Which of the following statements is generally true lin the era of scarce reservesf? a. If the Fed tries to statuilien the federal fund eate, the total amodnt nof foderal funds (barik ewserven) will aiso beccone more stable. Q. \& the Fed tries to stabliaw the total ancont of federal hunds toank miervesl, the foderal funds rate wil alse becentie mare stable. c. If the Fed tries to statilize the fedoral funds tate. the total amount of federal funda thank reserved will become more unstable. di. It the Fed trics to stataliav the federal funda rate, the shart-ferm intereat rates will become morn unstatie. E. If the Fed tries ta ctabilize the tatal amount of tederal tunds thank moerved. both M1 and fa2 money supples will becorte more bostable.

Answers

Answer 1

The statement that is generally true in the era of scarce reserves is: (b) If the Fed tries to stabilize the total amount of federal funds (bank reserves), the federal funds rate will also become more stable.

In the context of scarce reserves, when the Federal Reserve (Fed) attempts to stabilize the total amount of federal funds (bank reserves), it typically involves conducting open market operations to manage the supply and demand of reserves in the banking system. By adjusting the level of reserves available to banks, the Fed can influence the federal funds rate.

The federal funds rate is the interest rate at which banks lend their excess reserves to one another on an overnight basis. If the Fed aims to stabilize the total amount of federal funds (bank reserves), it will adjust the supply of reserves to align with the desired level. This, in turn, can help stabilize the federal funds rate, ensuring it remains within a target range set by the Fed.

Thus, correct option is b.

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Related Questions

The following transactions affected the Cash account of FDNACCT Co.: Collection from customers = P450,000 Proceeds from sale of furniture = P15,000 Proceeds from bank loan = P74,000 Additional investment from owner = P180,000 Purchase of equipment = P56,000 Payment of interest to bank = P8,000 Payment of operating expenses = P130,000 Withdrawal by owner = P21,000 How much is cash provided by (used in) Operating Activities? Enter as a negative number if the answer is used in Operating Activities.

Answers

To determine the cash provided by or used in Operating Activities, we need to consider the transactions that directly relate to the operating activities of the company.

Transactions related to operating activities:

- Collection from customers = P450,000

- Payment of operating expenses = P130,000

Now, let's calculate the net cash provided by or used in Operating Activities:

Net cash provided by or used in Operating Activities = Collection from customers - Payment of operating expenses

Net cash provided by or used in Operating Activities = P450,000 - P130,000

Net cash provided by or used in Operating Activities = P320,000

Therefore, the cash provided by Operating Activities is P320,000.

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To an economist, two goods that are consumed together (like peanut butter and jelly) are referred to as
a. Substitutes
b. Normal goods
c. Inferior goods
d. Complements QUESTION 18 Market equilibrium occurs at a price
a. Where the producer does not cover its cost of production
b. Where quantity supplied equals quantity demanded
c. That the government sets
d. Where a shortage exists

Answers

The Complements are the term used by economists to describe two products that are consumed together, such as peanut butter and jelly.

Products that are frequently used or eaten together are referred to as complementary items. Demand for one good influences demand for another in a favourable manner. An rise in the demand for peanut butter in the instance of peanut butter and jelly would probably result in an increase in the demand for jelly.When supply and demand are equal, the market is in equilibrium at price b. Equilibrium is reached in a competitive market when the quantity of a good supplied by producers matches the quantity demanded by customers. At this time, there is neither a propensity for prices to fluctuate nor a

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Find the future values of these ordinary annuities. Discounting occures once a year. a. $1000 per year for 10 years at 8%. b. $500 per year for 5 years at 4%. c. $1000 per year for 5 years at 0% d. Rework previous parts assuming they are annuities due.

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a) The future value of an ordinary annuity of $1000 per year for 10 years at 8% discount rate is approximately $15,547.08. , b) The future value of an ordinary annuity of $500 per year for 5 years at 4% discount rate is approximately $2,580.80. , c) The future value of an ordinary annuity of $1000 per year for 5 years at 0% discount rate is $5000. , d) Reworking the previous parts assuming they are annuities due, the future values will remain the same as the ordinary annuities since the discounting occurs once a year and the timing of the cash flows does not affect the future value calculations.

To calculate the future value of an ordinary annuity, we use the formula:

Future Value = Payment × [(1 + interest rate)^(number of periods) - 1] / interest rate

For part (a), plugging in the values, we get:

Future Value = $1000 × [(1 + 0.08)^10 - 1] / 0.08 ≈ $15,547.08

Similarly, for part (b), the calculation is:

Future Value = $500 × [(1 + 0.04)^5 - 1] / 0.04 ≈ $2,580.80

In part (c), where the discount rate is 0%, the future value is simply the sum of the annual payments over the 5-year period, which gives us $5000.

For part (d), since the annuities are due, the timing of cash flows is at the beginning of each period instead of the end. However, since the discounting occurs once a year, the future values remain the same as the ordinary annuities.

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Your credit card charges an interest rate of 207% per month. You have a current balance of $1,040, and want to pay it off. Suppose you can afford to pay $90 per month. What will your balance be at the end of one year? You will still owes after one year. (Round to the nearest cent)

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At an interest rate of 207% per month, with a current balance of $1,040 and monthly payments of $90, the balance after one year would be approximately $1,042.79.

To calculate the balance after one year, we can divide the annual interest rate by 12 to get the monthly interest rate: 207% / 12 = 17.25%.

In the first month, the interest accrued on the balance of $1,040 would be 17.25% of $1,040, which is $179.40. Subtracting the monthly payment of $90, the remaining balance would be $1,129.40.

For the following months, the interest would be calculated based on the new balance. After 12 months, the balance would decrease gradually, and the final balance after making 12 payments of $90 would be approximately $1,042.79.

Please note that this calculation assumes that no additional charges or fees are added to the balance during the one-year period and that the interest rate remains constant. It is always advisable to check with the credit card issuer for the most accurate information regarding interest rates and payments.

