In light of Rodrik's globalisation trilemma and the shape of
modern supply-chain trade, analyse the challenges facing the
governance of the global economy in an age of rising populism.

Answers

Answer 1

The challenges facing the governance of the global economy in an age of rising populism are influenced by Rodrik's globalisation trilemma and the shape of modern supply-chain trade.

Rodrik's globalisation trilemma refers to the idea that it is impossible to have simultaneously deep economic globalization, democratic politics, and national sovereignty. In other words, it is challenging to fully integrate economies globally while maintaining democratic decision-making processes and preserving the authority of individual nations. This trilemma poses a significant challenge to the governance of the global economy in the face of rising populism.

Modern supply-chain trade, characterized by complex networks of production and distribution across borders, further complicates the governance of the global economy. Supply chains often span multiple countries, making it difficult to attribute responsibility and regulate activities effectively.

The rise of populism, characterized by anti-globalization sentiments and a focus on national interests, further adds to the challenges of governing the global economy. Populist movements often advocate for protectionist policies, trade restrictions, and a reevaluation of international agreements. These demands can clash with the principles of economic globalization and international cooperation, creating tensions and complexities for global governance.

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Related Questions

2. Develop a schedule of full-time and part-time stockers and baggers for Marty Moyer. Explain the strategy you used and the trade-offs you made to satisfy the Rock Hill store’s competitive priorities.

Answers

To develop a schedule of full-time and part-time stockers and baggers for Marty Moyer at the Rock Hill store, the strategy used would involve considering the competitive priorities of the store. These priorities may include factors such as cost, quality, delivery speed, flexibility, and customer service.

Trade-offs may need to be made to satisfy these priorities. For example, if cost is a priority, the schedule may prioritize hiring more part-time stockers and baggers as they generally have lower hourly rates compared to full-time employees. However, this may result in less flexibility in scheduling and potentially affect customer service.

On the other hand, if customer service is a priority, the schedule may prioritize hiring more full-time employees who can provide consistent availability and better customer assistance. This could result in higher labor costs but potentially lead to improved customer satisfaction.

Overall, the strategy and trade-offs made in developing the schedule would depend on the specific competitive priorities of the Rock Hill store and the balance between cost, quality, delivery speed, flexibility, and customer service.

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2) The value of 5 basis points on a 5 year bond is worth than 5 basis points on a 30 year bond? Less More The Same 3) A robust economy would generally push long term interest rates lower. * True False

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2) The value of 5 basis points on a 5 year bond is less than 5 basis points on a 30 year bond.

3)The statement " A robust economy would generally push long term interest rates higher" is False

2) A basis point (BPS) is 1/100th of a percentage point or 0.01%.

The value of 5 basis points on a 5 year bond is less than 5 basis points on a 30 year bond. The value of 5 basis points on a 5 year bond is 0.05% of the bond price, while the value of 5 basis points on a 30 year bond is 0.15% of the bond price.

So, 5 basis points on a 30 year bond is worth more than on a 5 year bond.

3) The robust economy is generally associated with higher long-term interest rates. When the economy is strong, the Federal Reserve tends to increase short-term rates to prevent inflation, which leads to higher long-term interest rates.

Therefore, the statement "A robust economy would generally push long-term interest rates lower" is false.

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Clarity, economy, and conciseness is an example of what business writing strategy?

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The Clarity, economy, and conciseness are all important elements of business writing and they are often referred to as the "3 Cs" of business writing.

Clarity, economy, and conciseness are examples of the business writing strategy known as brevity.

Brevity refers to the practice of conveying information in a clear and concise manner, using as few words as possible while still maintaining clarity.

This strategy is important in business writing as it helps to effectively communicate information and ideas to the reader in a time-efficient manner.

Clarity means that your writing is easy to understand. You should use clear and concise language, and avoid jargon and technical terms that your audience may not understand.

Economy means that you use the fewest words possible to get your point across. You should avoid using unnecessary words or phrases, and make sure that every word in your writing is necessary.

Conciseness means that your writing is brief and to the point. You should avoid rambling or going off on tangents. Get to the point quickly and efficiently.

The 3 Cs of business writing are important because they help to ensure that your writing is effective. When your writing is clear, concise, and economical, your audience is more likely to understand your message and take action.

Here are some tips for writing with clarity, economy, and conciseness:

Use simple language. Avoid using jargon or technical terms that your audience may not understand.

Be direct. Get to the point quickly and efficiently. Don't ramble or go off on tangents.

Use active voice. Active voice is more concise and easier to understand than passive voice.

Avoid redundancy. Don't repeat yourself. Use the strongest word or phrase possible.

Be specific. Use specific examples and details to illustrate your points.

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A cash typical cash outflow for capital budgeting purposes A non-cash expense The rate of return provides a net prsent value of zero The present value of all cash inflows minus the present value of al

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The typical cash outflow for capital budgeting purposes is referred to as the initial cost. In capital budgeting, this initial cost, also known as the initial investment outlay, is used to determine the net present value (NPV) of a project. T

The initial cost is considered a cash outflow because it represents the cash that must be invested in a project to generate future cash inflows. Thus, the initial cost is the cash that is expended at the beginning of a project.Non-cash expenses, on the other hand, are expenses that are not reflected in cash payments.

The internal rate of return (IRR) is the rate at which the net present value (NPV) of a project is zero. The IRR is often used as a benchmark for evaluating whether or not a project is worth investing in.The present value of all cash inflows minus the present value of all cash outflows is known as the net present value (NPV).

In capital budgeting, the NPV is used to determine whether or not a project is worth investing in. If the NPV is positive, the project is expected to be profitable, while if the NPV is negative, the project is expected to be unprofitable. If the NPV is zero, it means that the present value of all cash inflows equals the present value of all cash outflows.

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A bank charges you an APR of 8% on its loan, but compounds interest monthly. What is the effective annual rate on this loan?
Group of answer choices
8.16%
8.30%
8.24%
8.33%

Answers

A bank charges you an APR of 8% on its loan, but compounds interest monthly. The effective annual rate on this loan is 8.30%.

APR is Annual Percentage Rate. It refers to the annual rate of interest charged to borrowers and paid to investors. It is calculated based on the principal amount and any additional fees and charges on the loan. Therefore, it is a better way to compare loans with different interest rates and terms.

The effective annual rate refers to the actual annual rate of interest that the borrower will pay on a loan after accounting for the effects of compounding. It is calculated as follows;

EAR = (1 + r/n)n - 1

Where, r is the nominal interest rate, and n is the number of compounding periods per year

In this case, the APR is 8%, and interest is compounded monthly.

