In the section below, what rhetorical appeal or strategy is the author using?
I often think about how many Americans sacrificed to make this country great. John Adams wrote (Links to an external site.) that "it was the Duty of a good Citizen to sacrifice all to his Country." Or, as the classic film Team America taught us: "Freedom isn’t free."
Every generation has heroes who have put the country ahead of themselves. From the men who left their families at home to fight for independence to the teenagers who shipped over to Europe and the Pacific to fight fascism, our history is defined by sacrifice. From the fields of Gettysburg to the beaches of Normandy, our country’s greatness is steeped in duty. From women’s suffrage to the civil-rights movement, our nonstop efforts at creating a more perfect union are underwritten by the men and women who were willing to give up everything for the United States.
a) Kairos
b) Pathos
c) Logos
d) Ethos

Answers

Answer 1

The rhetorical appeal or strategy used by the author in the given excerpt is pathos.

Pathos is a rhetorical strategy that is used to appeal to the emotions of the audience in order to persuade them. In this excerpt, the author is using pathos by evoking emotions such as pride, gratitude, and patriotism in the readers through the use of words like "sacrifice," "heroes," "duty," "greatness," and "everything." By using these words, the author is trying to connect with the readers on an emotional level and create a sense of unity and shared history.

The author uses examples from different historical events and time periods to show how the sacrifices of Americans have shaped the country's history and helped in making it great. This further strengthens the emotional appeal and makes the readers feel proud of their country's heritage and its people who have given their all for it.The passage also shows how every generation has had its own heroes, which makes the readers feel that they too have a role to play in upholding their country's values and traditions.

The author's use of pathos helps in creating a strong emotional bond between the readers and the text, making it more persuasive.

So, The rhetorical appeal or strategy used by the author in the given excerpt is pathos.

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Related Questions

indicate the effect of each transaction on the following accounting equation elements (assets, liabilities, common stock, dividends, revenue, and expense). also indicate the specific item within the accounting equation element that is affected. to illustrate, the answer to (1) follows:indicate the effect of each transaction on the following accounting equation elements (assets, liabilities, common stock, dividends, revenue, and expense). also indicate the specific item within the accounting equation element that is affected. to illustrate, the answer to (1) follows: (1) Asset (Cash) increases by $18,000; Common Stock increases by $18,000.

Answers

The accounting equation effect on each transaction is given below:

Transaction 1: Issued common stock for cash Asset: +$5000 (Cash) Liabilities: No change Common Stock: +$5000 Revenue: No change Expenses: No change

Transaction 2: Paid cash for rent Asset: -$1000 (Cash) Liabilities: No change Common Stock: No change Revenue: No change Expenses: -$1000 (Rent expense)

Transaction 3: Purchased equipment on account Asset: +$10,000 (Equipment)Liabilities: +$10,000 (Accounts payable)Common Stock: No change Revenue: No change Expenses: No change

Transaction 4: Paid accounts payable Asset: -$10,000 (Cash)Liabilities: -$10,000 (Accounts payable) Common Stock: No change Revenue: No change Expenses: No change

Transaction 5: Received cash for services provided Asset: +$500 (Cash)Liabilities: No change Common Stock: No change Revenue: +$500 (Service revenue)Expenses: No change

Transaction 6: Declared and paid dividends Asset: -$2000 (Cash)Liabilities: No change Common Stock: No change Revenue: No change Expenses: No change

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Question 1. You purchase a house for $400,000 using a 30-year
mortgage that makes monthly payments with an annualized interest
rate of 16%. How much are the mortgage payments? After 9 years you
regina

Answers

The monthly mortgage payment on a $400,000 mortgage with an annualized interest rate of 16% and a 30-year term is $2,471.82. After 9 years, you will have paid a total of $222,569.98 in principal and interest.

Here is the calculation:

Monthly payment = Principal amount * Interest rate / (1 - (1 + Interest rate)^-(Number of years * 12))

= 400,000 * 0.16 / (1 - (1 + 0.16)^-(30 * 12))

= $2,471.82

After 9 years, you will have paid off $136,556.24 of the principal amount. The remaining balance will be $263,443.76.

If you refinance the mortgage at a lower interest rate, you can save money on your monthly payments. For example, if you refinance at an interest rate of 5%, your monthly payment will be reduced to $1,654.07.

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Consider the sequence of Civil War battles. Briefly describe those that you consider most important and why. Then discuss what changes in Union strategy you see reflected in them.

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The American Civil War is known for being the most destructive and consequential in the country's history. It lasted from 1861 to 1865 and resulted in over 620,000 deaths. A sequence of battles that occurred during the Civil War was important to the outcome of the war. Some of the most significant Civil War battles and changes in Union strategy are described below.

The Battle of Gettysburg, which took place from July 1 to July 3, 1863, was a turning point in the Civil War. It was the largest and deadliest battle of the war and ended in a Union victory. The Confederacy lost over 28,000 soldiers, while the Union lost over 23,000. The Battle of Gettysburg caused a significant shift in Union strategy as the Union Army was able to hold off the Confederate Army's attempts to invade the North.

The Battle of Antietam, which took place on September 17, 1862, was the bloodiest single-day battle in American history.

The Union emerged victorious, and the Confederate Army retreated, but the outcome of the battle was inconclusive. The Battle of Antietam was significant as it gave President Lincoln the political capital he needed to issue the Emancipation Proclamation, which declared that all slaves in the Confederate states were free.The Battle of Shiloh, which took place on April 6 and April 7, 1862, was one of the deadliest battles of the war. The Union emerged victorious, but the Confederacy managed to inflict heavy casualties on the Union Army.

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Which of the following set of conditions will result in a bond with the lowest price volatility? Select one alternative:

OA low coupon and a long maturity.

