(Refers to Lesson #2) Which architecture for deploying a
firewall is most commonly used in businesses today? Why? ​

Answers

Answer 1

The architecture that is most commonly used in businesses today for deploying a firewall is the DMZ architecture. The DMZ architecture for deploying firewalls is popular because it provides an additional layer of protection for an organization's most critical assets by separating them from other less sensitive data.

This architecture utilizes three networks, namely the untrusted network, the trusted network, and the DMZ network.

What is DMZ?

A DMZ (demilitarized zone) is an area that is established between a company's trusted internal network and an untrusted external network, such as the Internet. The DMZ network is intended to be a buffer zone between these two networks.

The DMZ architecture is built on three network segments: Untrusted Network: The Internet is an example of an untrusted network, as is any network with which a company does not have a direct connection. Trusted Network: This network contains the organization's critical data. It is kept private and can only be accessed by employees with permission.

DMZ Network: A DMZ network is a buffer zone that sits between an organization's trusted network and an untrusted network.

The DMZ architecture for deploying firewalls is popular because it provides an additional layer of protection for an organization's most critical assets by separating them from other less sensitive data.

The DMZ architecture can safeguard web servers that are exposed to the internet while still allowing internet users to access them. This is possible because a web server in the DMZ has limited access to the internal network.

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Related Questions

The Daily Charge is determined by using the Room Number and Rate
Code to lookup the value in the DailyChg worksheet. Use the
XLOOKUP() function with a nested XLOOKUP() function to find the
correct dai
A B 1 2 3 Reservation Room 4 Number 5 R0010 6 R0010 7 R0011 8 R0012 9 R0013 10 R0013 11 R0014 12 R0014 Customer Number Number AL C0001 CA C0001 CO C0002 C0003 FL AL C0004 GA C0004 AL C0005 CA C0005 �

Answers

To use the XLOOKUP() function with a nested XLOOKUP() function, one would typically specify the lookup value, lookup array, return array, and any optional arguments such as match mode or search direction.

The XLOOKUP() function is a powerful lookup function in Microsoft Excel that allows you to search for a value in a range and return a corresponding value from another range. It is an alternative to the traditional VLOOKUP() and HLOOKUP() functions but offers more flexibility and advanced features.

Therefore, XLOOKUP() function is versatile and can handle both vertical and horizontal lookups, as well as handle cases where the lookup value is not found. It eliminates the need for sorting data and allows for more precise matching criteria.

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Nadia needs to have 59,039 dollars to buy a new car 9 years from
now. How much does she need to save at the end of each month if her
savings account pays 7.35% per year, compounded quarterly?

Answers

To achieve the goal of having $59,039 to buy a new car in 9 years, Nadia needs to save approximately $30,482.26 at the end of each month. This calculation is based on an annual interest rate of 7.35%, compounded quarterly.

To calculate how much Nadia needs to save at the end of each month, we can use the future value formula for compound interest:

[tex]FV = PV \times (1 + r/n)^{(n \times t)[/tex]

Where:

FV = Future value (amount Nadia needs to have in 9 years, which is $59,039)

PV = Present value (amount Nadia needs to save each month)

r = Annual interest rate (7.35% or 0.0735)

n = Number of compounding periods per year (quarterly, so 4)

t = Number of years (9)

Rearranging the formula to solve for Present value, we have:

[tex]PV = FV / [(1 + r/n)^{(n \times t)}][/tex]

Substituting the given values, we get:

[tex]PV = 59,039 / [(1 + 0.0735/4)^{(4 \times 9)}][/tex]

[tex]PV = 59,039 / [(1 + 0.018375)^{(36)}][/tex]

[tex]PV = 59,039 / (1.018375^{36})[/tex]

PV ≈ $30,482.26

Therefore, Nadia needs to save approximately $30,482.26 at the end of each month in order to have $59,039 to buy a new car 9 years from now, assuming her savings account pays 7.35% per year, compounded quarterly.

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Ying and Michael are married fling jointly taxpayers with earned income and I of 23.200 in 2021 They have two children agen 3 and 5. All members of the family have Social Security numbers, are usor de inter in the United States a year Ying had 5820 of tax withheld from her wages during the year. Michael did not work. Ying and Michael can claim the Easthey meet with for taxpayers with a qualifying child Based on earned income of $23.200. fiting jointly with two qualifying children their per the 2021 NOTE: YOU CAN USE THE EIC ASSISTANCE TOOL IN INTERNET 4,000 2.800 5,980 24,000

Answers

The exact amount of the Earned Income Credit (EIC) for Ying and Michael based on their specific circumstances can be determined using the EIC assistance tool provided by the IRS.

What is the formula for calculating the present value of a future cash flow?

The Earned Income Credit (EIC) is a tax credit available to eligible taxpayers with earned income and qualifying children.

To determine the amount of the EIC for Ying and Michael, we need to consider their filing status, earned income, and the number of qualifying children.

In this case, Ying and Michael are married filing jointly taxpayers with two qualifying children. Their earned income is $23,200.

To find the exact amount of the EIC, it's recommended to use the EIC assistance tool provided by the IRS, which takes into account additional factors such as specific deductions and credits.

Please visit the IRS website and use their EIC assistance tool to determine the precise amount of the Earned Income Credit for Ying and Michael based on their specific circumstances.

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Discuss the positive and negative impacts that the loss of
employees resulting from redundancy may have on the business.

Answers

When employees are made redundant, it can have both positive and negative impacts on the business.

What are the effects of employee redundancy on businesses?

Employee redundancy can bring about positive outcomes such as cost reduction and increased operational efficiency. By eliminating positions that are no longer necessary, the company can streamline its operations and allocate resources more effectively. Redundancy can also provide an opportunity for restructuring and realigning the organization's goals and objectives, fostering innovation and adaptation to changing market conditions.

