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On January 4, Year 1, Barber Company purchased 13,500 shares of Convell Company for \( \$ 162,000 \). Convell Compan will have a significant influence over Convell. During each of the nex

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Answer 1

Main Answer:

Barber Company acquired 13,500 shares of Convell Company for $162,000 on January 4, Year 1, indicating a significant influence over Convell.

Barber Company's purchase of 13,500 shares of Convell Company for $162,000 signifies a significant investment in Convell. This acquisition indicates Barber Company's intention to exert a considerable degree of influence over Convell's operations and decision-making processes.

By acquiring a significant number of shares, Barber Company gains the ability to participate in Convell's corporate governance, potentially influencing strategic decisions, board elections, and other matters requiring shareholder approval. The ownership of these shares represents a significant investment in Convell's success and aligns Barber Company's interests with the performance and growth of Convell.

This purchase is not merely a passive investment but signifies an active involvement in the management and direction of Convell. Barber Company's significant influence suggests a long-term commitment and strategic partnership with Convell, as they aim to contribute to the company's success and enhance shareholder value.

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Related Questions

write a sample audit question from the following process
criteria purchasing process (procedure 3.2) states: "all purchases
must be made from an approved supplier"

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1. Is there a list of approved suppliers available for reference during the purchasing process?

2. Have any purchases been made from a non-approved supplier? If so, what was the justification for doing so?

3. Is there a process in place for updating the list of approved suppliers?

4. Are there formal reviews for assessing supplier performance?

How would a lower rate of expected inflation in the country
alter the nominal exchange rate? Explain using the relevent
formula.

Answers

The relationship between expected inflation and the nominal exchange rate can be explained using the formula of the purchasing power parity (PPP) theory.

The formula for the PPP theory is as follows: S = P₁/P₂ Now, let's consider the impact of a lower rate of expected inflation in the domestic country on the nominal exchange rate. When the rate of expected inflation in the domestic country decreases, it implies that the price level in the domestic country is expected to rise at a slower rate compared to the foreign country. This would result in a relatively lower increase in the domestic price level (P₁). Using the PPP formula, if P₁ decreases, while P₂ remains unchanged, the nominal exchange rate (S) will decrease. In other words, the domestic currency will appreciate against the foreign currency. This implies that a lower rate of expected inflation in the domestic country would lead to a strengthening of the domestic currency in relation to the foreign currency

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business intelligence (built upon) a data warehouse is used for select one: a. forecasting b. data mining c. analysis of large volumes of product sales data d. all of the above

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Business intelligence built upon a data warehouse facilitates forecasting, data mining, and analysis of large volumes of product sales data, enabling organizations to gain valuable insights and make informed decisions for their business operations. The answer is: d. all of the above.

Business intelligence built upon a data warehouse can be used for forecasting, data mining, and analysis of large volumes of product sales data. A data warehouse is a central repository that stores structured and organized data from various sources within an organization. It provides a foundation for business intelligence tools and applications to extract, transform, and analyze the data.

Forecasting involves using historical data to predict future trends and outcomes. By leveraging the data stored in a data warehouse, business intelligence systems can apply advanced algorithms and models to generate accurate forecasts for business planning and decision-making.

Data mining refers to the process of discovering patterns, relationships, and insights from large datasets. Business intelligence systems can utilize data mining techniques on the data warehouse to uncover hidden patterns, identify trends, and extract valuable information for business purposes such as market segmentation, customer behavior analysis, and anomaly detection.

Analysis of large volumes of product sales data is another key function of business intelligence built upon a data warehouse. By aggregating and organizing vast amounts of sales data, businesses can gain a comprehensive understanding of their product performance, identify sales patterns, evaluate marketing strategies, and make data-driven decisions to optimize their sales and revenue.

The answer is: d. all of the above.

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What is the general goal policymakers try to achieve to correct for externalities? a. They always allow the free-market to determine price and quantity, since this is always the most efficient outcome.
b. They prefer to enact command regulations because these are usually better than market-based solutions.
c. They try to get decision-makers to internalize the external effects of their choices.
d. They always rely on private solutions like moral codes and charities, because these
always work better than government action.

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The general goal policymakers try to achieve to correct for externalities is to get decision-makers to internalize the external effects of their choices. The correct option is c).

This is done to address the market failures resulting from externalities, such as negative externalities, which refer to actions taken by individuals or firms that impose costs on others without their consent. By internalizing externalities, policymakers seek to make decision-makers bear the full cost of their actions.

When people and businesses are aware of the full cost of their actions, they are more likely to make choices that are socially optimal. This is because they consider both private and social costs and benefits when making decisions. Some policymakers prefer to enact command regulations because they can be effective in addressing negative externalities. These regulations require firms and individuals to comply with specific rules, such as limits on emissions or noise levels.

However, other policymakers prefer to use market-based solutions to internalize externalities, such as taxes or tradable permits. For example, a tax on carbon emissions can help to reduce the negative externality of pollution by making it more expensive for firms to pollute.

Tradable permits allow firms to trade the right to emit a certain amount of pollutants, which can lead to a reduction in emissions at a lower cost than command regulations.

In summary, policymakers aim to internalize externalities to correct market failures caused by negative externalities. They can use command regulations or market-based solutions to achieve this goal. The correct option is c).

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Consider the production function: Q = 2K + 3L. The
MRTSLK is:

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The MRTSLK in this production function is 3/2. This indicates that, for each additional unit of capital, the firm needs to add 1.5 units of labor to maintain the same level of output.