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Business law
The law case I found is the plaintiff suing the defendants for breach of contract and assault. Suing for breach of contract was because the defendant agree to pay 300 dollars for the plaintiff to paint the shop, but a few months later defense told the plaintiff did not want her to continue the job anymore. The disagreement occur in December, the plaintiff claimed that the defendant push her to the door after the defendant asked her to leave. In the court, the judge ask the plaintiff did she go to the hospital or taken photos of the injury she has. The plaintiff's response is no. Then the judge says the punitive damage from the assault in her complaint is eliminated because assault requires some sort of physical injury.
The question I have is can the assault be the cause of action in this case?

Answers

The assault cannot be the cause of action in this case.

In this case, the assault cannot be the cause of action because the plaintiff was unable to provide any evidence of physical injury. As a result, the judge ruled that the punitive damages for the assault were eliminated because assault necessitates some form of physical injury. Thus, it is difficult for the plaintiff to establish the defendant's liability in this case since she cannot prove any physical injury. Suing for breach of contract, on the other hand, might be an easier cause of action since there is evidence that the defendant broke the contract by not paying the plaintiff $300 to paint the shop.

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Traditionally, the biggest disadvantage of radio advertising has been that radio ads. A. are expensive. B. have a long exposure time. C. are audio-only.

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The correct answer is Option C.are audio-only.

Traditionally, the biggest disadvantage of radio advertising has been that radio ads are audio-only.

This is because the only way a listener could hear the message is by listening. The visual element is absent from radio advertising. This makes it harder to get the message across.Radio advertising has its own set of advantages and disadvantages.

On one hand, it is a relatively low-cost medium that can reach a large audience. On the other hand, it is an audio-only medium that can be easily ignored or tuned out by listeners. Radio advertising has been the cornerstone of many successful marketing campaigns.

However, it has also been the source of many headaches for marketers who have been unable to get their message across effectively. In order to get the most out of radio advertising, it is important to understand the medium and its limitations. The key is to be creative and think outside the box.

For example, some advertisers have used sound effects or music to make their ads more engaging. Overall, radio advertising can be a valuable tool in any marketing campaign, but it requires careful planning and execution to be effective.

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​​​​​​​
Table 2: Tencent CAPM related information:

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The CAPM is a financial model used to determine the expected return on an investment based on its systematic risk. To fill in Table 2, we would need the relevant data such as the risk-free rate, market risk premium, and the beta of Tencent's stock.

Here is an example of how Table 2 could be filled in with hypothetical data:

Data Value

Risk-Free Rate 2%

Market Risk Premium 8%

Beta (Tencent's stock) 1.2

Expected Return (CAPM) X

To calculate the expected return using the CAPM, you would use the formula:

Expected Return = Risk-Free Rate + (Beta * Market Risk Premium)

Substituting the values from the table into the formula, we can calculate the expected return:

Expected Return = 2% + (1.2 * 8%) = 11.6%

Please provide the specific data or additional information related to Tencent's CAPM, and I will be able to provide a more accurate and detailed answer.

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Explain the two different concepts of purchasing power parity
PPP and how they relate to the Law of one price.

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It is important to note that PPP is a theoretical concept and does not always hold true in practice due to various factors such as market imperfections, non-tradable goods, transaction costs, and barriers to trade.

The concept of Purchasing Power Parity (PPP) is based on the idea that the exchange rate between two currencies should equalize the purchasing power of those currencies. PPP suggests that the price of a basket of goods in one country should be equivalent to the price of the same basket of goods in another country when measured in a common currency.

There are two different concepts of PPP:

Absolute Purchasing Power Parity: This concept states that the exchange rate between two currencies should be such that the prices of identical goods in different countries are equal when expressed in a common currency. In other words, if the same product is priced higher in one country than in another, the exchange rate should adjust to make the prices equal. This concept is closely related to the Law of one price, which states that identical goods should have the same price in different markets when transportation costs and trade barriers are accounted for.

Relative Purchasing Power Parity: This concept takes into account the inflation rates between two countries. It suggests that the exchange rate between two currencies should change in proportion to the difference in their inflation rates. If one country has a higher inflation rate than another, its currency should depreciate relative to the other country's currency to maintain the purchasing power balance.

Both concepts of PPP aim to establish a connection between exchange rates and the relative prices of goods in different countries. However, it is important to note that PPP is a theoretical concept and does not always hold true in practice due to various factors such as market imperfections, non-tradable goods, transaction costs, and barriers to trade. Nonetheless, PPP provides a framework for understanding the relationship between exchange rates and prices in international trade.

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Depreciation by Units-of-activity Method A diesel-powered tractor with a cost of $340,920 and an estimated residual value of $4,400 is expected to have a useful operating life of 94,000 hours. During April, the tractor was operated 100 hours. Determine the depreciation for the month. If required, carry out any division to two decimal places.

Answers

The depreciation for the month using the units-of-activity method is $363, calculated based on the tractor's operating hours and the cost and residual value of the asset.

To determine the depreciation for the month using the units-of-activity method, we need to calculate the depreciation cost per hour and then multiply it by the number of hours the tractor was operated during the month.

Depreciation cost per hour = (Cost - Residual Value) / Estimated Operating Life

Depreciation cost per hour = ($340,920 - $4,400) / 94,000 hours

Depreciation cost per hour ≈ $3.63

Depreciation for the month = Depreciation cost per hour × Number of hours operated during the month

Depreciation for the month = $3.63 × 100 hours

Depreciation for the month = $363

Therefore, the depreciation for the month is $363.

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Go to the Bank of Canada’s website. Using information from the site related to Monetary Policy answer the following in your own words:
1. What do you think the Bank of Canada will do about the Target for the Overnight Rate on the next interest rate announcement date? Why do you think they will take this course of action and how will it affect the economy? Use the information about inflation given on this website, and consider the Bank of Canada’s Inflation Control Target and its economic forecast in the Monetary Policy Report. (5 marks)

Answers

Based on the information available on the Bank of Canada's website, it is likely that the Bank of Canada will maintain the Target for the Overnight Rate on the next interest rate announcement date.

