the economic downturn that began in 2008 resulted in negative consequences, including what?

Answers

Answer 1

The economic downturn that began in 2008, commonly referred to as the global financial crisis, had several negative consequences, including:

Financial institution failures: The crisis led to the collapse or near-collapse of major financial institutions, including banks, investment firms, and insurance companies. This resulted in significant disruptions to the financial system and raised concerns about the stability of the global banking sector.

Stock market declines: Stock markets around the world experienced sharp declines during the crisis, erasing trillions of dollars in market value. Investors suffered substantial losses, leading to a decrease in consumer and investor confidence.

Economic recession: The financial crisis triggered a global recession, marked by a significant decline in economic activity. Many countries experienced a contraction in their GDP, rising unemployment rates, and reduced consumer spending. The recession had widespread negative effects on businesses, individuals, and governments, with lasting impacts on job markets and household incomes.

Housing market collapse: One of the primary factors that triggered the crisis was the bursting of the housing bubble in the United States. As home prices plummeted, millions of homeowners found themselves with negative equity, unable to meet mortgage payments, and facing foreclosure. The housing market collapse had ripple effects throughout the economy, impacting construction, real estate, and related industries.

Government bailouts and fiscal strain: Governments worldwide had to intervene to stabilize the financial system by providing bailouts and financial support to struggling institutions. These actions put a significant strain on public finances and increased government debt levels. Governments implemented various measures, including stimulus packages and austerity measures, to mitigate the effects of the crisis and promote economic recovery.

Global economic slowdown: The financial crisis had a domino effect on the global economy, leading to a slowdown in trade and investment. Many countries experienced reduced exports and foreign direct investment, contributing to a broader global economic downturn.

Social and human impacts: The economic downturn resulted in job losses, reduced incomes, and increased poverty levels. Many individuals and families faced financial hardship, struggling to meet their basic needs. Social welfare systems were strained, and inequality widened as the most vulnerable populations were disproportionately affected.

Overall, the economic downturn that began in 2008 had far-reaching negative consequences, impacting the financial system, economies, businesses, individuals, and governments worldwide. It highlighted the interconnectedness and vulnerabilities of the global economy and triggered significant policy and regulatory changes aimed at preventing similar crises in the future.

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Related Questions

We can produce widgets with two inputs - labour and capital. The two inputs are perfect substitutes. Current technology methods allow one machine to do the work of three labourers. The widget factory wishes to produce one hundred units of output. The price of capital is $750 per machine per week. What combination of inputs will the firm use if the weekly salary of each worker is $300? What combination of inputs will the firm use if the weekly salary of each worker is $225?
Draw isocost line to help structure your thinking.

Answers

In the first scenario where the weekly salary of each worker is $300, the firm will use a combination of labor and capital inputs that minimizes the cost of production. In the second scenario with a lower weekly salary of $225 per worker, the firm will adjust its input combination to maintain cost efficiency for the change in labor costs.

To determine the optimal combination of inputs, we can use an iso cost line. The iso cost line represents all the combinations of labor and capital that can be purchased for a given total cost. The slope of the iso cost line is determined by the relative prices of labor and capital.

In the first scenario, with a weekly salary of $300 per worker, we can calculate the cost of labor as $300 multiplied by the number of workers required to produce 100 units of output. The cost of capital is calculated as the price of one machine multiplied by the number of machines needed. By finding the combination of labor and capital inputs that minimizes the total cost while achieving the desired output, we can determine the optimal input combination.

Similarly, in the second scenario, with a weekly salary of $225 per worker, the firm will adjust its input combination to minimize costs while accounting for the lower labor cost. This adjustment may involve using fewer workers and more capital to maintain cost efficiency.

Drawing an Iso cost line helps visualize the feasible input combinations given the total cost constraint. By comparing the iso cost lines for the two scenarios, the firm can identify the optimal input combination for each labor cost level, balancing production output and cost efficiency.

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which company became international business machines what did they sell

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The company that became International Business Machines (IBM) originally started as the Computing-Tabulating-Recording Company (CTR) and later transformed into IBM. They initially sold a range of products, including time clocks, tabulating machines, and scales.

IBM's origins trace back to the Computing-Tabulating-Recording Company, which was formed in 1911 through the merger of three smaller companies: the Tabulating Machine Company, the International Time Recording Company, and the Computing Scale Company. These companies produced and sold various mechanical devices used for recording and tabulating data, such as employee time clocks, tabulating machines for data processing, and scales for weighing goods.

Over the years, as the company evolved and expanded its operations, it underwent a name change in 1924, becoming the International Business Machines Corporation (IBM). With the transition to IBM, the company continued to develop and sell a wide range of products and services related to data processing, including punch card systems, mainframe computers, personal computers, software, and various technological solutions for businesses and organizations. Today, IBM is a multinational technology company with a diverse portfolio of products and services, including cloud computing, artificial intelligence, data analytics, cybersecurity, and enterprise software solutions.

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1- A bond is priced in the market at $1,150 and has a coupon of 8%. Calculate the bond’s

current yield.

2- A $1,000 par value bond with a 7.25% coupon rate (semiannual interest) matures in seven

years and currently sells for $987. What is the bond’s yield to maturity and bond equiva-
lent yield?

3- You notice in the WSJ a bond that is currently selling in the market for $1,070 with a

coupon of 11% and a 20-year maturity. Using annual compounding, calculate the prom-
ised yield on this bond.

Answers

the promised yield on this bond is approximately 10.28%.

1) To calculate the bond's current yield, you need to divide the annual coupon payment by the market price of the bond and express it as a percentage.

Current Yield = (Annual Coupon Payment / Market Price) * 100

In this case, the bond has a coupon of 8% and is priced at $1,150.

