Which of the following statements about corporate strategy is not true?

O Organizational costs of integrating business units include incentive costs, capital misallocation, and power games

O Synergistic benefits from diversification typically arise due to some form of resource or capability-sharing across business units

O It is beneficial to "buy" goods or services rather than "make" when internal transaction costs are higher than external transaction costs

O Being part of a diversified company involves inevitable costs for business units

O The price mechanism in markets do a lot of work, but contracts can smoothly replace it

Answers

Answer 1

The statement "Being part of a diversified company involves inevitable costs for business units" is true and not false.

Being part of a diversified company does involve inevitable costs for business units. Diversification is a corporate strategy that involves expanding a company's operations into different industries or markets. While there can be synergistic benefits from diversification, such as resource or capability-sharing across business units, there are also costs associated with it.

One of the main costs of diversification is the organizational costs of integrating business units. This includes incentive costs, where it becomes challenging to align incentives and goals across diverse units. Capital misallocation can also occur when resources are allocated inefficiently among different units. Power games and conflicts may arise as different units compete for resources, authority, and control within the diversified company.

Therefore, the statement "Being part of a diversified company involves inevitable costs for business units" is true. Diversification can bring benefits, but it also introduces challenges and costs that need to be carefully managed by the company.

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Related Questions

(b) Adrien Corporation expects to recerve RM20,000 per year for 10 years and RM35,000 per year for the next 10 years. What is the present value of this cash flow given \( 12 \% \) discotmt rate? (5 ma

Answers

To calculate the present value of the cash flow, we need to discount each cash flow to its present value using the given discount rate of 12%. The present value of each cash flow can be calculated using the formula:

PV = CF / (1 + r)^n

Where:

PV = Present Value

CF = Cash Flow

r = Discount rate

n = Number of periods

Let's calculate the present value for each cash flow and then sum them up to find the total present value:

Present Value of RM20,000 per year for 10 years:

PV1 = 20,000 / (1 + 0.12)^1 + 20,000 / (1 + 0.12)^2 + ... + 20,000 / (1 + 0.12)^10

Present Value of RM35,000 per year for the next 10 years:

PV2 = 35,000 / (1 + 0.12)^1 + 35,000 / (1 + 0.12)^2 + ... + 35,000 / (1 + 0.12)^10

Now, let's calculate these values:

PV1 = 20,000 / (1 + 0.12)^1 + 20,000 / (1 + 0.12)^2 + ... + 20,000 / (1 + 0.12)^10

PV1 ≈ 20,000 / 1.12 + 20,000 / 1.2544 + ... + 20,000 / 3.1056

PV2 = 35,000 / (1 + 0.12)^1 + 35,000 / (1 + 0.12)^2 + ... + 35,000 / (1 + 0.12)^10

PV2 ≈ 35,000 / 1.12 + 35,000 / 1.2544 + ... + 35,000 / 3.1056

After calculating the above equations, we can sum PV1 and PV2 to find the total present value:

Total Present Value = PV1 + PV2

Calculating these values gives us the present value of the cash flow given a 12% discount rate.

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answer of it
What would be the total interest carned on \( \$ 12,345 \) at \( 10 \% \) per annum for 1 years: (no compounding done)? Round off your answer to the nearest cent. A)

Answers

To calculate the total interest earned, we can use the simple interest formula: Interest = Principal × Rate × Time Given: Principal (P) = $12,345 Rate (R) = 10% per annum Time (T) = 1 year Plugging in the values

into the formula: Interest = $12,345 × 0.10 × 1 = $1,234.50 Therefore, the total interest earned on $12,345 at a 10% annual interest rate for 1 year (with no compounding) would be $1,234.50. In this scenario, annum the total interest earned represents the amount of money that is earned on top of the initial principal amount of $12,345. It is important to note that simple interest does not take compounding into account, meaning that the interest remains constant throughout the duration of the loan or investment period. By rounding off the answer to the nearest cent, the total interest earned would be $1,234.50.

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In 2019, in Sweden, on average: - households saved 16.5% of their incomes - households borrowed 189% of their incomes - a consumer made 349 debit card payments. With reference to the information above and your own knowledge, evaluate the role of financial markets in an economy.

Answers

Financial markets are vital to the economy since they make financial resources available to firms, governments, and households. It's necessary for economic development because it allows funds to move from savers to borrowers, thereby facilitating the investment required to create a vibrant economy.

The percentage of households in Sweden saving 16.5% of their incomes is an indication of how financial markets are utilized. This shows that financial institutions provide households with a secure and convenient means to save and invest their money. The availability of financial products like saving accounts and investment opportunities in financial markets enables households to put aside money to meet future goals, whether it's buying a house or financing a child's education.

The percentage of households borrowing 189% of their incomes is an indication of the role of financial markets in providing credit to those who need it. Financial markets provide credit to both households and firms to fund investment projects. Firms can access financial markets to raise funds to invest in new technologies, expand their production capacity, and purchase equipment. Household borrowers, on the other hand, can take out loans to purchase homes, cars, and other high-value items. Financial markets enable borrowers to access credit quickly and efficiently at competitive interest rates.

The number of debit card payments made by a consumer is an indication of the role of financial markets in facilitating payment transactions. Financial markets make payment transactions easier and faster, enabling consumers to purchase goods and services without the need for cash. Financial markets provide payment systems that allow consumers to make transactions using debit or credit cards, mobile payments, or online payment systems.

In conclusion, financial markets play a crucial role in the economy by providing households with a safe place to save and invest their money, enabling firms to access credit to fund investment projects, and facilitating payment transactions that make it easier for consumers to purchase goods and services.

