Which of the following would be identified as a source of cash?

A) An increase in accounts receivable

B) An increase in inventory

C) A decrease in accrued expenses

D) An increase in accounts payable

Answers

Answer 1

A decrease in accrued expenses is a source of cash, while an increase in accounts receivable, inventory, or accounts payable are not considered sources of cash. Option C.

A) An increase in accounts receivable is not considered a source of cash. Accounts receivable represents the money owed to a company by its customers for goods or services already provided.

An increase in accounts receivable indicates that the company has made sales on credit but has not yet received the cash payment. It represents an increase in the company's assets but does not directly result in a cash inflow.

B) An increase in inventory is also not considered a source of cash. Inventory represents the goods held by a company for sale or production.

An increase in inventory indicates that the company has acquired more goods but has not yet sold them. While inventory is an asset, it does not result in a direct cash inflow unless the inventory is subsequently sold.

C) A decrease in accrued expenses is considered a source of cash. Accrued expenses are costs that a company has incurred but has not yet paid.

A decrease in accrued expenses means that the company has made payments to settle its outstanding obligations, resulting in a cash outflow. As a decrease in liabilities, it represents an increase in the company's available cash.

D) An increase in accounts payable is not considered a source of cash. Accounts payable represents the money that a company owes to its suppliers for goods or services received but not yet paid for.

An increase in accounts payable means that the company has incurred additional obligations without making the corresponding cash outflow. It represents an increase in liabilities but does not directly result in a cash inflow. So Option C is correct.

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Related Questions

Maria, age 28 , has just expressed an interest in retiring at age 55 and having an income of the equivalent of $40,000 per year in retirement income in today's dollars. She assumes that she can make 8% interest after tax and expects inflation to average about 4% per year. Her life expectancy is 85 years old and she wants to know how much she should be saving each year in her savings plan to reach her goal between now and her retirement. $8,068 $7.625 $15,311 $24,159

Answers

Maria needs to save $7,625.28 per year to achieve her retirement income goals. The answer is option B.

To determine how much Maria should be saving each year to reach her retirement income goal, we can follow these steps:

Determine Maria's future retirement income needs: Maria wants to have an income of $40,000 per year in today's dollars when she retires. To account for inflation, we need to adjust this amount based on the expected rate of inflation. Assuming an average inflation rate of 4%, Maria's future retirement income needs are:

$40,000 * (1 + 0.04)^27 = $95,038.32 per year

Estimate Maria's life expectancy: Based on the information given, Maria has a life expectancy of 85 years old.

Calculate Maria's retirement savings goal: To generate an annual retirement income of $95,038.32 for 30 years (from age 55 to age 85), assuming an 8% return after tax, Maria will need to have saved:

($95,038.32 / 0.08) * (1 - (1 + 0.08)^-30) = $1,329,042.94

Calculate how much Maria needs to save each year: To reach her retirement savings goal, Maria will need to save an amount each year that, when compounded at 8% annually, will grow to $1,329,042.94 by the time she turns 55. Assuming a constant annual savings amount, this can be calculated using the following formula:

Annual savings = ($1,329,042.94 / ((1 + 0.08)^27 - 1)) * (1 + 0.08)^-27 = $7,625.28

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Metlock SpA purchased a new machine for its assembly process on August 1, 2022. The cost of this machine was €147,000. The company estimated that the machine would have a residual value of €23,520 at the end of its service life. Its life is estimated at 5 years, and its working hours are estimated at 20,580 hours. Year-end is December 31. Compute the depreciation expense under the following methods. Each of the following should be considered unrelated. (Round depreciation rate per hour to 2 decimal places, e \& 5.35 for computational purposes. Round your answers to O decimal places, ey 45,892.) (a) Straight-line depreciation for 2022 (b) Activity method for 2023 , assuming that machine usage was 850 hours (c) Surn-of-the-years'-digits for 2023 (d) Double-declining-balance for 2023

Answers

Straight-line depreciation is a method used to allocate the cost of an asset evenly over its useful life. Under the straight-line depreciation method, the same amount is deducted as depreciation expense each accounting period.

(a) Straight-line depreciation for 2022:

Depreciation Expense = (Cost - Residual Value) / Service Life

Depreciation Expense = (€147,000 - €23,520) / 5

Depreciation Expense = €123,480 / 5

Depreciation Expense = €24,696

(b) Activity method for 2023, assuming machine usage was 850 hours:

Depreciation Rate per Hour = (Cost - Residual Value) / Total Estimated Hours

Depreciation Rate per Hour = (€147,000 - €23,520) / 20,580

Depreciation Rate per Hour = €123,480 / 20,580

Depreciation Rate per Hour ≈ €6.00

Depreciation Expense = Depreciation Rate per Hour * Machine Usage Hours

Depreciation Expense = €6.00 * 850

Depreciation Expense = €5,100

(c) Sum-of-the-years'-digits for 2023:

Total Depreciation = (Cost - Residual Value) * (Remaining Service Life / Sum of the Years' Digits)

Sum of the Years' Digits = n * (n + 1) / 2

Where n is the service life in years.