Annual Coupon Payment = 8% of $1,000 (par value) = $80

Market Price = $1,150

Current Yield = ($80 / $1,150) * 100 = 6.96%

Therefore, the bond's current yield is approximately 6.96%.

2) To calculate the bond's yield to maturity and bond equivalent yield, we can use financial calculators or spreadsheet functions such as the IRR (Internal Rate of Return) or YIELD function. However, as an alternative approach, we can approximate the yield to maturity by using the following steps:

Step 1: Calculate the annual interest payment by multiplying the coupon rate by the par value.

Annual Interest Payment = 7.25% of $1,000 = $72.50

Step 2: Determine the number of periods until maturity. Since it is a semiannual interest payment and the bond matures in 7 years, there will be 14 periods (7 years * 2).

Step 3: Calculate the semiannual discount rate by dividing the difference between the par value and the market price by the number of periods.

Semiannual Discount Rate = (Par Value - Market Price) / Number of Periods

                     = ($1,000 - $987) / 14

                     = $13 / 14

Step 4: Multiply the semiannual discount rate by 2 to get the annual yield to maturity.

Yield to Maturity = Semiannual Discount Rate * 2

                = ($13 / 14) * 2

Step 5: Calculate the bond equivalent yield by doubling the annual yield to maturity.

Bond Equivalent Yield = Yield to Maturity * 2

Using this approach, you can calculate the approximate yield to maturity and bond equivalent yield for the given bond.

3) To calculate the promised yield on the bond, we can use the following formula:

Promised Yield = (Coupon Payment / Market Price) * 100

In this case, the bond has a coupon of 11% and is priced at $1,070.

Coupon Payment = 11% of $1,000 (par value) = $110

Market Price = $1,070

Promised Yield = ($110 / $1,070) * 100 = 10.28%

Therefore, the promised yield on this bond is approximately 10.28%.

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Traditional styles of leadership are changing day by day with the new practices and exercises in the field of leadership. True or False

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True. Traditional styles of leadership are indeed changing with the introduction of new practices and exercises in the field.

The field of leadership has been evolving as new research, insights, and trends emerge. Traditional styles of leadership, which often focused on hierarchical structures, command and control, and top-down decision-making, are being challenged and replaced with more modern and effective approaches. These new practices emphasize collaboration, empowerment, inclusivity, and adaptability.

Leaders are now encouraged to foster a supportive and inclusive work environment, promote employee engagement and development, and embrace change and innovation. These shifts in leadership practices are driven by the changing needs and expectations of the workforce, the recognition of the value of diverse perspectives, and the increasing complexity and dynamism of the business landscape.

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Suppose a firm is facing the possibility of a necessary dividend rate cut because of poor economic condition. Suppose further that you are a member of the firm’s board of directors. How would you respond to the argument of another board member that the firm should publicly deny the possibility of such a cut until the board has decided that the cut is an unavoidable necessity?

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If a firm is facing the possibility of a necessary dividend rate cut due to poor economic condition and a board member argues that the firm should publicly deny the possibility of such a cut until the board has decided that the cut is an unavoidable necessity, it is important to consider the ethical implications of such a decision.

What is  the reason?

Here are some possible responses that a board member could give:

1. Honesty and transparency are essential in maintaining the trust and confidence of shareholders and other stakeholders in the firm.

By denying the possibility of a dividend cut, the firm would be withholding important information from its investors and misleading them about the true financial condition of the company. This could damage the firm's reputation and lead to legal or regulatory consequences.

2. In the long run, it may be more beneficial for the firm to be upfront about its financial situation and work towards finding a solution that is in the best interests of all stakeholders. By acknowledging the possibility of a dividend cut, the firm can signal to investors that it is taking steps to address its financial challenges and is committed to ensuring the long-term sustainability of the company. This could help to maintain investor confidence and avoid a potential backlash if the cut were to be announced suddenly.

3. The board has a responsibility to act in the best interests of the firm and its stakeholders, which may require making difficult decisions in the face of economic uncertainty.

While it may be tempting to delay the announcement of a dividend cut until it becomes absolutely necessary, this could create more problems in the long run and ultimately harm the company's prospects.

It is better to be proactive and transparent about the firm's financial situation, even if it means acknowledging the possibility of a dividend cut.

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Beth and Maria are two farmers with similar endowments of capital and labor, but their land differs in terms of productivity. Beth can produce 12 pounds of apples and 10 pounds of potatoes in a day, while Maria can produce 8 pounds of apples and 8 pounds of potatoes per day. According to the Ricardian theory, which of the following is true?

Group of answer choices

Beth has an absolute advantage in both apples and potatoes, but Maria has a comparative advantage in potatoes. So Beth should specialize in the production of apples, and exchange them for Maria’s potatoes.

Beth has an absolute advantage in both apples and potatoes, but Maria has a comparative advantage in apples. So Beth should specialize in the production of potatoes, and exchange them for Maria’s apples.

Beth has an absolute and a comparative advantage in both apples and potatoes, so Beth would be worse off if she specialized and traded with Maria.

Beth has an absolute advantage and a comparative advantage in apples, so Beth should specialize in the production of apples and exchange them for Maria’s potatoes.

Answers

According to the Ricardian theory, Beth has an absolute advantage and a comparative advantage in apples, so Beth should specialize in the production of apples and exchange them for Maria’s potatoes is true.

What is Ricardian theory?

The Ricardian theory of comparative advantage is an economic theory that explains the possibility of economic benefits for all parties involved in international trade as a result of the comparative advantages that are evident in different regions. According to this theory, the country that produces a certain product at a lower opportunity cost than the other country has a comparative advantage in the production of that product.