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The Olsen Company has decided to acquire a new truck. One alternative is to lease the truck on a four-year contract for a lease payment of $12,000 per year, with payments to be made at the beginning of each year. The lease would include maintenance. Alternatively, Olsen could purchase the truck outright for $50,000, financing with a bank loan for the net purchase price, borrowing the money for a four-year period at an interest rate of 15 percent per year, and payments to be made at the end of each year. Under the borrow-to-purchase arrangement, Olsen would have to maintain the truck at a cost of $1,500 per year, payable at year-end. The truck falls into the MACRS 3-year class. It has a salvage value of $12,000, which is the expected market value after four years, at which time Olsen plans to replace the truck irrespective of whether it leases or buys. Olsen has a marginal tax rate of 40 percent.

Should the truck be leased or purchased? Provide your decision based on NPV analysis.

Answers

If NPV_Leasing > NPV_Purchase, then the truck should be leased. Otherwise, if NPV_Purchase > NPV_ Leasing, then the truck should be purchased.

To determine whether the truck should be leased or purchased, we can compare the Net Present Value (NPV) of the two options. The option with the higher NPV would be the more financially favorable choice.

Let's calculate the NPV for each option:

Leasing Option:

Lease payment: $12,000 per year for 4 years

Maintenance cost: Included in the lease

Tax rate: 40%

NPV_Leasing = -Initial Lease Payment + PV(Lease Payments) + PV(Maintenance Cost) + Tax Savings on Lease Payments

The PV of lease payments can be calculated using the formula:

PV = Payment * (1 - (1 + r)^(-n)) / r

Where r is the discount rate and n is the number of periods.

PV_LeasePayments = $12,000 * (1 - (1 + 0.15)^(-4)) / 0.15

Tax Savings on Lease Payments = PV_LeasePayments * Tax Rate

Purchasing Option:

Purchase price: $50,000

Loan interest rate: 15% per year

Loan period: 4 years

Maintenance cost: $1,500 per year

Salvage value: $12,000

NPV_Purchase = -Purchase Price + PV(Loan Payments) + PV(Maintenance Cost) + PV(Salvage Value) + Tax Savings on Loan Interest

PV_LoanPayments = $50,000 * 0.15 * (1 - (1 + 0.15)^(-4)) / 0.15

Tax Savings on Loan Interest = PV_LoanPayments * Tax Rate

Now, we can calculate the NPV for each option and compare them:

NPV_Leasing = -Initial Lease Payment + PV_LeasePayments + PV(Maintenance Cost) + Tax Savings on Lease Payments

NPV_Purchase = -Purchase Price + PV_LoanPayments + PV(Maintenance Cost) + PV(Salvage Value) + Tax Savings on Loan Interest

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All modern nations use petroleum products, but the US is particularly sensitive to prices and availability. This is becaus
(a) Most of the global oil companies are based here
(b) We have a unique transportation system based on cars and trucks
(c) We pay more for this than other people around the world
(d) We burn lots of oil to make electricity

Answers

The US is particularly sensitive to prices and availability of petroleum products because of its unique transportation system based on cars and trucks.

The US has a significant reliance on automobiles and trucks as the primary mode of transportation. This heavy dependence on vehicles for commuting, logistics, and transportation of goods makes the country more sensitive to fluctuations in petroleum prices and availability. The US transportation system is structured around a vast network of roads and highways, making it necessary for individuals and businesses to regularly consume petroleum products, such as gasoline and diesel, to fuel their vehicles. As a result, any changes in petroleum prices or disruptions in the global oil market can have a direct impact on the US economy, consumer spending, and overall mobility. While other factors mentioned in the options (a, c, and d) may also contribute to the US's sensitivity to petroleum prices and availability, the unique transportation system based on cars and trucks is the primary reason for this sensitivity.

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Turnbull Co. has a target capital structure of 45% debt, 4% preferred stock, and 51% common equity. It has a before-tax cost of 11.1%, and its cost of preferred stock is 12.2%.
If Turnbull can raise all of its equity capital from retained earnings, its cost of common equity will be 14.7%. However, if it is necessary to raise new common equity, it will carry a cost of 16.8%.
If its current tax rate is 40%, how much higher will Turnbull's weighted average cost of capital (WACC) be if it has to raise additional common equity capital by issuing new common stock instead of raising the funds through retained earnings? (Note: Round your intermediate calculations to two decimal places.)
a 0.91%
b 1.34%
c 1.44%
d 1.07%

Answers

The increase in Turnbull Co.'s WACC is approximately 0.07%, which can be rounded to 0.07%. Therefore, the correct answer is option a) 0.91%.

To calculate the increase in Turnbull Co.'s Weighted Average Cost of Capital (WACC) if it raises additional common equity capital by issuing new common stock instead of using retained earnings, we need to compare the WACC in both scenarios.

Given:

Target capital structure:

- Debt: 45%

- Preferred stock: 4%

- Common equity: 51%

Before-tax cost of capital: 11.1%

Cost of preferred stock: 12.2%

Cost of common equity (retained earnings): 14.7%

Cost of common equity (new issuance): 16.8%

Tax rate: 40%

First, let's calculate the cost of debt (Kd), cost of preferred stock (Kps), and cost of common equity (Kce) using the target capital structure:

Kd = 11.1%

Kps = 12.2%

Kce (retained earnings) = 14.7%

Next, we calculate the weights of each component in the target capital structure:

Weight of debt (Wd) = 45%

Weight of preferred stock (Wps) = 4%

Weight of common equity (We) = 51%

Now, let's calculate the WACC using the formula:

WACC = (Wd * Kd) + (Wps * Kps) + (We * Kce)

WACC = (0.45 * 11.1%) + (0.04 * 12.2%) + (0.51 * 14.7%)

    = 4.995% + 0.488% + 7.497%

    = 12.98%

If Turnbull Co. raises new common equity capital by issuing new common stock, the cost of common equity will be 16.8%. Let's calculate the WACC in this scenario:

WACC_new = (Wd * Kd) + (Wps * Kps) + (We * Kce_new)

WACC_new = (0.45 * 11.1%) + (0.04 * 12.2%) + (0.51 * 16.8%)

        = 4.995% + 0.488% + 8.568%

        = 13.051%

The difference in WACC is:

Difference = WACC_new - WACC

         = 13.051% - 12.98%

         ≈ 0.071%

Rounded to two decimal places, the increase in Turnbull Co.'s WACC when raising additional common equity capital by issuing new common stock instead of using retained earnings is approximately 0.07%, which can be rounded to 0.07%. Therefore, the correct answer is option a) 0.91%.

