With regard to interest rates and bond prices it can be said that
a)
a 1% change in interest rates will cause a greater change in long-term bond prices than short-term prices.
b)
a 1% change in interest rates will cause a greater change in short-term bond prices than long-term prices.
c)
a decrease in interest rates will cause bond prices to fall.

Answers

Answer 1

With regard to interest rates and bond prices it can be said that a 1% change in interest rates will cause a greater change in long-term bond prices than short-term prices. The statement is correct.

A bond is a form of investment where an entity borrows money from the investor and agrees to pay the money back after a given period with interest. The interest rate paid to the bondholder is called the coupon rate. The price of the bond is inversely proportional to the interest rate. When the interest rate goes up, the bond price falls, and when the interest rate goes down, the bond price goes up.Interest rates and bond prices have an inverse relationship. When interest rates go up, bond prices will fall, and when interest rates fall, bond prices will rise. The amount of change in bond prices depends on the maturity of the bond. Bonds that mature over a longer time horizon are more sensitive to interest rate changes than bonds that mature in the short term. This is due to the fact that long-term bonds are riskier investments. As a result, investors demand higher returns in order to compensate for the risk. If interest rates rise, long-term bond yields rise as well, which reduces the value of the bond. As a result, long-term bond prices are more susceptible to changes in interest rates than short-term bonds.

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Related Questions

Which of the following statement is INCORRECT about the foundational assumption used in CVP analysis. O Behavior of revenue and costs can be graphed as a straight line. O Only selling price and variable cost per unit are known and constant. O The time value of money is ignored. O Relative sales proportions of multiple products are known and constant. Which of the following statement is INCORRECT about the foundational assumption used in CVP analysis. O Behavior of revenue and costs can be graphed as a straight line. O Only selling price and variable cost per unit are known and constant. O The time value of money is ignored. O Relative sales proportions of multiple products are known and constant.

Answers

The statement that is INCORRECT about the foundational assumption used in CVP analysis is that the relative sales proportions of multiple products are known and constant.Cost-Volume-Profit (CVP) analysis is a tool used to analyze the relationships between the revenue of a business, its costs, and its sales volume.

In addition, it enables a company to identify its break-even point, which is the number of products that need to be sold in order for the company to make a profit.CVP analysis assumes that behavior of revenue and costs can be graphed as a straight line. Only selling price and variable cost per unit are known and constant and the time value of money is ignored. However, the relative sales proportions of multiple products are unknown and can vary from one period to the next. As a result, it is an incorrect statement about the foundational assumption used in CVP analysis.

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Not yet answered Marked out of 1.00 Flag question The Company raised capital by issuing 2000 shares of stock for a total worth $700,000. Note: Write your answer as follows: 1. Account title - Amount - Debit or Credit 2. Account title - Amount - Debit or Credit TO BUSIN

Answers

Cash - $700,000 - Debit, Common Stock - $700,000 - Credit

The account Cash is debited for $700,000 because the company receives cash, which is an increase in an asset account.

The account Common Stock is credited for $700,000 because the company issued shares of stock, which is an increase in the shareholders equity account.

When a company raises capital by issuing shares, it typically receives cash from investors in exchange for ownership (equity) in the company. In this case, the company issued 2,000 shares of stock with a total value of $700,000, indicating that each share was issued at $350.

The cash received from the issuance of shares increases the company's cash balance, and the common stock account represents the ownership interest of the shareholders. Therefore, the transaction is recorded by debiting the cash account and crediting the common stock account, ensuring that the accounting equation (Assets = Liabilities + Equity) remains in balance.

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In class, we have discussed the formula: (1+i) = (1+p)(1+i+p) +p(0) where p is the probability of default (the bond does not pay at all), i is the nominal policy interest rate and x is the risk premium Calculate the probability of default when the nominal interest rate for a risky borrower (borrowing rate) is 8% and nominal policy rate is 3% O a. 1% O b. 3% O c. 5% O d. 7%

Answers

the probability of default is 1%. Hence, the correct option is (a). 1%.

The probability of default when the nominal interest rate for a risky borrower (borrowing rate) is 8% and nominal policy rate is 3% is option (a) 1%.

Let p be the probability of default, i be the nominal policy interest rate, and x be the risk premium.

The formula for the probability of default is:

1+i = (1+p)(1+i+p) +p(0)

Plug in the values:

i = 0.08, and i = 0.03.1 + 0.08

= (1 + p)(1 + 0.08 + p) + p(0)1.08

= (1 + p)(1.08 + p)1.08

= 1.08 + p + 1.08p + p²0

= p² + 2.08p - 0.08p - 0.08p²0

= p² + 2p(1 - 0.04p)0

= p(1 - 0.04p + 2)0

= p(1 - 0.04p + 2)0

= p(3 - 0.04p)

Therefore, p = 0 (which means there is no default) or 0.04p = 3p = 0.04

= 1/25

= 0.04

Thus, the probability of default is 1%.Hence, the correct option is (a). 1%.

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Match the word with the correct definition 1. Core Competencies Emergent Strategy Corporate Strategy Divestiture Competitive Advantage > 2. 3. 4. 5. The char enables it profit Resource serve as a advantage Organizat focus on l The sale of company A plan that because of Match the word with the correct definition 1. Core Competencies Emergent Strategy Corporate Strategy Divestiture Competitive Advantage > DO 2. 3. 4. 5. The characteristics of a firm that enables it to earn higher rates of profit Resources and capabilities that serve as a firm's competitive advantage Organizational-level decisions that focus on long-term survival The sale of a division or part of a company A plan that changes incrementally because of environmental changes

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Core Competencies: The characteristics of a firm that enable it to earn higher rates of profit.