Therefore, the monthly interest rate is 8%/12 = 0.67%

EAR = (1 + 0.08/12)12 - 1

EAR = 8.30%

Therefore, the effective annual rate on this loan is 8.30%.

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QUESTION 6
Which method of evaluating capital investment proposals uses present value concepts to compute the rate of return from the net cash flows expected from capital investment proposals?
O a. Internal rate of return
b. Average rate of return
Oc Net present value
Od Payback period

Answers

A) The internal rate of return (IRR). The method of evaluating capital investment proposals that uses present value concepts to compute the rate of return from the net cash flows expected from capital investment proposals is option A) internal rate of return.

The IRR is a financial metric that determines the discount rate at which the net present value (NPV) of an investment becomes zero. It takes into account the timing and magnitude of cash flows associated with the investment project.

Option B, the average rate of return, calculates the average profitability of an investment over its useful life and does not specifically use present value concepts. Option C, net present value (NPV), calculates the present value of all expected future cash flows and compares it to the initial investment. NPV determines the value added or subtracted by the investment and is not specifically used to compute the rate of return. Option D, payback period, calculates the time required for an investment to recover its initial cost and does not consider the time value of money or present value concepts.

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Your friend borrows $100 from you and promises to pay you back $103 in 5 months. What annual percentage rate (APR) are you charging your friend? Round to the nearest tenth of a percent and write the answer as a decimal-for example, you should write 11.6% as 116
Answer:
Check
100

Answers

Apart from the check, another method of calculating the APR is to use the formula given below:

APR = (Interest paid/loan amount) × (12/number of months) × 100%

From the problem statement, the amount borrowed (loan amount) is $100 and the amount to be repaid in five months is $103. This implies that the interest paid is $103 − $100 = $3.

The number of months in which the loan is to be repaid is five months.

Substituting these values into the formula given above, we have:

APR = (Interest paid/loan amount) × (12/number of months) × 100%APR = ($3/$100) × (12/5) × 100%

APR = 0.06 × 12 × 100%APR = 7.2%

Therefore, the APR charged by you is 7.2%. Rounded to the nearest tenth of a percent, the APR is 7.2%.

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Castro Chemical Company sold a noncallable bond several years ago that now has 20 years to maturity. This bond has a 9.25% annual coupon, paid semiannually, sells at a price of $875, and has a par value of $1,000. If the firm's tax rate is 25%, what is the component cost of debt for use in the WACC calculation? Do not round your intermediate calculations. a. 7.30% b. 6.47% c. 8.09% d. 6.60% e. 7.77%

Answers

The component cost of debt for use in the WACC calculation is 6.47% (option b).

Annual coupon = 9.25%

Semiannual coupon rate = 4.625%

Maturity period = 20 years

Selling price = $875Par value = $1,000

Tax rate = 25%

The formula for calculating the cost of debt is:

Cost of debt = (Annual coupon payment (interest expense) × (1 − Tax rate)) ÷ Net proceeds,

After substituting the given values, the formula will be:

Cost of debt = (4.625% × $1,000 × (1 − 0.25)) ÷ $875

= (0.04625 × $750) ÷ $875

= $34.69 ÷ $875= 0.0396 or 3.96%

Now, we will add half of the semiannual coupon payment and half of the annual coupon payment to the net proceeds

Net proceeds = Selling price - Flotation coss

= $875 - $0= $875

The semi-annual coupon payment = 0.5 × 0.0925 × $1,000

= $46.25

The annual coupon payment = 2 × $46.25

= $92.5

So, the total coupon payment = $92.5 + $46.25 = $138.75,

Adding half of the semi-annual coupon payment

= $138.75 × 0.5 = $69.375

Adding half of the annual coupon payment = $69.375 + ($92.5 × 0.5)

= $115.625

The formula for calculating the component cost of debt is:

Component cost of debt = (Coupon payment + ((Par value - Net proceeds) ÷ Years to maturity)) ÷ (Par value + Net proceeds) ÷ 2

= ($115.625 + (($1,000 - $875) ÷ 20)) ÷ (($1,000 + $875) ÷ 2)

= ($115.625 + ($6.25)) ÷ ($1,437.5 ÷ 2)

= $121.875 ÷ $718.75

= 0.1694 or 16.94% or 8.47%

Therefore, the component cost of debt for use in the WACC calculation is 6.47% (option b).

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The curtent outstanding 12% coupon bonds of Ramen corp offer an 8.2% yield to maturity. Romen thinks it could issue nev bonds at pat with a comparable yeld fo maturity What is Ranien's after-tax cost of debt (in percent) if its marginal tax rate is 25% ?

Answers

Romen's after-tax cost of debt is 6.15%.

To calculate Romen's after-tax cost of debt, we need to consider the tax advantage of debt. The after-tax cost of debt is equal to the before-tax cost of debt multiplied by (1 - tax rate).

Given that the current outstanding 12% coupon bonds offer an 8.2% yield to maturity, we can assume that the before-tax cost of debt is 8.2%.

To find the after-tax cost of debt, we need to multiply the before-tax cost of debt (8.2%) by (1 - tax rate). Since the marginal tax rate is given as 25%, the after-tax cost of debt can be calculated as follows:

After-tax cost of debt = Before-tax cost of debt * (1 - Tax rate)
After-tax cost of debt = 8.2% * (1 - 0.25)
After-tax cost of debt = 8.2% * 0.75
After-tax cost of debt = 6.15%

Therefore, Romen's after-tax cost of debt is 6.15%.

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What would happen domestically if there is an increase in the incomes of a foreign country that is a main trading partners? Select one: O a. The aggregate demand curve will shift to the right. O b. Nothing. O c. The aggregate supply curve will shift to the left. Od. The aggregate demand curve will shift to the left. Oe. The aggregate supply curve will shift to the right.
Previous question

Answers

If the incomes of a major trading partner in the foreign countries rise, the domestic aggregate Demand curve will shift to the right.

An interest bend is a chart that shows the connection between the cost of a decent or administration and the amount requested inside a predefined time span.

As consumption spending, investment spending, government spending, and spending on exports minus imports rise, the aggregate demand curve moves to the right. The Promotion bend will move back to one side as these parts fall.

When the AD curve moves to the right, it indicates that at least one of these components increased to the point where there would be more total spending at each price.

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Jill purchased a share for $30 last year. She found out today that she had a -100 per cent return on his investment. Which of the following must be true?
Select one:
a. The share is worth $30 today
b. The share is worth $0 today
c. The share paid a dividend during the year.
d. Both b and c must be true.

Answers

The correct answer is d. Both b and c must be true. The share is worth $0 today, and it is also possible that it paid a dividend during the year.

Let's break down the given information:

Jill purchased a share for $30 last year.
Today, she found out that she had a -100 percent return on her investment.

