A construction company has taken up a project to build a high-rise office complex. The time required to complete a construction project is normally dis- tributed with a mean of 80 weeks and a standard de- viation of 10 weeks. A construction company must pay a penalty if the project is not finished by the due date in the contract. (a) If a construction company bidding on this con- tract puts in a due date of 80 weeks, what is the probability that they will have to pay a penalty? (b) If a construction company bidding on this con- tract wishes to be 90% sure of finishing by the due date, what due date (project week #) should be negotiated?

Answers

Answer 1

The time required to complete the construction project is normally distributed with mean μ = 80 weeks and a standard deviation σ = 10 weeks.The question is asking to calculate the probability of paying a penalty if a due date of 80 weeks is put in the contract.X ~ N (μ, σ²)Z = (X - μ) / σ

\For part (a), Z value needs to be calculated, it is given by;Z = (X - μ) / σ = (80 - 80) / 10 = 0Using the Z-table, the probability of Z < 0 is 0.5 which means the probability of completing the project in 80 weeks is 0.5 and the probability of paying a penalty is 0.5EXPLANATIONTo calculate the probability of paying a penalty if a due date of 80 weeks is put in the contract, first, we need to calculate the Z-value.Z value is given by;Z = (X - μ) / σWhere X is the project completion time which is equal to 80 weeks, μ is the mean completion time.

which is equal to 80 weeks and σ is the standard deviation which is equal to 10 weeks.After substituting the given values;Z = (X - μ) / σ = (80 - 80) / 10 = 0Using the Z-table, the probability of Z < 0 is 0.5 which means the probability of completing the project in 80 weeks is 0.5 and the probability of paying a penalty is 0.5.Hence, the probability of paying a penalty is 0.5 if a construction company bidding on this contract puts in a due date of 80 weeks.

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Related Questions

Thomas Company borrowed $30,000 on March 1, 2019. Thomas signed a 2-year 6% interest-bearing note. What is the adjustment amount to accrue interest on December 31, 2019?
A) $1,800
B) $3,600
C) $300
D) $1,500

Answers

The adjustment amount to accrue interest on December 31, 2019 is A) $1,800.

Thomas Company borrowed $30,000 on March 1, 2019. Thomas signed a 2-year 6% interest-bearing note.  Interest for the 10 months to be accrued:Interest = Principal × Rate × Time Interest = $30,000 × 6% × (10/12)Interest = $30,000 × 0.06 × 0.83Interest = $1,800 To calculate the adjustment, we divide the interest by 12 (the number of months in a year) and multiply it by the number of months the interest has accrued (from March 1 to December 31), which is 10 months.

Adjustment = (Interest / 12) * Number of months

Adjustment = ($1,800 / 12) * 10 = $1,500 Therefore, the adjustment amount to accrue interest on December 31, 2019 is A) $1,800.

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A brewery is considering adding a new line of craft beers to its product mix. The new beer will require additional brewing and bottling capacity at a cost of? $15 million, but is expected to generate new sales of? $5 million per year for the next 5 years. If the brewery has a cost of capital of? 6%, what is the NPV of this? investment?
A. ?$8.6 million
B. ??$15 million
C. ?$3.7 million
D. ?$6.1 million
E. ?$10 million

Answers

Therefore, the correct answer is option C: $3.7 million. To calculate the Net Present Value (NPV) of the investment in the new line of craft beers.

we need to consider the initial cost of the investment, the expected cash flows over the next 5 years, and the cost of capital. To calculate the NPV, we discount the expected cash flows by the cost of capital. The cash flows are the annual sales generated by the new line of craft beers, which is $5 million per year for 5 years. The cost of capital is 6%.

Using the formula for NPV, we calculate the present value of each cash flow and sum them up. The formula is: NPV = Cash Flow / (1 + Cost of Capital)^n, where n represents the time period.