However, the loss of employees due to redundancy can also have negative consequences. It can lead to a decline in employee morale and engagement, as remaining staff may experience increased workloads and heightened job insecurity. This can result in a loss of productivity and potential talent drain as skilled employees seek opportunities elsewhere. Furthermore, the departure of experienced employees may lead to a loss of institutional knowledge and expertise, hindering the organization's ability to maintain continuity and effectively address future challenges.

In conclusion, while redundancy can offer certain advantages to a business, such as cost savings and operational improvements, it can also have detrimental effects on employee morale, productivity, and knowledge retention. It is essential for businesses to handle redundancy processes with sensitivity and provide support to affected employees to mitigate negative impacts and maintain overall organizational performance.

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how does your new budget help you to meet your short-term goal of buying a new laptop?

Answers

My new budget helps me meet my short-term goal of buying a new laptop by allocating a specific amount of money towards saving for the purchase.

Firstly, I have analyzed my income and expenses to determine how much I can save each month without compromising my essential needs. By creating a detailed budget, I have identified areas where I can cut back on discretionary spending, such as dining out or entertainment expenses, and redirect those funds towards saving for the laptop.

Furthermore, I have set a specific savings goal and established a timeline for achieving it. This allows me to track my progress and stay motivated. I have also explored different purchasing options, comparing prices and seeking out any available discounts or promotions, to ensure that I am getting the best value for my money.

By adhering to my budget and consistently saving towards my laptop purchase, I am gradually accumulating the necessary funds. This disciplined approach ensures that I am not relying on credit or borrowing, which can lead to unnecessary debt and financial strain.

In conclusion, my new budget supports my short-term goal of purchasing a new laptop by providing a structured plan for saving money. Through careful analysis of my income and expenses, I have identified areas where I can cut back on spending and redirect those funds towards my goal. By setting a specific savings target and adhering to my budget, I am steadily accumulating the necessary funds without relying on credit or debt. This approach allows me to maintain financial stability while working towards acquiring the laptop I desire.

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Abraham Lincoln Andrew Johnson Military Reconstruction Act Black Male Suffrage Ulysses S. Grant Compromise of 1877 Terrorist Organization Dred ...

Answers

The matchup are:

Abraham Lincoln - Emancipation ProclamationAndrew Johnson - 14th AmendmentMilitary Reconstruction Act - Ulysses S. GrantBlack Male Suffrage - 15th AmendmentCompromise of 1877 - Rutherford B. HayesTerrorist Organization - Ku Klux KlanDred Scott - Roger TaneyCharles Sumner - KKK Act of 1871Swing Around the Circle - Andrew JohnsonPreston Brooks - Charles Sumner

What is the Emancipation Proclamation?

Lincoln, the 16th US President, issued the Emancipation Proclamation on Jan. 1, 1863, in the Civil War. The Emancipation Proclamation freed Confederate slaves.

The Civil War started in 1861 and was mainly about slavery and Union preservation. Lincoln prioritized Union preservation, but realized slavery's significance as war advanced. It did not  immediately free all US slaves.

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See text below

Abraham Lincoln Andrew Johnson Military Reconstruction Act Black Male Suffrage Ulysses S. Grant Compromise of 1877 Terrorist Organization Dred Scott Charles Sumner [Choose ] [Choose ] Emancipation Proclamation KKK Act of 1871 Ku Klux Klan Roger Taney 14th Amendment Rutherford B. Hayes 15th Amendment Swing Around the Circle Preston Brooks [Choose ] [Choose ] [Choose] [Choose ] [Choose ] [Choose ]

A. Outline FOUR (4) functions of the Jamaica Stock Exchange.
Stock exchanges are central trading locations, in which securities of corporations are traded.
B. Explain TWO (2) advantages and TWO (2) disadvantages of listing on the stock exchange to the corporation and its shareholders
C. Differentiate between a market order and a stop order

Answers

A. The Jamaica Stock Exchange (JSE) serves several functions:

1. Facilitating primary market offerings: The JSE enables corporations to raise capital by offering their securities, such as stocks and bonds, to the public for the first time. It provides a platform for initial public offerings (IPOs) and other forms of primary market fundraising.

2. Providing a secondary market for trading securities: The JSE acts as a marketplace where investors can buy and sell securities that are already issued. It offers a platform for the trading of stocks, bonds, and other financial instruments, allowing investors to participate in the market and providing liquidity.

3. Promoting transparency and investor protection: The JSE enforces regulations and disclosure requirements to ensure transparency and protect investors' interests. It sets listing rules, regulates market participants, and monitors trading activities to maintain fair and orderly markets.

4. Facilitating price discovery: The JSE provides a platform where the supply and demand for securities meet, allowing market participants to determine fair prices. Through the continuous trading of securities, the JSE contributes to the price discovery process, reflecting the market's perception of a company's value.

B. Advantages of listing on the stock exchange:

1. Access to capital: Listing on the stock exchange provides a corporation with access to a wide pool of potential investors who can purchase its securities. This facilitates the raising of capital for business expansion, research and development, acquisitions, and other investment opportunities.

2. Enhanced liquidity and valuation: Being listed on the stock exchange improves liquidity for the corporation's securities. Shareholders can easily buy and sell their holdings, which can lead to a more accurate valuation of the company. Increased liquidity also enhances the company's ability to attract and retain investors.

Disadvantages of listing on the stock exchange:

1. Regulatory compliance and costs: Listing on the stock exchange requires compliance with various regulations, reporting obligations, and disclosure requirements. These compliance costs can be significant, including expenses related to financial audits, legal counsel, and ongoing regulatory filings.

2. Increased scrutiny and public disclosure: Publicly listed companies face increased scrutiny from regulators, analysts, and the public. They must disclose financial information, business strategies, and other material information that may affect the company's reputation and competitive advantage. This transparency can limit the company's ability to maintain confidentiality and may expose it to more public scrutiny.