Sum of the Years' Digits = 5 * (5 + 1) / 2

Sum of the Years' Digits = 15

Remaining Service Life = Service Life - Number of Years Passed

Remaining Service Life = 5 - 1

Remaining Service Life = 4

Depreciation Expense = (€147,000 - €23,520) * (4 / 15)

Depreciation Expense = €123,480 * (4 / 15)

Depreciation Expense ≈ €32,928

d) Double-declining-balance for 2023:

Depreciation Rate = (100% / Service Life) * 2

Depreciation Rate = (100% / 5) * 2

Depreciation Rate = 40%

Depreciation Expense = Book Value at Beginning of Year * Depreciation Rate

Book Value at Beginning of Year = Cost - Accumulated Depreciation

Accumulated Depreciation for 2022:

Accumulated Depreciation = Depreciation Expense for 2022

Accumulated Depreciation = €24,696

Book Value at Beginning of 2023 = €147,000 - €24,696

Book Value at the beginning of 2023 = €122,304

Depreciation Expense = €122,304 * 40%

Depreciation Expense = €48,921.60 (rounded to €48,922)

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Cost of Bank Loans Del Hawley, owner of Hawley's Hardware, is negotiating with First City Bank for a 1-year loan of $50,000. First City has offered Hawley the alternatives listed here. Calculate the effective annual interest rate for each alternative. Which alternative has the lowest effective annual interest rate? a. A 12% annual rate on a simple interest loan, with no compensating balance required and interest due at the end of the year b. A 9% annual rate on a simple interest loan, with a 20% compensating balance required and interest due at the end of the year c. An 8.75% annual rate on a discounted loan, with a 15% compensating balance d. Interest figured as 8% of the $50,000 amount, payable at the end of the year, but with the loan amount repayable in monthly installments during the year

Answers

a. The effective annual interest rate for the 12% annual rate on a simple interest loan with no compensating balance required can be calculated using the formula:

Effective Annual Interest Rate = (1 + (Nominal Interest Rate / Number of Periods)) ^ Number of Periods - 1

In this case, the number of periods is 1 (as it is a 1-year loan) and the nominal interest rate is 12%. Plugging in these values:

Effective Annual Interest Rate = (1 + (0.12 / 1)) ^ 1 - 1

                           = (1 + 0.12) ^ 1 - 1

                           = 1.12 - 1

                           = 0.12 or 12%

b. The effective annual interest rate for the 9% annual rate on a simple interest loan with a 20% compensating balance required can be calculated as follows:

Effective Annual Interest Rate = (Nominal Interest Rate / (1 - Compensating Balance)) * (1 / (1 - Compensating Balance))

Plugging in the values:

Effective Annual Interest Rate = (0.09 / (1 - 0.20)) * (1 / (1 - 0.20))

                           = (0.09 / 0.80) * (1 / 0.80)

                           = 0.1125 or 11.25%

c. The effective annual interest rate for the 8.75% annual rate on a discounted loan with a 15% compensating balance can be calculated as follows:

Effective Annual Interest Rate = Nominal Interest Rate / (1 - Compensating Balance)

Plugging in the values:

Effective Annual Interest Rate = 0.0875 / (1 - 0.15)

                           = 0.103 or 10.3%

d. In this option, the interest is figured as 8% of the $50,000 amount, payable at the end of the year, but the loan amount is repayable in monthly installments during the year. To calculate the effective annual interest rate, we need more information about the monthly installment amount and the repayment period.

The option with the lowest effective annual interest rate among the given alternatives is option c, which has an effective annual interest rate of 10.3%.

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it is especially important for counselors who work with culturally diverse client populations to

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Counselors who work with culturally diverse client populations should prioritize cultural competence.

Cultural competence is of utmost importance for counselors working with culturally diverse client populations. It refers to the ability to effectively understand and navigate the cultural backgrounds, values, beliefs, and experiences of clients from diverse cultural groups. By prioritizing cultural competence, counselors can establish a strong therapeutic alliance, promote client empowerment, and provide culturally responsive and relevant interventions.

Cultural competence begins with self-awareness and self-reflection. Counselors must examine their own biases, assumptions, and cultural values to prevent them from influencing the counseling process. They should actively seek knowledge and understanding about different cultures, including their traditions, communication styles, family dynamics, and societal norms. This enables counselors to approach each client with respect, sensitivity, and an open mind.

Building rapport and trust is essential when working with culturally diverse clients. Counselors should create a safe and inclusive environment where clients feel valued and understood. This involves active listening, empathy, and validating clients' experiences within their cultural context. By recognizing and affirming cultural strengths and resilience, counselors can foster a sense of belonging and empowerment.

Additionally, counselors should adapt their therapeutic interventions to align with clients' cultural backgrounds and preferences. This may involve modifying assessment tools, utilizing culturally appropriate therapeutic techniques, and incorporating cultural rituals, metaphors, or storytelling into the counseling process. By doing so, counselors can enhance the relevance and effectiveness of their interventions, promoting better outcomes for clients.

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i need help with this question please and thank u! Write an essay with at least 175 all of your own words describing the concept of federalism. Besides anything else you might write.be sure to include1How the system of federalism works in having different levelsnot branches) of government in the U.S.2 Some of the advantages and disadvantages of having multiple levels of government in the U.S.,and 3)What happens when federal and state laws conflict,and the multiple factors that determine which law applies

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Federalism is a political system that involves the sharing of power between the federal government and the states. In the United States, there are different levels of government, with each having their own set of responsibilities and authorities. In this essay, we will discuss how the system of federalism works, the advantages and disadvantages of having multiple levels of government, what happens when federal and state laws conflict, and the multiple factors that determine which law applies.

1 Federalism in the U.S. is characterized by the division of power between the national (federal) government and the state governments. This means that some powers are reserved exclusively for the federal government, while others are reserved exclusively for the states. Still, others are shared between the two. The U.S. Constitution outlines the powers of the federal government, such as regulating commerce and conducting foreign affairs, while the powers of the state governments are not enumerated and are therefore left up to the states to determine.
2. One of the advantages of federalism is that it allows for greater participation and representation at the state level. Because state governments are closer to their constituents, they are better equipped to address local issues. Additionally, federalism allows for experimentation and innovation, as different states can try different policies and approaches to common problems. On the other hand, federalism can also lead to inconsistencies and inefficiencies, as different states may have different policies and regulations. This can lead to confusion and frustration for individuals and businesses that operate in multiple states.
3. When federal and state laws conflict, the Supremacy Clause of the U.S. Constitution dictates that federal law prevails. However, in some cases, federal and state laws can coexist without conflict. In these instances, federal law sets the minimum standard, and states are free to enact more stringent laws if they choose. Factors that determine which law applies include the Supremacy Clause, the scope of the federal law, and the intent of Congress. Additionally, the courts play a significant role in interpreting and enforcing federal and state laws.