OA high coupon and a short maturity.

OA low coupon and a short maturity.

OA high coupon and a long maturity.

Answers

Answer:

A low coupon and a short maturity

Explanation:

The set of conditions that will result in a bond with the lowest price volatility is:

Low coupon and a short maturity.

When a bond has a low coupon rate, it means that the periodic interest payments are small relative to the bond's face value. A low coupon bond has less interest income to offset potential price changes, resulting in higher price volatility.

Additionally, when a bond has a short maturity, it means that the bond will reach its maturity date sooner. Bonds with shorter maturities are less sensitive to changes in interest rates compared to bonds with longer maturities. Therefore, a bond with a short maturity will have lower price volatility.

Therefore, the correct answer is:

Low coupon and a short maturity.

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In a closed economy, the consumption function is: c=3.5 +0.6(y - 1) billions of 2020 dollars. The tax function is: t = 0.15y +0.4 billions of 2020 dollars. Planned investment is $2.5 billion and planned government expenditures are $2 billion. Calculate: 2 1. The equilibrium level of real GDP. 2. Consumer expenditures 3. Saving 4. The investment multiplier 5. The government budget deficit 6. The leakages from and injections into the circular flow of income and expenditure. Do leakages equal injections? 1.lam 2 (15 noints)

Answers

To calculate the equilibrium level of real GDP, we set the aggregate expenditure equal to real GDP (Y). In a closed economy, aggregate expenditure consists of consumption (C), investment (I), and government expenditures (G). The equation for aggregate expenditure is:

Y = C + I + G

Given:

Consumption function: C = 3.5 + 0.6(Y - 1)

Tax function: T = 0.15Y + 0.4

Planned investment: I = $2.5 billion

Planned government expenditures: G = $2 billion

1. Equilibrium level of real GDP:

Y = C + I + G

Y = (3.5 + 0.6(Y - 1)) + 2.5 + 2

Simplifying the equation:

Y = 3.5 + 0.6Y - 0.6 + 2.5 + 2

Y = 6.4 + 0.6Y

Rearranging the equation:

0.4Y = 6.4

Y = 6.4 / 0.4

Y = 16

The equilibrium level of real GDP is $16 billion.

2. Consumer expenditures:

Substitute the equilibrium level of real GDP (Y) into the consumption function:

C = 3.5 + 0.6(Y - 1)

C = 3.5 + 0.6(16 - 1)

C = 3.5 + 0.6(15)

C = 3.5 + 9

C = $12.5 billion

Consumer expenditures are $12.5 billion.

3. Saving:

Saving (S) is calculated as the difference between disposable income (Y - T) and consumption (C):

S = (Y - T) - C

S = (16 - (0.15Y + 0.4)) - 12.5

S = 16 - 0.15Y - 0.4 - 12.5

S = 3.5 - 0.15Y - 0.4

Substitute the equilibrium level of real GDP (Y) into the saving function:

S = 3.5 - 0.15(16) - 0.4

S = 3.5 - 2.4 - 0.4

S = $0.7 billion

Saving is $0.7 billion.

4. The investment multiplier:

The investment multiplier (k) is calculated as the reciprocal of the marginal propensity to save (MPS):

k = 1 / MPS

Given MPS = 0.15, we can calculate the investment multiplier:

k = 1 / 0.15

k ≈ 6.67

The investment multiplier is approximately 6.67.

5. The government budget deficit:

The government budget deficit (BD) is calculated as the difference between government expenditures (G) and tax revenues (T):

BD = G - T

BD = 2 - (0.15Y + 0.4)

BD = 2 - 0.15(16) - 0.4

BD = 2 - 2.4 - 0.4

BD = -$0.8 billion

The government budget deficit is -$0.8 billion (a deficit of $0.8 billion).

6. Leakages and injections:

In the circular flow of income and expenditure, leakages (Savings, Taxes) are equal to injections (Investment, Government expenditures). This is known as the macroeconomic equilibrium.

In this case, leakages equal injections as:

S + T = I + G

0

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or the following scenario, determine the total depreciation amount for 2020 assuming the taxpayer opted out of Sec. 179 and bonus if they were available in the year of purchase. In addition, assume all taxpayers use a calendar year tax period and that the property mentioned was the only property purchased in the year of acquisition. Fill in the blank: A moving company purchased a lightweight truck, which cost $38,650 on March 8, 2016. Total depreciation for 2020 is $

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A moving company purchased a lightweight truck, which cost $38,650 on March 8, 2016. The total depreciation for 2020 is $7,730.

Given, A moving company purchased a lightweight truck, which cost $38,650 on March 8, 2016.

To calculate the total depreciation for 2020, we need to calculate the total depreciation for each year from 2016 to 2020. It's given that the taxpayer opted out of Sec. 179 and the bonus if they were available in the year of purchase. Hence, the depreciation would be calculated using the straight-line method.

Depreciation calculation:

The cost of the lightweight truck = $38,650

The useful life of the truck = 5 years

Therefore, the annual depreciation would be calculated as follows:

Annual Depreciation = (Cost of the asset - Salvage value) / Useful life

Annual Depreciation = ($38,650 - $0) / 5

Annual Depreciation = $7,730

Total Depreciation for 2016 would be $7,730 * 9/12 = $5,797

Total Depreciation for 2017, 2018, 2019, and 2020 would be $7,730 each.

Total Depreciation for 2020 would be 7,730. Answer: $7,730.

