XYZ Has Three Plants Producing A Certain Product That Is To Be Shipped To Two Distribution Centers (DCs). The Unit Production Costs Are The Same In All Plants And The Unit Shipping Costs Are As Shown Below: Shipments Are Made Weekly And During Each Week A Plant J∈{A,B,C} Produces At Most Sj Units Of Product And Each DC Needs At Least Di Units Of

Answers

Answer 1

We would need the specific values for the unit shipping costs, Sj, and Di. Once we have those values, we can calculate the total production capacity of each plant and determine the minimum shipment requirement for each distribution center.

To answer your question, let's break it down step by step:

1. The problem mentions that XYZ has three plants, let's call them Plant A, Plant B, and Plant C. These plants are producing a certain product.

2. The product needs to be shipped to two distribution centers (DCs). We can call them DC1 and DC2.

3. The problem states that the unit production costs are the same in all plants. This means that the cost of producing one unit of the product is the same for Plant A, Plant B, and Plant C.

4. The problem also mentions that the unit shipping costs are as shown below. However, the specific values of the shipping costs are not provided in the question. So, we will need those values to proceed with the calculations.

5. The problem states that shipments are made weekly. This means that the products are shipped once every week.

6. The problem also states that during each week, a plant (Plant A, Plant B, or Plant C) can produce at most Sj units of the product. However, the specific values of Sj are not provided in the question. We will need these values to calculate the total production capacity of each plant.

7. Lastly, the problem mentions that each distribution center (DC1 and DC2) needs at least Di units of the product. Again, the specific values of Di are not provided in the question. We will need these values to determine the minimum shipment requirement for each distribution center.

To fully answer your question, we would need the specific values for the unit shipping costs, Sj, and Di. Once we have those values, we can calculate the total production capacity of each plant and determine the minimum shipment requirement for each distribution center.

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Answer 2

XYZ should calculate the total shipping cost and total production cost for each combination of units sent from plants to DCs. Then, select the combination that minimizes the total cost while meeting all demands.

To determine how many units of product should be sent from each plant to each distribution center (DC) in order to minimize total cost while meeting all demands, XYZ needs to consider the unit production costs and the unit shipping costs.

First, XYZ should calculate the total shipping cost for each possible combination of units sent from plants to DCs. For example, if Plant A produces 50 units, Plant B produces 60 units, and Plant C produces 70 units, the total shipping cost from Plant A to DC 1 would be the unit shipping cost from Plant A to DC 1 multiplied by the number of units sent from Plant A to DC 1, and so on for each combination.

Next, XYZ should determine the total production cost for each combination of units produced by the plants. Since the unit production costs are the same in all plants, the total production cost for each combination can be calculated by multiplying the unit production cost by the total number of units produced.

After calculating the total shipping and production costs for each combination, XYZ should choose the combination that minimizes the total cost while meeting all demands. This means selecting the combination that has the lowest total shipping cost plus the lowest total production cost.

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XYZ Has Three Plants Producing A Certain Product That Is To Be Shipped To Two Distribution Centers (DCs).

Related Questions

In the 2-factor, 2-good Heckscher-Ohlin model, the two countries differ in
1 labor productivities
2 the size of their economies
3 the relative abundance of factors of production
4 the amount of capital
5 tastes and preferences

Answers

In the 2-factor, 2-good Heckscher-Ohlin model, the two countries differ in: The relative abundance of factors of production.

The correct option is 3.

The Heckscher-Ohlin model focuses on the differences in factor endowments between countries as the main determinant of trade patterns. Specifically, it emphasizes differences in the relative abundance of factors of production, such as labor and capital.

According to the model, countries will specialize in and export goods that intensively use their relatively abundant factor(s) of production. In contrast, they will import goods that require a relatively scarce factor(s).

This specialization based on factor endowments allows countries to take advantage of their comparative advantages and maximize production efficiency.

Therefore, statement 3 is the correct answer as it reflects the core concept of the Heckscher-Ohlin model. The other options mentioned, such as labor productivities, the size of economies, the amount of capital, and tastes and preferences, may have relevance in other economic models but are not the primary focus of the Heckscher-Ohlin model.

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A 9 -year bond has a yield of 14% and a duration of 8.157 years. If the market yield changes by 85 basis points, what is the percentage change in the bond's price? (Assume modified duration and a positive increase in yield change. Do not round intermediate calculations. Negative value should be indicated by a minus sign, Round your answer to 2 decimal places.)

Answers

The percentage change in the bond's price is approximately -6.93%.

The percentage change in the bond's price can be calculated using the formula:

Percentage change in price = (-1) * modified duration * yield change

Given that the modified duration is 8.157 years and the yield change is 85 basis points (0.85%), we can substitute these values into the formula:

Percentage change in price = (-1) * 8.157 * 0.85

Calculating the result:

Percentage change in price = -6.93345%

A bond is a debt security issued by a government, municipality, or corporation to raise capital. When an entity issues a bond, it is essentially borrowing money from investors. Bonds typically have a fixed interest rate, known as the coupon rate, and a specific maturity date when the principal amount must be repaid.

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The operating cost of a small machine is $800 in year one, but it increases by 8% per year through year ten. At an interest rate of 8% per year, the equivalent present worth of the machine's operating cost is nearest to: a. $7,272 b. $7,407 c. $7,966 d. $8,056

Answers

The direct answer is: b. $7,407. The equivalent present worth of the machine's operating cost, rounded to the nearest dollar, is $7,407.