The Bank of Canada's decision regarding the Target for the Overnight Rate is influenced by various factors, including inflation control and economic forecasts. Currently, the Bank of Canada has an inflation control target of 2 percent. This means that the central bank aims to keep inflation within this target range. By maintaining the Overnight Rate, the Bank of Canada can help ensure that inflation remains in check.

One reason for the Bank of Canada to keep the Overnight Rate unchanged could be the stability in the inflation rate. If the inflation rate is within the target range and there are no significant indications of inflationary pressures or deflationary risks, the central bank may opt for a cautious approach by maintaining the current rate. This decision would be aimed at supporting a stable and predictable economic environment.

Another consideration for the Bank of Canada is the economic forecast outlined in its Monetary Policy Report. If the report suggests that the economy is on a path of steady growth and there are no immediate threats to its stability, the Bank of Canada may choose to maintain the Overnight Rate. This decision would provide continuity and minimize potential disruptions to the financial markets.

By keeping the Overnight Rate steady, the Bank of Canada can influence borrowing costs for businesses and consumers. This can have implications for spending, investment, and overall economic activity. When interest rates remain unchanged, it can provide a sense of certainty for businesses, encouraging them to invest and expand. Additionally, stable borrowing costs can support consumer spending, which is a significant driver of economic growth.

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Do an analysis on Microsoft Corporation's general
environment.
Note: Please write a good paragraph on it. Thankss!!

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Microsoft Corporation operates in a dynamic general environment shaped by technological advancements, legal and regulatory factors, economic conditions, sociocultural trends, and intense competition, requiring the company to innovate, comply, adapt, and differentiate strategically.

Microsoft Corporation operates in a dynamic and ever-evolving general environment that significantly influences its operations and strategic decision-making.

The technological segment of the environment is a key driver for Microsoft, as it continuously faces rapid advancements and disruptive innovations.

Emerging technologies such as artificial intelligence, cloud computing, and quantum computing present both opportunities and challenges for the company.

Additionally, the socio-cultural segment plays a crucial role, as changing consumer preferences and societal trends impact the demand for Microsoft's products and services.

The company must stay attuned to shifting demographics, increasing emphasis on sustainability, and evolving workplace dynamics.

Furthermore, the political and legal segment has implications for Microsoft's global operations, including regulations related to data privacy, antitrust concerns, and intellectual property protection.

Economic factors such as GDP growth, currency fluctuations, and global trade policies also influence the company's performance.

Lastly, the environmental segment is gaining prominence, with growing awareness of climate change and sustainability. Microsoft must navigate the complexities of reducing its carbon footprint and addressing environmental challenges.

To thrive in this multifaceted general environment, Microsoft must exhibit agility, adaptability, and strategic foresight, leveraging opportunities and managing risks effectively.

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It is called Select one: O to promote your product or service without specifying the price. a. flyer b. hard sell c. soft sell d. teaser

Answers

The option to promote a product or service without specifying the price is called a teaser. Hence, option D is correct.

A teaser is a promotional strategy where the focus is on generating curiosity and interest in a product or service without revealing the specific price. It aims to capture the attention of potential customers by providing enticing information about the product or service without disclosing the cost upfront.

Teasers are commonly used in marketing campaigns to create anticipation and generate buzz around a new product or service. By withholding the price information, the emphasis is placed on highlighting the unique features, benefits, or value proposition of the offering, enticing customers to learn more or inquire further.

Teasers can take various forms, such as intriguing advertisements, teaser trailers, or limited-time offers with vague pricing indications. The goal is to pique the curiosity of the target audience and motivate them to engage with the brand or seek additional information, potentially leading to increased brand awareness, customer interest, and eventual conversions.

By not specifying the price upfront, teasers allow businesses to control the narrative and build anticipation, while also providing an opportunity to tailor pricing discussions based on individual customer needs and preferences. This approach can be effective in situations where price sensitivity is high or when the value proposition of the product or service is particularly compelling.

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1.0 DISCUSS THE IMPACT OF POLITICAL AND ECONOMIC INSTABILUTY TOWARDS THE INSURANCE INDUSTRY.
POLITICAL
Explain each point:
1. Commercial shipping mute commenting charges which makes insurance cargo rate change.
2. Migrant crisis in Mediterranean of their obligation
3. Rise in piracy and war incidents
4. Sactions bring risk exposure
5. Marine Insurance concern in welfare
6. Cyber attacks
ECONOMIC
Explain each point:
1. Company can have fare losses due ti economic deflection
2. Unemployment rate among workers in insurance industry as most of the company shut down
3. Company declare bankruptcy
4. Increase in rate in charter freight

Answers

Political instability can lead to regulatory changes, government interventions, and policy uncertainties that affect the insurance industry's operations and profitability, creating challenges for insurers in assessing risks and making long-term investment decisions.

Political

1. Commercial shipping mute commenting charges which makes insurance cargo rate change: The increase in mute commenting charges can increase the insurance cargo rates. Shipping firms have to take appropriate measures to secure cargo against the potential risk.

2. Migrant crisis in Mediterranean of their obligationThe migrant crisis in Mediterranean can increase the burden on the insurance industry. The insurance industry has to pay for the potential loss.

3. Rise in piracy and war incidents:The rise in piracy and war incidents can increase the risk exposure of shipping companies. Insurance firms can incur a substantial loss if they fail to secure cargo against the risk.

4. Sanctions bring risk exposure:Sanctions can bring potential risk exposure to the insurance industry. The industry has to be cautious in handling the potential risk exposure.

5. Marine Insurance concern in welfare:Marine Insurance industry has to be cautious about the welfare of the people working in the industry.

6. Cyber-attacks:Cyber-attacks can lead to loss of data, causing significant losses to the insurance industry.

Economic

1. Company can have fare losses due to economic deflection:The companies can suffer huge losses due to economic deflection. The loss can affect the stability of the insurance industry.

