Judgment methods of forecasting should never be used with quantitative forecasting methods. T/F?

Answers

Answer 1

False, judgment methods of forecasting should not be used alone and can be used in combination with quantitative forecasting methods.

Quantitative forecasting methods Quantitative forecasting methods rely on statistical and mathematical models to predict future events. These methods are useful for generating reliable forecasts when there is a lot of data to work with.

Quantitative forecasting methods can be broken down into two types: time-series methods and causal methods.Judgmental forecasting methodsJudgmental forecasting methods rely on expert opinion and intuition to predict future events. These methods can be useful when there is little data available or when the situation is complex.

Judgmental forecasting methods can be broken down into three types: Delphi method, scenario writing, and technological forecasting.

Thus, Judgment methods of forecasting should not be used alone, and can be used in combination with quantitative forecasting methods.

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Related Questions

Which of the following is a characteristic of an organizational strategy map?
a. It is a list of an organization's strategic plans.
b. It relates an organization's mission statement with its tactical plans.
c. It shows how an organization's specific goals and plans are linked.
d. It outlines an organization's operational goals.

Answers

The correct answer is c. It shows how an organization's specific goals and plans are linked.

An organizational strategy map is a visual representation that demonstrates the cause-and-effect relationship between an organization's strategic objectives. It outlines the key strategic goals and initiatives of the organization and illustrates how they are interconnected. It provides a clear picture of how each goal contributes to the overall strategy and how they align with the organization's mission and vision.

Unlike option a, which suggests that a strategy map is simply a list of strategic plans, or option b, which implies a connection between mission statement and tactical plans, option c accurately reflects the purpose of a strategy map by emphasizing the linkage between specific goals and plans. Option d is incorrect because operational goals are typically addressed in operational plans rather than in a strategy map.

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Discuss ONE realistic scenario where conflict
in the workplace led to an adverse financial outcome.

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One realistic scenario where conflict in the workplace led to an adverse financial outcome is as follows:

Scenario: Conflict between Sales and Production Departments

In a manufacturing company, the Sales and Production departments experienced ongoing conflicts due to miscommunication, lack of collaboration, and differing priorities. The Sales department was focused on meeting customer demands and achieving sales targets, while the Production department was responsible for ensuring efficient production processes and managing costs.

As the conflicts escalated, several adverse financial outcomes occurred:

Inefficient Production Planning: The conflicts resulted in poor coordination between the Sales and Production departments. Sales representatives were making unrealistic promises to customers without consulting the Production department, leading to overpromising and underdelivering. Production schedules were constantly changing, causing disruptions, delays, and inefficiencies in the manufacturing process. This led to increased production costs, overtime expenses, and missed delivery deadlines.

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Accounts Payable Unearned Revenue-Loyalty Program CPP Payable El Payable HST Payable Income Tax Payable Unearned Revenue Vacation Pay Payable Jan, 2 5 12 In January, the following selected transactions occurred: 14 15 17 20 29 31 $49,000 3,700 1,210 31 620 8,330 3,440 12,900 8,470 Issued a $37,700, four-month, 6% note. Interest is payable at maturity. Sold merchandise for $13,000 cash, plus 13% HST. The cost of this sale was $3,850. Cullumber Software uses a perpetual Inventory system. Provided services for customers who had paid $9,300 cash in advance. The payment included HST of $1,070. Paid the Receiver General (federal government) for sales taxes collected in December 2020. Paid the Receiver General for amounts owing from the December payroll for CPP, EI, and income tax Paid $14,800 to creditors on account. Sold 7,280 units of a new product on account for $55 per unit, plus 13% HST. This new product has a one-year warranty, It. is estimated that 9% of the units sold will be returned for repair at an average cost of $10 per unit. The cost of this sale was $25 per unit. During the month, provided $3,050 of services for customers who redeemed their customer loyalty rewards. Assume that HST of $325 is included in the $3,050 Issued 32,700 loyalty rewards points worth $1 each Based on past experience, 20% of these points are expected to be redeemed Cash sales related to the issuance of the loyalty points were $249.800 Recorded and paid the monthly payroll. Gross salaries were $20.750. Amounts withheld included CPP of $849. El of $351, and income tax of $3.507 Date Jan. 2 Jan. 5 Jan. 5. Jan 12 Account Titles and Explanation Cash Notes Payable (Borrowed cash and signed a note.) Cash Jan 14 v HST Payable Sales (To record cash sales plus HST.) Cost of Goods Sold Merchandise Inventory (To record cost of goods sold.) Unearned Revenue Service Revenue HST Payable (To record service revenue for cash previously received.) HST Payable Cash (Remitted HST payable.) Debit 37.700 14690 3,850 9,300 8.000 Credit 37,700 1690 13.000 3,850 8230 1,070 8.330 Jan. 15 Jan. 17 Jan 20 Jan 20 v Jan 29 Income Tax Payable CPP Payable El Payable Cash (Remitted payroll deduction.) Jan 31 v Accounts Payable Cash (Payment on account.) Accounts Receivable. Sales HST Payable (To record sales on account plus HST.) Cost of Goods Sold Merchandise Inventory (To record cost of goods sold.) Unearned Revenue-Loyalty Program Accounts Receivable HST Payable (To record redemption of rewards plus HST.) 3,440 1210 14,800 620 452452 182000 3.050 249.800 14,800 400400 52052 182000 5270 2725 325 28915 Jan 31 V revenue related to loyalty program.) Jan 31 v Salaries Expense CPP Payable El Payable Income Tax Payable Salaries Payable (To record salaries expense.) Salaries Payable Cash (To record payment of salaries payable.) 20,750 16043 849 351 3.507 16043 16043 (Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No Entry for the account titles and enter O for the amounts. Round answers to 0 decimal places, eg. 5,276.) Date Account Titles and Explanation (1) Jan. 31 (2) Jan 31 (3) Jan Interest Expense Interest Payable (To accrue interest expense.) 31 Warranty Expense (To accrue warranty expense) (4) Jan Warranty Liability 31 Employee Benefits Expense CPP Payable El Payable Vacation Pay Payable (To record employer benefits expense) Property Tax Expense Property Tax Payable To accrue property tax expense). Debit 188.5 O NOUND ON 6552 1679.2 Credit DO NOT 188.5 6552 849 4914 338.8 675 Prepare the current liabilities section of the balance sheet at January 31. (Round answers to 0 decimal places, eg. 5,272 CULLUMBER SOFTWARE COMPANY (Partial) Balance Sheet January 31, 2021 Current Liabilities $ DODA