Emergent Strategy: A plan that changes incrementally because of environmental changes.

Corporate Strategy: Organizational-level decisions that focus on long-term survival.

Divestiture: The sale of a division or part of a company.

Competitive Advantage: Resources and capabilities that serve as a firm's competitive advantage.

Core Competencies: Core competencies refer to the unique strengths and capabilities of a firm that set it apart from competitors and enable it to earn higher rates of profit. These competencies can be in the form of specialized knowledge, skills, technologies, or resources possessed by the organization. They provide a competitive advantage by allowing the firm to deliver superior value to customers or operate more efficiently than rivals.

Emergent Strategy: Emergent strategy refers to a flexible and adaptive approach to planning and decision-making. It acknowledges that environmental conditions are constantly changing, and therefore, strategies need to evolve incrementally to respond to these changes. It emphasizes learning from experience, experimentation, and adjusting course as new information emerges. Emergent strategies are often contrasted with deliberate strategies that are carefully planned in advance.

Corporate Strategy: Corporate strategy involves making decisions at the organizational level to determine the scope and direction of the company as a whole. It focuses on long-term survival and growth by defining the markets, industries, and businesses in which the organization will compete. Corporate strategy considers factors such as diversification, vertical integration, mergers and acquisitions, and strategic alliances to create a coherent and synergistic overall approach for the company.

Divestiture: Divestiture refers to the sale or disposal of a division, subsidiary, or part of a company. It involves the strategic decision to exit a particular business or market segment to streamline operations, focus resources on core activities, or unlock shareholder value. Divestitures can be driven by factors such as poor performance, changes in strategic direction, or the need to raise capital for other investments. By divesting non-core assets, companies can enhance their financial position and sharpen their strategic focus.

Competitive Advantage: Competitive advantage refers to the unique combination of resources, capabilities, and market position that allows a firm to outperform its competitors. It represents the superior value or benefits that a company offers to its customers compared to rivals in the same industry. Competitive advantages can be achieved through various means, including cost leadership, differentiation, technological innovation, brand reputation, or customer intimacy. Sustaining a competitive advantage is crucial for long-term success and profitability in a competitive marketplace.

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The company bought a machine for TL 10,000 on January 1st, 2018. The useful life of the machine was 5 years. At the end of 2020, the company realized that the production level was very low that year because of the Covid-19 Pandemic, and the useful life of the machine had changed. The company estimated that the remaining useful life for the machine was 4 years, starting with the 2020 financial statements. The company is using the straight-line depreciation method. Find the depreciation amounts for the relevant years. please show all work, steps, and explanations how you find the depreciation amount for each year! Date Depreciation Amount Explanation December 31,2018 December 31,2019 December 31,2020 December 31,2021 December 31,2022 December 31,2023

Answers

As the company has bought a machine for TL 10,000 on January 1st, 2018, with the useful life of the machine as 5 years and it is using the straight-line depreciation method.

It needs to find the depreciation amounts for the relevant years according to the given data. The depreciation amount is given by the formula: Depreciation Amount = (Cost of Asset - Salvage Value) / Useful LifeWhere, Cost of Asset = TL 10,000 Salvage Value = 0 Useful Life = 5 (for 2018, 2019, 2020), 4 (for 2021, 2022, 2023)

December 31, 2018: At the end of the year 2018, the machine was in use for only one year. Depreciation Amount for the year 2018 = (TL 10,000 - 0) / 5= TL 2,000. Thus, the Depreciation Amount for the year 2018 is TL 2,000 December 31, 2019: At the end of the year 2019, the machine was in use for two years. Depreciation Amount for the year 2019 = (TL 10,000 - 0) / 5= TL 2,000.

Thus, the Depreciation Amount for the year 2019 is TL 2,000December 31, 2020: At the end of the year 2020, the company realized that the production level was very low that year because of the Covid-19 Pandemic, and the useful life of the machine had changed.

The company estimated that the remaining useful life for the machine was 4 years, starting with the 2020 financial statements. As per the estimation, the remaining useful life for the machine is 4 years. Therefore, the Depreciation Amount for the year 2020 = (TL 10,000 - 0) / 5= TL 2,000Depreciation Amount for the year 2021 = (TL 10,000 - 0) / 4= TL 2,500

Thus, the Depreciation Amount for the year 2020 is TL 2,000 and for the year 2021 is TL 2,500 December 31, 2022:Depreciation Amount for the year 2022 = (TL 10,000 - 0) / 4= TL 2,500

Thus, the Depreciation Amount for the year 2022 is TL 2,500 December 31, 2023:Depreciation Amount for the year 2023 = (TL 10,000 - 0) / 4= TL 2,500.

Thus, the Depreciation Amount for the year 2023 is TL 2,500 Hence, the Depreciation Amount for the years 2018, 2019, 2020, 2021, 2022, and 2023 is TL 2,000, TL 2,000, TL 2,000, TL 2,500, TL 2,500, and TL 2,500, respectively.

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what would be the maximum an investor should pay for the common stock of a firm that has no growth opportunities but pays a dividend of $1.36 per year? the required rate of return is 12.5 percent.

