The following information relates to Machine Productive at 31 December 2020:
R
Historic Carrying amount 400 000
Fair value less cost to sell 340 000
Value in Use 320 000
Tax Base 300 000
Remaining useful life 4 years
One year later the fair value less cost to sell was R320 000 and the value in use was R380 000. Machine Productive is
depreciated on a straight-line basis. Assume that the tax rate is 28%, and a capital allowance of R100 000 was granted in 2021
REQUIRED:
Prepare the journal entries relating to the reversal of the impairment loss in the 2021 year of assessment

Answers

Answer 1

Journal entries relating to the reversal of the impairment loss in the 2021 year of assessment: To reverse the impairment loss:

Accumulated Impairment Loss 60,000

Provision for impairment loss reversal

Machine Productive 60,000

Reversal of impairment loss

The carrying amount of the Machine Productive at the end of 2020 was R400,000, while its fair value less cost to sell was R340,000. Since the fair value less cost to sell increased to R320,000 in 2021, there is a possibility of reversing part of the impairment loss. The reversal of the impairment loss is recorded by increasing the carrying amount of the Machine Productive and reducing the accumulated impairment loss by the same amount. In this case, the reversal amount is R60,000 (R340,000 - R320,000), as the fair value less cost to sell increased by R20,000. The entry reflects the improvement in the asset's recoverable amount and adjusts the carrying amount of the asset accordingly.

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Related Questions

A survey was conducted about real estate prices. Dafo collected is 140820, 203700, 388285, 436695, 540910, 620649, 797056. 891698,960859,1013701,1115481,1204384,1361947. What is the interquartile range?

Answers

To calculate the interquartile range for the given real estate price data, we need to find Q1 and Q3. The interquartile range for the given real estate price data is 652,101.

To determine the interquartile range, we first need to arrange the real estate prices in ascending order: 140,820, 203,700, 388,285, 436,695, 540,910, 620,649, 797,056, 891,698, 960,859, 1,013,701, 1,115,481, 1,204,384, 1,361,947.

Next, we calculate Q1, which represents the median of the lower half of the data. In this case, the lower half consists of the prices: 140,820, 203,700, 388,285, 436,695, 540,910, and 620,649. The median of this set is the average of the two middle values, which are 388,285 and 436,695. So, Q1 is (388,285 + 436,695) / 2 = 412,490.

Then, we calculate Q3, which represents the median of the upper half of the data. The upper half consists of the prices: 891,698, 960,859, 1,013,701, 1,115,481, 1,204,384, and 1,361,947. The median of this set is the average of the two middle values, which are 1,013,701 and 1,115,481. So, Q3 is (1,013,701 + 1,115,481) / 2 = 1,064,591.

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Suppose that you expect the cedi to depreciate relative to the US dollar from ∈
/
1=$0.25 to ϕ1=$0.20 in a years' time, which bond should you buy if the Ghana bond pays an interest of 20% and the US bond an interest of 1.5% ? Why? What happens to the Ghana interest rate relative to the US interest rate

Answers

Assuming that you expect the cedi to depreciate relative to the US dollar from ∈/1=$0.25 to ϕ1=$0.20 in a years' time, you should buy the Ghana bond if it pays an interest of 20%.

This is because the currency risk would be offset by the higher interest rate earned on the Ghana bond.

Investors are concerned about foreign exchange risks when investing in foreign bonds. This risk arises due to fluctuations in exchange rates. As a result, investors need to consider interest rate parity when investing in foreign bonds to balance the risks and rewards of investing in different currencies.

The interest rate parity states that the interest rate differential between two countries should be equal to the expected exchange rate differential. Hence, the interest rates in Ghana and the US should reflect the expected exchange rate.

The US bond pays an interest rate of 1.5%, while the Ghana bond pays an interest rate of 20%. This suggests that the Ghanaian interest rate is higher than the US interest rate. As a result, investors would expect the cedi to depreciate relative to the dollar to balance the interest rate differential.

Since you expect the cedi to depreciate, the higher interest rate offered by the Ghana bond would offset the currency risk. As a result, it would be wise to buy the Ghana bond. The Ghana interest rate relative to the US interest rate would increase if the US interest rate remains constant.

This is because the higher Ghanaian interest rate would attract more foreign investors to the country. The demand for the Ghana bond would increase, driving up the bond price. Consequently, the Ghana interest rate would increase if the US interest rate remains constant.

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100 accumulates to 162 at the end of 10 years using level annual compound interest. To how much does 435 accumulate to at the end of 6 years at the same compound interest rate? (nearest cent) Answer:

Answers

The final amount to which $435 accumulates at the end of 6 years at the same compound interest rate of 6.37% is $666.38.

Formula to calculate compound interest is given by:

A=P(1 + R/n)ⁿ ×t)

Where,

A = Final amount

P = Principal amount

R = Annual interest rate

N = Number of times interest is compounded

t = Number of years . In this problem, the principal amount, annual interest rate and number of times interest is compounded per year are not given.

Hence, we can't calculate the exact value of compound interest using this formula.

However, we can still calculate the final amount using the formula given below:

Final amount = Principal × (1 + r/n)ⁿ×(t)

Where,

n = number of compounding periods per year

r = annual interest rate (as a decimal).

Hence, we will use the given data to calculate the annual interest rate using the formula given below:

Final amount = Principal × (1 + r/n)ⁿ ×(t)

$162 = $100 × (1 + r/1)¹ (10)

1.62 = (1 + r)¹⁰

r = (1.62¹⁾¹⁰) - 1

r = 0.0637 or 6.37%

Now, we can use the formula to find the final amount of $435 at the end of 6 years:

Final amount = Principal × (1 + r/n)ⁿ ×(t)

Final amount = $435 × (1 + 0.0637/1)¹× ( 6)

Final amount = $666.38

Hence, the final amount to which $435 accumulates at the end of 6 years at the same compound interest rate of 6.37% is $666.38.

