Marketing is a strategic process of creating, Communicating and Delivering Value for mutual benefits (CIM). Marketing is also responsible for determining the strategy to use in sales, communications as well as business development. Using your chosen example, identity and define the extended marketing mix.

Answers

Answer 1

The marketing mix is the collection of tactics and strategies that a company uses to market its goods or services. It's also known as the 4 Ps of marketing: product, price, place, and promotion. The extended marketing mix, on the other hand, includes three additional Ps, bringing the total to seven.

People, process, and physical evidence are the three Ps that make up the extended marketing mix. These additional Ps are particularly important for service-oriented firms, but they can also be relevant to businesses that sell tangible goods. The People in an organization are critical to its success. They are the company's front-line ambassadors who interact with customers on a regular basis. This might include the sales team, customer service representatives, and even the management team.

Customers want to engage with knowledgeable and friendly people who can assist them with their queries or problems. When people skills are strong, customers are more likely to have a favorable impression of the firm, which may lead to increased business in the future. The process describes the way a company works, from how it produces its goods or services to how it interacts with customers.

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Related Questions

Based on the course materials, which of the following is not the reason why people participate in conferences?
Select one:
a. Profitable business transactions
b. Social interaction
c. Academic purposes
d. Organizational presence

Answers

Based on the course materials, Profitable business transactions is not the reason people participate in conferences. The correct answer is option a.  

While conferences provide opportunities for networking and social interaction, academic exchange, and showcasing organizational presence, profitable business transactions are not typically the primary reason for participation in conferences.

Conferences tend to focus more on knowledge sharing, professional development, collaboration, and establishing industry connections rather than direct financial transactions.

The correct answer is option a.

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payment and financial aspects of international contracts of
RCEP

Answers

The Regional Comprehensive Economic Partnership (RCEP) is a free trade agreement among 15 Asia-Pacific countries, including major economies such as China, Japan, South Korea, Australia, and New Zealand.

While the RCEP covers a wide range of trade-related aspects, including goods, services, investment, and intellectual property, it does not specifically address payment and financial aspects of international contracts.

However, payment and financial aspects are crucial elements in international trade and contracts, and they are typically governed by various mechanisms and international practices rather than specific agreements like the RCEP. The terms and conditions related to payment and finance in international contracts are usually determined by the parties involved, taking into account factors such as the nature of the transaction, the countries involved, and industry practices.

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Using the sheet provided, you will then build a budget on last year revenue and expense by creating it on excel. be sure to review the revenue and expense for Dec 19 and Dec 20 to determine what best fit the department needs for next year. making sure to label everything for the budget in excel

Answers

To create a budget on last year revenue and expense by creating it on Excel, follow these steps:

1. Open an Excel workbook and create a new sheet.2. Label the top of the sheet as "Department Budget" and the left column as "Expense Categories."3. In the left column, list all the expense categories for the department, such as salaries, utilities, office supplies, travel expenses, etc.4. In the top row, list the months of the year, starting with January and ending with December.

5. Go to the previous year's revenue and expense report, and find the revenue and expense for December 19 and December 20.6. Enter the revenue and expense for December 19 in the December column under the "Revenue" and "Expense" categories.7. Enter the revenue and expense for December 20 in the December column under the "Revenue" and "Expense" categories.8. Calculate the total revenue and expense for each category by adding up the numbers in each column.

9. Calculate the difference between the revenue and expense for December 20 and December 19.10. Use the difference to determine what best fits the department needs for next year.11. Enter the budget amount for each category in the appropriate column and row.12. Label everything for the budget in Excel, including the sheet name, column headings, and row labels.13. Save the budget file in a safe location for future reference.

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When Demand Meets Supply - Show your steps! In economics, the demand function of a good x is often denoted as D(p) and the supply function of it as S(p), where p is the price of goodx. We call ED(p)=D(p)−S(p) the excess demand of the good. The market is clear when demand meets supply, i.e. ED(p

)=0. Suppose that we know both D(p) and S(p) are continuous and ED(1)=10,ED(2)=5, ED(3)=1,ED(4)=−2,ED(5)=−10. Prove that there exists a market clear price p

. Give an estimate of the possible interval of p

. Do you need more assumptions on demand and supply function to narrow down the possible range of p

? Explain why. And if the answer is yes, give a set of assumptions that does the job.

Answers

To prove that there exists a market clear price p*, we need to find a value of p for which the excess demand ED(p) equals zero. We are given the values of ED(p) for different prices:

ED(1) = 10
ED(2) = 5
ED(3) = 1
ED(4) = -2
ED(5) = -10

To find p*, we need to identify a price at which ED(p) equals zero. From the given values, we can observe that the excess demand is decreasing as the price increases. This suggests that the market is approaching equilibrium.

To estimate the possible interval of p*, we can consider the range of prices where the sign of excess demand changes. In this case, the sign changes from positive to negative between p = 3 and p = 4. Therefore, the possible interval for p* is [3, 4].

To narrow down the possible range of p*, we would need more assumptions on the demand and supply functions. One possible assumption that could help is the assumption of downward-sloping demand and upward-sloping supply curves.
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If the bond's yield-to-maturity is greater than 8% today, then it is trading ... A.at a discount B.at par C.at a premium Question 10 Heginbotham Corp. issued 20-year bonds two years ago at a coupon rate of 5.3\%. The bonds make semiannual payments. The face value of the bond is $1000. If these bonds currently sell for $1050, what is the yield to maturity as in APR? A. 2.44% B. 3.6% C. 4.88% D.5.98\%

Answers

If the bond's yield-to-maturity is greater than 8% today, then it is trading at a discount.

To calculate the yield to maturity (YTM) of the bonds, we can use the following formula:

YTM = [(Annual Interest + (Face Value - Current Price) / Number of Years)] / [(Face Value + Current Price) / 2]

Given:

Coupon rate = 5.3% (expressed as a decimal, 0.053)

Face value = $1000

Current price = $1050

Number of years = 20 (since it is a 20-year bond)

First, let's calculate the annual interest:

Annual Interest = Coupon rate * Face value

Annual Interest = 0.053 * $1000

Annual Interest = $53

Now, let's substitute the values into the YTM formula:

YTM = [(Annual Interest + (Face Value - Current Price) / Number of Years)] / [(Face Value + Current Price) / 2]

YTM = [(53 + (1000 - 1050) / 20)] / [(1000 + 1050) / 2]

YTM = [(53 - 50) / 20] / [1050 / 2]

YTM = (3 / 20) / (525)

YTM = 0.003 / 525

YTM ≈ 0.00000571

Converting the decimal to a percentage, we get:

YTM ≈ 0.000571%

Therefore, the yield to maturity (YTM) as an annual percentage rate (APR) is approximately 0.000571%. None of the given options match this result.