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A factor that could cause the demand for bonds to shift to the left is resulting in interest rates. a. a decrease in the expected return on bonds relative to stocks; rising. b. an increase in the economy's wealth; falling. c. a reduction in the riskiness of bonds relative to stocks; rising. d. an increase in the expected return on bonds relative to stocks; falling.

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Bonds are considered to be one of the most popular investment options for investors. When interest rates fall, demand for bonds rises as the yield on bonds exceeds that of other financial instruments. In contrast, when interest rates rise, the demand for bonds decreases, resulting in a shift in demand to the left. The primary reason for this is that higher interest rates make it more expensive for businesses to borrow money, which reduces their spending and, as a result, decreases the demand for bonds.

An increase in the expected return on bonds relative to stocks; falling can cause a shift in demand for bonds to the left. Investors may prefer to invest in stocks, which typically provide higher returns than bonds, when the expected return on bonds relative to stocks falls. As a result, the demand for bonds will decrease, resulting in a shift to the left.

When the economy's wealth increases, demand for bonds decreases, resulting in a shift in demand to the left. Wealthier individuals may prefer to invest in other financial instruments, such as stocks, instead of bonds, which results in decreased demand for bonds and a shift to the left.

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Suppose a bond issued by the European Central Bank and denominated in euros pays 9% per year. Today the exchange rate is 1.55 dollars per euro. It is expected that the exchange rate in one year will be 1.71 dollars per euro. What is the annual dollar return on this bond? O A. O percent. O B. 9 percent. O C. 25 percent. OD. 19 percent.

Answers

The correct answer is C. 25 percent. To calculate the annual dollar return on the bond, we need to consider both the interest payment received in euros and the change in the exchange rate.

First, let's calculate the interest payment. The bond pays 9% per year in euros. Assuming a face value of 1 euro, the interest payment would be 0.09 euros (1 euro × 0.09). Next, let's calculate the change in the exchange rate. The exchange rate is expected to be 1.71 dollars per euro in one year, compared to the current rate of 1.55 dollars per euro. The change in the exchange rate is 1.71 - 1.55 = 0.16 dollars per euro.

To convert the interest payment from euros to dollars, we multiply the interest payment by the exchange rate. Therefore, the interest payment in dollars would be 0.09 euros × 1.71 dollars per euro = 0.1539 dollars. Finally, we calculate the annual dollar return by adding the interest payment in dollars to the change in the exchange rate, and expressing it as a percentage of the initial investment. In this case, the initial investment is 1 euro, so the annual dollar return is (0.1539 dollars + 0.16 dollars) / 1 euro × 100% = 31.39%.

However, since the answer choices only provide options in whole numbers, the closest answer is 25 percent (Option C).

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please explain :)
Besides saving to or borrowing from the bank, what are some other financial instruments available that savers and borrows can use to save and borrow money? Please explain. (2.5) Differentiate between

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Aside from saving to or borrowing from the bank, there are several other financial instruments that savers and borrowers can utilize to save and borrow money. A financial instrument refers to a financial asset that can be traded, such as stocks, bonds, or options.

The following are some of the financial instruments available to savers and borrowers:Mutual funds: Mutual funds are a type of investment vehicle that pools money from a variety of investors and invests it in a diversified portfolio of stocks, bonds, and other securities. Savers can invest in mutual funds to earn a return on their money, while borrowers can use them as a source of capital.Venture capital: Venture capital is a form of private equity financing that is provided to early-stage, high-potential companies with the expectation of generating a large return on investment. Borrowers can use venture capital to fund their business ideas and growth strategies.Individual Retirement Accounts (IRAs): IRAs are investment accounts that allow savers to set aside money for retirement on a tax-deferred basis. This means that the money they invest in an IRA is not subject to income taxes until they withdraw it. Savers can contribute to IRAs on a regular basis to help build their retirement nest egg, while borrowers can use the funds they have saved in an IRA as collateral for a loan.Futures: Futures are financial contracts that obligate the buyer to purchase an underlying asset (such as a commodity or a security) at a specific price and time in the future. Futures are commonly used by speculators and hedgers to manage risk and earn a return on their investment. Savers and borrowers can both use futures to achieve their financial goals.Stocks: Stocks represent a share in the ownership of a company, and they are traded on stock exchanges. Savers can invest in stocks to earn a return on their money, while borrowers can issue stocks as a way to raise capital. In conclusion, a financial instrument is an asset that can be traded, and several financial instruments are available to savers and borrowers to help them save and borrow money.

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Which of the following is required by HIPAA standards?
a. A written contingency plan
b. Review of audit trails every 24 hours
c. Use passwords for all transactions
d. Permanent bolting of workstations in public areas

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A. A written contingency plan is required by HIPAA standards.HIPAA (Health Insurance Portability and Accountability Act) standards mandate the implementation of a written contingency plan.

HIPAA (Health Insurance Portability and Accountability Act) standards mandate the implementation of a written contingency plan. This plan serves as a comprehensive strategy to address potential risks and ensure the continuity of healthcare operations in the event of emergencies, such as natural disasters or system failures. It outlines the procedures and protocols to be followed in order to protect the privacy, security, and availability of sensitive patient information.

The written contingency plan should include a risk analysis that identifies vulnerabilities, threats, and potential impacts on the confidentiality, integrity, and availability of electronic protected health information (ePHI). It should also encompass strategies for data backup, disaster recovery, and emergency mode operation. Additionally, the plan must establish procedures for regular testing, evaluation, and revision to ensure its effectiveness and relevance.

By requiring a written contingency plan, HIPAA aims to promote proactive measures that enable healthcare organizations to respond effectively to unforeseen circumstances, minimize disruptions in patient care, and safeguard the privacy and security of patient information.

