Which of the following events is most likely to shift the U.S.'s Production Possibilities Frontier outwards? Check all the ones that apply. Select one or more:
a. Car manufactures in the USA shift from producing mostly sedans to producing mostly SUVs and pickup truck
b. Congress increases minimum wage to $11.
c. A company called 3D Systems develops a new plastic that is cheaper and stronger than existing plastics using nanotechnology
d. The government prints more money.
e. The number of workers in the USA increase due to legal immigration,

Answers

Answer 1

The events that are most likely to shift the U.S.'s Production Possibilities Frontier (PPF) outwards are: Car manufacturers in the USA shifting from producing mostly sedans to producing mostly SUVs and pickup trucks.

(a) Shifting car production from sedans to SUVs and pickup trucks can expand the range of goods produced, increasing the U.S.'s PPF by diversifying and expanding the automotive sector.

(c) The development of a new, cheaper, and stronger plastic by 3D Systems would enhance productivity and efficiency, allowing for more output and an outward shift of the PPF in industries that rely on plastics.

(e) An increase in the number of workers through legal immigration would expand the available labor force, enabling higher production levels and potentially shifting the PPF outwards as more goods and services can be produced.

(b) Increasing the minimum wage (option b) would not directly shift the PPF outwards but could impact the allocation of resources and influence the point on the PPF.

(d) Printing more money (option d) would not shift the PPF outwards. Instead, it may lead to inflation and potentially decrease the purchasing power of the currency.

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Related Questions

The Sarbanes-Oxley Act and the Corporate Governance Handbook require that the Board of Directors have an audit committee of external directors, one of whom is a financial expert. Discuss the importance of these requirements.

Answers

The Sarbanes-Oxley Act (SOX) and the Corporate Governance Handbook of public companies require that the Board of Directors have an audit committee of external directors, one of whom is a financial expert.

Below are the importance of these requirements: Importance of the Sarbanes-Oxley Act and Corporate Governance Handbook Requirements It provides public companies with an audit committee of external directors. This audit committee is charged with overseeing the company's financial reporting system, internal control, and audit functions. Investors may have more confidence in the company's financial reporting if an external board of directors supervises the company's financial reporting, internal control, and audit functions.

An audit committee of external directors, especially one with a financial expert, can be an effective internal control for companies, reducing the likelihood of fraud and financial malfeasance. The presence of an audit committee of external directors is also regarded as a sign of good corporate governance. It aids in the prevention of conflicts of interest between management and shareholders by overseeing management's activities.

An audit committee with outside directors can also help to keep the auditor honest by encouraging auditor independence. In general, the Sarbanes-Oxley Act and the Corporate Governance Handbook requirements are important for public companies because they improve transparency, promote better corporate governance, and instill investor confidence.

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If Bourne Company paid $200,000 cash dividends to its shareholders, retained earnings would be reduced by $200,000. If stockholders' equity is $300,000 on January 1,2022 , and decreases to $100,000 on December 31,2022 , this could only be due to a net loss of $200,000.

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If Bourne Company paid $200,000 cash dividends to its shareholders, the retained earnings would be reduced by $200,000. If stockholders' equity decreases from $300,000 to $100,000 within a year, it suggests a net loss of $200,000.

When a company pays cash dividends to its shareholders, the retained earnings account is reduced by the amount of dividends paid. This is because dividends are distributed from the company's accumulated profits, which are reflected in the retained earnings account.

Stockholders' equity represents the residual interest in the company's assets after deducting liabilities. It consists of contributed capital (such as common stock) and retained earnings. If the stockholders' equity decreases from $300,000 to $100,000, it indicates a reduction in the company's net worth.

To explain the decrease in stockholders' equity, a net loss of $200,000 is mentioned. A net loss occurs when a company's expenses exceed its revenues during a given period. This loss is deducted from the retained earnings, leading to a decrease in stockholders' equity. It is important to note that other factors, such as additional capital contributions or stock repurchases, could also impact stockholders' equity. However, based on the information provided, the net loss appears to be the likely cause for the decrease in stockholders' equity.

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The dollar-weighted return is the geometric average teturn internal rate of return arithmetic average feturn difference between cashi inflows and cash outfows Question 19 4 pts Annual percentage rates can be converted to effective annual rates by means of the following formula: (APR/n) (1+( APR 2π)) n +1 (APPO(ri) (periadic ratek(A)

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In this formula, "n" represents the number of compounding periods within a year. The APR is divided by "n" to obtain the periodic rate, and then the result is added to 1. This sum is raised to the power of "n" and then subtracted by 1 to calculate the effective annual rate.

The formula to convert an Annual Percentage Rate (APR) to an Effective Annual Rate (EAR) is: EAR = (1 + (APR/n))^n - 1

In this formula, "n" represents the number of compounding periods within a year. The APR is divided by "n" to obtain the periodic rate, and then the result is added to 1. This sum is raised to the power of "n" and then subtracted by 1 to calculate the effective annual rate. The conversion from APR to EAR is necessary when compounding occurs more frequently than once a year. The EAR reflects the true annualized rate, taking into account the effects of compounding. It provides a more accurate representation of the actual return or cost associated with an investment or loan. By using the formula mentioned above, the APR can be converted to the corresponding effective annual rate, enabling comparisons and evaluations of different investment or loan options on an equal basis. The dollar-weighted return is the geometric average return internal rate of return arithmetic average feturn difference between cashi inflows and cash outflows Question 19 4 pts Annual percentage rates can be converted to effective annual rates.

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We know that it is possible to hire someone who is a "bad apple," but there are cases where the "bad apple" can actually be created by the company culture. True or False
2.Some people can claim ______, which is when they say that they were "just following orders."
conflicts of interest
paycheck blindness
conformity bias
obedience to authority
3.Which statement about agency theory is true?
all of the above
the role of the agent is to act in the best interest of the principal
none of the above
A principal is hired by an agent to do the work that the agent would not otherwise do
The principal’s self-interest can conflict with the ethical duty of the agent
4.
Marjoram hires Ross to sell cars, and then she tells him that continued employment is contingent on consistently meeting and exceeding his monthly quotas. She then says, "I don’t care how you do it. Just sell the cars." Why is this a moral hazard?
because he is the principal and it is his job to look out for the agent
because there is no apparent consequence if he lies to sell cars
this is not a moral hazard
because there is a lack of diversity and transparency
5.
It can be argued that a CEO whose compensation is equal to 475 average employees is damaging to shareholders because money that could be re-invested in the company is being spent elsewhere.
True
False

Answers

1. True. It is possible to hire someone who is a "bad apple," but there are cases where the "bad apple" can actually be created by the company culture.