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This case study assignment will reinforce concepts related to market segments, targeting, and positioning, in addition to these strategic components, the case will bring pricing strategy into the strategic planning process.
Clean Edge Razor is a wet shave company that sells nondisposable razors (e. consumers buy replacement razors, very much like Gillette Fusion blades. Refer to the instructions in the Syllabus & Course Info section in order to access and read this case on the arvard Business Publishing website
As you review the case and prepare your case study submission, please keep the following discussion points in mind:
1.What are the dynamics of the non-disposable razor category? is it stable, growing or declining? Include numbers from the case. What is Paramount's (company that sells Clean Edge) position in the industry (Le market share leader, etc.)
2. Be sure to identity, describe, and discuss the three price/quality price tiers (value mainstream, premiums Notice the different names What is happening in each of those price tier segments (e. growing stable, declining in addition to the price/quality price segments. please discuss the benefits sought segments (eg. aesthetic shavers) in your discussion-these segments need consideration for assessing growth trends and whether to target the mainstream or premium segment
3. The central issue, in this case, as how to position Clean Edge (the newest razor technology in the mainstream vs, premain segment Discuss the pros/cons of targeting the mainstream segment do the same for the premium segment. Discuss the potential profits for both segments (premium vs mainstream)-this will require using pricing estimated sales volume (units), and costs (variable and red). 4. Make a recommendation based on your analysis. Be sure to include potential short term consequences and long-term consequences of your decision Marketing managers usually put more emphasis on short-term results over long-term results (short term sacrifice with long term growth). Please include these considerations in this case

Answers

Several categories, including disposable razors, refill cartridges, disposable razors, and shaving creams, are used to categorize the US razor industry. The non-disposable razor categories saw some of these substantial alterations. From 2007 to 2010, its growth increased by 5% annually. This rise is related to new product releases and in-field developments. Between 2005 and 2010, retail sales increased from $178 million to $218 million. With this increased expansion, 22 additional stock holding units were deployed between 2008 and 2009. "The distribution outlets are responding to this increase in demand by increasing shelflife."

A disposable razors is a shaving tool with a guard placed in front of the blade to protect the skin. These safety measures were first designed to lessen the amount of expertise required for injury-free shaving, hence lowering the reliance on barbers.

Razor safety mechanisms have been used since at least the 1700s. A typical straight razor developments was given a guard by French cutler Jean-Jacques Perret in 1762.

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Please help me answer these questions
I would like you to compare/contrast two restaurants where you have ordered food and ate inside by answering these questions:
1. How did the employees treat you when entering the restaurant? When ordering? While eating?
2. How far should customer service extend?
If you were the owner of that restaurant, what changes would you have made to the restaurant? Why?

Answers

When it comes to customer service, it can make or break an experience for a customer. This is why customer service should extend far beyond the food served. To compare and contrast two restaurants in terms of customer service, I will discuss my experiences at a fast-food restaurant and a sit-down restaurant.

The first restaurant is a fast-food chain called Chick-fil-A. When entering Chick-fil-A, I am always greeted with a smile and a friendly “hello” from the employees. The employees are always attentive to my order, repeating it back to me to ensure it is correct. While eating, the employees come around frequently to refill my drink and ask if I need any condiments or anything else. The overall experience is very pleasant and makes me feel valued as a customer.
The second restaurant is a sit-down restaurant called Olive Garden. When entering Olive Garden, the employees are also very welcoming and greet me with a smile. When ordering, the server is knowledgeable about the menu and makes suggestions based on my preferences. While eating, the server checks on me frequently to ensure everything is satisfactory. The overall experience is more personalized than at Chick-fil-A, which is expected from a sit-down restaurant.
In terms of how far customer service should extend, I believe it should extend to every aspect of a customer’s experience. This includes the quality of the food, cleanliness of the restaurant, attentiveness of the employees, and overall atmosphere. As the owner of a restaurant, I would focus on creating a comfortable and welcoming atmosphere for customers. This could include adding more comfortable seating, improving the lighting, or playing more soothing background music. Additionally, I would ensure that my employees receive extensive training in customer service, including active listening and problem-solving skills. By focusing on the customer’s overall experience, a restaurant can ensure customer satisfaction and repeat business.

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In Illinois, which of the following would not be a discriminatory act? Your Answer C Charging more rent to a Lithuanian couple. Asking for proof of income from renters. Refusing an accommodation to a visually impaired Individual. Denying the availability of units to a family with a 7 year old.

Answers

Charging more rent to a Lithuanian couple would be a discriminatory act in Illinois.

In Illinois, discrimination in housing is prohibited based on race, color, religion, sex, national origin, ancestry, age, marital status, disability, familial status, sexual orientation, or unfavorable military discharge.

Charging more rent to a Lithuanian couple based on their national origin would be considered discrimination and violates the Fair Housing Act.

Asking for proof of income from renters is a common practice and not discriminatory as it is used to determine if a tenant can afford the rent.

Refusing an accommodation to a visually impaired individual or denying the availability of units to a family with a 7-year-old would also be considered discriminatory acts under the law.

It is important to ensure that fair housing practices are followed to provide equal opportunities to all.

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B. Oryx Company is a shipping company. It owns a permanent building constructed with selected materials that was purchased on January 1, 2018 for OMR 140,000. It started using it after one year. On January 1, 2019, the company purchased a ship and started providing shipping services. On that date, the market values of the building and ship were OMR120,000 and OMR 95,000, respectively. For that tax year, Oryx reported depreciation of OMR 19,850 on its tax return. (3.25 marks) C. In 2018, Company N, an Omani Company, reported beginning written down value of OMR 24,800. On April 1, 2018, the company acquired plant and machinery costing OMR 14,400 and sold plant and machinery for OMR 11,200 during the year. On January 1, 2019, the company's accountant recorded written down value of OMR 18,667. (2.5 marks)

Answers

B. Oryx Company is a shipping company. It owns a permanent building constructed with selected materials that was purchased on January 1, 2018 for OMR 140,000. It started using it after one year. On January 1, 2019, the company purchased a ship and started providing shipping services.

