Imagine that a manufacturing needs to produce 240 products weekly. The company has three manufacturing processes A, B and C. Machine A can finalize a product in 24 minutes; machine B 36 minutes and assembly line C can finalize in 12 minutes. How many machine A, B and C should the company invest to minimize Muda? Design its flow!
8 work hours per day

Answers

Answer 1

The manufacturing needs to produce 240 products weekly.8 work hours per day. The time taken by Machine A to finalize a product = 24 minutes. The time taken by Machine B to finalize a product = 36 minutes. The time taken by Assembly Line C to finalize a product = 12 minutes.

To minimize Muda and design its flow, let us calculate the total number of minutes required to manufacture 240 products weekly. Total number of products needed to be produced per day = 240 / 5 = 48 Number of products produced in an hour = 48 / 8 = 6The total number of minutes required to finalize a product using Machine A = 24 minutes. The total number of minutes required to finalize a product using Machine B = 36 minutes. The total number of minutes required to finalize a product using Assembly Line C = 12 minutes.

Using machine A, number of products that can be produced in 1 hour = 60 / 24 = 2.5Using machine B, number of products that can be produced in 1 hour production = 60 / 36 = 1.67Using assembly line C, number of products that can be produced in 1 hour = 60 / 12 = 5Thus, to minimize Muda, the company should use Assembly line C to finalize the products. The company should invest in 5 Assembly line C to produce 240 products weekly. Design of the flow: Step 1: Manufacture the product parts in one location. Step 2: Assemble the parts in a separate location. Step 3: Use Assembly Line C to finalize the products.

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Related Questions

Reflect on a time you have seen language interfere with a message either at work, school or in your personal life. How might a change in the formality, simplicity, or reduction in redundancy have made the message easier to understand? If you have never experienced a situation like this, simply reflect on how you believe the use of industry jargon, as opposed to direct plain language, might affect the audience's ability to decode and act on a message. Once posted, respond to two or three of your peers. Your response should engage the author of the post by either asking further questions about the scenario, comparing the scenario to a personal experience, or commenting on the action taken in relation to how you would have either behaved similarly or differently in the given situation.

Answers

By using plain language and ensuring clarity, the message could have been decoded more easily, fostering better understanding and collaboration among team members.

One instance where language interfered with a message was during a work meeting where a colleague used technical jargon extensively without considering the audience's familiarity with the terms. This made it difficult for some team members, especially those from different departments, to understand the discussion and contribute effectively.

In such situations, a change in formality, simplicity, or reduction in redundancy would have made the message easier to understand. Simplifying the language, avoiding excessive use of industry-specific jargon, and providing clear explanations or definitions of technical terms would have helped bridge the communication gap.

The importance of considering the audience's knowledge and background when communicating. It is crucial to strike a balance between using language appropriate to the context and ensuring that the message is accessible to everyone involved.

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Question 2 Discuss the possible products or services that companies engaged in international business can offer to countries with an ageing population.

Answers

Companies involved in international business should provide products or services to nations with an aging population. The older population segment is more likely to utilize services or products tailored to their needs, such as prescription drugs, assistive technology, and personalized finance. Geriatric services, home healthcare, and senior-living facilities may be examples of services that might be helpful to an aging population.

The following are some of the products or services that international companies might provide to nations with an aging population:

1. Assisted Living and Elder Care - The demand for elderly care and assisted living facilities is rising as the world's population ages. This is due to a shift in the socio-economic circumstances of the aging population and the improvement of senior living options.

2. Medical Devices - Medical devices are essential in treating elderly people. Companies should make an effort to create products that enhance the lives of seniors. These include innovative medical technologies, particularly assistive devices that aid in daily living activities.

3. Financial Services - Another potential product or service that international companies may provide is financial services. This could involve developing financial products or services specifically aimed at the older population segment, such as retirement savings plans and long-term care insurance.

4. Health and Wellness Products - Senior citizens are increasingly focused on maintaining their health and well-being as they get older. This could include healthy food products or dietary supplements that cater to specific age groups. Additionally, beauty and cosmetic products targeted at senior citizens may be in high demand as well.

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A binary variable can be used to determine whether a logistics
facility should be open or closed.
True
False

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True, a binary variable can be used to determine whether a logistics facility should be open or closed.

A binary variable is a variable that can take only two values, typically represented as 0 and 1 or "true" and "false." In the context of determining whether a logistics facility should be open or closed, a binary variable can be used to represent the decision. For example, if the binary variable is set to 1 or "true," it indicates that the facility should be open, while if it is set to 0 or "false," it indicates that the facility should be closed.

The use of a binary variable allows for a clear and straightforward decision-making process regarding the operation of a logistics facility. This variable can be based on various factors such as demand, capacity, costs, and operational considerations. By assigning the appropriate value to the binary variable, logistics managers and decision-makers can determine whether it is optimal to keep the facility open or closed based on the specific conditions and requirements at any given time.

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If you were testing whether the difference between two population means were equal (thus your H
0


1


2

), what value would you find in the center of your randomization distribution? a. The sample mean difference. b. The value of the sample mean for group 1. c. The value of the sample mean for group 2 . d. approximately 0

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If we are testing, using hypothesis testing whether the difference between two population means were equal, the value for the center of your randomization distribution will be approximately 0. Thus, option D is correct.

A statistical hypothesis test is a technique for determining if the available data are sufficient to support a specific hypothesis. We can make probabilistic claims regarding population parameters through hypothesis testing.

H₀: μ₁ = μ₂ can be written as so we will find 0 at center. In hypothesis testing, the value in the middle of normal distribution graph is the hypothesized difference.

Here,

H₀: μ₁ -  μ₂ =0 ,

Therefore, at the center of the normal distribution we will find 0.