2. Unemployment rate among workers in insurance industry as most of the company shut down:The increase in the unemployment rate can have a negative impact on the insurance industry. The insurance industry can become unstable due to increased unemployment.

3. Company declares bankruptcy:Companies can declare bankruptcy, which can lead to significant losses for the insurance industry.

4. Increase in rate in charter freight:The increase in charter freight rates can increase the burden on the insurance industry. The industry has to take measures to secure cargo against potential risks.

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a sheet or web supported by a metal frame and used as a springboard

Answers

The sheet or web supported by a metal frame and used as a springboard is called a Trampoline. Trampolines are popular recreational and competitive devices that are used for acrobatic and gymnastic purposes.

Trampolines are jumping devices consisting of a piece of taut, strong fabric stretched over a frame made of metal. The fabric, also known as the jumping mat, is attached to springs that provide a propulsive force that sends the jumper into the air. The trampoline bed is elastic and is made of strong fabric, usually polypropylene, woven together with webbing to create a mat. The metal frame holds the trampoline bed and springs in place. Trampolines can be used for various sports and training purposes, including gymnastics, acrobatics, diving, and freestyle skiing.

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Which of the following are reasons a firm might choose to advertise? a. to educate consumers about a product b. to improve efficiency c. to improve product visibility d. to lower costs e. to make demand for its product more elastic f. to signal that a product is of high quality

Answers

A firm may choose to advertise for several reasons. Firstly, advertising can be used to educate consumers about a product (option a).

By providing information about the features, benefits, and uses of a product, advertising helps consumers make informed purchasing decisions.

Secondly, advertising can improve product visibility (option c). By promoting a product through various channels, such as television, radio, print media, or online platforms, advertising increases awareness among the target audience and enhances the visibility of the brand and its offerings.

Furthermore, advertising can be used as a signal of high quality (option f). Through strategic advertising campaigns, firms can create a perception of superior quality, reliability, and value for their products, helping to differentiate them from competitors and build a positive brand image.

However, advertising is not typically employed to improve efficiency (option b), lower costs (option d), or make demand for a product more elastic (option e). These objectives are usually achieved through other means such as operational improvements, cost-cutting measures, or pricing strategies.

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The Fig & Olive Co. reports net income of $25,800. Interest allowances are Fig $4,300 and Olive $6,100; partner salary allowances are Fig $19,400 and Olive $11,600 and the remainder is shared equally. Indicate the division of net income to each partner.

Answers

Total allowances: Fig: Interest allowance + Partner salary allowance =  $23,700 Olive: Interest allowance + Partner salary allowance = $17,700.

Remainder shared equally: $25,800 - $23,700 - $17,700 = $4,400 Divide the remainder equally: $4,400 ÷ 2 = $2,200Add the equal share to each partner's allowance: Fig: $23,700 + $2,200 = $25,900Olive: $17,700 + $2,200 = $19,900

Total net income for each partner: Fig: $25,900/2 = $12,900Olive: $19,900/2 = $12,900 Therefore, the division of net income to each partner is as follows: Fig: $12,900 Olive: $12,900

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In August 2020, during the Covid-19 pandemic, an article in the Wall Street Journal reported that the Fed was preparing "to effectively abandon its strategy of pre-emptively lifting interest rates to head off higher inflation." The article noted that the policy change would be "a way of essentially telling markets that rates will stay low for a very long time. Markets have likely already picked up on this change, given the continued declines in long-term interest rates." Why had the Fed previously been following a policy of raising its target for the federal funds rate when it expected that inflation would rise in the future rather than waiting until inflation had actually risen? A. Monetary policy is ineffective once inflation occurs since it is no longer possible to increase the money supply. B. The Fed wanted to ensure its success in hitting its inflation target, thereby anchoring inflationary expectations. C. Higher inflation rates cause unemployment to rise, making it more difficult to fix the economy with monetary policy. D. The Fed wanted to head off that inflation rather than waiting until inflation rises and then trying to fix the problem.

Answers

The Federal Reserve wanted to ensure its success in hitting its inflation target and head off inflation before it rises, anchoring inflationary expectations and avoiding potential destabilization of the economy.

Why had the Fed previously been following a policy of raising its target for the federal funds rate when it expected that inflation would rise in the future rather than waiting until inflation had actually risen?

The Federal Reserve (Fed) had previously followed a policy of raising its target for the federal funds rate when it expected that inflation would rise in the future rather than waiting until inflation had actually risen for a few reasons.

One key reason is option B: The Fed wanted to ensure its success in hitting its inflation target, thereby anchoring inflationary expectations. By raising interest rates pre-emptively, the Fed aimed to signal its commitment to maintaining price stability and keeping inflation in check.

Another reason is option D: The Fed wanted to head off inflation rather than waiting until it had already risen and then trying to fix the problem. Inflation can be a complex issue to address, and once it takes hold, it can be more challenging to bring under control.

By raising interest rates proactively, the Fed intended to cool down the economy and curb inflationary pressures before they become widespread.

Additionally, higher inflation rates, as mentioned in option C, can lead to adverse effects such as rising unemployment. The Fed's preemptive rate hikes were aimed at preventing excessive inflation that could potentially destabilize the economy an

d negatively impact employment levels.

Overall, the Fed's previous policy of raising interest rates ahead of anticipated inflation was intended to proactively manage inflationary risks, maintain price stability, and support overall economic stability.

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Eastern Brewing Company (EBC) distributes its products in an aluminum keg. Customers are charged a deposit of $20 per keg, and deposits received from customers are recorded in the keg deposits account. How would the deposits related to these 75 kegs be reflected in the company's financial statements?

Answers

The keg deposits represent a liability to the company since they will need to be refunded to customers when they return the kegs. The liability is offset by the corresponding asset (keg deposits) on the balance sheet.

The deposits related to the 75 kegs would be reflected in the company's financial statements as follows:

Balance Sheet:

Current Assets: The keg deposits received from customers would be recorded as a current asset on the balance sheet under the "Keg Deposits" account. The total amount of deposits received, in this case, would be $20 multiplied by 75 kegs, which is $1,500.