Answers

The maximum price an investor should pay for the common stock of the firm would be $10.

to calculate the maximum price an investor should pay for the common stock of a firm with no growth opportunities but pays a dividend of $1.36 per year, we can use the dividend discount model (ddm). the ddm calculates the intrinsic value of a stock by discounting the expected future dividends to present value.

the formula for the ddm is:

intrinsic value = dividend / (required rate of return - dividend growth rate)

in this case, since the firm has no growth opportunities, the dividend growth rate is zero.

intrinsic value = $1.36 / (0.125 - 0)

intrinsic value = $1.36 / 0.125

intrinsic value = $10.88 88.

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A process with five steps has a cycle time of 1.8 minutes per unit. The only inventory in the system is held before the last station, where 32 units of inventory are maintained. A defective unit is produced at the first station but is not detected until final inspection (after the fifth station). What is the information turnaround time (in minutes)? Note: Round your answer to 1 decimal place.

Answers

The information turnaround time is 66.6 minutes. Rounded to one decimal place, the answer is 66.6 minutes.

To calculate the information turnaround time, we need to first determine the time it takes for the defective unit to complete the process and reach final inspection.

The cycle time of the process is 1.8 minutes per unit, so the time it takes for the defective unit to complete the process is:

5 steps x 1.8 minutes/step = 9 minutes

However, there are 32 units of inventory held before the last station, so the defective unit will spend some additional time waiting in this inventory before it reaches final inspection. The time it spends in inventory can be calculated as:

32 units x 1.8 minutes/unit = 57.6 minutes

Therefore, the total time it takes for the defective unit to be detected at final inspection is:

9 minutes (process time) + 57.6 minutes (inventory time) = 66.6 minutes

So the information turnaround time is 66.6 minutes. Rounded to one decimal place, the answer is 66.6 minutes.

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Marke Flag question By definition, the role of government in a market system a. Is non-existent. Government has no role in a market system. b. Involves protecting private ownership of property, enforcing contracts, collecting taxes c. Depends on a society's culture, norms, and beliefs d. Involves the ownership or control of strategic industries or resources e. Involves appointing a central planning body to make all economic decisions

Answers

The role of the government in a market system is to protect private ownership of property, enforce contracts, and collect taxes.

The main answer to the question is b. : A market system is a type of economic system where the prices of goods and services are determined by supply and demand. In a market system, private individuals and firms make decisions about what to produce, how to produce it, and how much to charge for it.

The role of the government in a market system is to protect private ownership of property, enforce contracts, and collect taxes. The government has no role in the decision-making process of a market system. It only enforces the rules and regulations that help maintain a fair and competitive market. Therefore, the main answer to the question is b.

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Do a distinctive feature analysis of the following verbs: Sing,
hum, babble, whisper, murmur

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In linguistics, distinctive feature analysis is used to describe the characteristics that differentiate one sound from another. It is a useful tool for identifying how certain words are pronounced.

Using the distinctive feature analysis, the given verbs can be described as follows:

Sing: This verb is pronounced with a voiced alveolar fricative, which is a feature of all voiced sounds. Additionally, it is pronounced with a high front vowel, which is a feature of all vowels.

Hum: This verb is pronounced with a bilabial nasal, which is a feature of all nasal sounds. It is also pronounced with a high back vowel, which is a feature of all vowels.

Babble: This verb is pronounced with a voiced bilabial stop, which is a feature of all voiced stops. It is also pronounced with a low front vowel, which is a feature of all vowels.

Whisper: This verb is pronounced with a voiceless bilabial fricative, which is a feature of all voiceless fricatives. It is also pronounced with a high front vowel, which is a feature of all vowels.

Murmur: This verb is pronounced with a voiced bilabial nasal, which is a feature of all voiced nasals. It is also pronounced with a low back vowel, which is a feature of all vowels.

Using the distinctive feature analysis, the given verbs can be described as follows:

Sing: voiced alveolar fricative and high front vowel

Hum: bilabial nasal and high back vowel

Babble: voiced bilabial stop and low front vowel

Whisper: voiceless bilabial fricative and high front vowel

Murmur: voiced bilabial nasal and low back vowel

Distinctive feature analysis is used in phonology to study the functional elements of speech sounds. This involves analyzing speech sounds by their features such as voicing, place of articulation, and manner of articulation. It is a useful tool for understanding the sound systems of different languages.

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If a business wanted to gather up-to-the-minute data on its customers, one way to do that would be database management O data mining. social media. O physical-world observations,

Answers

One way for a business to gather up-to-the-minute data on its customers is through social media.

Social media platforms have become powerful tools for businesses to gather real-time data on their customers. By monitoring social media channels, businesses can gain valuable insights into customer behavior, preferences, opinions, and trends. Social media platforms provide a constant stream of user-generated content, allowing businesses to track and analyze customer interactions, conversations, and sentiments in real-time.

Through social media monitoring and analytics tools, businesses can collect and analyze data related to customer demographics, interests, online activities, and purchasing behavior. This data can be used to personalize marketing campaigns, improve customer engagement, identify emerging trends, and make data-driven business decisions.

While database management and data mining are also important for managing and analyzing customer data, they may not provide the same level of real-time insights as social media. Physical-world observations can offer valuable data but may be limited in terms of scale and reach compared to social media, which allows businesses to gather data from a large and diverse customer base in real-time. Therefore, social media stands out as a prominent method for gathering up-to-the-minute data on customers.

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Consider the revenues and costs in 2019 for Spruce Decor Inc., an Alberta-based furniture company entirely owned by Mr. Harold Buford $655,000 $13,500 $350,000 Furniture Sales Catalogue Sales Labour Costs Materials Costs Advertising Costs Debt-Service Costs $162,000 $28,000 $33,500 a. What would accountants determine Spruce Decor's profits to be in 2019? Spruce Decor's profits in 2019 equal

Answers

Profits for Spruce Decor are equal to the profits for Mr. Harold Buford.