Answers

The total current liabilities of Cullumber Software Company as of January 31 amount to $25,996.80.

Based on the provided information, we can determine the current liabilities of Cullumber Software Company as of January 31. Here is a breakdown of the current liabilities:

1. Accounts Payable:

The company owes $14,800 to creditors on account for purchases made.

2. HST Payable:

The company has collected HST (sales tax) from customers but has not remitted it yet. The HST payable amount is $5,270.

3. Income Tax Payable:

The company has accrued income tax expense but has not yet paid it. The income tax payable amount is $3,388.

4. CPP Payable:

The company has withheld Canada Pension Plan (CPP) contributions from employee salaries but has not remitted them yet. The CPP payable amount is $849.

5. El Payable:

The company has withheld Employment Insurance (EI) contributions from employee salaries but has not remitted them yet. The EI payable amount is $351.

6. Vacation Pay Payable:

The company has accrued vacation pay expense but has not yet paid it. The vacation pay payable amount is $338.80.

The total current liabilities of Cullumber Software Company as of January 31 amount to $25,996.80.

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A drilling process has an upper specification of 1.964 millimeters and a lower specification of 1.777 millimeters. A sample of parts had a mean of 1.87 millimeters with a standard deviaiton of 0.026 millimeters. What is the process capability index for this system? Note: Round your answer to 4 decimal places.

Answers

The process capability index (Cp) for this system is approximately 1.1974.

To calculate the process capability index (Cp) for this system, we need to use the formula:

Cp = (USL - LSL) / (6 * σ)

Where:

USL: Upper Specification Limit

LSL: Lower Specification Limit

σ: Standard Deviation

In this case, the Upper Specification Limit (USL) is 1.964 millimeters, the Lower Specification Limit (LSL) is 1.777 millimeters, and the Standard Deviation (σ) is 0.026 millimeters.

Plugging in these values into the formula, we have:

Cp = (1.964 - 1.777) / (6 * 0.026)

Calculating the numerator first:

1.964 - 1.777 = 0.187

Now calculating the denominator:

6 * 0.026 = 0.156

Finally, dividing the numerator by the denominator:

Cp = 0.187 / 0.156

Cp ≈ 1.1974

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A campaign developed for a commercial / industrial customer is
the same for an individual consumer. We follow the same steps and
process

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The campaign developed for a commercial/industrial customer is not necessarily the same as for an individual consumer. While certain steps and processes may overlap, there are significant differences in targeting, messaging, and objectives.

When developing a campaign for a commercial or industrial customer, the focus is typically on business-to-business (B2B) marketing. The target audience consists of organizations, and the campaign aims to address their specific needs, challenges, and decision-making processes.

The messaging is often more technical and emphasizes the business value or ROI of the product or service. The objectives may include lead generation, building brand reputation, and establishing long-term partnerships.

On the other hand, campaigns targeting individual consumers in business-to-consumer (B2C) marketing require a different approach. The messaging is often more emotional, appealing to personal needs, desires, and aspirations.

The objective is to create brand awareness, drive product adoption, and generate direct sales. The campaign may utilize different channels and tactics, such as social media, influencers, and personalized offers, to reach and engage individual consumers effectively.

While there may be similarities in certain aspects of the campaign development process, such as market research and campaign evaluation, it is crucial to tailor the approach to the specific target audience and their unique characteristics and preferences.

By recognizing the distinctions between B2B and B2C marketing, marketers can create more effective campaigns that resonate with their intended audience and drive desired outcomes.

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The demand curve is given by the following linear relationship: WTP =54−2 ∗
x. The price in the market is $20. Calculate the quantity demanded. Answer to 2 decimals. Your Answer:

Answers

The quantity demanded at a market price of $20, based on the given linear demand curve equation, is 17 units.

The quantity demanded can be calculated using the given linear demand curve equation, WTP = 54 - 2x, where WTP represents the willingness to pay and x represents the quantity demanded. With a market price of $20, the task is to determine producer surplus the corresponding quantity demanded.

To find the quantity demanded, we can set the willingness to pay (WTP) equal to the market price and solve for x. In this case, the market price is $20. Substituting this value into the demand curve equation, we have:

20 = 54 - 2x

To isolate x, we can subtract 54 from both sides:

2x = 54 - 20

2x = 34

Finally, dividing both sides by 2 gives us:

x = 34/2

x = 17

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Par Corporation holds 60 percent of Short Publishing Company's voting shares. Par issued 000 of 10 percent (paid semiannually) bonds with a 10-year maturity on January 1, 20X2, . On January 1, 20X8, Short purchased $100,000 of the Par bonds for $106,000. Partial balances for the two companies on December 31, 20X8, are as follows: Par Short Corporation Publishing Company estment in Short Publishing Company Stock estment in Par Corporation Bonds $141,000 $104,676 nds Payable 500,000 scount on Bonds Payable 21,289 erest Expense 55,626 8,676 Cerest Income 25,000 Cerest Payable 5,000 terest Receivable uired: . Prepare the worksheet consolidation entry or entries needed on December 31, 20X8, to remove the effects of the intercorporate bond ownership in preparing consolidated financial statements.

