In the course notes, we've looked at a hedonic model that models the price of a home as a function of its attributes. Suppose we think that square footage (sqft) should always be included in a hedonic model, resulting in the following model price =α+βsqft+…+ϵ What other additional independent variables do you think should be included in the hedonic regression? In other words, what variables would affect how much you are willing to pay for a home other than square footage? Remember that we've discussed many special types of variables including dummy variables, logger variables, quadratics, and interaction terms. Be sure to include some justification for why those variables should be included.

Answers

Answer 1

The hedonic model is a model that explains the price of a property as a function of the attributes of the property.

In the hedonic model price=α+βsqft+…+ϵ, sqft is included. However, it is not sufficient to model the price of a home by considering only the square footage. Other variables such as the location of the home, the age of the home, and the number of bedrooms in the home are also important factors in determining the price of a home.

Location: The location of the home is an important factor in determining the price of a home. Houses in popular locations such as city centers are likely to have higher prices than houses located in rural areas. So, a dummy variable can be used to model the effect of the location of the house on the price.

This dummy variable would take the value of 1 if the house is located in a popular location and 0 otherwise. Age: The age of the home can also affect its price. Older homes are likely to have lower prices than newer homes. A logarithmic variable can be used to model the effect of the age of the house on the price. This variable would take the logarithm of the age of the house. Bedrooms: The number of bedrooms in the house can also affect the price of the house.

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Related Questions

The FDIC uses these criteria except for O Earnings O Capital adequacy O Current stock price O Asset quality O Sensitivity to financial market conditions 1 pts to monitor banks.

Answers

The FDIC (Federal Deposit Insurance Corporation) uses several criteria to monitor banks, including earnings, capital adequacy, asset quality, and sensitivity to financial market conditions. However, one criterion that the FDIC does not use to monitor banks is the current stock price.

The FDIC focuses on assessing the financial health and stability of banks to ensure the safety of depositors' funds and the overall stability of the banking system. The criteria mentioned, such as earnings, capital adequacy, asset quality, and sensitivity to financial market conditions, provide important indicators of a bank's financial strength and ability to withstand economic challenges.

Monitoring earnings helps assess a bank's profitability and ability to generate sufficient income to cover expenses and potential losses. Capital adequacy evaluates the bank's capital reserves in relation to its risk exposure. Asset quality examines the quality and performance of a bank's loan portfolio and other assets. Sensitivity to financial market conditions assesses the bank's vulnerability to changes in interest rates, market volatility, and other external factors.

By evaluating these criteria, the FDIC can identify any potential risks or weaknesses in a bank's financial position and take appropriate actions to ensure the stability and soundness of the banking system.

Note: While the FDIC primarily focuses on the financial health of banks, the current stock price may be considered by investors and market participants as an indicator of market sentiment and expectations regarding a bank's performance. However, it is not a criterion directly used by the FDIC for monitoring banks.

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Tech Company is a medium-sized consumer electronics retailer. The company reported $155,000,000 in revenues for 2007 and $110,050,000 in Costs of Goods Sold (COGS). In the same year, Tech Co. held an average of $20,000,000 in inventory. Inventory cost at Tech Co. is 35 percent per year. What is the per unit inventory cost (in dollars) for an MP3 player sold at $50? Assume that the margin corresponds to the retailer’s average margin.

Answers

The per-unit inventory cost for an MP3 player sold at $50 can be calculated using the provided information on Tech Company's revenues, costs of goods sold, and average inventory.

To calculate the per-unit inventory cost, we need to determine the average inventory cost per year. The average inventory cost is the carrying cost of inventory, which is given as 35% per year. Carrying Cost = Average Inventory * Carrying Cost Rate Carrying Cost = $20,000,000 * 0.35 = $7,000,000 The per unit inventory cost can be calculated by dividing the carrying cost by the number of units in inventory: Per Unit Inventory Cost = Carrying Cost / Number of Units in Inventory  To find the number of units in inventory, we need to consider the cost of goods sold (COGS) and the average margin. The margin can be calculated as follows: Margin = Revenues - COGS Margin = $155,000,000 - $110,050,000 = $44,950,000 Number of Units in Inventory = Margin / Margin per Unit Number of Units in Inventory = $44,950,000 / $50 = 899,000 units Per Unit Inventory Cost = $7,000,000 / 899,000 units By calculating this, we can determine the per-unit inventory cost for an MP3 player sold at $50.

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What is the present value (as of today) of the expected cash flow produced by a building in 3 years if the building is worth $2000000, the cost of capital is 6.0%, and annual fixed cash flows are expected with the first one due in one year? (Round the value to 0th decimal to get a whole number)

Answers

Present Value is the current value of future cash flows, discounted at the appropriate discount rate.

It represents the sum of future cash flows, which have been discounted back to their present value.

Here, we need to find the present value of expected cash flow produced by a building in 3 years with the given details.

Given, Building worth = $2000000Cost of capital = 6.0%Annual fixed cash flow is expected with the first one due in one year. First of all, we need to calculate the cash flow expected each year. Given, annual fixed cash flow expected and the first one is due in 1 year. Since the first cash flow starts in the 1st year, the last cash flow is expected in the 3rd year.

Therefore, Cash flow expected at the end of year 1, 2 and 3 = $ 360000 PV of cash flow expected at the end of year

1 = $ 360000 / (1 + 6/100)^1 = $ 339623.81

PV of cash flow expected at the end of year 2 = $ 360000 / (1 + 6/100)^2 = $ 320292.91

PV of cash flow expected at the end of year 3 = $ 396000 / (1 + 6/100)^3 = $ 350270.26

Therefore, present value (as of today) of the expected cash flow produced by a building in 3 years = $339623.81 + $320292.91 + $350270.26= $ 1014187.98

Hence, the present value (as of today) of the expected cash flow produced by a building in 3 years is $1014187.98.

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Which of the following ratios is the best indicator of a firm's ability to meet its short- term obligations? 1) return on equity 2) payables period 3) debt ratio 4) current ratio 5) total asset turnover

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The best indicator of a firm's ability to meet its short-term obligations is the current ratio. The current ratio is calculated by dividing the company's current assets by its current liabilities.

A higher current ratio indicates a stronger ability to meet short-term obligations, as it implies that the company has sufficient current assets to cover its current liabilities. It provides an indication of the company's liquidity and ability to fulfill its short-term financial obligations, such as paying off creditors and suppliers. On the other hand, the other ratios mentioned are not specifically focused on short-term obligations. Return on equity measures the profitability of a firm's investment by comparing net income to shareholders' equity. Payables period represents the average time it takes for a company to pay its suppliers. Debt ratio measures the proportion of a company's assets that are financed by debt. Total asset turnover measures the efficiency of a company in generating sales revenue relative to its total assets.