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What are some strengths and weaknesses of the norm-referenced
assessment?
What are some strengths and weaknesses of the
criterion-referenced assessment?
Instructional design class

Answers

Norm-referenced assessments are designed to compare an individual's performance with that of others. Norm-referenced assessments are useful in determining a child's percentile rank in comparison to others of the same age or grade level.

Below are some of the strengths and weaknesses of the norm-referenced assessment:Strengths:Norm-referenced assessments are useful in identifying children who require specialized or additional help or support. This type of assessment helps teachers identify students who are at risk of failing or dropping out of school.

Weaknesses:Criterion-referenced assessments do not compare students' performances to each other, which can be both a strength and a weakness. Teachers must be careful to ensure that the assessment questions accurately reflect what students have been taught. Criterion-referenced assessments can be time-consuming to develop and administer.

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Becka borrowed $200 from her cousin at the rate of 5 percent per year. If the inflation rate was 1.4 percent that year, what is her cousin's actual rate of return on the loan? 1.4% 6.4% 8.6% 3.6% 5%

Answers

Her cousin's actual rate of return on the loan is 3.6%. To calculate this, we subtract the inflation rate of 1.4% from the interest rate of 5%.

To calculate the cousin's actual rate of return on the loan, we need to consider both the interest rate charged and the inflation rate. The formula for calculating the actual rate of return is:

Actual Rate of Return = Nominal Rate of Return - Inflation Rate

Step 1: Calculate the nominal rate of return.

The nominal rate of return is the interest rate charged on the loan, which in this case is 5 percent.

Nominal Rate of Return = 5%

Step 2: Calculate the inflation rate.

The inflation rate is given as 1.4 percent.

Inflation Rate = 1.4%

Step 3: Calculate the actual rate of return.

Using the formula mentioned earlier:

Actual Rate of Return = Nominal Rate of Return - Inflation Rate

Actual Rate of Return = 5% - 1.4%

Actual Rate of Return = 3.6%

Therefore, Becka's cousin's actual rate of return on the loan is 3.6%.

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Which of the following is a true statement?
Group of answer choices
U.S. GAAP enables decision makers to obtain information needed to reduce the risk of investment.
The Financial Accounting Standards Board (FASB) has held the authority to develop IFRS since 1973.
Changes to U.S. GAAP are made without proper changes.
IFRS is used only by the countries with capitalist economy.
U.S. GAAP is used only by governmental organizations.
5. Many of the events encountered everyday by an organization contains some degree of uncertainty.
Group of answer choices
False
True

Answers

The true statement among the given alternatives is "U.S. GAAP enables decision-makers to obtain information needed to reduce the risk of investment."

Generally accepted accounting principles (GAAP) are used by companies to produce their financial statements that are used by investors, creditors, and analysts to assess the financial health of an organization. GAAP is not a law, but rather a framework of accounting standards, principles, and procedures that organizations use to prepare their financial statements.

United States Generally Accepted Accounting Principles (U.S. GAAP) is the accounting standard used by American companies. U.S. GAAP enables decision-makers to obtain the information required to reduce the risk of investment and make sound financial decisions based on the company's financial information.

U.S. GAAP provides guidelines for recording and reporting financial transactions, ensuring transparency and accuracy in financial reporting. It helps decision-makers assess the financial performance and stability of a company, enabling them to make informed investment decisions and mitigate risks.

Changes to U.S. GAAP are made without proper changes and IFRS is used only by the countries with a capitalist economy are false statements.

Many of the events encountered every day by an organization contain some degree of uncertainty, which is a true statement. Uncertainty is an inherent feature of a dynamic and complex organization.

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Describe how Nestle New Zealand uses planning processes to support operations management:
2) Explain how management uses accounting information such as budgeting, inventory management and forecasting in an operational situation as part of the planning process to support the operations management.

Answers

1)These planning processes involve the use of accounting information, including budgeting, inventory management, and forecasting, to effectively manage operations.

2) Nestle New Zealand relies on accounting information to manage its inventory effectively.

Accounting information such as budgeting, inventory management, and forecasting plays a critical role in Nestle New Zealand's planning processes.

Nestle New Zealand, like many other companies, utilizes planning processes to support operations management. These planning processes involve the use of accounting information, including budgeting, inventory management, and forecasting, to effectively manage operations. Here's how Nestle New Zealand incorporates these elements:

Budgeting: Budgeting plays a crucial role in operations management at Nestle New Zealand. The company sets financial targets and allocates resources for different operational activities, such as production, procurement, marketing, and distribution. By developing budgets, Nestle New Zealand can plan and control its expenditures, monitor costs, and ensure efficient resource allocation across various operations.

Inventory Management: Nestle New Zealand relies on accounting information to manage its inventory effectively. Accurate tracking of inventory levels, costs, and turnover rates allows the company to maintain optimal stock levels and avoid stockouts or excess inventory. By monitoring inventory data, Nestle New Zealand can identify trends, analyze demand patterns, and make informed decisions regarding production schedules, order quantities, and supply chain optimization.

Forecasting: Forecasting is another key aspect of operations planning at Nestle New Zealand. By analyzing historical data, market trends, and customer demand patterns, the company can develop forecasts for future sales and production requirements. These forecasts help Nestle New Zealand in making informed decisions related to capacity planning, resource allocation, and supply chain management. Accurate forecasting improves efficiency, reduces costs, and ensures that the company meets customer demands effectively.

