Which tasks would facility managers complete as part of their planning activities? a) Monitoring energy efficiency programs to ensure they are being carried out. b) Installing motion sensor light switches to provide immediate reduction in electricity expenses. c) Educating building occupants on best practices for conserving energy. d) Identifying methods to increase profits by improving energy efficiency.

Answers

Answer 1

The tasks that facility managers complete as part of their planning activities include all of the above.

What tasks should facility managers use for planning ?

Facility managers are responsible for overseeing energy efficiency programs and initiatives within a facility. Facility managers may plan and implement energy-saving measures such as installing motion sensor light switches.

Facility managers often conduct educational programs and initiatives to inform and educate building occupants about energy conservation practices. They may analyze energy usage patterns, identify areas for improvement, and propose strategies to enhance energy efficiency, ultimately resulting in reduced expenses and increased profits for the facility.

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Provide two examples of regular payments and two examples of non-regular payments. In your own words, explain the differences in the statutory withholding requirements between regular and non-regular payments.

Answers

Regular payments require withholding for income tax, Social Security, Medicare, and possibly state/local taxes, while non-regular payments only require federal income tax withholding.

Regular payments are payments made with a predictable frequency, such as weekly, bi-weekly, or monthly. Two examples of regular payments are salaries and wages. Non-regular payments, on the other hand, are payments made irregularly, such as bonuses, severance pay, and commissions. Two examples of non-regular payments are awards and bonuses.

There are differences in the statutory withholding requirements between regular and non-regular payments. When it comes to regular payments, employers are required to deduct a certain amount of federal and state income taxes, as well as Social Security and Medicare taxes, from their employees' paychecks.

These deductions are based on the employee's W-4 form and the amount of money they earn. In the case of non-regular payments, however, different withholding requirements apply. For instance, the withholding rate for a bonus is different from that for a salary.

While regular payments are subject to income tax withholding, Social Security and Medicare taxes, and, in certain cases, state and local taxes, non-regular payments are only subject to federal income tax withholding.

To sum up, the differences in the statutory withholding requirements between regular and non-regular payments mainly involve the calculation of taxes to be withheld from employees' wages.

While regular payments are subject to income tax withholding, Social Security and Medicare taxes, and, in certain cases, state and local taxes, non-regular payments are only subject to federal income tax withholding.

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ave Acce Question 9 Khamila Corp. is considering the purchase of a new factory and would like to finance the purchase with a combination of debt and equity. The factory will cost $101691 total, of which $32385 will be financed by new common stock. The remainder will be financed by debt. What is the proportion of debt financing for use in the WACC calculation? Submit your answer as a percentage and round to two decimal places (Ex. 0.00%) Siegmeyer Corp. is considering a new inventory system, Project A, that will cost $800,000. The system is expected to generate positive cash flows over the next four years in the amounts of $350,000 in year one, $325,000 in year two, $400,000 in year three, and $200,000 in year four. Siegmeyer's required rate of return is 12% What is the internal rate of return of this project? 11.42% 16.57% 20.93% 23.12%

Answers

The proportion of debt financing for use in the WACC calculation is 67.52%.

To determine the proportion of debt financing, we need to calculate the amount of debt used to finance the factory. Since $32,385 will be financed by new common stock, the remaining amount will be financed by debt.

Debt Financing = Total Cost of the Factory - Common Stock Financing

Debt Financing = $101,691 - $32,385

Debt Financing = $69,306

To calculate the proportion of debt financing, divide the debt financing by the total cost of the factory and multiply by 100 to express it as a percentage.

Proportion of Debt Financing = (Debt Financing / Total Cost of the Factory) * 100

Proportion of Debt Financing = ($69,306 / $101,691) * 100

Proportion of Debt Financing = 67.52%

It's important to consider the proportion of debt financing when calculating the weighted average cost of capital (WACC) as it affects the overall cost of capital for the firm. The WACC takes into account the cost of both debt and equity financing, and the proportion of each component influences the overall WACC.

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Research an operational situation that demonstrates an organization's ability to make ethical management decisions. Discuss your research results, cite your source and include the organization's ethical standards/policy.

Answers

One organization that has demonstrated its ability to make ethical management decisions is Patagonia, an outdoor clothing and gear company.

Patagonia has a strong commitment to environmental sustainability and social responsibility, which is evident in their ethical standards and policies. One notable example is their "Worn Wear" program, which encourages customers to repair and reuse their Patagonia clothing rather than buying new items. This initiative aligns with their mission to reduce consumption and waste.

In addition, Patagonia is a certified B Corporation, which means they meet rigorous standards of social and environmental performance, accountability, and transparency. They prioritize fair labor practices, invest in renewable energy, and donate a portion of their profits to environmental causes.

Patagonia's commitment to ethical management decisions is reflected in their comprehensive policies and actions. They prioritize sustainability, fair labor, and giving back to the community. Their "Worn Wear" program and B Corporation certification demonstrate their dedication to minimizing their environmental impact and fostering a responsible business model. Patagonia serves as an inspiring example of an organization that prioritizes ethical decision-making in its operations.

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Calculate and interpret net present value (NPV), internal rate
of return (IRR), payback period, discounted payback period, and
profitability index (PI) of a single capital project.

Answers

Here are the steps involved in calculating and interpreting NPV, IRR, payback period, discounted payback period, and PI of a single capital project:

Calculate the net present value (NPV)

The NPV is the difference between the present value of the project's future cash flows and the initial investment. The present value of a future cash flow is calculated by discounting the cash flow back to the present using a discount rate. The discount rate is the rate of return that the company expects to earn on its investments.

Calculate the internal rate of return (IRR)

The IRR is the discount rate that makes the NPV of the project equal to zero. The IRR is a measure of the profitability of the project.

Calculate the payback period

The payback period is the number of years it takes for the project to generate enough cash flow to cover the initial investment.

Calculate the discounted payback period

The discounted payback period is the number of years it takes for the project to generate enough discounted cash flow to cover the initial investment. The discounted cash flow is calculated by discounting the project's future cash flows back to the present using the discount rate.

Calculate the profitability index (PI)

The PI is the ratio of the present value of the project's future cash flows to the initial investment. The PI is a measure of the project's value-added potential.

Once you have calculated all of these metrics, you can use them to evaluate the project and make a decision about whether or not to invest in it.

Interpreting NPV

The NPV is a measure of the project's economic value. A positive NPV indicates that the project is expected to generate more cash flow than the initial investment. A negative NPV indicates that the project is expected to generate less cash flow than the initial investment.

Interpreting IRR

The IRR is a measure of the project's profitability. A higher IRR indicates that the project is more profitable. The IRR is often used as a benchmark for comparing different projects.

Interpreting Payback Period

The payback period is a measure of the project's liquidity. A shorter payback period indicates that the project is expected to generate cash flow more quickly. The payback period is often used as a simple measure of risk.

Interpreting Discounted Payback Period

The discounted payback period is a more accurate measure of the project's liquidity than the payback period. It takes into account the time value of money. A shorter discounted payback period indicates that the project is expected to generate cash flow more quickly.

Interpreting Profitability Index

The PI is a measure of the project's value-added potential. A higher PI indicates that the project is more valuable. The PI is often used as a measure of the project's risk-adjusted return.

