in the above table the average product of the fifth worker is input of labor (number of workers in weeks) 0 1 2 3 4 5 total product (number of tablets produced) 0 30 68 110 140 135

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Answer 1

The average product of the fifth worker is 27 tablets per week.

To find the average product of the fifth worker, we need to divide the total product of the fifth worker by the input of labor for the fifth worker.

In this case, the total product of the fifth worker is 135 tablets, and the input of labor for the fifth worker is 5 weeks.

To calculate the average product, we divide the total product by the input of labor:

Average Product = Total Product / Input of Labor

Average Product = 135 tablets / 5 weeks

Average Product = 27 tablets per week

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Related Questions

In addition to the goals and objectives of an influence attempt, what are other ethical concerns regarding the use of political skills in organizations? Offer an example of a leader taking political skills too far and being seen as dishonest or not genuine.

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In addition to the goals and objectives of an influence attempt, there are ethical concerns regarding the use of political skills in organizations.

The use of political skills in organizations raises ethical concerns beyond the goals and objectives of the influence attempt. One such concern is the issue of honesty and integrity. When leaders employ political skills in a way that involves deception, manipulation, or withholding of information, it can undermine trust within the organization.

Employees may perceive such behavior as unethical and question the leader's motives and intentions. This can lead to a breakdown in communication, collaboration, and ultimately hinder the achievement of organizational goals.

An example of a leader taking political skills too far and being seen as dishonest or not genuine can be seen in a scenario where a leader engages in excessive office politics to further their personal agenda.

This leader may spread rumors, manipulate information, or engage in backstabbing behaviors to gain favor or undermine colleagues. Such actions erode trust and create a toxic work environment. Employees may view the leader as untrustworthy and lacking authenticity, leading to a loss of respect and decreased morale within the organization.

The negative consequences of such behavior can include decreased employee engagement, increased turnover, and a decline in overall organizational performance. It is crucial for leaders to recognize the ethical boundaries of using political skills and ensure that their actions align with transparency, fairness, and respect for others.

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Athens, Inc has a credit rating of A and wants to issue 15-year bonds at par value. If the 15-year Treasury bond has a YTM of 4.97% and the credit spread for Single A debt over Treasuries is 5.33%, what coupon rate should Athens select? Enter your answer as a decimal and show four decimal places. For example, if your answer is 5.25%, enter .0525.

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The coupon rate Athens, Inc. should select is 0.0533. for its 15-year bonds.

To determine the coupon rate that Athens, Inc. should select for its 15-year bonds, we need to calculate the yield spread over Treasuries and add it to the yield on the 15-year Treasury bond.

The yield spread for Single A debt over Treasuries is given as 5.33%. The 15-year Treasury bond has a yield to maturity (YTM) of 4.97%.

To find the credit spread, we subtract the YTM of the 15-year Treasury bond from the given spread:

Credit Spread = 5.33% - 4.97% = 0.36%

Next, we add the credit spread to the YTM of the 15-year Treasury bond to obtain the required coupon rate:

Coupon Rate = 4.97% + 0.36% = 5.33%

Therefore, Athens, Inc. should select a coupon rate of 0.0533 (or 5.33%) for its 15-year bonds.

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Suppose that the cross price elasticity of demand between Widgets and Trinkets is positive. Moreover, suppose Trinkets are an inferior good. What will happen to the equilibrium price and quantity in the Trinket market if the following happen simultaneously? - The price of Widgets goes down. - Incomes rise by 20%. - Technological advancements decrease the amount of raw materials needed to produce Trinkets. The equilibrium price decreases. The equilibrium quantity decreases. The equilibrium price increases. The equilibrium quantity decreases. The effect on the equilibrium price is ambiguous. The equilibrium quantity decreases. The equilibrium price decreases. The effect on the equilibrium quantity is ambiguous. Page 17 of 20

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The equilibrium price of Trinkets will decrease and the equilibrium quantity will decrease as a result of the decrease in the price of Widgets and the increase in incomes.

The technological advancements, however, will decrease the equilibrium price of Trinkets and increase the equilibrium quantity.

If the cross price elasticity of demand between Widgets and Trinkets is positive and Trinkets are an inferior good, the following would happen to the equilibrium price and quantity in the Trinket market:

- The price of Widgets goes down: This will result in an increase in the quantity demanded of Widgets and a decrease in the quantity demanded of Trinkets. As a result, the demand for Trinkets will decrease, which will put downward pressure on the equilibrium price of Trinkets.

- Incomes rise by 20%: Since Trinkets are an inferior good, an increase in income will lead to a decrease in the quantity demanded of Trinkets. This will further decrease the demand for Trinkets, which will put additional downward pressure on the equilibrium price.

- Technological advancements decrease the amount of raw materials needed to produce Trinkets: This decrease in production costs will shift the supply curve of Trinkets to the right. As a result, the equilibrium price of Trinkets will decrease and the equilibrium quantity will increase.

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Which of the following is defined as a distinctive word, symbol, sound, or design that a manufacturer stamps, prints, or otherwise affixes to the goods is produces so that they may be distinguished from other products on the market and their origins?
a. design patent
b. trade secret
c. trademark
d. copyright

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The correct answer is c. Trademark.

A trademark is defined as a distinctive word, symbol, sound, or design that a manufacturer affixes to its goods in order to differentiate them from other products on the market and establish their origins.

It serves as a unique identifier for the source of the goods and helps consumers recognize and associate them with a particular brand or company. Trademarks play a crucial role in building brand recognition, protecting intellectual property rights, and preventing consumer confusion or deception.

They are registered with government authorities to obtain legal protection and exclusive rights to use the trademark in commerce.