Consider the revenues and costs in 2019 for Spruce Decor Inc., an Alberta-based furniture company entirely owned by Mr. Harold Buford: $655,000 $13,500 $350,000 Furniture Sales Catalogue Sales Labour Costs Materials Costs Advertising Costs Debt-Service Costs $162,000 $28,000 $33,500. Spruce Decor's profits in 2019 equal $91,000.

Here's how we can determine Spruce Decor's profits in 2019:Revenue: Spruce Decor's revenue is a sum of furniture sales and catalog sales. Therefore, Revenue = Furniture Sales + Catalogue SalesRevenue = $655,000 + $13,500Revenue = $668,500Cost: Spruce Decor's cost is the sum of labor costs, material costs, advertising costs, and debt-service costs. Therefore, Cost = Labour Costs + Materials Costs + Advertising Costs + Debt-Service CostsCost = $162,000 + $28,000 + $33,500Cost = $223,500Profits: Now we can determine the Spruce Decor's profits by subtracting the cost from the revenue.

Therefore, Profits = Revenue - CostProfits = $668,500 - $223,500Profits = $445,000. However, since Mr. Harold Buford owns Spruce Decor entirely, all profits are passed on to him. Therefore, profits for Spruce Decor are equal to the profits for Mr. Harold Buford.

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Reverse logistics is especially challenging to design as this flow does not directly add what? ROA O Speed O Quality O Value The longer the distance moved at one time the lower the per unit cost. O Economies of scale O Bulk economies O Shipping economies O Economies of distance

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Reverse logistics is especially challenging to design as this flow does not directly add Value. The longer the distance moved at one time, the lower the per unit cost, which is an example of Economies of distance.

Reverse logistics, often seen as a complex process, doesn't directly add value to the product. It mostly involves returns, repairs, maintenance, and recycling, adding cost but not directly increasing the product's value. Economies of distance reflect a basic principle in logistics where longer distance hauls generally result in lower per-unit transport costs, primarily due to factors such as fuel efficiency and better resource utilization.

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Marco leads the operations team at Sculpture for Life Industries. He is considered to be self- and other-aware and is generally good at regulating himself and developing relationships with each of his team members. Marco is a/an _________ leader.
Group of answer choices
Emotionally intelligent
Transactional
Servant
Laissez-fair
Directive

Answers

Based on the given scenario, Marco can be classified as an emotionally intelligent leader. Emotionally intelligent leaders possess self-awareness and empathy, making them good at regulating themselves and developing relationships with their team members. They can perceive and understand emotions, both in themselves and others, and use this knowledge to guide their behavior and decision-making. Marco's ability to regulate himself and develop relationships with his team members suggests that he possesses emotional intelligence, making him an emotionally intelligent leader.

Marco leads the operations team at Sculpture for Life Industries. He is considered to be self- and other-aware and is generally good at regulating himself and developing relationships with each of his team members.

Marco is an emotionally intelligent leader.

Emotional intelligence is the capacity to comprehend and deal with one's own and others' emotions.

An emotionally intelligent leader would be one who possesses these characteristics and can communicate and collaborate effectively with their team members, fostering an atmosphere of openness and understanding in the workplace.This style of leadership is essential to keep the team members motivated and satisfied with their work. A successful leader understands the needs of their workers, can deal with interpersonal conflicts and maintain effective communication with them. In conclusion, Marco is an emotionally intelligent leader.

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A student decides to open her own business and earns $70,000 in accounting profit the first year. When deciding to open her own business, she withdrew $35,000 from her savings, which earned 4 percent interest, took
over a building that she owns and was renting to her friend for $13,600 a year. She also turned down three separate job offers with annual salaries of $30,000, $40,000, and 45000
a. Determine the student's total implicit cost.
b. What is the student's economic profit from running her own business?

Answers

a. The student's total implicit cost includes the opportunity cost of her savings, the rental income forgone from her friend, and the salary she could have earned from the job offers.

b. The student's economic profit is calculated by subtracting the total implicit cost from the accounting profit she earned from her business.

a. To determine the student's total implicit cost, we need to consider the opportunity cost of her resources. Firstly, the $35,000 she withdrew from her savings incurs an implicit cost in the form of foregone interest. At a 4 percent interest rate, the implicit cost of her savings would be $35,000 * 0.04 = $1,400.

Secondly, she owns the building that she rented to her friend for $13,600 a year. By using the building for her business instead, she incurs an implicit cost of the rental income forgone, which is $13,600.

Lastly, the student turned down three job offers with salaries of $30,000, $40,000, and $45,000. These forgone salaries represent additional implicit costs.

b. The student's economic profit is calculated by subtracting the total implicit cost from the accounting profit she earned. In this case, the accounting profit is $70,000.

Total Implicit Cost = Implicit Cost of Savings + Implicit Cost of Rental Income + Implicit Cost of Foregone Salaries

Total Implicit Cost = $1,400 + $13,600 + ($30,000 + $40,000 + $45,000)

Economic Profit = Accounting Profit - Total Implicit Cost

Economic Profit = $70,000 - Total Implicit Cost

By calculating the total implicit cost and subtracting it from the accounting profit, we can determine the student's economic profit from running her own business.

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when the units required to fill a special order can be produced within existing plant capacity, which of the following will not increase?

Answers

When the units required to fill a special order can be produced within existing plant capacity, fixed costs will not increase.