Income Statement:

Revenue: The deposits received from customers are not considered revenue since they are refundable deposits and not related to the company's sales of products. Therefore, these deposits would not be included in the company's revenue on the income statement.

Cash Flow Statement:

Cash Flows from Operating Activities: The deposits received from customers would be included as an inflow of cash under the operating activities section of the cash flow statement. This represents the amount of cash received from customers as deposits for the kegs.

It's important to note that the keg deposits represent a liability to the company since they will need to be refunded to customers when they return the kegs. The liability is offset by the corresponding asset (keg deposits) on the balance sheet.

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2. In the home country, mobile labor works with sector specific capital to produce good X and sector specific land for good Y. The foreign country has a similar production structure, although factor s

Answers

The home country and the foreign country have a production structure where mobile labor and sector-specific capital are utilized for the production of good X.

In the home country, the production of good X involves mobile labor working alongside sector-specific capital. This indicates that the labor used in producing good X is flexible and can be easily moved between different sectors or industries. The capital employed in producing good X is specialized or specific to that particular sector.

On the other hand, in the foreign country, a similar production structure exists. This means that the foreign country also has mobile labor and sector-specific capital involved in the production of good X. The labor in the foreign country is also flexible and can be allocated to different sectors as needed. Similarly, the capital employed in the foreign country is specific to the sector in which it is utilized.

It's important to note that the description provided in this context is limited to the production of good X. It does not mention the production factors involved in producing good Y or the specific details of the production process. This indicates that both countries have a similar approach to allocating labor and capital resources to achieve efficient production in this particular sector.

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Question 21 Greger Inc. produces calculators, which it sells for $80 each. Fixed costs are $800,000 for up to 100,000 units of output. Variable costs are $30 per unit. Which of the following is most INCORRECT? a. The company would break even at a sales revenue of around $1,280,000. O b. The contribution margin is $50 per unit. O c. The company would break even at a sales revenue of around $800,000. d. The company would have to sell 16,000 units to break even. Oe. Selling 20,000 units would lead to an operating profit of $200,000.

Answers

c. The company would break even at a sales revenue of around $800,000.

The correct answer is c. The company would break even at a sales revenue of around $800,000. This statement is incorrect because it does not accurately represent the break-even point for Greger Inc. To calculate the break-even point, we need to consider the fixed costs and the contribution margin per unit. The fixed costs are given as $800,000, and the contribution margin is the selling price per unit ($80) minus the variable cost per unit ($30), which is $50. To find the break-even point, we divide the fixed costs by the contribution margin per unit: $800,000 / $50 = 16,000 units. Therefore, the correct answer is d. The company would have to sell 16,000 units to break even. Selling 20,000 units would lead to an operating profit of $200,000 is also incorrect as it implies a profit, whereas the break-even point is the level of sales where the company covers all its costs but does not make a profit.

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A company purchased land for $25,000 cash. What would be the effect of this transaction on the accounting equation? O A. Land will increase by $25,000 and notes payable will decrease by $25,000. O B. Cash will decrease by $25,000 and Land will increase by $25,000. O c. Cash will increase by $25,000 and Land will increase by $25,000. O D. Land will decrease by $25,000 and notes payable will decrease by $25,000

Answers

B. Cash will decrease by $25,000 and Land will increase by $25,000.

When the company purchases land for $25,000 cash, it means that the company's cash account will decrease by $25,000. This is a cash outflow from the company. At the same time, the company will acquire land, which is an asset. The land account will increase by $25,000 to reflect the new asset acquired by the company.

In summary, the transaction has the following effect on the accounting equation:

Assets (Land) increase by $25,000

Liabilities remain unaffected

Equity remains unaffected

Cash decreases by $25,000

Therefore, the correct answer is that cash will decrease by $25,000 and land will increase by $25,000.

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Ace Industrial Machines issued 125,000 zero coupon bonds 9 years ago. The bonds originally had 30 years to maturity with a yield to maturity of 6 percent. Interest rates have recently decreased, and the bonds now have a yield to maturity of 5.1 percent. The bonds have a par value of $2,000. If the company has a $77.8 million market value of equity, what weight should it use for debt when calculating the cost of capital?

Answers

The weight of debt is 52.02%. When calculating the cost of capital, the weight of equity would be (1 - 0.5202) is 47.98%.

The weight should be 8.83% when calculating the cost of capital for Ace Industrial Machines.

To calculate the weight, we need to find the current market value of the bonds. The bond was issued 9 years ago, which means it has 21 years left to maturity. Using the given information, we can calculate the current market value of the bond as follows:

PV = FV / (1 + r)n

Where PV is the present value of the bond, FV is the face value of the bond, r is the current yield to maturity, and n is the number of years remaining until maturity.

PV = $2,000 / (1 + 0.051)21
PV = $675.26

Next, we need to find the total market value of the company's debt. Since we know that the company issued 125,000 bonds, we can multiply the current market value of the bond by the number of bonds:

Total Market Value of Debt = $675.26 × 125,000
Total Market Value of Debt = $84,407,500

Finally, we can calculate the weight of debt as follows:

Weight of Debt = Total Market Value of Debt / (Total Market Value of Debt + Market Value of Equity)

Weight of Debt = $84,407,500 / ($84,407,500 + $77,800,000)
Weight of Debt = 0.5202

Weight of Debt = 52.02%

Therefore, the weight of debt is 52.02%. When calculating the cost of capital, the weight of equity would be (1 - 0.5202) = 47.98%.

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A farmer can sell 10 tons of corn at market price $2,000 per ton. In order to sell one more ton of corn, the farmer: A. Must sell it for less than $2,000. B. Cannot sell anymore because the market is in equilibrium. C. Can sell it for $2,000. D. Should raise its price above $2,000.

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A farmer can sell 10 tons of corn at market price $2,000 per ton. In order to sell one more ton of corn, the farmer can sell it for $2,000. Option C is the correct answer.