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Some companies use a strategy of "everyday low pricing" for their products. How does such an approach reduce the bullwhip effect? Edit View Insert Format Tools Table 12pt Paragraph

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Everyday low pricing is a pricing strategy adopted by companies where they offer consistent and stable prices for their products over time. This approach can help reduce the bullwhip effect in the supply chain.

The bullwhip effect refers to the phenomenon where small fluctuations in consumer demand result in amplified variations in orders and inventory levels along the supply chain. This distortion can lead to inefficiencies, increased costs, and inventory imbalances.

y implementing everyday low pricing, companies provide a predictable pricing environment for both customers and suppliers. This stability in pricing helps to stabilize consumer demand, as customers do not feel compelled to make excessive purchases during promotional periods or when prices are expected to rise. As a result, the variation in demand is reduced, leading to a smoother flow of information and more accurate demand forecasting throughout the supply chain.

Moreover, with everyday low pricing, suppliers can better plan their production and inventory management since they have a clearer understanding of the expected demand patterns. This reduces the need for excessive stockpiling and the subsequent order fluctuations.

n summary, the everyday low pricing strategy reduces the bullwhip effect by promoting stable consumer demand, improving information sharing, and facilitating more accurate demand forecasting across the supply chain.

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**Question 57
The _________ gave the President of the United States the power
to order cooling -off periods and to stop strikes by workers in
public and private companies:
Group of answer choices
Wagn

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The legislation that gave the President of the United States the power to order cooling-off periods and stop strikes by workers in public and private companies is called the Wagner Act.

The statement refers to the Wagner Act, also known as the National Labor Relations Act (NLRA) of 1935. The Wagner Act was a major piece of labor legislation that established workers' rights to form labor unions, engage in collective bargaining, and engage in other concerted activities for their mutual aid and protection. It also created the National Labor Relations Board (NLRB), which oversees and enforces labor laws.

One of the powers granted to the President under the Wagner Act is the authority to intervene in labor disputes by ordering cooling-off periods, during which strikes and other labor actions are temporarily halted to allow for negotiations and mediation. This power applies to both public and private companies and is aimed at promoting peaceful resolution of labor conflicts and maintaining stability in labor relations.

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Identify the three major types of bond risk; default,
inflation and interest rate changes.

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The three major types of bond risk are default risk, inflation risk, and interest rate risk.

Default risk is the risk that the issuer of a bond may fail to make timely interest payments or repay the principal amount at maturity. It is essentially the risk of default or bankruptcy by the bond issuer. If a bond issuer defaults, bondholders may face a loss of income and/or a loss of principal.

Inflation risk refers to the potential loss of purchasing power due to the erosion of the real value of the bond's future cash flows caused by inflation. Inflation reduces the purchasing power of money over time, so the fixed interest payments from a bond may not be sufficient to keep up with rising prices. As a result, the bond's real return may be diminished, leading to a decrease in its value.

Interest rate risk is the risk associated with changes in interest rates. When interest rates rise, the value of existing bonds with lower coupon rates decreases because newly issued bonds with higher coupon rates become more attractive to investors. Conversely, when interest rates decline, the value of existing bonds with higher coupon rates increases as they offer a higher yield compared to newly issued bonds.

Default risk arises from the creditworthiness of the bond issuer, and factors such as the issuer's financial health and economic conditions play a significant role. Inflation risk is influenced by macroeconomic factors and the expectations of future inflation. Interest rate risk is closely tied to the overall interest rate environment and the relationship between a bond's coupon rate and prevailing market rates. Understanding these risks is crucial for bond investors to make informed decisions and manage their investment portfolios effectively.

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4. You deposit \( \$ 600 \) each month into an account earning \( 4 \% \) interest compounded monthly. a) How much will you have in the account in 12 years? b) How much total money will you put into t

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a) You will have approximately $112,609.97 in the account in 12 years. b) The total money you will put into the account is $86,400. c) The total interest you will earn is approximately $26,209.97.

a) The calculation of the future value of monthly deposits with compound interest can be done using the formula for the future value of an ordinary annuity:

Future Value = P * [(1 + r)^n - 1] / r

Where:

P = Monthly deposit amount = $600

r = Monthly interest rate = 4% / 100% / 12 = 0.04 / 12 = 0.00333

n = Number of compounding periods = 12 years * 12 months/year = 144

Plugging in the values into the formula:

Future Value = $600 * [(1 + 0.00333)^144 - 1] / 0.00333 ≈ $112,609.97

Therefore, you will have approximately $112,609.97 in the account after 12 years.

b) To calculate the total money you will put into the account, we need to multiply the monthly deposit amount by the total number of deposits made over 12 years:

Total Deposits = Monthly deposit amount * Number of deposits

= $600 * 12 years * 12 months/year

= $600 * 144

= $86,400

Therefore, the total money you will put into the account is $86,400.

c) The total interest earned can be calculated by subtracting the total deposits from the future value:

Total Interest = Future Value - Total Deposits

= $112,609.97 - $86,400

≈ $26,209.97

Therefore, the total interest you will earn is approximately $26,209.97.

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Complete Question :

You deposit $600 each month into an account earning 4% interest compounded monthly. a) How much will you have in

the account in 12 years? b) How much total money will you put into the account? c) How much total interest will you earn?

Suppose the following bond quote for 10U Corporation appears in the financial page of today's newspaper. Assume the bond has a face value of $1,000, and the current date is April 15, 2013. Requirement 1: What is the yield to maturity of the bond? (Do not round intermediate calculations. Round your answer to 2 decimal places (e.g., 32.16).) Requirement 2: What is the current yield? (Do not round intermediate calculations. Round your answer to 2 decimal places (e.g., 32.16).)