C. A market order and a stop order are two types of orders used in stock trading:

1. Market order: A market order is an instruction given by an investor to buy or sell a security at the current market price. When a market order is placed, the trade is executed immediately at the prevailing market price. The priority of a market order is to be executed as quickly as possible, rather than at a specific price. Market orders are suitable when the investor wants to quickly enter or exit a position and is less concerned about the exact price of execution.

2. Stop order: A stop order, also known as a stop-loss order, is an instruction given by an investor to buy or sell a security once its price reaches a specified level, known as the stop price. When the stop price is reached, the stop order is converted into a market order, and the trade is executed at the prevailing market price. Stop orders are used as a risk management tool to limit potential losses or protect profits by automatically triggering an order when the market moves in an unfavorable direction.

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"
A firm is considering a capital budgeting project that has an
initial out flow of $100 followed by four inflows of $32 in years
1-4 and a cash flow in year 5 of $30. Graph the NPV in EXCEL for
interest rates from 0% to 20% in increments of 2%.

Answers

The Net Present Value in Excel, you can create a table with columns for the interest rate (r), the cash flows for each year, and the NPV calculated using the NPV function. Use the initial outflow and cash inflows for years 1-4 as positive values, and the cash flow in year 5 as a negative value.

What is the purpose of graphing the NPV in Excel for interest rates ranging from 0% to 20% in increments of 2%?

The firm is evaluating a capital budgeting project with an initial cash outflow of $100 and subsequent cash inflows of $32 in each of the years 1 to 4, along with a cash inflow of $30 in year 5.

The firm wants to analyze the Net Present Value (NPV) of the project at different interest rates. To do this, they plan to create an Excel spreadsheet and graph the NPV for interest rates ranging from 0% to 20% in 2% increments.

By calculating the present value of each cash flow using the appropriate interest rate and subtracting the initial outflow, they can determine the NPV at each interest rate and observe how it changes as the interest rate varies.

This analysis will help the firm assess the profitability of the project under different interest rate scenarios.

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Suppose that Tom bought a bike from Lauren for $195. If Lauren's reservation price was $185, and Tom's reservation price was $215, the buyer's surplus from this transaction was Multiple Choice :
a. $195.
b. $10.
c. $20.
d. $215.

Answers

The buyer's surplus from this transaction was $10.

The option (B) is correct.

Buyer's surplus, also known as consumer surplus, is the financial proportion of a client's overabundance benefit. It is determined by breaking down the distinction between the buyer's readiness to pay for an item and the genuine cost they pay, otherwise called the equilibrium price.

Buyer's surplus is also called social surplus and consumer's surplus. It is the contrast between the value a purchaser follows through on for a thing and the cost he might want to pay instead of managing without it.

Given:

Seller's surplus from the transaction =  Price actually charged for the bike - Reservation price of Lauren's

= $195 - $185

= $10

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Final answer:

In this situation, the buyer's surplus, which is the difference between Tom's reservation price and what he actually paid for the bike, is $20. Therefore, the correct option is c) $20.

Explanation:

In this scenario, the buyer's surplus refers to the difference between Tom's reservation price and the actual price paid for the bike. Tom had a reservation price of $215 but paid $195 for the bike. So, the buyer's surplus for this transaction is $215 - $195 = $20. Therefore, the correct answer is c) $20.

Buyer's surplus is a concept in economics that signifies the extra utility or benefit a buyer receives when they are able to purchase a product for a price lower than the maximum they were willing to pay.

.

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1. direct labor used (recorded as factory wages payable). 2. indirect labor used (recorded as factory wages payable).

Answers

1)Direct labor refers to the cost of labor directly involved in the production of goods or the rendering of services. 2)Indirect labor refers to the cost of labor that supports the production process but is not directly involved in the manufacturing or service delivery itself.

Direct labor used (recorded as factory wages payable):

Direct labor refers to the cost of labor directly involved in the production of goods or the rendering of services. It includes the wages or salaries paid to employees who are directly engaged in the manufacturing process or providing a service. Direct labor costs are typically recorded as part of the factory wages payable account. This account represents the amount owed to employees for their direct labor contributions during a specific period.

Direct labor costs are considered a variable cost because they vary with the level of production. They can be easily traced or allocated to specific products or services.

Indirect labor used (recorded as factory wages payable):

Indirect labor refers to the cost of labor that supports the production process but is not directly involved in the manufacturing or service delivery itself. It includes the wages or salaries paid to employees who perform tasks such as maintenance, supervision, quality control, or administrative functions within the factory or organization.

Indirect labor costs are necessary for the smooth operation of the production process, but their impact on individual products or services is not easily identifiable or directly traceable. These costs are typically recorded as part of the factory wages payable account, similar to direct labor costs.

Indirect labor costs are often considered part of overhead or indirect costs, along with other expenses like utilities, rent, or depreciation. These costs are allocated to products or services using predetermined overhead rates or allocation bases, rather than directly tying them to specific units of production.

Both direct labor and indirect labor costs are essential components of the overall labor cost incurred by a company. By properly recording and tracking these costs, businesses can assess their labor-related expenses, analyze the efficiency of their production processes, and make informed decisions regarding resource allocation and pricing strategies.

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The demand for apples is given by the following equation QD =
20 - 6P and the
supply of apples is given by the equation QS
= 4P. What is the equilibrium
quantity of apples?

Answers

The equilibrium quantity of apples is 8. At this quantity, buyers are willing to pay $8 per apple, and sellers are willing to supply 8 apples at this price. This represents a point of balance between supply and demand.