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How are you planning to mitigate unrealistic industry comparisons in your Business Plan?
How are you planning to mitigate unsubstantiated assumptions that may hurt your business plan?

Answers

Conducting thorough market research and data analysis while seeking expert opinions and feedback helps mitigate unrealistic industry comparisons and unsubstantiated assumptions in the business plan.

To mitigate unrealistic industry comparisons in the business plan, we will focus on conducting comprehensive market research and analysis to gather accurate and relevant industry data. This will involve studying industry trends, benchmarking against competitors, and consulting industry experts or advisors to ensure that our comparisons are based on reliable information and reflect the current market dynamics.

To mitigate unsubstantiated assumptions that may hurt the business plan, we will prioritize data-driven decision making. This will involve conducting thorough market research, collecting relevant data, and validating our assumptions through empirical evidence and market insights. We will seek to gather information from credible sources, such as industry reports, market studies, customer surveys, and expert opinions. By basing our assumptions on verifiable data and evidence, we can enhance the credibility and reliability of our business plan, reducing the risk of making unfounded assumptions that could undermine its effectiveness.

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Music Media Ltd. prepares statements quarterly. Part A: Required: 1. Based on 2019 results, Music's estimated tax liability for 2020 is $339.960. Music will accrue 1/30 of this amount at the end of each month (assume the instaliments are paid the next day). Prepare the entry on January 31,2020 , to accrue the tax liability and on February 1 to record the payment. 4. Assuming that actual tax for the year 2020 was determined to be $832,000, prepare the appropriate adjusting entry at year-end to bring the balance in the income Tax Expense account to the correct balance, assuming no accrual has yet been recorded for the fourth quarter. Journal entry worksheet Record the entry to adjust income tax expense to actual income tax. Hote| Lrier debifs belore credita| 5. Calculate Music's actual profit for the year 2020 .

Answers

1.January 31, 2020: Accrue tax liability

  Debit: Income Tax Expense - $11,332 (1/30 of $339,960)   Credit: Accrued Income Tax Payable - $11,332

2. February 1, 2020: Record tax payment

  Debit: Accrued Income Tax Payable - $11,332   Credit: Cash/Bank - $11,332

3. Adjusting entry at year-end (assuming no Q4 accrual):

  Debit: Income Tax Expense - $492,040 ($832,000 - $339,960)   Credit: Income Tax Payable - $492,040

1. On January 31, 2020, Music Media Ltd. accrues 1/30th of the estimated tax liability for 2020, which is $339,960. The entry reflects an increase in the Income Tax Expense and the creation of an Accrued Income Tax Payable.

2. On February 1, 2020, Music Media Ltd. records the payment of the accrued tax liability. The entry decreases the Accrued Income Tax Payable and reduces Cash/Bank.

3. At year-end, an adjusting entry is made to adjust the Income Tax Expense to the actual tax liability for the year 2020, which is $832,000. The entry recognizes an increase in Income Tax Expense and an increase in the Income Tax Payable account.

To calculate Music Media Ltd.'s actual profit for the year 2020, additional information is required. Actual profit is determined by subtracting all expenses, including income tax expense, from the company's total revenue for the year. Once the necessary data is provided, the calculation can be performed to determine the actual profit for the year.

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You have a $600,000 mortgage on a 20 year amortization with a 2.55% interest rate, payments are monthly, calculate the value of the monthly payments. Problem 5. Bank of Vancouver pays 7% simple interest on its savings account balances, whereas Bank of Calgary pays 7% interest compounded annually. If you made a $6,000 deposit in each bank, how much more money would you earn from your bank of Calgary account in the end of 9 years?
Problem 5. Bank of Vancouver pays 7% simple interest on its savings account balances, whereas Bank of Calgary pays 7% interest compounded annually. If you made a $6,000 deposit in each bank, how much more money would you earn from your bank of Calgary account in the end of 9 years?

Answers

The monthly payment for the $600,000 mortgage would be approximately $3,520.64. You would earn $6,254.59 more from your Bank of Calgary account compared to your Bank of Vancouver account after 9 years.

To calculate the value of the monthly payments on a $600,000 mortgage with a 20-year amortization and a 2.55% interest rate, we can use the formula for calculating the monthly mortgage payment:

Monthly Payment = (Loan Amount * Monthly Interest Rate) / (1 - (1 + Monthly Interest Rate)^(-Number of Months))

First, we need to convert the annual interest rate to a monthly interest rate. The monthly interest rate is calculated by dividing the annual interest rate by 12 and converting it to a decimal:

Monthly Interest Rate = 2.55% / 12 / 100 = 0.002125

Next, we calculate the number of months in the mortgage term:

Number of Months = 20 years * 12 months/year = 240 months

Now, we can plug these values into the formula to calculate the monthly payment:

Monthly Payment = (600,000 * 0.002125) / (1 - (1 + 0.002125)^(-240))

Using a calculator, the monthly payment is approximately $3,520.64.

Bank of Vancouver pays 7% simple interest on its savings account balances, while Bank of Calgary pays 7% interest compounded annually. If you made a $6,000 deposit in each bank and held the accounts for 9 years, we can calculate the difference in the amount earned from each account.

For Bank of Vancouver, the interest is calculated as simple interest, so the amount earned would be:

Interest = Principal * Interest Rate * Time

= $6,000 * 7% * 9

= $3,780

For Bank of Calgary, the interest is compounded annually, so we can use the compound interest formula:

Future Value = Principal * (1 + Interest Rate)^Time

= $6,000 * (1 + 7%)^9

= $10,034.59

The difference in the amount earned from the Bank of Calgary account compared to the Bank of Vancouver account would be:

Difference = Future Value - Interest

= $10,034.59 - $3,780

= $6,254.59

Therefore, you would earn $6,254.59 more from your Bank of Calgary account compared to your Bank of Vancouver account after 9 years.