Fixed costs are expenses that do not vary with the level of production or sales volume. They include items such as rent, depreciation, salaries, and insurance premiums. Since the special order can be accommodated within the existing plant capacity, it means that the production can be carried out without requiring additional resources or investments.

In this scenario, variable costs such as direct materials, direct labor, and variable overhead costs may increase due to the additional production required for the special order. However, fixed costs will remain the same since they are not influenced by the volume of production.

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when the units required to fill a special order can be produced within existing plant capacity, which of the following will not increase?

Fixed cost.

Variable cost.

Total cost.

You are a value investor and are interested in applying the historical average graham number to calculate the intrinsic value of a stock. This company has earnings per share (EPS) of $3.5 and book value per share (BVPS) of $27.73. You have observed that the current P/E ratio of the company is 18.4, but its 5-year historical average is 17.2. You have observed that the current P/B ratio of the company is 2.91, but its 5-year historical average is 3.48. What is the estimated intrinsic value for this stock? State your answer as a dollar amount with two decimal places.

Answers

The estimated intrinsic value for the stock is $5376.17 (approx).

Given data:

Earnings per share (EPS) = $3.5

Book value per share (BVPS) = $27.73

Current P/E ratio = 18.4

Historical average P/E ratio = 17.2

Current P/B ratio = 2.91

Historical average P/B ratio = 3.48

Formula for calculating Intrinsic Value using the Graham Number

Graham Number = ( EPS × BVPS × 22.5 )

Current Intrinsic Value = Graham Number × ( Current P/E Ratio × Current P/B Ratio )1/2

Calculation:

Graham Number = ( EPS × BVPS × 22.5 )

= (3.5 × 27.73 × 22.5)

≈ $2195.34

Current Intrinsic Value = Graham Number × ( Current P/E Ratio × Current P/B Ratio )1/2

= $2195.34 × (18.4 × 2.91)1/2= $2195.34 × 2.452

≈ $5376.17

Thus, the estimated intrinsic value for the stock is $5376.17 (approx).

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How can you create an effective climate when discussing matters
of importance with coworkers, clients, vendors, superiors, and
employees.?
What factors should be considered when creating that
climate?

Answers

To create an effective climate when discussing matters of importance with coworkers, clients, vendors, superiors, and employees, it's important to maintain a positive and respectful attitude, listen actively, and be clear and concise in communication.

Some factors to consider when creating such a climate include the purpose of the discussion, the relationship between the parties involved, the timing and location of the discussion, and the tone and language used.

It's also important to consider the cultural and individual differences of those involved and be willing to adjust one's communication style accordingly.

Ultimately, creating an effective climate requires a willingness to be open-minded, empathetic, and collaborative in approach.

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The costs and revenue projections for a new product are estimated. What is the estimated profit at a production rate of 20% above breakeven? Fixed cost = $689,000 per year Production cost per unit = $186 Revenue per unit = $332 The estimated profit is determined to be $ per year.

Answers

When costs and revenue projections are estimated for a new product, the estimated profit can be calculated using the Profit = (Revenue per unit - Production cost per unit) × Production rate - Fixed cost.

To determine the estimated profit at a production rate of 20% above breakeven, we need to first calculate the break even point. The breakeven point is the production rate at which the profit is zero.

we can set the profit formula equal to zero and solve for the production rate that satisfies this equation:0 = (Revenue per unit - Production cost per unit) × Production rate - Fixed cost(R + P) × Q - F = 0(R + P) × Q = FQ = F ÷ (R + P)Substituting the given values, we get:Q = $689,000 ÷ ($332 - $186)Q = 4,820 units/year.

we can calculate the profit at a production rate of 20% above breakeven by using the profit formula and substituting the relevant values :Profit = ($332 - $186) × 1.2 × 4,820 - $689,000Profit = $615,696Therefore, the estimated profit at a production rate of 20% above breakeven is $615,696 per year.

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Which of the following statements about the board of directors is NOT true? a. Outside directors help perform the monitoring function of the board. b. Board members are elected by stockholders. c. All the directors are full-time employees of the company. d. The board can be held legally accountable for a company's actions. e. The board has the legal authority to hire, fire, and compensate the CEO.

Answers

The statement that is NOT true about the board of directors is that all the directors are full-time employees of the company.

The board of directors plays a crucial role in overseeing and governing a company. While each of the statements listed describes important aspects of the board's functions and responsibilities, the statement that is NOT true is that all the directors are full-time employees of the company.

In reality, board members are typically not full-time employees of the company. They are individuals who are elected or appointed to serve on the board based on their expertise, experience, and qualifications. Board members can be a mix of insiders (such as company executives) and outsiders (independent directors who are not employed by the company). The presence of independent outside directors helps to ensure objective decision-making and effective corporate governance.

Board members are elected by stockholders, and they have the legal authority to hire, fire, and compensate the CEO. They also perform the monitoring function of the board, ensuring that the company operates in the best interest of its stakeholders. Additionally, the board can be held legally accountable for the company's actions and is responsible for strategic decision-making and providing guidance to management.

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Which of the following types of property would be goods under the Uniform Commercial Code? a. A song b. An idea c. A personal check d. A computer monitor

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Under the Uniform Commercial Code (UCC), the types of property that would be considered goods are a personal check and a computer monitor.

Goods refer to tangible items that are moveable and can be bought or sold. In this case, a personal check can be physically transferred and used as a means of payment, making it a type of good. Similarly, a computer monitor is a tangible item that can be bought and sold in commercial transactions, falling under the category of goods.  On the other hand, a song and an idea are considered intangible and do not fit the definition of goods under the UCC. They are intellectual property and are protected by different laws and regulations.