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Which is an advantage of leasing? A. A large down payment is usually not required B. Monthly payments exclude sales tax C. A lease can be cancelled by the lessee at any time D. Few additional fees or charges apply

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A.) , "A large down payment is usually not required," accurately represents one of the advantages of leasing.

Leasing offers several advantages, and one of them is that a large down payment is typically not required. Unlike purchasing, where a significant upfront payment is often necessary, leasing allows individuals or businesses to acquire the use of an asset without making a substantial initial investment. Instead, lease agreements typically involve regular monthly payments over a specified period.

By eliminating the need for a large down payment, leasing provides greater flexibility and accessibility to individuals or businesses that may have limited funds available for upfront expenses. This can be particularly beneficial for those who prefer to conserve their cash flow or allocate their resources to other areas of their operations or investments.

It is worth noting that leasing arrangements may vary, and some leases may require a down payment or an upfront deposit, depending on the specific terms and conditions of the lease agreement. However, compared to purchasing an asset outright, leasing generally offers more flexibility and a reduced financial burden in terms of initial costs.

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Brand loyalty differs from repeat purchase behaviour in that brand loyalty:
a. must not include any purchase of another brand when the primary brand is available
c. implies a psychological commitment to the brand
d. must exist over a minimum of 6 repurchase cycles
b. involves at least 90 per cent of product category purchases with a single brand

Answers

Brand loyalty is a common term in marketing that refers to a customer's commitment to a brand. The customer prefers the same brand repeatedly over time and will recommend it to others. The correct option is c.

Brand loyalty is different from repeat purchase behaviour. The following are the characteristics of brand loyalty: It is a psychological attachment to a particular brand. Customers consider a brand to be a reflection of their own self-image when they purchase it. They're not just buying a product; they're buying a feeling. It necessitates consistent repurchasing. Loyal customers purchase the same brand frequently and regularly, and are unlikely to switch to another brand in the same category. Loyal customers are also brand advocates, and they recommend the brand to others. Loyal customers may be willing to pay more for their preferred brand, implying that price is not the only consideration. There are no limitations on the amount of another brand that a customer can purchase when the primary brand is available. A customer who purchases two or more brands within the same category is considered a repeat purchaser, but not a loyal customer. Therefore, choice (a) is not correct. At least 90% of product category purchases with a single brand is not required for brand loyalty. Therefore, choice (b) is incorrect. Brand loyalty does not have to last a certain number of repurchase cycles. Therefore, choice (d) is incorrect.

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ABC is an Australian firm. Assume the following: 1. ABC needs 100M HKD for 12 months 2. After 12 months, ABC wishes to sell the HKD 3. The firm currently does not hold any HKD assets 4. The firm is risk-averse and wishes to minimize transaction costs 5. The current spot rate is EAUD/HKD=0.22 What should be ABC’s strategy?
A. Enter into a swap with a counterparty: ABC pays 22M AUD to receive 100M HKD now. After 12 months, ABC sells 100M HKD for 21.8M AUD. B. Purchase 100M HKD at EAUD/HKD =0.22 now. Enter into a forward contract now to sell 100M HKD after 12 months at FAUD/HKD=0.215 C. Purchase 100M HKD at EAUD/HKD =0.22 now. After 12 months, sell 100M HKD at the prevailing spot exchange rate. D. Strategies mentioned in A) and B) are equally as attractive E. None of the above

Answers

Based on the given information and the objective of minimizing transaction costs, option B is the most suitable strategy for ABC:

B. Purchase 100M HKD at EAUD/HKD = 0.22 now. Enter into a forward contract now to sell 100M HKD after 12 months at FAUD/HKD = 0.215.

Here's the explanation for choosing this option:

Option A involves entering into a swap agreement, where ABC pays 22M AUD to receive 100M HKD and then sells the 100M HKD after 12 months. However, there is a transaction cost involved in both the initial exchange and the subsequent sale, which may not align with ABC's objective of minimizing transaction costs.

Option C involves purchasing 100M HKD at the current spot exchange rate and then selling it at the prevailing spot exchange rate after 12 months. This strategy exposes ABC to exchange rate fluctuations, and it's uncertain whether the spot exchange rate after 12 months will be favorable or not, potentially leading to losses or higher transaction costs.

Option D is incorrect because Option B is a more suitable strategy for minimizing transaction costs compared to Option A.

Option E is incorrect because Option B provides a specific strategy that aligns with ABC's objective of minimizing transaction costs.

Therefore, Option B is the recommended strategy for ABC: Purchase 100M HKD at EAUD/HKD = 0.22 now and enter into a forward contract to sell 100M HKD after 12 months at FAUD/HKD = 0.215. This allows ABC to secure a fixed exchange rate, reducing uncertainty and minimizing transaction costs.

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Mr. and Mrs. McGraw received $50,160 Social Security benefits this year. They also received $108,000 taxable pension payments and earned $47,300 interest and dividends from their investment portfolio. How much of the McGraws' Social Security is included in gross income? Multiple Choice. a. $0 .b$25,080 . c.$42.636. d. $50,160

Answers

The amount of the McGraws' Social Security that is included in gross income will be: c.$42.636.

How much of the social security benefits is included in gross income?

According to standards, 85% of theamount received in social security bemefits would be included int he gross income. So, to obtain the amount from Mr. and Mrs. McGraw's social security benefits that would be allocated to gross income, we need to get 85% of that amount.

So, 0.85 * $50,160 is $42,636. We can thus conclude that $42,636 of the social security benefits of this couple will go to gross income.