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Rand Medical manufactures lithotripters. Lithotripsy uses shock waves instead of surgery to eliminate kidney stones. Physicians’ Leasing purchased a lithotripter from Rand for $2,660,000 and leased it to Mid-South Urologists Group, Inc., on January 1, 2021. (FV of $1, PV of $1, FVA of $1, PVA of $1, FVAD of $1 and PVAD of $1) (Use appropriate factor(s) from the tables provided.)
Lease Description: Quarterly lease payments $ 159,487—beginning of each period Lease term 5 years (20 quarters) No residual value; no purchase option Economic life of lithotripter 5 years Implicit interest rate and lessee's incremental borrowing rate 8% Fair value of asset $ 2,660,000 Required:
1. How should this lease be classified by Mid-South Urologists Group and by Physicians' Leasing?
2. Prepare appropriate entries for both Mid-South Urologists Group and Physicians' Leasing from the beginning of the lease through the second rental payment on April 1, 2021. Adjusting entries are recorded at the end of each fiscal year (December 31).
3. Assume Mid-South Urologists Group leased the lithotripter directly from the manufacturer, Rand Medical, which produced the machine at a cost of $2.3 million. Prepare appropriate entries for Rand Medical from the beginning of the lease through the second lease payment on April 1, 2021.

Answers

Classification of Lease: Mid-South Urologists Group: The lease should be classified as an operating lease for Mid-South Urologists Group.

This is because the lease term (5 years) is less than 75% of the economic life of the lithotripter (also 5 years), there is no transfer of ownership or purchase option, and the present value of lease payments does not exceed the fair value of the asset.

Physicians' Leasing: Physicians' Leasing should classify the lease as a finance lease.

This is because they are the lessor and will receive substantially all the benefits and risks associated with the ownership of the lithotripter.

Additionally, there is no transfer of ownership or purchase option, and the lease term is for the major part of the economic life of the asset.

Entries for Mid-South Urologists Group:

January 1, 2021:

Lease Receivable (PV of lease payments) $2,660,000

Lease Liability (PV of lease payments) $2,660,000

April 1, 2021:

Lease Expense $159,487

Cash (Payment made) $159,487

December 31, 2021 (Adjusting Entry):

Lease Expense $159,487

Lease Liability (Accrued interest) $10,640

Interest Expense $10,640

Entries for Rand Medical:

January 1, 2021:

Lease Receivable (PV of lease payments) $2,660,000

Lease Liability (PV of lease payments) $2,660,000

April 1, 2021:

Lease Receivable (Payment received) $159,487

Cash $159,487

No adjusting entries are required for Rand Medical since they are not the lessee and do not have an ongoing interest in the lease.

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Create the current market map of your hospital (i.e., map all
the customer segments and geographies(market spaces) your
organization serves with each of its existing services).

Answers

Identify Customer Segments: Start by identifying the different customer segments that your hospital serves. These segments can include patients of different age groups, demographics, medical conditions, and specialized needs.

Identify Existing Services: List down all the services provided by your hospital, including medical specialties, departments, clinics, and programs. This can include services such as emergency care, surgery, radiology, maternity care, pediatrics, cardiology, etc. Map Customer Segments to Services: Now, map each customer segment to the specific services they utilize or require. For example, pediatric patients may primarily use services related to pediatrics, while elderly patients may require specialized geriatric care. Identify Geographical Market Spaces: Determine the geographical areas or market spaces that your hospital serves. This can include the immediate local community, surrounding neighborhoods, or even regional or international patients if your hospital offers specialized treatments. Map Geographies to Customer Segments and Services: Visualize how the different customer segments and services intersect with the geographical market spaces. This can be done using a visual representation, such as a map or a matrix. Show which services are available to each customer segment in specific geographic locations. Remember to consider the unique characteristics, needs, and preferences of each customer segment and how your services cater to those needs. This market map will help you gain a better understanding of your hospital's target audience and the areas where you can focus your marketing efforts. Note: It's important to customize the market map based on the specific offerings and customer segments of your hospital.

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An investor believes that the euro will strengthen against the dollar over the next three months and would like to take a position with a value of €250,000. He could purchase euros in the spot market at 0.80$/€ or purchase two futures contracts at 0.83$/€ with an initial margin of $10,000. Compute the profit from the following:
Purchasing euros in the spot market if the spot rate in three months is 0.85$/€ Purchasing euros in the spot market if the spot rate in three months is 0.75$/€
Purchasing the futures contract if the spot rate in three months is 0.85$/€ Purchasing the futures contract if the spot rate in three months is 0.75$/€

Answers

Purchasing euros in the spot market if the spot rate in three months is 0.85 $/€: Profit of $12,500. Purchasing euros in the spot market if the spot rate in three months is 0.75 $/€: Loss of -$12,500. Purchasing the futures contract if the spot rate in three months is 0.85 $/€: Profit of $5,000. Purchasing the futures contract if the spot rate in three months is 0.75 $/€: Loss of -$20,000.

To calculate the profits from different scenarios, let's analyze each case separately:

Purchasing euros in the spot market if the spot rate in three months is 0.85 $/€:

In this scenario, the investor would purchase euros at the spot rate of 0.80 $/€. Since the euro is expected to strengthen, selling euros in three months at the spot rate of 0.85 $/€ would result in a profit. The calculation is as follows:

Profit = (Spot rate at the end - Spot rate at the beginning) * Amount of euros

= (0.85 $/€ - 0.80 $/€) * €250,000

= 0.05 $/€ * €250,000

= $12,500

The profit from purchasing euros in the spot market in this scenario would be $12,500.

Purchasing euros in the spot market if the spot rate in three months is 0.75 $/€:

In this scenario, the spot rate of 0.75 $/€ is lower than the initial spot rate of 0.80 $/€. Thus, selling euros at the end would result in a loss.

Loss = (Spot rate at the end - Spot rate at the beginning) * Amount of euros

= (0.75 $/€ - 0.80 $/€) * €250,000

= -0.05 $/€ * €250,000

= -$12,500

The loss from purchasing euros in the spot market in this scenario would be -$12,500.

Purchasing the futures contract if the spot rate in three months is 0.85 $/€:

In this case, the investor purchases two futures contracts at a rate of 0.83 $/€ with an initial margin of $10,000. If the spot rate in three months is 0.85 $/€, the investor would profit from the futures contracts.

Profit = (Spot rate at the end - Futures contract rate) * Contract size * Number of contracts

= (0.85 $/€ - 0.83 $/€) * €125,000 * 2

= 0.02 $/€ * €250,000

= $5,000

The profit from purchasing the futures contract in this scenario would be $5,000.

Purchasing the futures contract if the spot rate in three months is 0.75 $/€:

In this case, the spot rate of 0.75 $/€ is lower than the futures contract rate of 0.83 $/€. Therefore, the investor would incur a loss from the futures contracts.

Loss = (Spot rate at the end - Futures contract rate) * Contract size * Number of contracts

= (0.75 $/€ - 0.83 $/€) * €125,000 * 2

= -0.08 $/€ * €250,000

= -$20,000

The loss from purchasing the futures contract in this scenario would be -$20,000.

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what would likely happen most immediately to an EOQ recommendation if bank lending rates (cost of capital) rise?
A. The EOQ does not consider lending rates (cost of capital) and would therefore not be affected at all.
B. The EOQ would likely most immediately decrease
C. The EOQ would likely most immediately increase
D. The EOQ is pretty robust and should not be affected

Answers

If bank lending rates (cost of capital) rise, the EOQ recommendation would most likely immediately decrease. The reason for this is that the EOQ equation consists of two types of costs; ordering costs and holding costs.

