant role in determining the outcome of privatization attempts. The withdrawal of attempted share issue privatizations can be attributed to various factors, but the most common reasons are political and public finance considerations. These considerations are closely intertwined and can impact the decision-making process.

1. Political Considerations: Privatizations are often subject to political dynamics and government agendas. If there is opposition or political unrest surrounding a privatization attempt, it can lead to its withdrawal. Political considerations may include concerns about public perception, backlash from interest groups, or political shifts that alter the government's priorities.

2. Public Finance Considerations: Governments must carefully evaluate the financial implications of privatization. If the proposed privatization is deemed unfavorable or could result in negative consequences for public finance, such as a loss of revenue or increased financial burden, the decision to withdraw the share issue privatization may be made in the interest of protecting the country's financial stability.

The combination of political and public finance considerations often leads to the withdrawal of attempted share issue privatizations. It is crucial for governments to weigh these factors and assess the potential risks and benefits before proceeding with privatization efforts.

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