A -100 percent return on investment means that the value of her investment has decreased by 100 percent. In other words, she has lost the entire value of her investment.

From this, we can conclude the following:

a. The share is worth $30 today: This cannot be true because a -100 percent return means that Jill's investment has lost all its value. So, the share cannot be worth $30 today.

b. The share is worth $0 today: This must be true. Since Jill had a -100 percent return, her investment has lost all its value. Therefore, the share is worth $0 today.

c. The share paid a dividend during the year: This cannot be determined based on the given information. The fact that Jill had a -100 percent return does not provide any information about whether or not the share paid a dividend.

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If you are a large farm in California that needs water to irrigate your crops, how would you use the contract to hedge the cost of water? Provide a simple example of how a hedge to protect an increase in the price of water would be designed and executed (keep in mind how the contract settles)

Answers

To hedge the cost of water, a large farm in California could use a futures contract to protect against an increase in the price of water.

A futures contract is a financial instrument that allows parties to agree to buy or sell an underlying asset, such as water, at a predetermined price (the futures price) on a future date.

In this case, the farm would enter into a futures contract to purchase water at a specified future date and price. For example, if the farm expects the price of water to increase in the future, they can enter into a futures contract to buy water at the current price.

If the price of water indeed rises, the farm can purchase water at the lower futures price, thereby hedging against the increase in cost. On the settlement date of the contract, the farm would receive the physical delivery of the water at the predetermined price.

By utilizing the futures contract, the farm effectively locks in a price for water, providing protection against potential price fluctuations.

This hedge allows the farm to manage the risk of higher water prices, ensuring a more predictable cost structure for their irrigation needs and helping to mitigate potential financial losses associated with increased water costs.

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To hedge the cost of water, a farm in California could use a futures contract for water to protect against price increases.

To hedge the cost of water, a farm in California could enter into a futures contract for water. For example, they could purchase a futures contract for a specific volume of water at a predetermined price.

If the price of water increases, the farm would benefit from the futures contract, offsetting the higher costs of purchasing water for irrigation.

If the price decreases, the farm would still need to pay the predetermined price under the contract, but they would benefit from the lower market price.

The settlement of the contract would depend on the terms specified, which could involve physical delivery of the water or cash settlement based on market prices.

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Definition of economic costs Larry lives in Miami and runs a business that sells pianos. In an average year, he receives $842,000 from selling pianos. Of this sales revenue, he must pay the manufacturer a wholesale cost of $452,000; he also pays wages and utility bills totaling $301,000. He owns his showroom; if he chooses to rent it out, he will receive $38,000 in rent per year. Assume that the value of this showroom does not depreciate over the year. Also, if Larry does not operate this piano business, he can work as an accountant, receive an annual salary of $48,000 with no additional monetary costs, and rent out his showroom at the $38,000 per year rate. No other costs are incurred in running this piano business. Identify each of Larry's costs in the following table as either an implicit cost or an explicit cost of selling pianos. Implicit Cost Explicit Cost O O The salary Larry could earn if he worked as an accountant The rental income Larry could receive if he chose to rent out his showroom The wholesale cost for the pianos that Larry pays the manufacturer The wages and utility bills that Larry pays Accounting Profit Economic Profit O Profit (Dollars) O Complete the following table by determining Larry's accounting and economic profit of his piano business. O
Previous question

Answers

Larry's accounting profit is $89,000 and his economic profit is $3,000.

the table below categorizes larry's costs as either implicit or explicit costs:

costs                      | implicit cost | explicit cost

--------------------------|---------------|---------------

the salary as an accountant| implicit      |

rental Income from showroom|               | explicit

wholesale cost of pianos   |               | explicit

wages and utility bills    |               | explicit

now let's calculate larry's accounting profit and economic profit:

accounting profit = total revenue - explicit costs

                  = $842,000 - ($452,000 + $301,000)

                  = $89,000

economic profit = total revenue - (explicit costs + implicit costs)

               = $842,000 - ($452,000 + $301,000 + $48,000 + $38,000)

               = $3,000

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12.9. California Clinics, an investor-owned chain of ambulatory care clinics, just paid a dividend of $2 per share. The firm’s dividend is expected to grow at a constant rate of 5 percent per year, and investors require a 15 percent rate of return on the stock.
a. What is the stock’s value?
b. Suppose the riskiness of the stock decreases, which causes the required rate of return to fall to 13 percent. Under these conditions, what is the stock’s value?
c. Return to the original 15 percent required rate of return. Assume that the dividend growth rate estimate is increased to a constant 7 percent per year. What is the stock’s value?

Answers

(a) The stock's value is  $21  (b) If the required rate of return decreases to 13%, the stock's value is  $26.25 (c)  Returning to the original required rate of return of 15% and assuming an increased dividend growth rate of 7%, the stock's value is $26.75.

a. In this case, the dividend expected next year is $2 multiplied by (1 + 5%) = $2.10 (since the dividend is expected to grow at a constant rate of 5% per year). The required rate of return is 15%, and the dividend growth rate is 5%. Therefore, the stock's value can be calculated as follows:

Stock Value = $2.10 / (0.15 - 0.05) = $2.10 / 0.10 = $21

b. If the required rate of return decreases to 13%, the stock's value can be recalculated using the same formula. The dividend expected next year remains the same at $2.10, but the required rate of return is now 13%, and the dividend growth rate is still 5%. Therefore, the stock's value is:

Stock Value = $2.10 / (0.13 - 0.05) = $2.10 / 0.08 = $26.25

c. Returning to the original required rate of return of 15% and assuming an increased dividend growth rate of 7%, the stock's value can be calculated again using the Gordon Growth Model. The dividend expected next year is $2 multiplied by (1 + 7%) = $2.14. The required rate of return is 15%, and the dividend growth rate is 7%. Therefore, the stock's value is:

Stock Value = $2.14 / (0.15 - 0.07) = $2.14 / 0.08 = $26.75

In summary, the stock's value is $21 when the required rate of return is 15% and the dividend growth rate is 5%. If the required rate of return decreases to 13%, the stock's value increases to $26.25. When the required rate of return returns to 15% and the dividend growth rate increases to 7%, the stock's value further increases to $26.75. These calculations demonstrate how changes in the required rate of return and dividend growth rate affect the valuation of a stock according to the Gordon Growth Model.

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What happens when a company witnesses repeated service failures and lacks an effective service recovery strategy

Answers

When a company witnesses repeated service failures and lacks an effective service recovery strategy.

several negative consequences can occur:

1. Customer Dissatisfaction and Loss: Repeated service failures can lead to increased customer dissatisfaction. Unsatisfied customers may choose to take their business elsewhere, resulting in customer attrition and revenue loss. Negative word-of-mouth from dissatisfied customers can also impact the company's reputation and hinder new customer acquisition.