2. Obedience to authority. Some people can claim obedience to authority, which is when they say that they were "just following orders."3. The statement "The principal’s self-interest can conflict with the ethical duty of the agent" is true about agency theory.4. This is a moral hazard because there is no apparent consequence if he lies to sell cars.5. True, it can be argued that a CEO whose compensation is equal to 475 average employees is damaging to shareholders because money that could be re-invested in the company is being spent elsewhere.

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Explain why the Encomienda System was established.
What is meant by the Columbian Exchange? Who was affected the most by the exchange? Be sure to give historical examples.
More than anything else, what destroyed Native American cultures in the 16th century?
On the whole, what was the impact of early European explorations on the New World? What was the impact of the New World on Europeans?

Answers

The Encomienda System was established by the Spanish during the colonization of the Americas.

It was a labor system that granted Spanish colonists the right to demand labor and tribute from the indigenous population.

The main stated purpose of the system was to facilitate the conversion of indigenous people to Christianity and to provide for their welfare and protection.

In practice, however, the system often led to abuse and exploitation, as the indigenous people were subjected to forced labor, harsh conditions, and mistreatment.

The Columbian Exchange refers to the widespread exchange of plants, animals, diseases, and cultural elements between the Eastern and Western Hemispheres following Christopher Columbus's voyages to the Americas in 1492.

It had a profound impact on both sides of the exchange.

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Intro You've estimated the following cash flows (in $) for a project: B Cash flow -5,400 1,325 2,148 3,135 3+ decimals A 1 Year 2 0 3 1 2 3 Submit 4 The required return for the project is 8%. 5 сл Part 1 What is the IRR for the project? Submit Part 2 Should you accept the project? No Yes B Attempt 3/5 for 10 pts. BAttempt 1/5 for 10 pts.

Answers

Therefore, the IRR for the project is 15.31%. Since the IRR is greater than the required return, it indicates that the project will generate more returns than the required return. Thus, the project is acceptable.

The initial outlay is -5400, and the cash inflows are 1325, 2148, and 3135 for the next three years respectively. We are required to compute the internal rate of return (IRR) for this project

What is the IRR for the project?The formula to compute IRR is as follows:IRR = (Investment / CF0)1/n – 1Here,Investment = -5400CF0 = 1325, 2148, 3135n = 3IRR = (-5400/1325)1/3 – 1IRR = 15.31%Therefore, the IRR for the project is 15.31%

Should you accept the project? To decide whether to accept the project or not, we need to compare the IRR with the required return of 8%. Since the IRR of the project is greater than the required return, we should accept the project.

IRR (Internal Rate of Return) is the interest rate that an investment earns over its life span. It is the rate at which the NPV (Net Present Value) of all the cash inflows of the project equals the NPV of all the cash outflows of the project. In this project, we were given the cash flows of the project, and we needed to calculate the IRR of the project. The given cash flows for this project are -5400, 1325, 2148, and 3135 for years 1, 2, 3, and 4 respectively. We are also given the required return of 8%. To calculate the IRR, we used the IRR formula. On substituting the values, we obtained an IRR of 15.31%.Since the IRR is greater than the required return, it indicates that the project will generate more return than the required return. Thus, the project is acceptable. Hence, we should accept the project.

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Commutative property states that
O a. (a+b)+c=a+(b+c)
O b. a+(-a)=0
O c. a+b=b+a
O d. a(b+c)=ab+ac

Answers

The commutative property states that a+b=b+a. It states that changing the order of operands does not affect the result of the operation. Therefore, option C is correct.

The commutative property is a fundamental property in mathematics that applies to addition and multiplication operations. The commutative property of addition states that the order of addition can be changed without changing the result.

For example, if we have two numbers, a and b, the sum of a and b is the same as the sum of b and a. This property holds true for any real numbers.

The commutative property is a fundamental concept that allows us to simplify calculations and understand symmetry in mathematical operations. It is applicable in various branches of mathematics, including algebra, arithmetic, and set theory.

In conclusion, the commutative property is a vital mathematical principle that enables us to reorder the operands in addition and multiplication operations without altering the final result. It helps simplify calculations and reveals the inherent symmetry within mathematical operations. Therefore, option C is correct.

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What is the most stressful type of jobs and why? , morover what is
nagative impact of stress?
please type with keyboard
i want references

Answers

Stressful jobs can cause mental and physical health problems for workers. According to a report by the American Institute of Stress, workplace stress costs the United States economy around $300 billion every year. The following are the most stressful jobs and the negative effects of stress.

Most stressful jobs1. SurgeonsSurgeons have to deal with a high degree of responsibility. They have to ensure that every surgery is successful. Any mistake could be catastrophic, resulting in patient death. According to a survey by Medscape, more than 60% of surgeons suffer from job-related stress.2. FirefightersFirefighters work in dangerous and unpredictable environments. They face numerous challenges, such as rescuing individuals, controlling fires, and providing emergency medical treatment. Firefighters must stay focused under pressure to avoid making any mistakes.3. Police officersPolice officers deal with criminals, and their job is inherently dangerous.

They have to protect society and ensure that they enforce the law. Police officers experience high levels of job-related stress due to the nature of their work.Negative impact of stressWhen a worker is exposed to stress over a long period, it can have a negative impact on their health.

The effects of stress on the human body include:Digestive problemsSleep problemsHigh blood pressureHeart diseaseMental health problems (such as depression and anxiety)Increased risk of addictionReduced immune functionReferences:medlineplus.gov/stress.htmlmayoclinic.org/healthy-lifestyle/stress-management/in-depth/stress-symptoms/art-20050987helpguide.org/articles/stress/stress-symptoms-causes-and-effects.htm

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identify the two central pillars of good governance ?
a- accountability and availability
b- integrity and accountability
c- transparency and accountability
d- transparency and sustainability
the global challenges faced by business is twofold
- true
-false
identify the three categories for internal resources
a- organizational resources technological resourcesand physical resources
b- technological resources , organizational resources and economic resources
c- human resources, organizational resources , economic resources
d- human resources , physical resources , organizational resurces

Answers

Correct option is C. The two central pillars of good governance are transparency and accountability. Accountability means a system of checks and balances, a mechanism by which organizations are held responsible for their activities, and individuals or departments are held responsible for their actions.