Therefore, the decision of whether or not to invest in a project should be based on all of the available information, including the NPV, IRR, payback period, discounted payback period, and PI. The decision should also take into account the company's risk tolerance and investment goals.

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The primary difference between Chapter 7 and Chapter 11
bankruptcy for a corporation is
A. Chapter 11 is for complete liquidation
B. Chapter 7 is for reorganization
C. Chapter 7 is only for individual

Answers

The primary difference between Chapter 7 and Chapter 11 bankruptcy for a corporation is Chapter 7 is for reorganization. So option B is correct.

For an individual to qualify for relief under Chapter 7, the debtor can be an individual, a corporation, a business, or in a partnership.

No matter how much debt you owe or whether you’re solvent or insolvent, a Chapter 7 Trustee will convert the assets into cash and distribute it to the creditors.

A liquidation bankruptcy is also known as a Chapter 7 bankruptcy because you must sell your non-exempt assets and use the money to pay your creditors. However, you may retain exempt property and possessions up to a certain limit.

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In which of the following way do the concepts of correlation and beta differ? 1. Correlation ranges from - 1 to +1 wheneas, in theory, beta can extend beyond those ranges. II. Correlation helps to identify how the performance of two assets react to each other whereas beta focuses on how the performance of an asset or portfolio relates to a specific benchmark. 11I. For diversification purposes a low correlation is preferable whereas a portfolio can still be diversified regardless of its beta coefficient. V. All of the above IV and II III land III inin Question 8 (1.point) Jasper, a wealthy engineer, has a $900.000 fully diversified portfolio. He subsequently inherits 10.000 Xerex common shares worth $100.000. His financial advisor provided the following forecasted information: The expected return and standard deviation of the original portiolio are 0.67% and 2.37\%. The expected return and standard deviation of the Xerex stock ane 125% and 2.95% The expected correlation cocfficient of Xerex stack returns with the original pertfolio returns is 0.40. Calculate the expected standard deviation of his new portfolio that includes the Xerex stock. 2.26% 5.80% 19 21.680

Answers

I. The statement is correct. Correlation ranges from -1 to +1, indicating the strength and direction of the linear relationship between two variables. On the other hand, beta, in theory, can extend beyond those ranges, especially in cases where the relationship is nonlinear.

II. The statement is correct. Correlation measures the relationship between the performance of two assets, indicating how they move in relation to each other. Beta, on the other hand, focuses on how the performance of an asset or portfolio relates to a specific benchmark, such as the market index.

III. The statement is correct. A low correlation between assets is desirable for diversification purposes as it indicates that the assets move independently of each other, reducing the overall portfolio risk. However, the diversification of a portfolio can still be achieved regardless of its beta coefficient.

Considering the above statements, the correct answer is V. All of the above.

Now, let's calculate the expected standard deviation of Jasper's new portfolio that includes the Xerex stock.

To calculate the standard deviation of a portfolio, we need to consider the weights of each asset, their standard deviations, and the correlation coefficient. In this case, the original portfolio has a weight of $900,000 / ($900,000 + $100,000) = 0.9, and the Xerex stock has a weight of 0.1.

Using the formula for the standard deviation of a portfolio:

σ_p = √(w₁² * σ₁² + w₂² * σ₂² + 2 * w₁ * w₂ * ρ * σ₁ * σ₂)

where:

σ_p = standard deviation of the portfolio

w₁ = weight of the original portfolio

σ₁ = standard deviation of the original portfolio

w₂ = weight of the Xerex stock

σ₂ = standard deviation of the Xerex stock

ρ = correlation coefficient between the Xerex stock returns and the original portfolio returns

Substituting the given values into the formula:

σ_p = √(0.9² * 2.37² + 0.1² * 2.95² + 2 * 0.9 * 0.1 * 0.40 * 2.37 * 2.95)

Calculating this expression gives us:

σ_p ≈ √(5.3149 + 0.08705 + 0.26784) ≈ √5.66979 ≈ 2.38

Therefore, the expected standard deviation of Jasper's new portfolio, including the Xerex stock, is approximately 2.38%.

In conclusion, the expected standard deviation of Jasper's new portfolio that includes the Xerex stock is approximately 2.38%.

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create a parable with the meaning behind it of money can't buy you happiness

Answers

Once upon a time, in a distant village nestled between rolling hills, lived a prosperous merchant named Benjamin. Benjamin was known far and wide for his wealth and opulent lifestyle.

His grand mansion, adorned with golden decorations, was the envy of all who laid eyes on it. People often assumed that Benjamin's affluence had brought him endless happiness.

One day, a humble traveler named Samuel arrived in the village. Despite his simple attire and modest belongings, Samuel exuded an air of contentment and joy that caught the attention of the villagers. Curious about the secret behind Samuel's happiness, they gathered around him, eager to learn.

With a warm smile, Samuel began to share his parable. He told them about a wealthy king who possessed all the riches in the kingdom. Despite his vast fortune, the king was perpetually discontented, constantly seeking more wealth and power to fill the void within his heart. The king believed that money would bring him everlasting happiness.

One day, the king encountered a wise sage who shared a profound truth: "Money can buy many things, but it cannot buy you happiness. True joy resides within the simplest of pleasures, the bonds of love and friendship, and the satisfaction of a life well-lived."

Enlightened by the sage's words, the king embarked on a journey of self-discovery. He renounced his materialistic pursuits and focused on nurturing meaningful relationships, practicing kindness, and finding purpose in helping others. Gradually, the king discovered that genuine happiness blossomed from within, unaffected by material possessions.

As Samuel concluded his parable, the villagers pondered its meaning. They realized that Benjamin's opulence masked a deep emptiness within him, while Samuel's genuine happiness stemmed from the intangible joys of life.

From that day forward, the villagers embraced the wisdom of the parable. They learned that while money could bring temporary pleasures and comfort, true and lasting happiness could only be found in the richness of experiences, connections, and inner contentment. They realized that the pursuit of wealth should never overshadow the pursuit of a truly fulfilling life.

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Friends and fellow citizens: I stand before you tonight
under indictment for the alleged crime of having voted at
the last presidential election, without having a lawful right
to vote. It shall be my work this evening to prove to you
that in thus doing, I not only committed no crime, but,
instead, simply exercised my citizen's rights, guaranteed to
me and all United States citizens by the National
Constitution, beyond the power of any State to deny.
-Susan B. Anthony, "Speech After Being Convicted of
Voting
Which phrase most clearly explains the purpose of Susan B. Anthony's tone in
this passage?
OA. To make sure she comes across as being informed on the issue at
hand so that audiences hostile to her ideas will continue to listen
OB. To allow her audience to get comfortable with the idea that a
woman is speaking about such a controversial topic
O C. To show that she is angry about being denied the right to vote and
wants her audience to change the laws
O D. To provide a good role model for women in the audience who are
secretly supporting her ideas about suffrage

Answers

To show that she is angry about being denied the right to vote and wants her audience to change the laws (option c).

1. In this passage, Susan B. Anthony is addressing a crowd after being indicted for voting without a lawful right.

2. The purpose of her tone in this passage is to convey her emotions and express her dissatisfaction with the denial of her right to vote.