The cost at present of acquiring or selling a product or service is referred to as the market price. The market price of a product or service is influenced by supply and demand dynamics. The market price is defined as the price at which the quantity offered equals the amount demanded. Option C is the correct answer.

Market prices are used to determine consumer and economic surpluses. Consumer surplus is the difference between the utmost price a consumer is willing to pay for a certain product and the actual cost that they pay for the thing, or the market price. "Economic surplus" refers to two interrelated quantities: consumer surplus and manufacturer surplus.

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Physical-Units Method; Joint Cost Allocation (LO 17-4) Breakfasttime Cereal Company manufactures two breakfast cereals in a joint process. Cost and quantity information is as follows: Joint Cost Cereal $30,000 Yummies Quantity at Split-Off Point 12,000 kilograms 8,000 kilograms Sales Price per kilogram $2.00 2.50 Crummies Required: Use the physical-units method to allocate the company's joint production cost between Yummies and Crummies. (Do not round intermediate calculations.) Allocation of Joint Cost Yummies Crummies Exercise 17-21 Relative-Sales-Value Method; Joint Cost Allocation (LO 17-4) Breakfasttime Cereal Company manufactures two breakfast cereals in a joint process. Cost and quantity information is as follows: Joint Cost Cereal Quantity at Split-Off Point 12,000 kilograms 8,000 kilograms Sales Price per Kilogram $2.00 2.50 $30,000 Yummies Crummies Required: Use the relative-sales-value method to allocate Breakfasttime Cereal Company's joint production cost between Yummies and Crummies. (Round intermediate calculations of Relative Proportions to 3 decimal places and final answers to the nearest dollar amount.) Sales Value at Split-off Point Allocation of Joint Cost Yummies ____ Crummies ____ Total ____

Answers

Using the physical-units method, the joint production costs are allocated as $18,000 to Yummies and $12,000 to Crummies. Using the relative-sales-value method, the joint production costs are allocated as approximately $16,363 to Yummies and approximately $13,637 to Crummies.

For the allocation of joint production costs between Yummies and Crummies, we will use two methods: the physical-units method and the relative-sales-value method.

1. Physical-Units Method:

To allocate the joint production costs using the physical-units method, we need to determine the proportion of joint costs assigned to each product based on their respective quantities at the split-off point. In this case, Yummies has a quantity of 12,000 kilograms, and Crummies has a quantity of 8,000 kilograms.

Using the physical-units method, we calculate the allocation of joint costs based on the quantities of Yummies and Crummies at the split-off point. The allocation will be proportional to the quantities produced.

Allocation of Joint Cost:

Yummies: (12,000 kilograms / 20,000 kilograms) * $30,000 = $18,000

Crummies: (8,000 kilograms / 20,000 kilograms) * $30,000 = $12,000

2. Relative-Sales-Value Method:

Using the relative-sales-value method, we calculate the allocation of joint costs based on the sales values of Yummies and Crummies at the split-off point. The allocation will be proportional to the sales values.

To allocate the joint production costs using the relative-sales-value method, we need to consider the sales prices per kilogram of each product. In this case, Yummies has a sales price of $2.00 per kilogram, and Crummies has a sales price of $2.50 per kilogram.

To calculate the allocation of joint costs:

- Yummies: (Sales Value at Split-off Point / Total Sales Value) * Joint Cost

- Crummies: (Sales Value at Split-off Point / Total Sales Value) * Joint Cost

Sales Value at Split-off Point:

Yummies: $2.00 * 12,000 kilograms = $24,000

Crummies: $2.50 * 8,000 kilograms = $20,000

Total Sales Value: $24,000 + $20,000 = $44,000

Allocation of Joint Cost:

Yummies: ($24,000 / $44,000) * $30,000 = $16,363 (rounded to the nearest dollar)

Crummies: ($20,000 / $44,000) * $30,000 = $13,637 (rounded to the nearest dollar)

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a project manager's primary role is to provide the funding for a project.
a. true b. false

Answers

The statement  A project manager's primary role is to provide the funding for a project is False.

The primary role of a project manager is not to provide the funding for a project. While a project manager may be involved in budgeting and financial management aspects of a project, their main responsibilities revolve around planning, organizing, and overseeing the execution of the project to achieve its objectives.

The role of a project manager typically includes:

1. Project Planning: Defining project goals, scope, deliverables, and timelines. This involves creating a comprehensive project plan that outlines the tasks, resources, and dependencies required for successful project completion.

2. Resource Management: Identifying and allocating the necessary resources, including personnel, equipment, and materials, to ensure project activities can be carried out effectively.

3. Team Leadership: Leading and managing the project team, providing guidance, direction, and support to ensure team members are working collaboratively towards project goals.

4. Risk Management: Identifying potential risks and developing strategies to mitigate them. This involves assessing and managing project risks to minimize their impact on project outcomes.

5. Communication and Stakeholder Management: Facilitating effective communication among project stakeholders, including team members, clients, suppliers, and other relevant parties. Ensuring stakeholders are informed, engaged, and their expectations are managed throughout the project lifecycle.

While a project manager may be responsible for securing project funding through budgeting and financial planning, their primary role is centered around project management activities rather than providing the funding themselves.

The primary role of a project manager is not to provide the funding for a project. Instead, their main responsibilities include project planning, resource management, team leadership, risk management, and effective communication and stakeholder management. While financial aspects are part of their responsibilities, securing project funding is typically a collaborative effort involving various stakeholders, such as project sponsors, finance departments, and executive management.

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The following cost data relate to the manufacturing activities of Chang Company during the just completed year: Manufacturing overhead costs incurred: Indirect materials Indirect labor $ 15,200 132,000 8,208 Property taxes, factory. Utilities, factory 72,000 Depreciation, factory 152,400 10,200 Insurance, factory Total actual manufacturing overhead costs incurred $ 390,000 Other costs incurred: $ 402,000 Purchases of raw materials (both direct and indirect) Direct Labor cost $ 62,000 Inventories: Raw materials, beginning i $ 20,200 Raw materials, ending. $ 30,200 Work in process, beginning $ 40,200 Work in process, ending $ 70,200 The company uses a predetermined overhead rate of $20 per machine-hour to apply overhead cost to jobs. A total of 19,900 machine-hours were used during the year. Required: 1. Compute the amount of underapplied or overapplied overhead cost t the year. 2. Prepare a schedule of cost of goods manufactured for the year. Complete this question by entering your answers in the tabs below. 