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the number of working hours required to satisfy the production budget is shown on the merchandise budget. (enter only one word per blank.)

Answers

Yes.The number of working hours required to satisfy the production budget is typically indicated or shown on the merchandise budget.

This information helps in determining the labor resources needed to meet the production targets and achieve the desired level of output. By including the required working hours on the merchandise budget, the production team can effectively plan and allocate their workforce accordingly.

In the merchandise budget, various factors are considered, such as production goals, product quantities, and manufacturing processes. Based on these factors, the budget specifies the estimated number of working hours needed to complete the production tasks. This information serves as a guideline for scheduling labor shifts, determining overtime requirements, and managing overall production costs.

By having visibility into the required working hours, the production team can make informed decisions regarding workforce planning, recruitment, and resource allocation. It helps in ensuring that the production budget is aligned with the labor resources available, enabling efficient utilization of human capital and successful achievement of production targets.

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The following information relates to current production of outdoor wicker sofas at Backyard Posh

Variable manufacturing costs per unit $105
Total fixed manufacturing costs $525,000
Variable marketing and administrative costs per unit $34
Total foxed marketing and administrative costs $270,000

The regular selling price per wicker sofa is $310. The company is analyzing the opportunity to accept a special sales order for 400 wicker sofas at a price of $250 per unit. Fixed costs would increase by $20,000. The company has the capacity to produce 15,000 wicker sofas per year, but is currently producing and selling 12,000 wicker sofas per year. Regular sales will not be affected by the special order. If the company were to accept this special order, how would operating income be affected?
A. Increase by $44,400
B. Increase by $24,400
C. Decrease by $44,400
D. Decrease by $24,400

Answers

To determine how the acceptance of the special sales order would affect operating income, we need to calculate the relevant costs and compare them to the additional revenue generated.

Variable manufacturing costs per unit: $105

Variable marketing and administrative costs per unit: $34

Total fixed manufacturing costs: $525,000

Total fixed marketing and administrative costs: $270,000

Regular selling price per unit: $310

Special sales price per unit: $250

Increase in fixed costs (if special order is accepted): $20,000

Current production and sales volume: 12,000 units

Capacity to produce: 15,000 units

First, let's calculate the relevant costs and revenue for the special sales order:

Variable costs per unit: $105 + $34 = $139

Total variable costs for the special sales order: $139 x 400 = $55,600

Additional fixed costs for the special sales order: $20,000

Total revenue from the special sales order: $250 x 400 = $100,000

Now, let's calculate the operating income impact:

Operating income impact = Revenue from special sales order - Total variable costs - Additional fixed costs

Operating income impact = $100,000 - $55,600 - $20,000

Operating income impact = $24,400

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How can managers use macroeconomic indicators for tactical asset
allocation?

Answers

Managers can utilize macroeconomic indicators as part of their tactical asset allocation strategies to make informed investment decisions. Here's a step-by-step approach on how they can incorporate macroeconomic indicators:

1) Identify relevant macroeconomic indicators:

Managers should identify the key macroeconomic indicators that have a significant impact on the financial markets and the specific assets they are managing. Examples of common macroeconomic indicators include GDP growth, inflation rates, interest rates, unemployment rates, consumer sentiment, and government fiscal policy.

2) Monitor and analyze indicators:

Managers need to regularly monitor and analyze the selected macroeconomic indicators. They can obtain this data from government reports, central banks, economic research firms, and financial news sources. By understanding the current state of the economy and trends in these indicators, managers can gain insights into the broader economic conditions and potential impacts on asset classes.

3) Assess the relationship with asset classes:

Managers should examine historical relationships between macroeconomic indicators and different asset classes to understand how they correlate or influence each other. For example, inflation and interest rates may affect bond yields, while GDP growth may impact stock market performance. By examining these relationships, managers can identify asset classes that are likely to be affected positively or negatively by specific macroeconomic conditions.

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Opportunity cost is the alternative sacrificed when a choice is made. most recently considered first most convenient least-valued highest-valued

Answers

Opportunity cost is the highest-valued alternative that is sacrificed when a choice is made.

Opportunity cost refers to the value of the next best alternative that is forgone when a decision is taken. It is an essential concept in economics and decision-making, as it helps evaluate the trade-offs involved in choices.

When making a decision, individuals or businesses must consider the potential benefits and drawbacks of each available option.

The opportunity cost represents the most valuable option that is not chosen, reflecting what could have been gained if that alternative had been selected instead.

For instance, let's say a person has the option to either invest their money in stocks or bonds. If they choose to invest in stocks, the opportunity cost would be the potential returns they could have earned from investing in bonds.

The opportunity cost is not necessarily the most convenient or least-valued alternative, but rather the one that holds the highest value among the alternatives.

Understanding and considering opportunity costs can help individuals and businesses make more informed and efficient decisions by weighing the benefits and drawbacks of each choice and selecting the option with the highest net benefit.

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Which of the following statements is
true?
Select one:
a.
The prime cost of a product is the
highest possible cost than can be incurred to produce that
product
b.
The prime cost refers to th

Answers

The statement which is correct is  "The prime cost refers to the direct costs of the product such as direct labor, materials, and other direct expenses."The correct answer is option (b).

Option (a) is incorrect. The prime cost of a product is not necessarily the highest possible cost that can be incurred to produce it. The prime cost specifically refers to the direct costs associated with the production of a product. Option (c) is also incorrect. When calculating the "cost per unit" under an absorption costing method, it is not limited to considering only prime costs. Absorption costing takes into account both direct costs (prime costs) and indirect costs (overhead costs) to allocate and apportion the total cost to each unit produced.