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Your Name: To develop a great retail strategy, you must understand the competition. So far, you’ve learned about the value retailers bring to consumers, distribution channels, types of retailers, consumer buying behaviours and what the industry refers to as the ‘retail mix’. Today, you’ll be putting your knowledge to the test by analyzing the competition. In Week 1 your group chose a retail concept by focusing on a specific consumer lifestyle/event. Write your group’s chosen lifestyle/event here: You also assigned one competitor to each group member. Write the name and URL of the competitor that was assigned to you below: Competitor’s Name URL Finally, you studied the ‘retail mix’ in Weeks 1 & 2. For a refresher, visit the textbook Chapter 1, Page 18, Exhibit 1-8. You will be looking at the way your competitor has organized their retail mix (using 4 of the 7 elements) and reporting back to your group with your findings. Think of this as a spy mission, where you’ll be learning about the industry best practices your competitor uses. Your group can use this information as inspiration when creating your online store. Like in all inn

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The group’s chosen lifestyle/event is ‘Fitness enthusiasts’.The competitor assigned to me is ‘Nike’. Nike URL is  order to develop a great retail strategy, understanding the competition is important.

In this assignment, we will be analyzing Nike and the way they have organized their retail mix by looking at four out of seven elements. These elements include product, price, promotion, and place.Nike’s products include athletic footwear, apparel, and accessories. The pricing strategy used by Nike is value-based. They base their prices on the value that customers perceive of their products.

Nike promotes its products through various advertising and marketing campaigns. Nike uses place-based marketing, which involves placing ads where customers are likely to be, such as in stores or online.In conclusion, analyzing Nike’s retail mix has provided us with valuable insights into the company’s best practices. This information can be used as inspiration for our group’s online store. By implementing similar strategies, our group can attract fitness enthusiasts and offer them high-quality products at a value-based price.

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6a-1e Product/Service Development Analysis Explanation: Before going any further with a conceptual idea, the entrepreneur must determine whether the concept has any practical feasibility. One of the most important questions in this section of the feasibility analysis would be: "What unique features distinguish your product/service?" The more unique the features of a product or service, the better chance the business concept has of being successful.

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Product/Service Development Analysis: The development of a product or service is one of the most critical aspects of any business concept. Before launching a new product or service, the entrepreneur must conduct a feasibility analysis to determine if the concept has practical feasibility.

One of the most important questions in this section of the feasibility analysis would be: "What unique features distinguish your product/service?" The more unique the features of a product or service, the better chance the business concept has of being successful.

The product or service should address a significant market need and solve a critical problem. The development of the product or service should be based on solid research and analysis of the market and consumer needs.

The entrepreneur should have a deep understanding of the target audience and their needs.The product or service should also be scalable and have the potential for growth. It should be adaptable to changing market trends and consumer demands.

The entrepreneur should have a plan for continuous improvement and innovation to stay ahead of the competition.Finally, the entrepreneur should have a solid plan for the launch and promotion of the product or service.

The marketing strategy should be based on a thorough analysis of the market and competition. It should be designed to generate awareness, interest, and demand for the product or service.The development of a product or service is a critical step in the business concept.

The entrepreneur should have a deep understanding of the market, consumer needs, and competition. They should develop a unique and scalable product or service that solves a critical problem. Finally, they should have a solid plan for launch and promotion.

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To ensure the right clerk is selected for an opening, a law firm reviews all résumés (C.V. d) electronically and assesses candidates through several interviews. Specify the type of control that is illustrated in this case.

Answers

The type of control that is illustrated in the given case is Bureaucratic control. A bureaucratic control system emphasizes organizational rules and policies, as well as internal management of the organization's resources. Bureaucratic control also emphasizes adherence to pre-determined guidelines and standard operating procedures.

This type of control requires strict adherence to rules, procedures, and policies, which may lead to limited autonomy for lower-level personnel. Bureaucratic control is commonly used in formal organizations such as law firms because of the need for consistent standards in professional behavior and output.

Law firms use bureaucratic control to ensure the right clerk is selected for an opening by reviewing all résumés (C.V.) electronically and assessing candidates through several interviews. Thus, bureaucratic control is a type of control that is illustrated in this case.

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What is the PV of annual payments of CAD 4,000 over five years at a rate of 3.4% p.a.?

Answers

The present value of annual payments of CAD 4,000 over five years at a rate of 3.4% p.a. is CAD 16,817.67.

Present Value (PV) is defined as the current value of an amount that is available in the future, given a specific rate of return. The formula to calculate present value is:

PV = C * (1 – (1 + r) -n / r)

Where, PV is the Present Value

C is the cash flown is the number of period sr is the interest rate

In this scenario, the annual payment is CAD 4,000 over five years at a rate of 3.4% p.a.

Using the formula for Present Value, the calculation is as follows:

PV = CAD 4,000 * (1 – (1 + 0.034) -5 / 0.034)PV = CAD 16,817.67

Therefore, the present value of annual payments of CAD 4,000 over five years at a rate of 3.4% p.a. is CAD 16,817.67.

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You have the following information:
- Ordering cost: $300/order
- Carrying cost (Carrying cost): $10/year
- Daily Demand rate: 20 units/day
- Production rate: 70 units/day
- Supply lead time: 10 weeks
- Safety stock: 120 units
- Initial Inventory (Stock on-hand): 1200 units
- 52 weeks per year, 365 days per year
Taking into account the above, answer the following :
1) Annual ordering cost.
2) Annual cost of holding inventory (annual carrying cost)
3) Total cost (total cost)
4) Should a new order be placed? YES, NO, and why?
5) If YES, in what quantity should the order be placed?

Answers

The order should be placed for 1540 units.

The annual ordering cost would be 5.2 * $300 = $1560.

The annual cost of holding inventory would be 660 * $10 = $6600.

Annual ordering cost: The ordering cost is given as $300/order. To calculate the annual ordering cost, we need to determine the number of orders placed in a year.

Since the supply lead time is 10 weeks and there are 52 weeks in a year, the number of orders placed in a year would be 52/10 = 5.2 orders (approximately).