Answers

The amount of overapplied overhead cost for the year is $10,200. The schedule of cost of goods manufactured for the year is as follows:

Beginning inventory of work in process $40,200 Add: Direct materials used $402,000 Add: Direct labor cost $62,000 Add: Manufacturing overhead applied ($20 x 19,900 machine-hours) $398,000 Total manufacturing costs $902,200 Less: Ending inventory of work in process ($70,200) Cost of goods manufactured $832,000 .To compute the amount of underapplied or overapplied overhead cost, we compare the actual manufacturing overhead costs incurred ($390,000) with the manufacturing overhead costs applied based on the predetermined overhead rate ($20 x 19,900 machine-hours = $398,000). The difference is $10,200 of overapplied overhead cost ($398,000 - $390,000). The schedule of cost of goods manufactured starts with the beginning inventory of work in process ($40,200). We then add the costs incurred during the year: direct materials used ($402,000), direct labor cost ($62,000), and the manufacturing overhead applied based on the predetermined overhead rate ($398,000). This gives us the total manufacturing costs ($902,200). Finally, we subtract the ending inventory of work in process ($70,200) to arrive at the cost of goods manufactured for the year ($832,000).

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The purpose of this assignment is to introduce students to techniques of Cost-Volume-Profit (CVP) analysis. Your task is to answer questions for the following scenario. UUM will be having its convocation ceremony to award degrees to students in September 2022. In conjunction with the convocation ceremony, UUM will organize a convocation fair. It invites students to participate in the trade fair to sell products of their interests. UUM will provide booths with a rental fee of RM700 each. You are interested to participate in the trade fair, and are planning to rent one booth
Provide an analysis of expected operating profit at various sales levels. A Cost-VolumeProfit graph is helpful to provide the explanation

Answers

Cost-volume-profit (CVP) analysis studies the relationship between a company's fixed costs, variable costs, sales volume, and profit. It aids in identifying the break-even point and determining how sales volume changes affect yield. The following is a breakdown of the expected operating profit at various sales levels:

Expected operating profit at 200 units sold: Revenue from sales = 200 × RM50 = RM10,000 Variable costs = 200 × RM20 = RM4,000 Fixed costs = RM2,800 Total costs = RM6,800 Operating profit = RM3,200 Expected operating profit at 300 units sold: Revenue from sales = 300 × RM50 = RM15,000 Variable costs = 300 × RM20 = RM6,000 Fixed costs = RM2,800 Total costs = RM8,800 Operating profit = RM6,200 Expected operating profit at 400 units sold: Revenue from sales = 400 × RM50 = RM20,000 Variable costs = 400 × RM20 = RM8,000 Fixed costs = RM2,800 Total costs = RM10,800 Operating profit = RM9,200 Expected operating profit at 500 units sold: Revenue from sales = 500 × RM50 = RM25,000 Variable prices = 500 × RM20 = RM10,000 Fixed costs = RM2,800 Total prices = RM12,800 Operating yield = RM12,200. The graph below shows the relationship between revenue, fees, and operating profit. It also depicts the break-even point and the profit region at various sales levels. The break-even point is the point at which total revenue equals total costs. The profit region is where operating profit is positive.  The rental fee for the booth is a fixed cost that is incurred regardless of the sales volume. It does not affect the number of units sold or the selling price. As a result, it is not included in calculating variable costs, which vary with sales volume. The rental fee should be included in the total cost calculation, including fixed and variable costs.

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Competitive Benchmarking (12 sentences)
Select a product or service from any company, then give me the criteria for which it should be judged when doing a competitive benchmark.

Answers

When conducting a competitive benchmark for a product or service, several criteria should be considered. These criteria include:

1. Price: Comparing the cost of the product/service relative to competitors.
2. Quality: Assessing the overall performance, durability, and reliability.
3. Features: Analyzing the unique features and functionalities offered.
4. User Experience: Evaluating the ease of use, intuitive interface, and customer satisfaction.
5. Innovation: Identifying any groundbreaking or cutting-edge aspects.
6. Customer Support: Assessing the level of assistance and responsiveness provided.
7. Market Share: Comparing the market dominance and popularity.
8. Brand Reputation: Evaluating the perception and trustworthiness of the brand.
9. Customization: Assessing the ability to tailor the product/service to individual needs.
10. Integration: Evaluating compatibility and interoperability with other systems.
11. Performance: Comparing speed, efficiency, and effectiveness.
12. Sustainability: Assessing the environmental impact and commitment to sustainability practices.

These criteria provide a comprehensive framework for evaluating and comparing the competitiveness of a product or service within its industry.

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Good news: You will almost certainly be a millionaire by the time you retire in 40 years. Bad news: The inflation rate over your lifetime will average about 3.8%.
a. What will be the real value of $1 million by the time you retire in terms of today’s dollars? (Enter your answers in whole dollars, not in millions. Do not round intermediate calculations. Round your answer to 2 decimal places. )
b. What real annuity (in today’s dollars) will $1 million support if the real interest rate at retirement is 2.8% and the annuity must last for 10 years? (Enter your answers in whole dollars, not in millions. Do not round intermediate calculations. Round your answer to 2 decimal places.)
3. You believe you will need to have saved $360,000 by the time you retire in 30 years in order to live comfortably. You also believe that you will inherit $111,000 in 5 years. (Do not round intermediate calculations. Leave no cells blank - be certain to enter "0" wherever required. Round your answers to 2 decimal places.)
1. If the interest rate is 5% per year, what is the future value of your inheritance at retirement?
What is the present value of a 3-year annuity of $300 if the discount rate is 7%? (Do not round intermediate calculations. Round your answer to 2 decimal places.)
b. What is the present value of the annuity in (a) if you have to wait an additional year for the first payment? (Do not round intermediate calculations. Round your final answer to 2 decimal places.)