When the bank lending rates increase, the holding cost increases, making it more expensive to keep inventory. Thus, to reduce holding costs, the EOQ decreases. EOQ is the abbreviation of economic order quantity, which is a calculation to determine the optimum order quantity that a company should place with its suppliers. EOQ is based on the trade-off between holding inventory cost and ordering cost. When the company places an order, it incurs ordering costs such as communication costs, documentation costs, transportation costs, and so on. The company also incurs holding costs such as warehouse rent, insurance, obsolescence, depreciation, and so on.When calculating the EOQ, the company needs to find the optimal order quantity, where the sum of ordering costs and holding costs is minimum. To find the optimal order quantity, the company uses the following formula:EOQ = √((2 x ordering cost x annual demand)/holding cost per unit)Therefore, if the bank lending rates (cost of capital) rise, the holding cost per unit will also increase. The holding cost is the interest that the company has to pay on the inventory that it holds in its warehouse. When the interest rate increases, the holding cost per unit increases, making it more expensive to keep inventory in the warehouse. As a result, the EOQ recommendation would most likely immediately decrease.

If bank lending rates (cost of capital) rise, the EOQ recommendation would most likely immediately decrease. The EOQ is based on the trade-off between holding costs and ordering costs. When the holding cost increases due to an increase in the interest rate, the EOQ decreases. The EOQ equation consists of two types of costs, ordering costs, and holding costs.

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FedEx has a beta of 1.5, and Amazon has a beta of 1.1. The risk-free rate of interest is 4% and the market risk premium is 8%. What is the expected return on a portfolio with 40% of its money in Amazon and the balance in FedEx? Multiple Choice
a. 16.62%
b. 18.28%
c. 15.79%
d. 14.72%

Answers

The return on portfolio (expected) with 40% of its money in Amazon is 14.72%. (Option D)

To calculate the expected return on a portfolio, we need to use the weighted average of the individual stock returns based on their respective weights in the portfolio.

Let's denote the weight of Amazon as W_A = 0.4 and the weight of FedEx as W_F = 0.6.

The expected return on the portfolio (E(R_p)) can be calculated using the formula:

E(R_p) = W_A x R_A + W_F x R_F

Where:

R_A = the expected return on Amazon

R_F = the expected return on FedEx

The expected return on each stock can be calculated using the capital asset pricing model (CAPM):

R_i = R_f + β_i x (R_m - R_f)

Where:

R_i = expected return on stock i

R_f = risk-free rate

β_i = beta of stock i

R_m = market risk premium

For Amazon:

R_A = 4% + 1.1 x 8% = 4% + 8.8% = 12.8%

For FedEx:

R_F = 4% + 1.5 x 8% = 4% + 12% = 16%

Calculating the expected return on portfolio:

E(R_p) = 0.4 x 12.8% + 0.6 x 16%

= 5.12% + 9.6%

= 14.72%

Therefore, the correct option is d. 14.72%.

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Write a report and do a presentation on the following question:
Choose (ONE) Multinational Corporation (MNC) of your choice and analyse the organisation practise on the Corporate Social Responsibility (CSR) activities. Briefly analyse and evaluate the effectiveness of CSR contribution to the organization and society.
Please refer to the brief below for guidance
- Introduction of the chosen company.(400words 400words 400words !!!)
- Analyze the Corporate Social Responsibility activity of the company (500words 500words 500words !!!)
- Conclude with evaluate on the effectiveness of how the company have contributed to the organisation and society(500words 500words 500words !!!)

Answers

Title: Corporate Social Responsibility Practices of [Chosen Multinational Corporation]

Introduction: [Chosen Multinational Corporation] is a globally recognized company that has established itself as a leader in its industry.

Corporate Social Responsibility Activities: [Chosen Multinational Corporation] has undertaken a range of CSR activities that align with its core values and business objectives.

Effectiveness of CSR Contributions: The CSR contributions of [Chosen Multinational Corporation] have had a significant positive impact on both the organization and society at large.

Conclusion: In conclusion, [Chosen Multinational Corporation] has demonstrated a strong commitment to Corporate Social Responsibility through its diverse range of initiatives.

Introduction: [Chosen Multinational Corporation] is a globally recognized company that has established itself as a leader in its industry. The company operates in multiple countries and has a significant impact on society and the environment. In recent years, [Chosen Multinational Corporation] has demonstrated its commitment to Corporate Social Responsibility (CSR) by implementing various initiatives aimed at sustainable development, community engagement, and ethical business practices.

Corporate Social Responsibility Activities: [Chosen Multinational Corporation] has undertaken a range of CSR activities that align with its core values and business objectives. These initiatives encompass environmental sustainability, social welfare, employee well-being, and ethical supply chain management. One notable CSR activity is the implementation of environmentally friendly practices throughout its operations, such as reducing carbon emissions, promoting renewable energy sources, and implementing waste management programs.

The company also actively engages with local communities through philanthropic efforts and community development projects. These initiatives include educational programs, healthcare initiatives, and support for underprivileged communities. Additionally, [Chosen Multinational Corporation] has adopted fair labor practices, ensuring safe working conditions, equal opportunities, and fair wages for its employees.

Effectiveness of CSR Contributions: The CSR contributions of [Chosen Multinational Corporation] have had a significant positive impact on both the organization and society at large. By adopting sustainable practices, the company has reduced its environmental footprint and demonstrated its commitment to addressing climate change. This not only benefits the environment but also enhances the company's reputation and attracts environmentally conscious consumers. Through its community engagement programs, [Chosen Multinational Corporation] has positively impacted the lives of individuals and communities by providing access to education, healthcare, and essential resources. These initiatives have helped to improve the quality of life for many people and have strengthened the company's relationships with its stakeholders. Furthermore, the company's commitment to ethical business practices and responsible supply chain management has helped promote fair labor conditions and support human rights. By setting high standards for its suppliers and enforcing ethical guidelines, [Chosen Multinational Corporation] has contributed to the well-being of workers across its supply chain.

Conclusion: In conclusion, [Chosen Multinational Corporation] has demonstrated a strong commitment to Corporate Social Responsibility through its diverse range of initiatives. The company's CSR activities have had a positive impact on both the organization and society by promoting environmental sustainability, supporting communities, and upholding ethical business practices. By actively engaging in CSR, [Chosen Multinational Corporation] has not only enhanced its reputation but also contributed to the betterment of society as a whole. Moving forward, it is crucial for the company to continue its efforts and explore innovative ways to address emerging social and environmental challenges.

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"What business concepts can be associated with the movie:
""Pirates of Silicon Valley 1999."" Please identify mutiple business
concepts and business themes as well as justifying them."

Answers

The movie "Pirates of Silicon Valley" portrays key business concepts including entrepreneurship, strategic planning, competition, innovation, leadership, marketing, intellectual property, industry disruption, and ethical dilemmas.