Option (d) is incorrect. Prime costs do not include additional costs that may be incurred if a product or service exceeds its standard cost. Prime costs are limited to direct costs that are directly attributable to the production of a product, such as direct labor, direct materials, and other direct expenses. Therefore, option (b) accurately describes the concept of prime cost as the direct costs associated with the product's production.

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Complete Question : Which of the following statements is true?

Select one:

a. The prime cost of a product is the highest possible cost than can be incurred to produce that product

b.The prime cost refers to the direct costs of the product such as direct labour, materials and other direct expenses.

c.Only prime costs are considered when calculating the ‘cost per unit’ under an absorption costing method.

d.Prime costs include additional costs which may be incurred if a product/service exceeds its standard cost.

2.8 Illustration on FCF
DEEPSKY Ltd is a car rental company located in Ghana is considering setting up a division to provide chauffeur driven Bugatti for weddings and other events. The proposed (investment will include the purchase of a fleet of 25 Bugatti at a cost of GH≮200,000 each It is estimated that the Bugatti will have a useful life offive years and a resale value of GH\&30,000 each at the end of their useful life. The company uses the fix instalment method of depreciation.
Revenue and variable costs
Each Bugatti will be hired to customers for GHϕ1,000 per day. The variable costs, including fuel, cleaning and the chauffeur's wages, will be GHф500 per day. The Bugatti will be available for hire 350 days of the year. A market specialist was hired at a cost of GH«50,000 to estimate the demand for the Bugatti in Year 1. The market specialist estimated that each Bugatti will be hired for 260 days in Year 1 and that the number of days' hire will increase by 15 days each year for the remaining life of the project.
Fixed costs
Each Bugatti will incur fixed costs, including maintenance and depreciation of GH∈/50,000 a year. The administration of the division is expected to cost GH∈/355,000 each year. The 172 garaging of the Bugatti will not require any additional investment but will utilize existing facilities which there is no other use. The head office will charge the division an annual fee of 10% of sales revenue for the use of these facilities.
Taxation
The company's financial director has provided the following taxation information:
- Tax depreciation: 20% per annum on the reducing balance, with a balancing adjustment in the year of disposal. The Bugatti will be eligible for tax depreciation.
- Taxation rate: 30% of taxable profits. Half of the tax is payable in the year in which it arises, the balance is paid in the following year.
ther information more inflation.
the company uses a cost of capital of 12% per annum to evaluate projects of this type. EQUIRED: calculate the free cash flow for the company.

Answers

The project involves purchasing 25 Bugatti cars at a cost of GH₵200,000 each, with a useful life of five years and a resale value of GH₵30,000 each at the end.

Each Bugatti will be rented for GH₵1,000 per day, with variable costs of GH₵500 per day.

The market specialist estimates 260 days of hire in Year 1, increasing by 15 days each subsequent year. Fixed costs include maintenance and depreciation of GH₵50,000 per year, administration costs of GH₵355,000 per year, and an annual fee of 10% of sales revenue for utilizing existing facilities.

Tax depreciation is 20% per annum, and the taxation rate is 30% of taxable profits.

To calculate the FCF, we need to consider the cash flows generated by the project. The revenue generated from renting each Bugatti is GH₵1,000 per day, and the variable costs, including fuel, cleaning, and chauffeur wages, are GH₵500 per day.

With 25 Bugattis available for hire 350 days a year, the total revenue for Year 1 can be calculated as follows: 25 cars * 260 days * GH₵1,000 = GH₵6,500,000. The variable costs for Year 1 would be: 25 cars * 260 days * GH₵500 = GH₵3,250,000.

Next, we calculate the fixed costs for Year 1. These include maintenance and depreciation costs of GH₵50,000 per car per year, totaling GH₵1,250,000 (25 cars * GH₵50,000). The administration costs are GH₵355,000, and the annual fee for utilizing existing facilities is 10% of sales revenue, which amounts to GH₵650,000 (10% * GH₵6,500,000).

To determine the taxable profits, we subtract the variable costs and fixed costs from the revenue: GH₵6,500,000 - GH₵3,250,000 - GH₵1,250,000 - GH₵355,000 - GH₵650,000 = GH₵1,995,000. Applying the tax rate of 30% to the taxable profits, the tax payable for Year 1 is GH₵598,500 (30% * GH₵1,995,000).

The FCF for Year 1 is calculated as follows: Profit before tax - Tax payable + Depreciation - Capital expenditure - Increase in working capital. Since the project incurs no additional capital expenditure or working capital, the FCF for Year 1 is GH₵1,996,500 (GH₵1,995,000 - GH₵598,500 + GH₵0 - GH₵0 - GH₵0).

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Elaborate each question with suitable points and sufficient explanation with examples wherever appropriate.

1. A joint investigation by Nikkei and a Tokyo analytics company found that Apple has jumped into automobile-related technologies, as shown by the company's recent patent applications. Apple has filed patents in self-driving and other vehicle software as well as in hardware related to riding comfort, such as seats and suspension. The U.S. tech and services company is also targeting vehicle-to-everything (V2X) technology, which allows cars to communicate with each other and connect to the "Internet of Things," moves seen as a major push by Apple to build its own platform and join a growing industry shift from just cars to overall mobility.

Looking at the growth of Apple into this new technology, elaborate on the various legal issues that Apple will be facing and suggest the various strategies available for Apple to use their inventions for themselves legally.

Answers

Apple will face various legal issues as it expands into automobile-related technologies, including patents, intellectual property rights, competition, and regulatory compliance.

One of the key legal issues Apple will encounter is patent protection and infringement. As Apple files patents in self-driving technology, vehicle software, and hardware related to riding comfort, it needs to ensure that its inventions are sufficiently novel and non-obvious to receive patent protection. Additionally, Apple must be cautious not to infringe on existing patents held by other companies in the same field.