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In 2021, Usher Sports Shop had cash flows from investing activities of -$4,424,000 and cash flows from financing activities of -$5,910,000. The balance in the firm's cash account was $1,621,000 at the beginning of 2021 and $1,754,000 at year-end. Calculate Usher Sports Shop's cash flow from operations for 2021. (Amounts to be deducted should be indicated by a minus sign. Cash flow from operations

Answers

Usher Sports Shop's cash flows from investing activities of -$4,424,000 and cash flows from financing activities of -$5,910,000. The balance in the firm's cash account was $1,621,000 at the beginning of 2021 and $1,754,000 at year-end.

The cash flow from operations for Usher Sports Shop in 2021 can be calculated by the below formula:

Cash flow from operations = Net income + Noncash expenses - Changes in current assets and liabilities

Net income is not provided in the question.

However, the beginning and ending cash balances and the cash flows from investing activities and financing activities are provided.

Using the formula, we can write:

Cash flow from operations = $1,754,000 - $1,621,000 + $4,424,000 + $5,910,000 = $10,467,000

Therefore, Usher Sports Shop's cash flow from operations for 2021 is $10,467,000.

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Business Worldwide**
Why would a business be concerned about currency when operating around the world?
Imagine for a moment that every nation on Earth adopted a unified currency managed by a neutral body. Are there any positives and negatives to this? Please elaborate with examples
Which of these approaches to approaching Japan will be a better tactical move? Signing a license agreement or opening a wholly owned store? What are the benefits and risks involved?

Answers

Currency is a crucial concern for businesses operating globally due to its impact on prices, expenses, profits, and risk management. To effectively operate in the global market, businesses must stay updated on exchange rate fluctuations, allowing them to plan and budget accordingly.

Currency conversion fees imposed by financial institutions can significantly increase the cost of international business operations, affecting the company's financial performance. Managing currency risks is also vital since daily fluctuations in exchange rates can impact profitability. Operating in a country with a weak currency exposes the business to the risk of depreciation, reducing the value of its holdings. Conversely, operating in a country with a strong currency increases the risk of appreciation, potentially making the company's products and services more expensive than competitors'.

If every nation adopted a unified currency managed by a neutral body, there would be both positive and negative consequences. The advantages include streamlined international business operations, as currency conversion would no longer be necessary. The unified currency would promote global trade, simplify international payments, and reduce currency conversion fees. However, drawbacks would involve a loss of sovereignty for individual nations and the inability to conduct independent monetary policies. Economies with diverse needs and priorities would be subject to the same monetary policy, potentially amplifying the impact of economic shocks and crises.

When expanding into Japan, signing a license agreement is a more favorable tactical move compared to opening a wholly owned store. A license agreement involves less capital outlay, lower financial risk, and fewer legal obligations. Under a license agreement, the licensee can sell the licensor's products or services using the licensor's brand name, while the licensor receives royalties based on sales revenue.

This approach is ideal for companies seeking to expand their product line or services in a new market. In contrast, wholly owned stores are costly and risky, requiring significant capital investment and involving extensive regulatory and legal obligations. Companies opting for wholly owned stores face substantial financial risk if the business model fails.

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The 5S step "shine" involves
a. sanding and waxing all work tables.
b. cleaning the hot plates and testing equipment in steam baths.
c. cleaning the work area and equipment.
d. appropriately cleaning all floors.
____
5 points
QUESTION 5
Place in the correct order
- 1. 2. 3. 4. 5.
Sustain
- 1. 2. 3. 4. 5.
Sort
- 1. 2. 3. 4. 5.
Standardize
- 1. 2. 3. 4. 5.
Shine
- 1. 2. 3. 4. 5.
Set in order
10 points
QUESTION 6
The 5S step "sustain" involves
a. training on and testing of all of the 5S steps.
b. management support and employee empowerment.
c. additional training in accident reduction.
d. engaging management in the cost reductions effected with 5S.

Answers

The correct answer for question 4 is c. cleaning the work area and equipment.

The 5S methodology is a system of organizing and maintaining a clean, efficient, and safe workplace. The five steps, as you correctly listed them, are:

Sort: This involves identifying and removing unnecessary items from the work area.

Set in order: This step involves arranging the remaining items in a logical and efficient manner for easy access and use.

Shine: This step involves thoroughly cleaning and maintaining the work area and equipment to ensure they are in good working condition.

Standardize: This step involves establishing clear standards and procedures for maintaining the work area and equipment, to ensure consistency and efficiency.

Sustain: This step involves creating a culture of continuous improvement and ongoing maintenance to ensure that the improvements made through the previous four steps are sustained over time.

As for question 6, the sustain step is critical to the long-term success of the 5S program, because it involves creating a culture of continuous improvement and ongoing maintenance. This requires management support and employee empowerment, so that everyone is invested in the success of the program and has the resources and authority needed to maintain the improvements made through the previous 4S steps.

In other words, sustaining the improvements made through the 5S program requires a team effort, with everyone working together to identify and resolve issues, and management providing the necessary support, training, and resources to ensure that the program is successful.

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The analyst in the XYZ Company wishes to assign a number of similar facilities to an operator, based on minimizing the cost per unit of output. A detailed study of the facilities reveals the following: Loading machine standard time=0.35 minutes Unloading machine standard time=0.26 minutes Walk time between two machines= 0.07 minutes Operator rate = $15.00 per hour Machine rate (both idle and working) = $19.00 per hour Power feed time = 1.78 minutes How many of these machines should be assigned to each operator?

Answers

Without the specific production rate or desired target provided, it is not possible to determine the exact number of machines to be assigned to each operator.