Therefore, the annual ordering cost would be 5.2 * $300 = $1560.

Annual cost of holding inventory (annual carrying cost):

The carrying cost is given as $10/year. To calculate the annual cost of holding inventory, we need to determine the average inventory level.

The average inventory level can be calculated by taking the sum of the initial inventory (1200 units) and safety stock (120 units) and dividing it by 2.

Average inventory level = (1200 + 120) / 2 = 660 units (approximately).

Therefore, the annual cost of holding inventory would be 660 * $10 = $6600.

Total cost: The total cost is the sum of the annual ordering cost and the annual cost of holding inventory.

Total cost = Annual ordering cost + Annual carrying cost = $1560 + $6600 = $8160.

Should a new order be placed? YES, NO, and why?

To determine if a new order should be placed, we need to compare the current inventory level with the reorder point.

The reorder point can be calculated by multiplying the daily demand rate by the supply lead time and adding the safety stock.

Reorder point = (20 units/day) * (10 weeks * 7 days/week) + 120 units = 1540 units.

Since the current inventory level (1200 units) is below the reorder point, a new order should be placed.

If YES, in what quantity should the order be placed?

To determine the order quantity, we need to consider the production rate and the time it takes for the order to arrive.

The time it takes for the order to arrive is the supply lead time, which is 10 weeks or 10 * 7 = 70 days.

Considering a daily demand rate of 20 units/day, the order quantity should cover the demand for the lead time plus the safety stock.

Order quantity = (20 units/day) * (70 days) + 120 units = 1540 units.

Therefore, the order should be placed for 1540 units.

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Management and Logistics Considerations: Explain management and logistics practices that best address human-resource considerations for your selected market, such as management approaches or staff and labor laws and their impact on policies and procedures?

Answers

Management and logistics considerations play a crucial role in a business's success when operating in a foreign market. Human-resource considerations, in particular, have a significant impact on the company's ability to navigate unfamiliar locations and effectively manage their workforce.

Key practices that address these considerations in the selected market include understanding the international business culture and language, implementing effective recruiting and retention strategies, providing comprehensive training and development programs, and ensuring compliance with local staff and labor laws.

1. International Business Culture and Language: When operating in different countries, it is essential for companies to familiarize themselves with the local business culture and language. This understanding facilitates effective communication with local employees, interactions with local businesses and customers, and adaptation to the cultural nuances that may influence management approaches.

2. Recruiting and Retaining Talent: Developing effective recruiting strategies tailored to the foreign market is crucial. Identifying the most suitable channels to reach and attract qualified candidates is essential for building a strong workforce. Additionally, offering competitive compensation packages and clear career advancement opportunities helps in retaining top talent in the company.

3. Training and Development: Adequate training and development programs are vital for employees operating in a foreign market. This enables them to understand the company's policies and procedures and align their actions accordingly. Training should encompass technical skills as well as cross-cultural training to promote understanding and sensitivity towards the local business culture.

4. Staff and Labor Laws: The laws and regulations related to staff and labor can vary across different countries. Conducting thorough research and staying updated with the legal requirements of the foreign market is essential. Companies must ensure that their policies and procedures align with local laws and regulations to avoid potential legal liabilities.

To succeed in a foreign market, businesses must prioritize human-resource considerations. This entails understanding the local business culture and language, implementing effective recruiting and retention strategies, providing comprehensive training and development programs, and ensuring compliance with staff and labor laws. By addressing these considerations, companies can optimize their management and logistics practices, build a strong workforce, and navigate the challenges of operating in unfamiliar territories successfully.

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In 2020, Indonesia was exporting and importing mostly to and from China. Suppose we only examine the trade behavior between Indonesia (I) and China (C) on the two main commodities, namely coal briquette and aluminum. a. Explain the concept of Edgeworth Box in general and then explain the exchange of the two commodities between Indonesia and China, if they do an efficient trade (or Pareto Optimal), using the Edgeworth Box illustration. b. Suppose that after trade, Indonesia currently has 18 billion tons of coal briquette (X) and 2 billion tons of aluminum (Y), while China has 12 billion tons of coal briquette (X) and 8 billion tons of aluminum (Y). Given the social utility function as follows: Indonesia's Utility Function U₁ = XY China's Utility Function Uc = X^0.6Y^0.2 If the trade of the two commodities is assumed to happen only between Indonesia and China, do you think the current allocation is pareto efficient? What will happen then? Support your explanation with graph illustration.

Answers

a. The Edgeworth Box is a graphical tool used in economics to illustrate the exchange of goods between two individuals or countries. It represents the possible allocations of goods that can be achieved through trade, assuming both parties aim to maximize their utility. The box is divided into two parts, each representing one individual's or country's consumption bundle. The axes of the box represent the quantities of two goods that can be produced or consumed.

In the context of Indonesia (I) and China (C) trading coal briquettes (X) and aluminum (Y), we can use the Edgeworth Box to illustrate the efficient trade or Pareto optimal allocation. In an efficient trade, both countries can benefit by specializing in producing the goods in which they have a comparative advantage and then trading with each other.

Assuming coal briquettes are Indonesia's comparative advantage and aluminum is China's comparative advantage, the initial allocation could be represented by a point within the Edgeworth Box where each country's consumption bundle is not on their respective production possibility frontiers (PPFs). Let's say Indonesia initially consumes more aluminum and less coal briquettes than it can produce, while China consumes more coal briquettes and less aluminum than it can produce.

To achieve an efficient trade, the countries would negotiate and find a mutually beneficial allocation of goods within the Edgeworth Box where both countries are on their PPFs. This allocation would allow each country to consume a combination of coal briquettes and aluminum that maximizes their utility, given the production possibilities and their utility functions.

b. To determine if the current allocation is Pareto efficient, we need to compare it to the potential Pareto improvements that can be achieved through trade. Given the social utility functions:

Indonesia's Utility Function: U₁ = XY

China's Utility Function: Uc = X^0.6Y^0.2

Let's analyze the initial allocation and then examine if there are possible Pareto improvements.