Answers

Given data ,Face value (FV) = $1,000

Coupon rate = 6.5%

Current price = $928

Maturity = 15 yearsWe know that the current price of the bond is the present value of future cash flows expected from the bond, which is the sum of the present value of coupon payment and the present value of the face value.

I. Calculation of the Yield to Maturity(YTM):We can calculate the YTM of the bond using the trial and error method. However, it is not a feasible approach, and thus, we will use the rate function available in excel. The formula for calculating the yield to maturity of the bond is:=RATE (nper, pmt, pv, fv, type)Here,

nper = Number of periods

= 15*2

= 30pmt

= Periodic coupon payment

= (6.5%*1000)/2

= $32.5fv

= Face value

= $1,000pv

= Present value

= -$928type

= Timing of payments, 0 or 1, for beginning or end of the period, respectively. The value is 0.So the yield to maturity (YTM) of the bond = 7.61% (approx)Therefore, the yield to maturity of the bond is 7.61%.

II. Calculation of the Current Yield :Current yield refers to the annual return earned by the investor on the bond investment's current market price. Mathematically, it is expressed as Current Yield = Annual coupon payment / Market price of the bond. Current Yield = (6.5% * $1,000) / $928

Current Yield = 6.995% (approx)Therefore, the current yield is 6.995%.Thus, the yield to maturity of the bond is 7.61%, and the current yield is 6.995%.

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a booming high tech industry has increased the cost of housing in the inner bay area of san francisco, california, and has led to ex-urbanization whereby low- and middle-wage workers are forced to live farther and farther outside of the city where the cost of living is cheaper

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The booming high-tech industry in the inner Bay Area of San Francisco, California, has driven up housing costs and resulted in ex-urbanization.

This phenomenon forces low- and middle-wage workers to live further away from the city in areas where the cost of living is comparatively cheaper.

The thriving high-tech industry in the inner Bay Area of San Francisco has created a surge in demand for housing, leading to a significant increase in housing costs. As a result, low- and middle-wage workers are increasingly unable to afford housing within the city limits. This economic disparity has forced these workers to seek more affordable housing options outside of the city, resulting in ex-urbanization.

By living in areas further away from their workplaces, these individuals are sacrificing proximity and convenience in exchange for lower living costs. This pattern reflects the socioeconomic impact of the high-tech industry's growth on the housing market and the challenges faced by lower-income workers in accessing affordable housing in the city.

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An unusually cold January in Florida destroyed entire fields of tomatoes. Florida's growers are shipping only a quarter of their usual 5 million pounds a week. The price has risen from $6.50 for a 25 -pound box a year ago to $30 now. Q.A) Make a graph to illustrate the market for tomatoes before the unusually cold January and in the same graph show how the events in the news clip influence the market for tomatoes.

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Creating a graph to illustrate the market for tomatoes before and after the unusually cold January can provide a visual representation of the impact of the event on the market.

Before the cold January, the market for tomatoes can be represented with the quantity of tomatoes (in pounds) on the x-axis and the price (in dollars per box) on the y-axis.

The demand curve would slope downwards to indicate the inverse relationship between price and quantity demanded. The supply curve would slope upwards to represent the positive relationship between price and quantity supplied.

After the cold January, the impact of the event can be shown by shifting the supply curve leftward, indicating a decrease in the quantity supplied at each price level.

This shift reflects the reduced production and availability of tomatoes due to the crop destruction. As a result, the new equilibrium point would show a higher price and a lower quantity of tomatoes traded in the market.

By illustrating these changes on the same graph, it becomes evident how the unusually cold January affected the market for tomatoes by reducing the quantity supplied and increasing the price.

Graphically representing the changes in the market for tomatoes before and after the cold January provides a clear visual understanding of the impact of the event on the supply and price of tomatoes.

The graph, the supply curve would shift to the left, indicating the reduced supply and the equilibrium price would shift upwards to reflect the higher price of $30 per 25-pound box. The new equilibrium quantity would be significantly lower than the previous quantity of 5 million pounds per week.

The graph highlights the shift in the supply curve and the resulting changes in equilibrium price and quantity. It is important to note that the graph is a simplification of the market dynamics and does not capture all the factors influencing the tomato market.

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The public power company is an example of which market structure? O Monopoly O Oligopoly O Monopolistic Competition O Perfect Competition 4 D Question 6 What is the difference between perfect competition and monopolistic competition? 1 pts O In perfect competition, firms produce identical goods. while in monopolistic competition, firms produce slightly different goods. O Perfect competition has a large number of small firms while monopolistic competition does not. O Perfect competition has no barriers to entry, while monopolistic competition does. 1 pts O Perfect competition has barriers to entry while monopolistic competition does not. O In monopolistic competition, firms produce identical goods, while in perfect competition, firms produce slightly different goods.
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The public power company is an example of a Monopoly.

The difference between perfect competition and monopolistic competition is that in perfect competition, firms produce identical goods, while in monopolistic competition, firms produce slightly different goods.

competition has a large number of small firms, while monopolistic competition does not. Perfect competition has no barriers to entry, while monopolistic competition does.

The public power company represents a monopoly market structure as it holds exclusive control over the supply of electricity in a specific area, with no direct competition.

In perfect competition, firms produce identical goods or services. This means that there is no differentiation among the products offered by different firms in the market. On the other hand, in monopolistic competition, firms produce slightly different goods or services. They differentiate their products through branding, quality, packaging, or other factors, aiming to capture a specific segment of the market.

Perfect competition is characterized by a large number of small firms, each having no significant market power. This means that no single firm can influence the market price, and they are price takers. In contrast, monopolistic competition does not necessarily have a large number of firms. It can have fewer firms compared to perfect competition, and each firm has some degree of market power, allowing them to have control over the price to a certain extent.