What is the law of absolute advantage?

The law of absolute advantage states that an economy will benefit if it depends in the production of that commodity in which it has absolute advantage in production. If each country expertised in the production of a certain commodity and then trades that commodity with other countries, there will be mutual benefits.

Based on the above explanation, it can be concluded that according to the Ricardian theory, Beth has an absolute advantage and a comparative advantage in apples, so Beth should specialize in the production of apples and exchange them for Maria’s potatoes.

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Question 20 • Non-statistical sampling is appropriate: 1. When the population is heterogeneous. 2. When the client's internal controls are poor. 3. When the population size is small. 4. All of the above.
Options
a) 1
b) 2
c) 3
d) 4

Answers

Non-statistical sampling is appropriate when the population is heterogeneous, when the client's internal controls are poor, and when the population size is small. Therefore, the correct option is (d) all of the above

.In non-statistical sampling, the auditor does not utilize random selection methods. Instead, the auditor depends on their judgement or intuition to select items from the population. Non-statistical sampling is best used in cases where the population is heterogeneous, or the internal controls of the client are poor, or the population size is small.Non-statistical sampling is useful for the auditor as it is simple to implement and less time-consuming. It is also used when there is a limited availability of data or information from which the auditor can select samples.Non-statistical sampling involves several methods such as haphazard selection, block selection, and judgmental selection. The auditor selects the items for testing in a haphazard selection by merely selecting a sample that is easy to access or that is near. In block selection, the auditor selects specific units from the population. Finally, judgmental selection is used when the auditor uses their judgement to select items that they deem significant in relation to the assertion being tested.The use of non-statistical sampling enables auditors to use their judgement to select items that are more relevant to the assertion being tested and to focus on the high-risk areas of the population, thereby enhancing audit quality.

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XYZ Co. issued 5,000 stocks of NO-PAR value common stock to its promoters in exchange for their efforts, estimated to be worth $15,000.
Required:
Journal entry to record the issuance of stocks.
Important Note:
• Answer layout (Account Amount, Debit or Credit).
• Write inside the box below, do not upload any file. Use the editor to format your answer

Answers

Common Stock (No-Par Value)  $15,000  Debit                                       Promoters' Contribution        $15,000  Credit

The journal entry to record the issuance of 5,000 stocks of NO-PAR value common stock to the promoters would involve debiting the Common Stock (No-Par Value) account and crediting the Promoters' Contribution account for the corresponding amounts.

- Common Stock (No-Par Value): This account represents the equity component of the company and reflects the value of the common stock issued. It is debited to increase the balance and record the issuance of the stocks.

- Promoters' Contribution: This account represents the value received from the promoters in exchange for their efforts. It is credited to record the contribution made by the promoters in the form of services, which is equivalent to the estimated value of $15,000.

By recording this journal entry, the company recognizes the issuance of common stock to the promoters and properly reflects the value contributed by them.

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On May 1, The Company borrows $150,000 from West Bank by signing a 6-month, 10%, interest-bearing note a. Prepare the necessary entries on May 1 associated with the note payable on the books of The Company b. Prepare any adjusting entries necessary on June 30 in order to prepare the semiannual Ananda statements. Assume no other interest accrual entries have been made.

Answers

The entry represents the liability of the interest payable at the end of the period for the all the Company's borrowings.

On May 1, The Company borrows $150,000 from West Bank by signing a 6-month, 10%, interest-bearing note. The following is the necessary entry on May 1 associated with the note payable on the books of The Company.

Note Payable Account  $150,000

West Bank Account  $150,000

This note payable is an interest-bearing note, thus the entry shows no interest amount and the $150,000 cash received by the company.

A semiannual Ananda statement is a six-month report, which is due at the end of each six months.

Here, we have to prepare the adjusting entries on June 30.

The six-month period begins on May 1 and ends on October 31.

This note payable carries a 10% interest rate. So, the total interest for the six-month period will be;

($150,000 x 10% x 6/12) = $7,500.00

Interest Expense Account  $7,500

Interest Payable Account  $7,500($150,000 x 10% x 6/12) = $7,500.00 shows the interest amount paid for the six-month period.

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Donie, CEO of a multinational tourism and leisure company, is researching cross-country differences in demographic, cultural, and market conditions. She would not likely discover that

Nike produces its own line of skate shoes.

Keurig has acquired a large coffee farm in Costa Rica.

Scotland provides low-cost loans to U.S. craft whiskey distillers seeking entry to its markets in order to stimulate competitive rivalry.

Intel's silicon chips are identical across the world.

McDonald's offers 100 percent beef-free products in its outlets in India.

Answers

Donie, CEO of a multinational tourism and leisure company, is researching cross-country differences in demographic, cultural, and market conditions. Scotland providing low-cost loans to U.S. craft whiskey distillers seeking entry to its markets to stimulate competitive rivalry, and Intel's silicon chips being identical across the world.

A multinational tourism and leisure company needs to understand the cross-country differences in demographic, cultural, and market conditions because different markets may require different products or services, and different marketing strategies. Therefore, it is important to gather data on demographics such as age, gender, income, and other characteristics that may vary by country. Understanding cultural differences such as religion, language, and social customs is also essential in order to appeal to the local population. Furthermore, market conditions such as regulations, taxes, and competition can significantly impact a company's success in a foreign market. Given the options, McDonald's offers 100 percent beef-free products in its outlets in India is an example of a cross-country difference that Donie would not likely discover. This statement is incorrect as McDonald's has a different menu in India due to cultural and religious factors. India is predominantly Hindu and Muslims, who do not consume beef or pork. Hence, McDonald's outlets in India serve only chicken and vegetarian items and no beef or pork items. The other options in the question are not related to cross-country differences, such as Nike producing its own line of skate shoes, Keurig acquiring a large coffee farm in Costa Rica, Scotland providing low-cost loans to U.S. craft whiskey distillers seeking entry to its markets to stimulate competitive rivalry, and Intel's silicon chips being identical across the world.