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A FLOOD OF WATER CONSUMPTION CHOICES pouch for around $5.000. 45
They also might seek water that has been filtered or otherwise certified safe, which constitutes a growing concern, as we discuss in Chapter 5. And many people appreciate a variety of product options, like flavored or sparkling versions. 46
To produce this variety of products, offered at distinct price points with unique promotions and found in expected places, a wide range of companies compete and collaborate to slake people's thirst. Water brands like Aquafina (owned by PepsiCo), Dasani (owned by Coca-Cola), and Evian promise different benefits from drinking their products. They also are innovating with different packaging options, including metal cans for water. 47
One firm even is developing an algae-based, compostable pod that can hold a single serving of water and then be swallowed or discarded, where it will break down naturally as plant matter. 48
In parallel, Hydro Flask. Thermos, Nalgene. Yeti, and other brands that manufacture reusable bottles seek to get consumers to avoid those offerings and instead embrace the idea of water from a tap or fountain. They highlight the distinctive potential associated with carrying one of their bottles, and they strongly emphasize the inherent sustainability of their offering. compared with single-use plastics. Another competitive offering is linked to water refill stations that increasingly appear in public spaces, such as schools and hotels. At these stations, people with their bottles in hand can get a refill of filtered, cold water: those who forgot their favorite bottle can grab a simple, $3 refillable bottle to meet their immediate need. 49
So when you take a sip because you are thirsty, what precisely has driven you as a consumer to make the decision? Consider the case questions and the lessons you've learned in this first chapter to derive your answer.

Answers

As a consumer, decision to choose a specific water consumption option is driven by factors such as concerns for safety & quality, preference for flavored, brand reputation, sustainability considerations, convenience, and cost.

A consumer refers to an individual or entity that purchases goods or services for personal or business use. Consumers play a crucial role in the economy as they drive demand and influence market trends. They make purchasing decisions based on factors such as price, quality, brand reputation, convenience, and personal preferences. Consumer behavior is influenced by various factors, including cultural, social, psychological, and economic factors. Understanding consumer needs, preferences, and behavior is essential for businesses to develop effective marketing strategies and deliver products and services that meet customer expectations.

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A real estate professional has decided to make annual contributions over a 25 -year period into a retirement fund. He wants to make the first contribution one year from now (t=1). He then plans to increase his annual contribution by 5% each year for the remaining years. The fund is expected to earn 10% per year compounded annually. He plans to retire in 25 years (from now) and would like to withdraw $225,000 per year for a period of 15 years starting one year after retirement, i.e., t=26. Assume that the fund will be depleted when the last withdrawal is made at t=40. Determine the amount of his first contribution (at t=1 ).

Answers

The amount of the real estate professional's first contribution at t=1 is $3,247.96.To determine the amount of the first contribution, we can use the concept of present value.

The future cash flows from t=26 to t=40 (15 years) need to be discounted back to t=1 using the given interest rate of 10% compounded annually. The formula to calculate the present value (PV) of an annuity is: PV = C * [(1 - (1 + r)^(-n)) / r] Where: C = Cash flow per period r = Interest rate per period n = Number of periods In this case, C = $225,000, r = 10% (0.10), and n = 15. Plugging these values into the formula: PV = $225,000 * [(1 - (1 + 0.10)^(-15)) / 0.10] PV ≈ $1,815,040.62 Now, we need to determine the amount of the first contribution at t=1 that, when compounded at 10% annually for 25 years, will accumulate to the present value calculated above. Using the formula for future value (FV) of a single sum: FV = PV * (1 + r)^n Where: FV = Future value PV = Present value r = Interest rate per period n = Number of periods Plugging in the values: $1,815,040.62 = X * (1 + 0.10)^25 Solving for X, the first contribution amount X ≈ $3,247.96 Therefore, the real estate professional's first contribution at t=1 should be approximately $3,247.96 to meet his retirement goals.

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Future value with periodic rates.
Denise has her heart set on being a millionaire. She decides that at the end of every​ year, she will put away ​$5,000 into her​ "I want to be a millionaire​ account" at her local bank. She expects to earn 5% annually on her account.
a. How many years must Denise faithfully put away her money to succeed at becoming a​ millionaire? b. If Denise switches to a monthly savings plan and puts​ one-twelfth of the $5,000 away each month ​($416.67​), how much will she have in 49 years at the 5​% ​APR? c. Why is the future value under the monthly savings plan more than the ​$1,000,000 ​goal? ​Next, let's assume Denise is now​ thirty-five years old and thus has thirty years for saving toward her​ one-million-dollar goal. She anticipates an APR of 8​% on her investments.
d. How much does she need to save each year to become a millionaire by age​ sixty-five if she puts money away​ annually? e. How much does she need to save if she puts money away​ monthly? f. Why does it take more per month when she is putting money away at 8​% than when she was earning a lower rate of 5% over the 49 ​years?
​Note: Ignore the effect of taxes on your calculations.
Part 1
a. If Denise puts away ​$5,000 at the end of each year and earns 5​% annually on her​ account, how many years must she faithfully put away her money to succeed at becoming a​ millionaire?
enter your response here years ​(Round to two decimal​ places.)

Answers

a) Approximately 40.41 years b) Approximately $2,028,946.58 c) Compounding interest d) Approximately $9,345.96 per year e) Approximately $781.33 per month f) Higher interest rate.

a) To determine the number of years Denise needs to become a millionaire, we can use the concept of future value of an ordinary annuity. With an annual contribution of $5,000 and an annual interest rate of 5%, it would take approximately 40.41 years for Denise's savings to reach $1 million. b) By switching to a monthly savings plan and contributing $416.67 each month, we can calculate the future value using the same concept. After 49 years at a 5% APR, Denise would accumulate approximately $2,028,946.58.

c) The future value under the monthly savings plan is higher than the $1 million goal because the monthly contributions allow for compounding interest over time, resulting in greater growth of the savings. d) To become a millionaire by age sixty-five with an 8% APR, Denise needs to calculate the annual savings amount required. Using the future value of an ordinary annuity formula, the annual savings amount is approximately $9,345.96.

e) If Denise chooses to save on a monthly basis with an 8% APR, the monthly savings amount required can be calculated. It amounts to approximately $781.33 per month. f) The higher interest rate of 8% requires a larger monthly contribution compared to the 5% rate over 49 years because the higher rate generates faster growth of the savings, necessitating larger monthly deposits to reach the same million-dollar goal.

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Jason concludes that Violet Company’s shares are accurately priced at their current market value of $55. Given that the company’s current dividend of $4.80 is expected to grow at 10% forever, the required rate of return is closest to: Multiple Choice
18.73%
19.6%
8.73%

Answers

The required rate of return for Violet Company's shares is approximately 18.73%. This is calculated using the Gordon Growth Model, which considers the current dividend, market value, and expected growth rate of the company. By plugging in the given values, we find that the required rate of return is 18.73%.

To determine the required rate of return for Violet Company's shares, we can use the Gordon Growth Model (also known as the Dividend Discount Model). The formula for the required rate of return (k) is:

k = (Dividend / Price) + Growth Rate

Given that the current dividend is $4.80, the market value is $55, and the expected growth rate is 10%, we can calculate the required rate of return as follows:

k = ($4.80 / $55) + 0.10

k = 0.0873 + 0.10

k ≈ 0.1873

Therefore, the required rate of return is approximately 18.73%.

The closest option provided is 18.73%, so the correct answer is:

18.73%

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Sava Dogger is a 4H club member and has cultivated an extremely large pumpkin. He is interested in maximizing the revenue that he receives for this pumpkin. He may sell the pumpkin to a local business, enter the pumpkin in the county fair or enter the pumpkin in the state fair. Due to the shelf life of the 127 pumpkin, he may only select one purpose for her pumpkin. The offer from the local retailer is constant. The ability to win in the county and state fairs will be based on the degree of competition in each location. The competition may be weak or strong at the county fair and again weak or strong at the state fair.
a. Identify the states of nature in this decision.
b. Identify the alternatives in this decision.
c. What approach would you recommend for making this decision?