Transparency refers to the openness of an organization's activities. Transparency ensures that any decisions made by the organization are communicated to all stakeholders, and it is often accompanied by the provision of relevant information. Transparency also ensures that organizations are accountable for their activities to all stakeholders.

The statement "the global challenges faced by business is twofold" is false. The global challenges faced by businesses are multi-faceted and complex. It includes factors like political instability, socio-economic changes, technological advances, and environmental concerns.

The three categories for internal resources are human resources, organizational resources, and economic resources. The correct option is c.

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You are investing $10,000 today, then $1000,$2000,$3,000, $4000,$5000,$6000,$7000,$8000,$9000,$10,000 each year thereafter. The interest rate is 10% Cash Flow Diagram (this format is acceptable for exam with proper signs) $10 K⋯$1 K⋯−$2 K⋯$3 K⋯−$4 K⋯−$5 K⋯−$6 K−$7 K−$8 K−$9 K⋯−$10 K Identify the Cash flows in the Cash Flow Diagram. Select all that apply. Arithmetic, Annual Gradient Value Annual Value, Uniform Series Present Value, Single Sum Future Value, Uniform Series Geometric, Annual Gradient Value

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The cash flows in the given Cash Flow Diagram include a single sum of $10,000 invested initially, a uniform series of $1,000 invested annually, and a series of negative cash flows representing withdrawals of $2,000, $4,000, $5,000, $6,000, $7,000, $8,000, $9,000, and $10,000 each year thereafter.

The Cash Flow Diagram provided represents a series of cash flows over time. Each arrow in the diagram represents a cash flow, with the direction indicating whether it's an inflow (positive) or an outflow (negative) of funds.

The first cash flow is an initial investment of $10,000 (represented by $10K) made at time zero. This is a single sum of money being invested.

After the initial investment, there are annual cash flows of $1,000 (represented by $1K) invested each year. These cash flows form a uniform series with a constant value.

Starting from the second year, there are negative cash flows indicated by arrows pointing downwards. These represent withdrawals or outflows of funds. The cash flows are as follows: $2,000, $4,000, $5,000, $6,000, $7,000, $8,000, $9,000, and $10,000.

Overall, the cash flows include a single sum, a uniform series, and a series of negative cash flows, indicating both investments and withdrawals over time.

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To strengthen its currency, a country's central bank should: Sell foreign exchange and increase its money supply. Buy foreign exchange and increase its money supply. Sell foreign exchange and decrease its money supply. Buy foreign exchange and decrease its money supply.

Answers

To strengthen its currency, a country's central bank should: Buy foreign exchange and decrease its money supply.

When a central bank buys foreign exchange, it increases the demand for its own currency in the foreign exchange market. This increased demand leads to an appreciation of the domestic currency's value relative to other currencies, thus strengthening the currency. To prevent this increase in demand from expanding the money supply and potentially causing inflationary pressures, the central bank simultaneously decreases its money supply. This contractionary monetary policy helps maintain price stability while strengthening the currency.

By buying foreign exchange and reducing the money supply, the central bank can effectively increase the value of its currency and promote economic stability by controlling inflationary pressures.

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To strengthen its currency, a country's central bank should: Buy foreign exchange and decrease its money supply. When a central bank buys foreign exchange, it increases the demand for its own currency in the foreign exchange market.

This increased demand leads to an appreciation of the domestic currency's value relative to other currencies, thus strengthening the currency. To prevent this increase in demand from expanding the money supply and potentially causing inflationary pressures, the central bank simultaneously decreases its money supply. This contractionary monetary policy helps maintain price stability while strengthening the currency. By buying foreign exchange and reducing the money supply, the central bank can effectively increase the value of its currency and promote economic stability by controlling inflationary pressures.

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Related to Checkpoint 9.2) (Yield to maturity) Abner Corporation's bonds mature in 21 years and pay 7 percent interest annually. If you purchase the bonds for $900, what is your yield to maturity? Your yield to maturity on the Abner bonds is%. (Round to two decimal places.) (

Answers

The yield to maturity on the Abner bonds is 0.78%.

The yield to maturity (YTM) is the amount an investor will receive in total return, taking into account interest, compound interest, and the bond's par value, or face value. The bond yield is the interest rate that an investor receives in exchange for purchasing a bond. The formula to calculate the yield to maturity is; Yield to maturity = [(Face value of the bond)/(Present value of the bond)](1/n) - 1 Where n = Number of years to maturity. For the given question, the bonds of the Abner Corporation mature in 21 years and pay 7% interest annually.

The bonds are bought for $900, therefore the face value of the bond can be calculated by; the Face value of the bond = Bond purchased price / Number of bonds. Face value of the bond = $900 / 1 = $900. Using the formula of YTM; Yield to maturity = [(Face value of the bond)/(Present value of the bond)] (1/n) - 1. Yield to maturity = [($900)/($900)](1/21) - 1 Yield to maturity = 0.007759 = 0.78%. Therefore, the yield to maturity on the Abner bonds is 0.78%.

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Which of the following is False? (HINT: Slides 9-11)
a. If a company's constant dividend growth rate is negative, the formula for the constant growth model can still be applied.
b. From the constant growth model, if the constant dividend growth rate is equal to zero, a firm's share price is equal to the constant dividend divided by the cost of equity (i.e., g-0).
c. For the constant growth model to hold, a firm's cost of equity (rs) needs to be smaller than its constant dividend growth rate (i.e., rs < g).
d. For the constant growth model to hold, a firm's cost of equity (rs) needs to be greater than its constant dividend growth rate (i.e., rs > g).

Answers

The false statement is given by option (d)

Here is a Step-by-Step Explanation:

For the constant growth model to hold, a firm's cost of equity (Rs) needs to be greater than its constant dividend growth rate (i.e., rs > g).

What is constant dividend growth?