3. Option A, which suggests that the purpose of her tone is to appear informed on the issue to maintain the attention of hostile audiences, is not supported by the passage. The focus is more on her personal rights rather than her knowledge.

4. Option B, stating that her tone aims to make the audience comfortable with a woman speaking about a controversial topic, is not directly supported by the passage. While her actions were indeed controversial at the time, the passage does not specifically address her intention to make the audience comfortable.

5. Option C, which states that her tone reflects her anger about being denied the right to vote and her desire for the audience to change the laws, aligns with the tone and content of the passage. Susan B. Anthony is making a case for her innocence and emphasizing the importance of citizens' rights.

6. Option D suggests that her tone serves as a role model for women supporting suffrage secretly. While she may be an inspiration to women, the primary focus of her speech is not to provide a role model but to assert her rights and challenge the denial of suffrage.

Therefore, the most accurate phrase that explains the purpose of Susan B. Anthony's tone in this passage is option C: To show that she is angry about being denied the right to vote and wants her audience to change the laws.

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While the total net farm income over the entire life of the business would be the same with cash-basis system and accrual-basis system, the accrual income statement is a much better measure for any given year. True False

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The given statement, "While the total net farm income over the entire life of the business would be the same with cash-basis system and accrual-basis system, the accrual income statement is a much better measure for any given year" is true.

Accrual basis accounting is a type of accounting that measures the performance of a business by recording economic events when they occur, regardless of when the cash flow associated with that event takes place.

Accrual accounting does not rely on the flow of cash, but rather on the events that occur in a company, such as when an order is placed or an invoice is sent. The accrual accounting method allows a company to better predict future cash flows.Cash basis accounting, on the other hand, is a method of accounting in which transactions are only recorded when money is exchanged.

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Use the drop-down menus to identify the most likely mood of the person in each situation.

Answers

Thomas just learned that he won the competition, resulting in excitement and joy. Adrian, who did not study for a test, feels anxiety, regret, and disappointment as the teacher distributes the exam. Individual responses may vary.

Thomas has just heard the results of the competition - he won!

Mood: Excitement/joy

In this situation, Thomas has received news that he has won the competition. Winning typically evokes a sense of achievement, pride, and happiness. Therefore, the most likely mood for Thomas in this situation would be excitement or joy. He may feel a rush of positive emotions, a sense of accomplishment, and an overall elation due to his success.

Adrian watches the teacher hand out the test that he did not study for.

Mood: Anxiety/regret/disappointment

In this situation, Adrian is observing the teacher handing out the test that he did not prepare for. Given that he did not study, it is natural for Adrian to experience negative emotions such as anxiety, regret, or disappointment. He may feel anxious because he is uncertain about his performance and the potential consequences of his lack of preparation. Regret may arise from the realization that he could have made a different choice to better prepare for the test. Additionally, Adrian may feel disappointed in himself for not taking the opportunity to study and potentially achieve better results.

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The question probable may be:

Use the drop-down menus to identify the most likely

Mood of the person in each situation. Thomas has just heard the results of the competition - he won! Adrian watches the teacher hand out the test that he did not study for.  

Professional achievements about Emily carr ​

Answers

Emily Carr was a Canadian artist and writer who made a significant contribution to modernist painting in Canada.

Carr was born in Victoria, British Columbia, in 1871, and is best known for her paintings of Indigenous peoples' villages in British Columbia's coastal rainforest and her books about her travels. Carr is also recognized for her independent spirit, strong will, and commitment to her work. Carr faced significant challenges in her life, including financial difficulties, health problems, and difficulty finding acceptance in the art world during her lifetime.

However, despite these challenges, Carr continued to paint and write throughout her life, developing her own distinctive style that combines elements of post-impressionism, fauvism, and indigenous art. Her work has been recognized as a significant contribution to Canadian art history, and she has been the subject of numerous exhibitions and publications over the years.

In conclusion, Emily Carr's professional achievements are significant contributions to the development of modernist painting in Canada, her paintings of Indigenous peoples' villages in British Columbia's coastal rainforest, her books about her travels, and her independent spirit, strong will, and commitment to her work. Despite the challenges she faced during her lifetime, Carr continued to paint and write, developing her own distinctive style that has been recognized as a significant contribution to Canadian art history.

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using the speech of patrick henry at virgina convention . which of the following phrases below best indicate the attitude toward the situation the colonies are in?
a. we have done everything that could be done
b.an appeal to arms and to the god of hosts
c. gracious repetition of petition
d.one lamp by which my feet are guided
e. accumulation of navies and armies

Answers

A is the correct answer

write an eassy on "impacts of social media on youth"
steps:
1-introduction
2-main body
3-conclusion

Answers

Social media has a huge impact on the youth as it enables sharing of ideas, opinions, and knowledge. The positive impacts include information and education, communication and collaboration, and digital skills. The negative impacts  include mental health, cyberbullying, and addiction

Social media is a modern tool for sharing and exchanging knowledge, ideas, and opinions on various subjects. In recent years, social media platforms have been progressively attracting users from around the world, particularly the youth. Young people have embraced social media as a way to communicate, engage, and entertain themselves. However, social media's impact on the youth has both positive and negative aspects.

Positive Impacts of Social Media on Youth

Information and Education: Social media platforms can provide youths with an opportunity to access information and education materials. Social media platforms provide young people with informative and educational materials that can help them with their studies and personal growth. Furthermore, social media can provide a platform for experts in various fields to share their knowledge and experience with the youth.Communication and Collaboration: Social media provides an excellent platform for young people to connect with their peers and communicate with their family members. Social media platforms enable young people to share ideas, opinions, and thoughts about various topics, including politics, education, and lifestyle. Through social media, young people can establish communication channels with people from diverse cultures and backgrounds, providing them with an opportunity to learn and grow.Digital Skills: The use of social media has helped young people to develop digital skills such as online collaboration, social networking, and multimedia production. By using social media platforms, young people learn how to use online tools and applications, which are essential for modern-day work and communication.

Negative Impacts of Social Media on Youth

Mental Health: One of the most significant negative impacts of social media on the youth is on their mental health. Excessive use of social media has been linked to depression, anxiety, and other mental health disorders. Young people spend significant amounts of time scrolling through social media feeds, which can cause them to feel isolated, lonely, and disconnected from the real world.Cyberbullying: Social media platforms have become a breeding ground for cyberbullying, which can have devastating effects on young people's mental health and wellbeing. Young people who experience cyberbullying often suffer from low self-esteem, depression, and anxiety, which can have long-term negative impacts.Addiction: Social media addiction is a growing concern for the youth, with many young people spending significant amounts of time online, which can negatively impact their social and academic life.

Social media has had a significant impact on the youth, both positive and negative. Young people should be cautious about how they use social media, as excessive use can lead to mental health problems, addiction, and cyberbullying. However, when used appropriately, social media can provide an excellent platform for young people to learn, connect, and grow.

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2. The town of Creditcard is an allusion to which detail in the original work?

Answers

The town of Creditcard in the novel The Great Gatsby by F. Scott Fitzgerald is an allusion to the idea of materialism and the new economic prosperity of the 1920s.The town of Creditcard was created as an allusion to the materialism and excess of the Roaring Twenties in the novel The Great Gatsby by F. Scott Fitzgerald.