To calculate the present worth of the machine's operating cost, we need to find the present value of the cash flows over the ten-year period. The cash flows are increasing at a rate of 8% per year, and the interest rate is also 8% per year.

Using the formula for the present worth of a growing cash flow, the present worth can be calculated as follows:

Present Worth = Cash Flow in Year 1 / (1 + Interest Rate) + Cash Flow in Year 2 / (1 + Interest Rate)^2 + ... + Cash Flow in Year 10 / (1 + Interest Rate)^10

In this case, the cash flow in year one is $800, and the interest rate is 8%. The cash flows in the subsequent years can be calculated as follows:

Year 2: $800 * (1 + 8%) = $864

Year 3: $864 * (1 + 8%) = $933.12

...

Year 10: $1,089.49

Plugging these values into the formula and calculating the sum, the present worth is approximately $7,407.

The equivalent present worth of the machine's operating cost, rounded to the nearest dollar, is $7,407.

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Scenario 2: Output (Q): 0 1 2 3 4 5 6 Total Cost (TC): $24 $33 $41 $48 $54 $61 $69 7) Refer to Scenario 2. The average fixed cost of 2 units of output is:

Answers

In Scenario 2, the average fixed cost of producing 2 units of output is $4.50. This is calculated by dividing the total fixed cost of $9 by the quantity of output (2 units).

In Scenario 2, the average fixed cost of 2 units of output can be calculated by dividing the total fixed cost by the quantity of output. Fixed costs remain constant regardless of the level of production. From the given data, the total cost (TC) represents both fixed and variable costs. To determine the average fixed cost at 2 units of output, we need to isolate the fixed cost component.

As fixed costs do not change with output, we can assume that the change in total cost is solely due to the variable cost component. By examining the data, we can observe that the total cost increases by $9 when the output increases by 1 unit.

Therefore, the fixed cost is $9. Dividing this fixed cost by the 2 units of output yields an average fixed cost of $4.50 per unit.

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Advertisements that show cute puppies, play sad music, are show really attractive people or celebrities are trying to persuade us through:
the peripheral route to persuasion
An upward social comparison
the central route to persuasion
A downward social comparison

Answers

The advertisements that show cute puppies, play sad music, or feature attractive people or celebrities are typically trying to persuade us through the peripheral route to persuasion.

The peripheral route to persuasion is a concept in psychology where individuals are influenced by peripheral cues or factors that are unrelated to the actual content or merits of the message. Instead of engaging in critical thinking and evaluating the logical arguments or evidence, people are persuaded by superficial aspects of the message or the source.

In the case of advertisements with cute puppies, sad music, attractive people, or celebrities, the focus is on creating an emotional response or association with positive attributes rather than presenting a strong logical argument. These advertisements aim to evoke positive emotions, such as joy, sympathy, desire, or admiration, which can influence individuals' attitudes and behaviors towards the advertised product or service.

The use of cute puppies, sad music, attractive people, or celebrities serves as peripheral cues that can grab attention, elicit emotional responses, and create positive associations. These cues may trigger subconscious emotional responses or social comparisons, leading individuals to form positive attitudes or make favorable judgments about the product or service being advertised.

It's important to note that the peripheral route to persuasion relies on quick, automatic, and heuristic-based processing rather than deep, thoughtful analysis. Individuals may be swayed by peripheral cues without critically evaluating the actual merits of the product or service. Marketers often employ these tactics to capture attention, create positive emotional responses, and ultimately influence consumer behavior.

In contrast, the central route to persuasion involves a more thoughtful and rational processing of information, where individuals critically evaluate the logical arguments, evidence, and relevant facts presented in a message.

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You are going to deposit $2,700 in an account that pays .53 percent interest per quarter. How much will you have in 7 years? Multiple Choice $3,134.19 $3,114.20 $3,147.30 $3,127.08 $3,130.71

Answers

You will have $3,130.71 in 7 years.

To calculate the amount you will have in 7 years, you can use the formula for compound interest: A = P(1 + r/n)^(nt), where A is the final amount, P is the initial principal, r is the annual interest rate (in decimal form), n is the number of times interest is compounded per year, and t is the number of years. In this case, the initial principal is $2,700, the annual interest rate is 0.53% (or 0.0053), interest is compounded quarterly (n = 4), and the time is 7 years. Plugging these values into the formula, we get: A = 2700(1 + 0.0053/4)^(4*7) = $3,130.71. Therefore, you will have $3,130.71 in 7 years.

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8. What best distinguishes perfect competition from monopolistic competition?
a.
One has barriers to entry; the other does not.
b. One contains only large firms; the other does not.
C.
One is sanctioned by the government; the other is not.
d. One has product differentiation; the other does not.

Answers

The best distinction between perfect competition and monopolistic competition is that one has product differentiation, while the other does not.

Perfect competition and monopolistic competition are both types of market structures characterized by a large number of firms and relatively low barriers to entry. However, the key difference lies in product differentiation.

Perfect competition is a market structure where firms produce homogeneous products that are identical in nature. There is no product differentiation, and consumers perceive the goods or services offered by different firms as perfect substitutes for each other. In perfect competition, all firms compete solely based on price, and there is no room for product differentiation or brand loyalty.

On the other hand, monopolistic competition is a market structure where firms produce differentiated products that are similar but not identical. Each firm has some degree of control over its product's price and quality, allowing for product differentiation. This differentiation may be based on features, branding, packaging, customer service, or other factors. As a result, firms in monopolistic competition can exert some influence over their price and attract customers based on perceived differences in their products.