To find the equilibrium quantity of apples, we need to find the point where the quantity demanded equals the quantity supplied. So, we set QD equal to QS:

20 - 6P = 4P

Simplifying this equation, we get:

20 = 10P

P = 2

Now that we have found the equilibrium price, we can plug it back into either the demand or supply equation to find the equilibrium quantity. Using the supply equation:

QS = 4(2)

QS = 8

Therefore, the equilibrium quantity of apples is 8. At this quantity, buyers are willing to pay $8 per apple, and sellers are willing to supply 8 apples at this price. This represents a point of balance between supply and demand.

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How did B Corporations survive better than similar-sized
businesses during the COVID-19 pandemic?

Answers

B Corporations are unique businesses that seek to balance social and environmental good with financial profitability. These types of corporations fared better than similar-sized businesses during the COVID-19 pandemic in a number of ways.

1. Greater Resilience: B Corporations were found to have greater resilience during the pandemic. This can be attributed to the fact that many B Corporations were already adhering to responsible business practices such as having remote work capabilities, paid sick leave, and strong supplier relationships. This put B Corporations in a better position to manage and navigate through the pandemic.

2. Customer Support: B Corporations were able to garner more customer support during the pandemic. As the public became more conscious of the social and environmental impact of their consumption, many chose to support businesses that aligned with their values. B Corporations were well-positioned to tap into this growing demand.

3. Mission Alignment: B Corporations have a clear mission of balancing social and environmental impact with profitability. This helped them make decisions during the pandemic that were in line with their mission, which in turn helped to build trust with customers and employees. As a result, B Corporations were able to attract and retain talent, even during the difficult times of the pandemic.

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For a merchandising company, the largest operating cash outflow would result from which of the following? Multiple Choice payment of interest on notes payable payment of taxes to the various government entities payments to suppliers from whom we have purchased inventory on credit payment of wages and benefits to employees

Answers

The purchase of inventory is a significant component of a merchandising company's operations.

Which cash outflow is typically the largest for a merchandising company?

Among the options provided, the largest operating cash outflow for a merchandising company would likely result from payments to suppliers from whom inventory has been purchased on credit.

This is because the purchase of inventory is a significant component of a merchandising company's operations. Suppliers often offer credit terms to allow the company to receive goods and pay for them at a later date.

As the company grows and purchases more inventory, the payments to suppliers increase accordingly, resulting in a significant cash outflow.

While payments of interest on notes payable, taxes, and wages are important cash outflows, they may not be as substantial as payments to suppliers for inventory purchases.

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If the safety stock for an item is 200 units and the lead time is 3 weeks, what should the safety stock become if the lead time is extended to 5 weeks? Answer. 258 units

Answers

When the lead time is extended to 5 weeks, the safety stock for an item should become 258 units.

The safety stock is the extra inventory a company keeps to protect itself against stockouts or shortages. It acts as a buffer to ensure that there is enough inventory to meet demand when there is a delay in the supply chain. The formula for calculating the safety stock is as follows:

Safety Stock = (Maximum Daily Usage × Maximum Lead Time in Days) – (Average Daily Usage × Average Lead Time in Days)Here, the safety stock is given as 200 units when the lead time is 3 weeks.

Let’s assume that the maximum daily usage is 50 units, and the average daily usage is 30 units. Therefore, the safety stock when the lead time is 3 weeks is:

Safety Stock = (50 units/day × 21 days) – (30 units/day × 21 days)Safety Stock = 1050 – 630 = 420 units

When the lead time is extended to 5 weeks, the safety stock becomes: Safety Stock = (50 units/day × 35 days) – (30 units/day × 35 days)

Safety Stock = 1750 – 1050 = 700 units

However, since the safety stock is already 200 units, we only need to find the additional units needed to increase it from 200 units to 700 units.

Safety Stock = 700 – 200 = 500 units

Therefore, the safety stock should become 200 + 500 = 700 units if the lead time is extended to 5 weeks.

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One function of the Federal Reserve Bank is: Select one: a. they are all true. b. lend reserves to commercial banks. c. maintain deposits (checking accounts) of the federal government. d. buy or sell securities (bonds) on the open market

Answers

One function of the Federal Reserve Bank is lend reserves to commercial banks. The correct option is b.

As the nation's central bank, the Federal Reserve Bank carries out a number of duties to advance the efficiency and stability of the financial system. Lending reserves to business banks is one of its main responsibilities.

Through the Federal Reserve's discount window where banks can borrow money to cover immediate liquidity needs this lending is carried out. The Federal Reserve contributes to the stability and efficient operation of the banking system by lending money to banks.

The Federal Reserve affects the amount of reserves in the banking system through its lending activities, which has an impact on banks capacity to meet reserve requirements and make loans to both individuals and businesses. The correct option is b.

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Match the following A model that relates the risk-return trade-offs of individual assets to market returns. A security A. Cash Flow is presumed to receive risk-free rate of return plus a premium for risk B. Beta C. Weighted Average Cost of Capita The market value of a firma s assets are less than its liabilities, and the firm has a negative D. Debenture net worth E. Bankruptcy A value equal to income after taxes plus non cash expenses. F. Capital Asset Pricing Model A theory that addresses the relative importance of debt and equity in the overall financing of G. Capital Structure Theory the firm H. Supernormal Growth 1. Standard Deviation A measure of volatility of returns on an individual stock relative to the market Superior growth of a firm may achieve during its early years, before leveling off to a more normal growth A measure of the spread or dispersion of a series of numbers around the expected value The computed cost of capital determined by multiplying the cost of each item in the optimal capital structure by its weighted representation in the overall capital structure and summing the results Moving to another question will save this response.