Initial Allocation:

Indonesia: 18 billion tons of coal briquette (X) and 2 billion tons of aluminum (Y)

China: 12 billion tons of coal briquette (X) and 8 billion tons of aluminum (Y)

To illustrate this initial allocation, we can represent it graphically on an Edgeworth Box. The X-axis represents coal briquettes, and the Y-axis represents aluminum. We place the initial allocation point for Indonesia at (18, 2) and for China at (12, 8).

mathematica

Copy code

          Y

          |

      C   |        (18,2)

          |

          |_______________

          |   I

          |

          |

          | (12,8)

          |

          |________________________ X

To determine if this allocation is Pareto efficient, we need to see if there exists a potential trade that can make at least one country better off without making the other country worse off. In this case, we can observe that Indonesia can specialize in producing coal briquettes and export some to China, while China can specialize in producing aluminum and export some to Indonesia.

If both countries move to a point on their respective PPFs, it implies a Pareto improvement. However, without additional information about the PPFs or the terms of trade, we cannot determine the specific allocation that would result from trade. Nonetheless, the potential for trade allows for possible Pareto improvements.

The new allocation resulting from trade could lie on an indifference curve that is higher for both countries, indicating an increase in utility for both Indonesia and China. Therefore, the current allocation is not Pareto efficient, as trade offers the possibility of mutual gains by moving to a point on both countries' PPFs.

Note: The specific outcome of trade and the resulting allocation would be.

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Richard is a board member in a petroleum company. He is explaining to the head of departments the following situations which could result in the business culture
and becoming a determining factor in ethical decisions made within a corporation. This refers to
O A. Profits stagnant or decreasing
O B. A law that provides incomplete answers
O C. Inadequate competition
O D. The absence of strong leadership

Answers

Richard is explaining to the head of departments the following situations which could result in the business culture and becoming a determining factor in ethical decisions made within a corporation. This refers to d. the absence of strong leadership.

Business culture refers to the organizational culture of a company or organization. It is defined as the values, beliefs, practices, customs, and behavioral expectations that characterize a corporation. A business culture can be influenced by various factors, including leadership, organizational structure, industry regulations, and the company's history and values.

Factors that could result in business culture and becoming a determining factor in ethical decisions made within a corporation include the absence of strong leadership. This is because leaders play a critical role in shaping the culture of a corporation and establishing ethical standards that guide employees' behavior.

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John Dow wants to choose one mutual fund to invest all his money in. There is a set of available mutual funds with similar investment styles and risk profiles that he considers. Which criterion would be the most appropriate for John Dow to make a decision:
a. Choose the fund with the highest Sharpe ratio
b. Choose the fund with the highest alpha
c. Choose the fund with the highest information ratio
d. Choose the fund with the highest Treynor ratio

Answers

To make a decision on which mutual fund to invest in, John Dow should consider the Sharpe ratio. The correct answer is option a.

The Sharpe ratio is a widely used measure of risk-adjusted return. It takes into account both the total return of the investment and the level of risk associated with it. The higher the Sharpe ratio, the better the risk-adjusted performance of the investment.

By choosing the fund with the highest Sharpe ratio, John Dow is prioritizing a balance between returns and risk. It indicates that the fund has achieved higher returns relative to its level of risk compared to other funds in consideration.

While the other criteria mentioned (alpha, information ratio, and Treynor ratio) are also important measures, the Sharpe ratio provides a comprehensive evaluation of risk and return, making it a suitable criterion for John Dow to base his decision on.

The correct answer is option a.

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In the long run, an increase in government spending will affect O the price level. O the full employment level of output. O unemployment rates.

Answers

In the long run, an increase in government spending will affect the full employment level of output.

In the long run, changes in government spending are more likely to impact the economy's full employment level of output rather than the price level or unemployment rates. This is because in the long run, the economy tends to operate at its potential output level, where resources are fully utilized, and there is no cyclical unemployment.

When the government increases spending, it injects additional demand into the economy. This increase in demand can have various effects in the short run, such as boosting economic activity, increasing employment, and potentially leading to a temporary increase in prices. However, in the long run, the economy adjusts to this new level of government spending.

Over time, the increase in government spending may lead to higher interest rates or crowding out private investment, which can influence the full employment level of output. It can impact the allocation of resources and potentially affect the productivity of the economy. Therefore, in the long run, an increase in government spending is more likely to impact the full employment level of output rather than the price level or unemployment rates.

An increase in government spending is expected to have a more significant impact on the full employment level of output in the long run. While short-run effects on prices and unemployment rates may occur, the long-run adjustment mechanisms tend to shape the economy towards its potential output level, where the effects on the full employment level of output become more prominent.

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Brokeback Towing Company is at the end of its accounting year, December 31, 2021. The following data that must be considered were developed from the company's records and related documents: a. On July 1, 2021, a two-year insurance premium on equipment in the amount of $600 was paid and debited in full to Prepaid Insurance on that date. Coverage began on July 1. b. At the end of 2021, the unadjusted balance in the Supplies account was $1,000. A physi- cal count of supplies on December 31, 2021, indicated supplies costing $300 were still on hand. C. On December 31, 2021, YY's Garage completed repairs on one of Brokeback's trucks at a cost of $800. The amount is not yet recorded. It will be paid during January 2022. d. On December 31, 2021, the company completed a contract for an out-of-state company for $7,950 payable by the customer within 30 days. No cash has been collected and no journal entry has been made for this transaction. e. On July 1, 2021, the company purchased a new hauling van. Depreciation for July-December 2021, estimated to total $2,750, has not been recorded. f. As of December 31, the company owes interest of $500 on a bank loan taken out on October 1, 2021. The interest will be paid when the loan is repaid on September 30, 2022. No interest has been recorded yet. g. Assume the income after the preceding adjustments but before income taxes was $30,000. The company's federal income tax rate is 30%. Compute and record income tax expense. nts, Financial Statements, and Financial Results Required: 1. 2. Give the adjusting journal entry required for each item at December 31, 2021. If adjustments were not made each period, the financial results could be materially misstated. Determine the amount by which Brokeback's net income would have been understated. or overstated, had the adjustments in requirement 1 not been made.