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Bramble Company applies overhead on the basis of machine hours. Given the following data, what is the overhead applied and the under- or overapplication of overhead for the period? Estimated annual overhead cost $1690000 Actual annual overhead cost $1655000 Estimated machine hours 440000 Actual machine hours 220000 O $845000 applied and $810000 overapplied O $1690000 applied and $810000 overapplied O $845000 applied and $810000 underapplied O $1655000 applied and neither under-nor overapplied

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O $845000 applied and $810000 underapplied. In order to calculate overhead applied and under- or overapplication of overhead for the period, it is important to understand what overhead cost is. Overhead cost is the cost of indirect labor, indirect materials, and other indirect expenses that are associated with the production of a product. Bramble Company applies overhead on the basis of machine hours. Let's calculate the overhead applied and the under- or overapplication of overhead for the period with the given data.

Estimated annual overhead cost = $1690000Actual annual overhead cost = $1655000Estimated machine hours = 440000Actual machine hours = 220000We can use the following formula to calculate the overhead rate per machine hour:Overhead rate per machine hour = Estimated annual overhead cost ÷ Estimated machine hours Overhead rate per machine hour = $1690000 ÷ 440000Overhead rate per machine hour = $3.84 per machine hour Using the overhead rate per machine hour, we can now calculate the overhead applied for the period as follows: Overhead applied = Overhead rate per machine hour × Actual machine hours Overhead applied = $3.84 × 220000Overhead applied = $844800The overhead applied for the period is $844800.

Now, let's calculate the under- or overapplication of overhead for the period as follows:Under- or overapplication of overhead = Actual overhead cost − Overhead appliedUnder- or overapplication of overhead = $1655000 − $844800Under- or overapplication of overhead = $810200Since the actual overhead cost is greater than the overhead applied, we can conclude that overhead is underapplied. Therefore, the overhead applied and the under- or overapplication of overhead for the period are $844800 applied and $810200 underapplied respectively.  

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The Home Ownership and Equity Protection Act requires home equity lenders to O verbally disclose the interest rates associated with the mortgage loan O use a practice called "red lining." to determine those customers with the lowest risk of defaulting on the loan O employ loan officers who mirror the demographics of the majority of home buyers in the region disclose, in writing, the borrower's rights, payment amounts, and the consequences of defaulting on the loan

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The Home Ownership and Equity Protection Act (HOEPA) imposes certain requirements on home equity lenders to protect borrowers and ensure transparency in mortgage lending.

These requirements include verbally disclosing the interest rates associated with the mortgage loan and providing written disclosure of the borrower's rights, payment amounts, and the consequences of defaulting on the loan.

Verbal disclosure of interest rates is an important aspect of the HOEPA as it ensures that borrowers are fully aware of the terms and conditions of their mortgage loan. Lenders are obligated to communicate the interest rates verbally to borrowers, allowing them to make informed decisions and understand the financial implications of the loan.

In addition, the Act mandates lenders to provide written disclosures to borrowers, outlining their rights and responsibilities. This includes disclosing the payment amounts, loan terms, and the potential consequences of defaulting on the loan. These written disclosures ensure that borrowers have access to essential information in a clear and understandable format, empowering them to make informed decisions and manage their finances responsibly.

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1. A list of accounts appears below. Indicate which of these are nominal accounts. Accounts Accounts Payable Accounts Receivable Advertising Expense Automobiles Bank Bank Charges Expense Bank Loan Building Sylvia Magill, Capital Car Expense Delivery Expense Sylvia Magill, Drawings Equipment Insurance Expense Land Legal Expense Mortgage Payable Postage Expense Rent Expense Revenue from Commissions Salaries Expense Sales Supplies Supplies Expense Telephone Expense Wages Expense

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A nominal account is a type of account that appears in an income statement and represents income or expenses. These accounts are temporary in nature because they are used to accumulate income and expenses for a certain accounting period. The nominal accounts in the list of accounts are as follows:

Advertising Expense Bank Charges Expense Delivery Expense Insurance Expense Legal Expense Postage Expense Rent Expense Revenue from Commissions Salaries Expense Supplies Expense Telephone Expense Wages Expense The other accounts listed are classified as real or personal accounts. A real account is used to record assets, liabilities or owner's equity, whereas a personal account is used to record transactions with other entities, including individuals and businesses.

In conclusion, all accounts that are not included in the list of nominal accounts are not classified as nominal accounts. Nominal accounts are those that appear on the income statement and represent income and expenses.

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1) What are "Break-even Point" and "Margin of Safety" in CVP analysis? (Ref: Chapter 18) 2) Briefly describe any TWO characteristics of relevant costs as the basis of making business decisions by managers. (Ref: Chapter 19)

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1) Break-even Point and Margin of Safety in CVP AnalysisBreak-Even Point is defined as the point in time when a company starts generating revenues that are sufficient enough to cover all its incurred costs. When a company reaches break-even, it no longer makes any profit nor incurs any loss; this is because all the costs that are incurred are covered by revenues. Margin of Safety, on the other hand, is the level of production or sales that exceed the break-even point.