This is demonstrated through the opulent and excessive parties held at Gatsby's mansion, as well as the rampant consumerism and social climbing that was prevalent during this time period.The name Creditcard, which implies the use of credit and the accumulation of debt, also symbolizes the illusion of wealth and prosperity that many people experienced during the 1920s.

It represents a facade of wealth and success that is based on debt and consumerism rather than true prosperity and financial stability.In conclusion, the town of Creditcard is an allusion to the materialistic culture and excess of the 1920s, which was characterized by rampant consumerism, social climbing, and the illusion of wealth and success.

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Most central banks of industrialized countries have monetary policy formed by
Multiple Choice
a committee made up of members of their central bank.
an individual, usually the minister of finance.
an individual, usually the person heading the central bank at the time.
their version of Congress.

Answers

Most central banks of industrialized countries have monetary policy formed by a committee made up of members of their central bank.

What happens to the banks

Central banks of industrialized countries typically have a committee responsible for formulating monetary policy. This committee is composed of members of the central bank, including senior officials and policymakers. The specific structure and composition of the committee may vary among different countries and central banks.

Having a committee rather than an individual making monetary policy decisions helps ensure a more comprehensive and balanced approach. Monetary policy involves complex considerations, such as economic indicators, inflation, interest rates, exchange rates, and financial stability.

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Which sentence has an underlined word that means "leave”?

During a fire drill, we evacuate the building.
The ants invade our picnic and eat our food.
The trains convey the commuters to work and back.
As the storm increases, clouds converge overhea

Answers

Answer: Evacuate

Explanation: Evacuate the building is similar to leave the building

atenight Drive-Ins Ltd. borrowed money by issuing $4,500,000 of 6% bonds payable at 96.5 on July 1, 2018. The bonds are 10-year bonds and pay interest each January 1 and July 1 Read the requirements. Requirements 1. 2. 3. 4. How much cash did Latenight receive when it issued the bonds payable? Journalize this transaction. How much must Latenight pay back at maturity? When is the maturity date? How much cash interest will Latenight pay each six months? How much interest expense will Latenight report each six months? Use the straight-line amortization method. Journalize the entries for the accrual of interest and amortization of discount on December 31, 2018, and the payment of interest on January 1, 2019. Print Done Trevor Company borrowed money by issuing $6,000,000 of 7% bonds payable at 101.5 on July 1, 2018. The bonds are five-year bonds and pay interest each January 1 and July 1. Read the requirements. Requirements 1. How much cash did Trevor receive when it issued the bonds payable? Joumalize this transaction. 2. 3: 4. How much must Trevor pay back at maturity? When is the maturity date? How much cash interest will Trevor pay each six months? How much interest expense will Trevor report each six months? Use the straight-line amortization method. Journalize the entries for the accrual of interest and the amortization of premium on December 31, 2018, and payment of interest on January 1, 2019. Print Done X

Answers

Latenight Drive-Ins Ltd. received $4,347,500 in cash when it issued the bonds payable. The maturity date is July 1, 2028, and at maturity, Latenight must pay back the face value of the bonds, which is $4,500,000. The company will pay cash interest of $135,000 ($4,500,000 x 6% x 0.5) every six months. Using the straight-line amortization method, Latenight will report $135,000 in interest expense every six months.

Latenight Drive-Ins Ltd. issued $4,500,000 of 6% bonds payable at 96.5, which means the bonds were sold at a discount. To calculate the cash received, we need to multiply the face value of the bonds by the issue price percentage: $4,500,000 x 96.5% = $4,347,500. This is the amount of cash Latenight received when it issued the bonds payable.

The maturity date of the bonds is 10 years from the issuance, which means the bonds will mature on July 1, 2028. At maturity, Latenight is obligated to repay the face value of the bonds, which is $4,500,000.

Since the bonds pay interest semi-annually on January 1 and July 1, Latenight will need to pay cash interest every six months. To calculate the cash interest payment, we multiply the face value of the bonds by the stated interest rate and divide it by 2 (for semi-annual payments): $4,500,000 x 6% x 0.5 = $135,000.

Using the straight-line amortization method, Latenight will recognize an equal amount of interest expense every six months. In this case, it will be $135,000 per period, which corresponds to the cash interest payment.

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In one or two sentences, state the controlling idea of
Chapter 5 of The Dark Game. Remember that the
controlling idea includes both the topic of the chapter and
the author's viewpoint on the topic.

Answers

The controlling idea of Chapter 5 of The Dark Game is that the British codebreakers at Bletchley Park were able to crack the German Enigma code, which gave them a significant advantage in World War II.

What happens in Chapter 5 of the Dark Game ?

The chapter begins with a description of the work of the codebreakers at Bletchley Park. The codebreakers were tasked with breaking the German Enigma code, which was used to encrypt all of the German military's communications. The Enigma code was considered unbreakable, but the codebreakers at Bletchley Park were able to break it by using a combination of mathematical and linguistic techniques.

The chapter then goes on to describe how the codebreakers' work helped the Allies win the war. The codebreakers were able to read the German military's communications, which gave the Allies a significant advantage. The Allies were able to use the information from the German communications to plan their own military operations, and to avoid German attacks.

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ased on the four methods we have learned so far, how would you group the pros and cons of each? ** *** ITEM BANK DCF: Greater flexibility Sales Comparables: Great way to get a rough idea of where the asset would trade Replacement Cost: Not used as much anymore and doesn't reflect 70+ year age of existing building Income Capitalization: Simple, quick to do, "back of the envelope" Income Capitalization: Lacks the ability to fore- cast increasing cash flows in the future Replacement Cost: Good to know if and when new supply might enter the market PROS Drop Item Here CONS Drop Item Here ww www # Income Capitalization: Makes few assumptions Sales Comparables: Of- ten a wide band of sale values and comparables become less useful if they are old or "stale," as they are in this case DCF: Increasing number of assumptions means wide range of answers are possible. DCF: Contingent on the discount rate chosen (it's an arbitrary choice)

Answers

Income Capitalization: Simple, few assumptions. Sales Comparables: Rough estimate, outdated data. DCF: Flexible, sensitive to discount rate. Replacement Cost: Market supply analysis, may not reflect age

Based on the four methods discussed, the pros and cons can be grouped as follows:

Pros:

1. Income Capitalization: It offers simplicity and quick calculations, making it a convenient method for preliminary evaluations. Additionally, it relies on minimal assumptions, providing a more conservative approach.

2. Sales Comparables: This method provides a rough estimate of the asset's market value by analyzing similar sales in the area. It offers flexibility and can be useful for getting a general idea of where the asset might trade.

3. Replacement Cost: Understanding the potential entry of new supply into the market is an advantage of this method. It can help identify when and if new properties might impact the value of the existing building.

Cons:

1. Income Capitalization: While it is quick and easy, this method lacks the ability to forecast increasing cash flows in the future. It assumes a stable income stream, which may not be accurate for assets with potential growth.

2. Sales Comparables: As time passes, comparables can become outdated or less useful, especially if they are old or "stale." Additionally, there can be a wide range of sale values, making it challenging to determine an accurate estimate.

3. DCF: The discounted cash flow (DCF) method offers flexibility and considers multiple assumptions. However, the wide range of possible answers highlights the sensitivity of the valuation to the choice of discount rate, which can be subjective.