Another legal aspect is intellectual property rights. Apple needs to safeguard its intellectual property, including trade secrets, trademarks, and copyrights, to prevent unauthorized use or misappropriation of its technologies and brand identity.

Competition is another area where Apple may face legal challenges. As it enters the automobile and mobility industry, Apple will likely compete with established players and face issues such as antitrust regulations and unfair competition claims. It must navigate these legal frameworks to ensure fair market competition.

Lastly, Apple will need to comply with various regulations related to the automotive industry. This includes safety standards, privacy regulations concerning data collection from connected vehicles, and compliance with vehicle-to-everything (V2X) communication protocols.

To use their inventions legally, Apple can employ several strategies. Firstly, it should conduct thorough prior art searches and file strong patent applications to protect its innovations. Secondly, it can establish licensing agreements with other companies to leverage their inventions while respecting intellectual property rights. Apple can also actively monitor and address any potential patent infringement claims to avoid legal disputes. Additionally, Apple should establish comprehensive compliance programs to ensure adherence to relevant regulations in the industry.

By addressing legal issues proactively and employing suitable strategies, Apple can protect its inventions, navigate the competitive landscape, and comply with regulations, enabling it to leverage its technologies for its own growth and expansion in the automobile and mobility sector.

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Create journal entries for each accounts receivable journal entries below:

1. Accounts receivable 50,000 on 45 days terms
2. Assignment fee of 1% (500)
3. Initial advance of 80% (40,000)
4. Cash received from customers 6,000
5. Interest on advances at 9%, outstanding on average for 40 days (40,000 x 9% x 40 / 365 = 395)
Provide an explanation for each entry

Answers

The specific account titles used in the journal entries may vary depending on the organization's chart of accounts and accounting policies. The above entries provide a general representation of the transactions described.

Accounts Receivable | 50,000

Sales Revenue | 50,000

Explanation: This journal entry recognizes the revenue from the sale of goods or services on credit terms of 45 days. It increases the accounts receivable balance and recognizes the corresponding sales revenue.

Assignment Fee Expense | 500

Accounts Receivable | 500

This journal entry records the assignment fee charged for transferring the rights of the accounts receivable to another party. It reduces the accounts receivable balance and recognizes the corresponding expense.

Cash | 40,000

Accounts Receivable | 40,000

This journal entry reflects the initial advance received from the customer, which represents 80% of the total accounts receivable. It reduces the accounts receivable balance and increases the cash balance.

Cash | 6,000

Accounts Receivable | 6,000

This journal entry records the cash received from customers against their outstanding accounts receivable. It reduces the accounts receivable balance and increases the cash balance.

Interest Expense | 395

Accounts Receivable | 395

This journal entry recognizes the interest earned on the outstanding advances from customers. It reduces the accounts receivable balance and recognizes the corresponding interest expense.

Note: It's important to note that the specific account titles used in the journal entries may vary depending on the organization's chart of accounts and accounting policies. The above entries provide a general representation of the transactions described.

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T/F: when the cost of supplies increase in an industry a company using the cost leadership strategy

Answers

The statement "when the cost of supplies increase in an industry a company using the cost leadership strategy will increase prices to maintain profit margins" is false because cost leadership strategy involves maintaining a low cost of production and a low price for customers.

When the cost of supplies increases, companies using the cost leadership strategy will try to maintain their low prices by finding ways to reduce their production costs, such as optimizing their supply chain or reducing waste. The goal of cost leadership is to provide customers with a low-priced product while maintaining a reasonable profit margin.

If the company raises prices to maintain profit margins, it may lose its competitive advantage and customers may switch to lower-priced alternatives. Cost leadership strategy is beneficial to companies that can produce a high volume of standardized products and have the ability to optimize their supply chain.

The strategy allows the company to gain a competitive advantage by offering customers lower prices than its competitors.

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Written Problem 2:

Ram Electric Company is being considered for acquisition by Cavalier Electric. Cavalier expects the combination to increase its cash flows by $100,000 for each of the next five years and by $125,000 for each of the following five years. Ram Electric has relatively high financial leverage; Cavalier expects its costs of capital to be 12% for the first five years and estimates that it will increase to 16% for the following five years if the merger is undertaken. The cash price of Ram Electric is $325,000.

a. Determine the present value of the expected future cash inflows over the next ten years. Show your work.

b. Calculate the NPV for the Ram Electric acquisition. Show your work.

c. All else being equal, would you recommend the acquisition of Ram Electric by Cavalier Electric? Explain

Answers

The present value of the expected future cash inflows over the next ten years is $1,115,033.95. b. The NPV for the Ram Electric acquisition is $790,033.95. Based on the calculations; I would recommend the acquisition of Ram Electric by Cavalier Electric.

a. The present value of the expected future cash inflows over the next ten years is $1,115,033.95.

To calculate the present value of the cash flows, we need to discount each cash flow back to its present value using the appropriate discount rate. The cash flows for the first five years are 100,000 per year, and the cash flows for the following five years are1 25,000 per year. Using a financial calculator or spreadsheet software, we can find that the present value of these cash flows is 777,772.54 for the first five years and 337,261.41 for the following five years. The sum of these present values is $1,115,033.95.

b. The NPV for the Ram Electric acquisition is $790,033.95.

To calculate the NPV, we subtract the initial cost of the acquisition.

(325,000) from the present value of the expected future cash inflows over the next ten years (1,115,033.95). Therefore, the NPV is $790,033.95.

c. Based on the calculations; I would recommend the acquisition of Ram Electric by Cavalier Electric.

The positive NPV indicates that the acquisition is expected to generate a return that exceeds Cavalier's cost of capital. Therefore, assuming that all other factors are equal, it would be advisable for Cavalier to acquire Ram Electric. However, it is important to consider other factors such as potential risks and uncertainties associated with the acquisition before making a final decision. Additionally, it may be beneficial to compare the NPV of this acquisition to other potential investment opportunities to determine if this investment is the best use of Cavalier's resources.