A constant dividend growth is a scenario where a company increases its dividends over a particular period, at a constant rate indefinitely. This rate is usually considered to be smaller than the business's return on equity (ROE), and it is typically around the rate of inflation. In the short term, it is almost improbable to maintain a constant dividend growth rate. Investment assets that pay dividends must be valued in a different manner than those that do not. Dividend valuation models are a common approach to determine the intrinsic value of such investments. The most basic version of the dividend valuation model is the constant growth model.

What is the constant growth model?

The constant growth model, also known as the Gordon growth model, is a method of determining the intrinsic value of an asset using the concept of present value. The constant growth model is based on the notion that the intrinsic value of a stock is the sum of all of the future dividends that the company is expected to pay out, discounted to their current value by the required rate of return, minus any potential capital gains. The formula for the constant growth model can be expressed as follows:

PV = D1/(r - g)

Where PV represents the present value of the future cash flows, D1 represents the expected dividend per share next year, r represents the required rate of return, and g represents the constant dividend growth rate.

The false statement is given by option (d)

For the constant growth model to hold, a firm's cost of equity (rs) needs to be greater than its constant dividend growth rate (i.e., rs > g).

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create a sample bank statement
- View a copy of your most recent bank statement, If you don't have an account pull a sample bank statement from the web or see if a family member will allow you to look at their statement. - Identify

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To create a sample bank statement, you need to follow these steps: View a copy of your most recent bank statement. If you don't have an account, pull a sample bank statement from the web or see if a family member will allow you to look at their statement.

Identify different sections like account summary, transactions, deposits, and withdrawals. Create a new document in MS Word. Now, you need to add all the details you identified in the last step. Add the name of the bank and account number at the top of the page. Add account summary and balance information, including deposits, withdrawals, and interest earned, under the bank name.

Add transaction details like the date of the transaction, check number, description, withdrawal or deposit amount, and balance. Repeat the process for all transactions. Review the final document and make sure you have included all the necessary details. Save and print the document. Also, keep in mind that creating a fake bank statement is illegal and can result in serious consequences. So, it's better to create a sample bank statement for educational or practice purposes only.

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The following pair of investment plans are identical except for a small difference in interest rates. Compute the balance in the accounts after 10 and 30 years. Discuss the difference.
Chang invests ​$500 in a savings account that earns 3.75​% compounded annually.
Kio invests ​$500 in a different savings account that earns 4.0​% compounded annually.
After 10 years Chang will have a balance of approximately?
After 30 years Chang will have a balance of approximately?
​(Round to the nearest cent as​ needed.)

Answers

After 10 years, Chang will have a balance of approximately $708.19.

After 30 years, Chang will have a balance of approximately $1,112.40.

The difference in interest rates between Chang's and Kio's savings accounts may seem small (0.25%), but over a long period of time, it can lead to significant differences in the accumulated balance.

The higher interest rate in Kio's account allows for more rapid growth of the investment compared to Chang's account.

In the short term (after 10 years), the difference in interest rates has a relatively small impact, with Chang having approximately $7.97 less in his account compared to Kio.

However, as the investment period extends to 30 years, the effect of compounding becomes more pronounced. Chang's account balance is approximately $53.72 less than Kio's after 30 years.

This highlights the power of compounding and the importance of even slight differences in interest rates over extended time periods. It's crucial for investors to carefully consider interest rates and the compounding frequency when making long-term investment decisions, as these factors can significantly impact their investment returns.

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1. 1 Jan 2016 Company A of the US offered to Company B of China: "Soy Bean, Class A standard, $0.4/kg, 100,000kg, FOB, L/C, Offer valid for 30 days." Company B replied: "offer received, all agreed, except $0.35/kg for 200,000kg." Company A received it but did not reply. 2 days later, Company B replied to place an order for 100,000kg of soy bean at $0.4/kg. Company A received it but did not reply. Question: (1) According to the general contract law, is there a contract and why? (5pt) (2) If there is a dispute about the existence of a contract, which law is to apply and why? (5pt) (3) Suppose Company A and B entered in a contract in 2017 based on Company A's terms. But the soy bean delivered turned out not to be Class A standard. What are the possible remedies available to the Company B? (10pt) 2. S Company (Germany) contracted with T Company (HK) to ship 5 CET scan machineries from Hamburg to Hong Kong. On arrival, the machines were found to have been damaged in the voyage. Questions: Assume Hague-Visby rules apply, (1) What are the legal duties of T Company in shipping these machineries? (5pt) (2) Suppose the damages are caused by fault of the ship crew in navigation,

Answers

(1) According to the general contract law, there is no contract between the Company A and Company B.

The contract becomes valid if and only if the offeree (Company B) accepts the terms of the offer in full.

If the offeree introduces a new term (such as the $0.35/kg for 200,000kg in this case), this becomes a counteroffer.

Company A did not respond to the counteroffer and the offer became invalid as soon as 30 days had passed.

(2) If there is a dispute about the existence of a contract, the law that applies is the law of the country where the acceptance was made. In this case, Company B is from China, so Chinese law should be applied.

(3) The possible remedies available to Company B are as follows:

they can terminate the contract, reject the goods and return them, or ask for replacement goods or repairs.

In this case, since the soybean delivered was not Class A standard, Company B could either reject the goods and return them or ask for replacement goods.

(1) According to Hague-Visby rules, the legal duties of the T Company in shipping these machineries are to provide a seaworthy ship, properly load, handle, stow, and care for the cargo, and properly man, equip, and supply the ship.

(2) If the damages are caused by the fault of the ship crew in navigation, the carrier is not liable.

However, if the carrier is unable to prove that they exercised due diligence to make the ship seaworthy before the voyage, they are liable for the damages caused by any unseaworthiness that could have been discovered by due diligence.

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International Marketing
If Coach, a luxury goods marketer, would like to study
the consumer perceptions of global luxury brands, what would be the
best approach since there are several competitors for

Answers

If Coach, a luxury goods marketer, would like to study the consumer perceptions of global luxury brands, the best approach would be the focus group interview. A focus group is a moderated discussion in which a group of individuals share their thoughts and attitudes about a product, service, concept, or marketing message with a moderator and with one another.

Focus groups are frequently used in marketing research to get a better understanding of the attitudes and perceptions of consumers. A focus group is a good method for understanding consumer attitudes towards global luxury brands because it permits a rich and nuanced conversation among a group of consumers. A focus group is a type of interview that can be used to collect data about people's attitudes, preferences, and opinions. A moderator typically leads the discussion, which includes a group of people, with the intention of gathering a variety of opinions and attitudes. Focus groups are often used in market research to understand how consumers perceive a product, service, or marketing message.