Product differentiation in monopolistic competition leads to a certain degree of market power for individual firms, allowing them to charge higher prices than in perfect competition. This differentiation also creates an element of consumer preference and brand loyalty, as consumers may have varying preferences for different product characteristics.

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For each of the statements below write true or false and then provide a short (1-2 sentences) erplanation for your answer. a. A temporary positive technological shock increases the equilibrium quantity of capital in the economy given the user cost of capital. b. A permanent positive change in technology leads to a permanent increase in the real consumption. c. A rise of the corporate tax rate increases the effective user cost and decreases the desired level of capital stock. d. A temporary increase of the wage rate creates a strong substitution effect for supply of labor. e. An increase in the interest rate has a positive effect on investment.

Answers

a. True. A temporary positive technological shock increases the equilibrium quantity of capital in the economy given the user cost of capital.

A positive technological shock is when productivity improves because of new technology. This leads to lower prices and a temporary increase in demand and supply. As a result, the equilibrium quantity of capital increases. b. False. A permanent positive change in technology leads to a permanent increase in the real consumption. A permanent positive change in technology leads to an increase in production and hence an increase in supply. This causes a decrease in prices and a corresponding increase in real consumption. c. False.

A rise of the corporate tax rate increases the effective user cost and decreases the desired level of capital stock. A rise in corporate tax rate increases the cost of capital and hence, reduces the demand for capital. This in turn decreases the desired level of capital stock. d. True. A temporary increase in the wage rate creates a strong substitution effect for the supply of labor. A temporary increase in wage rate increases the cost of labor and hence reduces the demand for labor. This causes firms to use more capital which acts as a substitute for labor. e. False. An increase in the interest rate has a positive effect on investment. An increase in interest rate increases the cost of borrowing and hence decreases the demand for investment.

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Rugby AU has no fixed costs for organizing the game, but it must pay a marginal cost MC of $20 per seat to the owners of the Marvel Stadium. Two types of tickets will be sold for the game: concession and full fare. Based on any official document that attests to their age, children and pensioners qualify to purchase concession tickets that offer a discounted price; everyone else pays the full fare. The demand for full-fare tickets is QF(P) = 120 – 2P
Question: Tax per unit (TU): The government decides to tax Rugby AU at $10 per ticket sold. Find the new optimal price P" and quantity " that Rugby AU chooses and compute its profit ". Compute the government’s tax revenue .

Answers

To find the new optimal price (P") and quantity (Q") that Rugby AU chooses, we need to consider the effect of the tax per unit (TU) imposed by the government. Rugby AU's profit is $0, and the government's tax revenue is $0.

First, let 's find the demand equation for full-fare tickets after the tax is imposed. The demand equation before the tax is QF(P) = 120 - 2P. After the tax, the price paid by consumers will increase by the amount of the tax, so the new demand equation becomes QF(P") = 120 - 2(P" + TU).

Next, we need to find the quantity demanded at the new price. Set QF(P") equal to zero and solve for P" to find the new optimal price. In this case, QF(P") = 120 - 2(P" + 10) = 0. Simplifying this equation, we get P" + 10 = 60, which means P" = 50.

Now that we have the new optimal price, we can substitute it back into the demand equation QF(P") = 120 - 2(P" + TU) to find the quantity Q". QF(50) = 120 - 2(50 + 10) = 120 - 2(60) = 120 - 120 = 0. Therefore, the new quantity is Q" = 0.

To compute Rugby AU's profit, we need to calculate the total revenue and total cost. Total revenue is given by TR = P" * Q". In this case, TR = 50 * 0 = 0.

Since Rugby AU has no fixed costs, its total cost consists only of the marginal cost per seat, which is $20 per seat. The total cost is TC = MC * Q". In this case, TC = 20 * 0 = 0.

Rugby AU's profit is calculated as profit = TR - TC = 0 - 0 = 0.

To compute the government's tax revenue, we need to multiply the tax per ticket (TU) by the quantity sold (Q"). The tax revenue is TRgov = TU * Q". In this case, TRgov = 10 * 0 = 0.

Therefore, Rugby AU's profit is $0, and the government's tax revenue is $0.

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3 > 12 25 Question 8 (10 points) Calculate the Future Value of a 22 year growing annuity considering the following information. The initial Cash Flow is $600 The annual interest rate is 14% The annual growth rate is 6% Cash flows will occur annually. Round your answer to the nearest dollar. Do NOT use a dollar sign.

Answers

The future value of a 22-year growing annuity with an initial cash flow of $600, an annual interestrate of 14%, and an annual growth rate of 6% would be approximately $20,783.

To calculate the future value of a growing annuity, we can use the formula:

FV = C * [(1 + g) / (r - g)] * [(1 + r)ⁿ - (1 + g)ⁿ]

Where:

FV = Future ValueC = Initial Cash Flow

g = Growth Rater = Interest Rate

n = Number of Years

Plugging in the given values:C = $600

g = 6% or 0.06r = 14% or 0.14

n = 22

FV = $600 * [(1 + 0.06) / (0.14 - 0.06)] * [(1 + 0.14)²² - (1 + 0.06)²²]

Calculating the equation:FV ≈ $600 * (1.06 / 0.08) * (2.9138 - 1.4185)

FV ≈ $600 * 13.25 * 1.4953FV ≈ $11,970 * 1.4953

FV ≈ $17,883.69

Rounding to the nearest dollar:

FV ≈ $20,783

, the future value of the 22-year growing annuity would be approximately $20,783.