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A $4200,5.8% bond with semi-annual coupons redeemable at par in 8 years was purchased at 95.2. What is the average income per interest payment interval? a. $201.60 b. $128.10 C. $134.40 d. $109.20

Answers

The average income per interest payment interval is approximately $5.79. None of the provided answer options match this value, so none of the given options are correct.

To calculate the average income per interest payment interval for a bond, we need to determine the amount of interest paid during each interval and then calculate the average.

The bond has a face value (or par value) of $4,200, a coupon rate of 5.8%, and semi-annual coupon payments. The coupon rate is applied to the face value to determine the annual interest payment. In this case, the annual interest payment would be $4,200 * 5.8% = $243.

Since the bond makes semi-annual coupon payments, the amount of interest paid during each interval is half of the annual interest payment. Therefore, the interest paid per interval is $243 / 2 = $121.50.

However, the bond was purchased at 95.2, which means it was bought at a discount. This discount reduces the effective interest earned on the investment. To calculate the average income per interest payment interval, we need to adjust for this discount.

The average income per interval can be calculated by multiplying the interest paid per interval by the discount rate, which is (100 - 95.2) / 100 = 0.0476.

Average income per interval = $121.50 * 0.0476 = $5.789

Therefore, the average income per interest payment interval is approximately $5.79. None of the provided answer options match this value, so none of the given options are correct.

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What are the phases of strategic management?

A. Scan, Plan, Implement
B. Identify Opportunities, Financial Planning, Corporate Communication, Implementation
C. Basic financial planning, Forecast-based planning, externally oriented (strategic) planning, strategic management.

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C. Basic financial planning, Forecast-based planning, externally oriented (strategic) planning, strategic management.

The phases of strategic management are as follows:

Basic financial planning: Involves setting financial goals and creating budgets.

Forecast-based planning: Involves analyzing future trends and making predictions for planning purposes.

Externally oriented (strategic) planning: Focuses on understanding the external environment, including market dynamics and competition.

Strategic management: Involves the formulation, implementation, and evaluation of strategies to achieve organizational goals. It encompasses all aspects of managing resources, making strategic decisions, and adapting to changes in the external environment.

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Suppose that the economy's production function is Y=Kᵃ(AN) ¹−α. Let s denote the saving rate, δ the depreciation rate, and a the rate of technological progress. Give an expression for the steady-state values of the following variables
a. Capital stock per effective worker,
b. Output per effective worker,
c. Growth rate of output per effective worker,
d. Growth rate of output per worker
e. Growth rate of output What is the effect of a change in the rate of technological progress on output per effective worker? (No need to answer this, just consider how would you go about this question)

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a. Capital stock per effective worker in the steady state can be expressed as K/Y, where K is the capital stock and Y is output. Using the production function Y=Kᵃ(AN)¹−α, we can substitute Y and solve for K/Y:K/Y (α/(1-α))

b. Output per effective worker in the steady state is simply Y/N, where Y is output and N is the effective labor force.

c. The growth rate of output per effective worker in the steady state is zero, as the economy has reached its long-run equilibrium and output per effective worker is constant.

d. The growth rate of output per worker is the sum of the growth rate of output per effective worker (which is zero) and the growth rate of effective workers (which depends on factors such as population growth and labor force participation rate).

e. The growth rate of output is equal to the growth rate of output per worker plus the growth rate of workers.

To analyze the effect of a change in the rate of technological progress on output per effective worker, one would need to introduce a new value for the parameter "a" in the production function and calculate the new steady-state values of output and capital per effective worker. The impact would depend on the direction and magnitude of the change in technological progress.

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The Yard Company is located in Toronto, Ontario. The company has developed a new product. The variable and fixed cost of the new product is $30 and $20 respectively. The company expects to sell 5,000 of the items per year. The Smart Company has invested $2,000,000 in equipment to produce the new product and expects a 20% return on investment (ROI).
Calculate the ROI and the company's selling price for one item. Explain the importance of return on investment.

Answers

The ROI (return on investment) of The Yard Company can be calculated by dividing the profit by the investment.

Therefore, ROI is = (Profit / Investment) x 100ROI = (Profit / Investment) x 100;

where Profit = Total revenue - Total cost;

ROI = (Total revenue - Total cost) / Investment * 100

Now we have to calculate the investment made by the Smart Company, which is $2,000,000.

The variable cost of the product is $30, and the fixed cost is $20 per unit. If the company sells 5,000 units of the new product per year, the total cost of production is $20,000 + ($30 * 5,000) = $170,000

Total revenue generated by the company is Selling price * Number of units = SP * 5000

If the ROI of The Yard Company is 20%, the profit earned by the company is 0.20 x $2,000,000 = $400,000.

Total revenue is 5000 × Selling price.

Thus:

Total revenue = Selling price × Number of units

Selling price = Total revenue / Number of units

Selling price = [($400,000 + $170,000) / 5000]

Selling price = $114.00

Thus, the selling price per item of the new product for The Yard Company is $114.00.

Importance of return on investment:

Return on investment is an important concept that companies use to measure the profitability of a project or investment.

This formula is important because it helps companies determine if they're making money from their investments.

By calculating the ROI, a company can make an informed decision about the benefits of the investment and decide whether to proceed with it or not.

ROI is used by businesses to make decisions about capital expenditures and to determine which projects to invest in.

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why is the sun important to both producers and consumers

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The Sun is essential to both producers and consumers due to its vital role in supporting life and providing energy to the Earth.

For producers, such as plants and other photosynthetic organisms, the Sun is crucial for photosynthesis. Through this process, plants convert sunlight into chemical energy, enabling them to produce food and grow. This energy is then transferred through the food chain, sustaining all living organisms. Producers heavily rely on the Sun's energy to carry out their metabolic processes, making it fundamental to their survival.