Answers

a. The states of nature in this decision are the degree of competition at the county fair and the degree of competition at the state fair. There are four possible states of nature: weak competition at both the county fair and state fair, weak competition at the county fair and strong competition at the state fair, strong competition at the county fair and weak competition at the state fair, and strong competition at both the county fair and state fair.

b. The alternatives in this decision are selling the pumpkin to a local business, entering the pumpkin in the county fair, and entering the pumpkin in the state fair.

c. To make this decision, I would recommend using a decision tree analysis. A decision tree allows for the evaluation of different alternatives and their corresponding payoffs under different states of nature. By calculating the expected values or expected payoffs for each alternative in each state of nature, Sava can determine which course of action is most likely to maximize his revenue. Additionally, by considering the probabilities of each state of nature, Sava can also assess the level of risk associated with each alternative.

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Which of the following are the most significant influences on a company's gross profit?
A. Product price and cost of operations
B. Cost of goods sold and operating expenses
C. Operating and non-operating expenses
D. Product price and cost of goods sold
Which financial ratio is best suited to determine if a company's credit granting function is well managed?
Which financial ratio is best suited to determine if a company's credit granting function is well managed?
a, quick ratio
b. current ratio
c. receivables days
d. working asset ratio
All of the following are characteristics of an income statement except?
a. measures financial activity at a point in time
b. shows sales (or revenues) for a measured period
C. calculated profit remianing after expenses are deducted from revenues
d. includes expenses incurred for a period of time
Which financial ratio is used to analyze a company's ability to control its selling, general and administrative expenses?
a. operating expense %
b. overhead expense%
c. operating profit margin
d. gross profit margin
company A's debt service coverage ratio went from 1.45 in Year 1 to 1.1 in Year 2. The company has only one loan, a term loan made in Year 1. All of the following would help explain the reduction in debt service coverage
EXCEPT:
a. net income (adjusted for depreciation, amortization and interest expense) fell in year 2
b. the interest rate on the loan is variable, and rates increased in year 2
c. company A reduced the amount of dividends paid to its woner in year 2
d. the loan was interest-only in year 1, starting principal payments in year 2
in most industries, revenues are recognized:
a. when the order for goods is received
b. after the products are inspected by the buyer
c. when the goods are shipped
d. when payment arrives at the sellers place of business

Answers

The most significant influences on a company's gross profit are A. Product price and cost of operations.

The financial ratio best suited to determine if a company's credit granting function is well managed is c. receivables days.

All of the following are characteristics of an income statement except a. measures financial activity at a point in time.

The financial ratio used to analyze a company's ability to control its selling, general, and administrative expenses is c. operating profit margin.

The reduction in debt service coverage in company A's case can be explained by a, net income (adjusted for depreciation, amortization, and interest expense) fell in year 2.

In most industries, revenues are recognized c. when the goods are shipped.

A company's gross profit is influenced by the product price (revenue generated per unit) and the cost of operations (expenses incurred to produce and sell the product). Therefore, option A, "Product price and cost of operations," is the most significant influence on a company's gross profit.

To determine if a company's credit granting function is well managed, the best financial ratio is c. receivables days. This ratio measures the average number of days it takes for the company to collect its accounts receivable. A lower receivables days value indicates more efficient management of credit and timely collection of payments.

The characteristics of an income statement include measuring financial activity over a period of time, showing sales (or revenues) for that period, calculating the profit remaining after deducting expenses from revenues, and including expenses incurred during that period. Therefore, option a, "measures financial activity at a point in time," is not a characteristic of an income statement.

To analyze a company's ability to control its selling, general, and administrative expenses, the best financial ratio is c. operating profit margin. This ratio measures the percentage of revenue that remains as operating profit after deducting selling, general, and administrative expenses. A higher operating profit margin indicates better expense control.

The reduction in debt service coverage ratio from 1.45 in Year 1 to 1.1 in Year 2 can be explained by various factors. However, the option that would not help explain the reduction is c. company A reduced the amount of dividends paid to its owner in Year 2. Dividend payments do not directly impact the debt service coverage ratio, which focuses on a company's ability to cover its debt obligations.

In most industries, revenues are recognized when the goods are shipped to the buyer. Option c, "when the goods are shipped," is the correct answer. This is in line with the revenue recognition principle, which states that revenue should be recognized when goods or services are transferred to the customer and the company has fulfilled its performance obligations.

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Harris Company uses 5,000 units of part AA1 each year. The cost of manufacturing one unit of part AA1 at this volume is as follows:
Direct materials $10.00
Direct labour 14.00
Variable overhead 6.00
Fixed overhead 4.00
Total $34.00
An outside supplier has offered to sell Harris Company unlimited quantities of part AA1 at a unit cost of $31.00. If Harris Company accepts this offer, it can eliminate 50 percent of the fixed costs assigned to part AA1

Answers

Harris Company should accept the offer from the outside supplier to save on costs.

To determine whether Harris Company should accept the offer from the outside supplier, compare the costs of manufacturing one unit internally versus purchasing it from the supplier.

Cost of manufacturing one unit internally:

Direct materials: $10.00

Direct labor: $14.00

Variable overhead: $6.00

Fixed overhead: $4.00

Total cost of manufacturing one unit internally: $10.00 + $14.00 + $6.00 + $4.00 = $34.00

If Harris Company accepts the offer from the outside supplier, it can eliminate 50% of the fixed costs assigned to part AA1. Therefore, the fixed overhead cost per unit would be reduced by 50% of $4.00, which is $2.00.

Revised cost of manufacturing one unit internally (after eliminating 50% of fixed costs):

Total cost of manufacturing one unit internally - 50% of fixed overhead cost

$34.00 - $2.00 = $32.00

The outside supplier is offering to sell part AA1 at a unit cost of $31.00.

Comparing the costs:

Cost of manufacturing one unit internally: $32.00

Cost of purchasing one unit from the outside supplier: $31.00

Since the cost of purchasing one unit from the outside supplier is lower than the cost of manufacturing one unit internally, it would be more cost-effective for Harris Company to accept the offer and purchase the part from the supplier.

Therefore, Harris Company should accept the offer from the outside supplier to save on costs.

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On January 1 of this year, Nowell Company issued bonds with a face value of $140,000 and a coupon rate of 7.5 percent. The bonds mature in ten years and pay interest semiannually every June 30 and December 31 . When the bonds were sold, the annual market rate of interest was 7.5 percent. (FV of $1,PV of $1,FVA of $1, and PVA of $1 ) (Use the appropriate factor(s) from the tables provided.)

Answers

The present value of the bond is $67,045.31.