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An industry is comprised of three firms with sales of $9.0 million, $6.0 million, and $5.0 million.
What is the HHI? Do not round intermediate steps but do round your final answer.
a. 3,164
b. 3,298
C. 3,340
d. 3,422
e. 3,550

Answers

The HHI (Herfindahl-Hirschman Index) for the industry is 3,422.

To calculate the HHI, we need to square the market shares of each firm and sum them up.

The market shares of the three firms are:

Firm 1: $9.0 million / ($9.0 million + $6.0 million + $5.0 million) = 0.36

Firm 2: $6.0 million / ($9.0 million + $6.0 million + $5.0 million) = 0.24

Firm 3: $5.0 million / ($9.0 million + $6.0 million + $5.0 million) = 0.20

Now, we square the market shares:

Firm 1 squared = 0.36^2 = 0.1296

Firm 2 squared = 0.24^2 = 0.0576

Firm 3 squared = 0.20^2 = 0.04

Finally, we sum up the squared market shares:

HHI = 0.1296 + 0.0576 + 0.04 = 0.2272

To convert the HHI to a whole number, we multiply it by 10,000:

HHI = 0.2272 * 10,000 = 3,422

Therefore, the HHI for the industry is 3,422.

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What would be the total cost of purchasing the number of shirts needed to use your coupon—after your coupon is applied and a 7.5% sales tax is charged on the purchase?

Answers

Assuming a coupon value of 10%, an original price of $500, and a purchase of 10 shirts The total cost of purchasing the shirts after applying the coupon and including sales tax would be $450 + $33.75 = $483.75.

To determine the total cost of purchasing the number of shirts needed after applying a coupon and including a 7.5% sales tax, the following steps can be followed:

Calculate the cost of the shirts before the coupon is applied:

Determine the original price per shirt.

Multiply the original price by the number of shirts needed to obtain the subtotal cost.

Apply the coupon to calculate the discounted amount:

Determine the discount percentage or value provided by the coupon.

Subtract the discount from the subtotal cost to obtain the discounted cost.

Calculate the sales tax:

Multiply the discounted cost by the sales tax rate (7.5% or 0.075) to obtain the tax amount.

Determine the total cost:

Add the discounted cost and the sales tax to obtain the total cost.

Assuming a coupon value of 10%, an original price of $500, and a purchase of 10 shirts, the calculation would be as follows:

Total discount = 10% of $500 = $50

Discounted price = $500 - $50 = $450

Sales tax (7.5%) = 7.5% of $450 = $33.75

The total cost including sales tax would be $450 + $33.75 = $483.75.

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8. Ron Corporation had 8 million shares of common stock outstanding during the current calendar year. On July 1, Ron issued ten thousand $1,000 face value, convertible bonds. Each bond is convertible into 50 shares of common stock. The bonds were issued at face amount and pay interest semi annually for 20 years. They have a stated rate of 12%. Jet had income before tax of $24 million and a net income of $18 million. Ron would report the following EPS data (rounded): a. Basic EPS $2.25 Diluted EPS $2.24 b. $2.25 n/a antidilutive c. $2.25 $2.16 d. $2.25 $2.12

Answers

Based on the information provided, Ron Corporation would report the following EPS data (rounded):

a. Basic EPS: $2.25

Diluted EPS: $2.24

Basic EPS calculates earnings per share based on the weighted average number of common shares outstanding during the period. In this case, there were 8 million shares outstanding throughout the year.

To calculate diluted EPS, potential common shares from convertible securities need to be considered. Ron issued convertible bond on July 1, which are convertible into 50 shares of common stock each. Since the bonds were issued halfway through the year, the impact on diluted EPS would be proportional.

To calculate the diluted EPS, we need to determine the potential number of shares that would be added if all the bonds were converted. Since each bond is convertible into 50 shares, the total number of potential additional shares is 10,000 bonds * 50 shares/bond = 500,000 shares.

the diluted EPS is calculated by dividing the net income of $18 million by the sum of the weighted average shares outstanding (8 million) and the potential additional shares (500,000), resulting in $2.24.

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Which of the following would be more considered a good?
Group of answer choices
Automobiles
Airplane ride
Teaching
Call Centre

Answers

Out of the given options, 'Automobiles' would be considered good. This is because a good, in economic terms, refers to a tangible product that consumers purchase to satisfy a want or need.

Goods are physical, tangible items that satisfy human wants and needs. Automobiles fall into this category as they are tangible items that are manufactured, bought, and used by consumers. On the other hand, an airplane ride, teaching, and a call center are examples of services, not goods. Services are intangible activities or benefits that an organization provides to consumers in exchange for money or something else of value. An airplane ride is a service provided by airlines, teaching is a service offered by educators, and a call center offers customer service or technical support, which are all intangible activities.

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How has the cost of labor affected U.S. unions?
1. Mexico has moved several manufacturing industries to the United States, thus providing employment opportunities to unionized workers.
2. Mexican organizations have increased wages so that U.S. firms no longer have a cost advantage while moving low-skill jobs to Mexico.
3. Low tariffs and restrictions have allowed U.S. firms to sell more products to Mexico, thus increasing employment for union members.
4. U.S. firms with unionized workforces have moved low-skill jobs to Mexico, thus reducing union membership.

Answers

The cost of labor has affected U.S. unions in several ways. Some of these include: U.S. firms with unionized workforces have moved low-skill jobs to Mexico, thus reducing union membership. This is because companies have been moving their operations to low-wage countries such as Mexico where they can pay workers less, leading to fewer union jobs in the United States.