Focus groups can provide a wealth of information that can help a company better understand their target market. By using a focus group to understand consumer perceptions of global luxury brands, Coach can get a better understanding of what is important to consumers when it comes to luxury brands. The insights gained from a focus group can help Coach develop better marketing messages and can also inform future product development. For example, if consumers express a strong preference for luxury brands that are eco-friendly, Coach may consider developing a line of eco-friendly luxury goods to cater to this segment of the market.

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The diversification of a business, especially in a foreign country or different industry, comes with risks. What factors should a company consider when diversifying into different industries or venturing overseas? What role should the board of directors play in such decisions and how should it exercise oversight?

Answers

When a company diversifies its business into different industries or ventures into a foreign country, there are several factors that it should consider.

These factors include:

Market Research: It is essential to conduct extensive market research before entering a new industry or foreign market. This will help the company to understand the customer's needs, competition, regulations, and other factors that could impact the business's success.

Culture and Language: A company must consider the culture and language of the foreign market when expanding its business overseas. This will help the company to understand the customers' behaviors and preferences and adapt its products or services accordingly.

Regulatory Environment: Companies need to understand the laws and regulations of the foreign market to comply with them. Tax laws, labor laws, and other regulations vary from country to country. Companies must ensure they follow all the regulations to avoid any legal issues.

Board of Directors: The board of directors should play a vital role in diversification decisions. They should oversee the management's decision-making process and provide guidance and support. The board must ensure that the company follows the best practices and operates ethically and responsibly. The board must also ensure that the company has adequate resources and management expertise to succeed in new ventures.

Overall, diversifying into different industries or venturing overseas carries risks. A company must conduct extensive research and understand all the factors involved before making a decision. The board of directors should provide guidance and oversight to ensure the company's success in new ventures.

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Today is Saturday and you have three choices. You can stay at home, work an 8 hour shift for $15 per hour or work a 5 hour shift for $20 per hour. What is the opportunity cost if you stay at home? $75 $120 $220 $100 None of the above

Answers

The opportunity cost of staying at home is $100 which is the amount of money you would have earned if you had chosen to work the 5-hour shift instead.

To calculate the opportunity cost, we need to consider the value of the next best alternative. In this scenario, the next best alternative to staying at home is working a 5-hour shift for $20 per hour.

If you work a 5-hour shift for $20 per hour, you would earn:

5 hours * $20/hour = $100.

Therefore, the opportunity cost of staying at home is $100, which is the amount of money you would have earned if you had chosen to work the 5-hour shift instead.

Opportunity cost refers to the potential benefits or earnings that are forgone when choosing one option over another. In this case, by choosing to stay at home, you are giving up the opportunity to earn $100 by working the 5-hour shift. It's important to consider opportunity costs when making decisions, as they help assess the trade-offs involved and make more informed choices.

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Maple Leaf Inc, a television manufacturer, would like to reduce its inventory. To this end, you were asked by the operations manager to assess its inventory level. Given the following information on inventories from last year's financial statement, what was the inventory
turnover?
Raw materials $2,500,000
Work-in-process $1,000,000
Finished goods $800,000
The cost of goods sold last year (50 weeks) was $15 million.
a Less than or equal to 2.
b Greater than 2 but less than 3.
c Greater than 3 but less than 4.
d Greater than 4.

Answers

The inventory turnover for Maple Leaf Inc. is approximately 6.98, indicating efficient inventory management. It falls under the category of "c. Greater than 3 but less than 4" in terms of inventory turnover ratio.

To calculate the inventory turnover, we need to divide the cost of goods sold by the average inventory. The average inventory can be calculated by adding the values of raw materials, work-in-process, and finished goods and then dividing the sum by 2.

Average inventory = (Raw materials + Work-in-process + Finished goods) / 2

Average inventory = ($2,500,000 + $1,000,000 + $800,000) / 2

Average inventory = $4,300,000 / 2

Average inventory = $2,150,000

Inventory turnover = Cost of goods sold / Average inventory

Inventory turnover = $15,000,000 / $2,150,000

Inventory turnover ≈ 6.98

Based on the calculated inventory turnover of approximately 6.98, the correct option is:

c. Greater than 3 but less than 4.

The inventory turnover of Maple Leaf Inc. is greater than 3 but less than 4, indicating that the company is turning over its inventory multiple times within a year, which suggests efficient inventory management.

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Two of the electronic cash options discussed in this chapter are Venmo and Square Cash. Do a comparison between these two based upon
(1)
type of phone the app can run on,
(2)
bank transfer fee,
(3)
credit card fee,
(4)
debit card fee,
(5)
transfer limit, and other factors you believe are significant.
Explain which features are most important to you and how you would rate these apps overall.

Answers

Venmo and Square Cash are both popular electronic cash options, but they differ in several key aspects:

1) Type of phone the app can run on:

Venmo: Compatible with both iOS and Android devices.

Square Cash: Compatible with both iOS and Android devices.

2) Bank transfer fee:

Venmo: Free for standard bank transfers; a 1% fee is charged for instant transfers.

Square Cash: Free for standard bank transfers; a 1.5% fee is charged for instant transfers.

3) Credit card fee:

Venmo: 3% fee for credit card transactions.

Square Cash: 3% fee for credit card transactions.

4) Debit card fee:

Venmo: No fee for debit card transactions.

Square Cash: No fee for debit card transactions.

5) Transfer limit:

Venmo: $4,999.99 per week for most users; higher limits for authorized accounts.

Square Cash: $2,500 per week for most users; higher limits for verified accounts.

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Consider the following numerical example of the IS-LM model:
C=206+0.62Y
D


l=156+0.12Y−850}
G=206
T=165
T=0.06

Derive the IS relation. (Hint. You want an equation with Yon the feft side of the equation and everything else on the right) Y= - (Round your calculations of the intercept and slopo ferms to fwo decimar places.) The central bank sets an interest rate of 6%. In the equations given above. this decision is represented as i= Given this modet's IS and LM equations, the equlibrium real output, Y, is (Round your rosponse to the nearest integer.) Use the expression given below along with the values of equibrium real output and the interest rate to determine the tevel of the real money supply. (
P
M

)=1.9Y−7.686r The real money supply is (Round your resporise fo the nearest integer.)