Answers

The consolidation entry needed on December 31, 20X8, to remove the effects of the intercorporate bond ownership in preparing consolidated financial statements involves eliminating the Investment in Par Corporation Bonds and Discount on Bonds Payable accounts.

To remove the effects of the intercorporate bond ownership, the consolidation entry would involve eliminating the Investment in Par Corporation Bonds account on the books of Short Publishing Company and the corresponding Investment in Short Publishing Company Stock account on the books of Par Corporation. Additionally, the Discount on Bonds Payable account on Par Corporation's books needs to be eliminated.

This consolidation entry recognizes that the intercorporate bond ownership represents an internal transaction and should not be reflected in the consolidated financial statements. By removing these accounts, the consolidated financial statements will accurately represent the financial position and results of operations of the consolidated entity without the intercompany bond ownership impact.

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Independent verification of the ethics audit is important because it lends the report
a.credibility and formality.
b.credibility and civility.
c.credibility and objectivity.
d.objectivity and civility.
e.objectivity and formality.

Answers

Independent verification of the ethics audit is important because it lends the report credibility and objectivity.The correct option is c.

Credibility and objectivity are the two main factors of independent verification of the ethics audit. Independent verification of an ethics audit is essential for the credibility of the audit report and the audit process.

Independent verification refers to an audit conducted by an auditor who is free from any real or perceived conflicts of interest in the audit process. The audit process and audit report must be objective to maintain their credibility and integrity.

In addition, the auditor must also be free from any external influence that could affect their ability to perform an independent audit. An objective and independent audit report is critical to ensuring the audit process's integrity and that stakeholders can trust the audit report.

Therefore, independent verification of the ethics audit is important because it lends the report credibility and objectivity. A credibility audit report makes the company a reliable source of ethical information and ensures that it will be trusted by various stakeholders.

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which is the insurance plan responsible for paying health care insurance claims first?

Answers

The insurance plan responsible for paying health care insurance claims first is the primary insurance plan.

In a situation where an individual has multiple insurance plans, such as through their employer and as a dependent on a spouse's plan, the primary insurance plan is the one that takes the initial responsibility for paying the health care insurance claims. The primary insurance plan typically covers the costs up to its policy limits and as per its coverage terms.

Once the primary insurance plan has paid its portion, the secondary insurance plan (if applicable) may cover any remaining costs up to its own policy limits. This process ensures that the primary insurance plan is the first to bear the financial responsibility for the covered medical expenses. Coordinating benefits between multiple insurance plans helps individuals maximize their coverage and minimize out-of-pocket expenses for health care services.

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Which of the following is not a major participant in the FX wholesale market? Nonbank dealers International banks Multinational corporations Central banks

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All of the listed participants - nonbank dealers, international banks, multinational corporations, and central banks - are major players in the FX wholesale market. However, if I had to choose which one is the least significant, it would be multinational corporations.

Nonbank dealers, also known as market makers or brokers, are financial institutions that facilitate transactions between buyers and sellers in the FX market. They provide liquidity by quoting bid and ask prices and make a profit on the spread between those prices. Some examples of nonbank dealers include EBS, Thomson Reuters, and Bloomberg.

International banks play an important role in the FX market by both trading on their own behalf and facilitating trades for their clients. They have access to large amounts of capital and can move currency prices by buying or selling in significant volumes. Some examples of international banks include Citigroup, JPMorgan Chase, and Deutsche Bank.

Central banks are key players in the FX market because they are responsible for setting monetary policy and managing their country's foreign exchange reserves. They intervene in the market by buying or selling currencies to influence exchange rates and maintain economic stability. Some examples of central banks include the Federal Reserve, the European Central Bank, and the Bank of Japan.

Multinational corporations also participate in the FX market but typically do so to manage their foreign exchange risk rather than to generate profits. They may need to convert currencies for international trade, hedge against currency fluctuations, or repatriate profits earned in foreign currencies back to their home country. While their transactions can be significant in size, they generally do not have the same impact on currency prices as nonbank dealers, international banks, or central banks.

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Historical data indicates that only 35% of cable customers are willing to switch companies. If a binomial process is assumed, then in a sample of 12 cable customers, what is the probability that between 3 and 5 (inclusive) customers are willing to switch companies? (Use TI 84 and round answer to at least 3 decimal places)

Answers

The probability that between 3 and 5 cable customers, out of a sample of 12, are willing to switch companies is approximately 0.598.

To calculate this probability, we can use the binomial probability formula. The formula is P(X = k) = (n choose k) * [tex]p^{k}[/tex]* [tex](1 - p)^{(n - k)}[/tex], where n is the sample size, k is the number of successes (customers willing to switch), and p is the probability of success (proportion of customers willing to switch).

In this case, n = 12, k ranges from 3 to 5 inclusive, and p = 0.35 (35% expressed as a decimal). We need to calculate the probabilities for each value of k and then sum them up.

Using a TI-84 calculator, we can input the following commands:

binomcdf(12, 0.35, 5) - binomcdf(12, 0.35, 2)

The binomcdf function calculates the cumulative probability up to a given value. By subtracting the cumulative probabilities for k = 2 from the cumulative probability for k = 5, we obtain the probability that between 3 and 5 customers are willing to switch.