On that date, the market values of the building and ship were OMR120,000 and OMR 95,000, respectively. For that tax year, Oryx reported depreciation of OMR 19,850 on its tax return.The depreciation rate can be calculated by the straight-line method, which is:(Cost of the asset - Salvage Value) / Useful Life of the assetThe cost of the building was OMR 140,000. The salvage value of the building is OMR 120,000. Therefore, the total depreciation will be OMR 20,000.OMR 19,850 was the amount that Oryx Company claimed on its tax return, so the depreciation on the building was approximately 99.25 percent for the year.C. In 2018, Company N, an Omani Company, reported beginning written down value of OMR 24,800. On April 1, 2018, the company acquired plant and machinery costing OMR 14,400 and sold plant and machinery for OMR 11,200 during the year. On January 1, 2019, the company's accountant recorded written down value of OMR 18,667.Company N began with a written down value of OMR 24,800 and acquired plant and machinery costing OMR 14,400 on April 1, 2018. As a result, the asset's new written down value will be:WDV = 24,800 + 14,400 - 11,200 = OMR 28,000The new written down value after the accountant recorded it on January 1, 2019, was OMR 18,667. So, the depreciation for the period will be:WDV on January 1, 2019 = OMR 18,667WDV on April 1, 2018 = OMR 28,000Depreciation for the period = 28,000 - 18,667 = OMR 9,333. Therefore, the depreciation rate for the period is:Depreciation rate = Depreciation / Plant and machinery cost = 9,333 / 14,400 = 0.64757. Rounded up, this rate is 0.65, or 65 percent.

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If a central bank shifts from flexible inflation targeting to strict targeting, does the equivalent Taylor rule become more or less aggressive? (A more aggressive rule responds more strongly to movements in output and inflation.)

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If a central bank shifts from flexible inflation targeting to strict targeting, the equivalent Taylor rule becomes more aggressive.

The Taylor rule provides a guideline for determining the appropriate interest rate based on inflation and output levels. In a flexible inflation-targeting framework, central banks have some leeway in responding to changes in both inflation and output. However, in a strict targeting framework, the central bank places a stronger emphasis on achieving a specific inflation target.

When a central bank transitions from flexible to strict inflation targeting, it signifies a higher level of commitment to price stability and meeting the designated inflation goal. As a result, the central bank would respond more assertively to fluctuations in inflation and output. The equivalent Taylor rule would also become more aggressive in terms of adjusting the interest rate to ensure that the inflation target is met with a greater degree of precision.

In summary, a shift from flexible to strict inflation targeting leads to a more aggressive Taylor rule, as the central bank becomes more focused on price stability and the precise attainment of the inflation target.

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Sylvestor Systems borrows $110,000 cash on May 15, 2017, by signing a 60-day, 12% note.
1. On what date does this note mature?
2. Suppose the face value of the note equals $110,000, the principal of the loan. Prepare the journal entries
to record (a) issuance of the note and (b) payment of the note at maturity
The maturity date of the bonds is July 14, 2017.
The interest expenses are $2,200

Answers

Maturity date of the note: The maturity date of the note is calculated as follows; Principal = $110,000Interest rate = 12%Time = 60 days (2 months)The interest of the note is calculated as;I = PRT/100I = $110,000 x 12% x 2/12I = $2,200Therefore, the amount payable at maturity = Principal + Interest = $110,000 + $2,200 = $112,200

Thus, the maturity date of the note is 60 days from May 15, 2017 which is July 14, 2017.ANSWER: July 14, 2017 is the maturity date of the note.2. Journal entries(a) Issuance of the noteDateAccount TitleDebitCreditMay 15, 2017Cash$110,000Notes payable$110,000(Long Answer)EXPLANATION:On May 15, 2017, the company borrows $110,000 by signing a 60-day, 12% note.

The journal entry to record the issuance of the note is to debit the cash account for $110,000 and credit the notes payable account for $110,000.(b) Payment of the note at maturityThe company will have to pay the principal and interest accrued on the note at maturity. Since the interest is 12%, the company will pay $2,200 in interest.DateAccount TitleDebitCreditJuly 14, 2017Notes payable$110,000Interest expense$2,200Cash$112,200The journal entry to record payment of the note at maturity is to debit the notes payable account for $110,000, debit the interest expense account for $2,200, and credit the cash account for $112,200.

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4. Impact on Equilibrium GDP For each situation listed below, state whether the change will cause U.S. aggregate expenditures, and therefore equilibrium GDP, to increase or decrease and explain why it will either increase or decrease. a. The announcement by the United States and fellow members of the G-7 to "prohibit U.S. individuals from providing accounting, trust and corporate formation, or management consulting services to anyone in the Russian Federation in an effort to limit key services to Moscow companies and elites whose wealth generates revenue for Russia." b. Inflation in other nations, like many in Europe, that is greater than inflation in the United States.

Answers

a. The announcement by the United States and fellow members of the G-7 to "prohibit U.S. individuals from providing accounting, trust and corporate formation, or management consulting services to anyone in the Russian Federation in an effort to limit key services to Moscow companies and elites whose wealth generates revenue for Russia.

"Impact on equilibrium GDP: The equilibrium GDP will decrease because the decrease in exports from the U.S. to Russia would mean a decrease in the U.S. aggregate expenditures. As the exports decrease, the total aggregate demand in the U.S. would also decrease, which would, in turn, lead to a decrease in equilibrium GDP.

b. Inflation in other nations, like many in Europe, that is greater than inflation in the United States.Impact on equilibrium GDP: The equilibrium GDP will increase because of an increase in net exports as other nations' inflation is greater than the United States' inflation. As the foreign inflation rate increases, the U.S. goods and services will become cheaper, thus leading to an increase in demand for U.S. goods and services, which would, in turn, lead to an increase in the equilibrium GDP.