Answers

The real money supply is approximately 4116.73

To derive the IS relation, we need to set the aggregate demand (AD) equal to the aggregate supply (AS). In this case, AD is represented by C + I + G, where C is consumption, I is investment, and G is government spending. AS is represented by Y, the real output.
Given the equation C = 206 + 0.62Y and Dl = 156 + 0.12Y - 850, we can substitute C into AD:
AD = C + I + G
AD = (206 + 0.62Y) + (156 + 0.12Y - 850) + 206
AD = 568 + 0.74Y
Now, equating AD to AS, we get:
Y = AD
Y = 568 + 0.74Y
To solve for Y, we can move 0.74Y to the left side:
Y - 0.74Y = 568
0.26Y = 568
Simplifying, we find:
Y = 568 / 0.26
Y ≈ 2185.71
Therefore, the IS relation is Y ≈ 2185.71.
To determine the level of the real money supply, we use the equation PM = 1.9Y - 7.686r, where PM is the real money supply and r is the interest rate.
Given that the interest rate is 6%, we substitute r = 6 into the equation:
PM = 1.9Y - 7.686(6)
PM = 1.9Y - 46.116
Since we know that Y ≈ 2185.71, we can substitute this value into the equation:
PM = 1.9(2185.71) - 46.116
PM ≈ 4162.85 - 46.116
PM ≈ 4116.73
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.

The risk that the product will not perform as intended is called financial risk. True False

Answers

The statement "The risk that the product will not perform as intended is called financial risk" is false.

What is financial risk?

Financial risk refers to the risk of financial loss. Financial risk may be linked to a variety of risks, including market risk, credit risk, liquidity risk, and operational risk. The risk of an asset losing its value as a result of a change in interest rates is known as interest rate risk.

Therefore, the statement "The risk that the product will not perform as intended is called financial risk" is not accurate since it refers to product performance.

The term used to define the risk of a product or service not working as expected is known as product performance risk.

Hence, The statement "The risk that the product will not perform as intended is called financial risk" is false.

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Lola consumes good x and y, and her marginal rate of substitution is 3/2, regardless of how many units of x and y that she consumes. Assume Lola has an income of $200 and that Py​=$5. (a.) Find Lola's optimal consumption bundle when px​=6. (b.) Find Lola's demand for x as a function of pw​ assuming the price can be any nonnegative amount

Answers

The optimization problem can be defined as follows: [tex]Max U(x, y) subject to Px * x + Py * y ≤ I[/tex] where Px = 6, Py = 5 and I = [tex]$200[/tex] MRS = Marginal rate of substitution: Slope of the indifference curve.

Since MRSxy = MUx/MUy, and MRS is constant, the marginal utilities of x and y must be in a constant proportion. So we can write:

[tex]MUx / MUy[/tex]

[tex]= 3/2 MUx[/tex]

[tex]= (3/2)* MUy[/tex]

[tex]Let Px= 6, then x = (200 - 5y)/6[/tex] .

This expression can be substituted for x in the utility function to obtain an equation in terms of y only. Then differentiate the equation with respect to y, and set the derivative to zero to obtain the optimal value of y. Then use the equation above to obtain the optimal value of x.

The optimal consumption bundle is given by:[tex](12,28)[/tex]. (b.) Given that the budget constraint is given by

[tex]Px * x + Py * y = I[/tex]. Where [tex]Py = $5[/tex], the budget constraint becomes:

[tex]6x + 5y = 200[/tex] Solving for x, we get [tex]x = (200 - 5y)/6[/tex].

This is Lola's demand for x as a function of price and income when [tex]Py​= $5[/tex]. Hence, Lola's demand for x as a function of price and income when the price can be any nonnegative amount is [tex]x = (I - Py * y)/Px.[/tex]

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According to Industrial Organizational (I/O) theory, industry forces in which a firm operates are very important for the firm to maintain profitability. I/O theory places a premium on the environment and is explicitly concerned with the opportunities and threats stemming from the environment. In contrast, based on Resource Based View theory (RBV) , sustained competitive advantage largely depends on the resources (assets, capabilities, organizational processes, firm attributes, information and knowledge) a firm poseesses. Although a firm's external environment is important, firm resources are far more important than the environment in which the company operates .
Discuss the differences of these two theories and suggest your opinions that benefits strategic planning process in organizations.

Answers

The main difference between Industrial Organizational (I/O) theory and Resource-Based View (RBV) theory lies in their focus on different factors for achieving sustained competitive advantage.

I/O theory emphasizes the significance of the external environment and industry forces, suggesting that a firm's profitability and success are largely determined by its ability to align with and adapt to the opportunities and threats present in the industry. On the other hand, RBV theory highlights the importance of internal resources and capabilities, suggesting that a firm's sustained competitive advantage primarily stems from its unique and valuable resources.

While I/O theory emphasizes the role of external factors such as industry structure, market dynamics, and competitive forces, RBV theory places greater emphasis on the firm's internal resources, capabilities, and core competencies. According to RBV, a firm's unique resources that are difficult to imitate or replicate by competitors enable it to achieve a sustainable competitive advantage.

Both theories have their merits and can be valuable for strategic planning in organizations. Considering the external environment is crucial for identifying industry trends, market opportunities, and potential threats. This information helps organizations align their strategies with the external landscape and make informed decisions regarding market entry, differentiation, and competitive positioning.

Simultaneously, RBV theory emphasizes the importance of understanding and leveraging internal resources and capabilities. By identifying and developing unique resources, firms can create a competitive advantage that is difficult for competitors to replicate. This approach enables organizations to focus on their distinctive strengths and develop strategies that leverage their core competencies.

Incorporating both perspectives in strategic planning allows organizations to consider a comprehensive range of factors. By analyzing the external environment and assessing internal resources, firms can develop strategies that align with industry dynamics while capitalizing on their unique capabilities. This integrated approach enhances the likelihood of achieving sustained competitive advantage and long-term success in the market.

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A single-stock futures contract on a non-dividend-paying stock with current price $120 has a maturity of 1 year. If the T-bill rate is 6%, what should the futures price be? Futures Price = $ b. What should the futures price be if the maturity of the contract is 6 years? Futures Price $ Round your answers to 2 decimals, use 000's separators (commas) where appropriate, do not enter dollar signs

Answers

Futures Price = $170,22 if the maturity of the contract is 6 years.