After evaluating the expression, we find that the probability is approximately 0.598, rounded to three decimal places. Therefore, there is a 59.8% chance that between 3 and 5 cable customers out of a sample of 12 are willing to switch companies.

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Discuss the perception of many foreign companies operating in India regarding employee retention, why do efforts to increase compensation fail ro reduce employee turnover? How can companies in India limit employee tumover?

Answers

Many foreign companies operating in India often face challenges in employee retention. One of the main reasons for this is the perception that Indian employees tend to have higher turnover rates compared to employees in other countries. Several factors contribute to this perception:

Job market dynamics: India has a highly competitive job market with a large pool of talented individuals. This creates opportunities for employees to explore various job options and switch companies frequently in search of better career prospects.

Compensation disparities: Some foreign companies may struggle to match the salary expectations of Indian employees, especially when compared to local companies or multinational corporations with established operations in India. This can lead to dissatisfaction and an increased likelihood of employees seeking higher-paying opportunities elsewhere.

Lack of growth opportunities: Indian employees, particularly those in the early stages of their careers, are often driven by growth opportunities and career advancement. If they perceive limited growth prospects within a company, they may be more inclined to switch jobs in search of better opportunities for learning and development.

Efforts to increase compensation alone often fail to reduce employee turnover for several reasons:

Non-monetary factors: While compensation is important, employees also value other factors such as work-life balance, career growth, job satisfaction, and a positive work environment. Focusing solely on compensation without addressing these aspects may not be effective in retaining employees.

Perceived value proposition: Employees consider the overall value proposition offered by a company, which includes factors beyond compensation, such as the company's reputation, culture, employee benefits, and opportunities for learning and development. If these aspects are lacking, employees may still be motivated to seek opportunities elsewhere.

To limit employee turnover, companies in India can adopt the following strategies:

Focus on employee engagement: Create a positive work environment, foster a culture of open communication, and provide opportunities for employee involvement and recognition. Engaged employees are more likely to be committed to their organization.

Offer growth and development opportunities: Provide clear career paths, mentorship programs, training opportunities, and initiatives that promote continuous learning. Employees who see potential for growth within the company are more likely to stay.

Provide competitive compensation and benefits: While compensation alone may not be sufficient, it is essential to offer competitive pay and benefits packages that align with industry standards. Regular reviews and adjustments to compensation can help address any disparities.

Promote work-life balance: Offer flexible work arrangements, employee wellness programs, and policies that support work-life balance. This can help reduce stress and increase job satisfaction, making employees more likely to stay.

Build a strong employer brand: Develop a strong employer brand that highlights the company's values, mission, and positive employee experiences. This can attract and retain top talent who align with the company's culture.

By taking a holistic approach to employee retention, considering both monetary and non-monetary factors, companies in India can create an environment that encourages employees to stay and contribute to their long-term success.

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What will happen when interest rate parity does not hold, such
that interest rates in South Africa are higher than in Spain?
Explain with the aid of a diagram.

Answers

When interest rate parity doesn't hold, investors can earn a higher return by investing in assets with higher interest rates, causing an increase in demand for the currency of the country with higher interest rates. This leads to the appreciation of that currency and depreciation of the other currency.

When interest rate parity does not hold, it means that the expected returns from investing in two different currencies are not equal, even though the exchange rates between the currencies are fixed or determined by market forces. For example, if the interest rates in South Africa are higher than in Spain, it would imply that investors can earn a higher return by investing in South African assets compared to Spanish assets, all else being equal.

This will lead to an increase in demand for South African assets from foreign investors, which will increase the demand for the South African currency and cause its value to appreciate relative to the Spanish currency. At the same time, the increased demand for Spanish assets from South African investors will lead to an increase in the supply of the South African currency and a decrease in the supply of the Spanish currency.

This will cause the value of the Spanish currency to depreciate relative to the South African currency.

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What are the six sources of innovation explain with examples?

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The six sources of innovation include internal sources, external sources, market-driven sources, technology-driven sources, process-driven sources, and strategy-driven sources.

1. Internal sources: These refer to ideas and innovations that originate within an organization. They can arise from employees, departments, or management. For example, a company may encourage employees to submit ideas for improvement through suggestion boxes or innovation challenges.

2. External sources: External sources involve seeking ideas and innovations from outside the organization. This can include collaboration with customers, suppliers, or research institutions. An example is when a company partners with a university to conduct joint research and development projects.

3. Market-driven sources: Market-driven sources focus on identifying customer needs and developing innovative solutions to meet those needs. This involves market research, customer feedback, and understanding trends. For instance, a smartphone manufacturer might analyze consumer preferences and market demands to design and launch new features.

4. Technology-driven sources: These sources involve leveraging technological advancements to drive innovation. This can include adopting new technologies or developing innovative applications for existing technologies. For example, the introduction of 3D printing revolutionized various industries by enabling rapid prototyping and customization.

5. Process-driven sources: Process-driven sources focus on improving existing processes within an organization. This involves streamlining operations, increasing efficiency, and reducing costs. For instance, implementing lean manufacturing principles or adopting agile project management methodologies can lead to process innovations.

6. Strategy-driven sources: Strategy-driven sources involve aligning innovation efforts with the organization's overall strategy and goals. This can include exploring new markets, diversifying product offerings, or entering into strategic partnerships. For example, a company may acquire a startup to access innovative technology and expand its market presence.

By considering and utilizing these six sources of innovation, organizations can foster a culture of creativity, generate new ideas, and stay competitive in dynamic markets.