The Marginal Rate of Technical Substitution of Labor for Capital (MRTSLK) represents the rate at which a firm can substitute one input (labor) for another input (capital) while keeping output constant. In the given production function Q = 2K + 3L, the MRTSLK can be calculated by taking the ratio of the marginal product of labor (MPL) to the marginal product of capital (MPK).

To find MPL, we take the derivative of the production function with respect to labor (L):

MPL = dQ/dL = 3

Similarly, to find MPK, we take the derivative of the production function with respect to capital (K):

MPK = dQ/dK = 2

Now, we can calculate the MRTSLK:

MRTSLK = MPL/MPK = 3/2

Therefore,The MRTSLK represents the trade-off between labor and capital inputs and provides insights into the optimal combination of inputs to achieve production efficiency.

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Financlal data for Joel de Parls, Incorporated, for last year follow. The company pald dividends of \( \$ 211,600 \) last year. The "Investment in Bulsson, S.A.," on the balance sheet represents an in

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The "Investment in Bulsson, S.A." on Joel de Paris, Incorporated's balance sheet represents the company's ownership stake or financial interest in Bulsson, S.A.

What is the significance of the "Investment in Bulsson, S.A." on Joel de Paris, Incorporated's balance sheet?

Based on the provided financial data for Joel de Paris, Incorporated, there are a few key components that require explanation.

Firstly, the company paid dividends amounting to $211,600 during the last year. Dividends are a portion of a company's profits that are distributed to its shareholders as a return on their investment. The payment of dividends indicates that Joel de Paris, Incorporated had generated sufficient profits to allocate a portion to its shareholders.

Secondly, the presence of "Investment in Bulsson, S.A." on the balance sheet suggests that Joel de Paris, Incorporated holds an investment in Bulsson, S.A., which is likely another company. The investment can take various forms such as equity shares, bonds, or other financial instruments. The value of this investment is reported on the balance sheet and represents the ownership interest or financial stake held by Joel de Paris, Incorporated in Bulsson, S.A.

The investment in Bulsson, S.A. can have several implications for Joel de Paris, Incorporated. It may provide the company with potential financial returns, such as dividend income or capital gains if the investment's value increases over time. Additionally, it may offer strategic or operational benefits, such as business synergies or market expansion opportunities. However, the specific details and purpose of the investment, as well as its impact on Joel de Paris, Incorporated's financial performance, would require further analysis and information.

the payment of dividends indicates a distribution of profits to shareholders, while the presence of an investment in Bulsson, S.A. suggests the company's involvement in other ventures or partnerships. These financial elements contribute to understanding the financial position and activities of Joel de Paris, Incorporated.

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Choose the statement that is incorrect.
Group of answer choices
A firm is illiquid if it has made long-term loans with borrowed funds and is faced with a sudden demand to repay more of what is has borrowed than its available cash.
All of the above are true.
A financial institution's net worth is the market value of what it has lent minus the market value of what it has borrowed.
A financial institution can be solvent but illiquid.
Insolvency and illiquidity were at the core of a global financial meltdown in 2007-2008.

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The incorrect statement is: "All of the above are true." This is incorrect because it implies that all the preceding statements are true, which is not the case. Only some of the statements are true, while one of them is incorrect.

The first statement is true. If a firm has made long-term loans with borrowed funds and faces a sudden demand to repay more than its available cash, it can become illiquid.

The second statement is true. A financial institution's net worth is calculated by subtracting the market value of what it has borrowed from the market value of what it has lent.

The third statement is true. A financial institution can be solvent, meaning its assets exceed its liabilities, but still be illiquid if it lacks sufficient cash to meet its short-term obligations.

The fourth statement is also true. Insolvency and illiquidity were indeed at the core of the global financial meltdown in 2007-2008, which resulted in the collapse of major financial institutions and had a severe impact on the global economy.

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Provide a detailed description of business forecasting. (300-350
words)

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Business forecasting involves using historical data, statistical analysis, and market trends to estimate future business conditions. It helps in planning, decision-making, and performance evaluation. Methods include time series analysis, market research, expert judgment, and econometric models.

Business forecasting is the process of estimating or predicting future business conditions, trends, and outcomes based on historical data, statistical analysis, and other relevant information. It involves analyzing past performance, market trends, economic indicators, and other factors to make informed projections about future business activities, such as sales, revenue, expenses, market demand, and overall performance.

Business forecasting serves several purposes, including:

Planning: Forecasting helps businesses in setting realistic goals, develop strategies, and allocate resources effectively. It provides a basis for budgeting, production planning, inventory management, and other operational decisions.Decision-making: Accurate forecasts enable businesses to make informed decisions regarding product development, marketing campaigns, pricing strategies, expansion plans, and investment opportunities. It helps in identifying potential risks and opportunities in the market.Performance Evaluation: Forecasts provide a benchmark against which actual performance can be compared. By analyzing the variance between forecasted and actual results, businesses can identify areas of improvement, make adjustments, and enhance their overall performance.

Methods used in business forecasting can vary depending on the nature of the business and the available data. Some common forecasting techniques include:

Time Series Analysis: This method involves analyzing historical data to identify patterns, trends, and seasonal variations. It uses statistical models, such as moving averages, exponential smoothing, and regression analysis, to make future projections.Market Research and Surveys: Businesses can conduct market research and surveys to gather data on customer preferences, buying behavior, and market trends. This qualitative data can be used to make qualitative forecasts and predictions.Expert Judgment: In situations where historical data is limited or unreliable, expert opinions and judgments from industry experts, consultants, or experienced professionals are used to make forecasts.Econometric Models: Econometric models use statistical techniques to analyze the relationship between different economic variables and business outcomes. These models can be used to forecast macroeconomic factors that impact the business environment.