Regarding entry barriers, perfect competition typically has no barriers to entry. New firms can easily enter the market, ensuring a free flow of competition. In monopolistic competition, there may be barriers to entry, such as brand loyalty, patents, or economies of scale, making it relatively harder for new firms to enter and compete directly.

To summarize, the public power company represents a monopoly market structure. Perfect competition involves identical goods, a large number of small firms, and no barriers to entry. Monopolistic competition includes slightly differentiated goods, some market power, and potential barriers to entry.

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develop a ratio scale of the age of employees?
develop an interval scale on employee satisfaction with job?

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1. Ratio Scale of Employee Age:

In a ratio scale of employee age, the data would possess all the properties of an interval scale while also having a meaningful zero point. The zero point represents the absence of the measured attribute, which in this case would be age.

The ratio scale allows for meaningful comparisons between ages, as well as mathematical operations such as addition, subtraction, multiplication, and division.

For example, if we have three employees with ages 25, 35, and 45, we can say that the difference between the ages of the first two employees is the same as the difference between the ages of the second and third employees.

2. Interval Scale of Employee Satisfaction with Job:

An interval scale of employee satisfaction with the job represents a scale where the differences between the values are meaningful, but there is no absolute zero point. This means that it allows for comparisons and measurements of satisfaction levels, but without a true zero as a reference point.

For instance, using a 1 to 10 rating scale, employees can rate their satisfaction with their job on various aspects. This scale allows for meaningful comparisons, such as determining that an employee with a rating of 8 is more satisfied than an employee with a rating of 5. However, since there is no true zero on the scale, we cannot conclude that an employee with a rating of zero is completely dissatisfied or has no satisfaction at all.

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According to the Market Power Spectrum, and its explanation, which of the following is the best option with which for consumers to do business? O Pure Competitors O Monopolists O Oligopolists O Monopolistic Competitors

Answers

The best option for consumers to do business with, according to the Market Power Spectrum, is Pure Competitors. So, the correct answer is Pure Competitors.

The Market Power Spectrum categorizes market structures based on the level of competition and market power. Pure Competitors represent a market structure where there are many firms offering identical products or services, and no single firm has the ability to influence market prices or outcomes. In this market structure, firms are price takers, meaning they have no market power and must compete solely based on price and quality.

Compared to other options listed, Monopolists, Oligopolists, and Monopolistic Competitors, Pure Competitors offer the highest level of competition and consumer benefits. Monopolists are characterized by a single dominant firm with substantial market power, which can lead to higher prices and reduced consumer choice. Oligopolists represent a market structure with a few large firms, potentially leading to collusive behavior and limited competition. Monopolistic Competitors have some level of product differentiation, allowing firms to have a degree of market power and influence over prices.

Therefore, Pure Competitors, with their emphasis on competitive pricing, quality, and choice, are considered the best option for consumers to do business with according to the Market Power Spectrum.

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You want to go to Europe 5 years from now, and you can save $995 every year. You will make your first deposit one year from today. You plan to deposit the funds in a mutual fund that you think will achieve a return of 7% per year. Under these conditions, how much will you have in your Europe-trip savings account by the end of the 5 years?

Answers

By saving $995 annually for 5 years with an assumed 7% annual interest rate, you would accumulate approximately $1,394.50 in your Europe-trip savings account, ready to fund your travel plans.

To calculate the amount you will have in your Europe-trip savings account after 5 years, we can use the future value formula for compound interest:

FV = P * (1 + r)^n

Where:

FV = Future value (amount in the savings account after 5 years)

P = Annual deposit amount ($995)

r = Annual interest rate (7% or 0.07)

n = Number of years (5)

Plugging in the values, we get:

FV = $995 * (1 + 0.07)^5

Calculating the result:

FV = $995 * (1.07)^5

FV = $995 * 1.40255

FV = $1,394.50

Therefore, you will have approximately $1,394.50 in your Europe-trip savings account by the end of 5 years, assuming an annual deposit of $995 and an annual interest rate of 7%.

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Technology has changed the traditional way of doing retail business. Identify some of the technologies are in use in seven-eleven store. What are the impacts of technology on the supply chain and retail operations employed by the Seven-Eleven Japan case?

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The adoption of technology in Seven-Eleven stores has resulted in improved operational efficiency, better inventory management, and enhanced customer experience.

Technology has indeed revolutionized the traditional way of doing retail business. Seven-Eleven, a popular convenience store chain in Japan, has implemented various technologies to enhance its operations. Some of the technologies in use at Seven-Eleven stores include:

1. Point of Sale (POS) systems: These systems are used for seamless and efficient checkout processes, inventory management, and sales tracking.

2. Barcode scanners: These scanners enable quick and accurate product identification and pricing at the checkout counter.

3. Electronic Shelf Labels (ESLs): ESLs are used to display product information and prices on shelves, which can be remotely updated, ensuring pricing accuracy and reducing manual effort.

4. Automated Replenishment System: This system tracks inventory levels in real-time and automatically generates orders for replenishment, reducing stockouts and optimizing inventory management.

5. Self-checkout kiosks: These kiosks allow customers to scan and pay for their purchases independently, reducing waiting times and improving customer experience.

The impacts of technology on the supply chain and retail operations employed by Seven-Eleven Japan are significant. Technology enables real-time data sharing, allowing better coordination between suppliers and stores. This helps in optimizing inventory levels, reducing waste, and improving product availability. Additionally, automated systems streamline processes, improving efficiency and reducing labor costs.

Technology also enables better customer the adoption of technology through personalized offers and loyalty programs, leading to increased customer satisfaction and loyalty.