Answers

- Net income would be understated by $700 for supplies and $7,950 for unrecorded revenue.- The interest expense of $500 would not impact net income until paid in September 2022.

To determine the adjusting journal entries and the impact on net income if the adjustments were not made, we'll go through each item:

a. journal entry for prepaid insurance:December 31, 2021:

Debit: Insurance Expense $300Credit: Prepaid Insurance $300

If this adjustment was not made, net income would be overstated by $300 because the expense was not recognized.

b. Adjusting journal entry for supplies:

December 31, 2021:Debit: Supplies Expense $700

Credit: Supplies $700

If this adjustment was not made, net income would be understated by $700 because the expense of $700 for supplies used was not recognized.

c. No adjusting journal entry is required at this time since the repair cost of $800 will be paid in January 2022.

d. Adjusting journal entry for unrecorded revenue:December 31, 2021:

Debit: Accounts Receivable $7,950Credit: Service Revenue $7,950

If this adjustment was not made, net income would be understated by $7,950 because the revenue earned was not recorded.

e. Adjusting journal entry for depreciation:December 31, 2021:

Debit: Depreciation Expense $2,750Credit: Accumulated Depreciation $2,750

If this adjustment was not made, net income would be overstated by $2,750 because the expense for the depreciation of the hauling van was not recognized.

f. No adjusting journal entry is required at this time since the interest expense of $500 will be paid when the loan is repaid in September 2022.

g. Adjusting journal entry for income tax expense:

December 31, 2021:Debit: INCOME Tax Expense $9,000 ($30,000 * 30%)

Credit: Income Taxes Payable $9,000

If this adjustment was not made, net income would be overstated by $9,000 because the income tax expense was not recognized.

In summary, if the adjustments were not made:- Net income would be overstated by $300 for prepaid insurance, $2,750 for depreciation, and $9,000 for income tax expense.

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Required: You are attempting to value a call option with an exercise price of $60 and one year to expiration. The underlying stock pays no dividends, its current price is $60, and you believe it has a 50% chance of increasing to $95 and a 50% chance of decreasing to $25. The risk-free rate of interest is 7%. Consider one share of stock and two written calls. Calculate the call option's value using the two- state stock price model. (Do not round intermediate calculations. Round your answer to 2 decimal places.)
Value of the call

Answers

The call option's value, using a two-state stock price model, is approximately $16.36, based on expected values and discounting.

To value the call option using the two-state stock price model, we need to calculate the expected value of the option at expiration and discount it back to the present using the risk-free rate.

In the given scenario, there is a 50% chance of the stock price increasing to $95 and a 50% chance of it decreasing to $25. The exercise price of the call option is $60, and the current stock price is also $60.

If the stock price increases to $95 at expiration, the call option will be worth $35 ($95 - $60). If the stock price decreases to $25, the call option will be worthless since it's out of money.

To calculate the expected value, we take the weighted average of the two possible outcomes:

Expected value = (0.5 * $35) + (0.5 * $0)

= $17.50

Finally, we discount the expected value back to the present using the risk-free rate of 7% and obtain the call option's value:

Call option value = $17.50 / (1 + 0.07)

= $16.36

Therefore, the value of the call option using the two-state stock price model is approximately $16.36.

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Which of the following statements highlights the fraudulent nature of a pyramid scheme?
The scheme phases out new recruits from the pyramid by withholding vital information they need to sell their financial products.
Any investment return from the scheme depends solely on an individual's capacity to recruit new individuals to the scheme.
Membership fees are invested in shares of stock from different companies but only part of the interest earned is returned to investors.
The scheme ensures low risk but high returns to its investors by investing their money in profitable shares.

Answers

The scheme phases out new recruits from the pyramid by withholding vital information they need to sell their financial products: the fraudulent nature of a pyramid scheme. Thus, option A is the correct option.

A pyramid scam is an unethical and unreliable investment pitch that depends on guaranteeing irrational profits on fictitious investments. The fact that the early investors receive these substantial returns prompts them to endorse the program to others.

Returns to investors are paid from fresh capital coming in. In one type of pyramid scam, investors charge initiation fees to the investors below them, who then pay them. The higher tiers of the pyramid receive a percentage of these fees as well. There is ultimately nobody left to recruit. The pyramid tumbles down.

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a ssytem fo finalncail trnsactions within a country identify the correct defintitnon of economy anthropology

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The correct definition of economic anthropology is not related to a "system of financial transactions within a country."

Economy anthropology is the study of economic systems in different cultures and societies.

Economy anthropology is a field of anthropology that focuses on how economic systems function in different cultures and societies. It involves the study of the production, consumption, distribution, and exchange of goods and services within a cultural or social context. Anthropologists study the economic systems of different cultures and societies, examining how they are structured, how they function, and how they affect people's lives. They also analyze different forms of exchange, such as gift-giving, bartering, and market systems.

Economy anthropology refers to the study of economic systems in different cultures and societies, and it is not related to a "system of financial transactions within a country."

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Calculate the change in operating cash flow for a firm for each year using the following information:
• The asset costs $1,000,000 and is depreciated using MACRS for a 3-year asset. • The machine will reduce operating expenses by $120,000 per year for three years. • The tax rate is 45%.
Working capital needs decrease by $10,000 when the machine is placed in service and are increased at the end of the life of the machine. • The asset can be sold for $400,000 at the end of three years.