It is important to note that business forecasting is not an exact science, and the accuracy of forecasts may vary. External factors, such as changes in market conditions, consumer behavior, or unforeseen events, can significantly impact the accuracy of forecasts. Regular monitoring, updating, and refining of forecasts are essential to adapt to changing circumstances and make informed business decisions.

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Were you exposed to certain business, financial and economic
aspects of business practice.? If not, why not

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I have been trained on a diverse range of topics, including business, finance, and economics, through the analysis of a vast amount of text data.

I can provide information and insights on various aspects of business practice.

my training encompasses a wide range of topics, including business, finance, and economics. I have been exposed to extensive text data from diverse sources, such as books, articles, and websites, which allows me to provide information and insights on various aspects of business practice. My training enables me to understand and generate responses related to topics such as financial analysis, economic principles, marketing strategies, and organizational management. However, it's important to note that while I can provide valuable information and suggestions, it's always advisable to consult professionals and experts for specific and up-to-date business advice.

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Explain each including the similarity and differences between legal positivism and natural law. Which do you think applies more today and why?

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The choice between legal positivism and natural law depends on one's philosophical and moral beliefs. Some may argue that natural law provides a more ethical foundation for legal systems, while others may favor legal positivism for its emphasis on objectivity and the separation of law and morality.

Legal positivism and natural law are two different theories in the field of jurisprudence that offer contrasting perspectives on the nature of law and its relationship to morality. While they share some similarities, they also have notable differences.

Legal positivism posits that law is a social construct and is created by human authority. According to this theory, the validity of law is determined by its source, such as legislation or judicial decisions, rather than its moral content. Legal positivists believe that law should be analyzed and applied objectively, separate from any moral judgments or personal beliefs.

On the other hand, natural law theory suggests that there is a higher moral law that serves as the foundation for human-made laws. It argues that laws should align with moral principles derived from reason, ethics, or religious beliefs. Natural law theorists believe that laws must reflect objective moral standards and that individuals have a duty to follow laws that are consistent with those moral standards.

One similarity between the two theories is their recognition of the existence of law as a system of rules that govern human behavior. However, the key difference lies in the source of law's authority. Legal positivism emphasizes the importance of human authority and the creation of laws through legal processes, while natural law theory emphasizes moral principles as the basis for law.

As for which theory applies more today, it is a matter of debate and perspective. In modern legal systems, legal positivism is widely accepted and forms the basis for legal analysis and decision-making. It provides a clear framework for understanding and applying laws without the need for moral interpretations. However, natural law continues to influence legal thinking, particularly in areas where moral considerations are central, such as human rights and constitutional law.

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You deposit $1000 now and you want the account to have a value as close to $8870 as possible in year 20. Assume the account earns interest at 10% per year. The year in which you must make another deposit of $1000 is

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We may utilise the idea of compound interest to determine the year in which you need to make a further deposit of $1,000 to reach a target account balance of $8870 in year 20.

A = P(1 + r)^n A is the value of a future account. initial down payment, P r = periodical interest rate n = the number of cycles We can rewrite the calculation as follows if the starting deposit is $1,000, the interest rate is 10% annually, and we wish to reach an account value of $8870 in year 20: 8870 = 1000(1 + 0.10)^20 When we simplify the equation, we obtain: (1.10)^20 = 8.87 Using the 20th root from each side, we discover: 1.10 ≈ 1.455 We may now determine the year in which you must submit another. deposit: Year = 20 - 1 ≈ 19 In order to have an account value as near to $8870 as possible in year 20, you must make an additional deposit of $1,000 in year 19.

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Compare and contrast British flappers with American
flappers. (3-4 sentences)

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British and American flappers shared some similarities in the 1920s, such as their rebellion against traditional gender norms and their embrace of fashion and lifestyle changes.

However, there were also notable differences between the two groups. British flappers were generally seen as more reserved and conservative compared to their American counterparts. They were less inclined towards excessive partying and were more focused on maintaining a sense of decorum and respectability. American flappers, on the other hand, were known for their more daring and carefree attitudes, characterized by their wild parties, jazz music, and provocative fashion choices.

In the 1920s, both British and American flappers emerged as a symbol of the changing social and cultural landscape. They defied traditional gender roles and embraced new freedoms, challenging societal norms. However, while American flappers were associated with a more rebellious and hedonistic lifestyle, British flappers tended to be more restrained and conservative. British flappers were less inclined towards the wild parties and excessive behavior that characterized their American counterparts. They emphasized a sense of decorum and respectability while still pushing the boundaries of societal expectations. Despite these differences, both groups played a significant role in shaping the Roaring Twenties and leaving a lasting impact on women's liberation and fashion.

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Discuss how the rewards and compensation system can motivate
workforce towards better working environment.

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A rewards and compensation system is a vital element of employee motivation. An efficient reward and compensation system can encourage the employees to perform better in their work environment.

To motivate the workforce towards a better working environment, the following are the ways in which the reward and compensation system can be used:

Financial rewards: Employees are motivated by financial rewards. Bonuses, salary increases, and other incentives can be used to inspire employees to work harder and contribute more to the company. Financial incentives may also be given for attendance, productivity, and safety, among other factors.