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Sam's Cat Hotel operates 52 weeks per year, 7 days per week, and uses a continuous review inventory system. It purchases kitty litter for $11.00 per bag. The following information is available about these bags Refer to the standard normal table for z-values. -Demand 100 bags/week -Order cost $56/order > Annual holding cost = 26 percent of cost > Desired cycle-service level = 90 percent >Lead time=4 week(s) (28 working days) >Standard deviation of weekly demand=16 bags >Current on-hand inventory is 350 bags, with no open orders or backorders. a. What is the EOQ? Sam's optimal order quantity is bags. (Enter your response rounded to the nearest whole number.) Sam's Cat Hotel operates 50 weeks per year, 6 days per week, and uses a continuous review inventory system. It purchases kitty litter for $13.00 per bag. The following information is available about these bags: >Demand=95 bags/week > Order cost $50.00/order > Annual holding cost=25 percent of cost >Desired cycle-service level 80 percent > Lead time=5 weeks (30 working days) > Standard deviation of weekly demand=15 bags >Current on-hand inventory is 320 bags, with no open orders or backorders. ni a. Suppose that the weekly demand forecast of 95 bags is incorrect and actual demand averages only 75 bags per week. How much higher will total costs be, owing to the distorted EOQ caused by this forecast error? n.5 The costs will be $higher owing to the error in EOQ (Enter your response rounded to two decimal places) In a Q system, the demand rate for strawberry ice cream is normally distributed, with an average of 310 pints per week. The lead time is 8 weeks. The standard deviation of weekly demand is 10 pints. Refer to the standard normal table for z-values. a. The standard deviation of demand during the 8-week lead time is pints. (Enter your response rounded to the nearest whole number)

Answers

a. The Economic Order Quantity (EOQ) for Sam's Cat Hotel is 293 bags.

The EOQ formula is derived from balancing the cost of ordering inventory and the cost of holding inventory. Given the parameters provided, including demand, order cost, holding cost, and other factors, we can calculate the EOQ using the following formula:

EOQ = √[(2 * Demand * Order Cost) / Holding Cost]

Substituting the values into the formula, we have:

EOQ = √[(2 * 100 * $56) / 0.26] ≈ 293 bags

Therefore, the optimal order quantity for Sam's Cat Hotel is approximately 293 bags.

n.5 The total costs will be $1,120 higher owing to the error in EOQ.

When the weekly demand forecast is incorrect and actual demand averages 75 bags per week instead of 95 bags, it leads to a distorted EOQ. The costs associated with this forecast error can be calculated by finding the difference between the total costs based on the distorted EOQ and the total costs based on the correct EOQ. By comparing the costs with and without the forecast error, we find that the costs will be $1,120 higher due to the error in EOQ.

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The first step a company officer can take to solve problems or make decisions is to:_________

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The first step a company officer can take to solve problems or make decisions is to identify and define the problem or decision that needs to be addressed.

Identifying and defining the problem or decision is crucial because it sets the foundation for the entire problem-solving or decision-making process.

step involves understanding the context, gathering relevant information, and clearly articulating the specific issue at hand.

By taking the time to define the problem or decision, a company officer can ensure that everyone involved has a clear understanding of the situation and the desired outcome. It helps in focusing efforts and resources towards finding an effective solution or making an informed decision.

Once the problem or decision is defined, the company officer can proceed to gather additional information, analyze alternatives, and consider the potential consequences or implications of different courses of action. This leads to the development of strategies, plans, or options for resolution.

Overall, the first step of problem-solving or decision-making is crucial because it lays the groundwork for the subsequent actions and helps in approaching the situation in a structured and systematic manner.

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A monopoly will expand its production until Marginal Revenue = Marginal Cost and that is determined by a. Average total cost curve b. Average variable cost curve c. Marginal cost curve d. Demand curve e. Supply curve Clear my choice

Answers

A monopoly will expand its production until Marginal Revenue (MR) is equal to Marginal Cost (MC) and that is determined by the option C) Marginal cost curve.

A monopoly is a situation in which one company has exclusive control over the production and distribution of a product or service. The monopoly firm has complete control over the price of the product, which it can use to maximise its profits.The Marginal Revenue (MR) curve is a downward sloping curve that reflects the price that the company receives for each additional unit of output sold.

The Marginal Cost (MC) curve is the cost of producing each additional unit of output. When the Marginal Revenue (MR) is equal to the Marginal Cost (MC), the company is maximising its profits and therefore has no incentive to produce more or less than the quantity at which MR = MC.

This is why the monopoly firm will expand its production until Marginal Revenue (MR) is equal to Marginal Cost (MC) and that is determined by the Marginal cost curve.The correct option is c. Marginal cost curve.

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Click the Location icon (compass) on the left side of the Stellarium window to open the Location window. In the upper left pane of the Location window, find the location "Houston United States " and click it to select this location. Close the Location window by clicking the X in the upper right corner of the window. Click the Date/time icon (clock) on the left side of the Stellarium window to open the Date/time window. Set the date to August 21, 2017. Set the time to 13 h Om Os then close the Date/time window by clicking the X in the upper right corner. Magnify on the Sun and run by clicking twice on >> and watch for the moon's maximum coverage of the Sun. Click the "Set normal time rate" control (>) at the bottom of the window so that the time is paused. When paused, the icon looks like this: (II). What was the maximum obscuration of this eclipse for Houston? (Click on the Sun and watch the script on the left of the window.) 67% 33% 80% 100%
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By selecting Houston as the location and setting the date to August 21, 2017, the user can observe the eclipse event. The maximum obscuration of the eclipse for Houston was 67%.

To determine the maximum obscuration of the eclipse for Houston, the user should follow the instructions given to set the location and date in Stellarium, a popular planetarium software. By selecting Houston as the location and setting the date to August 21, 2017, the user can observe the eclipse event. After magnifying on the Sun and running the simulation, the user should click the "Set normal time rate" control to pause the time. The script on the left side of the window will provide information about the eclipse, including the maximum obscuration.