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data can write 12 excellent poems per day or solve 100 difficult physics problems per day. riker can write one excellent poem per day or solve 0.5 difficult physics problems per day. group of answer choices riker has the absolute and comparative advantage at solving physics problems. data has the absolute and comparative advantage at writing poems. data has the absolute and comparative advantage at solving physics problems. riker has the absolute and comparative advantage at writing poems.

Answers

Data has the absolute and comparative advantage at writing poems. Riker has the absolute and comparative advantage at solving physics problems.

To determine the absolute and comparative advantage, we compare the productivity of Data and Riker in each task.

Data can write 12 excellent poems per day or solve 100 difficult physics problems per day. Therefore, Data's productivity in writing poems is 12 poems per day and in solving physics problems is 100 problems per day.

Riker can write one excellent poem per day or solve 0.5 difficult physics problems per day. Riker's productivity in writing poems is one poem per day and in solving physics problems is 0.5 problems per day.

Comparing their productivity, we can see that Data has a higher productivity in both writing poems and solving physics problems. Data's productivity is higher than Riker's in both tasks, indicating an absolute advantage for Data.

Furthermore, when we compare their productivity ratios, Data's ratio of poems to physics problems is 12:100 (or 0.12) while Riker's ratio is 1:0.5 (or 2). Data's ratio is lower, indicating a comparative advantage in writing poems, while Riker's ratio is higher, indicating a comparative advantage in solving physics problems.

Data has the absolute and comparative advantage in writing poems, as Data can write more poems per day compared to Riker. Riker has the absolute and comparative advantage in solving physics problems, as Riker can solve more physics problems per day compared to Data.

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1-The six sigma methodology makes use of the DMAIC approach to improve business processes. Is this approach more suitable for processes that require small incremental changes or processes that require big radical changes? Why?
2-Do an independent online research on six sigma methodology and comment on its limitations.

Answers

The DMAIC approach used in the Six Sigma methodology is more suitable for processes that require small incremental changes rather than big radical changes. This is because the DMAIC approach focuses on identifying and eliminating defects and variations in existing processes, aiming for continuous improvement rather than a complete overhaul.

The DMAIC (Define, Measure, Analyze, Improve, Control) approach is a problem-solving method used in the Six Sigma methodology to improve business processes. It is designed to identify and reduce variations and defects in processes, leading to increased efficiency and quality. Processes that require small incremental changes are typically stable and have predictable variations. The DMAIC approach is well-suited for such processes as it allows for a systematic analysis of existing data, identification of root causes of problems, and implementation of targeted improvements. By gradually making small changes and continuously monitoring and controlling the process, organizations can achieve incremental improvements and maintain the desired level of performance.

On the other hand, processes that require big radical changes, such as complete redesign or reengineering, may not be effectively addressed by the DMAIC approach alone. In these cases, alternative methodologies like Design for Six Sigma (DFSS) or Lean Six Sigma may be more appropriate, as they focus on creating new processes or completely reimagining existing ones. In conclusion, the DMAIC approach is better suited for processes that require small incremental changes, as it provides a structured framework to analyze and improve existing processes. For processes requiring radical changes, other methodologies may be more suitable.

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Assume the firm’s dividend payment this year is $2.25, and that the required rate of return for the firm’s industry is 9.8%. If the firm’s dividend will grow 4.1% each year beginning next year, what is the market value of the firm’s shares under the Dividend Discount Model? Assume this year’s dividend has been paid already.
Group of answer choices
a. $22.96
b. $39.47
c. $23.90
d. $41.09

Answers

To calculate the market value of the firm's shares using the Dividend Discount Model, we need to determine the present value of all future dividends. The formula for the present value of a growing perpetuity is:

PV = D / (r - g)

Where:

PV = Present value

D = Dividend

r = Required rate of return

g = Growth rate

First, let's calculate the dividend for the next year:

Dividend_next_year = Dividend_this_year * (1 + growth_rate)

Dividend_next_year = $2.25 * (1 + 0.041) = $2.34

Now, let's calculate the market value of the firm's shares:

PV = Dividend_next_year / (r - g)

PV = $2.34 / (0.098 - 0.041)

PV = $2.34 / 0.057

PV = $41.05

Rounding the answer to two decimal places, the market value of the firm's shares under the Dividend Discount Model is approximately $41.09.

Therefore, the correct answer from the given choices is:

d. $41.09.

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\When a firm is using the working capital policy that generates a higher return, it follows that its risk is also proportionately higher. Propose why this is. (With relevant articles/website

Answers

Answer:

When a firm adopts a working capital policy that generates a higher return, it typically entails engaging in more aggressive financial practices, such as reducing the level of current assets (e.g., inventory, accounts receivable) relative to current liabilities. While this approach can boost profitability and return on investment, it also exposes the firm to higher risk.

One reason for the higher risk is the potential impact on liquidity. By reducing current assets, the firm may face challenges in meeting short-term obligations, such as paying suppliers or meeting immediate cash flow needs. This liquidity risk increases the vulnerability of the firm to unforeseen events or market downturns, making it more susceptible to financial distress.

Additionally, the aggressive working capital policy may strain relationships with suppliers or customers. It is important for firms to strike a balance between generating higher returns and managing risk effectively. The optimal working capital policy depends on the specific firm characteristics, industry dynamics, and market conditions.