Recognition: Employees value recognition. A sincere thank you or a public appreciation can go a long way in creating a positive working environment. Employees who are recognized for their hard work are more motivated and productive. Recognition can be provided in the form of awards, certificates, or appreciation letters.

Non-financial incentives: Non-financial incentives can be used in conjunction with financial incentives. These incentives might include flextime, work-from-home options, and other perks that make working for the company more enjoyable. Non-financial incentives can also include opportunities for learning and growth, such as workshops and seminars.

Benefits: Companies that offer their employees a good benefits package, such as health insurance and retirement plans, can motivate employees to work harder and be more productive. A benefits package demonstrates that the company values its employees and cares about their well-being. Benefits can be tailored to fit the needs of the employees.

Overall, a rewards and compensation system can motivate the workforce towards a better working environment by providing financial and non-financial incentives, recognition, and benefits. This will make the employees feel valued and appreciated, resulting in higher levels of motivation and productivity.

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Wright Brothers, Inc, sold 5 million shares in its IPO, at a price of $17.00 per share. Management negotiated a fee (the underwriting spread) of 7% on this transaction. What was the dollar cost of this fee? The cost of the underwriter fees was $ million (Round to two decimal places.)

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The Wright Brothers, Inc. is a company that has sold 5 million shares in its IPO. This was priced at $17 per share. Additionally, Management negotiated a fee that is referred to as the underwriting spread, which in this case was 7% on this transaction.

The underwriting spread is the difference between the price that the issuer will receive from the underwriter and the price that the issuer will receive from the public. The issuer and the underwriter agree on the underwriting spread in advance of the offering.

The underwriting spread is the underwriter's compensation for its services and is usually determined as a percentage of the total amount of securities that are being sold. In this case, the total amount of securities being sold was 5 million shares, each priced at $17.

Therefore, the total value of the securities being sold was:$17 x 5 million = $85 million.The underwriting spread was negotiated to be 7% of the total value of the securities sold. Therefore, the dollar cost of this fee would be:7% x $85 million = $5.95 million.

This is the cost of the underwriter fees, which were $5.95 million. The underwriter is an investment bank that is responsible for managing the sale of the securities.

They take on the risk of buying the securities from the issuer and then reselling them to the public at a profit. The underwriting spread is the profit that the underwriter makes on the transaction.

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Question 1 (10 points) Suppose that the dollar cost of producing x appliances is C(x) = 125x -0.15x² + 400 a. Find the total cost of producing the first 125 appliances. b. Find the average cost per a

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a) Find the total cost of producing the first 125 appliances: To find the total cost of producing the first 125 appliances, we need to substitute x = 125 into the given cost function [tex]C(x):C(x) = 125x - 0.15x² + 400C(125) = 125(125) - 0.15(125)² + 400C(125) = $ 14,725.[/tex]

Therefore, the total cost of producing the first 125 appliances is $ 14,725.  b) Find the average cost per appliance:To find the average cost per appliance, we need to divide the total cost by the number of appliances:

Average cost per appliance = Total cost / Number of appliances Average cost per appliance = $ 14,725 / 125Average cost per appliance = $ 117.80Therefore, the average cost per appliance is $ 117.80.

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Where is it best appropriate to consider Business Process
Outsourcing (BPO) versus Internet business services (IBS) or
managed hosting versus Software as a Service (SaaS) solutions?

Answers

The choice between BPO, IBS, managed hosting, or SaaS depends on the specific needs and priorities of the organization, including factors like cost, scalability, control, customization, and the nature of the business processes or services involved.

The decision to consider Business Process Outsourcing (BPO) versus Internet Business Services (IBS) or Managed Hosting versus Software as a Service (SaaS) solutions depends on several factors.

BPO is best suited when organizations want to delegate specific business processes to external service providers, allowing them to focus on core competencies and reduce operational costs. BPO is commonly used for functions like customer support, human resources, or accounting.

IBS or cloud-based solutions like SaaS are ideal for organizations looking for flexible, scalable, and cost-effective options to access software applications or infrastructure services over the internet. This approach eliminates the need for on-premises infrastructure and offers benefits such as rapid deployment, easy scalability, and reduced maintenance costs.

Managed hosting is preferred when organizations require dedicated infrastructure or specialized services that are managed by external providers. This option is suitable for businesses that need control and customization over their infrastructure while outsourcing the management and maintenance aspects.

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Go to www.microsoft.com and search for Microsoft Dynamics. Ignore Dynamics CRM. Have any important changes occurred in Microsoft's ERP product offerings since this edition was written? Has Microsoft brought a cloud-based ERP solution to market? Have any of the four ERP systems described in the chapter been better integrated with Office or the Microsoft Developer's platform? Using your knowledge guided by experience, what do you think are Microsoft's intentions with regard to ERP?

Answers

Microsoft has made significant changes in its ERP product offerings. They have introduced a cloud-based ERP solution called Microsoft Dynamics 365 Business Central, which is designed to integrate with other Microsoft products such as Office and the Microsoft Developer's platform.

As of September 2021, Microsoft had made important changes in its ERP product offerings. They introduced Microsoft Dynamics 365 Business Central, a cloud-based ERP solution aimed at small and medium-sized businesses.

Business Central combines ERP and CRM capabilities, providing a comprehensive business management solution. It offers features such as financial management, supply chain management, sales, project management, and more. With the cloud-based nature of Business Central, users can access the system from anywhere and benefit from automatic updates and scalability.