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A bank offers 10.00% on savings accounts. What is the effective annual rate if interest is compounded quarterly? Submit Answer format: Percentage Round to: 4 decimal places (Example: 9.2434%, % sign required. Will accept decimal format rounded to 6 decimal places (ex: 0.092434)) A bank offers 8.00% on savings accounts. What is the effective annual rate if interest is compounded monthly? Submit Answer format: Percentage Round to: 4 decimal places (Example: 9.2434%, % sign required. Will accept decimal format rounded to 6 decimal places (ex: 0.092434))

Answers

1) The effective annual rate if interest is compounded quarterly is 10.3813%.

Given, Bank offers 10.00% on savings accounts and interest is compounded quarterly. We need to find an effective annual rate.

So, we have the following formula to calculate the effective annual rate: A = P (1 + r/n)^(nt), Where,

A = final amount

P= principal amount

r = annual interest rate

t= several times interest applied per year (compounded)

n*t = several times interest applied over the years the interest is compounded quarterly.

Then n=4. So, A = P (1 + r/4)^(4t) Here, P = 1 Let's substitute the given values: A = 1 (1 + 0.1/4)^(4*1)

A = 1.1038128906 Effective annual rate = A - P = 1.1038128906 - 1 = 0.1038128906= 10.3813% (rounded to 4 decimal places)

2) Next, let's calculate the effective annual rate if interest is compounded monthly. The effective annual rate if interest is compounded monthly is 8.3277%.

Given, Bank offers 8.00% on savings accounts and interest is compounded monthly.

We need to find an effective annual rate.

If the interest is compounded monthly, then n= 12. So, A = P (1 + r/12)^(12t) Here, P = 1.

Let's substitute the given values: A = 1 (1 + 0.08/12)^(12*1)A = 1.0832774009.

Effective annual rate = A - P = 1.0832774009 - 1 = 0.0832774009= 8.3277% (rounded to 4 decimal places)

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evaluate the ethical consideration that could arrise from this
intervention outline two ways this could benifit global health and
2 ways providers could be held accoountable

Answers

The intervention in question raises ethical considerations related to global health. It has the potential to benefit global health by improving access to healthcare and promoting health equity.  

The intervention in question can have significant ethical implications for global health.

Firstly, it can benefit global health by improving access to healthcare. If the intervention aims to enhance healthcare infrastructure, provide resources, or expand healthcare services,

it can address health disparities and improve health outcomes for underserved populations. This promotes the ethical principle of justice by ensuring equitable access to healthcare services.

Secondly, the intervention can contribute to global health by promoting health equity. If it focuses on addressing social determinants of health, reducing health inequalities, and empowering marginalized communities, it aligns with the ethical principle of fairness.

By addressing underlying social, economic, and environmental factors that impact health, the intervention can promote equal opportunities for individuals and communities to achieve optimal health.

Providers involved in the intervention can be held accountable in several ways.

Firstly, transparency and accountability mechanisms can be established to ensure that resources and interventions are implemented effectively and responsibly.

This can include regular reporting, monitoring, and evaluation of outcomes and impacts.

Secondly, providers can be held accountable through adherence to ethical guidelines and standards. This involves ensuring that the intervention respects human rights, upholds the principles of autonomy, privacy, and informed consent, and avoids harm to individuals or communities.

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Your factory has been offered a contract to produce a part for a new printer. The contract would last for 3 years and your cash flows from the contract would be $5.12 million per year. Your upfront setup costs to be ready to produce the part would be $7.88 million. Your discount rate for this contract is 7.7%. a. What does the NPV rule say you should do? b. If you take the contract, what will be the change in the value of your firm? a. What does the NPV rule say you should do? The NPV of the project is $ million. (Round to two decimal places.)

Answers

a. Based on the given information, the NPV (Net Present Value) of the project can be calculated as follows: NPV = - Setup costs + PV of annual cash flows

   = - $7.88 million + (PV annuity factor x Annual cash flows)

   = - $7.88 million + (PV annuity factor x $5.12 million)

To calculate the PV annuity factor, we can use the formula:

PV annuity factor = [1 - (1 + r)^(-n)] / r

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

Substituting the values, we get:

PV annuity factor = [1 - (1 + 0.077)^(-3)] / 0.077

                 = 2.4522

Therefore, the NPV of the project is:

NPV = - $7.88 million + (2.4522 x $5.12 million)

   = $3.22 million (rounded to two decimal places)

Since the NPV is positive, the NPV rule suggests that the project should be accepted.

b. If the contract is accepted, the change in the value of the firm can be calculated as the difference between the present value of all future cash inflows and outflows. In this case, the present value of the annual cash inflows is:

Present value of annual cash inflows = PV annuity factor x Annual cash flows

                                    = 2.4522 x $5.12 million

                                    = $12.55 million

The total present value of cash inflows over the three-year contract period is:

Total present value of cash inflows = $12.55 million x 3

                                   = $37.65 million

The change in the value of the firm would be equal to the present value of all future cash inflows less the setup costs:

Change in the value of the firm = Total present value of cash inflows - Setup costs

                              = $37.65 million - $7.88 million

                              = $29.77 million

Therefore, if the contract is accepted, the value of the firm would increase by $29.77 million.

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How
can big data Analytics be useful? provide some examples.

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Big data analytics refers to the process of examining large and complex data sets to uncover patterns, trends, and insights that can be used for decision-making and strategic planning. It involves using advanced analytical techniques and tools to extract meaningful information from vast amounts of data. Big data analytics can be incredibly useful in various industries and sectors. Here are a few examples:

Retail: Retailers can analyze customer purchase history, browsing behavior, and demographic data to personalize marketing campaigns, optimize inventory management, and identify emerging trends.

Healthcare: Healthcare providers can leverage big data analytics to enhance patient care, predict disease outbreaks, optimize treatment plans, and identify patterns in electronic health records for early intervention.