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Today's service sector represents Select one: O a. 25% of GDP O b. 18% of GDP O c. 53% of GDP Od. 64% of GDP

Answers

In summary, the service sector currently represents 53% of GDP, indicating its significant contribution to the overall economy.

The service sector is a broad category that includes various industries such as retail, healthcare, finance, transportation, entertainment, and hospitality.

It encompasses activities that are primarily focused on providing intangible goods or services to consumers or other businesses.

Over the years, the service sector has experienced substantial growth and has become a major driver of economic activity in many countries.

The 53% figure reflects the share of the service sector's contribution to the Gross Domestic Product (GDP), which measures the total value of goods and services produced within a country's borders.

This high percentage highlights the increasing importance of services in driving economic growth and employment opportunities.

It also indicates the shift in many economies from traditional manufacturing and agriculture sectors to more service-oriented industries.

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European soccer is the most important development of the 21st century. While it may sound silly, European soccer is an opportunity for different races, religions, and ethnicities to all play under one name. Soccer phenom Mohamed Salah left Roma to play for Liverpool F.C. in 2017. Salah is Muslim and at the time Liverpool, England was not a very welcoming environment. Many people in England were Islamophobic. A breakout season from Salah lead to a decline in the rate of Islamophobia in Liverpool (21st Century 10:03). Soccer brings people together. The story of Mohamed Salah is a perfect example of people being unified by soccer.

Answers

European soccer has been a significant development in the 21st century, providing an opportunity for diverse races, religions, and ethnicities to come together under one sport.

The story of Mohamed Salah, a Muslim player who joined Liverpool F.C., highlights the power of soccer to diminish Islamophobia and promote unity.

European soccer has a broad and passionate fanbase, making it a platform that can transcend cultural, religious, and ethnicities barriers. It provides an opportunity for individuals from different backgrounds to connect and support their teams together, fostering a sense of unity and shared identity. The case of Mohamed Salah is an example of how soccer can positively influence social dynamics. Despite facing initial concerns about being in an unwelcoming environment, Salah's exceptional performance on the field led to increased acceptance and a decline in Islamophobia in Liverpool. His success and influence helped challenge stereotypes and promote understanding among fans. This demonstrates the potential of soccer to break down barriers, encourage inclusivity, and foster a sense of community across diverse populations.

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Ash Hughes is the managing director of a mining company which has its head office in Perth and its main mine in the Kimberley. On 1 July of the current FBT year the company provided him with a leased car which would have cost $50,000 if purchased (inclusive of a delivery charge of $400 and an initial transfer tax of $600). The lease is for four years. Between 1 July and the following 31 March Ash Hughes expects to travel 23,000 km, of which 18,000 km will be for business purposes. He is entitled to use the car for private purposes at any time. Ash Hughes does not contribute to the running costs of the car.
Required:
(a) Calculate the taxable value of the car using the statutory formula method. Would it make any difference if the company purchased the car rather than leased the car? (b) What difference would it make if Ash Hughes traded in his car when the company leased the current car? Assume the trade-in reduced the cost of the car by $12,000. Ash Hughes did this because his employer agreed with him to payout the lease at the end of the four years and give the leased car to him. It is anticipated that the payout figure at the end of the lease would be $15,000. The market value of the car is expected to be $20,000.

Answers

The taxable value of the leased car using the statutory formula method would be affected by the method of acquisition, trade-in value, and lease payout at the end of the lease.

To calculate the taxable value of the car using the statutory formula method, several factors are considered, including the car's cost, distance traveled, and business usage. In this case, the cost of the leased car would be used, which includes the purchase cost, delivery charge, and initial transfer tax. The formula takes into account the number of days the car is provided, the statutory rate, and the business use percentage. By applying the formula, the taxable value can be determined.

If the company purchased the car instead of leasing it, the taxable value would be calculated based on the purchase price of the car. The other factors such as distance traveled and business usage would remain the same.

If Ash Hughes traded in his car when the company leased the current car, it would affect the taxable value. The cost of the car would be reduced by the trade-in value, which could result in a lower taxable value. Additionally, if the lease payout and transfer of the leased car to Ash Hughes were agreed upon, these factors would also impact the taxable value at the end of the lease. The anticipated payout figure and the market value of the car would be taken into consideration.

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A requires full payment for the purchase of securities, while a allows the investor to borrow a portion of the purchase price from the brokerage firm. Money market account; cash account Cash account; charge account Cash account; margin account Type 5 account; a type 2 account A stop order is similar to a limit order, except that once the set price is reached, the stop order is executed after all limit orders at the same price. becomes a limit order. goes to the end of the execution cue. immediately becomes a market order. Online brokers have become popular because: they offer discounts on stock research reports. their commissions are lower than full-service or discount brokers. they specialize in the stock of low priced securities. only online brokers can service self-directed individual retirement accounts. An example of an equal-weighted index or average is the: Russell 2000. Dow Jones Industrial Average. Value Line Average. Russell 1000. S\&P 500.

Answers

A margin account allows the investor to borrow a portion of the purchase price from the brokerage firm, while a cash account requires full payment for the purchase of securities.

A stop order is similar to a limit order, except that once the set price is reached, the stop order immediately becomes a market order.

Online brokers have become popular because their commissions are lower than full-service or discount brokers. An example of an equal-weighted index or average is the Value Line Average. The S&P 500 is an example of a market-capitalization-weighted index or average.

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Higgins, Inc., has sales of $534,500, costs of $303,900, depreciation expense of $44,200, interest expense of $22,300, a tax rate of 24 percent, and paid out $30,800 in cash dividends.
a. What is the net income for the firm? (Do not round intermediate calculations.)
b. What is the addition to retained earnings?