Overall, each method has its strengths and limitations. Income Capitalization is quick and makes few assumptions, but it lacks the ability to account for future cash flow growth. Sales Comparables provide a rough idea but can be limited by outdated data and a wide range of values. DCF allows for flexibility but is highly sensitive to the discount rate chosen. Replacement Cost is useful for market supply analysis but is less commonly used and may not reflect the age of existing buildings.

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10. To convince readers that deep seabed mining is bad for the ocean, the author would do best to add more-
O A facts about what hydrothermal vents are.
OB. specifics on which countries regulate the industry.
Oc. information about the age of deep sea coral.
OD. research about what the industry does to sea life.

Answers

To convince readers that deep seabed mining is detrimental to the ocean, the author would do best to add more research about what the industry does to sea life.

The correct answer is option C.

Providing factual information about the negative impacts of deep seabed mining on marine ecosystems will strengthen the argument against this practice.

Deep seabed mining involves extracting valuable minerals from the ocean floor, which can have severe consequences for marine life. By adding specific research findings, the author can illustrate how this industry disrupts fragile ecosystems and causes irreparable damage. For example, studies have shown that mining operations can lead to the destruction of crucial habitats, such as hydrothermal vents, where unique and fragile organisms thrive. The disturbance of these ecosystems can result in the loss of biodiversity and disruption of food chains.

While including information about hydrothermal vents is important to emphasize the vulnerability of these ecosystems, it may not directly support the argument against deep seabed mining. Similarly, providing details about the regulation of the industry in different countries may be informative, but it may not directly address the negative impacts of mining on sea life.

On the other hand, incorporating research about what the industry does to sea life will highlight the environmental consequences of deep seabed mining. This can include data on the release of sediment plumes, which can smother marine organisms, the destruction of deep-sea corals, which are often slow-growing and long-lived, and the disruption of migration patterns of marine species.

By presenting well-documented research on the harmful effects of deep seabed mining on sea life, the author can effectively persuade readers to recognize the negative impact of this industry on the health and sustainability of our oceans.

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The cover letter is a tool to help introduce yourself in a memorable, personal way during a job application. Prepare a one-page cover letter expressing your interest in applying for a particular job you are interested in.

Answers

Cover Letter Details:

[Your Name]

[Your Address]

[City, State, ZIP Code]

[Email Address]

[Phone Number]

[Current Date]

[Recipient's Name]

[Recipient's Job Title]

[Company/Organization Name]

[Company Address]

[City, State, ZIP Code]

Cover Letter Example:

Dear [Recipient's Name],

I am writing to express my strong interest in the [Job Title] position at [Company/Organization Name], as advertised on [Source of Job Listing]. With my passion for [relevant field/industry] and my [mention specific skills or qualifications], I believe I am an ideal candidate for this role.

Having thoroughly researched [Company/Organization Name] and its commitment to [mention specific values or initiatives], I am genuinely impressed by the positive impact you have made in the [industry/field]. Your dedication to [specific aspects or projects] aligns perfectly with my own professional aspirations.

I bring [number] years of experience in [relevant field/industry], where I have honed my skills in [mention specific skills or areas of expertise]. Throughout my career, I have consistently demonstrated my ability to [mention key accomplishments or achievements relevant to the job]. My strong attention to detail, problem-solving aptitude, and effective communication skills have allowed me to successfully [mention relevant tasks or responsibilities].

What particularly excites me about the [Job Title] position at [Company/Organization Name] is the opportunity to [mention specific aspects of the job or projects] and contribute to the growth and success of the organization. I am confident that my background in [relevant skills or experiences] will enable me to excel in this role and make valuable contributions to the team.

In addition to my technical skills, I am known for my strong work ethic, adaptability, and ability to collaborate effectively with diverse teams. I thrive in fast-paced environments and remain calm under pressure, ensuring that projects are completed on time and to the highest standards. My passion for continuous learning and professional development drives me to stay updated with industry trends and advancements.

I am excited about the possibility of joining the talented team at [Company/Organization Name] and contributing to your ongoing success. I believe that my combination of skills, experience, and enthusiasm make me an excellent fit for the [Job Title] position. I would appreciate the opportunity to discuss in person how my qualifications align with the goals of [Company/Organization Name].

Thank you for considering my application. I have attached my resume for your review. I look forward to the opportunity of discussing my application further and demonstrating my enthusiasm for joining your team. Please do not hesitate to contact me at [Phone Number] or via email at [Email Address].

Thank you for your time and consideration.

Sincerely,

[Your Name]

Sid had a busy Saturday afternoon. First, an oil change at the local auto shop, then an hour at the tanning salon, then finally his very first private golf lesson. His first stop did not go so well. His car needed more work than expected and cost him over $500.00. After unhappily paying the bill, he began yelling and screaming at Steve, the mechanic, then he punched Steve square in the nose, jumped in his car and sped off to the salon. While there, he warned the receptionist all about that "crook" Steve, a liar and a cheat. He calmed down while tanning and felt pretty good once his session had ended. Other than having oily hands for hours afterwards, he loved tanning. He then drove to the golf course where he arrived a bit early, so he decided to practice with his new clubs in the pro shop. As he took his first swing, his club slipped out of his oily hands and smashed through the window of the shop. It sailed over the parking lot and landed on the windshield of Walter's car just as Walter was pulling away from a stop sign onto the main road. The crash startled him so badly that he went into cardiac arrest which caused his foot to slip off the brake and his car to roll into the intersection. Joel, who was out for a cruise in his 1965 Mustang convertible, was coming upon the same intersection in a direction perpendicular to Walter's and had to swerve to miss hitting Walter's car. In the process of avoiding Walter, Joel lost control of his "baby" which accelerated down the hill and crashed into an animal shelter that exploded, killing all the puppies inside. Steve, Joel and Walter all ended up in the hospital that night: Steve had a broken nose and was emotionally distraught, Joel suffered two broken arms and a severe concussion, and Walter had to have open heart surgery. Part A: Steve sued Sid and included 4 counts in his complaint. Name and EXPLAIN the four counts. §Zn other words, what are the causes of action that Steve has against Sid?) 1. 2. 3. 4. Part B: Walter sued Sid for negligence. Name and EXPLAIN each of the elements Walter will need to be prove in order to prevail in a lawsuit for negligence. Can Walter meet each of those elements? Explain why or why not? Does Sid have any defenses? from a stop sign onto the main road. The crash startled him so badly that he went into cardiac arrest which caused his foot to slip off the brake and his car to roll into the intersection. Joel, who was out for a cruise in his 1965 Mustang convertible, was coming upon the same intersection in a direction perpendicular to Walter's and had to swerve to miss hitting Walter's car. In the process of avoiding Walter, Joel lost control of his "baby" which accelerated down the hill and crashed into an animal shelter that exploded, killing all the puppies inside. Steve, Joel and Walter all ended up in the hospital that night: Steve had a broken nose and was emotionally distraught, Joel suffered two broken arms and a severe concussion, and Walter had to have open heart surgery. Part A: Steve sued Sid and included 4 counts in his complaint. Name and EXPLAIN the four counts. (In other words, what are the causes of action that Steve has against Sid?) 1. 2. 3. 4. Part B: Walter sued Sid for negligence. Name and EXPLAIN each of the elements Walter will need to be prove in order to prevail in a lawsuit for negligence. Can Walter meet each of those elements? Explain why or why not? Does Sid have any defenses? Part C: The Goif Shop and the Animal Shelter, have also been impacted by these events. Can either of them bring a lawsuit and if so against whom and under what theory? Explain what would need to be proven in order for the plaintiff to prevail

Answers

Part A: Steve's counts against Sid include assault, battery, defamation, and intentional infliction of emotional distress.