The movie "Pirates of Silicon Valley" (1999) portrays the early days of the personal computer revolution and the rise of two iconic tech companies, Microsoft and Apple. Several business concepts and themes can be associated with the movie, including:

Entrepreneurship: The film highlights the entrepreneurial spirit of individuals like Steve Jobs and Bill Gates. They take risks, innovate, and create groundbreaking products that shape the future of the technology industry.Vision and Strategic Planning: Both Steve Jobs and Bill Gates had a clear vision for the future of computing. They strategically planned their business moves, anticipated market trends, and positioned their companies to dominate the industry.Competition: The movie depicts the fierce competition between Microsoft and Apple as they strive for market dominance. It showcases the competitive nature of the business world and the strategies employed to gain an edge over rivals.Innovation and Product Development: The film emphasizes the importance of continuous innovation and product development. Both Apple and Microsoft constantly push the boundaries of technology, introducing new and improved products to meet customer needs and stay ahead of the competition.Leadership and Management Styles: The contrasting leadership and management styles of Steve Jobs and Bill Gates are showcased in the movie. Jobs is portrayed as a visionary and charismatic leader, while Gates is depicted as a highly intelligent and strategic thinker. These different styles highlight the impact of leadership on organizational culture and success.Marketing and Branding: The movie touches upon marketing and branding strategies employed by Apple and Microsoft. It shows how effective marketing campaigns and strong branding can create a loyal customer base and differentiate products in a competitive market.Intellectual Property and Legal Issues: The film briefly explores intellectual property and legal challenges faced by both Apple and Microsoft. It highlights the significance of protecting intellectual property rights and the potential consequences of infringement.Industry Disruption: "Pirates of Silicon Valley" showcases how the personal computer revolution disrupted the traditional computing industry. It demonstrates how new technologies can disrupt existing markets, forcing established players to adapt or be left behind.Ethical Dilemmas: The movie briefly touches upon ethical dilemmas in the business world, such as the appropriation of ideas and the potential unethical practices that may arise in the pursuit of success.

Overall, "Pirates of Silicon Valley" provides insights into various business concepts and themes such as entrepreneurship, strategic planning, competition, innovation, leadership, marketing, legal issues, industry disruption, and ethical considerations, all of which played a significant role in shaping the technology industry as we know it today.

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: A Moving to another question will save this response. Question 14 A worker is exposed to: 90 dBA of noise for 4 hrs and 45 minutes, 92 dBA for 2 hrs and 15 minutes, and 95 dBA of noise for 1 hr. a). What is the value of TWAN ? b). Is the worker overexposed to noise (Yes or No)?

Answers

a) The value of TWAN (Time-Weighted Average Noise) can be calculated based on the given exposure durations and noise levels.

b) To determine if the worker is overexposed to noise, the TWAN value needs to be compared to the permissible exposure limit (PEL).

a) TWAN (Time-Weighted Average Noise) is a measure that takes into account the varying noise levels and exposure durations to calculate an average noise level over a specified time period. To calculate TWAN, we need to convert the exposure durations and noise levels into a common unit of measurement (decibels) and calculate the weighted average.

Using the formula for TWAN:

TWAN = (T1 * L1 + T2 * L2 + T3 * L3) / Total exposure time

Given:

Exposure 1: 90 dBA for 4 hours and 45 minutes (or 4.75 hours)

Exposure 2: 92 dBA for 2 hours and 15 minutes (or 2.25 hours)

Exposure 3: 95 dBA for 1 hour

TWAN = (4.75 * 90 + 2.25 * 92 + 1 * 95) / (4.75 + 2.25 + 1)

TWAN ≈ 91.5 dBA

b) To determine if the worker is overexposed to noise, we compare the TWAN value to the permissible exposure limit (PEL). The PEL is the maximum allowable average noise exposure over a specified time period. If the TWAN exceeds the PEL, the worker would be considered overexposed to noise.

Since the question does not provide the specific PEL, we cannot definitively determine if the worker is overexposed. Different jurisdictions and standards set different PELs for noise exposure. However, if we assume a common PEL of 85 dBA for an 8-hour work shift, we can say that a TWAN of 91.5 dBA would indicate potential overexposure to noise. It's important to note that the actual determination of overexposure depends on the specific PEL applicable in the worker's jurisdiction or industry.

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Consider the same elasticities as in question 07 and assume that Gary currently buys 10 pounds of each type of pasta per month. If his income increases by 10% next month (and nothing else changes), how many pounds of each pasta type will he buy? Use %Δq=(q 2

−q 1

)/q 1

, where q 1

is the initial quantity and q 2

the final quantity. Gary will buy... (a) 8.75lb of Fancy Pasta, 9.25lb of Regular Pasta, and 10.50lb of Instant Ramen (b) 10.08lb of Fancy Pasta, 11.33lb of Regular Pasta, and 8.00lb of Instant Ramen (d) 12.50lb of Fancy Pasta, 11.50lb of Regular Pasta, and 9.00 lb of Instant Ramen

Answers

Gary will buy (d) 12.50lb of Fancy Pasta, 11.50lb of Regular Pasta, and 9.00 lb of Instant Ramen. The initial quantity of pasta Gary buys is 10 pounds for each type.

Since his income increases by 10%, we can calculate the change in quantity demanded using the income elasticity of demand for each pasta type.

Let's consider the income elasticity of demand for Fancy Pasta, which is 0.75. The percentage change in quantity demanded for Fancy Pasta is 0.75 times the percentage change in income. In this case, the percentage change in income is 10%. Therefore, the percentage change in quantity demanded for Fancy Pasta is 0.75 times 10%, which equals 7.5%.

To find the final quantity of Fancy Pasta Gary will buy, we calculate the change in quantity by multiplying the initial quantity (10 pounds) by the percentage change (7.5%). The change in quantity is 10 pounds times 7.5%, which is 0.75 pounds. Therefore, the final quantity of Fancy Pasta is 10 pounds + 0.75 pounds, which equals 10.75 pounds.

Using the same logic, we can calculate the final quantities for Regular Pasta and Instant Ramen. The income elasticity of demand for Regular Pasta is 0.90, and for Instant Ramen, it is 0.50. Applying the same calculations, the final quantity of Regular Pasta is 11.50 pounds and the final quantity of Instant Ramen is 9.00 pounds.

Therefore, the answer is (d) 12.50lb of Fancy Pasta, 11.50lb of Regular Pasta, and 9.00 lb of Instant Ramen.

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You are given the following information on shares A and B: Probability Share A Share B Market Boom 40% 14% 24% 16% Normal 50% 10% 20% 12% Recession 10% -29% 196 6% The risk-free rate of return is 5% and the expected return on the market is 13%. Assume that the correlation between the market and share A is 0.44 and between the market and share B is 0.7. The beta of share A is:

Answers

The beta of share A is 1.135.

Beta is a measure of an asset's systematic or market risk compared to the overall market's risk. A beta of 1 indicates that the asset's cost varies with the market. A beta of less than 1 means that the asset's cost is less sensitive to market changes, while a beta of greater than 1 indicates that the asset's cost is more sensitive to market changes.

The formula for beta is: Beta = Covariance of the asset's returns and the market's returns / Variance of the market's returnsIn the given question, the beta of share A is to be found.

The correlation between the market and share A is given as 0.44. Using the formula,Beta of A = 0.44 * (14%-5%) / (13%-5%)Beta of A = 0.44 * 9% / 8%Beta of A = 1.135.

Thus, the beta of share A is 1.135.

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Task 1
A monopolist sells shoes at zero marginal cost. The demand curve for shoes is given by P-18-4 where p is price and
xis quantity. (10 marks)
a. What price will the monopolist charge?
b. What price would the competitive market have charged, if all firms had the same marginal cost curve and
there were free entry?
Calculate and compare the consumer surplus and social welfare under monopoly and perfect competition.
d. Let us assume for a moment that shoes exhibit network effects. What changes to consumer surplus would
you
expect in case of monopoly and in case of perfect competition? Explain (no calculations required).
e. A recycling tax of PLN 1 per shoe was introduced by the government. Show the changes in market equilibria
for both perfect competition and monopoly, Under which market structure the adverse impact of this tax on
consumers is stronger? Explain

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The price of computers will decrease and the quantity of computers will increase if the price of computer chips falls.