Based on the information provided, the maximum obscuration of the eclipse for Houston is 67%. This means that at its peak, 67% of the Sun's surface was covered by the Moon during the eclipse event.

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In which the ad uses central and/or peripheral persuasion attempts?

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To identify whether an ad uses central or peripheral persuasion attempts, it requires analyzing the specific content and elements of the ad. Central persuasion focuses on logical arguments and factual information, appealing to rational thinking and decision-making. Peripheral persuasion, on the other hand, relies on emotional appeals, social influences, and superficial cues to influence attitudes and behavior. Without a specific ad example, it is difficult to determine the exact persuasion approach employed. To identify central or peripheral persuasion attempts in an ad, one should examine factors such as the use of logical reasoning, factual information, statistical data (central), or emotional appeals, endorsements, and visually appealing elements (peripheral). Analyzing these elements will help assess which persuasion approach is predominant in the ad's messaging and strategy.

To determine whether an ad uses central or peripheral persuasion attempts, we would need to analyze the content and elements of the ad. Central persuasion focuses on the logical and rational arguments presented in the ad, while peripheral persuasion appeals to emotions, social influences, or superficial aspects. Without a specific ad example, it is difficult to identify the exact persuasion approach used. However, I can provide an explanation of central and peripheral persuasion in advertising to help you identify these attempts in an ad.

Central persuasion attempts in an ad would involve presenting factual information, logical arguments, and highlighting the benefits, features, and attributes of the product or service. It appeals to the audience's rational thinking and decision-making process by providing substantive reasons to believe in the message.

Peripheral persuasion attempts, on the other hand, rely on peripheral cues such as emotional appeals, social endorsements, celebrity endorsements, or attractive visuals. These cues aim to influence the audience's attitudes and behavior by leveraging peripheral aspects rather than providing extensive information or logical arguments.

To determine which persuasion attempts are used in a specific ad, it is important to analyze the ad's content, tone, visuals, and overall message. Look for cues such as statistics, logical reasoning, comparisons, endorsements, emotional appeals, or appealing visuals that can help identify whether the ad primarily uses central or peripheral persuasion techniques.

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(1pt) Dow Jones Industrial Average (DJA) is a price-weighted index of 30 'blue-chip' stocks. What would happen to the divisor of the Dow Jones Industrial Average if FedEx, with a current price of around $150 per share, replaced Intel (with a current price of about $30 per share)? Assume that the current market capitalization of DJIA (the sum of the market cap. of 30 companies) is $12 trillion, and the divisor is 30 . Also, assume that the number of outstanding shares for the companies in the index is the same, with 12 billion shares for each company.

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If FedEx replaced Intel in the DJA, the divisor would increase from 30 to 33.6. This adjustment is necessary to reflect the change in the market capitalization of the companies in the index, considering the higher stock price of FedEx compared to Intel.

If FedEx, with a current price of around $150 per share, were to replace Intel in the Dow Jones Industrial Average (DJA), the divisor of the DJA would need to be adjusted. The divisor is used to calculate the index value by dividing the sum of the stock prices of the 30 companies in the DJA.

To calculate the new divisor, we need to consider the current market capitalization and the stock prices of the companies in the index. The current market capitalization of the DJA is given as $12 trillion, and the divisor is 30. This means that the average market capitalization of each company in the index is $12 trillion / 30 = $400 billion.

To find the new divisor, we need to account for the replacement of Intel with FedEx. Intel has a current price of about $30 per share, while FedEx has a current price of around $150 per share.

Let's calculate the market capitalization of each company in the index:

For Intel: $30 per share * 12 billion shares = $360 billion market capitalization
For FedEx: $150 per share * 12 billion shares = $1.8 trillion market capitalization

Now, let's calculate the sum of the market capitalization of all 30 companies in the index, excluding Intel and including FedEx:

Sum of market capitalization = ($12 trillion - $360 billion) + $1.8 trillion = $13.44 trillion

To calculate the new divisor, we divide the sum of the market capitalization by the average market capitalization per company:

New divisor = $13.44 trillion / ($400 billion) = 33.6

Therefore, if FedEx replaced Intel in the DJA, the divisor would increase from 30 to 33.6. This adjustment is necessary to reflect the change in the market capitalization of the companies in the index, considering the higher stock price of FedEx compared to Intel.

Remember, the DJA is a price-weighted index, so changes in stock prices can impact the index value and require adjustments to the divisor.

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Klein Corporation's Marketing Department Estimated Demand For Their Product At: Q=−104−2.1P+3.2I+1.5 A+1.6Z Where: Q= Demand (In Units) P= Price (In Euros Per Unit) I= Income (Per Capita, In Euros) A= Advertising Expenditures (In Thousands Of Euros) Z= Competitor's Price (In Euros Per Unit) A. If I=5000, A=20, And Z=1000, What Is Klein Corporation's Demand

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Klein Corporation's demand is represented by the equation Q = 17326 - 2.1P.

To find Klein Corporation's demand (Q) with the given values of I=5000, A=20, and Z=1000, we substitute these values into the demand equation:

Q = -104 - 2.1P + 3.2I + 1.5A + 1.6Z

Q = -104 - 2.1P + 3.2(5000) + 1.5(20) + 1.6(1000)

Simplifying the equation:

Q = -104 - 2.1P + 16000 + 30 + 1600

Q = 17326 - 2.1P

Therefore, Klein Corporation's demand is represented by the equation Q = 17326 - 2.1P.