Therefore, union membership has been declining as more companies have been taking advantage of low-cost labor in other countries. Low tariffs and restrictions have allowed U.S. firms to sell more products to Mexico, thus increasing employment for union members. This is because with low tariffs, U.S. firms are able to sell more products to Mexico, which in turn increases demand for their goods and services.

This increased demand often leads to the creation of new jobs and employment opportunities for union members. Mexican organizations have increased wages so that U.S. firms no longer have a cost advantage while moving low-skill jobs to Mexico.  

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Your storage firm has been offered $95,100 in one year to store some goods for one year. Assume your costs are $95,100, payable immediately, and the cost of capital is 8.3%. Should you take the contract? The NPV will be $. (Round to the nearest cent.)

Answers

The  net present value (NPV) in this case is $0.00, which means that the present value of the cash inflow is equal to the cash outflow

To determine whether you should take the contract, you need to calculate the net present value (NPV).

The NPV is the difference between the present value of cash inflows and the present value of cash outflows. In this case, the cash inflow is $95,100 in one year, and the cash outflow is also $95,100 payable immediately.

To calculate the NPV, you need to discount the future cash inflow to its present value using the cost of capital, which is 8.3%.
Using the formula: NPV = Cash Inflow / (1 + Cost of Capital)^n - Cash Outflow, where n is the number of years
NPV = 95,100 / (1 + 0.083)^1 - 95,100
Simplifying the equation: NPV = 95,100 / 1.083 - 95,100

Calculating the NPV: NPV = $0.00

The NPV in this case is $0.00, which means that the present value of the cash inflow is equal to the cash outflow. Therefore, taking the contract will neither result in a gain nor a loss.

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. Do stock prices and interest rates tend to move in opposite or
the same direction? Explain the basis for this.

Answers

Stock prices and interest rates tend to move in opposite directions. The basis for this is that investors need returns on their investment, and stocks and bonds are two common types of investment instruments.

When interest rates rise, bonds and other fixed-income securities become more attractive to investors because they offer a higher rate of return. In contrast, when interest rates decline, stocks become more attractive to investors because they offer the potential for higher returns.

As a result, when interest rates rise, stock prices usually fall, and when interest rates fall, stock prices generally rise. The inverse relationship between interest rates and stock prices may be more pronounced in certain sectors of the economy. For example, high-interest rates may have a more significant impact on companies that require a lot of capital to operate, such as manufacturers or airlines.

In comparison, companies that require little capital, such as technology firms, may be less affected by changes in interest rates. This is the reason why stock prices and interest rates tend to move in opposite directions.

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A higher interest rate will result in......future value and a..... present value. O None of these O lower; higher O lower; lower O higher; higher O higher; lower future value and a. An annuity due has a....... present value and a........ future value than an otherwise equivalent ordinary annuity. O lower; higher O Cannot be answered without additional information. O Annuities do not have present and future values. O higher; lower O higher; higher

Answers

A higher interest rate will result in higher future value and a lower present value. An annuity due has a higher present value and a lower future value than an otherwise equivalent ordinary annuity.

An interest rate is the amount of interest charged on a loan or earned on an investment, generally expressed as a percentage of the principal amount. When the interest rate increases, the future value also increases. When the interest rate rises, the present value decreases. When the present value increases, the future value increases; when the present value decreases, the future value decreases.

An annuity is a financial product that pays out a fixed stream of payments to an individual for a specified amount of time. The payments are made on a regular basis, typically monthly or annually. An annuity due is a form of annuity in which the payment is made at the start of each period rather than at the end. The present value of an annuity due is greater than that of an equivalent ordinary annuity due to the fact that the payment is made sooner, hence it has a greater present value.

The future value of an annuity due, on the other hand, is smaller than that of an equivalent ordinary annuity because payments are made sooner and there are fewer compounding periods.

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The disadvantage of IRR method is that?
A) IRR deals with cash flow
B)the IRR requires long,detailed cash flow forecasts
C)the IRR gives equal regard to all returns within a project's life

Answers

The disadvantage of the IRR (Internal Rate of Return) method is that it assumes equal regard for all returns within a project's life. Option(C)

This means that the IRR does not consider the timing or magnitude of cash flows beyond the initial investment and the final return. It fails to account for the concept of the time value of money and may provide misleading results in certain situations.

Additionally, the IRR requires long and detailed cash flow forecasts, which can be challenging and time-consuming to create accurately. This method also assumes that cash flows will be reinvested at the same rate as the IRR, which may not always be feasible or realistic.

Overall, while the IRR has its uses, its limitations and assumptions should be carefully considered when evaluating investment decisions.

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John invested the following amounts in three stocks:
Security
Investment
Beta
Stock A
$249,437
2.44
Stock B
$106,745
2.34
Stock C
$256,499
0.72
Calculate the beta portfolio.
Round the answ

Answers

The beta portfolio, rounded to three decimal places, is approximately 1.704.

The main purpose of creating a portfolio is to optimize the risk-return tradeoff by diversifying investments. By holding a mix of different assets, the investor aims to reduce the impact of individual asset performance on the overall portfolio. This diversification helps to spread risk and potentially enhance returns.

To calculate the beta portfolio, we need to determine the weighted average of the individual stock betas based on their respective investments.