To determine the number of machines that should be assigned to each operator while minimizing the cost per unit of output, we need additional information. Specifically, we would require the production rate or output per machine and the desired production target. With this information, we can calculate the number of machines to be assigned to each operator.

The calculation can be performed by considering the following steps:

Determine the total time required for each machine operation:

Loading machine time: 0.35 minutes

Unloading machine time: 0.26 minutes

Walk time between machines: 0.07 minutes

Power feed time: 1.78 minutes

Calculate the total time per unit of output:

Total time = Loading machine time + Unloading machine time + Walk time + Power feed time

Determine the desired production target (e.g., units per hour).

Calculate the number of machines needed to meet the production target:

Number of machines = Desired production target / (Total time per unit of output)

Finally, assign the appropriate number of machines to each operator, ensuring the total number of machines meets the production requirements.

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Assume MPC=0.70. If an initial fiscal restraint of $150 billion
is desired, how much must taxes be raised ?

Answers

The $357.14 billion in taxes must be raised to achieve a fiscal restraint of $150 billion.

The amount of taxes that must be raised to achieve a desired fiscal restraint can be calculated using the following formula:

Taxes = Fiscal restraint / (1 - MPC)

In this case, the fiscal restraint is $150 billion and the MPC is 0.70, so the amount of taxes that must be raised is:

Taxes = 150 / (1 - 0.70) = 357.14 billion

Therefore, $357.14 billion in taxes must be raised to achieve a fiscal restraint of $150 billion.

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Give Two Instances That Show The Reasons Why Illiberal Counterterrorism Tactics Are Ineffective At Preventing New Attacks And Briefly Explain Why This Is The Case.
Give two instances that show the reasons why illiberal counterterrorism tactics are ineffective at preventing new attacks and briefly explain why this is the case.

Answers

Illiberal counterterrorism tactics are ineffective at preventing new attacks for several reasons. Two instances that illustrate this ineffectiveness are the cases of authoritarian regimes and discriminatory policies.

1. Case of Repressive Measures: In many instances, authoritarian regimes have employed repressive tactics, such as arbitrary arrests, torture, and extrajudicial killings, in the name of counterterrorism. However, these tactics often lead to the suppression of civil liberties and human rights, resulting in widespread grievances and resentment within society.

Such repressive measures can create a fertile ground for radicalization, as marginalized individuals and communities may perceive violence as the only means to resist state oppression. By disregarding due process and fundamental rights, illiberal tactics may inadvertently contribute to the recruitment and radicalization of individuals, exacerbating the threat of new attacks.

2. Case of Discriminatory Policies: Another instance where illiberal counterterrorism tactics prove ineffective is the implementation of discriminatory policies targeting specific religious or ethnic groups. These policies stigmatize and alienate entire communities, fostering a sense of injustice and marginalization. Discriminatory actions such as surveillance, profiling, and religious or ethnic profiling not only violate human rights principles but also create divisions within society.

Such policies may push individuals towards radical ideologies and extremist groups, as they may perceive violence as a means of seeking justice or revenge against the discriminatory treatment they face. In this way, illiberal counterterrorism measures can inadvertently fuel radicalization and hinder efforts to prevent new attacks.

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PERSONAL HOLDING COMPANY TAX/PENALTY (10 Points) Beola Corporation, your new client, is facing a possible Personal Holding Company Tax (Section 541) or Accumulated Earnings Tax (Section 531) for the current tax year. Beola Corporation has provided you the following information for the current tax year:
Taxable Income $496,000
Dividends Received Deduction 98,000
Accumulated Earnings Credit 85,600
Dividends Paid 156,000
Federal Income Taxes 104,160
Excess Charitable Contributions 64,800
REQUIRED: Compute the Personal Holding Company Tax (Section 541) for Beola Corporation for the current tax year.

Answers

PERSONAL HOLDING COMPANY TAX/PENALTY (10 Points) Beola Corporation, your new client, is facing a possible Personal Holding Company Tax (Section 541) or Accumulated Earnings Tax (Section 531) for the current tax year.

The Personal Holding Company Tax for Beola Corporation is calculated by comparing its Personal Holding Company Income to the threshold of 60% of Adjusted Ordinary Gross Income. If the Personal Holding Company Income exceeds the threshold, the tax is imposed. In this case, Beola Corporation's Personal Holding Company Income is $496,000. To calculate the tax, we need to subtract certain deductions, such as the Dividends Received Deduction and Excess Charitable Contributions, from the Personal Holding Company Income. The exact calculation requires more detailed information about the deductions to determine if the tax is applicable.

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A portfolio consists of $13,800 in Stock M and $19,900 invested in Stock N. The expected return on these stocks is 8.20 percent and 11.80 percent, respectively. What is the expected return on the portfolio?

Answers

A portfolio consists of $13,800 in Stock M and $19,900 invested in Stock N.

The expected return on these stocks is 8.20 percent and 11.80 percent, respectively. What is the expected return on the portfolio? When two stocks are combined into a portfolio, the expected return on the portfolio is computed using a weighted average of the expected returns on the two stocks.

The formula for computing the expected return on a portfolio is: Portfolio's expected return = Weighted average of expected returns on each security comprising the portfolio Thus, Expected return on the portfolio = (proportion invested in stock M × expected return on stock M) + (proportion invested in stock N × expected return on stock N)Let's calculate the proportion invested in stock M and stock N. First, find the total amount invested: Total amount invested = $13,800 + $19,900 = $33,700.

Now, calculate the proportion invested in each stock: Proportion invested in stock M = Investment in stock M / Total amount invested= $13,800 / $33,700= 0.41 or 41%Proportion invested in stock N = Investment in stock N / Total amount invested= $19,900 / $33,700= 0.59 or 59%.