1) Break-even Point and Margin of Safety in CVP AnalysisBreak-Even Point is defined as the point in time when a company starts generating revenues that are sufficient enough to cover all its incurred costs. When a company reaches break-even, it no longer makes any profit nor incurs any loss; this is because all the costs that are incurred are covered by revenues. Margin of Safety, on the other hand, is the level of production or sales that exceed the break-even point. Margin of Safety represents the excess revenue over the break-even point.2) Characteristics of Relevant CostsRelevant costs are costs that will be directly affected by a decision made by a company. As such, managers base their business decisions on relevant costs. The two characteristics of relevant costs are:Future-Oriented: Relevant costs focus on future events, and so are forward-looking rather than backward-looking. The aim is to identify future costs and their implications on the decision being made. Predictability: The costs must be predictable; otherwise, it becomes challenging to make any informed business decisions. To be predictable, the costs must be estimated using quantitative and qualitative methods, i.e., statistical, economic, or probabilistic methods.

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A consumer has set a budget of SM for the consumption of good X and Y. The price of Good X is SPx, and the price of good Y is SPy. The consumer has a Utility function given by U(X,Y)= xy² a) Find the optimal consumption choice of the individual and the utility obtained. b) Make a graph that illustrates the solution to the problem. c) Why do we use parameters?

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To find the optimal consumption choice of the individual and the utility obtained, we can use the consumer's budget constraint and the utility function.

Let's denote the quantity of good X consumed as X and the quantity of good Y consumed as Y. The consumer's budget constraint can be written as:

SPx * X + SPy * Y = SM

To maximize utility, we need to find the combination of X and Y that maximizes the utility function U(X,Y) = X * Y^2, subject to the budget constraint.

a) To solve this problem, we can use the method of Lagrange multipliers. The Lagrangian function for this problem is:

L(X, Y, λ) = X * Y^2 + λ * (SM - SPx * X - SPy * Y)

To find the optimal consumption choice, we need to solve the following three equations simultaneously:

∂L/∂X = Y^2 - λ * SPx = 0

∂L/∂Y = 2XY - 2λ * SPy = 0

∂L/∂λ = SM - SPx * X - SPy * Y = 0

Solving these equations will give us the optimal values of X, Y, and λ.

b) To graphically illustrate the solution, we can plot an indifference curve representing the utility function U(X,Y) = X * Y^2, along with the budget constraint line.

The indifference curve represents the combinations of X and Y that yield the same level of utility. Higher indifference curves indicate higher levels of utility. We want to find the highest indifference curve that is tangent to the budget constraint line.

c) Parameters, such as SPx, SPy, SM, and the utility function coefficients, are used to represent the specific numerical values in the problem. They allow us to analyze and solve the consumer's problem in a general manner. By using parameters, we can explore how changes in prices, budget, or utility function coefficients affect the consumer's optimal consumption choice and utility level. Parameters provide flexibility and allow for a more comprehensive analysis of consumer behavior across different scenarios and economic conditions.

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You invest $ 600 in a security with a beta of 1.2 and $ 300 in another security with a beta of 0.90. The beta of the resulting portfolio is Multiple-Choice A.1.1 B.0.8 C. 1.08 D. 1.4

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To calculate the beta of a portfolio, you need to consider the weights and betas of each security in the portfolio. In this case, you have invested $600 in a security with a beta of 1.2 and $300 .

To calculate the beta of the resulting portfolio, we need to consider the weights and betas of each security.

Let's denote the weight of the first security (with a beta of 1.2) as w1, and the weight of the second security (with a beta of 0.90) as w2.

Given that you have invested $600 in the first security and $300 in the second security, we can calculate the weights as follows:

w1 = $600 / ($600 + $300) = 0.667 (approximately)

w2 = $300 / ($600 + $300) = 0.333 (approximately)

Now, we can calculate the weighted average of the betas:

Beta_portfolio = (w1 * Beta_security1) + (w2 * Beta_security2)

= (0.667 * 1.2) + (0.333 * 0.90)

= 0.8004 + 0.2997

= 1.1001 (approximately)

Therefore, the beta of the resulting portfolio is approximately 1.1001.

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(a). The standard deviation of a company is 20% and that of the market is 10%. The correlation with the market is 60%. Calculate the company's:
(i). Systematic risk (3marks).
(ii). Unsystematic risk, and (3marks).
(iii). The Beta factor. (3marks).

(b). Given that the risk free rate of interest is 6%, and the market portfolio offers an expected return of 14% for a standard deviation of 24%:
i. If Petros has as little as M1 000 to invest and desires an expected return of 20%. Show how he can achieve this by a combination of borrowing and investing in the market portfolio and calculate the standard the standard deviation of his final portfolio. (9 marks).
ii. If Petros is very risk averse with the M1 000 he wants to invest and that he will tolerate a maximum standard deviation of 6%. Show how he can achieve this by a combination of lending at the risk free rate and investing in the market portfolio and calculate the return for his final investment. (8marks).

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Therefore, Petros can achieve a return of approximately 8% by lending M750 at the risk-free rate and investing M250 in the market portfolio.

1) Systematic Risk:

The systematic risk of a company is measured by its beta (β) factor, which represents the sensitivity of the company's returns to the market returns. The formula to calculate the systematic risk (β) is:

β = (Correlation with Market) * (Standard Deviation of Company / Standard Deviation of Market)

Given:

Standard Deviation of the company (σc) = 20%

Standard Deviation of the market (σm) = 10%

Correlation with the market (ρ) = 60%

Plugging in the values:

β = 0.60 * (20% / 10%)

β = 0.60 * 2

β = 1.2

Therefore, the company's systematic risk (β) is 1.2.

(ii) Unsystematic Risk:

Unsystematic risk, also known as idiosyncratic risk, is the risk specific to an individual company that can be diversified away by holding a well-diversified portfolio. It is measured as the difference between the total risk of the company and its systematic risk.