Part B: Walter needs to prove duty of care, breach of duty, causation, and damages to prevail in a negligence lawsuit against Sid.

Part C: The Golf Shop and the Animal Shelter may bring lawsuits based on negligence or property damage, respectively.

1. Assault: Steve can claim that Sid's act of punching him in the nose constitutes assault, which is the intentional act of causing apprehension of harmful or offensive contact.

2. Battery: Steve can argue that Sid's physical act of punching him in the nose amounts to battery, which is the intentional and harmful or offensive contact with another person without their consent.

3. Defamation: Steve may assert a claim of defamation based on Sid warning the salon receptionist about him, accusing him of being a "crook" and a liar. This statement could harm Steve's reputation by making false and damaging claims about him.

4. Intentional Infliction of Emotional Distress: Steve can contend that Sid's actions, including yelling, screaming, and physically assaulting him, caused severe emotional distress, which was both intentional and outrageous.

Part B: Walter sued Sid for negligence. In order to prevail in a lawsuit for negligence, Walter needs to prove the following elements:

1. Duty of Care: Walter must establish that Sid owed him a duty of care, which means Sid had a responsibility to act reasonably and avoid causing harm to others.

2. Breach of Duty: Walter needs to show that Sid breached the duty of care by engaging in reckless or careless behavior, such as allowing his club to slip out of his oily hands and cause the window to break.

3. Causation: Walter must demonstrate that Sid's breach of duty was the direct cause of the accident, which resulted in Walter's injuries and subsequent open heart surgery.

4. Damages: Walter needs to provide evidence of the actual harm he suffered as a result of the accident, including his medical expenses, pain and suffering, and any other losses he incurred.

Sid may have defenses against the negligence claim, such as arguing that Walter was partially at fault for the accident or that there were unforeseeable circumstances that contributed to the chain of events leading to the accident.

Part C: The Golf Shop and the Animal Shelter have also been impacted by these events. The Golf Shop could potentially bring a lawsuit, such as a negligence claim, against Sid for the damages caused by his club smashing through their window. To prevail, the Golf Shop would need to prove the elements of negligence, similar to Walter's case.

The Animal Shelter could potentially bring a lawsuit, such as a claim for property damage or negligence, against Sid for the explosion that killed all the puppies. To prevail, the Animal Shelter would need to demonstrate that Sid's actions directly caused the explosion and resulting damages.

In both cases, the plaintiffs would need to establish the elements of duty, breach of duty, causation, and damages to succeed in their respective lawsuits.

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"Our company is evaluating a project with the projected future annual cash flows shown as follows and an appropriate cost of capital of 12.0% : Period 0: $-4,500.; Period 1: $-8,000.; Period 2: $100.; Period 3: $8,300.; Period 4: $4,700.; Period 5: $750.; Compute the NPV statistic for the project and whether the company should accept or reject this project."
"($1,268) / Accept"
"($1,268) / Reject"
"($3,404) / Accept"
"($2,243) / Reject"
"($2,243) / Accept"
"($3,404) / Reject"
Insufficient data provided to calculate this statistic

Answers

The NPV statistic for the project is ($1,268), and the company should reject this project.The company should reject this project as it is expected to result in a net loss after considering the cost of capital.

To calculate the Net Present Value (NPV), we discount each cash flow to its present value and sum them up. Using a cost of capital of 12.0%, we discount the cash flows as follows: Period 0: $-4,500 / (1+0.12)^0 = $-4,500; Period 1: $-8,000 / (1+0.12)^1 = $-7,142.86; Period 2: $100 / (1+0.12)^2 = $88.50; Period 3: $8,300 / (1+0.12)^3 = $6,706.60; Period 4: $4,700 / (1+0.12)^4 = $3,169.86; Period 5: $750 / (1+0.12)^5 = $439.68. Then, summing up the present values, we get -4,500 - 7,142.86 + 88.50 + 6,706.60 + 3,169.86 + 439.68 = $-1,268.

The negative NPV value of ($1,268) indicates that the project's present value of cash flows falls short of the initial investment. Therefore, the company should reject this project as it is expected to result in a net loss after considering the cost of capital.

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Frank and his partners have contracted to purchase the franchise​ rights, worth ​$64,000​, to open and operate a specialty pizza restaurant called​ Pepperoni's. With a renewable​ agreement, the partners have agreed to make payments at the beginning of every month for four years. To accommodate the renovation​ period, Pepperoni's corporate office has agreed to allow the payments to start in one ​year, with interest at 11.56​% compounded annually. What is the amount of each​ payment?

Answers

The direct answer is $1,700.74. The amount of each payment that Frank and his partners need to make, starting in one year and for a period of four years, is $1,700.74 to cover the franchise rights .

To calculate the amount of each payment, we can use the formula for calculating the present value of an annuity. The present value of an annuity formula is given by: PV = Pmt × [(1 - (1 + r)^(-n)) / r], where PV is the present value, Pmt is the payment amount, r is the interest rate per period, and n is the number of periods.

In this case, the present value (PV) is $64,000, the interest rate (r) is 11.56% or 0.1156, and the number of periods (n) is 48 months (4 years). By plugging these values into the formula and solving for Pmt, we find: Pmt = PV / [(1 - (1 + r)^(-n)) / r] = $64,000 / [(1 - (1 + 0.1156)^(-48)) / 0.1156] = $1,700.74 (rounded to the nearest cent).

The amount of each payment that Frank and his partners need to make, starting in one year and for a period of four years, to cover the franchise rights worth $64,000 with interest at 11.56% compounded annually, is approximately $1,700.74 per month.

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explanation
Which of the following statements is true about "forward contract"? Given Answer: \( \boldsymbol{x} \) b. None of the above. a. Correct Public speculation is not encouraged.

Answers

A forward contract is a customizable agreement between two parties to buy or sell an asset at a predetermined price on a future date.

Forward contracts are used for hedging or speculation purposes, allowing participants to manage price risk or profit from anticipated price movements. They are privately negotiated, customizable, and traded over-the-counter (OTC).

Unlike standardized futures contracts, forward contracts offer flexibility but expose parties to counterparty risk. They are utilized in various industries and differ from futures contracts traded on exchanges.  

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Describe how often do you think performance appraisals should
be
conducted in an organisation, and what are the uses of
performance
appraisal. (25 Marks)

Answers

Performance appraisals should be conducted regularly, ideally on an annual basis, to assess employee performance and provide feedback for improvement.

Regular performance appraisals are essential for effective performance management in an organization. Conducting them annually allows for a comprehensive evaluation of employee performance over a defined period. This timeframe provides a balance between giving employees enough time to demonstrate their capabilities and achievements and ensuring that feedback is timely and relevant.