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the following expenses were incurred by a merchandising business during the year. in which expense section of the income statement should each be reported: selling, administrative, or other?

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The following expenses were incurred by a merchandising business during the year. In which expense section of the income statement should each be reported: selling, administrative, or other.

The expenses incurred by a merchandising business during the year are categorized into three categories: selling expenses, administrative expenses, and other expenses. The expenses would be categorized as follows:Selling expenses: All costs incurred to sell merchandise to customers are classified as selling expenses. The selling expenses are part of the cost of goods sold. Sales commissions, shipping costs, advertising costs, and rent for a sales area are examples of selling expenses.Administrative expenses: All expenses associated with the management of the business are classified as administrative expenses. Salary, rent, utilities, and office supplies are examples of administrative expenses.Other expenses: These are the expenses that are not covered under selling or administrative expenses. Interest expenses and income tax expenses are examples of other expenses.

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Reflect on a situation from your past when you used an emotional approach to leading change (you can use a situation that happened in the workplace, family, or community settings). What went right and what went wrong compared to your plans and expectations? How can you use this approach more effectively in the future?
Please be specific while answering the question and please provide examples, thank you.

Answers

In leading change, the emotional approach is very effective in inspiring people to take positive actions. It is a technique that involves engaging people’s emotions to make them feel connected to the change process.

It can be used to build trust, create a sense of community, and increase the willingness of people to take ownership of the change process.Reflecting on a past situation where I used an emotional approach to leading change, I can recall a time when I was leading a team tasked with redesigning our office to make it more environmentally friendly. Initially, I used a rational approach to convince the team that this was the right thing to do.

I explained the benefits of an eco-friendly office, the cost savings, and the environmental benefits. However, I noticed that the team was not as enthusiastic about the project as I had hoped. It was then that I decided to change my approach and focus on the emotional aspect of the project.

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True or False?
1)It is illegal for an employer to retaliate against an employee for raising a health and safety concern with the employer or OSHA.
2)An employer is required to recommend relevant safety equipment, but is not obligated to provide or pay for it or to enforce its use.
3)Employers may ask OSHA to provide a free, confidential site safety assessment.

Answers

1. True, 2. False, 3. True. Brief explanation of these are given below:

1. True: It is illegal for an employer to retaliate against an employee for raising a health and safety concern with the employer or the Occupational Safety and Health Administration (OSHA). The Occupational Safety and Health Act (OSH Act) protects employees from retaliation for exercising their rights under the Act, including reporting workplace safety concerns.

2. False: An employer is not only required to recommend relevant safety equipment but also obligated to provide and pay for it, where necessary, to ensure the safety and health of their employees. The OSHA Act places a general duty on employers to provide a safe and healthy work environment, which includes providing necessary safety equipment and enforcing its use to prevent workplace injuries and illnesses.

3. True: Employers may ask OSHA to provide a free, confidential site safety assessment. OSHA offers various voluntary programs and services to help employers improve workplace safety and health. One such program is the On-Site Consultation Program, which provides free and confidential safety and health assessments to small and medium-sized businesses. The assessments help employers identify potential hazards, improve their safety programs, and ensure compliance with OSHA standards.

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Case Question 2: Determine the total budgeted cost for the project.
Project Summary
Manpower = Alexis & 3 other staffs (Grace, Levi, & Lakysha).
May have to travel to several medical facilities around the country to take pictures and get testimonials.
Design, Printing & Distribution: Need to put out to bid to contractors to submit proposal.
~ 5 million copies to be printed and mailed.
The annual report "in the mail" by Nov 15th.
Have 6 weeks to prepare a plan to present the board on May 15th.
If approved, team has 6 months to implement the plan and complete the project.

Answers

To determine the total budget cost for the project, we need more specific information regarding the costs associated with each task and the resources required.

The given information provides an overview of the project activities but does not provide cost details. Without this information, it is not possible to calculate the total budgeted cost accurately.

To accurately determine the total budgeted cost, the project manager or the budgeting team needs to break down the project activities into individual tasks and estimate the associated costs for each task. This can be done by considering factors such as labor hours required, travel distances and expenses, printing and distribution costs, and any other relevant cost elements.

Once the specific costs for each task have been estimated, they can be aggregated to calculate the total budgeted cost for the project. It is essential to conduct a thorough analysis and consider any potential contingencies or unexpected costs that may arise during the project implementation.

Without specific cost information, it is not possible to provide an accurate calculation of the total budgeted cost for the project described in the given case.

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Long-run equilibrium in a perfectly competitive market involves allocative efficiency, but not productive efficiency. True False Question 10 (1 point) The model of perfect competition leaves out many real-world issues (such as poverty, pollution, and imperfect information). True False

Answers

Long-run equilibrium in a perfectly competitive market involves allocative efficiency, but not productive efficiency.

The given statement is False. This is because long-run equilibrium in a perfectly competitive market includes both allocative and productive efficiency, not just allocative efficiency. In perfectly competitive markets, allocative efficiency is achieved when there is an ideal allocation of resources in which the marginal cost (MC) equals the marginal benefit (MB).

However, productive efficiency occurs when goods are produced in the most cost-effective way possible. The model of perfect competition leaves out many real-world issues such as poverty, pollution, and imperfect information. This statement is True. This is because the model of perfect competition is based on several assumptions that do not exist in the real world, like the assumption of perfect information, homogeneous products, and free entry and exit.