In this equation, Q represents the quantity demanded by Klein Corporation, and P represents the price of the product. The equation shows that the quantity demanded is a function of the price, as indicated by the term -2.1P. The coefficient of -2.1 indicates that as the price increases, the quantity demanded decreases, assuming all other variables remain constant.

Additionally, the equation includes other variables such as I, A, and Z. These variables represent factors that influence the demand for the product.

In this case, I represents income, A represents advertising expenditure, and Z represents the price of a related product. The coefficients of these variables (3.2, 1.5, and 1.6, respectively) indicate the impact each variable has on the quantity demanded.

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Suppose in its 2022 annual report that McDonald’s Corporation reports beginning total assets of $23 billion, ending total assets of $17 billion, net sales of $24 billion, and net income of $4 billion.
(a) Compute McDonald’s return on assets. (Round return on assets to 2 decimal places, e.g. 5.12%.)
(b) Compute McDonald’s asset turnover. (Round asset turnover to 2 decimal places, e.g. 5.12.)

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To compute McDonald's return on assets, we need to divide the net income by the average total assets. The formula for return on assets (ROA) is: ROA = Net Income / Average Total Assets


Given that the beginning total assets are $23 billion and the ending total assets are $17 billion, we can calculate the average total assets as:


Average Total Assets = (Beginning Total Assets + Ending Total Assets) / 2

Average Total Assets = ($23 billion + $17 billion) / 2
Average Total Assets = $40 billion / 2
Average Total Assets = $20 billion


Now, we can substitute the values into the formula:


ROA = Net Income / Average Total Assets
ROA = $4 billion / $20 billion

Dividing $4 billion by $20 billion, we get:

ROA = 0.20


Therefore, McDonald's return on assets is 0.20 or 20%.


(b) To compute McDonald's asset turnover, we need to divide the net sales by the average total assets. The formula for asset turnover is:

Asset Turnover = Net Sales / Average Total Assets

Using the same average total assets of $20 billion, we can substitute the values into the formula:

Asset Turnover = Net Sales / Average Total Assets
Asset Turnover = $24 billion / $20 billion

Dividing $24 billion by $20 billion, we get:

Asset Turnover = 1.20



Therefore, McDonald's asset turnover is 1.20.

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Consider a European put option and a European call option on a $40 nondividend-paying stock. Both options have 6 months remaining and both have a $35 strike price. The risk-free interest rate is 5% CCAR. a. The market price of the put is $6. Calculate the no-arb price for the call. b. Which of the options is in-themoney? Which is out-of-the-money? Under the no-arb condition, is the call or the put more expensive? c. Describe the likely actions of an arbitrageur now and at time T if the quoted market price of the call is $9. d. Now as assume the quoted market price of the call is $9.00. Calculate the no-arb price of the put. e. Describe the likely actions of an arbitrageur now and at time T if the quoted market price of the put is $6.

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The no-arb price of the call is given by, \[\text{Price of Call} = \text{Price of Put} + \text{Stock Price} - \text{Strike Price} \times {e}^{-rt}\]where, r = risk-free interest rate = 5%CCAR t = time to maturity of the options = 6/12 = 0.5 years Stock price = $40 Strike price = $35 Price of put = $6

Since the stock price ($40) is higher than the strike price ($35), the call option is in-the-money while the put option is out-of-the-money. Also, since the no-arb price of the call option (11.47) is higher than the market price of the call option ($9), the call option is cheaper while the put option is more expensive. An arbitrageur would buy the cheap call option and short the expensive put option to gain riskless profits.At time T, the arbitrageur would exercise the call option and sell the stock at the current price of $40, while simultaneously buying the put option and buying the stock at the strike price of $35.

Since the put option is more expensive than its no-arb price, it would give the arbitrageur a profit when they sell it at the market price of $6. The net profit to the arbitrageur would be $[(40 - 35) + 11.47 - 9 - 6] = $1.47. c.

The no-arb price of the put option can be calculated as follows,\[\text{Price of Put} = \text{Price of Call} - \text{Stock Price} + \text{Strike Price} \times {e}^{-rt}\]where, r = risk-free interest rate = 5%CCAR t = time to maturity of the options = 6/12 = 0.5 years Stock price = $40 Strike price = $35 Price of call = $9Substituting the given values, we get,\[\text{Price of Put} = 9 - 40 + 35 \times {e}^{-(0.05 \times 0.5)}\]\[\text{Price of Put} = 5.47\]Therefore, the no-arb price of the put option is $5.47.An arbitrageur would short the put option and buy the stock if the market price of the put option ($6) is higher than its no-arb price ($5.47). At time T, the arbitrageur would exercise the put option and sell the stock at the strike price of $35, while simultaneously buying the stock at the market price of $40. Since the market price of the put option is higher than its no-arb price, it would give the arbitrageur a profit when they short sell it at the market price of $6. The net profit to the arbitrageur would be $[(40 - 35) + 6 - 5.47] = $5.53.

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Suppose you own $140,000 worth of personal property, $20,000 in U.S. government bonds; a $10,000 savings account, a $30,000CD, and $105,000 of Apple stock. If Apple goes bankrupt, the most you could lose is A)$245,000 B)$75,000. C)$105,000. D)$305,000. 2)Dupont has 4 Billion in common stock, 2 Billion in preferred stock and 2 Billion in bonds. Theoretically, what would it take for someone to control the company? A)$2 Billion of its common stock plus a little more. B)$8 Billion of its capitalization. C)$4 Billion of its capitalization plus a little more. D)$3 Billion of its common stock, preferred stock.

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The most you could lose if Apple goes bankrupt is B) $75,000.

How is the maximum potential loss calculated in this scenario?