2. Damage to Brand Image and Reputation: Poor service performance and a lack of effective service recovery can damage the company's brand image and reputation. Negative experiences can spread through online reviews, social media, and word-of-mouth, eroding trust and credibility in the market. This can have long-term effects on the company's ability to attract and retain customers.

3. Decreased Customer Loyalty: Service failures and ineffective recovery efforts can erode customer loyalty. Customers may feel neglected, unvalued, or unappreciated, leading them to seek alternatives. Without a robust service recovery strategy, the company may struggle to regain customer trust and loyalty, further impacting customer retention rates.

4. Increased Costs and Operational Inefficiencies: Repeated service failures often result in increased costs for the company. Addressing customer complaints, rework, and potential refunds or compensation can be resource-intensive. Furthermore, the lack of an effective service recovery strategy may result in inefficient processes, leading to further operational inefficiencies and increased costs.

To mitigate these negative consequences, it is crucial for companies to proactively address service failures, develop a robust service recovery strategy, and invest in improving overall service quality. By promptly resolving customer issues, exceeding expectations in recovery efforts, and continuously improving service processes, companies can rebuild customer trust, retain loyalty, and protect their brand reputation.

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1. When are you required to file a South Carolina income tax return? Every year individual income tax returns are due April 15th unless, it is communicated that it is a different date. If you file and pay electronically you have until the first of May to submit your return, this date may vary as well.
2. What items are added back to your federal taxable income for South Carolina purposes?
3. List four items that may be deducted from your federal taxable income for South
Carolina purposes.
4. Explain the purpose of estimated tax payments.
5. How do you get an extension to file the South Carolina tax return?

Answers

1. South Carolina income tax due on April 15th. 2. Addbacks to federal taxable income: state tax refunds, federal deductions.3. Deductions from federal taxable income: state-specific deductions allowed.4. Estimated tax payments help fulfill tax obligations throughout the year.5. Extension to file South Carolina tax return obtained through request.

1. In South Carolina, individual income tax returns are generally due on April 15th each year, but the deadline may vary and be communicated as a different date. If filing and paying electronically, the deadline is extended to the first of May (which may also vary).

2. Some items that are added back to federal taxable income for South Carolina purposes include state and local income tax refunds, interest from state and municipal bonds of other states, and certain deductions taken for federal purposes.

3. Four items that may be deducted from federal taxable income for South Carolina purposes include contributions to South Carolina College Savings Plan, certain retirement income, military retirement income, and certain Social Security income.

4. The purpose of estimated tax payments is to fulfill the tax liability throughout the year for individuals who do not have taxes withheld from their income. It helps ensure that taxpayers meet their tax obligations and avoid penalties for underpayment.

5. To get an extension to file the South Carolina tax return, taxpayers can file Form SC4868 to request an extension of time. This extension provides an additional six months to file the return, moving the deadline from April 15th to October 15th. However, it's important to note that an extension of time to file does not grant an extension of time to pay any tax due.

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OFLJH Inc., a leading manufacturer of frozen dessert products, is considering the addition of a new product: frozen yogurt. The firm estimates that each cup will sell for $2 and that the variable costs per cup will be 70% of the selling price. The firm expects to sell at least 10M cups the first year and that the marginal tax rate will be 40%. The firm wants to maintain its current degree of financial leverage of 1.5 and a maximum degree of combined leverage of 4.5 . The firm expects to pay $300,000 in preferred dividends and has 1 million shares of common stock outstanding. a) Create an income statement for the new frozen yogurt's first year using the information provided. b) Determine the operating break-even point in units and also in dollars. c) How many cups would The Cold Experience, Inc. need to sell in order to achieve earnings before interest and taxes of $3M ?

Answers

a) The income statement for OFLJH Inc.'s new frozen yogurt product in its first year is as follows:

Income Statement

Revenue:

Sales (10,000,000 cups × $2/cup) $20,000,000

Cost of Goods Sold:

Variable Costs (70% of sales) $14,000,000

Gross Profit $6,000,000

Operating Expenses:

Fixed Costs $X

Depreciation Expense $X

Operating Income (EBIT) $X

Interest Expense $X

Earnings Before Taxes (EBT) $X

Taxes (40% of EBT) $X

Net Income $X

b) To determine the operating break-even point in units and dollars, we need to calculate the contribution margin per unit and the fixed costs. The contribution margin is the selling price per unit minus the variable cost per unit.

Contribution margin per cup: $2 - ($2 × 70%) = $0.60

The operating break-even point in units can be calculated by dividing the fixed costs by the contribution margin per unit.

Operating break-even point in units = Fixed costs / Contribution margin per cup

To calculate the operating break-even point in dollars, we multiply the operating break-even point in units by the selling price per cup.

Operating break-even point in dollars = Operating break-even point in units × Selling price per cup

c) To determine the number of cups The Cold Experience, Inc. would need to sell in order to achieve earnings before interest and taxes (EBIT) of $3 million, we need to consider the operating income (EBIT) and the interest expense.

EBIT = Sales - Variable Costs - Fixed Costs - Depreciation Expense

We rearrange the formula to solve for sales:

Sales = EBIT + Variable Costs + Fixed Costs + Depreciation Expense

The number of cups to be sold can be calculated by dividing the sales by the selling price per cup.

Number of cups = Sales / Selling price per cup

By substituting the given EBIT of $3 million, the variable costs, fixed costs, depreciation expense, and the selling price per cup, we can determine the number of cups The Cold Experience, Inc. would need to sell to achieve the desired EBIT of $3 million.

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Use the following cash flow data of Haven Hardware for the year ended December 31 , 2020 . What is the net cash provided by or used in investing activities of Haven Hardware? A) $12,000 B) −$12,000 C) −$62,000 D) $164,000

Answers

The net increase or decrease in cash for Haven Hardware for 2012 is $188,000.

To calculate the net increase or decrease in cash for Haven Hardware for 2012, we need to subtract the cash outflows (payments) from the cash inflows (receipts).

Cash inflows:
- Cash Collections from Customers: $575,000
- Sales of Equipment: $91,000
- Retirement of Common Stock: $65,000

Total cash inflows: $575,000 + $91,000 + $65,000 = $731,000

Cash outflows:
- Cash Payment on Salaries: $105,000
- Cash Payment on Interest: $50,000
- Purchase of Equipment: $75,000
- Purchase of Land: $43,000
- Cash Payments to Suppliers: $185,000
- Cash Dividend: $85,000

Total cash outflows: $105,000 + $50,000 + $75,000 + $43,000 + $185,000 + $85,000 = $543,000

To find the net increase or decrease in cash, we subtract the total cash outflows from the total cash inflows:

Net increase or decrease in cash = Total cash inflows - Total cash outflows
Net increase or decrease in cash = $731,000 - $543,000
Net increase or decrease in cash = $188,000

Therefore, the net increase or decrease in cash for Haven Hardware for 2012 is $188,000.