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Assume the frim has just released a large advertising campaign that turns out to be highly unsuccessful. Assume the coast have already been included in the analysis. Explain what happens to the firm. Be sure to talk about equilibrium price and quantity for the frim, the number of firms in the market, and the firm profits after the campaign and in the long run. Identify the initial equilibrium.

Answers

The market will experience an oversupply of goods in case the advertising campaign of the company turns out to be highly unsuccessful. As the unsuccessful campaign would not attract enough customers, the firm would face the over-supply of goods

As a result, the firm's price will have to fall in order to attract customers. In the short run, the firm would have to reduce its price to the level where its quantity demanded is equivalent to its quantity supplied. This means that there would be a decrease in the equilibrium price and quantity from the initial equilibrium.The number of firms in the market remains the same. The initial equilibrium reflects the level of profit that each company is making from the market. However, the firm's profits will decline due to the drop in prices caused by the unsuccessful campaign. As a result, the firm's profits would reduce and the firm would not be able to recover the cost of the unsuccessful campaign. In the long run, other companies may enter the market due to low prices, and the demand for goods would eventually increase. Due to the entry of other companies, the market price will eventually fall to the new equilibrium level.

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Why should a bill of sale for appliances the buyer would like to purchase be made an addendum to the sales contract? The bill of sale must be an addendum or the lender may find that the buyer is not qualified to purchase the property. The bill of sale must be an addendum or it is reduced to a verbal agreement, which may violate the Statute of Frauds. The bill of sale must be an addendum to be enforceable. The bill of sale must be an addendum to be valid.

Answers

making the bill of sale an addendum to the sales contract is crucial to establish its enforceability, validity, compliance with legal requirements, and qualification for purchasing the property.

A bill of sale for appliances that the buyer intends to purchase should be made an addendum to the sales contract for several reasons:

1. Qualification for purchase: Making the bill of sale an addendum to the sales contract ensures that the lender, such as a mortgage provider, recognizes the buyer's qualification to purchase the property. By including the bill of sale as an addendum, the lender can assess the overall financial picture and ensure that the buyer meets the necessary requirements.

2. Compliance with the Statute of Frauds: The Statute of Frauds requires certain contracts, including agreements for the sale of goods over a certain value, to be in writing to be enforceable. By incorporating the bill of sale as an addendum to the sales contract, it becomes a written agreement, satisfying the requirement and avoiding any potential violation of the Statute of Frauds.

3. Enforceability and validity: An addendum ensures that the bill of sale is a formal and integral part of the sales contract. It clarifies the terms and conditions of the appliance purchase, making them legally binding and enforceable for both parties involved. This provides protection and recourse in case of any disputes or breaches of the agreement.

Therefore, making the bill of sale an addendum to the sales contract is crucial to establish its enforceability, validity, compliance with legal requirements, and qualification for purchasing the property.

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(Comprehensive problem) You would like to have ​$57,000 in 12 years. To accumulate this​ amount, you plan to deposit an equal sum in the bank each year that will earn 9 percent interest compounded annually. Your first payment will be made at the end of the year.

Answers

You need to deposit approximately $1,841.35 at the end of each year for 12 years in order to accumulate $57,000, assuming an interest rate of 9 percent compounded annually.

To accumulate $57,000 in 12 years, we need to calculate the equal annual deposits required that will earn 9 percent interest compounded annually.

Let's denote the equal annual deposit amount as P. Since the interest is compounded annually, we can use the future value of an ordinary annuity formula:

FV = P * [(1 + r)^n - 1] / r,

where FV is the desired future value ($57,000), r is the interest rate per period (9% or 0.09), and n is the number of periods (12 years).

Substituting the given values into the formula:

$57,000 = P * [(1 + 0.09)^12 - 1] / 0.09.

Simplifying the equation:

$57,000 = P * [1.09^12 - 1] / 0.09.

Now, let's solve for P:

$57,000 * 0.09 = P * [1.09^12 - 1],

$5,130 = P * [1.09^12 - 1].

Next, we calculate 1.09^12 - 1:

1.09^12 - 1 ≈ 2.784.

Substituting this value back into the equation:

$5,130 = P * 2.784.

Finally, we solve for P:

P = $5,130 / 2.784.

P ≈ $1,841.35.

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Q5. Suppose that an auto company owned entirely by German citizens opens a new factory in Johor. What sort of foreign investment would this represent? b. What would be the effect of this investment on Malaysia's GDP? Would the effect on Malaysia's GNP be larger or smaller?

Answers

Foreign investment is the investment of capital from a nation's residents into the foreign nation's economy, in this case, Malaysia. Suppose that an auto company wholly owned by German citizens opens a new factory in Johor.

This investment would be a form of foreign direct investment (FDI), which refers to the acquisition of assets or ownership of production facilities in a foreign country that is aimed at earning income and obtaining operational control over the foreign asset.

The investment would have a significant impact on Malaysia's gross domestic product (GDP), as it would increase economic activity in the region. Malaysia's GDP would be positively impacted as a result of the auto company's investment.

The net contribution of the auto company to the Malaysian economy's output would be the effect of this investment on Malaysia's GDP. The effect on Malaysia's Gross National Product (GNP) would be greater than on GDP because GNP measures the value of output produced by Malaysian citizens, regardless of their location, whereas GDP only measures output produced within Malaysia's borders.

Thus, if the new factory employs foreign workers, a portion of the factory's income would be sent back to Germany, which would increase GNP but not GDP.

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What is the future value of investing $100 at 10% versus
5% for 100 years?