Answers

A model that relates the risk-return trade-offs of individual assets to market returns: F. Capital Asset Pricing Model

A security: D. Debenture

The market value of a firm's assets are less than its liabilities, and the firm has a negative net worth: E. Bankruptcy

A value equal to income after taxes plus non-cash expenses: C. Weighted Average Cost of Capital

Superior growth of a firm may achieve during its early years, before leveling off to a more normal growth: H. Supernormal Growth

A measure of volatility of returns on an individual stock relative to the market: B. Beta

A measure of the spread or dispersion of a series of numbers around the expected value: 1. Standard Deviation

The computed cost of capital determined by multiplying the cost of each item in the optimal capital structure by its weighted representation in the overall capital structure and summing the results: G. Capital Structure Theory

The Capital Asset Pricing Model (CAPM) is a model that relates the risk-return trade-offs of individual assets to market returns. It helps in understanding the expected return of an asset based on its riskiness relative to the overall market.

Debenture refers to a type of security that represents a loan or debt issued by a company or government entity. It typically carries a fixed interest rate and has a specified maturity date.

Bankruptcy occurs when a firm's liabilities exceed its assets, resulting in a negative net worth. It signifies financial distress and an inability to meet financial obligations.

Weighted Average Cost of Capital (WACC) is a calculation of the average cost of funds used by a company to finance its operations. It considers the cost of both debt and equity and their respective weights in the capital structure.

Supernormal Growth refers to a phase in a firm's life cycle where it experiences exceptionally high growth rates, which eventually taper off to more sustainable levels.

Beta is a measure of the volatility of returns on an individual stock relative to the overall market. It indicates the stock's sensitivity to market movements.

Standard Deviation measures the spread or dispersion of a series of numbers around the expected value. In finance, it is commonly used to assess the volatility or risk of an investment.

Capital Structure Theory addresses the relative importance of debt and equity in the overall financing of a firm. It explores the optimal mix of debt and equity that minimizes the cost of capital and maximizes firm value.

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A patient believes that they face two possible states of health in the coming year, poor health with a probability of 20%, in which the anticipated yearly costs will be $10,000. There’s the state of good health, with a probability of 80% which will cost them $5,000. Let’s say the insurance policy offered to this patient costs $7,500 for the year. (3 points) Is this policy actuarially fair? Why or why not? (3 points) What is the policy’s loading factor?

Answers

The policy's loading factor is 25%, indicating that the premium charged for the insurance is 25% higher than the expected value of the health costs.

Expected value of the health costs = (Probability of poor health × Cost of poor health) + (Probability of good health × Cost of good health)

Expected value = (0.20 × $10,000) + (0.80 × $5,000)

Expected value = $2,000 + $4,000

Expected value = $6,000

The annual cost of insurance is $7,500 which is more than the $6,000 estimate for health care expenses. As a result of the insurance policy's cost exceeding the expected value of health costs it is not actuarially fair.

Loading factor = (Insurance cost - Expected value of health costs) / Expected value of health costs

Loading factor = ($7,500 - $6,000) / $6,000

Loading factor = $1,500 / $6,000

Loading factor ≈ 0.25 or 25%

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Question 49 What is the unfreezing stage for change? Unfreezing is a deliberate management activity to prepare people for change Unfreezing is a theory that suggests people change only when needs are met Unfreezing involves making decisions at the highest level first Unfreezing is the process of identifying what areas need change 2 pts

Answers

Unfreezing is a deliberate management activity that is a crucial step to prepare people for change. It is the first stage in the change process, which involves preparing the employees for a change that is going to occur in the organization.

Unfreezing is a process of understanding the current state of the organization, which can be achieved through gathering data and analyzing it. Unfreezing is a crucial stage in change management, as it enables organizations to identify and overcome the resistance to change that may arise among employees.

The process of unfreezing starts with understanding the current state of the organization, analyzing the data and identifying areas where change is required.

The management team should then develop a strategy for change, which includes communicating the change to the employees, setting goals and objectives, and defining the roles and responsibilities of employees in the change process.

This is a crucial step in preparing employees for the change that is going to occur in the organization, as it helps them to understand the rationale behind the change and its importance to the organization.

Upon understanding the current state of the organization, management can develop a strategy that involves a detailed communication plan, goal setting, and defining the roles and responsibilities of employees in the change process.

Management should also consider the impact of the change on the employees and identify any potential resistance to change that may arise.

Unfreezing is a crucial stage in change management, as it helps organizations to overcome the resistance to change and ensure a smooth transition to the new way of working.

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MSI is considering outsourcing the production of the handheld control module used with some of its products. The company has received a bid from Monte Legend Co. (MLC) to produce 22,000 units of the module per year for $26.00 each. The following information pertains to MSI’s production of the control modules:
MSI has determined that it could eliminate all variable costs if the control modules were produced externally, but none of the fixed overhead is avoidable. At this time, MSI has no specific use in mind for the space that is currently dedicated to the control module production.
1) Compute the difference in cost between making and buying the control module.
2) Should MSI buy the modules from MLC or continue to make them?
3) Suppose that the MSI space currently used for the modules could be utilized by a new product line that would generate $40,000 in annual profit. Recompute the difference in cost between making and buying under this scenario.
4) Does this change your reccomendation to MSI?

Answers

1) The difference in cost between making and buying the control module -$22.00 per unit. 2) MSI must buy the modules from MLC. 3) It would be effective to buy the modules from MLC. 4) The recommendation would be same that MSI should continue to buy the control modules from MLC.

1) To compute the difference in cost between making and buying the control module, we need to compare the costs of producing the modules internally (making) with the cost of purchasing them from Monte Legend Co. (buying).

Here are the relevant details for the calculation:

   Number of units: 22,000

   Cost per unit from MLC: $26.00

   Difference in cost between making and buying:

   To calculate the difference in cost, we need to consider both the variable costs and the fixed overhead costs.

Variable costs per unit: Since MSI can eliminate all variable costs by outsourcing, the variable cost per unit for making is $0.00.

Fixed overhead costs: These costs cannot be avoided even if MSI buys the modules from MLC. Therefore, the fixed overhead costs for making will be included in the cost comparison.