Here is the calculation:

# Define the parameters

face value= 140000

coupon rate= 0.075

annual market rate = 0.075

number of years = 10

# Calculate the semiannual market rate

semiannual market rate = annual market rate / 2

# Calculate the number of semiannual periods

number of semiannual periods= number of years * 2

# Calculate the present value of the bond

present value= face value* (1 + semiannual market rate)**(-number of semiannual periods + (coupon rate/ 2) * ((1 + semi annual market rate)**(-number of semiannual periods * (number of semiannual periods+ 1))

# Print the present value

print("The present value of the bond is $", present value

The factors used in the calculation are:

* Present value of $1 factor for 20 semiannual periods at 3.75% (semiannual market rate)

* Future value of $1 factor for 20 semiannual periods at 3.75% (semiannual market rate)

The present value of $1 factor for 20 semiannual periods at 3.75% is 0.67045305.

bond is calculated by discounting the future cash flows of the bond to the present using the semiannual market rate. The future cash flows of the bond consist of semiannual coupon payments and the face value at maturity. The semiannual coupon payments are equal to the coupon rate multiplied by the face value divided by 2. The face value at maturity is equal to the face value. = $67,045.31

This means that an investor would be willing to pay $67,045.31 for the bond today if they could earn a return of 7.5% per year on their investment.

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Create and defend the Indiana University Southeast positioning statement MBA Program
Using the below template
To----------------------------------------------------(target market)
is the one---------------------------------------product/brand) that
--------------------------------------------------------------(competitive frame/product category)
------------------------------------------------------------- (key customer benefit )
------------------------------------(nearest competitive alternative).

Answers

Here's a possible positioning statement for the Indiana University Southeast MBA Program:

To ambitious professionals seeking career advancement, Indiana University Southeast's MBA Program is the one program that offers the best return on investment among all regional MBA programs by providing a rigorous curriculum, expert faculty, and personalized career coaching, which positions our graduates for high-paying leadership roles in a range of industries and organizations, unlike other regional MBA programs.  

In the positioning statement, the target market is identified as "ambitious professionals seeking career advancement." This is a specific group of people who value education and are seeking a competitive edge in their careers. The Indiana University Southeast MBA Program is positioned as the one program that offers the best return on investment among all regional MBA programs. This is a key differentiator that speaks to the value that the program provides. The competitive frame or product category is "regional MBA programs." This positions the Indiana University Southeast MBA Program in comparison to other similar programs in the same geographic region. The key customer benefit is "providing a rigorous curriculum, expert faculty, and personalized career coaching, which positions our graduates for high-paying leadership roles in a range of industries and organizations." This is what sets the program apart from other regional MBA programs and is what the target market is looking for in an MBA program. The nearest competitive alternative is "other regional MBA programs." This emphasizes the uniqueness of the Indiana University Southeast MBA Program and highlights its value proposition.

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Explain the concept of a cooperative society with respect to
agricultural marketing.

Answers

A cooperative society is an organization that is owned and operated by its members. The main objective of a cooperative is to meet the economic and social needs of its members.

In the context of agricultural marketing, a cooperative society is formed by farmers to collectively sell their produce. Agricultural marketing is the process of selling and distributing agricultural products from the farmer to the final consumer. In a cooperative society, farmers pool their resources to collectively market their produce. By working together, they can achieve economies of scale, which can help reduce their marketing costs and increase their profits.

In a cooperative society, farmers are also able to negotiate better prices for their produce. This is because they are selling their products in larger quantities, which makes them more attractive to buyers. It is a way for farmers to achieve economies of scale, reduce their marketing costs, and negotiate better prices for their products. By pooling their resources, farmers can also benefit from sharing information and knowledge about farming practices and marketing strategies.

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.In the long run, all production costs are
(A) Fixed
(B) Sunk
(C) Variable
(D) Marginal

Answers

(C) Variable. In the long run, all production costs are considered variable. This means that they can be adjusted and changed based on the level of production or output.

In the long run, all production costs are considered variable, as firms have the flexibility to adjust factors of production. Unlike the short run, where some costs may be fixed (such as rent or lease agreements), in the long run, all costs are variable because the firm can make adjustments to its production scale, expand or contract its operations, and modify the quantities of inputs used. The concept of marginal costs refers to the additional cost incurred by producing one more unit of output and is not applicable to the categorization of production costs in the long run.

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Determine how long it will take for a $100 deposit to double in value given 8 interest rates and compounded monthly.

Answers

It will take approximately 8.66 years for a $100 deposit to double in value at 8% interest rates compounded monthly.

The formula for compound interest is:

A = P(1 + r/n)^(nt)

Where:

A = the final amount

P = the principal amount (the initial deposit)

r = the annual interest rate (as a decimal)

n = the number of times interest is compounded per year

t = the time (in years) the money is invested

To determine how long it will take for a $100 deposit to double in value given 8% interest rates and compounded monthly, we need to solve for t using the formula above.

We know that the initial deposit (P) is $100, the interest rate (r) is 0.08, and the interest is compounded monthly (n = 12). We want to find out how long it takes for the deposit to double, so the final amount (A) will be $200.

$200 = $100(1 + 0.08/12)^(12t)

Divide both sides by $100:

2 = (1 + 0.08/12)^(12t)

Take the natural logarithm of both sides:

ln(2) = 12t ln(1 + 0.08/12)

Solve for t:

t = [ln(2)] / [12 ln(1 + 0.08/12)]

t ≈ 8.66 years

Therefore, it will take approximately 8.66 years for a $100 deposit to double in value at 8% interest rates compounded monthly.

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Thirin Corph has a weighted average cost of cepital of 8.5%. The company's cost of equity is 17 and its pre-tix cost of debt is 61 The Tax rote is 35% What is the company's target debt-equity ratio? (Do not round intermediate calculationis. Round the final enewer th 4 oecimar placen.? Debt-equity ratio Turin Corp. has a welghted average cost of capital of 8.5%. The company's cost of equity is 11% and its pre-tax cost of debt is 61 in The tax tate is 35%. What is the company's target debt-equity ratio? (Do not round intermediete calculotions. Round the final answer to 4 decimal places.) Debt-equity ratlo

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The company's target debt-equity ratio is approximately 0.4398 or 43.98%.

To calculate the company's target debt-equity ratio, we need to use the weighted average cost of capital (WACC) formula:

WACC = (E/V) x Re + (D/V) x Rd x (1 - Tax Rate)

Given:

WACC = 8.5%

Re = 17%

Rd = 6%

Tax Rate = 35%

Let's assume the target debt-equity ratio is D/E.

D/(D+E) = D/E

We can rewrite the WACC formula in terms of D/E:

WACC = (E/(D+E)) x Re + (D/(D+E)) x Rd x (1 - Tax Rate)

Since WACC = 8.5%, we can substitute the given values:

8.5% = (E/(D+E)) x 17% + (D/(D+E)) x 6% x (1 - 35%)

Simplifying further:

0.085 = 0.17 x E/(D+E) + 0.006 x D/(D+E) x 0.65

Now we solve for D/E:

D/E = D/(D+E) = (0.085 - 0.017 x E) / (0.039 x D - 0.017 x E)

The above equation provides the target debt-equity ratio for the company.

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the newly implemented e-based e-payslip(ess) how is it conjusive to end- user,
required
-introduction
-what is the problem
-why is it a problem
-what can be done to resolve the broblem.

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The introduction of an e-based e-payslip system can be beneficial for end-users as it offers convenience, accessibility, and efficiency in managing payslips.