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Which of the following are NOT basic elements of organizational design? A) work specialization, span of control
B) chain of command, line authority C) centralization, decentralization
D) departmentalization, formalization

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The basic elements of organizational design are "not" centralization and decentralization.

Centralization and decentralization refer to the degree to which decision-making authority is concentrated at the top or distributed throughout the organization. These concepts are related to the distribution of power and decision-making processes within the organization, rather than being fundamental elements of organizational design.

The basic elements of organizational design include:

A) "Work specialization": Dividing tasks and responsibilities into specialized roles to improve efficiency and expertise.

B) "Span of control": The number of subordinates a manager can effectively supervise.

C) "Chain of command": The line of authority that establishes reporting relationships within an organization.

D) "Departmentalization": Grouping individuals into departments or units based on common tasks, functions, or products.

E) "Formalization": The extent to which job roles, procedures, and rules are standardized within the organization.

These elements collectively contribute to the structure and design of an organization, ensuring clear roles, effective communication, and coordination of activities.

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Benny the Barber (see the above problem) is considering the addition of a second chair. Cus- tomers would be selected for a haircut on a first come first served basis from those waiting. Benny has assumed that both barbers would take an average of 20 minutes to give a haircut, and that the business would remain unchanged with customers arriving at a rate of two per hour. Find the following information to help Benny decide if a second chair should be added: (a) The average number of customers waiting (b) The average time a customer waits (c) The average time a customer is in the shop

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To analyze the impact of adding a second chair, we can use queuing theory based on the given information:

(a) The average number of customers waiting:

Using the M/M/2 queuing model, where arrivals follow a Poisson process and service times are exponentially distributed, we can calculate the average number of customers waiting in line (Lq).

The arrival rate (λ) remains the same at 2 customers per hour. The service rate (μ) for each barber is 1 customer per 20 minutes or 3 customers per hour.

Lq = [(λ/μ)^2 * (1 - ρ)] / (2 * (1 - ρ))

Lq = [(2/3)^2 * (1 - 2/3)] / (2 * (1 - 2/3))

Lq = 0.444

On average, there would be approximately 0.444 customers waiting in line.

(b) The average time a customer waits:

To calculate the average time a customer waits in line (Wq), we can use Little's Law:

Wq = Lq / λ

Wq = 0.444 / 2

Wq = 0.222 hours or 13.33 minutes

On average, a customer would wait approximately 13.33 minutes.

(c) The average time a customer is in the shop:

To calculate the average time a customer spends in the shop (W), we consider both the time spent waiting in line (Wq) and the time spent being served (1/μ):

W = Wq + (1/μ)

W = 0.222 + (1/3)

W = 0.555 hours or 33.33 minutes

On average, a customer would spend approximately 33.33 minutes in the shop.

By analyzing these metrics, Benny can make an informed decision about whether adding a second chair would help manage waiting times and improve customer satisfaction.

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CASE 14.3 THE ORGANIC NONPROFIT: FEET FIRST Aiden Roberts and Mason Fielder have been best friends since kindergarten

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THE ORGANIC NONPROFIT: FEET FIRST Aiden Roberts and Mason Fielder have been best friends since kindergarten. After completing their undergraduate degrees in business, the two entrepreneurs started a company that sells eco-friendly shoes, called Feet First.

They held a fundraiser and were able to raise enough money to start their first project. They partnered with a local school in need and provided shoes to all of the students. The event was a huge success, and Aiden and Mason were thrilled with the impact that they were able to make. They knew that starting a nonprofit was a lot of work, but they also knew that it was worth it. They were excited about the future of the Feet First Foundation and all of the people that they would be able to help. In conclusion, Aiden Roberts and Mason Fielder started a company called Feet First, which sells eco-friendly shoes.

They decided that for every pair of shoes sold, they would donate a pair of shoes to someone in need. The success of Feet First led them to consider starting a nonprofit organization, called Feet First Foundation. They believed that a nonprofit would allow them to expand their efforts and help even more people. After several months of research and planning, Aiden and Mason were able to launch the Feet First Foundation and provide shoes to students at a local school. They knew that starting a nonprofit was a lot of work, but they were excited about the future of the Feet First Foundation and all of the people that they would be able to help. The Foundation continues to operate and provide shoes to people in need.

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Fingen's 15​-year, ​$1,000 par value bonds pay 14 percent interest annually. The market price of the bonds is ​$940 and the​market's required yield to maturity on a​ comparable-risk bond is 17 percent. a. Compute the​ bond's yield to maturity. b. Determine the value of the bond to​ you, given your required rate of return. c. Should you purchase the​ bond? Question content area bottom Part 1 a. What is your yield to maturity on the Fingen bonds given the market price of the​ bonds?

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a. The yield to maturity (YTM) of the Fingen bonds is approximately 15.23%. b. The value of the bond to you depends on your required rate of return. c. Whether you should purchase the bond depends on individual factors such as investment goals and risk tolerance.

a. The YTM is calculated by finding the discount rate that makes the present value of the bond's future cash flows equal to its market price. In this case, the YTM is approximately 15.23%.

b. The value of the bond to you depends on your required rate of return. If your required rate is higher than 15.23%, the bond may be undervalued and worth purchasing.

c. Whether to purchase the bond depends on various factors, such as your investment goals, risk tolerance, and available alternative investments. Consider comparing the bond's expected return with other options before making a decision.

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In 2-3 paragraphs, respond to the following. Your initial post should be substantive and be supported by course concepts. Read and respectfully reply to your classmates' posts to create dialogue and further learning. Classmate replies are to be informative, substantive and meaningful. In context of the course chapters for Unit/Module 6, identify how interpersonal communication is an important skill that helps make managers effective. Describe how good communication or a lack of it may impact employees.