Finance: Financial institutions can use big data analytics for fraud detection, risk assessment, credit scoring, and portfolio management, enabling them to make more informed decisions and mitigate financial risks.

Manufacturing: Manufacturers can analyze sensor data from equipment and machines to optimize production processes, identify maintenance needs, and improve product quality and efficiency.

Transportation: Transportation companies can use big data analytics to optimize routes, improve logistics and supply chain management, and enhance fleet management for cost savings and improved customer service.

Marketing: Marketers can analyze customer behavior, social media data, and online interactions to personalize campaigns, target specific audience segments, and measure the effectiveness of marketing efforts.

Overall, big data analytics enables organizations to gain valuable insights, make data-driven decisions, improve operational efficiency, and gain a competitive edge in today's data-driven world.

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4. If you are a consultant to your chosen company, identify and justify one recommendation you would propose to the CEO to improve the alignment of the company with SDG9. (200 words) (12 marks).

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Invest in Sustainable and Smart Technologies: The company should prioritize investments in sustainable and smart technologies to enhance its infrastructure and industrial processes.

By adopting renewable energy sources, implementing energy-efficient technologies, and incorporating smart systems, the company can significantly reduce its environmental footprint and contribute to sustainable industrialization. These technologies can also lead to cost savings in the long run, enhancing the company's competitiveness. Justification: Environmental Impact: By embracing sustainable and smart technologies, the company can reduce its greenhouse gas emissions, minimize waste generation, and conserve natural resources. This aligns with SDG 9's objective of promoting sustainable practices that contribute to environmental protection. Operational Efficiency: Sustainable and smart technologies can improve the company's operational efficiency by optimizing energy consumption, streamlining processes, and reducing production waste. This not only reduces costs but also enhances productivity, making the company more resilient and competitive in the long term. Innovation and Adaptability: Embracing sustainable and smart technologies fosters a culture of innovation within the company. It encourages research and development of new solutions, promotes technological advancements, and facilitates the adoption of cutting-edge practices.

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A) True or false: The marginal utility of good 1, that is, MU1, must be diminishing in x1.

B) True or false: Two different indifference curves cannot intersect.

C) If the marginal rate of substitution becomes more negative, then the indifference curves become a. flatter b. steeper c. flatter or steeper

D) True or false: With a linear utility function and a linear budget set, the solution to the consumer's problem will generally be a corner solution, except in special knife-edge cases

Answers

A) True. The marginal utility of good 1, MU1, must be diminishing in x1.

B) False. Two different indifference curves can intersect.

C) B) Steeper. If the marginal rate of substitution becomes more negative, then the indifference curves become steeper.

D) False. With a linear utility function and a linear budget set, the solution to the consumer's problem will generally not be a corner solution.

A) The law of diminishing marginal utility states that as the consumption of a good increases, the additional satisfaction or utility derived from each additional unit of that good decreases. Therefore, the marginal utility of good 1 (MU1) must be diminishing in x1, indicating that as the quantity consumed of good 1 increases, the marginal utility of good 1 will decrease.

B) Indifference curves represent different combinations of goods that yield the same level of utility to a consumer. It is possible for two different indifference curves to intersect, which means that the consumer is indifferent between the combinations of goods represented by those curves. The intersection of indifference curves implies that the consumer is equally satisfied with different combinations of goods.

C) When the marginal rate of substitution (MRS) becomes more negative, it indicates that the consumer is willing to give up more units of one good in exchange for an additional unit of the other good. This higher degree of substitution suggests that the consumer's preferences have changed, resulting in steeper indifference curves. Steeper indifference curves represent a higher rate at which the consumer is willing to trade one good for another.

D) With a linear utility function and a linear budget set, the solution to the consumer's problem will generally not be a corner solution. In a corner solution, the consumer fully exhausts their budget on one good and consumes zero units of the other good. However, with linear functions, the optimal solution typically occurs at an interior point where the consumer consumes positive quantities of both goods.

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Earlier today, we estimated the equity beta of Alphabet Inc. (G0OG) to be 0.98. Suppose the risk-free rate is 1% and the market risk premium is 6%. According to the CAPM, what is GOOG's equity cost of capital?

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The equity cost of capital for GOOG is estimated to be 6.88%. According to the Capital Asset Pricing Model (CAPM), the equity cost of capital (Ke) is calculated using the formula: Ke = Rf + β * (Rm - Rf).


In this case, the risk-free rate (Rf) is given as 1% and the market risk premium (Rm - Rf) is 6%. The equity beta (β) of Alphabet Inc. (GOOG) is 0.98.
Plugging in these values into the formula, we can calculate the equity cost of capital for GOOG:
Ke = 1% + 0.98 * 6%
  = 1% + 5.88%
  = 6.88%
Therefore, the equity cost of capital for GOOG is estimated to be 6.88%.

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The inventor of a new game believes that the variable cost for producing the game is $0.85 per unit and the fixed costs are $4,700. The inventor sells each game for $1.79. Let x be the number of games produced.
a)The total cost for a business is the sum of the variable cost and the fixed costs. Write the total cost C (in dollars) as a function of the number of games produced.
C =
(b) Write the average cost (in dollars) per unit C = c/x as function of x

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a) The total cost C (in dollars) as a function of the number of games produced is C(x) = $4,700 + ($0.85 * x)
b) The average cost (in dollars) per unit C = c/x as function of x is C(x) = ($4,700 + ($0.85 * x)) / x

a) The total cost (C) for producing x games can be calculated by adding the fixed costs ($4,700) to the variable costs per unit ($0.85) multiplied by the number of games produced (x).

Therefore, the total cost function C(x) can be expressed as:
C(x) = Fixed Costs + (Variable Cost per unit * Number of games produced)
C(x) = $4,700 + ($0.85 * x)

b) The average cost per unit (C) can be found by dividing the total cost (C(x)) by the number of games produced (x).