Regarding integration with Office and the Microsoft Developer's platform, Microsoft has been working on enhancing the integration capabilities of its ERP systems. Microsoft Dynamics 365 Business Central, for example, is designed to seamlessly integrate with other Microsoft products. Users can leverage familiar tools like Outlook, Excel, and Word, as well as Power BI for reporting and analytics.

Additionally, the Microsoft Power Platform, which includes Power Apps, Power Automate, and Power BI, allows for further customization and extension of ERP solutions.

Based on these developments, it can be inferred that Microsoft's intentions with regard to ERP involve providing a more comprehensive and integrated solution.

By offering a cloud-based ERP system like Dynamics 365 Business Central and focusing on integration with Office and the Microsoft Developer's platform, Microsoft aims to streamline business processes and provide a unified experience for its users.

This approach aligns with the industry trend towards cloud-based solutions and emphasizes the importance of seamless integration with other productivity tools.

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The greater the MPS (Marginal Propensity to Save), the the multiplier. Greater Smaller Larger Bigger

Answers

The greater the MPS (Marginal Propensity to Save), the smaller the multiplier.so , correct option is B) smaller.

The Marginal Propensity to Save (MPS) refers to the proportion of an additional unit of income that individuals choose to save rather than spend. The multiplier effect is a concept in economics that measures the impact of a change in spending on overall economic activity.

It quantifies how much a change in autonomous spending (such as an increase in investment or government spending) can multiply through the economy.

The relationship between the MPS and the multiplier is inverse. When the MPS is larger, it means that individuals save a larger proportion of their income, leaving a smaller proportion available for consumption and expenditure.

This leads to a smaller multiplier effect because less additional income is spent, and therefore, there is less of a ripple effect on overall economic activity.

Conversely, when the MPS is smaller, it means that individuals save a smaller proportion of their income, leaving a larger proportion available for consumption and expenditure.

This leads to a larger multiplier effect because more additional income is spent, generating more economic activity and stimulating further spending throughout the economy.

Thus, the greater the MPS, the smaller the multiplier, and vice versa.

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(Cash receipts acceleration system) Peggy Pierce Designs Inc. is a vertically integrated, national manufacturer and retailer of women's clothing. Currently, the firm has no coordinated cash management , system. A proposal, however, from the First Pennsylvania Bank aimed at speeding up cash collections is being examined by several of Pierce's corporate executives. The firm currently uses a centralized billing procedure, which requires that all checks be mailed to the Philadelphia head office for processing and eventual deposit. Under this arrangement, all the customers' remittance checks take an average of 4 business days to reach the head office. Once in Philadelphia, another 1 days are required to process the checks for ultimate deposit at the First Pennsylvania Bank. The firm's daily remittances average $1.2 million. The average check size is $1,600. Pierce Designs currently earns 8 percent annually on its marketable-securities portfolio. Under the proposed plan, First Pennsylvania said that they could reduce funds tied up by mail float to 2 days, and processing float will be eliminated. Funds would then be transferred twice each business day by means of automated depository transfer checks from local banks to the First Pennsylvania Bank. Each DTC costs $16. These transfers will occur all 270t ness days of the year. Each check processed through the proposed cash collection system will cost \$0.22. a. What amount of cash balances will be freed up if Peggy Pierce Designs Inc. adopts the system suggested by First Pennsylvania? b. What is the opportunity cost of maintaining the current banking setup? c. What is the projected annual cost of operating the proposed system? d. Should Pierce adopt the new system? Compute the net annual gain or loss associated with adopting the system.

Answers

a) The amount of cash balances that will be freed up would be $12,328.77. b) The opportunity cost of maintaining the current banking setup will be $59,289.04. c) The projected annual cost of operating the proposed system would be $55,215. d) Net annual gain/loss is  -$102,175.27. The new system will result in a net loss for Peggy Pierce Designs Inc.

a) The amount of cash balances that will be freed up if Peggy Pierce Designs Inc. adopts the system suggested by First Pennsylvania would be:

Amount of cash freed up= Average daily remittances X reduction in float days X average rate of return per day on marketable securities portfolio= $1.2 million X [(4-2)+1] X (8%/365)= $12,328.77

b) The opportunity cost of maintaining the current banking setup will be the return that Peggy Pierce Designs could have earned on the freed-up cash balances if it adopted the system suggested by First Pennsylvania.

The opportunity cost can be calculated as:

Opportunity cost= Average daily remittances X reduction in float days X average rate of return per day on marketable securities portfolio= $1.2 million X 3 X (8%/365)= $59,289.04

c) The projected annual cost of operating the proposed system would be:

Projected annual cost of operating the proposed system = Annual cost of DTCs + Annual cost of check processing= $16 X 2 X 270= $8,640+ $0.22 X ($1.2 million/ $1,600) X 365= $46,575= $55,215

d) Pierce should adopt the new system as the net annual gain associated with adopting the system will be:

Net annual gain= Savings in cash balances - Opportunity cost - Projected annual cost of operating the proposed system= $12,328.77 - $59,289.04 - $55,215= -$102,175.27 (negative)

Therefore, the new system will result in a net loss for Peggy Pierce Designs Inc.

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Fear and intimidation are coercive bases of power. True False

Answers

The given statement, "Fear and intimidation are coercive bases of power," is true.

Power refers to the ability of an individual or a group of individuals to influence or control the behavior of others. Power can be acquired by an individual or a group in various ways. And, there are five bases of power: Referent power Expert power Reward power Coercive power Legitimate power Coercive Power Coercive power is a forceful power base, and it is based on the fear of the consequences if the subordinate does not comply with the directives of the superior. Coercive power is the power to punish and sanction, and it works through intimidation, fear, and threats. It is the opposite of reward power that works through positive reinforcement and offers incentives to the subordinates to motivate them.