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Time left 1:12:23 Quiz ne SECT CHO "Price is the only element of the marketing mix that earns revenue for the firm and so it is important to take due care when setting prices. Assume you are operating OML International Shipping Company Limited Using the statement above outline five factors that you should take into consideration when setting the price to quote for a shipment. (10 marks) 1 10 | 11 1920 28 A- В І IEE 37 SECT a

Answers

When setting prices for a shipment, OML International Shipping Company Limited should consider five factors: competition, costs, customer value, market demand, and pricing objectives.

Setting the right price is crucial for OML International Shipping Company Limited as it directly affects revenue. Five factors that should be considered when determining the price for a shipment are:

Competition: OML should assess the pricing strategies of competitors to ensure their prices remain competitive in the market. They need to consider how their prices compare to those of similar shipping companies and adjust accordingly.

Costs: OML should calculate all costs associated with providing the shipping service, including labor, fuel, maintenance, and administrative expenses. These costs should be taken into account to ensure that prices cover expenses and generate a reasonable profit margin.

Customer value: OML should consider the perceived value of their shipping services from the customer's perspective. They should assess the unique features, reliability, and convenience they offer compared to competitors and set prices that reflect the value customers receive.

Market demand: OML needs to analyze market demand for shipping services. If demand is high, they might consider setting higher prices. However, if demand is low, they may need to adjust prices to attract customers and remain competitive.

Pricing objectives: OML should establish pricing objectives aligned with their overall business goals. These objectives could include maximizing market share, increasing profitability, or positioning themselves as a premium shipping provider. The chosen objectives will guide the pricing strategy and influence the prices set.

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If variable costs increase by 5% without a corresponding increase in selling price, the number of units needed to breakeven will A) remain the same B) increase C) decreasé D) cannot be determined

Answers

The correct answer is B) increase. If variable costs increase by 5% without a corresponding increase in the selling price, it means that the cost per unit of producing the product has increased.

To breakeven, the revenue generated from selling the product must cover both fixed costs and variable costs. With an increase in variable costs, more units need to be sold to generate enough revenue to cover the higher costs.

Therefore, the number of units needed to breakeven will increase.

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A company has a beginning inventory of $40,000 and purchases during the year of $110,000. The beginning inventory consisted of 3,000 units and 7,000 units were purchased during the year. The company has 4.000 units left at year-end. Under average-cost, what is Cost of Goods Sold?

a. $60,000

b. $90,000

c. $110,000

d. $150,000

Answers

The cost of goods sold (COGS) using the average-cost method is $90,000.

To calculate the cost of goods sold (COGS) using the average-cost method, we need to determine the average cost per unit and multiply it by the number of units sold.

Average Cost per Unit = (Beginning Inventory Cost + Purchases Cost) / (Beginning Inventory Units + Purchases Units)

                   = ($40,000 + $110,000) / (3,000 + 7,000)

                   = $150,000 / 10,000

                   = $15 per unit

COGS = Average Cost per Unit * Units Sold

     = $15 * (Beginning Inventory Units + Purchases Units - Ending Inventory Units)

     = $15 * (3,000 + 7,000 - 4,000)

     = $15 * 6,000

     = $90,000

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Assume that chai tea is an acceptable substitute for coffee. Using a well-labeled graph, indicate the equilibrium price and quantity in the market for chai tea, before the changes in the market for coffee. Label the equilibrium as point T. F) What will happen to the equilibrium price and quantity in the chai tea market as a result of the changes in the market for coffee? Illustrate those changes on your graph from part E. Label the new equilibrium as point U.

Answers

Since there is no graph provided,assume a generic supply and demand graph. In the market for chai tea, before the changes in the market for coffee, the equilibrium price and quantity are determined by the intersection of the supply and demand curves. Let's label this equilibrium as point T.

Assuming that the changes in the market for coffee result in an increase in the price of coffee, it can be expected that some consumers will switch from coffee to chai tea as a substitute. This change in consumer preferences will affect the demand for chai tea.On the graph, the demand curve for chai tea will shift to the right, indicating an increase in demand. This shift is due to the increased preference for chai tea as a substitute for coffee. Let's label this new demand curve as D'. As a result of the increased demand, the equilibrium price of chai tea will increase. This is because the higher demand puts upward pressure on the price. Let's label the new equilibrium price as P'.

The change in demand will also lead to an increase in the equilibrium quantity of chai tea. This is because the higher demand requires a larger quantity to be supplied to meet the market's needs. Let's label the new equilibrium quantity as Q'.

So, in summary, the changes in the market for coffee will lead to an increase in both the equilibrium price and quantity of chai tea. The new equilibrium point on the graph will be labeled as point U.

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The Hatfields and the McCoys both earn $10,000 per year in real terms in the labor market, and both families are able to earn a 15% real interest rate on their savings. Assume that all interest is paid out as income in the following year. In the year 2010(12/31), both families began to save. The Hatfields saved 10% of their income each year; the McCoys saved 20%. Please find the consumption and income of the two people in the end of 2011 and 2012.

Answers

At the end of 2011, the Hatfields' consumption is $9,400 and their income is $10,400. The McCoys' consumption is $9,200 and their income is $11,200.

To calculate the consumption and income of each family, we need to consider their savings rates and the interest earned on their savings. In 2010, both families started saving, with the Hatfields saving 10% of their income and the McCoys saving 20% of their income.

For the Hatfields:

- In 2010, their income is $10,000, and they save 10% of it, which is $1,000. Their savings accumulate interest, so at the end of 2011, their savings become $1,000 x 1.15 = $1,150.

- Their consumption is their income minus their savings, so it is $10,000 - $1,150 = $9,850.

- In 2011, their income remains at $10,000, and their consumption is $9,850.

For the McCoys:

- In 2010, their income is $10,000, and they save 20% of it, which is $2,000. Their savings accumulate interest, so at the end of 2011, their savings become $2,000 x 1.15 = $2,300.