Therefore, the average cost function C(x) can be expressed as:
C(x) = Total Cost / Number of games produced
C(x) = ($4,700 + ($0.85 * x)) / x

To summarize:
a) C(x) = $4,700 + ($0.85 * x)
b) C(x) = ($4,700 + ($0.85 * x)) / x

By substituting the value of x, you can calculate the total cost and average cost per unit for a given number of games produced. Remember to consider the context and limitations of the problem when interpreting the results.

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Hess Mining has 6.4 million shares of common stock outstanding and 175,0006.2 percent semiannual bonds outstanding. par value $1,000 each. The common stock currently sells for $53 per share and has a Beta of 1.15: the bonds have 25 years to maturity and sell for 103 percent of par ($1,030) The market risk premium is 6.8% T-Bills are yielding 3.1% and the company tax rate is 22% What is the firm's market capital structure AND what would Hess Mining's WACC be?

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Hess Mining's market capital structure consists of 6.4 million shares of common stock and 175,000 bonds. The market capital structure represents the proportions of equity and debt financing in the company's overall capitalization.

To calculate the Weighted Average Cost of Capital (WACC), we need to determine the cost of equity and the cost of debt and then weight them based on the market capital structure. The WACC represents the average rate of return the company needs to earn to satisfy its investors and creditors.

The cost of equity can be calculated using the Capital Asset Pricing Model (CAPM) as follows:

Cost of Equity = Risk-Free Rate + Beta * Market Risk Premium.

Given that the risk-free rate is 3.1% (T-Bills yield), the market risk premium is 6.8%, and the company's Beta is 1.15, we can calculate the cost of equity:

Cost of Equity = 3.1% + 1.15 * 6.8% = 11.42%.

The cost of debt is the yield to maturity (YTM) of the bonds, which are selling for 103% of par. We need to adjust the yield to reflect the tax rate:

Cost of Debt = Yield to Maturity * (1 - Tax Rate).

The bonds have a 6.2% semiannual coupon rate and sell for 103% of par, the YTM can be calculated using a financial calculator or Excel's RATE function. Let's assume it is 6.1%. Considering a tax rate of 22%, we can calculate the cost of debt:

Cost of Debt = 6.1% * (1 - 22%) = 4.758%.

To calculate the WACC, we need to weight the cost of equity and the cost of debt based on the market capital structure:

WACC = (Equity / Total Capital) * Cost of Equity + (Debt / Total Capital) * Cost of Debt.

The equity value is the number of shares multiplied by the share price ($53 per share), and the debt value is the number of bonds multiplied by the bond's market value ($1,030 per bond):

Equity Value = 6.4 million shares * $53 per share = $339.2 million.

Debt Value = 175,000 bonds * $1,030 per bond = $180.25 million.

Total Capital = Equity Value + Debt Value = $339.2 million + $180.25 million = $519.45 million.

Finally, we can calculate the WACC:

WACC = ($339.2 million / $519.45 million) * 11.42% + ($180.25 million / $519.45 million) * 4.758%.

Therefore, the firm's market capital structure consists of $339.2 million in equity and $180.25 million in debt, and its WACC can be calculated using the given inputs and the formulas explained above.

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Which of the following statements regarding Gantt charts is true?
A. Gantt charts give a timeline and precedence relationships for each activity of a project
B. Gantt charts are visual devices that show the duration of activities in a project
C. Gantt charts are expensive
D. Gantt charts use the four standard spines: methods, materials, manpower, and machinery
E. All of the above are true

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In conclusion, the statement that is true regarding Gantt charts is B. Gantt charts are visual devices that show the duration of activities in a project.

Gantt charts are visual devices that show the duration of activities in a project is a true statement regarding Gantt charts.

What is a Gantt chart?

A Gantt chart is a bar chart that represents a project plan graphically, making it easier to understand and work on. This chart displays project tasks against time and is a useful method to see what work is scheduled to be completed on a particular day.

Gantt charts are an essential component of project management because they enable you to visualize project schedules by showing you the start and finish dates of project tasks as well as their dependencies.What is a spine?A spine is a narrow, pointed portion of a leaf, stem, or other plant component.

The four standard spines are methods, materials, manpower, and machinery and they were introduced by D. G. Carpenter in his book

"The Use of the Work Breakdown Structure in Project Management."In conclusion, the statement that is true regarding Gantt charts is B. Gantt charts are visual devices that show the duration of activities in a project.

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why is mesh topology more expensive than bus topology?

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Mesh topology is more expensive than bus topology due to its higher hardware and installation costs.

What factors contribute to the higher expenses in mesh topology?

Mesh topology refers to a network configuration where each node is directly connected to every other node in the network. This results in a highly redundant and fault-tolerant network. However, the cost of implementing and maintaining a mesh network is comparatively higher than a bus topology network, which consists of a single communication line shared by multiple nodes.

The primary factor contributing to the higher cost of mesh topology is the increased hardware requirement. In a mesh network, each node requires a dedicated connection to every other node, resulting in a large number of interconnections. The purchase and installation of these individual connections increase the hardware costs significantly.

Moreover, the complexity of wiring and cabling in a mesh topology adds to the overall expenses. With a larger number of connections, the installation process becomes more intricate, requiring skilled technicians and specialized equipment.

Additionally, the ongoing maintenance and troubleshooting of a mesh network can be more time-consuming and costly. With numerous connections, identifying and rectifying faults becomes more challenging, potentially requiring extensive diagnostic efforts and increased maintenance expenses.

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If an allocation x is strongly Pareto efficient and another allocation y is not, then all consumers are at least as well off with x as they are with y, and at least one consumer is strictly better off with x than he is with y.

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The statement is correct: if an allocation x is strongly Pareto efficient and another allocation y is not, then all consumers are at least as well off with x as they are with y, and at least one consumer is strictly better off with x than they are with y.