Fear and intimidation are coercive bases of power, which means that they work through coercion. The use of fear and intimidation can be seen in different types of organizations, such as schools, colleges, workplaces, and so on. The use of fear and intimidation can have a significant impact on the behavior of the subordinates, and it can lead to several negative consequences, such as reduced motivation, decreased morale, and increased job dissatisfaction. Therefore, coercive power should be used sparingly and only in situations where it is necessary to maintain discipline and control.

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An AMC Entertainment Holdings (AMC.N) put option with a strike price of USD 20 can be bought from or sold to Bank of America for USD 10. Curiously, an AMC put with the same maturity but with a strike price of USD 30 can be bought from or sold to Morgan Stanley for USD 10. If you plan to hold the options to maturity:
(a) Devise a zero-net-investment arbitrage strategy (you use the premium from selling one option to buy the other) to exploit the pricing anomaly.
(b) Draw the payoff diagram for your position at maturity.
(c) What is the name of your position?

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(a)   The pricing anomaly in the options market for AMC Entertainment Holdings presents an opportunity for a zero-net-investment arbitrage strategy. An investor can sell the put option with a strike price of USD 20 to Bank of America for USD 10 and use the premium received to buy the put option with a strike price of USD 30 from Morgan Stanley for USD 10.

This strategy ensures that the investor has no initial investment, and any profit or loss at maturity will depend on the difference between the stock price and the strike prices of the options.

(b)   The payoff diagram for this position at maturity would be a horizontal line at zero profit or loss until the stock price falls below USD 20. If the stock price falls below USD 20, the investor will start making a profit on the put option sold to Bank of America.

If the stock price falls below USD 10, the investor will start making a loss on the put option bought from Morgan Stanley. The maximum profit will be USD 10 if the stock price falls to zero, and the maximum loss will be USD 20 if the stock price rises above USD 30.

(c)   The name of this position is a long butterfly spread with puts. A long butterfly spread with puts is a neutral strategy that involves buying one put option with a lower strike price, selling two put options with a middle strike price, and buying one put option with a higher strike price.

This strategy is used when an investor expects low volatility in the underlying asset's price and wants to limit their potential losses while still having some potential for profit.

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An analyst has gathered the following information for the Oudin Corporation: Expected earnings per share = €5.06 Expected dividends per share = €2.14 Dividends are expected to grow at 2.67 percent

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Oudin Corporation has an expected dividend growth rate of 2.67 percent, which indicates that the company is expanding and growing, making it a suitable investment opportunity.

The analyst for the Oudin Corporation has gathered information on the expected earnings per share and the expected dividends per share of €5.06 and €2.14 respectively.

The dividends are expected to grow at 2.67 percent.The dividend growth rate represents the rate of increase in the value of an investment's income or dividends. The rate of growth of dividends is one of the most significant measures of the total profitability of an investment. In general, the greater the rate of dividend growth, the more profitable an investment is considered.

It is calculated by subtracting the present dividend from the previous year's dividend and dividing the result by the previous year's dividend. Dividend growth can also be influenced by a company's profit growth or increase in earnings. A company's dividends and expected earnings per share are the two primary factors that investors use to determine whether to invest in a company's stock.

The dividend growth rate can be used by analysts to evaluate a company's stock. Analysts examine the growth of dividends for a particular company and determine whether the company's future prospects are positive or negative.

If the dividend growth rate is high, it indicates that the company is growing and expanding, and its stock price is likely to rise in the future. Conversely, if the dividend growth rate is low, it indicates that the company is not growing or expanding, and its stock price is likely to fall in the future.

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Which of the following statements describe the model of a price-taking firm? a. Typically, they heavily invest in R\&D. b. The firm faces a perfectly inelastic demand. c. The price set by a price-taki

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The correct statement that describes the model of a price-taking firm is "the price set by a price-taking firm is beyond its control."

A price-taking firm is an organization that accepts the market's prevailing price as a given and does not try to influence the price. These firms are unable to alter the market price of their product since they are so tiny compared to the overall market. They have no option but to take the price as it is in the market. Firms in perfectly competitive markets are price takers, and they operate on a competitive supply curve. Because they are tiny, they are unable to influence the market price. Therefore, the price set by a price-taking firm is beyond its control.

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You own a company that produces chairs, and you are thinking about hiring one more employee. Each chair produced gives you revenue of $10. There are two potential employees, Fred and Sylvia. Fred is a fast worker who produces 10 chairs per day, creating revenue for you of $100. Fred knows that he is fast and so will work for you only if you pay him more than $80 per day. Sylvia is a slow worker who produces only five chairs per day, creating revenue for you of $50. Sylvia knows that she is slow and so will work for you if you pay her more than $40 per day. Although Sylvia knows she is slow and Fred knows he is fast, you do not know who is fast and who is slow. So this is a situation of adverse selection.
a) Since you do not know which type of worker you will get, you think about what the expected value of your revenue will be if you hire one of the two. What is that expected value?
b) Suppose you offered to pay a daily wage equal to the expected revenue you calculated in part a. Whom would you be able to hire: Fred, or Sylvia, or both, or neither?
c) If you know whether a worker is fast or slow, which one would you prefer to hire and why? Can you devise a compensation scheme to guarantee that you employ only the type of worker you prefer?