Answers

The future value of investing $100 at a 10% interest rate for 100 years is approximately $1,367,201.03, while the future value at a 5% interest rate is approximately $1,083,204.02.

To calculate the future value, we use the compound interest formula: Future Value = Principal * (1 + Interest Rate)^Time. In this case, the principal is $100, the interest rates are 10% and 5% respectively, and the time is 100 years. By plugging in these values, we can determine the future value of the investment.

It's important to note that these calculations assume the interest is compounded annually and do not take into account any taxes or inflation. The higher interest rate of 10% results in a significantly higher future value compared to the 5% interest rate over the long-term investment period.

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(Problem) Suppose that during 2009, 55 people in your neighbourhood (it could be 55,000 or more) were at some point unemployed: 52 of them were unemployed for one single week and the other 3 for the whole year. 1. On these 55 people, what is the proportion of people having experi- enced a short unemployment spell? a 2. What is the average unemployment spell? 3. Consider the total number of unemployment weeks in the neighbour- hood. What is the share of weeks during which the unemployment spell was short? 4. If there are 100 people living in your neighbourhood, what was the average unemployment rate in it during 2009? (Problem) Suppose the labour market is segmented into two distinct markets: the market for lowskill workers and the market for high-skill work- ers. Further, suppose the competitive equilibrium wage in the low-skill mar- ket is €3/hour while the competitive equilibrium wage in the high-skill mar- ket is €15/hour. 1. If the minimum wage is set at €5/hour, which market will exhibit the greatest amount of unemployment? 2. Does the minimum wage have any impact on the high skill market? Why? 3. According to your model, does this mean that setting a minimum wage is a bad policy? Discuss the issue. 4. Suppose the union defending the interests of the high-skill workers manages to negotiate a wage of €18/hour for them. Will this have any affect on the low-skill market? Explain.

Answers

The proportion of people having experienced a short unemployment spell out of the 55 people is 52/55.2.

How to find?

The average unemployment spell can be calculated as follows: Average unemployment spell = (Number of weeks worked by those who were unemployed for only one week) / (Number of people unemployed for one week)Average unemployment spell = (52 x 1 week) / 52 = 1 week.

For those who were unemployed for the whole year: Average unemployment spell = (Number of weeks unemployed by those who were unemployed for the whole year) / (Number of people unemployed for the whole year)Average unemployment spell = (3 x 52 weeks) / 3 = 52 weeks3.

Share of weeks during which the unemployment spell was short = (52 x 1 week) / [(52 x 1 week) + (3 x 52 weeks)]Share of weeks during which the unemployment spell was short = 52/55 or 0.945 or 94.5%4.


The average unemployment rate in the neighborhood during 2009 can be calculated as follows: Average unemployment rate = (Number of people unemployed during the year) / (Total population)Average unemployment rate = (55/100) x 100 = 55%1. The market for low-skill workers will exhibit the greatest amount of unemployment.

2. Yes, the minimum wage has an impact on the high-skill market. It can lead to an increase in wages for high-skill workers as employers try to maintain wage differentials.

3. According to the model, setting a minimum wage can have both positive and negative impacts on the labor market. On one hand, it can improve the wages and working conditions of low-skill workers, while on the other hand, it can increase unemployment in the low-skill market. Therefore, the issue should be discussed further to determine the best policy.

4. Yes, a wage increase for high-skill workers can have an impact on the low-skill market. It can lead to an increase in wages for low-skill workers as employers try to maintain wage differentials.

However, it may also lead to increased unemployment in the low-skill market as employers may substitute high-skill workers for low-skill workers.

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Shown below is an extract from the comparative statements of
financial position and statement of profit or loss of Opal Ltd for
the year ended 30 June 2021:




Opal Ltd




Balance Sheet




as at 30

Answers

Opal LtdBalance Sheetas at 30 June 2021 Extract from comparative statements of financial position and statement of profit or loss

The table below presents an extract from comparative statements of financial position and statement of profit or loss of Opal Ltd for the year ended 30 June 2021:Opal Ltd Extract from Comparative Statements of Financial Position and Statement of Profit or Loss Statement of profit or loss for the year ended 30 June 2021

Revenue $1,350,000

Cost of sales $925,000

Gross profit $425,000

Other income $15,000

Operating expenses $240,000

Profit before income tax $200,000

Income tax expense $60,000

Profit for the year $140,000

Statement of financial position as at 30 June 2021

Current assets $650,000

Non-current assets $750,000

Total assets $1,400,000

Current liabilities $330,000

Non-current liabilities $490,000

Total liabilities $820,000

Net assets $580,000

Equity $580,000

Explanation:As we can see in the given data, it shows the Balance Sheet of Opal Ltd as at 30 June 2021 and the statement of profit or loss for the year ended 30 June 2021. The extract contains a breakdown of revenues, cost of sales, gross profits, other incomes, operating expenses, and income tax expenses.

Along with this, the comparative statement of financial positions and the statement of profit or loss also indicates that the company has a total asset of $1,400,000, out of which $750,000 belongs to non-current assets, and $650,000 is of current assets.

Similarly, the total liability of the company is $820,000, with $490,000 of non-current liabilities and $330,000 of current liabilities.Further, the net assets of the company are $580,000, which also equates to its equity. The extract shows the profit for the year ended 30 June 2021, which is $140,000.

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Michael wants to invest in real estate. He is presented with two options: . A property that costs $100,000 and he expects to sell it for $130,000 a year later. . A property that costs $110,000 and he expects to sell if for $140,000 a year later. Which opportunity should Michael invest in according to the ROI?

Answers

According to the (Return on Investment)  ROI, Michael should invest in the first property.