Let's assume that the fixed overhead cost per unit for making is $4.00.

The difference in cost between making and buying is calculated as follows:

Difference in cost = (Variable cost per unit for making + Fixed overhead cost per unit for making) - Cost per unit from MLC

Difference in cost = ($0.00 + $4.00) - $26.00

Difference in cost = $4.00 - $26.00

Difference in cost = -$22.00

The difference in cost between making and buying is -$22.00 per unit. This indicates that it is $22.00 cheaper to buy the modules from MLC than to produce them internally.

 2)  Recommendation:

   Based on the cost difference calculation, MSI should buy the control modules from MLC since it is more cost-effective than producing them internally.

 3)  Considering the potential profit from utilizing the space:

   If the space currently used for module production can be utilized for a new product line generating $40,000 in annual profit, we need to factor in this opportunity cost in the cost comparison.

In this scenario, the fixed overhead costs for making will still be included, but now there is an additional profit of $40,000 that could be earned by utilizing the space.

Revised difference in cost = (Variable cost per unit for making + Fixed overhead cost per unit for making + Opportunity cost per unit) - Cost per unit from MLC

Let's assume that the opportunity cost per unit is $40,000 divided by the number of units, which is $40,000 / 22,000 = $1.82.

Revised difference in cost = ($0.00 + $4.00 + $1.82) - $26.00

Revised difference in cost = $5.82 - $26.00

Revised difference in cost = -$20.18

The revised difference in cost between making and buying is -$20.18 per unit. Even after considering the opportunity cost, it is still more cost-effective to buy the modules from MLC.

 4.  Recommendation:

   Considering the revised difference in cost, which is still negative, the recommendation remains the same. MSI should continue to buy the control modules from MLC as it is more cost-effective than producing them internally, even when accounting for the opportunity cost of utilizing the space for a new product line.

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Which of the following situations would be considered frictional unemployment? Choose one or more: O A, A software development firm finds the perfect employee, but it waits to hire her because government regulations require the government to consider other candidates before the firm makes a job offer O B. Arecent college graduate takes a month off to travel while deciding between two job offers. O C. A worker in a textile factory loses her job when manufacturing is mechanized. O D. A worker with ten years of experience in finance gets laid off. He has rejected three job offers because they are below his skill level. O E. A town is devastated when a slow global economy causes the local auto manufacturer to close its factor

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The situations that would be considered frictional unemployment are B and D.

B. A recent college graduate taking a month off to travel while deciding between two job offers is an example of frictional unemployment. Frictional unemployment occurs when individuals are between jobs, voluntarily unemployed, or searching for better job opportunities.

In this case, the college graduate is temporarily unemployed while considering the job offers, actively searching for the most suitable position. This type of unemployment is often short-term and a natural part of the job search process.

D. A worker with ten years of experience in finance getting laid off but rejecting three job offers because they are below his skill level is another example of frictional unemployment.

The other situations mentioned do not align with frictional unemployment:

A. Government regulations delaying the hiring process does not involve individuals searching for new job opportunities or voluntarily being between jobs.

C. The worker losing her job due to mechanization in a textile factory represents structural unemployment, which occurs when there is a mismatch between the skills of workers and the available job opportunities.

E. The town being devastated due to the closure of a local auto manufacturer reflects structural unemployment and the impact of a declining industry, rather than individuals being temporarily between jobs. Option B and D

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Given the acquisition cost of product Z is $32, the cost to complete product Z is $9.00, the cost to sell product Z is $5, and the selling price for product Z is $50.00, what is the proper per unit inventory price for product Z? O $32. $45. O $36. O $41.

Answers

The proper per unit inventory price for product Z is $32. Option A is correct.

In the given information, the cost to complete and cost to sell are provided, but they are not relevant to determining the proper per unit inventory price. The selling price and net realizable value are also mentioned, but they are not required to calculate the inventory price in this context.

The normal profit and replacement cost mentioned in the additional information are not necessary for this calculation either. The per unit inventory price should consider the acquisition cost, cost to complete, cost to sell, and desired profit.

In this case, the acquisition cost of product Z is $32, and there is no mention of any additional costs or adjustments. Therefore, the proper per unit inventory price is equal to the acquisition cost of $32.

Option a, $32, is the correct answer.

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Do you think organizational purchasers should behave like
entrepreneurs? Why or why not? (Word Limit- minimum 500 words)

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The question of whether organizational purchasers should behave like entrepreneurs depends on the specific context and goals of the organization. While there may be some similarities in certain aspects, it is not necessary for organizational purchasers to fully adopt an entrepreneurial mindset in all situations.

Entrepreneurs are typically driven by innovation, risk-taking, and a focus on growth and opportunity. They are often willing to take calculated risks and pursue new ventures with limited resources. On the other hand, organizational purchasers are responsible for procuring goods and services for their organization in a cost-effective and efficient manner. Their primary focus is to meet the needs of the organization while maintaining financial stability and minimizing risks.

Therefore, the extent to which organizational purchasers should behave like entrepreneurs depends on the organizational culture, industry dynamics, and strategic goals.

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What data would be needed for individual stocks in order to calculate monthly book to market factor returns for 2021? Explain in steps exactly how book to market factor monthly returns might be calculated for 2021.

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To calculate monthly book to market factor returns, data on monthly stock prices and book values of equity is needed. The process involves calculating market values, book to market ratios, and monthly returns.

To calculate monthly book to market factor returns for individual stocks in 2021, the following data would be needed:

1. Monthly stock prices for each stock.

2. Monthly book values of equity (common shareholders' equity) for each stock.

Steps to calculate monthly book to market factor returns for 2021:

1. Obtain the monthly closing prices for each stock.

2. Calculate the market value of equity (MVE) by multiplying the closing price of each stock by its outstanding shares for each month.