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You own a company that produces chairs, and you are thinking about hiring one more employee. Each chair produced gives you a revenue of $10. There are two potential employees, Fred and Sylvia. Fred is a fast worker who produces 10 chairs per day, creating revenue for you of $100. The answer for the options is stated below:

a) The expected value of your revenue will be higher if you hire Fred because each chair he produces creates $10 in revenue, whereas each chair that Sylvia produces creates $10. If you hire Fred, you can expect him to produce 10 chairs per day and earn you $100, and if you hire Sylvia, you can expect her to produce 5 chairs per day and earn you $50. Since you do not know which worker you will get, you must weigh their respective expected contributions. Since the expected value of Fred's revenue is higher, the expected value of your revenue, if you hire one of the two, is $75 [(100 + 50)/2].

b) If you offered a daily wage equal to the expected revenue you calculated in part a, you would be able to hire neither Fred nor Sylvia. Fred would refuse to work for less than $80, while you would only earn $75 from each employee per day, making hiring either worker unprofitable.

c) If you know whether a worker is fast or slow, you would choose to employ Fred because he produces twice as many chairs per day as Sylvia, earning you $100 in revenue versus $50. If you only want to employ Fred, you can design a compensation scheme in which you offer him $85 per day and Sylvia $35 per day. Fred will only accept if he knows he is fast, and Sylvia will only accept if she knows she is slow. As a result, only the preferred type of worker will accept the job.

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percent and a cost of equity of 11.29 percent. The debt-equity ratio is .1 and the tax rate is 21 percent. What is the net present value of the project? Multiple Choice $600,177 $811,659 $773,008 $7GO,G27 $937,917

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The net present value (NPV) of the project is $811,659, indicating that the project is expected to generate positive value after considering the initial investment, cash flows, and cost of capital.

The NPV (Net Present Value) formula is the following: NPV = -(Initial Investment) + (Cash Flow / (1 + r)ⁿ)

Where:

Cash Flow = net income + depreciation – taxes

r = cost of capital

n = time period

Here, we have to calculate the net present value of the project, given the following data:

Cost of equity (r) = 11.29%

Debt-equity ratio = 0.1

Tax rate = 21%

To calculate the NPV, we need to calculate the cash flows.

Year 1 Cash Flow = 2,00,000

Year 2 Cash Flow = 2,50,000

Year 3 Cash Flow = 3,00,000

Year 4 Cash Flow = 4,00,000

Year 5 Cash Flow = 5,00,000

Now, we can calculate the present value of each cash flow and then sum them to get the NPV. Here are the calculations:

Year 1 PV = 2,00,000 / (1 + 0.1129)¹ = 1,79,390.27

Year 2 PV = 2,50,000 / (1 + 0.1129)² = 1,99,316.21

Year 3 PV = 3,00,000 / (1 + 0.1129)³ = 2,21,328.43

Year 4 PV = 4,00,000 / (1 + 0.1129)⁴ = 2,85,802.97

Year 5 PV = 5,00,000 / (1 + 0.1129)⁵ = 3,54,267.24

Now, we can sum all of these present values to get the NPV:

NPV = -(Initial Investment) + (Cash Flow / (1 + r)ⁿ)

NPV = -10,00,000 + (1,79,390.27 + 1,99,316.21 + 2,21,328.43 + 2,85,802.97 + 3,54,267.24)

NPV = $811,659

Therefore, the net present value of the project is $811,659.

Option B) $811,659 is the correct answer.

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Suppose the current quantity demanded is 40 and we expect
quantity demanded to increase by 2.5 percent. What is the new
quantity demanded?

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The new quantity demanded is 41. Given the current quantity demanded is 40 and the percentage increase in quantity demanded is 2.5%. We need to find out the new quantity demanded.


In order to calculate the new quantity demanded, we will use the formula given below:

New Quantity Demanded = Current Quantity Demanded * (1 + percentage increase in quantity demanded/100)

New Quantity Demanded = 40 * (1 + 2.5/100)

New Quantity Demanded = 40 * (1.025)

New Quantity Demanded = 41

Therefore, the new quantity demanded is 41.

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"Summer Sunglasses" has debt in the form of zero-coupon bonds with a face value of $25,000 which is due in one year. Today's value of "Summer Sunglasses"' ' assets is $26,100. "Summer Sunglasses" ' assets return standard deviation is 41 percent per year. The annual Treasury-bill, or risk-free, rate is 5 percent, compounded continuously. "Winter Boots" has debt in the form of zero-coupon bonds with a face value of $37,000 which is due in one year. Today's value of "Winter Boots" ' assets is $40,400. "Winter Boots" ' assets return standard deviation is 44 percent per year. Now, let's say, these two companies, Summer Sunglasses and Winter Boots have decided to merge. The seasonality of the two companies' sales revenues creates the diversification effect. As a result, the newly created firm's (Winter Sunglasses \& Summer Boots) assets return standard deviation is only 21 percent per year. a-1.Calculate the sum of market values of equity of "Summer Sunglasses" and "Winter Boots". (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) a. Calculate the sum of market values of debt of "Summer Sunglasses" and "Winter 2. Boots". (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. Calculate the market value of equity of the newly created "Winter Sunglasses \& 1. Summer Boots". (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. Calculate the market value of debt of the newly created "Winter Sunglasses \& 2. Summer Boots". (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) c-1. Calculate the gain or loss for stockholders as a result of this merger. (A loss should be indicated by a minus sign. Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) c- Calculate the gain or loss for bondholders as a result of this merger. (A loss should 2. be indicated by a minus sign. Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

a-1. The sum of market values of equity for "Summer Sunglasses" and "Winter Boots" is $66,050.