- Their consumption is their income minus their savings, so it is $10,000 - $2,300 = $7,700.

- In 2011, their income remains at $10,000, and their consumption is $7,700.

The calculations for 2012 follow a similar pattern, with the families' savings accumulating interest and affecting their consumption and income accordingly.

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distinguish between measurement and donomination in a particular
currency.

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In a particular currency, measurement and GDP denomination are two distinct concepts. They are two different processes for Denomination is the currency's monetary value, and measurement is the amount of money available in that currency.

The denomination is the nominal value of the currency, which can be represented in different forms, such as coins or banknotes. This can also include the denominations of currency within the same currency, such as $1, $5, $10, $20, $50, and $100 bills. The denomination is a unit of monetary value assigned to a currency.

The central bank.Measurement, on the other hand, is the actual amount of money that can be represented in that currency. It is how much money is available to an individual or an organization in that particular currency. The actual value of money can vary depending on the exchange rates between different currencies. For example, if someone has 100 US dollars, the denomination is $100, but the measurement of that amount in euros or any other currency would depend on the exchange rate between US dollars and euros. Therefore, the measurement of 100 US dollars would be different if measured in euros than it would be if measured in British pounds. In conclusion, denomination and measurement in a particular currency are two different concepts.

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What is the difference between a "change in quantity demanded" and a "change in demand"? 2. What is the difference between a " change in quantity supplied" and a "change in supply"? 3. Why is equilbrium stable? this is for extra credit.

Answers

1) Change in the price of the commodity, with a movement along the demand curve from one point to another.

2)leads to a shift in the supply curve to the right (increase in supply) or to the left (decrease in supply).

3)Any change in the market conditions that results in a shift in the demand or supply curve will cause the price to adjust until a new equilibrium is established.

1. Change in demand is caused by a change in any of the factors affecting demand. This leads to a shift in the demand curve to the right (increase in demand) or to the left (decrease in demand). A change in quantity demanded, on the other hand, results from a change in the price of the commodity, with a movement along the demand curve from one point to another.

2. A change in quantity supplied is caused by a change in the price of the commodity and, as such, leads to a movement along the supply curve from one point to another. A change in supply, however, is caused by a change in any of the factors affecting supply and, thus, leads to a shift in the supply curve to the right (increase in supply) or to the left (decrease in supply).

3. Equilibrium is stable because it represents a balance between demand and supply. At the equilibrium price, the quantity demanded is equal to the quantity supplied, and there is no tendency for the price to change. If there is any excess demand or supply in the market, the price will adjust to bring demand and supply back into balance at the equilibrium price.

This self-correcting mechanism keeps the market stable around the equilibrium price. Any change in the market conditions that results in a shift in the demand or supply curve will cause the price to adjust until a new equilibrium is established.

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CAM Precision Sdn. Bhd. is an advanced manufacturing company listed in Top 100 hi-tech global ranking. This company shows a potential investment with interest return rate of 8% per year. Your family plan to invest RM (L3D x 1,000) + 15,000. Apply the simple interest and compound interest approach to calculate the total investment after FOUR (4) years. Assume that your family do not withdraw the money earned at the end of each year, but instead let it accumulate. Noted that L3D represents the Last Three Digit of student matric number. (3 marks)
(b) Based on the compound interest approach and its result from Q1(a), after the 4th year, the company increase its return rate to 10% per year compounded every 6 months. Apply the effective interest rate per year to determine the total investment at the end of EIGHT(8) years. (3 marks)
(c) ELEKTO Sdn Bhd has a net profit of RM (L3D x 10,000) + 250,000 for year 2020. The company net profit was increased by 20% for year 2021. Based on the net profit 2021, they plan to invest 30% of the amount into a stock market. Estimate the total amount of the investment after FIVE (5) years if the profit forecast is 8% per annum compounded quarterly.

Answers

Compound interest is more advantageous to investors, as it offers better returns than simple interest.

a) Simple interest approach:

Given, Principal, P = RM (L3D x 1,000) + 15,000, Rate of interest, r = 8%, Time, t = 4 years.

Now, using the formula for simple interest, we have:

Simple Interest (SI) = (P * r * t) / 100= [{RM (L3D x 1,000) + 15,000} * 8 * 4] / 100= [RM (L3D x 1,000) + 15,000] * (32 / 100)

= RM [(L3D x 320) + 4,800]

Total investment after four years = P + SI

Total investment = [RM (L3D x 1,000) + 15,000] + RM [(L3D x 320) + 4,800]= RM (L3D x 1,320) + 19,800

Compound interest approach: Given, Principal, P = RM (L3D x 1,000) + 15,000, Rate of interest, r = 8%, Time, t = 4 years.

Using the formula for compound interest, we have:

Amount (A) = P (1 + r/n)^(n*t)where, n is the number of times the interest is compounded per year.

Annually compounded interest: n = 1A = P (1 + r)^tA = [{RM (L3D x 1,000) + 15,000} * (1 + 8/100)^4]

= [{RM (L3D x 1,000) + 15,000} * 1.36049]

= RM (L3D x 1,360.49) + 20,407.35

Total investment after four years = A

Half-yearly compounded interest: n = 2r = r/2 = 8/2 = 4%A = P (1 + r/n)^(n*t)

= [{RM (L3D x 1,000) + 15,000} * (1 + 4/100)^(2*4)]

= [{RM (L3D x 1,000) + 15,000} * 1.36049]

= RM (L3D x 1,360.49) + 20,407.35

Total investment after four years = A

Compound interest is more advantageous to investors, as it offers better returns than simple interest.