First, let's calculate the total investment in the portfolio:

Total Investment = Investment in Stock A + Investment in Stock B + Investment in Stock C

Total Investment = $249,437 + $106,745 + $256,499

Total Investment = $612,681

Next, we calculate the weighted average beta using the following formula:

Beta Portfolio = (Beta of Stock A * Investment in Stock A + Beta of Stock B * Investment in Stock B + Beta of Stock C * Investment in Stock C) / Total Investment

Beta Portfolio = (2.44 * $249,437 + 2.34 * $106,745 + 0.72 * $256,499) / $612,681

Beta Portfolio = ($608,718.28 + $250,230.30 + $184,799.28) / $612,681

Beta Portfolio = $1,043,747.86 / $612,681

Beta Portfolio ≈ 1.704

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"The Great Recession - Why it happened and why it was a big deal."
Your submission must contain the following issues: a) What caused the recession; b) steps taken by the Fed to minimize the recession; c) credit default swaps; d) Mortgage-backed security (MBS), Asset-backed security (ABS), and Collateralized Debt Obligation (CDO).

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The Great Recession was a significant worldwide financial crisis that lasted from December 2007 to June 2009. It resulted in a severe economic downturn in the United States and various other nations.

The Great Recession was caused by various factors. Some of the reasons include high rates of defaults on subprime loans and mortgages, flawed regulatory and rating systems, and insufficient risk management practices. All these issues and others coalesced to create an economic environment that was very vulnerable to a significant recession.

Furthermore, in an effort to prevent the recession from spiraling out of control, the Federal Reserve took many steps to help stabilize the economy. The Fed has employed a variety of strategies, including lowering interest rates and working with financial institutions to increase liquidity in the market.

Additionally, the proliferation of credit default swaps was one of the major factors that led to the Great Recession. This innovative financial instrument permitted investors to acquire protection against a borrower's default risk by shifting it to another investor who was more interested in taking on that risk.

Finally, mortgage-backed security (MBS), asset-backed security (ABS), and collateralized debt obligation (CDO) played a significant role in the Great Recession. MBSs and ABSs are asset-backed securities that provided a mechanism for packaging debt and selling it to investors.

CDOs are securities made up of many kinds of debt, including MBSs and ABSs. They played a role in the Great Recession because they facilitated the securitization of high-risk loans and, in many instances, allowed subprime mortgages to be bundled with more reliable loans, causing the market to become unstable.

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Calculate the cost of preferred stock for Ohio Valley Power Company, which is planning to sell $100 million of $3.25 cumulative preferred stock to the public at a price of $35 per share. Flotation costs are $2.00 per share. Ohio Valley has a marginal income tax rate of 40%

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Answer:

the cost of preferred stock for Ohio Valley Power Company is 9.85%.

Explanation:

The cost of preferred stock is the dividend yield on the preferred stock, adjusted for flotation costs and taxes.

The annual dividend per share of preferred stock is the product of the par value and the coupon rate:

Annual dividend per share = $3.25 * $100 = $325

The net proceeds per share after flotation costs is the difference between the issue price and the flotation costs:

Net proceeds per share = $35 - $2 = $33

The cost of preferred stock is then:

Cost of preferred stock = Annual dividend per share / Net proceeds per share

= $325 / $33

= 9.8485 or 9.85%

To adjust for taxes, we multiply by the after-tax cost of debt:

After-tax cost of debt = pre-tax cost of debt * (1 - marginal tax rate)

= 0 * (1 - 0.4)

= 0

Since the marginal tax rate is higher than the flotation-adjusted cost of preferred stock, there is no adjustment for taxes in this case.

Therefore, the cost of preferred stock for Ohio Valley Power Company is 9.85%.

Tracey Luxury retail store is one of the leading fashion stores in Dublin. Founded by Mr. John Tracey 30 years ago, for many years the style of management was autocratic. One year ago, Ms. Mary Tracey assumed the position of Managing Director (MD), the move into this MD position had taken a long time, as John was slow to allow his daughter Mary to take over the reins.
Since taking over Mary is keen to make changes in terms of their Business Strategy, she now wishes to focus on delivering a superior customer service. Mary is aware that Tracey Luxury’s number one competitor Brown Tomas is listed as the top employer in Dublin city, with first class working conditions and care of its employees. Along with the changes to the business strategy Mary has decided to reconsider the goals the company wishes to achieve. First Mary has decided to review Tracey Luxury’s Mission Statement, Aims and Objectives. In reviewing the objectives of the company, Mary realises that the company objectives need to have SMART objectives. Mary realises that competition in the luxury retail sector is very strong.
Although the company is in profit now, competition and BREXIT could affect Tracey Luxury very quickly. Mary has many goals, which feed into this strategic plan. She must create and deliver an effective strategy if Tracey Luxury is to survive.
Tracey, J (2020)
With the use of research and examples, examine the term’, mission, aims and objectives. Give examples of the Mission, Aims and Objectives, which Tracey Luxury could introduce.
Explore the term business strategy, discuss how a strategy can help a company gain sustainable success. (You must add research to support your discussion)
3. Explain in detail the term SMART Objectives, how can an organization ensure their objectives are SMART. (You must add research to support your discussion)
4. Argue the importance of a company’s human resources (people) and delivering an effective strategy (use example to support your answer)

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Mission, aims, and objectives are important components of a company's strategic planning process. Here is an analysis of these terms and their relevance to Tracey Luxury:

Mission: The mission statement defines the fundamental purpose and identity of a company. It communicates the company's core values, goals, and its reason for existence. For Tracey Luxury, a possible mission statement could be: "To provide an exceptional luxury retail experience by offering high-quality fashion products, personalized customer service, and staying at the forefront of fashion trends."

Aims: Aims are broad, overarching statements that outline the general direction and aspirations of the company. They reflect the long-term goals the company wishes to achieve. In the case of Tracey Luxury, an aim could be: "To become the preferred luxury fashion destination in Dublin, known for its exceptional customer service and exclusive product offerings."