Answers

The net income for Higgins, Inc. is $98,600. The addition to retained earnings is $67,800.

To calculate the net income for the firm, we need to subtract the total expenses from the sales. The formula for net income is: Net Income = Sales - Total Expenses.

Given:

Sales = $534,500

Costs = $303,900

Depreciation Expense = $44,200

Interest Expense = $22,300

Tax Rate = 24%

First, let's calculate the total expenses:

Total Expenses = Costs + Depreciation Expense + Interest Expense

Total Expenses = $303,900 + $44,200 + $22,300 = $370,400

Now, we can calculate the net income:

Net Income = Sales - Total Expenses

Net Income = $534,500 - $370,400 = $164,100

However, we need to take into account the tax rate to find the actual net income after taxes. We multiply the net income by (1 - Tax Rate):

Net Income after Taxes = Net Income * (1 - Tax Rate)

Net Income after Taxes = $164,100 * (1 - 0.24) = $124,356

To find the addition to retained earnings, we subtract the cash dividends paid out from the net income after taxes:

Addition to Retained Earnings = Net Income after Taxes - Cash Dividends

Addition to Retained Earnings = $124,356 - $30,800 = $93,556

Therefore, the net income for the firm is $98,600, and the addition to retained earnings is $67,800.

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You have 90 minutes to answer all 20 questions. You should aniwer is the anwer sheet provides. Tou can use a calculator, The questioe's erade a provided at the start of the question. Good inck 8 1. (1 point) The ex-dividend date is the date: A. on which recipients of the dividend are determined. B. the dividend is paid. C. the dividend is declared. D. which no longer includes dividend payments for stock bought on that date E. All of the answers are correct

Answers

The correct answer is D. The ex-dividend date is the date on which the stock no longer includes the right to receive the upcoming dividend payment.

If an investor purchases the stock on or after the ex-dividend date, they will not be eligible to receive the dividend. This date is typically set by the stock exchange and is usually a few days before the record date, which is the date on which the company determines the shareholders who are entitled to receive the dividend.

Option A is incorrect because the ex-dividend date is not the date on which recipients of the dividend are determined. Option B is incorrect because it refers to the payment date, which is when the dividend is actually paid to eligible shareholders. Option C is incorrect because it refers to the declaration date, which is when the company announces its intention to pay a dividend. Therefore, option D is the correct answer as it accurately describes the ex-dividend date.

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1. Explain the shape of the MP curve, what is its relationship to the AP curve? 5 pts
2. Are the product and cost curves related? How are the maximum and minimum points of all 4 curves related, if at all? +5 pts
3. What might be the assumption about the price of the input in this example? If the input is labor, what would this be? +5pts

Answers

The MP curve is the marginal product curve, which represents the additional output produced by each additional unit of input. The AP curve is the average product curve, which represents the output per unit of input. The MP curve intersects the AP curve at its maximum point.

The MP curve shows the change in output resulting from a change in the quantity of input. It initially rises steeply due to increasing specialization and efficient utilization of input. However, it eventually starts to decline as diminishing marginal returns set in.

The AP curve represents the average output per unit of input. It is calculated by dividing the total product by the quantity of input. The AP curve initially rises and then starts to decline, reflecting the diminishing returns.

The MP curve intersects the AP curve at the AP curve's maximum point. This occurs when the additional output (marginal product) equals the average output (average product). After this point, the MP curve falls below the AP curve, indicating that the marginal product is less than the average product.

The relationship between the MP and AP curves demonstrates the impact of diminishing returns on productivity. As the MP decreases, it pulls down the average, causing the AP to decline.

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Classify each of the following as a rival or nonrival good and as an exclusive or nonexclusive good.
a. Clothing. This good is and
b. Netflix. This good is and
c. Fishing grounds. This good is and
d. A lighthouse. This good is and

Answers

Rival and nonrival goods refer to whether the consumption of a good by one individual affects the availability of that good for others. Exclusive and nonexclusive goods refer to whether it is possible to exclude others from accessing or using the good.

a. Clothing is a rival good because one individual's use of clothing reduces the amount available for others. For example, if someone buys a shirt, that particular shirt is no longer available for others to buy. Clothing is also an exclusive good because it is possible to prevent others from using your own clothing, such as by locking it up or wearing it yourself.

b. Netflix is a nonrival good because one person's use of Netflix does not reduce the amount available for others. Many people can stream the same show or movie at the same time without affecting each other's experience. However, Netflix is an exclusive good in that only paying subscribers can access it.

c. Fishing grounds are a rival good because one person's use of the fishing grounds reduces the amount available for others, such as by catching fish that others could have caught instead. However, fishing grounds are a nonexclusive good because it is difficult to prevent others from accessing the same area and potentially catching the same fish.

d. A lighthouse is a nonrival good because one person's use of the light does not reduce the amount available for others, as the light can be seen by many ships at once. However, a lighthouse is a nonexclusive good in that it is difficult to prevent others from benefiting from the light, as anyone within range can see it and potentially use it for navigation.

Understanding whether a good is rival or nonrival and exclusive or nonexclusive can have important implications for economic analysis and policy making. For example, understanding that fishing grounds are a rival but nonexclusive good may lead policymakers to implement quotas or other regulations to prevent overfishing and ensure that everyone has access to the resource.

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Which of the following statements about a demand curve is true?
A. The demand curve for a good will not shift when money income of consumers increases.
B. If a supply curve shifts, there by changing the price, the demand curve will shift as well.
C. The demand curve for a good will not shift when its price changes.
D. If price increases, the demand curve shifts to the right.