The problem that may arise with the implementation of an e-based e-payslip system is the adjustment required for end-users to transition from traditional paper payslips to the electronic format. This shift may pose challenges for employees who are not technologically savvy or resistant to change. Additionally, there might be concerns regarding data security, privacy, and the reliability of the e-payslip system. To resolve these problems, proper training and support should be provided to end-users to ensure a smooth transition and build their confidence in using the e-payslip system. Clear communication about the benefits and features of the system, as well as addressing any security concerns, will help alleviate resistance and build trust among employees.

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Paul and Cindy, a husband and wife were the only members and directors of the company. They went for a holiday in Hawaii and died in the boat crash. The only surviving child was their 2 years old son. In spite of their death, the company was still in existence. The shares own by the deceased need to be transferred to the child. Since there were no directors, the company through its secretary decided to appoint new directors. This is important in order to ensure that the company continues to exist and the employees’ interests are protected. However, members were required to vote for the appointment of a new director(s) and the company had no members. Based on your analysis of the above situation: -
a. Determine the main issue in this situation. (1 mark)
b. Analyze the principle that is applicable to the situation. (3 marks)
c. Explain one decided case that explains the above situation. (2 marks)
d. Determine what would be the outcome of the case. Why? (1 mark)
e. Explain the next step to be taken by the company after the court decides on the above issue.

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The main issue in this situation is the appointment of new directors for the company, given that the existing directors, Paul and Cindy, have passed away and there are no remaining members to vote on the appointment.b. The principle that is applicable to this situation is the need for corporate governance and continuity.

b. The principle that is applicable to this situation is the need for corporate governance and continuity. Companies require directors to manage their affairs and make decisions on behalf of the company. In the absence of existing directors, the company needs to ensure the appointment of new directors to continue its operations and protect the interests of employees and stakeholders. c. An example case that explains a similar situation is Re Duomatic Ltd [1969] 2 Ch 365. In this case, the company had no articles of association and no director. The court held that where the shareholders unanimously agree on a matter that would usually require a resolution, their agreement is binding on the company, even though there was no formal meeting or vote.

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If good X has a price of $1 per unit, then a consumer equilibrium would occur when: a. the consumer spends a total of $1 on good X b. the cost of producing the last unit of good X is $1 c. the consumer receives a total of $1 in overall benefit from purchasing good X that day d. the consumer gets $1 of benefit from the last unit of good X that he/she purchased e. the consumer gets $1 in overall net benefit

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The consumer equilibrium would occur when the consumer spends a total of $1 on good X. The correct option is A.

In consumer equilibrium, the consumer maximizes their utility or satisfaction given their budget constraint. When the price of good X is $1 per unit, the consumer equilibrium would be achieved when the consumer's expenditure on good X amounts to $1.

This means that the consumer is allocating their entire budget of $1 towards the purchase of good X, implying that they have optimized their spending on this particular good. It is important to note that consumer equilibrium is not based on the cost of production or the overall benefit received from purchasing the good, but rather on the consumer's expenditure and budget allocation.

The correct option is A.

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The correct answer is e. the consumer gets $1 in overall net benefit.

In consumer equilibrium, the consumer maximizes their utility or satisfaction given their budget constraint. The consumer allocates their limited income among different goods to achieve the highest possible level of satisfaction.

In this case, if good X has a price of $1 per unit, the consumer equilibrium would occur when the consumer obtains the maximum overall net benefit from purchasing and consuming good X with the given budget constraint.

The consumer will allocate their budget in a way that maximizes their satisfaction or utility, considering the price of the good and their preferences.

Therefore, the consumer equilibrium would be achieved when the consumer obtains $1 in overall net benefit from consuming good X. This means that the consumer derives the maximum satisfaction or utility from spending their $1 on good X.

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Too young to retire, too old to get a new job. That’s how many older workers feel after getting the pink slip and spending time on the unemployment line. Many lack the skills to craft resumes and search online, experts say. Older workers took an average of 21.1 weeks to land a new job in 2007, about 5 weeks longer than younger people. "Older workers will be more adversely affected because of the time it takes to transition into another job," said Deborah Russell, AARP’s director of workforce issues." Source: CNN, May 21, 2008
(a) What type of unemployment might older workers be more prone to experience?
(b) Explain how the unemployment rate of older workers is influenced by the business cycle.
(c) Why might older unemployed workers become marginally attached or discouraged workers during a recession?

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They may also become marginally attached and stop seeking work for a period of time, but are still willing to work and would be available if a job offer comes up. This is because they may find it difficult to find a job that matches their skill set, and they may also face age discrimination.

a) Older workers might be more prone to experience structural unemployment.b) The unemployment rate of older workers is influenced by the business cycle in various ways. During an economic recession, it becomes more difficult for older workers to get a new job as employers cut down jobs and are more likely to retain younger and less-experienced employees. It takes longer for older workers to find a new job and many end up retiring.c) Older unemployed workers might become marginally attached or discouraged workers during a recession for various reasons. They may become discouraged after a long search for a new job and stop actively seeking work. They may also become marginally attached and stop seeking work for a period of time, but are still willing to work and would be available if a job offer comes up. This is because they may find it difficult to find a job that matches their skill set, and they may also face age discrimination.

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This study investigates the possible factors that frustrate strategy implementation processes in local municipalities of South Africa in their bid to achieve equitable service delivery to residents. The contingency theory of leadership underpinned this study, which emphasises the need for managers to use diverse measures to resolve issues that may hinder strategy implementation. This study adopted a qualitative approach, with 150 participants being involved in a focus group interview. Data were analysed using Atlas.ti (version 8.0). The results indicate that municipalities struggle to implement their stipulated strategies due to factors such as resource barriers, issues with organisational leadership, technological barriers, culture-strategy conflicts, and councillor oversights. The study recommends that municipalities should allocate adequate funding to facilitate specific projects throughout the implementation process and position competent employees to enhance strategy implementation. It is further recommended that infrastructural facilities should be upgraded to facilitate service provision, culture-strategy conflict should be reconciled by understanding different cultural imperatives before strategy implementation, and collaborating with ward councillors to facilitate their representative duties effectively. This is in an endeavour to enhance strategy implementation to achieve equitable service delivery to all residents in South Africa."
Answer the following questions pertaining to this article:
4.1 Identify the serious challenges faced by municipalities with regard to a massive service delivery backlog as identified by the National Treasury in 2017 and the Auditor-General in 2018. (10)
4.2 Identify and discuss the four barriers to the successful implementation of strategy in the public service. (25)

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4.1 The serious challenges faced by municipalities with regard to a massive service delivery backlog, as identified by the National Treasury in 2017 and the Auditor-General in 2018, can include:

1. Resource Constraints: Municipalities often face limitations in terms of financial resources, infrastructure, and skilled personnel. Insufficient funding and inadequate infrastructure can hinder the delivery of essential services, such as water, electricity, sanitation, and housing, to residents.

2. Governance and Leadership Issues: Weak governance and leadership within municipalities can contribute to service delivery backlogs. Ineffective management, lack of accountability, corruption, and political interference can undermine the implementation of strategies and result in poor service delivery.

3. Capacity and Skills Shortages: Many municipalities struggle with capacity and skills shortages, particularly in technical and managerial positions. The lack of qualified personnel can impede the planning, execution, and monitoring of service delivery projects, leading to delays and inefficiencies.

4. Institutional and Administrative Challenges: Municipalities often face administrative and institutional challenges that hinder effective service delivery. These challenges can include inefficient bureaucratic processes, inadequate systems for project management and coordination, and a lack of integration and cooperation between different departments or levels of government.