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the actions that firms in an industry must perform in the process of designing, manufacturing, and providing customer service are called quizlet

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The actions that firms in an industry must perform in the process of designing, manufacturing, and providing customer service are called "business operations."

Business operations encompass a range of activities required to create, deliver, and support products or services. In the context of designing, firms engage in activities such as product research, development, and design to meet customer needs and preferences. Manufacturing involves the conversion of raw materials or components into finished products, employing processes like production planning, sourcing, and quality control. Customer service operations involve activities like order processing, delivery, after-sales support, and addressing customer inquiries or complaints. These operations collectively form the backbone of a firm's value chain, ensuring the smooth functioning of business processes and delivering value to customers. Effective management and optimization of business operations are critical for enhancing efficiency, customer satisfaction, and overall competitiveness in the industry.

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Explain how customer service can impact on the public relations image of a company. Explain how verbal communication barriers with customers can be handled effectively. Explain how you can overcome barriers to communication with customers who are hearing impaired. Explain how you can overcome barriers to communication with customers who are sight impaired.

Answers

1. Customer service has a significant impact on a company's public relations image.

2. Overcoming verbal communication barriers involves promoting cultural sensitivity, active listening, and simplifying complex information.

3. To overcome barriers with customers who are hearing impaired, written communication and visual aids can be used effectively.

4. For customers who are sight impaired, verbal descriptions, alternative formats, and assistive technologies are important tools to facilitate communication and provide inclusive customer service experiences.

1. Customer service plays a crucial role in shaping the public relations image of a company. Positive customer service experiences can enhance a company's reputation and create a favorable perception among the public, while poor customer service can damage the company's image and lead to negative word-of-mouth.

2. Effective verbal communication is essential for providing excellent customer service. However, there can be barriers to effective communication that need to be handled skillfully:

Language and cultural barriers: Companies can overcome these barriers by employing multilingual staff, providing language training to employees, and promoting cultural sensitivity. Using translation services or providing written materials in multiple languages can also help.

Technical jargon and complexity: Customer service representatives should avoid using technical jargon and complex terminology. They should explain information in clear, simple language, using analogies or examples to aid understanding.

Active listening and empathy: Effective communication requires active listening to understand customer needs and concerns. Customer service representatives should show empathy, validate customer emotions, and respond appropriately to build rapport and trust.

3. When communicating with customers who are hearing impaired, the following strategies can help overcome communication barriers:

Written communication: Utilize written communication channels such as email, live chat, or text messages to ensure clear and effective communication.

Visual aids: Use visual aids like diagrams, charts, or videos to supplement verbal communication and provide additional context.

4. To overcome barriers with customers who are sight impaired, consider the following approaches:

Verbal descriptions: Provide clear and detailed verbal descriptions of products, services, or any visual elements. Use precise language to paint a mental picture for the customer.

Alternative formats: Offer information in alternative formats such as braille, large print, or audio recordings to accommodate the needs of sight-impaired customers.

Assistive technologies: Ensure your customer service channels are compatible with assistive technologies such as screen readers or voice recognition software to facilitate effective communication.

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Multicultural Marketing Questions
How can Coca-Cola improve its marketing campaigns/strategies to
target Asian Americans? Give several examples.

Answers

Multicultural marketing is a form of marketing that reaches out to people from different cultural backgrounds and identities. Targeting diverse consumer groups can boost a company's revenue and visibility. Here are some ways Coca-Cola can enhance its marketing strategy to attract Asian American consumers.

Coca-Cola should collaborate with popular Asian American influencers and celebrities. To target a specific audience, using micro-influencers, rather than big celebrities, could be more efficient. For example, partnering with well-known social media personalities like Jackie Aina, Desi Perkins, or Lisa Kim to create a culturally sensitive campaign that promotes Coca-Cola will help attract a significant Asian American audience.Moreover, Coca-Cola can tailor its advertisements to resonate with the cultural values of Asian Americans.

For example, in the USA, family plays a significant role in Asian culture. Thus, incorporating family-oriented themes in the advertisement will appeal to Asian Americans. Coca-Cola's advertisement could also feature how people from various Asian communities celebrate with Coca-Cola beverages during cultural events or social gatherings.Coca-Cola can also run ads in languages other than English to appeal to the diverse community.

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All else equal, if technological change results in a permanent increase in structural unemployment, then which of the following would also increase? O cyclical unemployment frictional unemployment the natural rate of unemployment seasonal unemployment

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If technological change results in a permanent increase in structural unemployment, then the natural rate of unemployment would also increase.

Unemployment refers to the state of being without a job, actively seeking employment, and available to work. It is an economic indicator that measures the percentage of the labor force that is unemployed. Unemployment can be caused by various factors, such as economic downturns, technological advancements, mismatched skills, and structural changes in industries. High levels of unemployment can have negative social and economic consequences, including reduced consumer spending, increased government spending on social welfare programs, and decreased overall productivity. Governments implement policies and programs to mitigate unemployment and stimulate job creation.

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Nanco Industries has a relevant range extending to 31,000 units each month. The following performance report provides information about Nanco's budget and actual performance for November. Nanco Industries Flexible Budget Performance Report: Sales and Operating Expenses

Answers

Filling in the missing numbers in the table:
Flexible budget:
A: 26,000
B: $242,000
C: $192,400
D: $194,680
E: $19,000
F: $194,680

Actual:
A: 26,000
B: $236,600
C: $41,920
D: $211,900
E: $19,000
F: $194,680

Variance:
A: 0
B: $5,400 (Favorable)
C: 0 (No variance)
D: $25,500 (Unfavorable)
E: 0 (No variance)
F: $17,220 (Unfavorable)

To fill in the missing numbers in the table, let's analyze the given information:

1. Sales revenue:
- The flexible budget amount is $242,000.
- The actual amount is missing.
- The variance is $5,400 (favorable).

2. Variable expenses:
- The flexible budget amount is $192,400.
- The actual amount is missing.
- The variance is also missing.

3. Contribution margin:
- The flexible budget amount is $194,680.
- The actual amount is missing.
- The variance is $25,500 (unfavorable).

4. Fixed expenses:
- The flexible budget amount is $19,000.
- The actual amount is missing.
- The variance is also missing.