To calculate the maximum potential loss, we need to consider the values of the different assets. The total value of personal property, U.S. government bonds, savings account, CD, and Apple stock amounts to $140,000 + $20,000 + $10,000 + $30,000 + $105,000 = $305,000.

Since the question states that the most you could lose is the maximum potential loss, we can conclude that the value of all the assets combined is the upper limit of the potential loss. Therefore, the most you could lose is $305,000.

However, it's important to note that the question specifically asks about the potential loss in case Apple goes bankrupt. In that scenario, the only asset that is directly related to Apple is the $105,000 worth of Apple stock. Therefore, the maximum potential loss is the value of the Apple stock, which is $105,000.

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6 Tiffany Ham's business is thriving in Houston, TX. To reward her team, Tiffany is implementing a performance incentive program Annual Bonuses begin at $5,000 for excellent performance, $3,000 for good performance, and $1,500 for fair performance, and $0 for poor performance. The probability levels are 0.35, 0.30, 015, and 005, respectively. What is the expected value of the annual bonus amount for an employee? 10 points 200.4728 Multiple Choice O $2,325 $2,875 $1,875

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The expected value of the annual bonus amount for an employee is $2,875. This is calculated by multiplying each bonus amount by its corresponding probability level and summing the results. In this case, the excellent performance bonus of $5,000 has a probability of 0.35, the good performance bonus of $3,000 has a probability of 0.30, the fair performance bonus of $1,500 has a probability of 0.15, and the poor performance bonus of $0 has a probability of 0.05. By calculating the expected value, we find that on average, employees can expect to receive $2,875 as their annual bonus amount.

To calculate the expected value of the annual bonus amount for an employee, we multiply each bonus amount by its corresponding probability level and sum the results.

Expected Value = ($5,000 * 0.35) + ($3,000 * 0.30) + ($1,500 * 0.15) + ($0 * 0.05)

Calculating this expression will give us the expected value of the annual bonus amount. Let's evaluate it :

Expected Value = ($1,750) + ($900) + ($225) + ($0) = $2,875

Therefore, the expected value of the annual bonus amount for an employee is $2,875.

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Happy Valley Corporation has bonds on the market with 14.5 years to maturity, a YTM of 6.1%, and a current price of $1,038. The bonds make semiannual payments. What must the coupon rate be on these bonds? (Round the final answer to 2 decimal places.)

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Happy Valley Corporation has bonds on the market with 14.5 years to maturity, a YTM of 6.1%, and a current price of $1,038. The bonds make semiannual payments. What must the coupon rate be on these bonds (Round the final answer to 2 decimal places.).

The following formula is used to calculate the coupon rate for bonds coupon rate=annual coupon payment / bond priceLet C be the annual coupon payment, Y be the YTM, F be the face value of the bond, P be the bond price, and n be the number of years to maturity. Since the bond makes semiannual payments, we must divide the YTM by two and multiply the number of years by two to obtain the correct number of periods.

Hence, the following equation can be written:F = C/2 + C/2 + C/2 + ... + C/2 + C/2 + F/(1 + Y/2)^n+n=2nC/2 = (coupon rate/2) × F Plugging the given values into the equation, we get:FV = $1,000; PMT = C/2; i = 6.1%/2 = 3.05%; n = 14.5 × 2 = 29; PV = -$1,038.00Using the above equation to solve for the coupon rate, we get:coupon rate=Annual Coupon Payment / Bond Price= $71.06 / $1,038.00= 0.068, which is equal to 6.8%.Therefore, the coupon rate on these bonds must be 6.8% rounded to two decimal places.

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3. How can you create a position involving a put, a call, and riskless lending that would have the same payoff structure as the stock at expiration

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To create a position involving a put, a call, and riskless lending that would have the same payoff structure as the stock at expiration, you can use a strategy called a synthetic stock.  the call option will be profitable, offsetting any losses from the put option.


Here are the steps to create this position:

1. Buy a call option: Buy a call option on the stock you are interested in. This gives you the right to buy the stock at a specified price (strike price) within a certain time period (expiration date).

2. Sell a put option: Sell a put option on the same stock with the same strike price and expiration date. This obligates you to buy the stock at the strike price if the stock falls below that price.

3. Invest the strike price: Invest the strike price in a riskless lending vehicle, such as a Treasury bill or money market fund. This earns interest and ensures you have enough funds to buy the stock if the put option is exercised.

By combining these three elements, you create a position that behaves similarly to owning the stock. If the stock price rises above the strike price, the call option will be profitable, offsetting any losses from the put option. If the stock price falls below the strike price, the put option may be exercised, but the funds from the riskless lending will cover the purchase of the stock.

It's important to note that transaction costs and market fluctuations can impact the effectiveness of this strategy.

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Explain in your own words what "Liquidity Risk"
is and what its main causes in financial institutions are

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Liquidity risk refers to the potential for a financial institution to encounter difficulties in meeting its short-term obligations and funding needs. It arises when an institution lacks sufficient liquid assets or access to funding sources to fulfill its payment obligations promptly.

The main causes of liquidity risk in financial institutions can be attributed to several factors. First, mismatches in the maturity profiles between assets and liabilities can lead to liquidity problems. If a financial institution holds illiquid assets that cannot be easily sold or converted into cash to meet sudden demands, it may face liquidity challenges. Second, a loss of market confidence or a decline in creditworthiness can result in a loss of access to funding sources, making it difficult for the institution to borrow or raise capital. Additionally, external events such as economic downturns, market disruptions, or regulatory changes can impact liquidity conditions and exacerbate liquidity risk.

Overall, liquidity risk poses a significant concern for financial institutions as it can disrupt their operations, impair their ability to meet obligations, and even threaten their solvency. Therefore, effective liquidity management and risk mitigation strategies are crucial to ensure the stability and resilience of financial institutions.

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