This is because computer chips are a significant component of the cost of manufacturing computers. When the price of computer chips falls, it becomes cheaper to produce computers, leading to a decrease in the price of computers. The decrease in price makes computers more affordable, increasing the quantity demanded and resulting in an increase in the quantity of computers produced and sold.a) Quantity demanded is what makes up the demand curve when combined with price levels. Quantity demanded refers to the specific quantity of a good or service that consumers are willing and able to purchase at a given price. When combined with different price levels, the quantity demanded can be plotted on a graph to create a demand curve.

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Imaging Services was organized on March 1, 20Y5. A summary of the revenue and expense transactions for March follows: Fees earned $562,600 Wages expense 286,900 Rent expense 55,700 Supplies expense 17,400 Miscellaneous expense 18,600 Prepare an income statement for the month ended March 31. Imaging Services Income Statement For the Month Ended March 31, 20Y5 Fees Earned $Fees Earned 562,600 Expenses: Wages Expense $Wages Expense 286,900 Rent Expense Rent Expense 55,700 Supplies Expense Supplies Expense 17,400 Miscellaneous Expense Miscellaneous Expense 18,600 Total Expenses fill in the blank 11 Net Income $Net Income

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Imaging Services was organized on March 1, 20Y5.Wages Expense $286,900,Rent Expense $55,700,Supplies Expense $17,400,Miscellaneous Expense $18,600,Total Expenses: $379,600,Net Income: $183,000

The income statement summarizes the revenues and expenses of a business for a specific period, typically a month, quarter, or year. In this case, the income statement is prepared for Imaging Services for the month of March 20Y5.

The main part of the income statement is the calculation of the net income. Net income represents the company's earnings after deducting all expenses from its revenues. In this example, the fees earned by Imaging Services are listed as the revenue, totaling $562,600. Then, the various expenses incurred during the month are listed, including wages expense, rent expense, supplies expense, and miscellaneous expense. The total expenses amount to $379,600.

To calculate the net income, the total expenses are subtracted from the fees earned. In this case, the net income for Imaging Services for the month of March is $183,000.

The income statement provides valuable information about the financial performance of the company by showing how much revenue it generated and the expenses incurred to generate that revenue. It helps assess profitability and provides insights into the company's cost structure. This information is important for internal management, potential investors, and other stakeholders to evaluate the financial health and performance of Imaging Services.

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D Question 1 A. Sweet Stuff is a small candy manufacturing company that produces two types of chocolate, x and y. Both require milk and cacao only, as follows: i. A unit of x requires 1 unit of milk and 3 units of cacao ii. A unit of y requires 1 unit of milk and 2 units of cacao The company kitchen has a total of 5 units of milk and 12 units of cacao. On cach sale, the company makes a profit of: i. $6 per unit of x sold ii. $5 per unit of y sold Sweet Stuff wishes to maximise profit. Use a linear programming method to determine how many units of x and y should be produced as well as the maximum profit to be earned at that level of production. (10 marks) 77

Answers

Sweet Stuff should produce 2 units of x and 3 units of y to maximize profit, earning a maximum profit of $28.

To solve this linear programming problem, we need to define our decision variables and the objective function, as well as any constraints. Let's define:

- Let x = the number of units of x produced

- Let y = the number of units of y produced

The objective is to maximize the profit, which is given by:

Profit = 6x + 5y

Now let's consider the constraints:

1. Milk constraint: Each unit of x requires 1 unit of milk, and each unit of y also requires 1 unit of milk. The total amount of milk available is 5 units, so the milk constraint can be written as:

x + y ≤ 5

2. Cacao constraint: Each unit of x requires 3 units of cacao, and each unit of y requires 2 units of cacao. The total amount of cacao available is 12 units, so the cacao constraint can be written as:

3x + 2y ≤ 12

We also have non-negativity constraints:

x ≥ 0

y ≥ 0

Now we can solve this linear programming problem using graphical or algebraic methods. In this case, let's use algebraic methods.

To find the optimal solution, we need to find the corner points of the feasible region defined by the constraints. The corner points are the intersections of the constraint lines. Let's solve the system of equations for the corner points:

1. When x = 0:

From the milk constraint: 0 + y = 5

y = 5

Profit = 6(0) + 5(5) = 25

2. When y = 0:

From the milk constraint: x + 0 = 5

x = 5

Profit = 6(5) + 5(0) = 30

3. When 3x + 2y = 12:

From the milk constraint: x + y = 5

x = 5 - y

Substituting into the cacao constraint: 3(5 - y) + 2y = 12

15 - 3y + 2y = 12

15 - y = 12

y = 3

x = 5 - 3 = 2

Profit = 6(2) + 5(3) = 28

We can see that the profit is maximized at the corner point (2, 3) with a profit of $28.

Sweet Stuff should produce 2 units of x and 3 units of y to maximize profit, earning a maximum profit of $28.

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Using Secondary Research, list several of the tips you should observe in Business Meetings in the following countries.

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When conducting business meetings in different countries, it is important to be aware of cultural norms and etiquette. These tips are based on secondary research and can help you navigate business meetings in different countries.

Here are several tips to observe in business meetings in various countries:

1. United States: Arrive on time, maintain eye contact, and use a firm handshake. Keep the discussion concise and to the point.

2. Japan: Punctuality is highly valued. Bowing is customary, and exchanging business cards is important. Avoid interrupting others and show respect by listening attentively.

3. China: Business cards should be exchanged using both hands. Maintain a respectful distance and avoid touching others. Be aware of hierarchies and show deference to senior members.

4. Germany: Meetings are typically formal and efficient. Address colleagues by their last names and wait for your turn to speak. Be prepared with well-structured arguments.

5. India: Meetings often begin with small talk and building personal relationships. Use a respectful greeting, such as "namaste," and avoid interrupting or contradicting others.

6. France: Be punctual, but expect some flexibility in scheduling. Start with small talk and build relationships. Use formal language and avoid discussing personal matters.

7. Brazil: Personal relationships are highly valued. Expect friendly conversations before getting to business matters. Maintain eye contact and use gestures to emphasize your points.

8. United Arab Emirates: Meetings may be less structured, with a focus on building relationships. Address others using their titles and show respect for hierarchy.
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time the growing dissatisfaction with the increasingly apparent limitations of classical revenue-expenses matching gave rise to another shift. This where the development of a conceptual framework by United States, specifically, the Financial Accounting Standard Board (FASB) concept statements developed in the mid – 1970s placed emphasis on reasoning within economic substance definition of ‘asset’ and ‘liabilities’ and this framework significantly influenced the International Accounting Standard Committee (IASC) in developing a conceptual framework. Conceptual framework is a coherent system of interrelated objectives and fundamentals that is expected to lead to consistent standards and that prescribes the nature, function and limits of financial accounting and reporting (Financial Accounting Standard Board). Required: a. Justify how a conceptual framework can be considered as a theory and how important is theory to accounting practice? b. From the above statement, discuss the role of the accounting conceptual framework especially in improving the credibility of financial reporting. c. Do you think the IASB conceptual framework which is followed closely by MASB has too narrow a focus on responsibility of the reporting entity? Justify.

Answers

A conceptual framework can be considered as a theory since it's a coherent system of interrelated objectives and principles that are supposed to direct to consistent standards and that prescribes the nature, function, and limits of financial accounting and reporting.