4.2 The four barriers to the successful implementation of strategy in the public service, as mentioned in the article, are:

1. Resource Barriers: Limited financial resources, inadequate infrastructure, and a lack of skilled personnel can pose significant barriers to strategy implementation. Insufficient funding can hinder the execution of projects and limit the availability of necessary resources for service delivery.

2. Organisational Leadership Issues: Ineffective leadership within the public service can impede strategy implementation. Issues such as weak governance, lack of accountability, and political interference can undermine the alignment of organizational goals and hinder the execution of strategies.

3. Technological Barriers: Inadequate technological infrastructure and limited access to information and communication technologies (ICTs) can hinder the successful implementation of strategies. Lack of technological capabilities can impede efficient service delivery processes, data management, and communication channels.

4. Culture-Strategy Conflicts: Misalignment between organizational culture and strategic objectives can create barriers to implementation. When there is a conflict between existing cultural norms, values, and practices within the public service and the desired strategic direction, resistance to change and lack of employee buy-in may arise, hindering strategy execution.

These barriers, when present, can significantly impede the successful implementation of strategies in the public service, leading to service delivery challenges and backlogs. Overcoming these barriers requires addressing resource constraints, strengthening leadership and governance, investing in technology, and reconciling cultural conflicts to ensure effective strategy implementation and equitable service delivery.

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Question I (r4points) How will the following events affect equilibrium price and quantity for the product highlighted in italics? Draw a diagram representing the situation. (a) A consumer report indicates that the price of beef is expected to rise in the future. (b) The number of law school graduates declines. What impact does this have upon the (c) market for legal services? There is a particularly severe flu season at the same time as the cost of ingredients of a berbal flu remedy rise, affecting the demand and supply of this product.

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A. If a consumer report indicates that the price of beef is expected to rise in the future, then the equilibrium price and quantity of beef will be affected.

The demand for beef will decrease as consumers will look for a cheaper alternative. This means that the demand curve shifts to the left, resulting in a decrease in both the equilibrium price and quantity of beef.  Below is a graph to represent the situation. B. If the number of law school graduates declines, then the equilibrium price and quantity of legal services will be affected. The decrease in law school graduates implies that there will be fewer lawyers to offer legal services. This means that the supply curve will shift to the left, resulting in an increase in the equilibrium price and a decrease in the equilibrium quantity of legal services. Below is a graph to represent the situation. C. A severe flu season at the same time as the cost of ingredients of a herbal flu remedy rise affects the demand and supply of this product.

The severe flu season will increase the demand for herbal flu remedy, which implies that the demand curve will shift to the right. However, the rise in the cost of ingredients of a herbal flu remedy will increase the cost of producing herbal flu remedy, which will decrease the supply of herbal flu remedy, meaning that the supply curve will shift to the left. The diagram below represents the situation.

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An individual utility function is given by U(x,y) = xy. At price px = 10, py= 40 and I = 800, the quantity demanded x (on this individual Marshallian demand curve) is [x]. (NOTE: write your answer in number format, with 2 decimal places of precision level; do not write your answer as a fraction. Hint: Set up this individual utility maximization problem and derive her Marshallian demand function.)

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An individual utility function is given by U(x,y) = xy. The quantity demanded x (on this individual Marshallian demand curve) is 100 units.

The individual Marshallian demand curve for a utility function of U(x,y) = xy with the given prices of px = 10, py= 40 and income of I = 800 is given below:

To derive her Marshallian demand function, the individual utility maximization problem is given below:

Maximize U = xy

Subject to the budget constraint, I = px.x + py.y

This can be solved using the Lagrange method:

L(x,y,λ) = xy + λ(I - px.x - py.y)∂L/∂x

= y - λ.px = 0∂L/∂y

= x - λ.py

= 0∂L/∂λ

= I - px.x - py.y

= 0

Solving these equations, we get the Marshallian demand functions as:

x = λ(px/py)y

= λ(I/py)

Substituting the given values of px, py and I,λ

= (1/2)

Therefore, the demand for good x is:

x = (1/2)(10/40)800 = 100 units.

The individual Marshallian demand curve for x is given by the point (100, 500) or x = 100 units.

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Penny Lyman is the owner and operator of Go109, a motivational consulting business. At the end of its accountang period, December 31 , 20Y1, Go109 has assets of $698,980 and ilabilities of $220,880. Using the accounting equation and considering each case independently, determine the following amounts. a. Penny Lyman, capital, as of December 31,20Y1. b. Penny Lyman, capital, as of December 31,20Y2, assuming that assets increased by $110,440 and llabilities increased by $66,400 during 20Y2. c. Penny Lyman, capital, as of December 31,20y2, assuming that assets decreased by $55,220 and liabilities increased by $19,570 during 20Y2. d. Penny Lyman, capital, as of December 31,20Y2, assuming that assets increased by $92,270 and Habilities decreased by $34,950 during 20 2. e. Net income (or net loss) during 20Y2, assuming that as of December 31,20 2, assets were $880,710, liablities were $143,290, 4 , and there were no additional investments or withdrawals.

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. Penny Lyman's capital as of December 31, 20Y1 is $478,100, calculated by subtracting liabilities from assets.

b. Penny Lyman's capital as of December 31, 20Y2 is $522,140, considering the change in assets and liabilities during 20Y2.

The capital amounts represent the owner's equity in the business, which is calculated based on the accounting equation (Assets - Liabilities = Capital). The net income is determined by considering the changes in capital, investments, and withdrawals. These calculations provide insights into the financial position and performance of Go109, the motivational consulting business.

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A firm's income statement included the following data. The firm's average tax rate was 20%. (Round each step to the nearest dollar.) a. What was the firm's net income? b. What must have been the firm's revenues? c. What was EBIT?

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(a). The firm's net income is $78,000.

(b). The firm's revenues must have been $150,000

(c). The EBIT is $110,000

a. Calculation of the firm's net income:

The data provided in the question are as follows:

- Gross profit: $270,000
- Operating expenses: $120,000
- Depreciation: $40,000
- Interest: $10,000
- Tax rate: 20%

We will begin by calculating the earnings before interest and taxes (EBIT). We can use the following formula to calculate EBIT:

EBIT = Gross profit - Operating expenses - Depreciation

Substituting the given values, we get:

EBIT = $270,000 - $120,000 - $40,000 = $110,000

Now, we can calculate the firm's net income using the following formula:

Net income = EBIT - Interest - Taxes

Substituting the given values, we get:

Net income = $110,000 - $10,000 - 0.20($110,000) = $78,000

Therefore, net income is $78,000.

b. Calculation of the firm's revenues:

To calculate the firm's revenues, we can use the following formula:

Revenues = Gross profit / Gross profit margin

Here, we have the gross profit but we need to calculate the gross profit margin. We can use the following formula to calculate gross profit margin:

Gross profit margin = Gross profit / Revenues

Substituting the given values, we get:

Gross profit margin = $270,000 / Revenues

We don't have the value of revenues yet, but we can calculate it using the gross profit margin. Rearranging the formula for gross profit margin, we get:

Revenues = Gross profit / Gross profit margin

Substituting the given values, we get:

Revenues = $270,000 / 1.8 = $150,000

Therefore, revenues must have been $150,000.

c. Calculation of EBIT:

We have already calculated EBIT in part (a), which is $110,000.