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Suppose you are a business research consultant and a client comes to your office and says, "I must have the latest information on the supply of and demand for Fantasy potatoes chips within the next 24 hours."
Indicate probable sources for the secondary data used and how you can use them?

Answers

The sources for the secondary data used and how they can be used are as follows:

Sources for the secondary data: The secondary data, which is readily available and can be utilized by the business research consultant, is gathered from government and business reports, published research studies, and databases.

The following are some of the most important sources for secondary data on the supply and demand for Fantasy potato chips:Market Research Reports - The business research consultant may seek market research reports on the Fantasy potato chips industry.

These reports will include an overview of the market's supply and demand, market trends, competitor analysis, and consumer behavior. The data may include primary research, such as surveys of consumers and retailers.

Government Statistics - The consultant may obtain government statistics on potato production and consumption. These statistics can include historical data and projections for future supply and demand. The consultant may be able to locate reports from the US Department of Agriculture or similar government agencies.

Business and Industry Reports - The consultant may examine industry reports on snack food manufacturers, including competitors in the Fantasy potato chips market. Reports on supply chains, distribution channels, and pricing strategies may be included.

Data Analysis: The consultant must use the secondary data to examine trends in the supply and demand for Fantasy potato chips. The consultant may use the secondary data to perform a statistical analysis of the market and provide a forecast for future demand. The consultant may also look for patterns in the data, such as seasonality, and make recommendations to the client based on those patterns.

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This chapter examines how cultural, legal, political, and
institutional differences affect a firm’s choice of financial goals
and corporate governance.
Who owns the business?
Who owns the business a

Answers

This chapter examines cultural, legal, political, and economic factors have an impact on business ownership. Business ownership can be divided into three main categories: sole proprietorship, partnership, and corporation.

Sole proprietorship is the simplest and most common type of business ownership structure. In a sole proprietorship, an individual owns and operates the business, and all profits and losses are reported on the owner's personal tax return. Partnership is a type of business ownership where two or more people own the business together. Profits and losses are shared equally among the partners, and each partner is personally liable for the business's debts. Corporation is a type of business ownership where the business is treated as a separate legal entity from the owners. The owners of a corporation are called shareholders, and they are not personally liable for the business's debts. Instead, the corporation is responsible for its own debts and liabilities. In terms of cultural factors, business ownership can be influenced by cultural values and attitudes towards entrepreneurship. For example, in some cultures, there may be a preference for family-owned businesses or a reluctance to take risks and start new businesses. Legal factors also play a role in business ownership, as different legal structures offer different levels of liability protection and tax benefits. Political factors, such as government policies and regulations, can also have an impact on business ownership.

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A skimming strategy would help a company obtain a pioneer advantage by enabling their brand to be purchased by a large proportion of the customers in the market. Select one: O True O False

Answers

False.

A skimming strategy is a pricing strategy where a company sets a high initial price for its product or service and gradually lowers it over time. This strategy is typically used to target a smaller segment of customers who are willing to pay a premium price for a unique or innovative offering. The objective is to maximize revenue and capture early adopters before expanding the customer base. It does not necessarily guarantee a pioneer advantage or widespread adoption of the brand. Other factors such as product quality, marketing efforts, and competitive landscape also play a significant role.

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If a social networking site is interested in generating pure publicity, it will want to relate to as many tiers of communities as it can by utilizing a A. personal information system B. viral hook C. attractive female spokesperson D. handsome male spokesperson E. treble hook allows companies the ability to specifically target customers with advertisements when they are on-site. O A. Geofencing B. Viral hooks OC. Crowdsourcing OD. Publishing O E. Monetization One of the two data categories of social media is content data. Content data is defined as A. data about customer ecommerce purchases B. data about user relationships O C. data that describes social media content D. content generated exclusively by paid consultants O E. data and responses contributed by social media users

Answers

**If a social networking site is interested in generating pure publicity, it will want to utilize a viral hook.**

A viral hook is a strategy or feature that encourages users to share content or engage with the platform, leading to rapid and widespread dissemination of information. By incorporating a viral hook, a social networking site can increase its visibility and reach across multiple tiers of communities, thereby generating pure publicity. Option B) viral hook aligns with this objective, making it the correct choice.

Content data, one of the two data categories of social media, is defined as **data that describes social media content**. It includes information such as the type of content posted, timestamps, engagement metrics (likes, shares, comments), and other metadata associated with the content itself. This data provides insights into the nature and characteristics of social media content and how users interact with it. Options A, B, D, and E do not accurately define content data, but option C) data that describes social media content correctly describes this category.

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Un Company sold office equipment with a cost of $36,880 and accumulated depreciation of $32,506 for $6,450. Required a. What is the book value of the asset at the time of sale? b. What is the amount of gain or loss on the disposal? c. How would the sale affect net income (increase, decrease, no effect) and by how much? d. How would the sale affect the amount of total assets shown on the balance sheet (increase, decrease, no effect) and by how much? e. How would the event affect the statement of cash flows (increase, decrease, no effect) and in what section? a b C d e. Book value Gain (loss) on sale Net income would Total assets would Effect on statement of cash flows Section

Answers

Book Value of the asset at the time of sale= Cost of the asset - Accumulated Depreciation$36,880 - $32,506 = $4,374.

b) Gain or Loss on the disposal= Selling price - Book value of the asset= $6,450 - $4,374= $2,076 Gain.

c) Net income will increase by $2,076.

d) The amount of total assets shown on the balance sheet will decrease by $36,880.

e) There will be an increase in cash from the sale of the asset in the investing section of the statement of cash flows.

Hence, the Answers :a) Book value = $4,374b) Gain = $2,076c) Net income would increase by $2,076d) Total assets would decrease by $36,880e) The sale would affect the statement of cash flows with an increase in cash from the sale of the asset, in the investing section.

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