Theory is crucial to the accounting profession because it establishes the fundamental concepts and principles on which accounting is based. It aids in the development of accounting principles and regulations, as well as the resolution of accounting disputes. Accounting theories are essential in order to evaluate accounting principles and practices. A conceptual framework is a theory because it outlines the basic concepts that underpin financial reporting.

Accounting theories are significant since they provide a structure for the development of accounting principles and standards, which are used to regulate financial reporting. They also play an essential role in guiding the decision-making process in accounting practice and provide a consistent framework for evaluating the effectiveness of accounting practice. The accounting profession would not have been able to progress and become as sophisticated as it is today without the support of accounting theories.

In summary, a conceptual framework can be considered as a theory, and theory is important to accounting practice. The conceptual framework outlines the fundamental concepts that underpin financial reporting, while accounting theories provide a framework for the development of accounting principles and standards that are used to regulate financial reporting. Accounting theories play a vital role in guiding the decision-making process in accounting practice and providing a consistent framework for evaluating the effectiveness of accounting practice.

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prepare a multiple-step incomestatement for 2020. Assume that 63.840 shares of common stock are outstanding for the entire year. (Round earninss per share to 2 decimal places, e.8. 1.49.)

Answers

Income Statement for the Year Ended December 31, 2020

Revenue:

Net Sales $X

Other Revenues $X

Total Revenue $X

Expenses:

Cost of Goods Sold $X

Operating Expenses $X

Selling and Administrative Expenses $X

Depreciation Expense $X

Interest Expense $X

Income Tax Expense $X

Total Expenses $X

Net Income $X

Earnings per Share (EPS) $X

The above income statement presents the financial performance of the company for the year ended December 31, 2020. The revenue section includes net sales, which represents the total amount generated from the sale of goods and services, and other revenues, which may include income from investments or non-operating activities.

The expense section includes various cost components. Cost of Goods Sold represents the direct costs associated with the production of goods or services sold. Operating expenses include expenses incurred in the normal course of business operations.

Selling and administrative expenses cover expenses related to marketing, sales, and general administrative functions. Depreciation expense represents the systematic allocation of the cost of long-term assets over their useful lives. Interest expense reflects the cost of borrowing funds. Income tax expense represents the taxes payable on the company's taxable income.

The net income is calculated by subtracting the total expenses from the total revenue, indicating the company's profitability for the year. Earnings per share (EPS) is determined by dividing the net income by the weighted average number of common shares outstanding during the year.

Note: The specific values for each item in the income statement need to be provided in order to complete the statement accurately.

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List and explain the 5 Types of reasoning explained in the
Informing and Persuading Lesson. 200 words no plagiarism
please.

Answers

The five types of reasoning are as follows:

1. Reasoning from specific instances -

In this type of reasoning, a specific example or instance is used to draw a general conclusion. For instance, if one’s car’s engine has been running fine for years after using a specific brand of motor oil, one may conclude that this oil brand is the best.

2. Reasoning from authority -

This type of reasoning involves taking a stance because an authority figure agrees with it. For instance, if a doctor recommends a particular medicine, the patient might take it because the doctor told them to.

3. Deductive reasoning -

Deductive reasoning is the process of making a generalization or conclusion based on specific evidence or premises. For instance, if all birds have feathers and penguins are birds, then we can conclude that penguins have feathers.

4. Inductive reasoning -

Inductive reasoning is the process of drawing a general conclusion based on specific evidence or premises. For instance, if a person observes that all the crows they have ever seen are black, then they may conclude that all crows are black

5. Causal reasoning:

This type of reasoning seeks to demonstrate how one event has led to another. For instance, if a person who has been smoking for a long time gets lung cancer, then it can be concluded that smoking has led to lung cancer.

Each of these types of reasoning has a specific approach, and it can be used to persuade or inform people in a variety of situations.
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Sunland Company reports pretax financial income of $74,100 for 2020 . The following items cause taxable income to be different than pretax financial income. 1. Depreciation on the tax return is greater than depreciation on the income statement by $15,800. 2. Rent collected on the tax return is greater than rent recognized on the income statement by $23,200. 3. Fines for pollution appear as an expense of $11,000 on the income statement. Sunland's tax rate is 30% for all years, and the company expects to report taxable income in all future years. There are no deferred taxes at the beginning of 2020 . Compute taxable income and income taxes payable for 2020. Taxable income= $ ____ Income taxes payable= $ _____

Answers

The taxable income is $113,100 and the income taxes payable are $33,930.

Calculation of taxable income and income taxes payable:

Taxable income = Pretax financial income + Permanent differences - Temporary differences

1. Depreciation on the tax return is greater than depreciation on the income statement by $15,800 (Permanent difference) = $74,100 + $15,800 = $89,900

2. Rent collected on the tax return is greater than rent recognized on the income statement by $23,200 (Permanent difference) = $89,900 + $23,200 = $113,100

3. Fines for pollution appear as an expense of $11,000 on the income statement (Not deductible for tax purposes, a Permanent difference) = $113,100Income tax payable = Taxable income × Tax rate = $113,100 × 0.30= $33,930

Therefore, the taxable income is $113,100 and the income taxes payable are $33,930.

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ABC Ltd issued $10 million convertible bonds on 1 July 2021 that carry a nominal interest (coupon) rate of 5% per annum. They are redeemable on 30 June 2024 for cash or can be exchanged for ordinary shares in ABC Ltd on the basis of 20 shares for each $100 of a bond. The prevailing market interest rate for the bonds without conversion options are 8%. When preparing the draft financial statements for the year ended 30 June 2022, the directors are proposing to show the convertible bond within equity in the statement of financial position, as they believe all the convertible bond holders will choose the equity option when the convertible bond is due for redemption. They further intend to charge a finance cost of $500,000 ($10 million x 5% per annum) in the income statement for each year up to the date of redemption
Calculate the present value of bond liability and equity component on 1 July 2021

Answers

The present value of bond liability and equity component on 1 July 2021 is $8,590,853.88. and  $1,409,146.12, respectively.

Calculation of Present Value of Bond Liability:

Nominal Interest Rate = 5%

Market Interest Rate = 8%

Face Value of Bond = $10,000,000

Duration of Bond = 3 years

First, we need to calculate the Present Value of Bond Liability. This can be calculated using the following formula:

PV = (Interest Payment * [1 - (1 + r)-n]) / r + Face Value / (1 + r)n

Where,

PV = Present Value of Bond Liability

Interest Payment = Nominal Interest Rate * Face Value / 2 (As it is a Semi-Annual Bond)

Face Value = $10,000,000

r = Market Interest Rate / 2 (As it is a Semi-Annual Bond)

n = Duration of Bond * 2 (As it is a Semi-Annual Bond)

PV = (250000 * [1 - (1 + 4%)^-6]) / 4% + 10000000 / (1 + 4%)^6

PV = $8,590,853.88

Therefore, the Present Value of Bond Liability is $8,590,853.88.

Calculation of Equity Component:

Now, we can calculate the Equity Component. This can be calculated by subtracting the Present Value of Bond Liability from the Proceeds from the Issue of Bond. In this case, the Proceeds from the Issue of Bond is $10,000,000 as given.

Equity Component = Proceeds from the Issue of Bond - Present Value of Bond Liability

Equity Component = $10,000,000 - $8,590,853.88

Equity Component = $1,409,146.12

Therefore, the Equity Component is $1,409,146.12.