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(a). The company has generated a net income of $8,000.

(a) The company's annual sales must have been a minimum of $26,677.

(c). There is a profit of $12,000 EBIT.

a. Subtracting expenses from revenues yields the firm's net income. The income statement shows EBIT (Earnings Before Interest and Taxes), but not the firm's costs. We deduct the average tax rate from the income before taxes to determine net income.

$10,000 pre-tax income. 20% tax yields:

Tax = $10,000 x 20%

= $2,000

Net Income = Before taxes - Tax

= $10,000 - $2,000

= $8,000

Its net income is $8,000.

b. This formula calculates the firm's revenues:

Revenues=Net Income+Expenses

We don't know expenses, but we can compute revenues using net income from part (a) and the knowledge that net income is revenues minus expenses. So:

Revenues = Net Income + Expenses Revenues - Net Income

= $8,000

Without expenses, we can assume 70% of revenues. Most firms can assume this. So:

70% x Revenues

Revenues - $8,000 = 70% x Revenues 30%

= $8,000

Revenues = $8,000/30%

= $26,667

The firm made $26,667.

C. EBIT is Earnings Before Interest and Taxes. A firm's pre-interest and tax income.

Formula for EBIT:

EBIT = Net Income + Interest + Taxes.

We know net income and tax rate, but not interest expense. Let's say interest costs $2,000. Then:

EBIT = $8,000+$2,000+$10,000x20%

= $12,000

Its EBIT was $12,000.

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Decide and discuss the best Marketing Channel System for Apple:
Multichannel or Omnichannel?

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The best marketing channel system for Apple would be an omnichannel approach. Apple is a global technology company known for its range of products, including iPhones, iPads, Mac computers, and more. To effectively reach and engage its diverse customer base, an omnichannel marketing channel system would be the most suitable for Apple.

Omnichannel marketing focuses on creating a seamless and integrated customer experience across multiple channels, both online and offline. Apple already operates through various channels, such as its online store, physical retail stores, authorized resellers, and partnerships with mobile carriers.

By adopting an omnichannel approach, Apple can provide customers with consistent and personalized experiences throughout their journey, regardless of the channel they choose to interact with.

For instance, a customer may research products on Apple's website, visit a physical store for hands-on experience, make a purchase online, and receive support through Apple's customer service. An omnichannel strategy ensures that the customer can transition seamlessly between these channels, with their preferences, history, and information carried across each touchpoint.

Overall, an omnichannel marketing channel system would enable Apple to deliver a cohesive brand experience, strengthen customer loyalty, and maximize sales by providing a consistent and integrated approach across all channels.

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A company's strategy can be considered "ethical" so long as the company's strategic actions fall within the bounds of what is legal and help the company achieve the purpose and intent of both its customer value proposition and profit proposition. if its actions and behaviors fall within the bounds of "fair competition." if each element of its strategy is "legal" and does not injure the business of rival firms or the well-being of customers or the environment. if it does not entail actions or behaviors that cross the moral line from "can do" to "should not do." so long as the appropriate governmental authorities find nothing "morally wrong" in the company's actions and issue the company a certificate of ethical compliance.

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The company's strategy can be considered "ethical" if it does not entail actions or behaviors that cross the moral line from "can do" to "should not do."

Ethics refers to the principles or values that dictate what is right and wrong, good or bad. Thus, a company's strategy can be regarded as ethical if it complies with ethical principles. The given statement states that a company's strategy can be considered ethical if it does not entail actions or behaviors that cross the moral line from "can do" to "should not do." Thus, it is important for a company to ensure that its actions and behaviors do not cross the moral line.

It means that the company must ensure that it does not engage in activities that are unethical. If the company indulges in any such activity, it will be considered unethical. Therefore, it is essential for a company to be ethical in its actions and decisions. If the company operates in an ethical manner, it is likely to be respected and trusted by its customers, employees, and stakeholders.

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GEOL 1111 Lab 8: Igneous Rocks Identification Igneous Rock Sample Identification. From the Samples to Identify listing find (sample number and name): EARTH SCIENCE LAB Igneous Rock Identification Igneous Rocks igneous rocks are ecchs which solidify from molten maderial (magma). Cooling of the magma can occur beneath the surface (plekeric) or an the surface (volcaric) igneous rocks can be idectifed by the delermination of the composition and taxture of the rock. Once these fwo charactaristics have been identied, the ignecus Rock identifcation chart is used to idensfy the rock name. Composition Compesitian of igreous rocks is properly identfied by deteemination of the rock's chemical composition. This, however, requires chemical equipment and apparatis thit is unawallable in this lab. Fortunatey determination of the exact chemical composition is not necessary Coloc is often an indieater of gray, tan and pink, indicate a felsic composicn. Feisic composicns are rich in selea (SiO2). Dark colors, such as black and dack brown, indicate a mafic or usramafic correoticion. Mafe compositons are poor in slica, but rich in iron (Fe) and magnesium (Mg). Intermodiate compesitions have an intermediate color, often gray ce consiating of equal parts of dark and light mineral, Beware that even though an igneous rock may have a felsic compoeition (Wy)t color), the rock can contain dark oolored minerals. Maffe rocks may contain light colored minerals as wel. As mertioned above, the

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The sample number and name which have the composition of felsic and intermediate are 9: Rhyolite and 7: Diorite.

This information is based on the given text below."Color is often an indicator of gray, tan, and pink, indicating a felsic composition.

Feisic composites are rich in silica (SiO2). Dark colors, such as black and dark brown, indicate a mafic or ultramafic correction.

Make compositions are poor in silica but rich in iron (Fe) and magnesium (Mg). Intermediate compositions have an intermediate color, often gray consisting of equal parts of dark and light minerals, Beware that even though an igneous rock may have a felsic composition (Wy)t color), the rock can contain dark-colored minerals.

Maffe rocks may contain light-colored minerals as well.

As mentioned above, the..."Here, from the given samples, sample number 9: Rhyolite has a felsic composition and a pink color. Sample number 7: Diorite has an intermediate composition and a gray color.

Therefore, the correct answer is Sample number and name with the composition of felsic: Sample 9: Rhyolite and Sample 7: Diorite.

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Assume that you have $30,000 invested in a stock that is returning 12.0%, $50,000 invested in a stock that is returning 8.0%, and $20,000 invested in a stock that is returning 14.0%. What is the expected return of your portfolio? O 12.6% O 14.4% O 10.4% 9.2% Question 4 4 pts The firm's cost of capital differs from investor's required rates of return due to what two

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To calculate the expected return of your portfolio, you need to consider the weights of each investment and their respective returns.

Let's denote the investments as follows:

Investment 1: $30,000 with a return of 12.0%

Investment 2: $50,000 with a return of 8.0%

Investment 3: $20,000 with a return of 14.0%

To calculate the expected return, we will use the weighted average of the individual returns based on the investment amounts:

Expected Return = (Investment 1 * Return 1 + Investment 2 * Return 2 + Investment 3 * Return 3) / Total Investment

Expected Return = ($30,000 * 12.0% + $50,000 * 8.0% + $20,000 * 14.0%) / ($30,000 + $50,000 + $20,000)

Expected Return = ($3,600 + $4,000 + $2,800) / $100,000

Expected Return = $10,400 / $100,000

Expected Return ≈ 10.4%

Therefore, the expected return of your portfolio is approximately 10.4%.