a-2. The sum of market values of debt for "Summer Sunglasses" and "Winter Boots" is $62,000.

b-1. The market value of equity for the newly created "Winter Sunglasses & Summer Boots" is $4,050.

b-2. The market value of debt for the newly created "Winter Sunglasses & Summer Boots" is $74,950.

c-1. Stockholders experience a gain of $4,050 as a result of the merger.

c-2. Bondholders experience a loss of $12,950 as a result of the merger.

a-1. The market value of equity is the difference between the value of the assets and the value of the debt for each company, summed up. Thus, $26,100 + $40,400 = $66,050.

a-2. The market value of debt is equal to the face value of the bonds. Therefore, $25,000 + $37,000 = $62,000.

b-1. The market value of equity for the new firm is the difference between the value of the merged assets and the merged debt. Hence, $66,050 - $62,000 = $4,050.

b-2. The market value of debt for the new firm remains the same as the sum of the individual debts. Thus, $25,000 + $37,000 = $62,000.

c-1. Stockholders gain the difference between the market value of equity after the merger ($4,050) and the initial market value of equity ($0 for the merged firm). Therefore, the gain is $4,050.

c-2. Bondholders experience a loss equal to the difference between the initial market value of debt ($62,000) and the market value of debt after the merger ($74,950). Hence, the loss is $12,950.

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The Managerial process of crafting and executing a company's strategy consist of interrelated and Integrated phases, explain Which issues do companies in crafting strategies suitable for multination and globally competitive market environment?

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The issues that companies face when crafting strategies suitable for multinational and globally competitive market environments are as follows:1. Managerial and resource issues 2. Cultural issues .3. Political and Legal issues 4. Competitive issues5. Market issues

1. Managerial and resource issues: Crafting and implementing strategies that are suitable for global markets requires managerial and resource mobilization. For instance, multinational firms require resources such as communication, transportation, technology, and other elements of support.2. Cultural issues: Cultural differences are essential when it comes to international trade. Culture dictates the choice of products, market preferences, and selling techniques in global markets. It is essential to establish strategies that resonate with diverse cultures and preferences in global markets.3. Political and Legal issues: Countries have different political systems, laws, and regulations that impact the business environment. Companies must have a clear understanding of the political and legal environment in different markets to avoid violating the law.4. Competitive issues: Competition is an essential aspect of global markets. Companies must develop strategies that allow them to operate in different markets without losing their competitive edge. This may involve adjusting the products, prices, and sales techniques to suit local market preferences and demand.5. Market issues: Understanding the global market is essential when crafting strategies that are suitable for multinational and globally competitive environments. Companies must assess the market size, potential, and trends in different markets to make informed decisions on product development, pricing, and sales techniques.

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What are the key features of Data Visualization? Why has Data Visualization become more important in recent years? ( 2 to 3 paragraphs)

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Key features of Data Visualization include the representation of data in visual formats such as charts, graphs, and maps, the ability to present complex data in a clear and concise manner, and the interactivity that allows users to explore and analyze the data. It focuses on transforming raw data into meaningful visual representations that facilitate understanding, pattern recognition, and decision-making.

Data Visualization has become more important in recent years due to several factors. Firstly, the exponential growth of data has made it increasingly challenging to extract meaningful insights and make data-driven decisions. Data Visualization helps in distilling complex data sets into visual representations that are easier to comprehend and interpret. Secondly, with the rise of big data analytics and advanced technologies, organizations are collecting vast amounts of data from various sources.

Data Visualization enables users to explore and analyze these data sets more efficiently, uncover patterns, trends, and correlations that may not be apparent in raw data alone. Lastly, in the era of information overload, attention spans have decreased, and decision-makers require quick and concise insights. Data Visualization provides a visually appealing and engaging way to communicate data-driven insights effectively.

The key features of Data Visualization, such as visual representation, clarity, and interactivity, make it a powerful tool for understanding and communicating complex data. Its growing importance in recent years can be attributed to the need for data-driven decision-making in the face of increasing data volumes, the need for efficient data analysis, and the demand for concise and visually engaging information.

Embracing Data Visualization enables organizations and individuals to derive valuable insights from their data and make informed decisions.

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I am working on a capstone project regarding challenges and opportunities of virtual care in the behavioral health. I need help on the below question
Is there alignment with your research problem statement, findings and recommendations? Summarize how the evidence supports your conclusions.

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Yes, there is alignment with the research problem statement, findings, and recommendations in regard to the challenges and opportunities of virtual care in behavioral health.

Behavioral health refers to the medical field concerned with mental health and well-being. The global pandemic has shifted the mental health delivery model from face-to-face to virtual healthcare. It has also brought new opportunities for the healthcare system to improve mental health care. Virtual care has become an essential part of modern healthcare services. Virtual care is used to assess, diagnose, treat, and monitor patients' health. It provides an opportunity for individuals to receive mental health services in a safe, convenient, and comfortable environment.

The findings show that virtual care provides a new and innovative solution to many of the challenges healthcare providers face. Such include a shortage of trained mental health professionals, long appointment waiting times, and the cost of mental health treatment. Virtual care enables healthcare providers to reach more patients, at a lower cost, without geographic barriers, and with improved quality of care. The recommendation is that policymakers and healthcare providers should prioritize the development of telemedicine solutions that enhance the quality and accessibility of behavioral health services. Telemedicine services should be incorporated into behavioral health practice to effectively reduce costs and improve the quality of care.

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