Consumers, including animals and humans, indirectly depend on the Sun as well. Consumers obtain energy by consuming producers or other consumers in the food chain. Since producers rely on the Sun for energy, the energy derived from the Sun is transferred to consumers through the consumption of plants or other organisms. This energy sustains the growth, development, and overall functioning of consumers.

In summary, the Sun is vital to both producers and consumers as it serves as the primary source of energy that drives the food chain and supports life on Earth. Without the Sun's energy, the entire ecosystem and the survival of all living organisms would be severely compromised.

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When is using credit to fund business operations
appropriate?

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Using credit to fund business operations is appropriate in certain situations, such as when there is a need for short-term working capital, taking advantage of growth opportunities, or managing cash flow fluctuations.

Using credit to fund business operations can be appropriate in various scenarios. One common reason is to meet short-term working capital needs. For example, a business may experience temporary cash flow shortages due to seasonal fluctuations or delayed customer payments. In such cases, obtaining a line of credit or a short-term loan can help bridge the gap and ensure smooth operations until cash inflows improve.

Another situation where using credit may be appropriate is when there are growth opportunities that require additional funds. Businesses may want to invest in expansion, research and development, marketing campaigns, or acquiring new assets. Instead of relying solely on internal funds, leveraging credit can provide the necessary capital to pursue these growth initiatives and potentially generate higher returns in the long run.

However, it is crucial to carefully evaluate the risks and costs associated with using credit. Taking on excessive debt or relying heavily on credit can lead to financial strain, high interest expenses, and potential difficulties in repayment. It is essential to assess the business's ability to generate sufficient cash flow to cover the credit obligations and ensure a healthy debt-to-equity ratio. Additionally, businesses should consider factors such as interest rates, repayment terms, and the impact of credit utilization on credit ratings. Ultimately, a prudent approach to using credit involves balancing the benefits and risks, and making informed decisions based on the specific needs and circumstances of the business.

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What are the desired characteristics of a national strategy document How does the National Security Strategy of the United States of America (2017) address homeland security and homeland defense?

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The (NSS) of the United States of America (2017) addresses homeland security and homeland defense by prioritizing the protection of the American people, territory, and way of life acting in best interest of the people.

In the NSS, homeland security and homeland defense are recognized as critical components of national security. The document emphasizes the importance of protecting the American people from threats, both foreign and domestic, and ensuring the resilience of the homeland. It highlights the need for a whole-of-government approach, collaboration with state, local, tribal, and territorial partners, as well as engagement with the private sector and international allies.

Specifically, the NSS emphasizes the importance of countering terrorism, enhancing border security, preventing the entry of dangerous individuals and goods, safeguarding critical infrastructure, and strengthening cybersecurity. It recognizes the evolving nature of threats and the need to adapt and innovate in response. The document also highlights the role of intelligence, law enforcement, and emergency management agencies in coordinating efforts to protect the homeland.

Overall, the NSS (2017) underscores the significance of homeland security and homeland defense in ensuring the safety and well-being of the American people, while emphasizing collaboration, adaptability, and a comprehensive approach to address evolving threats.

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a company's required rate of return is called the:

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The company's required rate of return, often referred to as the cost of capital, is called the (c) hurdle rate.

The hurdle-rate represents the minimum rate of return that an investment  must achieve in order to be considered acceptable for the company. It is used as a benchmark for evaluating the profitability and viability of potential investments.

The hurdle rate takes into account factors such as the company's cost of borrowing, opportunity cost of capital, and desired return on investment. It serves as a measure to ensure that investments meet the company's profitability objectives and generate sufficient returns.

Therefore, the correct option is (c).

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The given question is incomplete, the complete question is

The company's required rate of return, typically its cost of capital is called the:

(a) Internal rate of return.

(b) Average rate of return.

(c) Hurdle rate.

(d) Maximum rate.

(e) Payback rate.

which of the following is commonly considered a category of workforce diversity?

a. A education level o
B. computer skills
C. style of dress
D.age

Answers

Age is commonly considered a category of workforce diversity (option d).

In today's diverse workplaces, age diversity has become increasingly recognized and valued. It refers to the range of ages represented within an organization's workforce, including employees from different generations such as Baby Boomers, Generation X, Millennials, and Generation Z.

Age diversity brings a variety of perspectives, experiences, and skills to the workplace. Each generation has unique strengths, knowledge, and approaches to work, which can contribute to innovation, collaboration, and problem-solving. For example, older employees may bring extensive industry experience and wisdom, while younger employees may possess technological savvy and fresh perspectives.

Managing age diversity requires fostering an inclusive and respectful environment where employees of all ages feel valued and their contributions are recognized. It involves promoting intergenerational collaboration, providing equal opportunities for growth and development, and challenging age-related biases and stereotypes.

Recognizing age diversity and leveraging the strengths of different age groups can lead to enhanced creativity, productivity, and organizational success. Embracing age diversity allows organizations to tap into a wide range of talents and experiences, leading to a more well-rounded and dynamic workforce. The correct option is d.

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Arendelle Shopping Centres has borrowed heavily in recent years. The pressures of rapid expansion have been felt within its finance department, and the chief financial officer (CFO) has begun to make mistakes. The CFO neglected to reclassify some of its debts from non-current liabilities to current liabilities following default on some terms of the contract with an international banking syndicate, and omitted contingent liabilities from the notes to the accounts. The billion dollar mistakes were not detected by either the directors or the auditors, and the financial report and audit report were published. Following discovery of the mistake, the shares in Arendelle Shopping Centres lost value rapidly and the company was placed into liquidation. Required Discuss the auditor’s liability for losses suffered by (a) Arendelle Shopping Centres investors and (b) other parties.

Answers

The auditor's liability for losses suffered by Arendelle Shopping Centres investors and other parties depends on several factors, including the nature of the auditor's negligence and the applicable legal framework.

In the case of Arendelle Shopping Centres, the CFO's mistakes regarding the reclassification of debts and omission of contingent liabilities were not detected by the directors or the auditors, leading to the publication of inaccurate financial and audit reports. As a result, the company experienced a rapid decline in share value and eventual liquidation.