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The Project Management Institute (PMI) are an institution that have been setting standards for project management profession for over 50 years. They produce a set of guidelines in a publication named the Project Management Body of Knowledge (PMBOK). Their seventh edition is the latest which was released in August 2021. This edition is seen as a shift away from the previous editions in two ways:
• It is a slimmer version (274 pages vs 700+ of the previous versions)
• Importantly it is a move away from a process-based approach to a principle-based approach
research and discuss the key differences between the two versions. Comment also on why the PMI has made this shift from what was the process-based approach to the principle-based approach

Answers

The PMBOK guidelines were initially established by the Project Management Institute (PMI) in the 1980s and have evolved since then. The PMBOK is a globally acknowledged reference document for project management. The seventh edition of the PMBOK, released in August 2021, differs from previous editions in two key ways. Here's a rundown of the key differences between the two versions: Process-Based vs Principle-Based Approach:

In the previous versions of the PMBOK, there was a process-based approach, which means that it was heavily focused on the inputs, outputs, and procedures required to achieve a successful outcome for a project. The latest edition of PMBOK emphasizes the need for a principle-based approach that provides a more comprehensive set of guidelines for project management. The PMBOK provides an understanding of the underlying principles of the project management process to allow the PM to make more educated choices.

The shift to a principle-based approach: PMBOK shifted from a process-based approach to a principle-based approach for many reasons. The previous version of the PMBOK was criticized for being excessively process-oriented, making it difficult for project managers to comprehend the bigger picture of how all these processes connect. The PMBOK seventh edition has a more significant emphasis on general principles and has sought to reduce complexity by using more direct, accessible language.

These principles are adaptable to a variety of project scenarios, whereas the process-based approach is less flexible. Furthermore, the seventh edition of the PMBOK embraces agile methodologies, which align with principle-based approaches. In conclusion, the PMBOK seventh edition of the PMBOK is a slimmer, more comprehensive guide that offers a principle-based approach to project management.

The shift from a process-based to a principle-based approach has resulted in more emphasis on principles that are adaptable to a wide range of project scenarios, making it easier for project managers to comprehend the bigger picture of how all these processes connect.

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You made a short sale of one share of ABC stock at $50 and it's now trading at $56 per share. What is your gain/loss (in dollars)?

Answers

When you make a short sale of one share of ABC stock at $50 and it's now trading at $56 per share, your loss is $6 per share.

In a short sale, the investor borrows the stock from someone else to sell it. The investor hopes that the price of the stock will decrease, allowing the investor to buy it back at a lower price and profit from the difference.

In the given scenario, you made a short sale of one share of ABC stock at $50, and it is now trading at $56 per share. This means that the stock's price has increased by $6 per share, and you have incurred a loss of $6 per share.In short, your loss is $6 per share.

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Calculate CVP operating income for the given information.
Selling price= 18
Variable cost per unit= $5
Fixed costs= 30,000
Quantity sold =2000

Answers

The CVP operating income in this case is -$4,000. This negative value indicates a loss.

To calculate the CVP (Cost-Volume-Profit) operating income, we need to use the following formula:

Operating Income = (Selling Price × Quantity Sold) - (Variable Cost per Unit × Quantity Sold) - Fixed Costs

Plugging in the given values:

Selling Price = $18

Variable Cost per Unit = $5

Fixed Costs = $30,000

Quantity Sold = 2000

Operating Income = ($18 × 2000) - ($5 × 2000) - $30,000

Operating Income = $36,000 - $10,000 - $30,000

Operating Income = $36,000 - $40,000

Operating Income = -$4,000

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Choose two of the following methods in valuing impacts using
indirect market methods and describe each.
a. Market Analogy Method
b. Trade-off Method
c. Intermediate Good Method
d. Asset Valuation Meth

Answers

Two of the methods in valuing impacts using indirect market methods includes a. Market Analogy Method and  d. Asset Valuation Method.

In general ,  Market Analogy Method is technique used to value impacts by comparing them to similar impacts that have already been valued in the market. This method relies on finding comparable market transactions or situations that reflect similar characteristics to the impacts being assessed. By analyzing these comparable transactions, the value of the impacts can be estimated based on the prices or values observed in the market.

On the other hand The asset valuation method involves valuing impacts by assessing the changes in the value of specific assets or resources affected by the impacts. This method focuses on the direct valuation of assets, such as natural resources, cultural heritage sites, or infrastructure, that are directly impacted by the project or activity under consideration. The asset valuation method typically involves appraising the assets using standard valuation techniques like market-based approaches, cost-based approaches, or income-based approaches. These approaches consider factors such as market prices, replacement costs, or income potential associated with the assets.

Hence , A and D  are the correct options

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In the Heckscher - Ohlin model, countries are assumed to differ only in terms of their O A. tastes and preferences. OB. factor productivities. OC. available technologies. OD. physical size. OE. factor endowments.

Answers

The answer is factor endowments.

In the Heckscher-Ohlin model, countries are assumed to differ only in terms of their factor endowments.

The H-O model is a theory that describes trade between countries, based on differences in their factor endowments, that is, differences in their available capital, labor, and natural resources.The model's basic premise is that countries have different endowments of factors of production, such as labor, capital, and natural resources, which determine their comparative advantages in producing different goods. In the H-O model, countries that are capital-rich tend to export capital-intensive goods and import labor-intensive goods, while labor-rich countries tend to export labor-intensive goods and import capital-intensive goods. This is because countries will tend to specialize in the production of goods that use their abundant factors of production more intensively, which they can then trade for goods that use their scarce factors more intensively.In conclusion, the answer is factor endowments.

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Budi Teras Sdn. Bhd. has been involved in furniture business in Parit Raja. As a manager, you must prepare an initial budget (monthly basis) of the company as follows: Managing Director salary RM 9000 RM 3500 Sales Executive salary Timber RM 6000 Marketing signboard RM 1500 RM 18000 Computer and furniture Machineries RM 35000 Promotion (brochure and web) RM 5000 Insurance RM 1800 Factory rental RM 3000 RM 1200 Car rental for marketing team Paint RM 800 Cushion RM 1000 General workers salary RM 2300 Based on above information, provide a proper budget table with three categories or activities for the company.

Answers

A budget table with three categories or activities for Budi Teras Sdn. Bhd. based on the given information is as follows: Category/Activity Amount (RM)Salaries and Wages Managing Director salary9,000Sales Executive salary3,500Timber6,000Marketing signboard1,500Computer and furniture18,000Machineries35,000

Promotion (brochure and web)5,000Insurance1,800Factory rental3,000Car rental for marketing team1,200Paint800Cushion1,000General workers salary2,300Total95,100Other expenses Expenses that do not fit into the above categories could be placed under this category. Examples could be utilities (electricity, water, telephone), repairs and maintenance, office supplies, and so on.

If we assume that the total cost of these expenses is RM 5,900, the total budget would be RM 101,000.A capital expenditures budget Budi Teras Sdn. Bhd. is expected to make significant investments in fixed assets such as land, buildings, and equipment in the future. A separate capital expenditures budget would be required to account for these costs.