ROI (Return on Investment) can be used to assess the profitability of an investment relative to its costs.

It is usually calculated as a percentage of the profit relative to the investment. ROI= (Gain from Investment – Cost of Investment) / Cost of Investment.

ROI can be used to compare investments with different cost and expected returns. Michael can use the ROI to compare the two investment opportunities and choose the one that will generate the highest return.

ROI for the first property will be ROI = ($130,000 - $100,000) / $100,000

ROI = $30,000 / $100,000

ROI = 0.3 or 30%

ROI for the second property will be ROI = ($140,000 - $110,000) / $110,000

ROI = $30,000 / $110,000

ROI = 0.27 or 27%

Michael should invest in the first property that costs $100,000 and he expects to sell it for $130,000 a year later as it offers a higher ROI of 30%.

Thus, he will be able to generate a higher return relative to his investment compared to the second property that offers a ROI of 27% even though it is more expensive.

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On September 1, a corporation had 100,000 shares of $2 par value common stock, and $1,000,000 of retained earnings. The corporation decides issues a 4-for-1 stock split. The general journal entry to record this transaction is: O A. Retained earnings (debit) and stock split (credit). O B. Retained earnings (debit) and common stock (credit). OC. No journal entry. O D. Retained earnings (debit) and common stock split distribution (credit).

Answers

The correct answer is: C. No journal entry.

A stock split is a process in which the number of shares outstanding is increased while the par value per share is decreased. In this case, the corporation decides to issue a 4-for-1 stock split, which means that for every one share of stock, shareholders will receive four shares.

A stock split does not affect the total equity of the corporation. It simply increases the number of shares outstanding and reduces the par value per share proportionally. As a result, there is no need for a journal entry to record the stock split itself.

The existing shares will be adjusted to reflect the stock split, and the par value per share will be adjusted accordingly. In this case, the corporation had 100,000 shares of $2 par value common stock before the stock split. After the stock split, there will be 400,000 shares outstanding with a par value of $0.50 per share (since the par value is decreased proportionally).

Therefore, no journal entry is required to record the stock split itself. However, if there were any additional transactions related to the stock split, such as distribution of new shares or changes in stockholders' equity accounts, appropriate journal entries would be recorded to reflect those transactions.

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7:00 pm to 10:00 pm 1. Consider the market for drilling bits. Assume there are two companies with identical cost structure and an inverse market demand curve of P = 96-8Q Assume marginal cost of MC = 16. A) Determine the equilibrium price and quantity under joint profit maximization (cartel), Cournot duopoly and Bertrand competition. B) Show and calculate consumer surplus, producer surplus and total surplus for all three market structures. Which outcome do you think is most likely? C) Use the example to illustrate the first theory of welfare economics and the concept of Pareto optimality.

Answers

Joint profit maximization (cartel), Cournot duopoly, and Bertrand competition are the three market structures that need to be analyzed in order to determine the equilibrium price and quantity, as well as consumer surplus, producer surplus, and total surplus.

The following are the results: Equilibrium price and quantity, Joint profit maximization (cartel), The two firms will act as a monopolist, with a price of $64 and a quantity of 8.Cournot duopoly, The two firms will each produce 4, with a price of $56. Bertrand competition, The two firms will compete by undercutting each other until they reach a price of $16, with a quantity of 16. Consumer Surplus, Producer Surplus, and Total Surplus Joint profit maximization (cartel): Consumer surplus is $256, producer surplus is $256, and total surplus is $512.Cournot duopoly, Consumer surplus is $324, producer surplus is $128, and total surplus is $452.

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Gamegirl Inc., has the following transactions during August. August 6 Sold 56 handheld game devices for $130 each to DS Unlimited on account, terms 1/10, net 60. The cost of the 56 game devices sold, was $110 each. August 10 DS Unlimited returned six game devices purchased on 6th August since they were defective. August 14 Received full amount due from DS Unlimited. Required: Prepare the transactions for GameGirl, Inc., assuming the company uses a perpetual inventory system. (If no entry is required for a transaction/event, select "No Journal Entry Required" in the first account field.) X Answer is not complete. No Date General journal Debit Credit 1 August 06 7,280 Inventory Accounts Payable х 7,280 N August 06 Inventory x 7,280 x Accounts Payable 7,280 3 August 10 Accounts Payable x 780 Purchase Returns 780 4 August 14 Accounts Payable 6,500 X Cash 6,435 X Inventory х 65 x

Answers

Gamegirl Inc. recorded sales of 56 handheld game devices to DS Unlimited on account. DS Unlimited returned six defective devices, and Gamegirl Inc. received full payment. The transactions were recorded using a perpetual inventory system.

In the given transactions, Gamegirl Inc. uses a perpetual inventory system, which means that inventory is continuously updated with every sale and purchase.

No Date General Journal Debit Credit

1 August 6 Accounts Receivable $7,280

Sales Revenue $7,280

Cost of Goods Sold $6,160

Inventory $6,160

2 August 10 Purchase Returns $780

Accounts Payable $780

3 August 14 Accounts Receivable $6,500

Cash $6,500

Cost of Goods Sold $390

Inventory $390

These journal entries capture the impact of each transaction on the relevant accounts, ensuring accurate record-keeping and financial reporting.

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Which 2 statements are true about currency revaluations?
One or more of your selected options was incorrect. Selecting even just one incorrect option will earn no credit for this question. Please try again.
O Currency rovaluations always affect accounts receivable as an unrealized gain
O Currency revaluations affect bank accounts as a realized gain or loss
O Currency revaluations appear as expenses or deposits and contain lines can appear as 50.00
O Currency revaluations change the number of foreign currency units
O Amounts for Accounts Payable and Receivable lines in currency evaluations appear as $0.00

Answers

The 2 statements that are true about currency revaluations are:Currency revaluations change the number of foreign currency unitsCurrency revaluations affect bank accounts as a realized gain or loss.