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Interpersonal communication is a crucial skill for managers as it helps foster effective leadership and enhances organizational success. Good communication allows managers to convey their vision, goals, and expectations clearly to employees, ensuring alignment and motivation.

Interpersonal communication enables managers to build strong relationships with their team members, which is essential for effective leadership. Through open and transparent communication, managers can establish trust, demonstrate empathy, and address individual needs and concerns. This fosters a positive work environment and enhances employee engagement and job satisfaction. Good communication also enables managers to provide constructive feedback and recognition, helping employees grow and develop professionally.

On the other hand, a lack of effective communication can create numerous challenges. Miscommunication or ambiguity in instructions can lead to errors, delays, and inefficiencies. When employees feel uninformed or excluded from decision-making processes, it can breed resentment and a lack of commitment. Additionally, poor communication can contribute to misunderstandings and conflicts among team members, hindering collaboration and teamwork. Ultimately, a breakdown in communication can negatively impact employee morale, productivity, and overall organizational performance.

Therefore, managers who possess strong interpersonal communication skills can effectively engage and motivate their employees, create a positive work environment, and facilitate organizational success.

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The Barking Lot had total stockholders' equity of $158,000. During the month, it had net income of $29,000, and paid off $36,000 in business debt. Assuming no other transactions occurred during the month, The Barking Lot's total stockholders' equity as of September 30 is:

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The Barking Lot's total stockholders' equity as of September 30 is $151,000. To calculate the total stockholders' equity as of September 30, we need to consider the changes in net income and the payment of business debt.

Starting with the initial stockholders' equity of $158,000, we add the net income of $29,000, as net income increases stockholders' equity. This brings the total to $187,000 ($158,000 + $29,000).

Next, we subtract the payment of business debt of $36,000 from the total. Paying off debt reduces the liabilities of the company but does not affect stockholders' equity. Therefore, we subtract this amount from the total, resulting in $151,000 ($187,000 - $36,000).  

Hence, The Barking Lot's total stockholders' equity as of September 30 is $151,000.

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Starbucks is one of the largest and best known coffeehouse chains in the world. Founded in 1971, with operations in more than 50 countries, Starbucks is a brand recognized for creating a warm and family atmosphere in its coffeehouses. The rapid expansion it experienced a few years ago has led the brand to focus strategically on its global expansion. However, this option proved to be wrong, as the brand suffered a decline in sales. This decline was partly due to a loss of focus on what made Starbucks a consumer brand of choice: its DNA focused on customer experience, and based on its mission and relationship with employees. To reverse this situation, the Starbucks Board of Directors decided to implement a plan to bring back the brand's DNA and thus regain its market position. This plan includes the goal of instilling in its employees the Starbucks culture, based on its mission: "to inspire and nourish the human spirit: one person, one cup and one community at a time". The goal of your HR team is to develop a training plan that will help you achieve this goal.

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Starbucks is one of the largest coffeehouse chains globally, known for creating a warm and family atmosphere. The brand experienced a decline in sales due to its wrong strategic focus on global expansion. To regain its market position, the Starbucks Board of Directors decided to implement a plan to bring back the brand's DNA and thus its mission and relationship with employees.

This training should also cover techniques to improve sales and customer loyalty.Final Thoughts:The HR team should ensure that the training plan includes ongoing training and development, feedback, coaching, and mentoring to help employees retain and apply the knowledge gained from training. Additionally, Starbucks should ensure that its training programs are accessible and flexible, using technology such as virtual reality to provide immersive training experiences to remote employees.

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taylors ideas have little influence today since we have shifted from an economic based on manufacturing to one based on the provision of services. true / false

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The given statement "Taylors ideas have little influence today since we have shifted from an economic based on manufacturing to one based on the provision of services" is True, Because

Taylor's ideas, which are primarily focused on scientific management and efficiency in manufacturing processes, have indeed had less influence in today's economy, where the emphasis has shifted from a manufacturing-based economy to one that is more service-oriented.

With the rise of the service sector and knowledge-based industries, the principles and practices of Taylorism have become less applicable in many contexts. The focus has shifted towards customer experience, customization, innovation, and the delivery of intangible services, which require different management approaches compared to traditional manufacturing processes. While Taylor's ideas still have historical significance and may have some application in certain manufacturing sectors, their influence has diminished in today's service-driven economy.

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Infation and interest rates The following togle shows the average nominal interest retes on sux-month Treasury bils betmeen 2014 and 2013 , which determened the nnmirai interest rase that the u.S.government paid when it issued debt in those years. The tatie also shows the inflation fate for the years 20t4 ta 2019 . (An rates are rounded to the nearest tanth of a percenti). Homework (Ch) 11) points (triangle symbol) to plst the rear interest fates for those yeas. neal Options lege Success Tips Mer Success Tips Feablack According to the table, in which vear did buyers of six-resones Tieasury bes receive the highest real retum on theie ureisisent? 2014 2015 2016 2017 2018

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we can conclude that the buyers of six-month Treasury bills received the highest real return on their investment in the year 2019.

To calculate the real return of the buyers of six-month Treasury bills, we use the formula: Real Return = Nominal Return - Inflation Rate/100.

Given the table of inflation rates for the years 2014, 2015, 2016, 2017, 2018, and 2019 as 1.62%, 0.12%, 1.26%, 2.13%, 2.44%, and 1.81% respectively, and the nominal interest rates for six-month Treasury bills as 0.03%, 0.08%, 0.29%, 1.00%, 1.97%, and 2.23% respectively, we can calculate the real returns for each year.