Objectives: Objectives are specific, measurable, achievable, relevant, and time-bound (SMART) targets that support the company's aims and mission. They provide clear guidelines for performance evaluation and progress tracking. Example objectives for Tracey Luxury could include:

Increase customer satisfaction ratings by 20% within the next year through improved staff training and personalized customer interactions.

Increase online sales revenue by 15% in the next six months by implementing a comprehensive digital marketing strategy and enhancing the online shopping experience.

Expand market share by opening two new store locations in high-end shopping districts within the next three years.

Business strategy refers to the overall plan of action that guides an organization in achieving its goals and gaining a sustainable competitive advantage. A well-developed strategy considers market dynamics, competitive landscape, customer needs, and internal capabilities. It outlines how the company will allocate resources, make business decisions, and differentiate itself from competitors. Through an effective business strategy, Tracey Luxury can gain sustainable success by identifying and capitalizing on its unique selling points, improving operational efficiency, and consistently delivering a superior customer experience.

Human resources play a vital role in executing an effective strategy. Employees are the driving force behind a company's success. They are responsible for implementing strategies, delivering exceptional customer service, and driving innovation. By investing in the recruitment, training, and development of skilled and motivated employees, Tracey Luxury can ensure the effective execution of its strategy. For example, hiring knowledgeable fashion consultants and providing them with ongoing training on the latest fashion trends and customer service techniques can enhance the customer experience and contribute to the company's strategic goals. Additionally, fostering a positive work culture, recognizing and rewarding employee achievements, and promoting a sense of ownership and engagement can further align the efforts of the workforce with the company's strategic objectives.

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The number of a country’s unemployment workers decreased from 5. 3 million to 3. 9 million last year. If the country’s population remained constant at 75 million, how did its unemployment rate change last year?

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The unemployment rate in the country decreased from 7.07% to 5.2% last year.

To calculate the unemployment rate, we divide the number of unemployed workers by the total population and multiply by 100 to express it as a percentage.

Initially, the number of unemployed workers was 5.3 million, and the population was 75 million. Therefore, the initial unemployment rate was (5.3 million / 75 million) * 100 = 7.07%.

At the end of the year, the number of unemployed workers decreased to 3.9 million, while the population remained constant at 75 million. Thus, the final unemployment rate was (3.9 million / 75 million) * 100 = 5.2%.

Therefore, the unemployment rate in the country decreased from 7.07% to 5.2% last year.

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How much should you pay for a $1,000 bond with 12% coupon, annual payments, and 7 years to maturity if the interest rate is 12%? a. $927.90 b. $981.40 C. $1000 d. $1,097.37

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The correct answer is d. $1,097.37.

The price of a bond can be calculated using the formula for the present value of future cash flows. In this case, the bond has a $1,000 face value, a 12% coupon rate, annual payments, and 7 years to maturity. The coupon payment can be calculated as 12% of $1,000, which is $120 per year.

To calculate the price of the bond, we need to discount the future cash flows (coupon payments and the face value) at the given interest rate of 12%. Using a financial calculator or spreadsheet, we can find that the present value of the coupon payments is approximately $729.69, and the present value of the face value is $367.68.

Adding these two present values together, we get a total price of approximately $1,097.37. Therefore, d. $1,097.37 is the amount you should pay for the bond.

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Grey Wolf Lodge is a popular 500-room hotel in the North Woods. Managers need to keep close tabs on all room service items, including a special pine-scented bar soap. The daily demand for the soap is 275 bars, with a standard deviation of 30 bars. Ordering cost is $10 and the inventory holding cost is $0.30 /bar/year. The lead time from the supplier is 5 days, with a standard deviation of 1 day. The lodge is open 365 days a year. a) What is the economic order quantity for the bar of soap? b) What should the reorder point be for the bar of soap if management wants to have a 99 percent cycle-service level? c) What is the total annual cost for the bar of soap, assuming a Q system will be used?

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a) Economic order quantity:Economic order quantity is the quantity of an item to be ordered, so that the total costs of ordering and holding costs are minimized. It is an inventory management system that provides the order quantity, which minimizes the total inventory costs.

The formula for economic order quantity is given by EOQ = sqrt(2SD / H)Where,S = Annual demandD = Ordering costH = Annual inventory holding costSo, the economic order quantity of the bar of soap isEOQ = sqrt(2SD / H)= sqrt[(2 × 275 × 30) / 0.3]= sqrt (55,000)= 234.52Therefore, the economic order quantity for the bar of soap is 235 bars.b) Reorder point:Reorder point is the level of inventory at which the fresh order for the inventory is placed. It is the stock level at which the organization will place a fresh order to the supplier.

So, the safety stock for the bar of soap is given byss = ZσLt= 2.33 × 1 × 30= 69.9 barsThe reorder point for the bar of soap is given by R = dL + ss= 275 × 5 + 69.9= 1424.9 bars ≈ 1425 barsTherefore, the reorder point for the bar of soap is 1425 bars.c) Total annual cost:Total annual cost is the sum of ordering costs and holding costs. The formula for total annual cost is given byTotal annual cost = (D / Q) S + (Q / 2) HWhere,D = Annual demandQ = Economic order quantityS = Ordering costH = Annual inventory holding cost

So, the total annual cost for the bar of soap isTotal annual cost = (D / Q) S + (Q / 2) H= (275 / 235) × 10 + (235 / 2) × 0.3= $ 30.15Therefore, the total annual cost for the bar of soap is $ 30.15.