In a strongly Pareto efficient allocation, it is not possible to make any individual better off without making someone else worse off. This means that if allocation x is strongly Pareto efficient, it represents the best possible allocation of resources given the preferences and constraints of the individuals involved. On the other hand, if allocation y is not strongly Pareto efficient, it means that there exists a potential reallocation of resources that can make at least one person better off without making anyone else worse off.

Therefore, when comparing the two allocations, all consumers will be at least as well off with allocation x as they are with allocation y because x is Pareto efficient and ensures that no one is worse off. Additionally, there will be at least one consumer who is strictly better off with allocation x compared to allocation y, as the Pareto efficiency of x implies an improvement in the welfare of at least one individual without any detriment to others.

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According to economic models of trade, when the United States and Canada trade: a. Canada will be worse off because the United States is a stronger economic power. b. both Canada and the United States will be better off. c. both Canada and the United States will be worse off. d. the United States will be worse off because wages in Canada are higher.

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The right response is option B, which states that both Canada and the US will benefit.

Trade between nations has the potential to benefit both parties, according to economic theories of trade. Both the United States and Canada have the chance to specialise in manufacturing goods and services in which they have a competitive advantage when they engage in trade. This specialisation enables greater productivity and efficiency, which raises overall economic production.Through trade, the United States can obtain goods and services from Canada that it might not be able to manufacture as effectively or for less money at home.

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Brenda Young desires to have $15,500 eight years from now for her daughter's college fund. If she will earn 8 percent (compounded annually) on her money, what amount should she deposit now? (Exhibit 1-A, Exhibit 1-B, Exhibit 1-C, Exhibit 1-D)

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Brenda Young should deposit $9,027.70 now to have $15,500 eight years from now at 8% compounded annually.

To calculate the amount Brenda Young should deposit now to have $15,500 eight years from now at 8% compounded annually, we can use the present value formula:

PV = FV / (1 + r)^n

where,

FV = Future value = $15,500

r = Annual interest rate = 8%

n = Number of periods (years) = 8

Using the given values, we can substitute them into the formula and get:

PV = $15,500 / (1 + 0.08)^8

PV = $15,500 / 1.7148

PV = $9,027.70 (rounded to the nearest cent)

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" 1. The information systems used at a company can influence business decisions related to potential partnerships, mergers and acquisitions. TRUE FALSE

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The statement "The information systems used at a company can influence business decisions related to potential partnerships, mergers, and acquisitions" is true. Information systems play a crucial role in shaping business decisions in these areas.

In today's digital age, information technology has become an integral part of business operations. Companies rely on various information systems to manage and analyze data, facilitate communication, and streamline processes. These systems provide valuable insights and information that can impact strategic decisions, including partnerships, mergers, and acquisitions.

One key way information systems influence business decisions is through data analytics. By harnessing the power of big data and advanced analytics techniques, companies can gain a deeper understanding of market trends, customer behavior, and industry dynamics. This data-driven approach helps identify potential partners, evaluate the feasibility of mergers and acquisitions, and assess the financial implications of these strategic moves.

Moreover, information systems enable businesses to conduct due diligence effectively. During partnership discussions or merger and acquisition negotiations, companies need to evaluate the financial, operational, and legal aspects of potential deals. Information systems facilitate the collection, organization, and analysis of relevant data, enabling decision-makers to assess the risks, benefits, and synergies of such business ventures.

Furthermore, emerging technologies such as machine learning and artificial intelligence can enhance the decision-making process. These technologies can automate data analysis, identify patterns, and provide predictive insights. By leveraging information systems that incorporate these technologies, companies can make more informed and data-driven decisions when considering partnerships, mergers, or acquisitions.

In summary, the information systems used at a company have a significant influence on business decisions related to potential partnerships, mergers, and acquisitions. Through data analytics, due diligence support, and the integration of emerging technologies, these systems provide valuable insights and enable companies to make informed and strategic choices in the dynamic and competitive business landscape.

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What does Changeover mean? What is its effect on Operating
capacity? What is the way to improve changeover?

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Changeover refers to the process of switching from producing one product or service to another. It is a critical element in manufacturing and service operations, particularly in production lines, where it can take time to reconfigure machines and adjust production processes to meet the new product's requirements.

Changeover is the process of transitioning from one product or service to another.

The second question addresses the effect of changeover on operating capacity. Changeover has a direct impact on operating capacity because it can result in downtime and decreased efficiency. During a changeover, the production line must be stopped, the machines must be reconfigured, and any necessary adjustments must be made to the production processes. This downtime means that the production line is not operating at full capacity, which can result in lost productivity and reduced profitability.

The third question asks how changeover can be improved. One way to improve changeover is to use a standardized process for transitioning from one product or service to another.

A standardized process helps to reduce variability in the changeover process, making it more efficient and less prone to error. Another way to improve changeover is to use dedicated equipment for each product or service. This approach eliminates the need to reconfigure machines during changeover, reducing downtime and improving efficiency. A third way to improve changeover is to invest in training and development for employees. By providing training on changeover processes and procedures, employees can become more proficient in the changeover process, reducing the likelihood of errors and improving efficiency.

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Police officers arrived at Grant's home to investigate a tip that Grant's residence was being used to sell drugs. Grant was not home, but he did arrive home while the officers were there. Grant parked his car at the end of the driveway, got out, and shut the car door. One of the officers, who was some 30 feet away, called to Grant, who responded by walking to the patrol car. The officer immediately arrested Grant and put him in the patrol car. The officer walked over and searched Grant's car. The search revealed a gun and some cocaine in the pocket of a jacket lying on the backseat. Grant was charged with possession of narcotics. Grant moved to suppress the evidence seized in the car on the grounds that the warrantless search violated his 4 th Amendment rights. Applying the IRAC method, discuss whether Grant is correct. The IRAC Method - Issue - Identify and state the legal issue presented by the fact scenario. (1-2 sentences) - Rule - State/define the legal principle that applies to the issue. - Analysis Discuss how the legal principle relates to the fact scenario. This should be the most lengthy portion of your answer. - Conclusion - State your conclusion based on your analysis. (1-2 sentences)

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Grant is correct in moving to suppress the evidence seized in the car. The warrantless search conducted by the officer violated Grant's 4th Amendment rights against unreasonable searches and seizures.