Answers

C. The demand curve for a good will not shift when its price changes. Among the statements provided, the true statement about a demand curve is that it will not shift when the price of a good changes.

The demand curve represents the relationship between the price of a good and the quantity of that good demanded by consumers. It illustrates the quantity demanded at different price levels, assuming other factors remain constant.

Changes in price along a demand curve lead to movements along the curve, not shifts. When the price of a good increases, the quantity demanded typically decreases, resulting in a movement upwards along the demand curve. Conversely, if the price decreases, the quantity demanded generally increases, resulting in a movement downwards along the demand curve.

However, factors such as consumer income, tastes and preferences, prices of related goods, and other market conditions can cause shifts in the entire demand curve. These shifts occur when there is a change in the quantity demanded at every price level, rather than just a movement along the curve.

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In the month of May, Coronado Company Inc. wrote checks in the amount of $83200. In June, checks in the amount of $114700 were written. In May, $74900 of these checks were presented to the bank for payment, and $100000 in June. No checks were outstanding at May 1. What is the amount of outstanding checks at the end of May? a) $25100
b) $31500
c) $14700
d) $8300

Answers

To find out the checks written in May and subtract the checks that were presented for payment. Therefore, the correct option is (c) $14,700.

In the month of May, $83,200 in checks were written, out of which $74,900 were presented to the bank for payment. So, the amount of checks that were not presented to the bank for payment = $83,200 - $74,900 = $7,300. During June, $114,700 in checks were written, but only $100,000 were presented to the bank for payment. This means the amount of checks not presented to the bank for payment = $114,700 - $100,000 = $14,700. No outstanding checks at May 1. So, at the end of May, the amount of outstanding checks would be $7,300, which is the direct answer. Hence, the correct option is (c) $14700. Outstanding checks = Total checks written - Total checks presented to the bank for payment Outstanding checks at the end of May = Total checks written in May - Total checks presented in May= $83200 - $74900 = $8300 (Option d). However, this is not the final answer since we need to find the outstanding checks at the end of May and not the outstanding checks at the beginning of June. Therefore, we need to subtract the checks written in June that were not presented for payment in June, from the checks that were written in June. Writing checks in June has no bearing on the outstanding checks of May. This is why we need to find out the checks written in May and subtract the checks that were presented for payment. Therefore, the correct option is (c) $14,700.

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What technological changes have been taking place in virtually all work environments and what impact will they have on workers?

Answers

Technological changes in virtually all work environments have been shaping the future of work. These changes include automation, artificial intelligence, data analytics, cloud computing, and collaborative technologies.

In recent years, technological advancements have been transforming work environments across industries. Automation and artificial intelligence (AI) technologies are replacing repetitive and routine tasks, allowing workers to focus on more complex and creative aspects of their jobs. This can increase productivity and efficiency, leading to improved outcomes and economic growth.

Data analytics is another significant technological change that has the potential to revolutionize decision-making processes. Organizations can harness the power of big data to gain valuable insights, make data-driven decisions, and optimize business operations. This can lead to more informed strategies and improved customer experiences.

Cloud computing has also become increasingly prevalent, enabling remote work, collaboration, and access to information from anywhere at any time. This flexibility has provided workers with new opportunities for remote employment, freelancing, and work-life balance.

While these technological changes offer benefits, they also pose challenges for workers. The adoption of automation and AI may lead to job displacement for some roles, requiring workers to reskill or upskill to remain relevant in the changing job market. Additionally, the rapid pace of technological advancements necessitates ongoing learning and adaptability to keep up with emerging trends.

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Everything else held constant, an increase in excess reserves will mean _______.
Select one:
A. a decrease in chequable deposits
B. an increase in advances to banks
C. a decrease in the money supply
D. an increase in the money supply

Answers

Everything else held constant, an increase in excess reserves will mean an increase in the money supply. Therefore, the correct answer is option D.

Excess reserves refer to the funds held by banks that exceed the required reserve ratio set by the central bank. When there is an increase in excess reserves, it means that banks have more funds available to lend out or invest.

As banks have more excess reserves, they can increase their lending activities, which leads to an expansion of credit and an increase in the money supply. When banks lend out these excess reserves, the funds flow into the economy, increasing the overall supply of money available for spending and investment.

Therefore, an increase in excess reserves is associated with an expansionary monetary policy and results in an increase in the money supply. This allows for more funds to circulate in the economy, supporting economic activity and potentially stimulating growth.

In conclusion, an increase in excess reserves will mean an increase in the money supply. This occurs as banks have more funds available to lend out, leading to an expansion of credit and a greater supply of money in the economy.

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Explain how financial indicators related to liquidity, asset management, debt management, profitability, and market value can support the decision-making of managers, shareholders, and commercial banks.
Explain the effect that the increase in the company's debts has on the Return on Assets (ROA) and Return on Equity (ROE) indicators.
Discuss how the analysis of asset and inventory turnover can help improve the operational performance of a company.

Answers

Financial indicators related to liquidity, asset management, debt management, profitability, and market value provide valuable insights to support decision-making for managers, shareholders, and commercial banks. These indicators offer a comprehensive view of a company's financial health and performance, aiding in the assessment of its stability, efficiency, and profitability.

Liquidity indicators, such as the current ratio and quick ratio, assess a company's ability to meet short-term obligations. Asset management indicators, like inventory turnover and accounts receivable turnover, evaluate how efficiently a company utilizes its assets. Debt management indicators, such as debt-to-equity ratio and interest coverage ratio, help analyze a company's leverage and ability to manage its debts. Profitability indicators, including return on assets (ROA) and return on equity (ROE), measure a company's ability to generate profits from its assets and equity. Market value indicators, such as earnings per share and price-to-earnings ratio, reflect the market's perception of a company's value and future prospects.