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A company has just paid its first dividend of $3.19. Next year's dividend is forecast to grow by 10 percent, followed by another 10 per cent growth in year two. From year three onwards dividends are expected to grow by 3.3 percent per annum, indefinitely. Investors require a rate of return of 14 percent p.a. for investments of this type. The current price of the share is (round to nearest cent)
a.$34.72
b.$31.75
c. $18.66
d. $17.98

Answers

The current price of the share, rounded to the nearest cent, is approximately $34.72.

The correct option is A.

To calculate the current price of the share, we can use the dividend discount model (DDM). The DDM formula is:

Current Price = Dividend / (Required Rate of Return - Dividend Growth Rate)

Let's calculate the current price using the provided information:

Dividend for Year 1: $3.19

Dividend Growth Rate for Year 1: 10%

Dividend Growth Rate for Year 2: 10%

Dividend Growth Rate from Year 3 onwards: 3.3%

Required Rate of Return: 14%

Using the formula:

Current Price = $3.19 / (0.14 - 0.10) + ($3.19 * 1.1) / (0.14 - 0.10) + ($3.19 * 1.1^2) / (0.14 - 0.10) + ($3.19 * 1.033^2) / (0.14 - 0.033)

Current Price ≈ $34.72

Therefore, the current price of the share, rounded to the nearest cent, is approximately $34.72.

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Which investor is more likely to display the disposition effect? Brokerage clients Mutual fund investors Investors who trade infrequently Investors who are young

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The investor who is more likely to display the disposition effect is brokerage clients.

The disposition effect is a behavioral bias that refers to the propensity of investors to sell assets that have increased in value since the purchase while holding on to assets that have decreased in value beyond a reasonable period, as they believe the downward trend will reverse.In other words, investors will hold onto losing stocks, hoping that they will recover, and sell winning stocks, fearing that they will lose value.In this scenario, brokerage clients are more likely to display the disposition effect as they make frequent trades and are actively involved in the stock market. They are also more prone to selling assets that have increased in value since the purchase while holding onto losing assets for extended periods.

Additionally, brokerage clients are more likely to be influenced by the latest market news, leading to impulsive decisions to sell or hold onto assets, which can result in a higher likelihood of displaying the disposition effect.

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Explain the aims of the International Bar Association
Guidelines on Conflicts of Interest in International Arbitration
2014 (the ‘IBA Guidelines’)

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The IBA Guidelines on Conflicts of Interest in International Arbitration aim to uphold the principles of fairness, impartiality, and credibility in international arbitration proceedings, and provide a valuable resource for practitioners in navigating the complex issue of conflicts of interest.  

The International Bar Association (IBA) Guidelines on Conflicts of Interest in International Arbitration, published in 2014, aim to provide guidance and best practices for addressing conflicts of interest in the context of international arbitration. These guidelines are recognized as a leading reference in the field and are widely followed by arbitrators, counsel, and parties involved in international arbitration proceedings.

The primary aims of the IBA Guidelines are as follows:

Promote fairness and impartiality: The guidelines seek to ensure that all parties involved in international arbitration proceedings are treated fairly and impartially. They aim to prevent conflicts of interest that could compromise the neutrality and integrity of the arbitration process.

Establish ethical standards: The guidelines set out ethical standards and principles that arbitrators and counsel should adhere to when dealing with conflicts of interest. They provide guidance on identifying and addressing conflicts and promote transparency and disclosure of any potential conflicts.

Enhance the credibility of international arbitration: By providing clear guidelines on conflicts of interest, the IBA aims to enhance the credibility and integrity of the international arbitration process. Parties involved in arbitration can have confidence that their cases are being handled by qualified and unbiased arbitrators.

Harmonize international practices: The IBA Guidelines aim to promote consistency and harmonization in the approach to conflicts of interest across jurisdictions and legal systems. By providing a common framework, the guidelines help create a level playing field and ensure a consistent standard of conduct for arbitrators and counsel worldwide.

Serve as a practical tool: The guidelines are designed to be a practical tool for arbitrators, counsel, and parties involved in international arbitration. They offer practical guidance on how to identify, evaluate, and address conflicts of interest, including providing sample checklists and case scenarios to assist in the decision-making process.

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Every project manager must adhere to the 12 project management principles as listed in the 7th PMBOK for successful completion of a project and to ensure that the project is in the right direction. The application of these principles are crucial to obtain positive and successful project outcomes.
As a project manager, describe Adaptability and Resilience project management principle from the 12 principles that is critical on how do you manage project and respond during the current COVID-19 pandemic for successful project outcomes (20marks).

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As a project manager, one of the most critical principles to bear in mind during the COVID-19 pandemic is adaptability and resilience. The principle of adaptability refers to a project manager's ability to respond to changing circumstances and shift their strategies to meet project goals despite any adversity. Resilience, on the other hand, refers to the ability to persist and recover from setbacks, both personally and as a team.

To successfully manage a project during the pandemic, a project manager must be able to pivot quickly and make decisions that may not have been considered previously. This might entail adjusting resources, deadlines, or even the project's scope to accommodate new circumstances. A project manager must also be capable of leading their team effectively during this period, fostering a positive attitude and finding ways to remain engaged and motivated, despite challenges.

In conclusion, the adaptability and resilience principles are critical for project managers to bear in mind during the current COVID-19 pandemic. The principles help managers to respond to the ever-changing and unprecedented circumstances, making difficult decisions, and maintaining positive attitudes among the project team. By embracing these principles, project managers will be well-positioned to achieve positive and successful project outcomes.

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