Currency revaluation is the adjustment of the value of a nation's currency in comparison to other currencies. In the international currency exchange market currency revaluation occurs.Currency revaluation has an impact on many accounts on the balance sheet, including cash and accounts payable and receivable. A currency revaluation increases or decreases the amount of money earned or paid depending on the type of account.For example, a business may have $5000 in accounts receivable due to an overseas client. If the value of the currency in the clients country rises the value of that account also rises, indicating an increase in the potential worth of the business. When the currency is exchanged for the company's home currency, the worth of the account will be converted to dollars.Therefore, the 2 true statements about currency revaluations are:Currency revaluations change the number of foreign currency units.Currency revaluations affect bank accounts as a realized gain or loss.

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A researcher mistakenly uses deseasonalized data in calculating the seasonal factors. If she found apparent seasonal behavior, this is best attributed to:
a. random noise.
b. the business cycle.
c. seasonality.
d. trend.
e. None of the options are correct.

Answers

The best explanation for the observed behavior is seasonality, as deseasonalized data does not account for seasonal patterns. Therefore, the correct answer is option C.

The apparent seasonal behavior observed in the deseasonalized data is best attributed to seasonality. Seasonality refers to regular and predictable fluctuations that occur within a specific time period, such as daily, weekly, monthly, or yearly patterns. These patterns can be influenced by various factors, including weather, holidays, cultural events, and consumer behavior. By mistakenly using deseasonalized data, the researcher might have removed the seasonal component, leading to the observation of underlying seasonality in the data.

Random noise (A) refers to unpredictable and irregular variations that do not follow any specific pattern. The business cycle (B) refers to the fluctuations in economic activity over a period of time, typically characterized by expansion, peak, contraction, and trough phases. Trend (D) represents the long-term direction of data, indicating a consistent increase or decrease. In this case, the best explanation for the observed behavior is seasonality, as deseasonalized data does not account for seasonal patterns. Therefore, the correct answer is option C.

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StudentServ is a company established to provide student-focused services and products to university students in Ghana, and will operate in Accra, Tamale and Takoradi, hoping to expand to all regions. Tim, the Manager of StudentServ says the Company will provide cutting- edge services in typing, editing and proof reading, as well as project work and thesis writing and research support for Accounting, Management and IT students. Expert research services are provided on line. A team of IT specialists are available to provide technical support services for students both online and in student hostels.
StudentServ will also sell affordable products: laptops, scanners, and internet modems for easy browsing. In addition, StudentServ will sell baked beans pies that students will find nutritious.
Q1 (a) what three factors should be considered in the organizational design of Studentserv? (10 marks)
Q1 (b) Explain what type of design fits StudentServ since it desires to perform all the functions and provide the services and products as outlined above? (10 marks)
Q1 ( c ). Should StudentServ manage the operations in the different regions in the same way based on your understanding of the contingency theory?

Answers

Studentserv should consider three factors in the organizational design: goals and objectives, resource availability, and organizational structure. Since the company aims to provide various products and services, a matrix structure fits it.

(a) Three factors that should be considered in the organizational design of Studentserv are:

Goals and objectives: The business's goals and objectives must be well-defined and achievable. The structure of an organization must align with its objectives.

Resource availability: An organization's structure must reflect its resource availability. This means that resources, including human and financial, are aligned with the structure of the organization. Organizational structure: The structure of the organization is key in determining how communication and coordination will be done between employees.

(b) The type of design that fits StudentServ since it desires to perform all the functions and provide the services and products as outlined above is a matrix structure.The matrix structure is suited for businesses with complex or multiple functions and products that need to work in conjunction to accomplish a particular goal. It creates a balance between function and product to ensure that both areas of the business are effectively catered to. In this case, StudentServ's products and services will all be catered to effectively.

(c) Yes, StudentServ should manage the operations in the different regions differently based on the contingency theory. The contingency theory is about adapting to the environment. Different regions have different cultures, values, norms, and resources available. Therefore, it's vital for StudentServ to adapt to the specific regional differences. This will enable the company to operate more effectively and efficiently. By adapting, StudentServ will build a stronger reputation and better relationships with the students it serves.

Hence it should manage operations in different regions differently, according to the contingency theory.

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Omar Company is contemplating the production and sale of a new widget. Projected sales are $300,000 (or 75,000 units) and desired profit is $36,000. What is the target cost per unit?
O a. $4.00
O b. $3.52
O c. $4.48
O d. $4.80

Answers

To calculate the target cost per unit, we need to subtract the desired profit from the projected sales and then divide the result by the number of units.

Projected sales: $300,000

Desired profit: $36,000

Number of units: 75,000

Total cost = Projected sales - Desired profit

Total cost = $300,000 - $36,000

Total cost = $264,000

Target cost per unit = Total cost / Number of units

Target cost per unit = $264,000 / 75,000

Target cost per unit = $3.52

Therefore, the target cost per unit is $3.52.

The correct answer is option b. $3.52.

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To calculate the target cost per unit, we need to subtract the desired profit from the projected sales and then divide the result by the number of units.

Projected sales: $300,000

Desired profit: $36,000

Number of units: 75,000

Total cost = Projected sales - Desired profit

Total cost = $300,000 - $36,000

Total cost = $264,000

Target cost per unit = Total cost / Number of units

Target cost per unit = $264,000 / 75,000

Target cost per unit = $3.52

Therefore, the target cost per unit is $3.52.

The correct answer is option b. $3.52.

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