The uses of performance appraisals are multifaceted. Firstly, they serve as a means to assess individual employee performance against set goals and expectations. By evaluating performance, organizations can identify areas of strength and areas that require improvement. This information is valuable for making decisions related to promotions, bonuses, or training and development opportunities.

Performance appraisals also facilitate ongoing feedback and communication between managers and employees. They provide an opportunity for open dialogue, where employees can discuss their accomplishments, challenges, and career aspirations. Constructive feedback during performance appraisals helps employees understand their strengths and areas for growth, enabling them to enhance their performance and contribute more effectively to organizational goals.

Furthermore, performance appraisals play a role in identifying training and development needs. By identifying areas where employees require additional support or skill development, organizations can tailor training programs to address these needs, ultimately enhancing overall employee performance.

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What characteristic is true of depreciation? a) Depreciation is only applied against land. b) Only facilities are deprecated. c) Once an asset is fully deprecated, the organization should replace it. d) Depreciation is the only expense where money is not paid out.

Answers

The direct answer is d) Depreciation is the only expense where money is not paid out. The true characteristic of depreciation is that it is the only expense where money is not paid out, as stated

Depreciation is a method of allocating the cost of an asset over its useful life. It applies to various types of assets, not just land or facilities. Once an asset is fully depreciated, it does not necessarily need to be replaced. Depreciation is an accounting expense that represents the gradual reduction in the value of an asset, even though no actual cash outflow occurs.

Therefore, the true characteristic of depreciation is that it is the only expense where money is not paid out, as stated in option d.

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Suppose you see Citibank’s USD-denominated 5-year interest rate swap numbers quoted at 4.15% bid and 4.25% ask. Mary tells you that the relevant fixed-rate in the swap she just entered into is 4.25%. Did Mary buy or sell the IRS she just entered?

Answers

Mary sold the interest rate swap (IRS) she just entered. Mary sold the interest rate swap (IRS) she just entered. Her fixed-rate of 4.25% matches the higher ask price of 4.25%.

The bid-ask spread for Citibank's USD-denominated 5-year interest rate swap is quoted as 4.15% bid and 4.25% ask. Mary mentioned that the fixed-rate in the swap she entered is 4.25%. Since the fixed-rate she entered matches the higher ask price of 4.25%, it indicates that Mary sold the IRS.

In an interest rate swap, one party agrees to pay a fixed interest rate while the other party agrees to pay a floating interest rate. Mary's fixed-rate matching the ask price suggests that she agreed to receive the fixed rate of 4.25% in the swap. Therefore, she is the party selling the swap.

Based on the information provided, Mary sold the interest rate swap she entered because the fixed-rate she agreed upon matches the higher ask price of 4.25% in Citibank's quoted bid-ask spread.

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When evaluating a project with non-normal cash flows (cash flows change sign for at least two times during the project life), the best method to use for capital budgeting analysis is the: internal rate of return payback rule discounted payback Modified internal rate of return (MIRR).

Answers

The best method to use for capital budgeting analysis when evaluating a project with non-normal cash flows (cash flows change sign for at least two times during the project life) is the Modified Internal Rate of Return (MIRR).

The Modified Internal Rate of Return (MIRR) takes into account the changing sign of cash flows and provides a more accurate measure of the project's profitability. Unlike the traditional Internal Rate of Return (IRR), which assumes reinvestment of cash flows at the project's IRR, MIRR assumes reinvestment at the firm's cost of capital.

To calculate MIRR, you first need to determine the future value (FV) of all positive cash inflows using the cost of capital as the discount rate. Then, calculate the present value (PV) of all negative cash outflows at the same rate. Finally, find the discount rate that equates the PV of cash outflows to the FV of cash inflows.

By considering the timing and magnitude of cash flows while incorporating a more realistic reinvestment rate, the Modified Internal Rate of Return (MIRR) provides a better method for evaluating projects with non-normal cash flows. It offers a more accurate measure of profitability and allows for more informed investment decisions.

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ABC Ltd sells goods to XYZ Ltd and issues an invoice on 15 August. On that date, XYZ Ltd requests that ABC Ltd delay delivery of the goods until the 22 August when they expect to have finished preparing their site for the goods. The goods can then be delivered on 25 August. XYZ Ltd pays for the goods on 16 August and accepts full responsibility for the goods from this payment date. Assuming all other revenue recognition criteria are met, on which date can ABC Ltd recognise revenue for the sale of these goods?
a.16 August.
b.25 August.
c.15 August.
d.22 August.

Answers

ABC Ltd can recognize revenue for the sale of the goods on 25 August

Revenue recognition is the accounting process of recording revenue from the sale of goods or services. This is done to document the income of the business. Revenue recognition principles differ across countries, but the International Financial Reporting Standards (IFRS) and the Generally Accepted Accounting Principles (GAAP) in the US offer guidelines for recognizing revenue. ABC Ltd can recognize revenue for the sale of the goods on 25 August. Revenue recognition standards require that revenue is recognized when it is probable that the economic benefits of a transaction will flow to the company and that the amount of the transaction can be measured reliably. In the case presented, it's clear that ABC Ltd has met the above conditions and the only requirement left is delivery of the goods. Therefore, ABC Ltd can recognize revenue for the sale of goods on 25 August.