5. Operating income:
- The flexible budget amount is $194,680.
- The actual amount is missing.
- The variance is $17,220 (unfavorable).

To find the missing values, we need to use the given information and solve for each variable.

1. Sales revenue:
- Since the variance is favorable, we can subtract it from the flexible budget amount to find the actual amount:
Actual sales revenue = Flexible budget amount - Variance
Actual sales revenue = $242,000 - $5,400
Actual sales revenue = $236,600

2. Variable expenses:
- The actual amount is missing, so we can't determine the variance. However, we can calculate the contribution margin using the given values:
Contribution margin = Sales revenue - Variable expenses
$194,680 = $236,600 - Variable expenses
Variable expenses = $236,600 - $194,680
Variable expenses = $41,920

3. Fixed expenses:
- The actual amount is missing, so we can't determine the variance. However, we can calculate the contribution margin using the given values:
Contribution margin = Sales revenue - Variable expenses - Fixed expenses
$194,680 = $236,600 - $41,920 - Fixed expenses
Fixed expenses = $236,600 - $41,920 - $194,680
Fixed expenses = $0 (Since the result is $0, there is no variance for fixed expenses.)

4. Operating income:
- Since the variance is unfavorable, we can add it to the flexible budget amount to find the actual amount:
Actual operating income = Flexible budget amount + Variance
Actual operating income = $194,680 + $17,220
Actual operating income = $211,900

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1) Does a shift towards behavioral economics undercut its usefulness as a tool for understanding our economy and society? Is the end of economics or does it open the door to the beginning of a new kind of analysis?
2) Name some of the most important ideas or tools that you have learned in this course. How can they contribute to your critical thinking tools?

Answers

1) A shift towards behavioral economics does not undercut its usefulness as a tool for understanding our economy and society. Instead, it opens the door to a new kind of analysis that incorporates insights from psychology and behavioral science into economic models. Traditional economics assumes rational behavior and perfect information, but behavioral economics recognizes that individuals often deviate from purely rational decision-making and are influenced by cognitive biases, social norms, and emotions. By incorporating these insights, behavioral economics can provide a more realistic understanding of human behavior and decision-making in economic and social contexts. It enriches the field of economics by offering additional tools and perspectives to analyze and address complex real-world problems.

2) Some important ideas and tools that I have learned in this course include:

- Utility theory: Understanding how individuals make decisions based on their preferences and utility maximization.

- Game theory: Analyzing strategic interactions between individuals or firms and predicting outcomes in various scenarios.

- Supply and demand analysis: Studying the determinants of market equilibrium and the effects of changes in supply and demand on prices and quantities.

- Cost-benefit analysis: Evaluating the costs and benefits of different choices or policies to inform decision-making.

- Market structures: Examining the characteristics and behavior of different market structures, such as perfect competition, monopolies, and oligopolies.

- Externalities and public goods: Considering the impact of external costs or benefits on societal welfare and understanding the provision of public goods.

These ideas and tools contribute to critical thinking by providing frameworks and analytical techniques to analyze economic phenomena, assess trade-offs, and make informed decisions. They help in understanding the complexities of markets, decision-making processes, and policy implications. Additionally, they promote the ability to think systematically, evaluate evidence, consider alternative perspectives, and make informed judgments when analyzing economic issues and their broader implications.

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A decrease in the implicit tax rate on welfare benefits serves as Select one: A. an incentive to work more hours. B. a way to decrease spending on benefits. C. a way to decrease the incomes of welfare recipients. D. an incentive to work fewer hours.

Answers

A decrease in the implicit tax rate on welfare benefits serves as an incentive to work more hours. So, the correct option is  A. an incentive to work more hours.

The implicit tax rate refers to the reduction in welfare benefits as a person's income from work increases. When the implicit tax rate is high, welfare recipients face a significant reduction in benefits as they earn more, which can discourage them from seeking employment or working additional hours.

By reducing the implicit tax rate, individuals on welfare are able to keep a larger portion of their earnings without a substantial reduction in benefits. This creates a stronger incentive for them to work more hours because they can increase their income while still receiving some level of welfare support.

By encouraging individuals to work more, the decrease in the implicit tax rate can potentially lead to reduced dependence on welfare programs over time. It may also result in higher overall economic productivity as more people actively participate in the workforce.

Therefore, the correct answer is A. an incentive to work more hours.

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Question 7 (1 point) What you could have gained from the second best choice, but didn't. Cost/benefit analysis Potential GDP Cost-push inflation Opportunity cost

Answers

Cost/benefit analysis is a decision-making tool that involves comparing the costs and benefits of different options or courses of action. It helps to determine whether the benefits outweigh the costs and whether a particular decision is worth pursuing.

Potential GDP refers to the maximum level of output that an economy can produce when operating at full capacity. It represents the economy's productive potential if all resources are fully utilized.

Cost-push inflation occurs when the overall price level in an economy rises due to increased production costs, such as wages or raw material prices. It is often associated with factors such as higher energy costs, increased taxation, or supply disruptions.

Opportunity cost refers to the value of the next best alternative forgone when making a decision. It represents the benefits that could have been gained from the second best choice that was not selected.

In a cost/benefit analysis, one would typically assess the potential gains or benefits of a decision, weighing them against the associated costs. This analysis helps to evaluate whether the benefits justify the costs and allows for informed decision-making. Understanding potential GDP, cost-push inflation, and opportunity costs can provide valuable insights and considerations in conducting a comprehensive cost/benefit analysis.

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Heather is planning to retire in 7 years. She will then need an income of $1674 at the beginning of every month for the subsequent 25 years. She is going to make one investment today to provide all of the money she will eventually collect. Her investments will earn 6.44% compounded monthly. How much should she invest today?`

Answers

Heather should invest $237,360.26 today. It is given that Heather is planning to retire in 7 years. She will then need an income of $1674 at the beginning of every month for the subsequent 25 years.

The rate of interest is 6.44% compounded monthly. We are to determine the amount that should be invested by her today. Let us use the formula for the present value of an annuity:

PVA = PMT[(1 - (1 + r)^-n) / r] where PVA is the present value of an annuity PMT is the regular payment amount,r is the rate of interest, n is the number of periods. In this question, the present value of the annuity will be the amount Heather needs to invest today to obtain the payment.

We can plug in the given values to solve for the present value of the annuity:

PVA = $1,674[(1 - (1 + 0.0644/12)^-300) / (0.0644/12)]

PVA = $1,674[(1 - 0.1635) / 0.00537]

PVA = $1,674[141.74]

PVA = $237,360.26

Therefore, Heather should invest $237,360.26 today.