Answers

To calculate the change in operating cash flow for each year, we need to consider the effects of depreciation, tax savings, changes in operating expenses, and changes in working capital.

Here's how we can calculate the change in operating cash flow for each year:

1. Calculate the depreciation expense using the MACRS depreciation method:

  - MACRS allows for 3-year depreciation, so we will use the 3-year depreciation rates to calculate the depreciation expense for each year.

  - The depreciation expense for each year is as follows:

    Year 1: $1,000,000 * 0.3333

    Year 2: $1,000,000 * 0.4445

    Year 3: $1,000,000 * 0.1481

2. Calculate the tax savings due to depreciation:

  - Multiply the depreciation expense for each year by the tax rate of 45% to calculate the tax savings.

  - Tax savings for each year is as follows:

    Year 1: Depreciation expense for Year 1 * Tax rate

    Year 2: Depreciation expense for Year 2 * Tax rate

    Year 3: Depreciation expense for Year 3 * Tax rate

3. Calculate the net change in operating expenses:

  - The machine reduces operating expenses by $120,000 per year for three years.

  - Net change in operating expenses for each year is $120,000.

4. Calculate the net change in working capital:

  - The working capital decreases by $10,000 when the machine is placed in service and increases by the same amount at the end of the machine's life.

  - Net change in working capital is $10,000 in Year 1 and -$10,000 in Year 3.

5. Calculate the net cash flow from the sale of the asset:

  - The asset can be sold for $400,000 at the end of three years.

  - Net cash flow from the sale of the asset is $400,000 in Year 3.

6. Calculate the change in operating cash flow for each year:

  - Change in operating cash flow = Tax savings + Net change in operating expenses + Net change in working capital

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Thread 1: The Washington Post article The climate news is about to get a lot worse, and the New York Times article 'No One is Safe'" Extreme Weather Batters the Western World provide an overview of the detrimental effects of Climate Change on a wide range of societies, while the Wall Street Journal article Big Oil is Vulnerable to Climate Change. Literally. foscuses much more narrowly on negative effects impacting one particular private sector industry. The Newsweek article Biden Administration Aims to Have 50 Percent of Car Sales Be Electric by 2030 , and The New York Times article, Energy Department Targets Vastly Cheaper Batteries to Clean Up the Grid narrow in on two specific Biden Adminstration programs which leverage the power of the Public Sector to intervene meet environmental challlenges arising in part by private sector market failures.

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The mentioned articles highlight the detrimental effects of climate change on societies, particularly in relation to extreme weather events, the vulnerability of the oil industry, and the Biden Administration's programs to address environmental challenges.

The Washington Post and New York Times articles provide a broad overview of the negative impacts of climate change on various societies, emphasizing the need for urgent action. The Wall Street Journal article focuses specifically on the vulnerability of the oil industry to climate change, highlighting the risks it faces. On the other hand, the Newsweek and New York Times articles highlight specific programs implemented by the Biden Administration to tackle environmental challenges, such as promoting electric car sales and developing cheaper batteries for a cleaner grid. These programs demonstrate the use of public sector intervention to address market failures in the private sector regarding environmental concerns.

The articles collectively shed light on the widespread and diverse effects of climate change on societies, with a focus on extreme weather, the oil industry's vulnerability, and government initiatives to combat environmental challenges. By examining these different perspectives, it becomes evident that both public and private sectors play significant roles in addressing the urgent need to mitigate and adapt to climate change.

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Tedd E. Bear has an annual salary of $48,000 with no other loans outstanding. Using the 25% guideline from class and with a 30% down payment, how expensive of a home can Tedd purchase using a 3%, 30-year mortgage? O $316,627 O $296,486 O $271,353 O $338,841

Answers

3.) $271,353. Based on Tedd E. Bear's salary, the 25% guideline, and a 30% down payment, he can afford a home of approximately $280,000.

Based on Tedd E. Bear's annual salary of $48,000 and using the 25% guideline for housing expenses, he can afford housing costs of $12,000 per year ($48,000 x 0.25). With a 30% down payment, the remaining amount for the mortgage would be $8,400 per year ($12,000 x 0.7).

Using a 3%, 30-year mortgage, we can calculate the maximum loan amount that Tedd can afford by dividing the annual mortgage payment ($8,400) by the annual mortgage rate (0.03). The result is approximately $280,000.

Therefore, based on Tedd's salary and the given mortgage terms, the maximum amount he can afford for a home is approximately $280,000. None of the options provided matches this amount, so it seems there may be an error in the available choices.

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list tips you would give to you co-workers on combating identity theft and security threats please type your answer
To combat this costly form of fraud, Congress passed the Identity Theft and Assumption Deterrence Act of 1998, making identity theft a federal felony punishable by up to 25 years in prison. The act also requires the FTC to help victims restore their credit. In addition, the FTC and other federal agencies suggest methods for reducing the likelihood of identity theft, including restricting the use of your Social Security number to occasions when it is legally required, reviewing your credit report at least twice a year, and proceeding with caution before giving out personal informa- tion over the Internet.

Answers

Restrict the use of your Social Security number and be cautious when sharing personal information online.

Identity theft can be combated by limiting the use of your Social Security number to situations where it is legally required. Additionally, exercise caution when sharing personal information over the Internet to minimize the risk of it falling into the wrong hands. Regularly review your credit report at least twice a year to identify any suspicious activity and take appropriate action. These measures can help reduce the likelihood of falling victim to identity theft and security threats.

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American Depositary Receipts (ADR) are
a. shares of American companies traded on foreign markets.
b. foreign currency deposits in American banks.
c. American currency deposits in foreign banks.
d. dollar denominated shares of foreign companies traded on the U.S. markets.