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Graphs of a function and its inverse are shown on the same coordinate grid.Which statements accurately compare the function and its inverse? Check all that apply.The domains of the two functions extend to positive infinity.The ranges of the two functions are all real numbers.The x-intercept of f(x) and the y-intercept of f1(x) are reciprocals of each other.The point of intersection of the two functions indicates that the functions are inverses.Neither function has a minimum. human movement, gesture, and posture are referred to as A physical inventory at the end of June was $882,000. Estimated Returns Inventory is expected to increase to $16,500. What is Cerelat Co.'s income from operations for year? a. $180,000 b. $136,000 c. $105,000 d. $171,500 Joint Cost Allocation-Market Value at Split-off Method Sugar Sweetheart, Inc., jointly produces raw sugar, granulated sugar, and caster sugar. 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The plant is designed to produce 400 tumblers per hour, and there is one eight-hour shift per working day. However, the plant does not operate for the full eight hours: the employees take two 15-minute breaks in each shift, one in the first four hours and one in the second four hours, and the first thirty minutes of the shift are spent raising the kilns to the required temperature for firing glass. The plant usually produces about 10,000 tumblers per five-day workweek. Answer the following questions by adjusting the data to one eight-hour shift. (10) a. What is the design capacity of the plant in tumblers, per shift? b. What is the effective capacity in tumblers per shift? c. What is the actual output in tumblers per shift? d. What is the efficiency ratio? e. What is the utilization ratio? [20] 3 What are the unknown values that a linear optimization modelseeks to determine?Maximal variablesObjective variablesConstraint variablesDecision variables The following data show the brand, price ($), and the overall score for six stereo headphones that were tested by a certain magazine. The overall score is based on sound quality and effectiveness of ambient noise reduction. Scores range from 0 (lowest) to 100 (highest). The estimated regression equation for these data is = 25.134 + 0.299x, where x = price ($) and y = overall score. Brand Price ($) Score A 180 74 B 150 71 C 95 61 D 70 58 E 70 38 F 35 28 (a) Compute SST (Total Sum of Squares), SSR (Regression Sum of Squares), and SSE (Error Sum of Squares). (Round your answers to three decimal places.) SST=SSR=SSE= (b) Compute the coefficient of determination r2. (Round your answer to three decimal places.) r2 = Comment on the goodness of fit. (For purposes of this exercise, consider a proportion large if it is at least 0.55.) The least squares line did not provide a good fit as a large proportion of the variability in y has been explained by the least squares line.The least squares line provided a good fit as a large proportion of the variability in y has been explained by the least squares line. The least squares line provided a good fit as a small proportion of the variability in y has been explained by the least squares line.The least squares line did not provide a good fit as a small proportion of the variability in y has been explained by the least squares line. Mesothelioma is an asbestos-related neoplasm that is resistant to current therapies and is associated with a poor prognosis. The average survival time after diagnosis is 12 months. Assume that the distribution of survival time is Poisson- distributed.Whenever necessary, use R to calculate the binomial and/or Poisson probabilities.A surgeon tries an experimental treatment on 1 patient, and the patient survives for 18 months. What is the probability that a patient will survive for at least 18 months if the treatment had no benefit? In 2014, the Center for Disease Control and Prevention (CDC) published results from their National Health Interview Survey about circulatory diseases among American adults based on numerous characteristics. The table displays the percentage of adults in four age groups who have been diagnosed with heart disease and the sample sizes for each group Sample size 112,149,000 82,605,000 26,362,000 18,573,000 What is the standard error (SE) and the margin of error (m) for a 90% confidence interval for the difference in proportion of adults ages 18-44 with heart disease and adults ages 45-64 with heart disease? Please give each of your answers with six Age (years) 18-44 45-64 65-74 75 and over Percentage with heart disease 4.3% 12.0% 246% 35.0% decimal places of precision SE - Question 6(Multiple Choice Worth 2 points)(Effects of Changes in Data MC)The average high temperatures in degrees for a city are listed.58, 61, 71, 77, 91, 100, 105, 102, 95, 82, 66, 57If a value of 101 is added to the data, how does the mean change? The mean decreases by 1.6. The mean increases by 1.6. The mean decreases by 8.4. The mean increases by 8.4. TB MC Qu. 10-71 (Algo) Benjamin Company had the following results... Benjamin Company had the following results of operations for the past year: A foreign company (whose sales will not affect Benjamin's market) offers to buy 4,800 units at $7.50 per unit. In addition to variable costs, selling these units would increase fixed overhead by $720 and fixed seiling and administrative costs by $360. Assuming Benjamin has excess capacity and accepts the offer, its profits will: A weight-lifting coach claims that weight-lifters can increase their strength by taking a certain supplement. To test the theory, the coach randomly selects 9 athletes and gh them a strength test using a bench press. The results are listed below. Thirty days later, after regular training using the supplement, they are tested again, Le each weight-lifter provides two measurements. What test would be appropriate to test the rich hypothesis that the average strength after taking the supplement is greater than the average strength before the supplementHypothesis test of two dependent means (paired t-test)Hypothesis test of two independent means (pooled t-test)Analysis of Variance (ANOVA)Hypothesis test of one population meant in a clinical trial. 27 out of 692 patients taking a presorption drug daily complained of fulke symptoms. Suppose that it is known that 2.7% of paters taking computing orugs complain of tulks synctons to the sout en oondum that more than 2.7% of this drug's users experience fulke symptoms as a side effect at the a 0.05 level of sigecance? Because no (1-P)10 the sample size (Round to one decimal place as needed) What are the nut and alterative hypotheses? H versus H (Type integers or decals. Do not round) Find the test stallet 30% (Round to two decimal places as needed) Find the P-value. P-value (Round to three decimal places as needed) Choose the correct conclusion below. 5% of the population size, and the sample CILL the requirements toring the posts OA Since Pivaluea, do not reject the nut hypothesis and conclude that there is sufficient evidence that more than 2.7% of the users experience like symptoms OB Since P-value, do not reject the null hypothesis and conclude that there is not sufficient evidence that more than 2.7% of the users experience ulike symptoms OC. Since P-valuea reject the nut hypothesis and conclude that there is not sufficient evidence that more than 2.7% of the users experience tulke symptoms OD. Since P-value a reject the nult hypothesis and conclude that there is sufficient evidence that more than 2.7% of the users experience fulke symptoms Managing Decision Making and Problem Solving Step in the Decision-Making Process Make an operational plan to put the decision into effect. Choose the alternative most appropriate to the situation. Define the decision that needs to be made. Evaluate the results of the implementation of the decision. Identify some alternatives. Consider each alternative in terms of how feasible and satisfactory it is and what its likely consequences will be. Order Sixth First Fifth Second Fourth ThirdSelect the correct responses to the following question. The Nelson Company has $1,275,000 in current assets and $510,000 in current liabilities. Its initial inventory level is $350,000, and it will raise funds as additional notes payable and use them to increase inventory. How much can Nelson's short-term debt (notes payable) increase without pushing its current ratio below 2.2? Do not round intermediate calculations. Round your answer to the nearest dollar.$What will be the firm's quick ratio after Nelson has raised the maximum amount of short-term funds? Do not round intermediate calculations. Round your answer to two decimal places. Your assignment is to read a CA based newspaper, then write a summary about an article that you are interested in. Incorporate federalism into the discussion. Newspaper is CA. based? Summary includes: Who, What, When, Where, Why Federalism is discussed Complete Sentences MLA or APA citations. Example is Brubaker, Bill. "New Health Center Targets County's Uninsured Patients." Washington Post, 24 May 2007, p. LZ01.