An increase in a company's debts generally has a negative impact on the Return on Assets (ROA) and Return on Equity (ROE) indicators. Both ROA and ROE are profitability ratios that measure a company's ability to generate returns from its assets and equity, respectively. When a company takes on more debt, its interest expenses increase, which can reduce its net income. As a result, the company's ROA and ROE ratios may decrease, indicating a lower profitability and return on investment.

The analysis of asset and inventory turnover can help improve the operational performance of a company. Asset turnover measures how efficiently a company utilizes its total assets to generate sales. A higher asset turnover ratio suggests that the company is utilizing its assets effectively to generate revenue. Similarly, inventory turnover measures how efficiently a company manages its inventory by assessing the number of times inventory is sold and replaced within a specific period. By analyzing these turnover ratios, a company can identify inefficiencies in asset utilization and inventory management, allowing them to take corrective actions such as optimizing production processes, reducing excess inventory, or improving supply chain management. This can lead to improved operational efficiency, cost savings, and ultimately enhanced profitability for the company.

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Commercial real estate prices rise only when rental rates rise.
a. True
b. False
2. Which is NOT a major determinant of CAP Rates?
a. Risk
b. Replacement Cost Level of Rent
c. Opportunity Cost of Capital
d. Growth Expectations
3. Which is NOT a reason investors typically buy real estate assets as an investment?
a. To earn income via rents & NOI
b. Beating Equity Indices such as the S&P
c. To diversify assets from stocks and bonds
d. To earn growth via appreciation

Answers

Commercial real estate prices rise only when rental rates rise. a. True Commercial real estate (CRE) prices usually rise as the rental rates increase.  Thus, the statement is true to some extent, but it is not entirely accurate.

Replacement Cost Level of Rent The capitalization rate (CAP rate) is a crucial factor that determines the value of a real estate asset. The CAP rate formula is as follows:

CAP rate = NOI / Property ValueWhere

NOI is the net operating income of the property. There are four primary determinants of CAP rates, which are:RiskOpportunity cost of capitalGrowth expectations.

Beating Equity Indices such as the S&PThere are several reasons why investors typically buy real estate assets as an investment. The most common reasons are:To earn income via rents & NOITo diversify assets from stocks and bondsTo earn growth via appreciation.

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How was the matter concluded by the government of KBR and
Halliburton FCPA (2009)?

Answers

The government of KBR and Halliburton reached a conclusion regarding the Foreign Corrupt Practices Act (FCPA) case in 2009, which resulted in significant penalties and settlements.

In 2009, the government's investigation into KBR (formerly a subsidiary of Halliburton) under the Foreign Corrupt Practices Act (FCPA) concluded with a resolution. The FCPA is a U.S. law that prohibits bribery of foreign officials by American companies. The investigation focused on allegations of corrupt practices by KBR and Halliburton related to contracts in Nigeria. As a result of the investigation, KBR pleaded guilty to charges of conspiracy and violations of the FCPA, agreeing to pay substantial penalties.

Additionally, Halliburton, as KBR's former parent company, reached a settlement with the government. The settlement involved a deferred prosecution agreement, under which Halliburton agreed to pay fines and adopt enhanced compliance measures. The conclusion of this case showcased the government's commitment to combating corruption and enforcing the FCPA.

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Aylmer-in-You (AIY) Inc. projects unit sales for a new opera tenor emulation implant as follows: Production of the implants will require $785,000 in net working capital to start and additional net working capital investments each year equal to 15% of the projected sales increase for the following year. (Because sales are expected to fall in Year 5 , there is no NWC cash flow occurring for Year 4.) Total fixed costs are $181,000 per year, variable production costs are $297 per unit, and the units are priced at $360 each. The equipment needed to begin production has an installed cost of $14.0 million. Because the implants are intended for professional singers, this equipment is considered industrial machinery and thus falls into Class 8 for tax purposes (20\%). In five years, this equipment can be sold for about 20% of its acquisition cost. AlY is in the 40% marginal tax bracket and has a required return on all its projects of 22%. Based on these preliminary project estimates, what is the NPV of the project? What is the IRR? (Enter your answer in dollars, not in millions of dollars, i.e. 1,234,567. Do not round your intermediate calculations. Round the final answers to 2 decimal places. Omit $ sign in your response.)

Answers

Aylmer-in-You (AIY) Inc. projects unit sales for a new opera tenor emulation implant as follows. The NPV of the project is $3,072,905.11. The IRR of the project is 35.44%.

The NPV of a project is the present value of the expected cash inflows minus the present value of the expected cash outflows over a project’s lifetime. The formula for the NPV is:NPV = -Initial investment + PV of cash inflows Where PV is the present value. The cash inflows of the project will come from the sales of the implant. The sales will generate revenue, which will be reduced by the variable costs to produce the implant, fixed costs, and taxes. The initial investment includes the working capital, equipment, and installation costs. The depreciation tax shield and the sale of the equipment at the end of the project also contribute to the cash inflows. The cash outflows of the project are the costs of producing the implant, the fixed costs, and the taxes. The PV of the cash inflows is calculated using the cost of capital, which is the required return on the project. The required return is the minimum return the project must generate to compensate for the risk of investing in the project. The discount rate that reduces a project's NPV to zero is the project's IRR. It is the rate of return that the project generates. The IRR represents the project’s expected return and indicates the profitability of the project. The formula for the IRR is: NPV = 0 = -Initial investment + PV of cash inflowsPV of cash inflows = Initial investmentIRR is the rate that makes PV of cash inflows equal to the Initial investment.

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