3. Obtain the monthly book values of equity (BE) for each stock.

4. Calculate the book to market ratio (BE/ME) by dividing the book value of equity by the market value of equity for each month.

5. Calculate the monthly book to market factor return by taking the difference in the book to market ratio between the current month and the previous month.

6. Repeat steps 4 and 5 for each stock to obtain the monthly book to market factor returns for all individual stocks.

By following these steps for each stock, you can calculate the monthly book to market factor returns for 2021. These returns provide insights into the relative valuation of stocks based on their book value compared to their market value.

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name the five (5) key characteristics to consider in the development and implementation of a supplier relationship management system

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When developing and implementing a supplier relationship management system, it is important to consider the following key characteristics:

Communication and Collaboration: The system should facilitate effective communication and collaboration between the buyer and the supplier. It should provide channels for sharing information, resolving issues, and aligning goals.Performance Metrics and Evaluation: The system should include mechanisms for measuring supplier performance using relevant metrics. It should enable tracking key performance indicators, conducting evaluations, and providing feedback to improve supplier performance.Contract and Relationship Management: The system should support contract management activities, such as creating and maintaining contracts, monitoring compliance, and managing contract renewals. It should also facilitate relationship-building efforts to foster mutually beneficial partnerships.

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A $32,175 portfolio is invested in a risk-free security and two
stocks. The beta of Stock A is 1.68 while the beta of Stock B is
0.92. One-half of the portfolio is invested in the risk-free
security.

Answers

The allocation in the portfolio would be approximately $8,043.75 invested in Stock A and $7,043.75 invested in Stock B.

How would the allocation change if the beta of Stock A increased to 2.0?

To find the allocation of the portfolio, we can start by determining the remaining half of the portfolio that is invested in stocks. Let's denote the amount invested in Stock A as X, and the amount invested in Stock B as Y. Since one-half of the portfolio is invested in the risk-free security, the other half is allocated to the stocks. Therefore, we have X + Y = $16,087.5 (half of the portfolio's value).

Next, we can use the beta values to calculate the weightage of each stock in the portfolio. The weightage of Stock A is given by its beta divided by the sum of both stock betas, which gives us Stock A's weightage as 1.68 / (1.68 + 0.92). Similarly, the weightage of Stock B is 0.92 / (1.68 + 0.92).

Finally, we can determine the amount invested in each stock by multiplying their respective weightages by the remaining half of the portfolio. Therefore, the amount invested in Stock A is (Stock A's weightage) * ($16,087.5), and the amount invested in Stock B is (Stock B's weightage) * ($16,087.5).

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Which Visualization will be used in the given Scenarios? 1. To show aggregated sales totals across a range of product categories and subcategories 2. To show the duration of events or activities 3. To show quarter wise profit growth 4. You have roughly four or fewer wedges and the wedges are either really different from one another or are really similar to each other 5. You have more than four categories in your dataset, and categories are really different from one another

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Data visualization refers to the technique of representing data through images and graphical interfaces. Here are some examples of data visualizations based on given scenarios:

1. To show aggregated sales totals across a range of product categories: To display an overview of the total sales across various product categories, a stacked bar graph or a stacked area chart could be used. This visualization will demonstrate the overall sales figures for each product category and will allow you to compare them.2. To show the duration of events or activities: To exhibit the duration of events or activities, a timeline or Gantt chart could be used. This visualization will allow you to visualize the duration of activities with the help of horizontal bars.3. To show quarter wise profit growth: To show profit growth quarter-wise, a line chart could be used. A line chart is the most popular visualization technique for analyzing trends over time.4. You have roughly four or fewer wedges and the wedges are either really different from one another or are really similar to each other: To represent data with four or fewer wedges, a pie chart could be used. This visualization technique is perfect for presenting percentages in relation to a whole.5. You have more than four categories in your dataset, and categories are really different from one another: To show more than four categories in your dataset, a tree map visualization could be used. This technique helps to represent large datasets in a visually appealing and easy-to-understand manner.

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Company. She Knows She Will Receive A $1.50 Dividend Each Quarter. Given This, You Know For Sure That She Purchased Which Type Of Stock? (Points : 1) Preferred Common Blue Chip Growth Penny 12. (TCO 5) A Very Safe Investment That Generally Attracts
11. (TCO 5) Lindsey Holt owns stock in the Galloway Gems Company. She knows she will receive a $1.50 dividend each quarter. Given this, you know for sure that she purchased which type of stock? (Points : 1) Preferred Common Blue chip Growth Penny 12. (TCO 5) A very safe investment that generally attracts conservative investors is called a(n) _____ stock. (Points : 1) penny cyclical growth small cap blue chip 13. (TCO 5) One option for long-term corporate financing is equity financing, and this is a popular choice because (Points : 1) a lender is always available to provide this type of financing. it does not cost anything to sell in the primary market. repayment doesn't have to be made for 10 years or more. only interest must be paid for the first 5 years. it does not have to be repaid. 14. (TCO 5) Dividends will remain with the stock until (Points : 1) 5 days after the date of record. two business days after the date of record. 5 days before the date of record. two business days before the date of record. 5 days before the actual payment date. 15. (TCO 5) What is the approximate market value for a $1,000 corporate bond that pays 7% interest when comparable bonds are paying 8% interest? (Points : 1) $800 $875 $70 $1,142 $1,000 16. (TCO 5) The _____ describes legal conditions for a corporate bond. (Points : 1) trustee contract bondholder's covenant bond indenture corporate charter bond debenture 17. (TCO 5) A _____ bond is unsecured and gives bondholders a claim secondary to that of other designated bondholders with respect to both income and assets. (Points : 1) subordinated debenture mortgage debenture preemptive Treasury 18. (TCO 5) A _____ is a bond typically secured by assets. (Points : 1) debenture bond corporate bond mortgage bond preemptive bond Treasury bond 19. (TCO 5) If a corporation is allowed to buy outstanding bonds from current bondholders before the maturity date, this is referred to as (Points : 1) a flexible bond. a convertible option. a call feature. a free purchase. a guarantee. 20. (TCO 5) A _____ bond is registered in the owner's name by the issuing company. (Points : 1) certified coupon general obligation zero-coupon registered

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Lindsey Holt purchased preferred stock because she knows she will receive a fixed dividend of $1.50 each quarter. A very safe investment that generally attracts conservative investors is called a blue chip stock.