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What are
the costs incurred by a firm when it issues new securities through
an investment bank, in the traditional firm commitment underwriting?
What does it mean to say that a firm has "left money on

Answers

The costs incurred by a firm in traditional firm commitment underwriting include underwriting fees, legal and accounting expenses, printing and marketing costs, and potential administrative fees.

Underwriting Fees: The primary cost incurred by a firm in a traditional firm commitment underwriting is the underwriting fees. These fees compensate the investment bank for guaranteeing the purchase of the securities from the firm at a predetermined price and assuming the risk of reselling them to investors. Underwriting fees are typically a percentage of the total value of the securities issued.

Legal and Accounting Fees: The firm may also incur expenses related to legal and accounting services during the issuance process. These fees cover the costs of preparing and reviewing the necessary legal documents, such as the prospectus, as well as ensuring compliance with regulatory requirements. Additionally, accounting fees may be incurred for the preparation and audit of financial statements and other disclosure materials.

Printing and Marketing Costs: The firm might need to bear the expenses associated with printing physical copies of the prospectus and other offering materials. This includes the costs of design, printing, and distribution. Furthermore, marketing costs such as advertising and promotional activities may be incurred to attract potential investors.

Other Administrative Expenses: Depending on the complexity of the offering and the specific circumstances, there may be additional administrative expenses incurred by the firm. These could include filing fees with regulatory authorities, listing fees for stock exchange listings, and any other miscellaneous costs associated with the issuance process.

Regarding the phrase "left money on the table," it generally means that a firm could have achieved a higher price or raised more funds if it had priced the securities more optimally. This situation arises when the securities are underpriced, and their market price increases significantly shortly after the offering. In such cases, the firm could have sold the securities at a higher price, thereby obtaining more funds for its capital needs. It is often seen as a missed opportunity for the firm to maximize its fundraising potential.

The complete question is:

What are the costs incurred by a firm when it issues new securities through an investment bank, in the traditional firm commitment underwriting? What does it mean to say that a firm has "left money on the table"?

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It is April 7, 2014. The quoted price of a US government bond with a 8% per annum coupon (paid semiannually) is 120-00. The bond matures on July 27,2023 . What is the cash price? How does your answer change if it is a corporate bond?

Answers

The cash price of the US government bond is $2640.

The cash price of a bond is the price that an investor actually pays to purchase the bond. To calculate the cash price of a bond, we need to take into account the quoted price and the accrued interest.

For the given US government bond with an 8% per annum coupon rate, paid semiannually, and a maturity date of July 27, 2023, the quoted price is 120-00.
To calculate the cash price, we need to determine the accrued interest up to the settlement date, which is April 7, 2014. Since the coupon is paid semiannually, we need to calculate the number of coupon periods that have passed since the last payment on January 27, 2014.

First, let's determine the coupon payment amount:
Coupon payment amount = (Coupon rate / 2) * Face value
                     = (8% / 2) * $1000
                     = $40
Next, let's calculate the number of coupon periods that have passed:
Number of coupon periods = Number of years * Number of coupon payments per year
                       = (2014 - 2023) * 2
                       = 18 * 2
                       = 36
The accrued interest is the sum of the coupon payments for the number of coupon periods that have passed:
Accrued interest = Coupon payment amount * Number of coupon periods
               = $40 * 36
               = $1440
Now, let's calculate the cash price by adding the accrued interest to the quoted price:
Cash price = Quoted price + Accrued interest
          = $1200 + $1440
          = $2640

Therefore, the cash price of the US government bond is $2640.

If the bond were a corporate bond instead, the calculation for the cash price would be the same. However, corporate bonds may have different coupon rates and payment frequencies, and the quoted prices may also vary. It is important to consider the specific details of the corporate bond in question to calculate its cash price accurately.

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during its first five years of operations, white consulting reports net income and pays dividends as follows. required: calculate the balance of retained earnings at the end of each year. note that retained earnings will always equal $0 at the beginning of year 1. chegg

Answers

The balance at the end of Year 4 becomes the beginning balance for Year 5

To calculate the balance of retained earnings at the end of each year, we need to consider the net income and dividends paid during each year.

Year 1: Since the retained earnings begin at $0, the balance at the end of Year 1 will be the net income minus the dividends paid.

Year 2: The balance at the end of Year 1 becomes the beginning balance for Year 2. To calculate the balance at the end of Year 2, add the net income to the beginning balance and subtract the dividends paid.

Year 3: Similarly, the balance at the end of Year 2 becomes the beginning balance for Year 3. Add the net income to the beginning balance and subtract the dividends paid to find the balance at the end of Year 3.

Year 4: Repeat the same process. The balance at the end of Year 3 becomes the beginning balance for Year 4. Add the net income and subtract the dividends paid to find the balance at the end of Year 4.

Year 5: Finally, the balance at the end of Year 4 becomes the beginning balance for Year 5. Add the net income and subtract the dividends paid to find the balance at the end of Year 5.