Given that a single-stock futures contract on a non-dividend-paying stock with a current price of $120 has a maturity of 1 year and a T-bill rate of 6%, We need to find the futures price using the below formula: Futures Price = Spot Price x (1 + risk-free rate)^T, where T is the time to maturity in years. Now, substituting the given values: Futures Price = $120 x (1 + 6%)^1Futures Price = $120 x 1.06Futures Price = $127.20Thus, the futures price is $127.20 for a maturity of 1 year.

If the maturity of the contract is 6 years, then the futures price is calculated using the same formula: Futures Price = Spot price x (1 + risk-free rate)^T, where T is the time to maturity in years. Now, substituting the given values: Futures Price = $120 x (1 + 6%)^6Futures Price = $120 x 1.4185Futures Price = $170.22. Thus, the futures price is $170.22 for a maturity of 6 years. Rounded to 2 decimal places and using commas, the answers are: Futures Price = $127,20 if the maturity of the contract is 1 year. Futures Price = $170,22 if the maturity of the contract is 6 years.

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A company has fwo departments, Y and Z that incur advertising expenses of $10,000. Advertising expenses are allocmed based on sales Department Y has sales of $480.000 and Department Z has sayes of $720,000. The advertising expense allocaled to Departments Y and Z terpectively are: Mutiple Choice o $4375, $5675 o $4000, $6000 o $5,625, $4375
o $4750, $5250
o $5500, $4500

Answers

The advertising expenses allocated to Departments Y and Z, respectively, are $4,000 and $6,000.

Among the options provided, the correct choice is o $4,000, $6,000.

To allocate the advertising expenses based on sales, we need to calculate the proportion of sales for each department and apply that proportion to the total advertising expenses of $10,000.

Let's calculate the advertising expense allocated to each department:

Department Y Sales = $480,000

Department Z Sales = $720,000

Total Sales = Department Y Sales + Department Z Sales = $480,000 + $720,000 = $1,200,000

Proportion of Department Y Sales = Department Y Sales / Total Sales = $480,000 / $1,200,000 = 0.4

Proportion of Department Z Sales = Department Z Sales / Total Sales = $720,000 / $1,200,000 = 0.6

Now, we can calculate the allocated advertising expenses for each department:

Advertising Expense Allocated to Department Y = Proportion of Department Y Sales * Total Advertising Expenses

                                              = 0.4 * $10,000

                                              = $4,000

Advertising Expense Allocated to Department Z = Proportion of Department Z Sales * Total Advertising Expenses

                                              = 0.6 * $10,000

                                              = $6,000

Therefore, the advertising expenses allocated to Departments Y and Z, respectively, are **$4,000** and **$6,000**.

Among the options provided, the correct choice is **o $4,000, $6,000**.

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Indicate how the following transaction should be recorded: Paid wages to employees, $4,000.
a. Decrease Cash, $4,000; Decrease Prepaid Rent, $4,000. b. Decrease Cash, $4,000; Decrease Accounts Payable, $4,000. c. Decrease Cash, $4,000; Decrease Retained Earnings with Wages Expense, $4,000. d. Decrease Cash, $4,000; Increase Retained Earnings with Wages Expense, $4,000.

Answers

The following transaction should be recorded as: Decrease Cash, $4,000; Decrease Retained Earnings with Wages Expense, $4,000. The correct option is c. What is the accounting equation? The accounting equation shows how a company's assets are financed by either its debt or equity.

It demonstrates the relationship between assets, liabilities, and equity. The formula for the accounting equation is: Assets = Liabilities + Equity. It indicates that a company's assets should always equal the sum of its liabilities and shareholders' equity. This principle is referred to as the fundamental equation of accounting. In a double-entry accounting system, every transaction will affect at least two accounts.

The transaction that has to be recorded is "Paid wages to employees, $4,000". The transaction will include a cash outflow and hence there will be a decrease in the cash balance by $4,000. The second aspect of this transaction is that wages paid to the employees are an expense for the company. Therefore, the retained earnings account will decrease by $4,000 as well. As a result, the correct option is c. Decrease Cash, $4,000; Decrease Retained Earnings with Wages Expense, $4,000.

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Janice has worked for Grandma B's Candies in the marketing department for 17 years. Last week, the CEO formally announced that Grandma B's was acquired by a large candy company wanting to expand its business into highquality gourmet chocolates. Janice heard by way of the company grapevine that layoffs would occur in the days to come. She and her coworkers are very anxious and have gathered in the break room to chat. How could corporate leaders relieve employee anxiety in this situation?
A. Start laying off employees as quickly as possible and blame those employces for not working hard enough.
B. Use the grapevine to leak information about earfy retirement packages and generous severance packages for those who choose to leave.
C. Keep depending on the grapevine as the best way to communicate with emplovees.
D. Listen to the grapevine and update employees through a media rich channdi, such as a face-to-face meeting

Answers

In this situation, corporate leaders can relieve employee anxiety by choosing option D: Listen to the grapevine and update employees through a media-rich channel, such as a face-to-face meeting.

This approach allows for open communication and provides an opportunity for leaders to address employee concerns and provide accurate information. Here's how this approach can help alleviate anxiety: Open and transparent communication: By actively listening to the concerns and rumors circulating among employees, corporate leaders can address the anxieties directly. A face-to-face meeting allows for a two-way conversation, where leaders can clarify information, dispel rumors, and provide reassurance. Accurate and reliable information: By updating employees through a media-rich channel like a face-to-face meeting, corporate leaders can ensure that the information shared is accurate and reliable. This helps to counteract the grapevine rumors and establishes trust between the employees and leadership. Opportunity for questions and answers: A face-to-face meeting provides an opportunity for employees to ask questions and seek clarification. Leaders can address individual concerns and provide necessary information about the acquisition, including any potential layoffs or changes in the company's direction.

Emotional support and empathy: Face-to-face communication allows leaders to show empathy and provide emotional support to employees who may be feeling anxious or uncertain about their future. This human connection can help alleviate anxiety and build trust between employees and management. By choosing option D, corporate leaders demonstrate their commitment to open communication, transparency, and employee well-being during a period of uncertainty. This approach fosters a supportive work environment and helps employees navigate the changes with a clearer understanding of the situation.