Whether the warrantless search of Grant's car violated his 4th Amendment rights. The 4th Amendment protects individuals from unreasonable searches and seizures. Generally, a warrant is required to conduct a search, unless an exception applies.

In this case, the officer conducted a search of Grant's car without a warrant. To determine the constitutionality of the search, we need to consider whether any exceptions to the warrant requirement apply. In this scenario, the officer did not have a search warrant, and there are no apparent exceptions, such as probable cause or exigent circumstances, that would justify the warrantless search.

Grant is correct in his assertion that the warrantless search violated his 4th Amendment rights. The evidence seized from the car should be suppressed as it was obtained unlawfully, without a warrant or a justifiable exception to the warrant requirement.

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The Ombudsman Foundation is a private not-for-profit organization providing training in dispute resolution and conflict management. The Foundation had the following preclosing trial balance at Decembe

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The Ombudsman Foundation is a private not-for-profit organization that offers training in dispute resolution and conflict management.

management. Below is the pre-closing trial balance as of December.

The pre-closing trial balance is a financial statement that lists all the accounts and their balances before any adjusting entries are made. It provides a snapshot of the organization's financial position at a specific point in time, in this case, December.

As a private not-for-profit organization, the Ombudsman Foundation operates with the primary goal of serving the public interest rather than generating profits. Its focus is on providing training programs related to dispute resolution and conflict management.

The pre-closing trial balance includes various accounts such as assets, liabilities, revenue , and expenses. These accounts reflect the financial activities and balances of the organization at the end of December. However, without the actual trial balance provided, it is not possible to provide further details or analyze specific accounts.

In summary, the Ombudsman Foundation, as a private not-for-profit organization, specializes in offering training programs for dispute resolution and conflict management. The pre-closing trial balance represents the organization's financial position at the end of December, but without specific account details, further analysis is not possible.

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suppose your firm is considering investing in a project with the cash flows shown below, that the required rate of return on projects and risk is 11% and maximum allowable feedback and discounted payback. Statistics for your company are three and 3 1/2 years respectively.

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Based on the given information, the cash flows of the project, and the company's required rate of return and maximum allowable payback period, it can be concluded that the project is not acceptable.

To determine the project's acceptability, we need to calculate the net present value (NPV) and discounted payback period. Let's consider the cash flows of the project:

Year 0: -$500,000 (initial investment)

Year 1: $100,000

Year 2: $150,000

Year 3: $200,000

Year 4: $200,000

Year 5: $200,000

First, we calculate the NPV by discounting the cash flows at the required rate of return of 11%. The formula to calculate NPV is:

NPV = CF0 + (CF1 / (1 + r)^1) + (CF2 / (1 + r)^2) + ... + (CFn / (1 + r)^n)

Where CF represents the cash flow and r is the discount rate.

NPV = -500,000 + (100,000 / (1 + 0.11)^1) + (150,000 / (1 + 0.11)^2) + (200,000 / (1 + 0.11)^3) + (200,000 / (1 + 0.11)^4) + (200,000 / (1 + 0.11)^5)

NPV ≈ -$89,201.13

The NPV is negative, indicating that the project does not generate sufficient returns to cover the initial investment and meet the required rate of return.

Next, we calculate the discounted payback period, which is the length of time required to recover the initial investment in terms of discounted cash flows. We sum the discounted cash flows until the cumulative value becomes positive:

Discounted Payback Period = 3 years + (1 / (200,000 / (1 + 0.11)^4))

Discounted Payback Period ≈ 3.39 years

The discounted payback period is greater than the company's maximum allowable payback period of 3.5 years.

Based on the NPV being negative and the discounted payback period exceeding the maximum allowable payback period, it is not recommended for the firm to invest in this project. The project fails to meet the company's profitability criteria and the desired payback period. Therefore, it would be more prudent to explore alternative investment opportunities with better prospects for returns and a shorter payback period.

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Babsie is the manager at the Bookstore. The revenues from the store are low so Babsie would like to increase revenue. Babsie decides to increase the prices of all products sold at the store. Is this a good idea? Explain.

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If Babsie decides to increase the prices of all products sold at the store to increase the revenue of the bookstore, this may not be a good idea.

Although this may increase the revenue of the store for a short time, it can also cause the following adverse effects on the bookstore.
1. Loss of Customers If the prices of the products sold at the store are increased, it can cause a loss of customers. This is because customers may find the prices too high and may go to another bookstore to get the same product at a cheaper price. This may cause a reduction in revenue in the long run.
2. Unfair Competition If the prices of the products sold at the store are increased, it can cause unfair competition with other bookstores. If the prices of the products are too high, it can cause the customers to stop purchasing from the store.
3. Negative reviews from customers If the prices of the products sold at the store are increased, it can cause negative reviews from customers. This is because customers may find the prices too high and may not be satisfied with the products they receive. Negative reviews from customers can discourage other customers from purchasing from the store, which can cause a reduction in revenue.
In conclusion, increasing the prices of all products sold at the store may not be a good idea as it can cause a loss of customers, unfair competition with other bookstores, and negative reviews from customers.

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in a process operation, the direct labor of a production department includes:

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In a process operation, the direct labor of a production department includes the labor directly involved in the production process.

This refers to the workers who are directly engaged in the manufacturing or assembly of products. They are responsible for handling materials, operating machinery, performing quality control checks, and other tasks directly related to the production process. Direct labor costs are typically attributed to specific products or units of production. It does not include indirect labor, which consists of support staff or personnel who provide services indirectly related to production, such as maintenance or supervision.

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