Answers

ADR stands for American Depositary Receipts. ADRs are instruments that allow investors to hold shares of foreign companies in their portfolios in US dollars. The correct answer is option D

American Depositary Receipts are issued by U.S. banks and represent a certain number of shares of foreign companies that are held in custody abroad. ADRs provide American investors access to international securities markets without requiring them to deal with foreign banks or brokers. The correct answer is option D  dollar denominated shares of foreign companies traded on the U.S. markets.

ADRs have a few benefits over traditional foreign stock investments. For one, they allow U.S. investors to purchase foreign stocks without worrying about currency conversion costs. Secondly, they provide easier access to overseas markets.

Lastly, ADRs allow American investors to diversify their portfolio. The securities offered as American Depositary Receipts are typically large multinational corporations with shares listed on foreign stock exchanges. This way, foreign companies can gain access to American capital markets. The ADR structure serves as a tool to bridge the gap between foreign corporations and U.S. investors.

American Depositary Receipts are traded just like other U.S. stocks and are subject to the same regulations by the U.S. Securities and Exchange Commission (SEC).

ADRs can be bought and sold just like U.S. securities, with a wide variety of order types. In conclusion, American Depositary Receipts (ADR) are dollar-denominated shares of foreign companies that are traded on the U.S. markets.

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As discussed in lecture, the essential purpose of HR planning, a key support activity in staffing, is to: ensure the right number of men vs. women in jobs. help systematically plan for the quantity and quality of workers needed. carefully monitor what employees are contributing to the firm's business strategy. O document what employees do in their job so their work is value-added.

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The essential purpose of HR planning is to help systematically plan for the quantity and quality of workers needed.  While workforce diversity and performance monitoring are important aspects of HR management.

HR planning involves assessing the current and future workforce needs of an organization and developing strategies to ensure the right number of employees with the appropriate skills and competencies are available. It aims to align the workforce with the organization's goals and objectives, taking into account factors such as business growth, employee turnover, and changing market demands. By engaging in HR planning, organizations can proactively address staffing requirements, recruit and develop talent, and optimize the overall effectiveness of their workforce.

The primary focus of HR planning is not on ensuring a specific gender balance or solely monitoring employee contributions. While workforce diversity and performance monitoring are important aspects of HR management, the essential purpose of HR planning is to systematically plan for the quantity and quality of workers needed to support the organization's strategic goals. Effective HR planning enables organizations to make informed decisions regarding recruitment, training, and workforce development, ensuring they have the right people in the right positions to drive business success.

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Transaction exposure reflects the exposure of a firm's: O Future cash flows to unexpected exchange rate fluctuations. O Local currency value transactions to global currency dynamics. O Consolidated financial statements to exchange rate fluctuations. O Contractual international transactions to exchange rate fluctuations.

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Contractual international transactions to exchange rate fluctuations. The transaction exposure reflects the exposure of a firm's contractual international transactions to exchange rate fluctuations.

Transaction exposure is a type of foreign exchange risk that results from a company's contractual obligations that are denominated in a foreign currency, which will result in the risk of loss due to exchange rate fluctuations. When a company enters into a contract that will result in a future payment or receipt of cash in a foreign currency, it exposes itself to the potential risk that exchange rates will change and that the transaction's value will change as a result. This risk is known as transaction exposure.

Consequently, it is the exposure of a firm's contractual international transactions to exchange rate fluctuations.

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consider the exchange rate between new zealand and mexico. typically, exchange rates vary over time, sometimes quite dramatically. the scenarios present various changes that may affect the exchange rate. indicate whether each scenario will tend to cause an appreciation or depreciation of, or have no effect on, the value of new zealand dollars relative to mexican pesos. you are currently in a labeling module. turn off browse mode or quick nav, tab to items, space or enter to pick up, tab to move, space or enter to drop. the magazine the economist publishes an article indicating that analysts expect the value of mexican pesos to rise relative to new zealand dollars. the central bank in new zealand announces that it will raise interest rates on government bonds. based on a world bank report, the inflation rate in new zealand will be 5% next year, whereas the inflation rate in mexico will be 9.5% . the price of a specific basket of goods in new zealand is roughly 1.8 times higher than the price of an identical basket of goods in mexico, even after adjusting for the exchange rate. answer bank

Answers

The scenarios will cause a depreciation, appreciation, depreciation, and depreciation of the value of New Zealand dollars relative to Mexican pesos respectively.

Exchange rate is the price of one currency in terms of another. The exchange rate between New Zealand and Mexico is the price of New Zealand Dollars in terms of Mexican Pesos. The exchange rate between the two countries is determined in the foreign exchange market, where buyers and sellers of currencies interact to determine the equilibrium price of each currency.

Exchange rates vary over time, sometimes quite dramatically. The scenarios present various changes that may affect the exchange rate. The following are the effects of the given scenarios on the value of New Zealand dollars relative to Mexican pesos:

The magazine The Economist publishes an article indicating that analysts expect the value of Mexican pesos to rise relative to New Zealand dollars. This scenario will cause a depreciation of the value of New Zealand dollars relative to Mexican pesos.

The central bank in New Zealand announces that it will raise interest rates on government bonds. This scenario will cause an appreciation of the value of New Zealand dollars relative to Mexican pesos. Based on a World Bank report, the inflation rate in New Zealand will be 5% next year, whereas the inflation rate in Mexico will be 9.5%. This scenario will cause a depreciation of the value of New Zealand dollars relative to Mexican pesos.

The price of a specific basket of goods in New Zealand is roughly 1.8 times higher than the price of an identical basket of goods in Mexico, even after adjusting for the exchange rate. This scenario will cause a depreciation of the value of New Zealand dollars relative to Mexican pesos.

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