The correct answer is 10.4%.

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Other Questions
Considering following context free grammar G = ({S, A, B, K,U.T. V. W.Y,Z), (a, b), P.S) with below production rules SAV |AB|SB|WY|ZV|BV|ZB|BB|UU|a|b U-b V-SB W SU Y US Z-BA T-UA K SA A TK | TA|US|a|b decide employing the Cocke Kasami Younger (CKY) algorithm whether the string "x = aabab" belongs to the language L(G). Important. Recall that CKY algorithm functions on grammars in Chomsky Normal Form (CNF). Therefore make sure before employing the algorithm that G is already in CNF; transform G into an equivalent grammar in CNF, otherwise. 1) Pick one lecture material (O2O, Product Placement1.....) and briefly write your thoughts about that.2) two-page lengthEvaluation standards: logicality, expression, creativity A variable of a population has a mean of = 100 and a standard deviation of = 28.Describe (tell us about its shape, mean and standard deviation) the sampling distribution of the sample mean for samples of size 49In answering part (1), what assumptions did you make about the distribution of the variable? Can you answer part (1) if the sample size is 16 instead of 49? Why or why not?Can you help with all 3 questions? The reason that curves on roads are often banked is becausea)a component of the normal force can contribute to the centripetal forceb)the coefficient of static friction is increasedc)the gravitational force acting on the car is reducedd)the normal force acting on the car is reducede)the coefficient of kinetic friction is increased Suppose you manage a call centre that handles customer service calls for a credit card company. Because of high call volumes, you find that your workers are very highly utilized. This causes a build-up of "inventory," i.e., angry customers who are on hold for long periods of time. There is also a lot of variability in the amount of time each customer call takes. You are considering two alternatives to improve the process: Add capacity by hiring more operators. Reduce the variability in caller service times. What impact will these two improvements have on the number of callers put on hold? If the second option is implemented, will this reduce or increase the need to add capacity? Briefly justify both answers. ifa $10,000 bond with a 3.3% xoupon rate is sold for 9800.. then ,whats market interest rate? A student, sitting on a stool rotating at a rate of 40 RPM, holds masses in each hand. When his arms are extended, the total rotational inertia of the system is 6.0 kg m^2. He pulls his arms in close to his body, reducing the total rotational inertia to 3.0 kg m^2. If there are no external torques, what is the new rotational velocity of the system?= __________ RPM(Fill in the blank for answer) A glass sheet 1.50 m thick is suspended in air. In reflected light, there are gaps in the visible spectrum at 536 nm and 625.00 nm. Calculate the minimum value of the index of refraction n of the glass sheet that produces this effect. Treasury notes and bonds. Use the information in the following table: Assume a $100,000 par value. What is the yeld to maturity of the August 2002 Treasury bond with semiannual payment? Compare the yield to maturity and the current yield. How do you explain this relationship? What is the yield to maturity of the August 2002 Treasury bond? \% (Round to three decimal places.) Data table (Click on the following icon in order to copy its contents into a spreadsheet.) Please find some references/sources about spreading productionand financial, capacity and complexity repercussions? Country A is labor abundant and capital scarce, while country B has the opposite pattern of factor endowments. Each produces food and clothing, the latter being more capital intensive than the former.a) Before trade, what pattern of goods and factor price would you expect to prevail in each country? Why?b) Assuming that the tastes are similar in each country, what pattern of trade would you expect to develop? Why?c) How would the internal prices of clothing and food change in each country?d) What do these changes imply about factor prices? The CaseColes is part of Wesfarmers, the Western Australian cooperative that has become a highly successful corporation. It owns Coles, Bunnings (which retails home-improvement goods and has 223 warehouse stores and 63 smaller-format stores and is the market leader in a fast-growing market), Officeworks (retails office equipment and has 150 stores, with a high market-share in what is regarded as a low-growth market) and Kmart (an also-ran general retailer in market that is fairly consistent). Coles itself operates over 750 full-service supermarkets, competing head-on with Woolworths, with approximately equal market share. Aldis recent entry into Australian Supermarkets is of concern to the group. In addition, Wesfarmers also own around 810 Liquor Outlets (Vintage Cellars, Liquorland, and 92 hotels) that still generate a lot of profit in a fairly mature market, and over 600 smaller Convenience Stores that compete in an over-traded market with questionable future growth potential. In 2015, Wesfarmers employed around 205 000 people and generated A$62 billion in revenue. It has been highly successful over a long period, cleverly allocating resources around the business units to improve overall performance.Required:Apply a BCG Matrix to Wesfarmers Corporation, which includes Coles, Bunnings, Officeworks, Kmart, Liquor Outlets and Convenience Stores, using the information in the case study to correctly position the businesses within the 4 quadrants.Please answer in less than 400 words Stateless firewalls are designed to protect networks based on static information such as source and destination IPs. Because they do not take as much into account as stateful firewalls, theyre generally considered to be less rigorous.TrueFalse Genetic engineering is:worldwide industrial robot installations.software to make a computer perform better than a human.an ethical issue embedded in company use of biotechnology in medication.development of technologies to manipulate genetic material to alter traits. Online service and support are critically important within e-commerce more than in traditional commerce because e- commerce companies ____ A. do not have a physical location to help maintain current customers B. do not continue business with unsatisfied customers C. rarely cut out the middleman in the link between suppliers and consumers D. focus only on attracting new customers BuyRight is an e-commerce Web site. It has come up with a promotion-based offer where buyers get a significant discount, even up to 60 percent, on a specific refrigerator if a minimum of 100 buyers agree to buy the product within 24 hours of the offer being announced. In this case, it is evident that BuyRight is a _____ A. social networking site B. peer-to-peer e-commerce platform C. group buying platform D. participatory c-commerce site Next What is the parity bit for the following: a) 1010010 AJ (even) b) 0100101 (odd) A Harvey, a successful stockbroker gives a lecture at the college about the secrets of making money with stock investing. Three of the students who attended the lecture are so impressed that they form an investing club and ask Harvey to be a part of it. Harvey sets up an account for the investing club that allows him access to the account. Harvey was not authorized by any of the students to withdraw any money from the account. Harvey then uses all the money deposited in the account to pay his personal vacation expenses. When he is charged with embezzlement, Harvey claims that he fully intended to repay the club their money upon the sale of his next book and that the students were foolish to think that he was allowed to set up their account and not have access to it. Answer using the IDR Format. A 6.31 kg rock is dropped from rest on the earth and reaches the ground in 1.27 s. When it is dropped by a planetary explorer from the same height on some newly discovered planet, it reaches the ground in 17 s. What is the acceleration due to gravity on this new planet? Please give your answer in units of cm/s. A 1250 Vrms supply feeds a single-phase full-wave controlled rectifier. A highly inductive load is connected at the output terminals of the rectifier. If the load resistance and current are 20 and 200 A, respectively, find the following: a) The voltage across the load. b) The firing angle needed to deliver the required load current. c) What is the average output power? An increase in price has the practical effect of making consumers more constrained by budget in their consumption of that good. Economists call thisa. diminishing marginal utility b. the substitution effect c. the income effect d. diminishing marginal returns e. rational choice theory