Equity financing is a popular choice for long-term corporate financing because it does not have to be repaid and there is no interest payment required. Dividends will remain with the stock until two business days before the date of record. The approximate market value for a $1,000 corporate bond that pays 7% interest when comparable bonds are paying 8% interest is $875. The legal conditions for a corporate bond are described in the bond indenture. A subordinated debenture bond is unsecured and gives bondholders a claim secondary to that of other designated bondholders with respect to both income and assets. A mortgage bond is typically secured by assets. If a corporation is allowed to buy outstanding bonds from current bondholders before the maturity date, this is referred to as a call feature. A registered bond is registered in the owner's name by the issuing company.

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Lohn Corporation is expected to pay the following dividends over the next four years: $11, $7, $2, and $1. Afterward, the company pledges to maintain a constant 5 percent growth rate in dividends forever. If the required return on the stock is 11 percent, what is the current share price?

Answers

The current share price of Lohn Corporation is $87.06.

The Gordon model or constant growth model for determining the intrinsic value of a stock is as follows:

PV = D / (r - g)

where: PV = the present value of the expected future dividends, D = the expected dividend in the next period, r = the required rate of return, and g = the expected growth rate of the dividends.

Calculate the present value of the expected future dividends by plugging in the figures:

PV = $11 / (1 + 0.11)¹ + $7 / (1 + 0.11)² + $2 / (1 + 0.11)³ + $1 / (1 + 0.11)⁴ + ($1 × 1.05) / (0.11 - 0.05) = $87.06 (rounded to the nearest cent)

Therefore, the current share price is $87.06.

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Marian Plunket owns her own business and is considering an investment. If she undertakes the investment, it will pay $4,080 at the end of each of the next 3 years The opportunity requires an initial investment of $1,020 plus an additional investment at the end of the second year of $5,100. What is the NPV of this opportunity if the interest rate is 2.2% per year? Should Marian take it? What is the NPV of this opportunity if the interest rate is 2.2% per year? The NPV of this opportunity is $ (Round to the nearest cent.)

Answers

The NPV concerning this opportunity, accompanying an interest rate of 2.2% per year, is $15,811.04.

How to Solve for NPV?

To calculate the net present value (NPV) of the investment opportunity, we need to discount the future cash flows to their present advantage and subtract the beginning investment.

Given:

Initial expenditure: $1,020Additional investment last of the second year: $5,100Cash flow in the end of each of the next 3 years: $4,080

The interest is 2.2% occurring. We'll use this rate to discount the cash flows.

Let's calculate the present value (PV) of each cash flow:

Year 1: PV = $4,080 / (1 + 0.022)^1

Year 2: PV = $4,080 / (1 + 0.022)^2

Year 3: PV = $4,080 / (1 + 0.022)^3

The additional investment at the end of the second period does not need expected discounted because it's already at the time.

Now, let's calculate the NPV:

NPV = -Initial Investment + PV of Year 1 + PV of Year 2 + PV of Year 3 + Additional Investment

NPV = -$1,020 + $4,080 / (1 + 0.022)^1 + $4,080 / (1 + 0.022)^2 + $4,080 / (1 + 0.022)^3 + $5,100

Calculating the values:

NPV = -$1,020 + $3,994.52 + $3,910.42 + $3,827.10 + $5,100

NPV = $15,811.04

Therefore, the NPV concerning this opportunity, accompanying an interest rate of 2.2% per year, is $15,811.04.

Since the NPV is positive, it displays that the investment freedom is expected to create a return greater than the required rate of return (2.2%). Therefore, Marian endure take this opportunity.

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in early january 2017, newtech purchases computer equipment for $154,000 to use in operating activities for the next four years. it estimates the equipment’s salvage value at $25,000. Prepare a table showing depreciation and book value for each of the four years assuming double-declining-balance depreciation. (Enter all amounts positive values.)

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The table summarizing the depreciation and book value for each year is as follows: Year Depreciation Expense Book Value 1 $77,000 $77,000,  2 $38,500 $38,500,  3 $19,250 $19,250 , 4 $9,625 $9,625.

To calculate the depreciation and book value for each year using the double-declining-balance method, we need to determine the depreciation rate and apply it to the initial cost of the computer equipment. The depreciation rate is twice the straight-line depreciation rate.

Given:

Purchase cost: $154,000

Salvage value: $25,000

Estimated useful life: 4 years

Year 1:

Depreciation rate = (1 / Useful life) * 2 = (1 / 4) * 2 = 0.5

Depreciation expense = Depreciation rate * Initial cost = 0.5 * $154,000 = $77,000

Book value = Initial cost - Depreciation expense = $154,000 - $77,000 = $77,000

Year 2:

Depreciation expense = Depreciation rate * Book value (previous year) = 0.5 * $77,000 = $38,500

Book value = Book value (previous year) - Depreciation expense = $77,000 - $38,500 = $38,500

Year 3:

Depreciation expense = Depreciation rate * Book value (previous year) = 0.5 * $38,500 = $19,250

Book value = Book value (previous year) - Depreciation expense = $38,500 - $19,250 = $19,250

Year 4:

Depreciation expense = Depreciation rate * Book value (previous year) = 0.5 * $19,250 = $9,625

Book value = Book value (previous year) - Depreciation expense = $19,250 - $9,625 = $9,625

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