Since we know the company's standard deviation (σc) is 20%, and the systematic risk (β) is 1.2, we can calculate the unsystematic risk as follows:

Unsystematic Risk = Total Risk - Systematic Risk

Total Risk = Standard Deviation of Company = 20%

Unsystematic Risk = 20% - 1.2

Unsystematic Risk ≈ 18.8%

Therefore, the company's unsystematic risk is approximately 18.8%.

(iii) Beta Factor:

The beta factor (β) is a measure of the systematic risk of a company. We have already calculated the beta in part (i) as 1.2.

Therefore, the company's beta factor (β) is 1.2.

b)

(i) To achieve an expected return of 20%, Petros can create a leveraged portfolio by borrowing funds and investing in the market portfolio. The formula for calculating the weight of borrowing (B) and weight of investment (W) in the market portfolio is:

Expected Return = (Weight of Borrowing * Risk-Free Rate) + (Weight of Investment * Expected Return of Market Portfolio)

Let's assume Petros borrows M1,000 (B) and invests in the market portfolio (W), where W = (1 - B). Also, the expected return of the market portfolio is 14% and the risk-free rate is 6%.

Plugging in the values:

20% = (B * 6%) + ((1 - B) * 14%)

Simplifying the equation:

20% = 6% * B + 14% - 14% * B

20% - 14% = 6% * B - 14% * B

6% = -8% * B

B = -0.75

Since B represents the weight of borrowing, it cannot be negative. It indicates that borrowing is not suitable for achieving an expected return of 20% in this case.

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Discuss the cost and benefit if any of Dummy variable technique? Least Square

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The dummy variable technique is a statistical method used to represent categorical variables in regression analysis. It involves creating binary (0 or 1) variables to represent different categories or groups within a categorical variable. These dummy variables allow for the inclusion of categorical variables in regression models, enabling the examination of their impact on the dependent variable.

Costs of the dummy variable technique:

Increased Dimensionality: Introducing dummy variables increases the number of independent variables in the regression model. This can lead to issues such as multicollinearity, especially if there are many categories within a categorical variable. Multicollinearity occurs when independent variables are highly correlated, potentially affecting the reliability and interpretation of regression results.

Loss of Degrees of Freedom: Each dummy variable requires the exclusion of one category as a reference category, which reduces the degrees of freedom available for estimating regression coefficients. This reduction in degrees of freedom can impact the precision of coefficient estimates and the overall statistical power of the model.

Benefits of the dummy variable technique:

Inclusion of Categorical Variables: The dummy variable technique allows for the inclusion of categorical variables in regression analysis, enabling the examination of their effects on the dependent variable. This is particularly useful when studying the impact of qualitative factors such as gender, geographic location, or product categories on outcomes of interest.

Interpretable Coefficients: By creating binary variables, the dummy variable technique assigns a coefficient to each category, providing insight into the differential effects of different categories on the dependent variable. These coefficients can be interpreted as the average difference in the dependent variable between the reference category and the category represented by the dummy variable.

Least Squares is a common method used to estimate the regression coefficients in linear regression models.

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When a closed economy is in equilibrium, we can be certain that: OI = 5 + (T-G). OI + S = T - G. G = T and S = 1. OI = 5 + (G-T). OI = 5

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The correct option is: When a closed economy is in equilibrium, we can be certain that B)OI + S = T - G.

When a closed economy is in equilibrium, we can be certain that OI + S = T - G. The correct option is the second one.A closed economy is a self-contained economy in which no outside influences can affect its internal functioning. A closed economy is a self-contained system in which no imports or exports occur. It is referred to as a "pure" or "autarkic" economy in this sense.

As a result, it cannot be influenced by any international exchange rates, trade barriers, or external economic factors. The term economic equilibrium refers to a state in which economic forces such as supply and demand are balanced and in the absence of external influences, the values of economic variables will not change.

It refers to a point at which supply and demand meet and, as a result, the price of a product stabilizes.OI in the given equation : OI stands for Operating Income or Operating Profit in the given equation.

Operating Income = Revenue - Expenses.

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Choose a country of interest to you. Go to the Executive Planet website (www.executiveplanet.com) or another website with cross-cultural comparisons of business etiquette. Read all the information about this country’s business culture and then do the following.
A. Write about the five most intriguing aspects of the culture.
B. Write about the five as aspects of etiquette you would observe when interacting with members of this culture.
C. Choose three relevant cultural dimensions (underlying sets of norms and values) and explain how they impact business etiquette in this country.
D. Write five questions about business etiquette you would like to ask a person from the country you chose.

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Country of interest: JapanA. Five most intriguing aspects of Japanese business culture: 1. Punctuality is essential in Japan. If you arrive early, you are on time; if you are on time, you are late.

2. It is critical to be courteous and respectful to colleagues in Japan, even in informal settings.

3. In Japan, personal relationships are essential to business success. You must first establish a connection with your business partner before proceeding with the discussion.

4. It is customary for Japan's top-ranked individual to take center stage during business meetings, despite the presence of other employees in the room. 5. Japanese businesspeople dress conservatively, with black suits, white shirts, and simple ties, to make a good first impression.

B. Five aspects of etiquette to observe when interacting with Japanese members of the culture:1. The exchange of business cards is a vital aspect of business etiquette in Japan. It is expected to bow slightly when giving and receiving business cards.

2. Maintaining eye contact during a conversation with a Japanese colleague is considered rude. It is acceptable to show respect by bowing your head slightly. 3. In Japan, the word "no" is rarely used in business situations.

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