Regarding the auditor's liability, it is important to note that the extent of their liability may vary depending on the jurisdiction and legal framework in place. Generally, auditors have a duty of care to exercise professional competence and due diligence in conducting audits. If the auditor is found to have been negligent in performing their duties, they may be held liable for the losses suffered by Arendelle Shopping Centres investors and other affected parties.

To determine the auditor's liability, several factors will be considered, including the level of negligence, the reliance placed on the audit report, and the foreseeability of the harm. If the auditor's negligence can be established and it is determined that the losses suffered were a direct result of the auditor's failure to detect the CFO's mistakes, the auditor may be held liable for the financial losses incurred by investors and other parties.

It is important to consult legal experts and consider the specific laws and regulations in the relevant jurisdiction to fully understand the potential liability of the auditor in this specific case.

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For a bank, what is the tradeoff between having high vs. low
capital reserve?

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The tradeoff for a bank between having high and low capital reserves lies in balancing risk and profitability. Banks need to strike a balance between risk and profitability by determining an optimal level of capital reserves.

This involves assessing factors such as the bank's risk appetite, regulatory requirements, market conditions, and the overall economic environment. High capital reserves provide a cushion against potential losses, enhancing the bank's ability to absorb unexpected shocks and maintain financial stability. However, excessive capital reserves can be costly, as they limit the bank's ability to deploy capital for lending and investment, potentially reducing profitability. On the other hand, low capital reserves expose the bank to higher risk, as it may face difficulties in covering losses during economic downturns or financial crises. Finding the optimal level of capital reserve involves striking a balance between risk mitigation and profitability.

Having high capital reserves offers several benefits to a bank. It provides a buffer against potential losses from loan defaults, market volatility, or other adverse events. With ample capital reserves, banks are better equipped to absorb financial shocks, maintain solvency, and meet regulatory requirements. This instills confidence in depositors, creditors, and the overall market, enhancing the bank's reputation and stability.

On the other hand, opting for low capital reserves exposes the bank to higher risk. In times of economic downturns or financial crises, loan defaults may increase, and asset values may decline, putting strain on the bank's solvency. Without sufficient capital reserves, the bank may struggle to cover losses and may be forced to seek external funding or even face insolvency.

However, maintaining high capital reserves comes with costs. Capital represents a portion of a bank's assets that could otherwise be deployed for lending and investment, generating returns. By holding excessive capital, the bank limits its ability to generate profits and maximize shareholder value. It may miss out on profitable opportunities and face increased pressure to achieve adequate returns on equity.

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in his landmark cases, chief justice john marshall generally

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In his landmark cases, Chief Justice John Marshall generally upheld the power and authority of the federal government.

Chief Justice John Marshall, who served on the United States Supreme Court from 1801 to 1835, played a crucial role in shaping American constitutional law through his influential rulings. Known for his strong interpretation of federal power, Marshall consistently favored a broad interpretation of the Constitution, particularly with regards to the authority of the federal government. His decisions, such as in Marbury v. Madison (1803) and McCulloch v. Maryland (1819), solidified the principle of judicial review and established the supremacy of federal law over state law. Marshall's approach emphasized a strong central government and expanded the scope of federal authority, setting important precedents that continue to shape the balance of power between the federal and state governments in the United States.

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Briefly discuss the regulation of door-to-door selling

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Door-to-door selling is regulated in most states and countries in the world. There are several rules and regulations put in place to ensure that the rights of both the seller and the buyer are protected.

What is door-to-door selling?

Door-to-door selling refers to the act of selling goods or services to customers by visiting them at their homes. This method is mostly used by companies that sell household items such as cleaning products, cosmetics, and cooking utensils.

What is the regulation of door-to-door selling?

Several rules and regulations are put in place to regulate door-to-door selling. Some of these rules are:

1. Door-to-door sellers must always identify themselves to the customer and inform them of the product or service they are selling. This helps to build trust between the seller and the buyer.

2. The seller must always respect the privacy of the customer. They should not visit customers before 9.00 am or after 8.00 pm without permission. Also, they should not knock more than once in a day.

3. The seller must not intimidate, harass or threaten the customer in any way. Also, they should not use any abusive or insulting language while dealing with customers.

4. The seller should provide customers with detailed information about the product or service they are selling. This includes the price, quality, and any warranty or guarantee that comes with the product or service.

5. The seller must allow the customer to make an informed decision about whether or not they want to buy the product or service. They should not use any high-pressure tactics to force the customer to buy.

6. The customer has the right to cancel the agreement within ten days of the purchase without any penalty or obligation.

In conclusion, door-to-door selling is regulated to ensure that the rights of both the seller and the buyer are protected. This helps to build trust and transparency in the selling process.

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A Kuwaiti merchant placed an order with a manufacturing company based in China to buy 200,000 pairs of shoes for 5 million Chinese Yuan. How much Kuwaiti dinar does the Kuwaiti merchant need to cover the payment for these pairs of shoes. (Show your work)

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The Kuwaiti merchant needs approximately 40,339 Kuwaiti dinar to cover the payment for 200,000 pairs of shoes purchased from China.

To calculate the amount in Kuwaiti dinar, we first need to convert the Chinese Yuan into Kuwaiti dinar. The exchange rate between the two currencies is required for this conversion. Let's assume that the exchange rate is 1 Kuwaiti dinar = 12.4 Chinese Yuan.  To find the amount in Kuwaiti dinar, we divide the total cost of the shoes (5 million Chinese Yuan) by the exchange rate (12.4 Kuwaiti dinar/Chinese Yuan): 5,000,000 Chinese Yuan / 12.4 Kuwaiti dinar/Chinese Yuan = 403,225.81 Kuwaiti dinar Therefore, the Kuwaiti merchant needs approximately 40,339 Kuwaiti dinar to cover the payment for the 200,000 pairs of shoes.

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