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Assume the CAPM holds. Consider the following data on two stocks, the market portfolio, and the risk-free rate: Stock X Stock Y Market Portfolio Risk Free Asset CAPM Expected Return ? 12% 4% Standard Deviation 41% 40% 22% 0% Beta 0.7 1.3 1.0 0.0 a. Solve for the missing expected returns on stock X and stock Y. b. You buy 4,000 shares of Stock X, which is trading at $30, and you buy 2,000 shares of Stock Y, which is trading at $15. What is the beta of this portfolio? c. Based on your expected returns you calculated in part a, what is the expected return on your portfolio you constructed in part b? | d. The standard deviation of your portfolio is 32% (you don't have to calculate or confirm this)? What other portfolio would definitely be superior to holding the portfolio you constructed of Stock X and Stock Y above? A 6-year annuity of 12$7,000 semiannual payments will begin 9 years from now, with the first payment coming 9.5 years from now. The discount rate is 11 percent compounded monthly. a. What is the value of this annuity five years from now? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. What is the value three years from now? (Do not round internediate calculations and round your answer to 2 decimal places, e.g., 32.16.) c. What is the current value of the annuity? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) Would supply of the following be elastic or inelastic? Explain your answers. (a) Home grown potatoes; (b) potatoes in general; (c) nuclear power stations; (d) newspapers; (e) houses. What Are Some Of The Things That Virtual Teams Probably Cannot Do As Well As Face-To-Face Teams? Have You Experienced Either And What Were Your Perceptions?What are some of the things that virtual teams probably cannot do as well as face-to-face teams? Have you experienced either and what were your perceptions? 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Compare the risks of raising private funding to going public.Use a search engine and a site such as Yahoo! Finance to learn about Blue Aprons current Prepare a brief summary, including the companys current financial situation. Is it still a public company, and how has its stock fared? Would you invest in it? Explain your reasoning. A 350 g air hockey puck on a flat air track to a string that goes over a frictionless pulley with a moment of inertia of 6.00 x 10^-6 kg x m^2 and a radius of 1.35. A 250 g mass is placed on the string and allowed to drop, what is the magnitude of acceleration? what is the tension in the horizontal string between the pulley and the cart? Cid pilots his air ship at an acceleration of 180 yalms per hour. Determine the acceleration in meters per second. 1 yalm = 0.95 yards, 1 yard = 0.9144 m In subproblem 6, you can use a disjoint set data structure with union by size and path compression technique. You may use the following function without any detailed explanation: MAKE SET (x): Create a set with one element x. 6 UNION (x, y): Merge the set that contains x and the set that contains y into a new set, and delete the original two sets that contains x and y, respectively. FIND SET (x): Return the index of the set that contains x. 6. (15pts) Many classes need the students to form groups to work on reports. However, forming groups is not a trivial task. People have preferences. Let us use an array of pairs, with size M to indicate the mutually-dislike relationship. For example, the array [(1,3), (2,4)] means students 1 and 3 dislike each other, and students 2 and 4 dislike each other, too. Now, suppose you are required to partition all N students into exactly two groups, such that no two students in the same group dislike each other. Please design an O((M + N)a(N))-time algorithm to determine whether it is possible to form the two groups as described. Your algorithm should also output the final group formation as well. If there are multiple possible formation, output any one of them. Please provide the pseudo code of your algorithm. (Hint: Can the people you dislike, be in a group?) Write down the code table for the (7,4) multiplication cyclic code with generator polynomial g (p) =p + p + 1 6- Using g(p) = p + p + 1, find the output codeword for [D]=[0011] and [D]=[0010] ou may need to use the appropriate technology to answer this question. Based on a study, the average elapsed time between when a user navigates to a website on a mobile device until its main content is available was 14.6 seconds. This is more than a 20% increase from the previous year. Responsiveness is certainly an important feature of any website and is perhaps even more important on a mobile device. What other web design factors need to be considered for a mobile device to make it more user friendly? Among other things, navigation menu placement and amount of text entry required are important on a mobile device. Suppose the following data provide the time (in seconds) it took randomly selected students (two for each factor combination) to perform a prespecified task with the different combinations of navigation menu placement and amount of text entry required. Amount of Text Entry Required Low High Navigation Menu Position Right 8 14 10 8 Middle 20 36 16 18 Left 12 16 18 16 Use the ANOVA procedure for factorial designs to test for any significant effects resulting from navigation menu position and amount of text entry required. Use = 0.05. (Let factor A be navigation menu position, and let factor B be amount of text entry required.) Find the value of the test statistic for factor A. (Round your answer to two decimal places.) Find the p-value for factor A. (Round your answer to three decimal places.) p-value = Find the value of the test statistic for factor B. (Round your answer to two decimal places.) Find the p-value for factor B. (Round your answer to three decimal places.) p-value = Find the value of the test statistic for the interaction between factors A and B. (Round your answer to two decimal places.) Find the p-value for the interaction between factors A and B. (Round your answer to three decimal places.) p-value = Solve the following problems: 1. A medication is infusing at 50cc/hr. How many ce's will infuse over the entire day? 2. A patient is to recelve 1680ml of a tube feeding formula over the entire day. What should be the infurion rate (in milote hour) of this formula? 3. A patient is getting an IV fluld infusion. He is to receive a total volume of 1000 ce of this fluld. The infusion rate is 50 ce/hr. How many hours will it take to complete the infusion? 4. A patient is receiving a continuous infusion of a medication. The total amount to be infused is 1440cc per day. What is the rate of this infusion per minute? 5. A medication is infusing at the rate of 1.2ml per minute. How much of the medication will be infused after 8 hours? Today, we are focusing on the units of time. Some of these time unit conversions are especially important when we need to calculate the amount of medication infusing over a period of time. So, if you are not sure about these conversions, please take a moment to familiarize yourself with these. The following conversions are useful when working with time: 1 minute =60 seconds 1 hour =60 minutes =3,600 seconds 1 day =24 hours =1,440 minutes 1 week =7 days 1 year =52 weeks =3651/4 days (for the Earth to travel once around the sun) In practice, every calendar year has 365 days with an exception: every fourth year is a "leap year", which has 366 days; this extra day is added to make up for the extra quarter day that is not included in the calendar over four years. The years 1992 , 1996,2000 , and 2004 are all leap years. In a regular year, there are 365 days; divided by 7 days/week, there are 52 weeks (7 days in each) with 1 day left over. In a leap year, there are 2 days leftover. A year is divided into 12 months, each of which has 30 or 31 days, except for February, which has 28 days (or 29 days in a leap year). The important thing to remember is that a day ( 24 hours) is 1440 minutes. Example 1: If an IV fluid is infusing at 30ml per hour, how many ml will infuse over the entire day? Knowing that a day is 24 hours, then 30l/hr24hrs/ day =720ml/day Example 2: A patient's medication is infusing at a rate of 0.125ml per minute. How many ml will be infused after 2 hours? How many ml will be infused over the entire day? If the medication is infusing at 0.125ml per minute, and there are 60 minutes in 1 hour, then the medication's infusion rate is: 0.125ml/min60 min/hr=7.5ml/hr Find the directional derivative of the function at the given point in the direction of the vector v. f(x,y,z)= xyz ,(4,2,8),v=1,2,2 D u f(4,2,8)= Ma part of a survey, a marketing representative asks a random sample of 28 business owners how much they would be willing to pay for a website for their company. She unds that the sample standard deviation is $3370. Assume the sample is taken from a normally distnbuted population. Canstruct 90% confidence intervals for (a) the population vanance a2 and (b) the population standard deviation , Interpret the results. (a) The confidence interval for the population variance is i (Rinund to the nearest integer as needed) . Go to www.ted.com and search for Thomas Thwaites's talk, "How I Built a Toaster-from Scratch." How much money and time do you think Thwaites spend building his toaster? How long do you think it would have taken Thwaites to earn enough money in, say, a minimum wage job to buy a toaster? Comment on the division of labor and the importance of specialization in increasing productivity Which of the following statements concerning spot rates, forward rates and yields is true?Spot rates are geometric means of YTMs which are a cash-weighted average of forwardsYTMs are (cash) weighted averages of spot rates which, are geometric averages of forwardsSpot rates are (cash) weighted averages of forward rates which, are geometric averages of YTMsForwards are (cash) weighted averages of spot rates which, are geometric averages of YTMs ABC Limited has accounts receivable with a carrying value of $15 000. The carrying value includes an allowance for doubtful debts of $5 000. The tax rate is 30%. This asset will give rise to a deferred tax balance of:a.Deferred tax liability $1 500b.Deferred tax liability $3 000c.Deferred tax asset $1 500d.Deferred tax asset $3 000 Question 1 Light in water is incident on the water- air interface. If the angle of incidence is greater than the critical angle, then: Select one: O The angle of refraction is equal to 90 O Light is completely refracted O The angle of refraction is equal to angle of incidence O Light is completely reflected Light traveling in air enters water. If nair = 1 and nwater = 1.33, then: Select one: O The angle of refraction is smaller than the angle of incidence. O The angle of refraction is greater than the angle of incidence. O The angle of refraction is equal to the angle of incidence. O None of the above.The frequency is unchanged in reflection and refraction. Select one: O True False Question 4 Not yet answered Marked out of 25.00 P Flag question The frequency is unchanged in reflection and refraction. Select one: True False