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Other Questions
Consider a 10-year loan of 1,000 with inflation protection. The loan agreement specifies a continuously compounded interest rate of 4%, and that the repayment amount will be adjusted by a factor equal to the value of a particular price index on the repayment date, divided by the value of that index on the date of the loan. Suppose that the value of the price index specified in the agreement is 201.9 on the date of the loan and 241.8 at the end of the loan's 10-year term.What is the repayment amount the lender receives? What was the real rate of return for this loan, and what was the nominal rate of return?(Express your answers as continuously compounded rates.) Chances are that when most Americans think of theme parks, they envision places like Disney World where all the fun aspects of childhood are celebrated. However, at KidZania, a new brand of "edutainment" theme parks headquartered in Mexico, have role-playing activities based on all the trappings of adulthood that attract millions of visitors a year. The parks are kid-sized replicas of real cities where children role-play a variety of careers such as firefighters, dentists, painters, and more than 100 other occupations. Xavier Lopez Ancona got the idea for KidZania after a friend approached him about investing in a line of day care centers focused on role-play. Ancona, a former private equity trader, soon realized that no one, not even Disney, owned the market on childrens role-playing activities. In 1999 he opened the first KidZania in Mexico City with tremendous success. The park exceeded all projections by a significant margin thanks to KidZanias immersive atmosphere. At the box office parents purchase a "plane ticket" for their childs passage into the nation of KidZania. After receiving a check for 50 kidZos (the local currency), the visitors take a trip to the career center. After a quiz determines their best-fitting pretend career paths, the children set off to earn kidZos that can be used to buy goods and services. KidZanians can increase their earning potential by obtaining degrees up to the doctoral level. Seven years after its Mexico City location took off, KidZania opened up a new outpost in Tokyo, followed shortly by locations in Dubai, Seoul, and several other cities. The company has 16 total, including an American location in Santa Fe. In order to house a KidZania, a region must have a significant number of young families as well as a few generous corporations. The company relies heavily on corporate sponsorship to provide funds for the high production values of their parks role-playing pavilions. Although the company makes a third of its money from marketing deals, Ancona insists that the sponsorship is not a form of advertising. Coca-Cola, for instance, sponsors a pretend bottling plant in five KidZanias and insists it is not targeting children with marketing messages. On the other hand, at the Mexico City location, Procter & Gamble sponsors a section where kids are encouraged to keep their hands clean by using the companys Safeguard soap. A representative from Procter & Gamble said she hopes the exposure turns children into lifelong customers of the brand. Would "edutainment" parks like KidZania find success in the United States?Is corporate sponsorship at KidZania intended only to build future customers? A heat pump has a coefficient of performance of 3.80 and operates with a power consumption of 7.0310W .(b) How much energy does it extract from the outside air? Dr Wong asks students of her class to form a group of 8 for a group presentation at the end of the semester. Complaints regarding free-riding behaviours of groupmates, such as slacking off on tasks, reluctance in replying to messages, and no-shows in meetings, have been reported.(a) Identify the above group phenomenon and describe students behaviours in the group. (b) Try to suggest a way for Dr Wong to reduce the phenomenon identified in (a). (c) Dr Wong later wants to study the thought processes of free riders of this group work, as well as their past study behaviours. Suggest the research method for this purpose and identify its usefulness. A woman fires a rifle with barrel length of 0.5400 m. Let (0, 0) be where the 125 g bullet begins to move, and the bullet travels in the +x-direction. The force exerted by the expanding gas on the bullet is (14,000 + 10,000x26,000x) N, where x is in meters. (a) Calculate the work done (in kJ) by the gas on the bullet as the bullet travels the length of the barrel. (Enter your answer to at least two decimal places.) ________________ K2 (b) If the barrel is 1.060 m long, how much work (in kJ) is done? (Enter your answer to at least two decimal places.) ________________ k2 (c) How does this value compare with the work calculated in part (a)? The work is greater by During the Great Depression, the U.S. economy was functioning far below full capacity. At that time, what would have been the effect of a large increase in government spending? OA. A small decrease in aggregate supply and a large decrease in price levels OB. A small increase in wages and a large increase in price levels OC. A small increase in price levels and a large increase in RGDP OD. A small decrease in aggregate demand and a large decrease in RGDP A horizontal wire of length 3.0 m carries a current of 6.0 A and is oriented so that the current direction is 50 S of W. The Earth's magnetic field is due north at this point and has a strength of 0.1410 ^4 T. What are the magnitude and direction of the force on the wire? 1.910 N ^4 , out of the Earth's surface None of the choices is correct. 1.610 N ^4 , out of the Earth's surface 1.910 N ^4 , toward the Earth's surface 1.610 N ^4 , toward the Earth's surface The primary financial objective is usually taken to be the maximization of shareholder wealth.Discuss:Ways in which the shareholders of a company can encourage its manager to act in a way which is consistent with the objective of maximization of shareholder wealth.What other objective may be important to a public limited company which are in-line with the primary objective of shareholder wealth maximization.What is the purpose or benefit of published financial statements for companies and the ratio analysis?Discuss Bonds/ Preference Shares and Ordinary Shares, and factors determinant in choosing them as the firms capital structure.What are the short term and long term financing available for companies to generate funds for operating their business. Discuss the reason for acquiring this funds. A light plane attains an airspeed of 450 km/h. The pilot sets out for a destination 750 km due north but discovers that the plane must be headed 17.0 east of due north to fly there directly. The plane arrives in 2.00 h. What were the (a) magnitude and (b) direction of the wind velocity? Give the direction as an angle relative to due west, where north of west is a positive angle, and south of west is a negative angle. 5. Sketch graphs of the following polar functions. Give the coordinates of intersections with 0 = 0 and 0 = /2. ady = 0/4c. with 0 < 0 < 4. bir sin(201 dr1+cost d) r = 1- cos(20) e) r = 1- 2 sin CONCEPT: REPRODUCTIONPLEASE TYPE FOR CLARITY. Does not need to be in map form. Thank you.Develop a concept map (include but not limited to)- Definition- Scope- Pathophysiology- Risk factors- Assessment data- Primary and secondary levels of prevention What+is+the+value+of+a+perpetual+bond+with+a+par+value+of+$1,000+and+a+coupon+rate+of+9%+(semiannual+coupon)?+the+bond+has+a+yield+to+maturity+of+6.40%. 2). Calculate friction heads when a flow rate of 1.5 m/min circulate in two different pipelines. Data: D D=2" Sch 40, L=100 m, L2-200 m Kil 1 globe valve fully open, 2 gate valves open, 2 Tees, 3 90 elbows. K2= 1 globe valve fully open, 2 gate valves open, 4 Tees, 2 90 elbows. Commercial stainless-steel pipeline, 1 and 2 correspond to the two different pipelines. Use a water solution with p = 1,100 kg/m3, u = 1.2 x 10 Pa s. Carnot engine operates with efficiency of n1 = 20 %. Estimate the temperature of the hot reservoir Th, so that the efficiency increases to n2 = 60 %? The temperature of the cold reservoir Te remains at 303 K. (8) A simple harmonic oscillator takes 14.5 s to undergo three complete vibrations. (a) Find the period of its motion. S (b) Find the frequency in hertz. Hz (c) Find the angular frequency in radians per second. rad/s Rewrite 156+243 using factoring What do you think of Zvi Gotheimer's use of Dabke with moderndance? Do you think traditional dances should be left alone, or arethey open to artistic interpretation? 4) 30 points The pipe to the right shows a fluid flowing in a pipe. Assume that the fluid is incompressible. 1 a) 10 points Rank the speed of the fluid at points 1, 2, and 3 from least to greatest. Explain your ranking using concepts of fluid dynamics. b) 20 points Assume that the fluid in the pipe has density p and has pressure and speed at point 1. The cross-sectional area of the pipe at point 1 is A and the cross- sectional area at point 2 is half that at point 1. Derive an expression for the pressure in the pipe at point 2. Show all work and record your answer for in terms of, p, , A, and g. No court that suppresses evidence is impartial.Some courts subject to political pressure suppress evidence.So ???No courts subject to political pressure are impartial.None of these validly follows.Some courts subject to political pressure aren't impartial.Some courts subject to political pressure are impartial. EXERCICE 3. LES QUESTIONSASK A QUESTION. Don't forget to conjugate your verb (and the question mark at the end)4. Nous ________ (avoir) une maison. Use "nous" to form your question)Flag question: Question 32