Calculating the real returns for the six-month Treasury bills:

Real Return in 2014 = 0.03 - 1.62/100 = -1.59%

Real Return in 2015 = 0.08 - 0.12/100 = 0.07%

Real Return in 2016 = 0.29 - 1.26/100 = -0.97%

Real Return in 2017 = 1.00 - 2.13/100 = -1.13%

Real Return in 2018 = 1.97 - 2.44/100 = -0.47%

Real Return in 2019 = 2.23 - 1.81/100 = 0.42%

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Sheaves Corp. has a debt-equity ratio of .9. The company is considering a new plant that will cost $102 million to build. When the company issues new equity, it incurs a flotation cost of 7.2 percent. The flotation cost on new debt is 2.7 percent. What is the weighted average flotation cost if the company raises all equity externally? (Enter your answer as a percent and round to two decimals.) What is the initial cost of the plant if the company raises all equity externally? (Enter your answer in dollars, not millions of dollars, e.g., 1,234,567. Do not round intermediate calculations and round your answer to the nearest whole dollar amount, e.g., 32.) What is the initial cost of the plant if the company typically uses 60 percent retained earnings for equity financing? (Enter your answer in dollars, not millions of dollars, e.g., 1,234,567. Do not round intermediate calculations and round your answer to the nearest whole dollar amount, e.g., 32.) What is the initial cost of the plant if the company typically uses 100 percent retained earnings for equity financing? (Enter your answer in dollars, not millions of dollars, e.g., 1,234,567. Do not round intermediate calculations and round your answer to the nearest whole dollar amount, e.g., 32.)

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The weighted average flotation cost if the company raises all equity externally $109,440,000

Weighted average flotation cost if the company raises all equity externally is 7.20% + 0 = 7.20%.

Initial cost of the plant if the company raises all equity externally is $102,000,000 x 1.072 = $109,440,000.

Amount of equity financing = 60% x $102,000,000

                                              = $61,200,000

Amount of new equity = $61,200,000 ÷ (1.00 - 7.20%)

                                     = $66,000,000

New total amount of equity = $61,200,000 + $66,000,000

                                              = $127,200,000

Initial cost of the plant if the company typically uses 60 percent retained earnings for equity financing is ($127,200,000)

Amount of equity financing = 100% x $102,000,000

                                              = $102,000,000

Amount of new equity = $102,000,000 ÷ (1.00 - 7.20%)

                                     = $110,000,000

New total amount of equity = $102,000,000 + $110,000,000

                                              = $212,000,000

Initial cost of the plant if the company typically uses 100 percent retained earnings for equity financing is ($212,000,000)

WAFC is 7.20%.The initial cost of the plant if the company raises all equity externally is $109,440,000.

The initial cost of the plant if the company typically uses 60 percent retained earnings for equity financing is $127,200,000.

The initial cost of the plant if the company typically uses 100 percent retained earnings for equity financing is $212,000,000.

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Consider a scenario where a task is dependent on another task being started but not necessarily completed. For example, a project may depend on a task being started and one-fourth completed before the group could start their portion of the project. Do you think this situation occurs frequently in systems projects? Why or why not?

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Yes, this situation of task dependency, where a task needs to be started but not necessarily completed before another task can begin, can occur frequently in systems projects.

There are several reasons why this is the case:

The complexity of systems projects: Systems projects often involve multiple tasks and activities that need to be coordinated and sequenced in a logical order. Tasks may have interdependencies, where the completion or partial completion of one task is necessary for the start of another. This complexity can result in task dependencies that require specific conditions to be met before proceeding.

Sequential nature of tasks: Systems projects often follow a sequential flow, where certain tasks need to be completed before others can begin. This is especially true in projects with a structured project management approach, such as the waterfall methodology. In such projects, tasks are typically planned and scheduled in a specific sequence, considering their dependencies.

Resource allocation: Task dependencies can also arise due to resource constraints. For example, a team or group may need to complete a portion of a task before another team can start their work, as they require the same resources or expertise. This allows for efficient resource allocation and utilization across the project.

Risk management: Task dependencies can be used as a risk management strategy in systems projects. By ensuring that certain tasks are started or progressed to a certain extent before others begin, project teams can mitigate the risk of delays or disruptions. It allows for early identification of potential issues or bottlenecks and provides an opportunity to address them before they impact subsequent tasks.

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Do your own research in current hospital industry, find and give real world examples or cases (good or bad) about hospital consolidations and mergers. You may give examples or simply join in discussion on examples given by classmates.

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Hospital consolidations and mergers have been prevalent in the current healthcare industry, leading to both positive and negative outcomes. Examples include the merger between Advocate Health Care and Aurora Health Care, resulting in improved patient care and cost efficiencies, and the merger between Tenet Healthcare and Vanguard Health Systems, which faced challenges in integrating operations and financial performance.

One example of a successful hospital consolidation is the merger between Advocate Health Care and Aurora Health Care in 2018, creating Advocate Aurora Health. This merger aimed to enhance patient care, improve population health management, and achieve cost efficiencies through economies of scale. The combined entity became one of the largest not-for-profit health systems in the United States, allowing them to invest in advanced technologies and expand access to care.

On the other hand, the merger between Tenet Healthcare and Vanguard Health Systems in 2013 faced challenges. The merger aimed to create a larger healthcare organization with increased market power. However, the integration of operations and financial performance proved to be difficult, resulting in financial struggles for Tenet Healthcare and a decline in patient satisfaction. These examples highlight that hospital consolidations and mergers can have varying outcomes. While some mergers result in improved patient care, cost savings, and operational efficiencies, others may face challenges in integration and financial performance. It is crucial for healthcare organizations to carefully assess the strategic fit, cultural alignment, and potential risks before pursuing mergers or consolidations in order to maximize the benefits and minimize potential drawbacks.

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