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GDP in an economy is $10,000 billion. Consumer expenditures are $4,800 billion, government purchases are $1,800 billion, and gross investment is $1,700 billion. Net exports must be $___ billion.
Your Answer:

Answers

In an economy with a GDP of $10,000 billion, consumer expenditures are $4,800 billion, government purchases are $1,800 billion, and gross investment is $1,700 billion.

To calculate the net exports, we need to consider the formula for GDP:

GDP = Consumer Expenditures + Government Purchases + Gross Investment + Net Exports

Given that the GDP is $10,000 billion, consumer expenditures are $4,800 billion, government purchases are $1,800 billion, and gross investment is $1,700 billion, we can substitute these values into the formula:

$10,000 billion = $4,800 billion + $1,800 billion + $1,700 billion + Net Exports

Rearranging the equation to solve for Net Exports:

Net Exports = $10,000 billion - ($4,800 billion + $1,800 billion + $1,700 billion)

Net Exports = $10,000 billion - $8,300 billion

Net Exports = $1,700 billion

Therefore, the net exports in this economy would be $1,700 billion.

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In an economy with a GDP of $10,000 billion, consumer expenditures are $4,800 billion, government purchases are $1,800 billion, and gross investment is $1,700 billion.

To calculate the net exports, we need to consider the formula for GDP:

GDP = Consumer Expenditures + Government Purchases + Gross Investment + Net Exports

Given that the GDP is $10,000 billion, consumer expenditures are $4,800 billion, government purchases are $1,800 billion, and gross investment is $1,700 billion, we can substitute these values into the formula:

$10,000 billion = $4,800 billion + $1,800 billion + $1,700 billion + Net Exports

Rearranging the equation to solve for Net Exports:

Net Exports = $10,000 billion - ($4,800 billion + $1,800 billion + $1,700 billion)

Net Exports = $10,000 billion - $8,300 billion

Net Exports = $1,700 billion

Therefore, the net exports in this economy would be $1,700 billion.

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The entire third floor is networked through wireless 802.11g technology using three access point devices connected to the backbone cable via a switch. All employees on this floor have their laptops and wireless printers. Also, there are network-attached fax-copier-printer (combined) for floors 1-3. As mentioned above the IT department has the fasted and largest network-attached printer. Except for the production and administration departments, each employee has his/her desktop computer. Note: the Admin people have their laptop computers which they carry every day to the work. Also, in the production area, there are 10 mobile wireless laptops connected via 802.11g for controlling the production lines. XYZ-Bank is the main financial institution that processes all major transactions for Hegelberg Dairy Inc. The Oshawa and Montreal facilities consist of two main floors (in each location), the first floor is production (40 employees) and the second floor is dedicated to offices for six other departments: Sales & Marketing (8 employees), Accounting & Finance (8 employees), HR (4 employees), Logistics (5 employees), and administration (5 employees). The two floors for each location are connected through a fiber optic cable with a speed of 1Gb/s. Each employee has his/her desktop computer. On each floor, there is a network-attached printer. In the production department, there are 5 mobile laptop computers (in each location: Oshawa and Montreal) for controlling the production lines. These WiFi laptops are connected through 802.11g. PART B: Implementing Network Infrastructure Your tasks are to network all branches, provide internet connectivity, e-mail services, remote connectivity (WAN connection) between HQ, Oshawa and Montreal, video conferencing and other related servers as described by the following questions: 1) Draw a diagram for the above scenario using a drawing program such as Microsoft Visio (20%) What will be the list v printed by the following code? Select one: v=[1,2,3] values[3] =4 print(v) a. [1,4,3] b. Error c. [1,4,3] d. [1,3,3] Which of the following employees has no claim for damages for termination without cause?Question content area bottomA. a manager whose two-year employment contract has not expiredB. an at-will employeeC. a union employeeD. a term employee Prepare a master production schedule for industrial pumps in the manner of the following table. Use the MPS rule to "schedule production when the projected on-hand inventory would be less than 10 without production.". Suppose that there are currently 64 pumps in inventory and a production lot size of 70 pumps is used ABC Truck Rentals Inc. rents out trucks. It rents100 units per day on average to customers. Customers keep the trucks for an average of 8 days. When customers return the trucks, the firm checks them to see if they require routine maintenance and cleaning or if they require significant repairs. On average, 70% require routine maintenance work and 30% require significant repairs (see chart below). After maintenance or repairs, equipment is inspected in 1 day and is then available to rent. There are on average 105 units in routine maintenance and 90 units getting repaired. The company likes to keep enough inventory of trucks in "Available to rent" to meet demand for 5 days. Answer the following questions, clearly explaining your analysis and numbers.On average, how many days does routine maintenance take?On average, how many days does significant repairs take?On average, how many trucks are in "Available to rent"?What is the average utilization (trucks at customers divided by total trucks)?What is the average time a truck spends at ABC Truck Rentals (not at customers)? EC 1.42 dS/m. What is the LR for Cotton? M O 0.15 0.09 0.19 0.04 0.25 The Malaysian Government had implemented minimum wage of RM1,500.00 effective 1 May 2022. a) Describe how the new wage will benefit employees in the urban areas. (25 marks) b) Discuss the consequences to the economy of Malaysia (25 marks) CEC (Copperbelt Energy Corporation) earns K2.5 million in 2021. Of this amount, it decided that 20% would be used to purchase treasury stock (buy back their stock). At present there are 400,000 shares outstanding. Market price per share is K18. If they negotiate a tender offer of K20 per share;How many shares does CEC buy back?What happens to the EPS and market Price?Blake Companys net income for 2019 was K3 million. Of this amount, 40% will be used to purchase treasury stock. Currently, there are 1million shares outstanding and the market price per share is K9.How many shares can the company buy back through a tender offer of K12 a share?What is the current earnings per share?What is the earnings per share?What is the current P.E ratio?What will earnings per share be after the treasury stock acquisition?What is the expected market price per share assuming the present P/E ratio remains the same? 1. What is the coefficient of \( x_{1}^{3} x_{2}^{2} x_{3}^{2} \) in the expansion of \( \left(x_{1}+2 x_{2}+3 x_{3}\right)^{7} \) ? 2. An investor has \( \$ 30,000 \) to invest among 5 possible inves