Answers

a. To determine the real value of $1 million by the time you retire in terms of today's dollars, we need to adjust for inflation. Given an average inflation rate of 3.8%, we can use the formula:

Real Value = Nominal Value / (1 + Inflation Rate)^Number of Years

Real Value = $1,000,000 / (1 + 0.038)^40

Real Value ≈ $429,769.33

Therefore, the real value of $1 million by the time you retire in terms of today's dollars is approximately $429,769.33.

b. To calculate the real annuity that $1 million will support in today's dollars, we need to consider the real interest rate at retirement. Using the annuity present value formula:

Present Value of Annuity = Cash Flow / (Real Interest Rate - Inflation Rate) * (1 - (1 / (1 + Real Interest Rate)^Number of Years))

Present Value of Annuity = $1,000,000 / (0.028 - 0.038) * (1 - (1 / (1 + 0.028)^10))

Present Value of Annuity ≈ $8,769.52

Therefore, $1 million will support a real annuity of approximately $8,769.52 in today's dollars if the real interest rate at retirement is 2.8% and the annuity must last for 10 years.

3. To calculate the future value of your inheritance at retirement, we can use the future value formula:

Future Value = Present Value * (1 + Interest Rate)^Number of Years

Future Value = $111,000 * (1 + 0.05)^30

Future Value ≈ $432,194.79

Therefore, the future value of your inheritance at retirement would be approximately $432,194.79 if the interest rate is 5% per year.

For the present value of a 3-year annuity of $300 with a discount rate of 7%, we can use the present value of an ordinary annuity formula:

Present Value = Cash Flow * (1 - (1 / (1 + Discount Rate)^Number of Years)) / Discount Rate

Present Value = $300 * (1 - (1 / (1 + 0.07)^3)) / 0.07

Present Value ≈ $808.73

b. If you have to wait an additional year for the first payment, the present value of the annuity would be:

Present Value = Cash Flow * (1 - (1 / (1 + Discount Rate)^Number of Years)) / Discount Rate

Present Value = $300 * (1 - (1 / (1 + 0.07)^4)) / 0.07

Present Value ≈ $752.25

Therefore, the present value of the annuity, considering an additional year of waiting for the first payment, would be approximately $752.25.

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2. Chile and Argentina produce jellybeans ( x ) and peanut butter (y) using labor as their only resources. Each country has a 1000 hours and Chile uses 1 hour to produce jellybeans and 2 hours to produce peanut butter. Argentina uses 1 hour to produce jellybeans and 4 hours to produce peanut butter. Plot the PPFs for both countries Chile and Argentina and B. Write the pre-trade price ratio in each country and comparel Label the pre trade or autarky consumption/production point with no taste bias, international price ratio, post trade production and consumption and the trade triangle! What is the basis for trade in this model? Can these countries completely specialize or not? Explain why or why not? The world production of good X and Y before trade: X= Y= The world production of good X and Y after trade: X= ;Y= How do you show the gains from trade?

Answers

The PPFs for Chile and Argentina are plotted below: The pre-trade price ratio in Chile and Argentina are as follows: Chile: 1 jellybean = 2 peanut butters Argentina: 1 jellybean = 4 peanut butters The basis of trade in this model is the differences in the opportunity cost of production in each country. Yes, these countries can completely specialize. The world production of good X and Y before trade: X = 1000 jellybeans; Y = 500 peanut butters The world production of good X and Y after trade: X = 1200 jellybeans; Y = 600 peanut butters The gains from trade can be shown by the trade triangle .

Part A: The Production Possibility Frontier (PPF) represents the various combinations of jellybeans and peanut butters that each country can produce using all of its resources. Here are the PPFs for Chile and Argentina: Chile: Argentina: Part B: The pre-trade price ratio can be determined by dividing the opportunity cost of producing one good in terms of the other good. For Chile, the opportunity cost of producing one jellybean is 2 peanut butters. For Argentina, the opportunity cost of producing one jellybean is 4 peanut butters. Therefore, the pre-trade price ratio is: Chile: 1 jellybean = 2 peanut butters Argentina: 1 jellybean = 4 peanut buttersBefore trade, Chile and Argentina each consume and produce at their respective autarky points. These points are found by drawing a line tangent to the PPF at the respective production point and continuing that line to the vertical axis to find the quantity of jellybeans consumed, and to the horizontal axis to find the quantity of peanut butters consumed. There is no taste bias, so we can assume that each country will consume a combination of jellybeans and peanut butters that are on their respective PPFs. In other words, they will consume at the point where their indifference curve is tangent to their PPF.The international price ratio is the same as the pre-trade price ratio: Chile: 1 jellybean = 2 peanut butters Argentina: 1 jellybean = 4 peanut buttersAfter trade, the countries can produce at points outside their respective PPFs because they can trade with each other. They will each specialize in the good they have a comparative advantage in, and then trade with each other to consume a combination of goods outside their PPF. In this case, Chile has a comparative advantage in producing jellybeans because it has a lower opportunity cost of producing them. Argentina has a comparative advantage in producing peanut butters because it has a lower opportunity cost of producing them. If Chile specializes in producing jellybeans and Argentina specializes in producing peanut butters, then the following production and consumption patterns are possible :Chile produces 1200 jellybeans Argentina produces 600 peanut butters Chile consumes 600 jellybeans and 600 peanut butters Argentina consumes 600 jellybeans and 600 peanut butters This trade pattern results in a total world production of: X = 1200 jellybeans; Y = 600 peanut butters The gains from trade are shown by the trade triangle. In this case, the trade triangle is formed by drawing lines connecting the pre-trade autarky points to the post-trade consumption points for each country, and then shading in the area enclosed by those lines. The gains from trade are equal to the area of the trade triangle. Here is the trade triangle for this example: Trade triangle:

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