For this investment, the NPV can be calculated as follows:

NPV = (-$15 million) + ($5 million / (1 + 0.06)^1) + ($5 million / (1 + 0.06)^2) + ($5 million / (1 + 0.06)^3) + ($5 million / (1 + 0.06)^4) + ($5 million / (1 + 0.06)^5)

By calculating this expression, we find that the NPV of the investment is approximately $3.7 million.

Therefore, the correct answer is option C: $3.7 million.

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Inventory order is placed when __________
o a Only when projected or actual on hand stocks value is positive. o b. None of these o c Only when projected or actual on hand stocks are higher than the safety stock o d. Only when projected or actual stocks on hand is below zero

Answers

The correct answer to the question is option C Only when projected or actual on hand stocks are higher than the safety stock, which states that inventory order is placed only when projected or actual on hand stocks are higher than the safety stock.

Safety stock refers to the buffer inventory that a company maintains to safeguard against stockouts due to unexpected fluctuations in demand or supply chain disruptions.

Maintaining safety stock is essential for ensuring that the company can fulfill customer orders even during times of high demand or supply chain disruptions. However, holding too much safety stock can lead to excess inventory, tying up valuable capital and storage space. Therefore, inventory order should be placed only when the projected or actual on hand stocks are higher than the safety stock level.

This approach helps companies strike a balance between ensuring that they have enough inventory to meet demand while avoiding excess inventory costs. By monitoring inventory levels regularly and placing orders when required, companies can optimize their inventory management and ensure efficient operations.

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1) Define personal selling 2) Difference between transaction-focused traditional selling and trust-based relationship selling. 3) Describe the emphasis on sales professionalism. 4) Explain the contributions of personal selling to society, business firms, and customers.

Answers

Personal selling refers to the process of persuading and influencing potential customers through direct communication and personal interaction to make a purchase or take a desired action.

Personal selling can be categorized into two distinct approaches: transaction-focused traditional selling and trust-based relationship selling. Transaction-focused traditional selling primarily focuses on closing sales and generating immediate revenue.

It involves a more aggressive and short-term approach, often prioritizing individual transactions over long-term customer relationships. On the other hand, trust-based relationship selling emphasizes building strong, long-term relationships with customers based on trust, mutual understanding, and customer needs.

It involves a consultative approach, where salespeople act as trusted advisors, providing personalized solutions and fostering ongoing customer loyalty.

Sales professionalism places significant emphasis on ethical behavior, knowledge, and skills in the sales process. It encompasses a range of qualities and behaviors, including integrity, product knowledge, effective communication, customer empathy, and problem-solving abilities.

Sales professionals strive to create value for their customers, deliver exceptional service, and build trust, ultimately leading to mutually beneficial outcomes for both parties.

Personal selling contributes to society, business firms, and customers in several ways. From a societal perspective, it facilitates economic growth by creating job opportunities and generating revenue. It also enables consumers to make informed purchasing decisions through personalized guidance and product information.

For business firms, personal selling plays a crucial role in driving sales, increasing market share, and building customer loyalty. It allows companies to gather valuable feedback, understand customer preferences, and tailor their offerings accordingly.

Additionally, personal selling enhances customer satisfaction by providing personalized attention, addressing concerns, and building trust, leading to repeat business and positive word-of-mouth.

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At the beginning of the current year, Company declared a 10% share dividend. The market price of the entity’s 300,000 outstanding shares of P50 par value was P116 per share on that date.
The share dividend was distributed on July 1 when the market price was P100 per share.
What amount should be credited to share premium for the share dividend?

Answers

The amount credited to share premium for the share dividend is P480,000, calculated as the difference between the total value of the share dividend and the actual value of the share dividend distributed.

How to calculate the credit to share premium for the share dividend?

To determine the amount that should be credited to share premium for the share dividend, we need to calculate the increase in the company's equity resulting from the distribution of the share dividend.

The company declared a 10% share dividend on its 300,000 outstanding shares. This means that 10% of the outstanding shares, which is 30,000 shares, were distributed as dividends.

On the date of declaration, the market price per share was P116. So the total value of the share dividend is 30,000 shares * P116 per share = P3,480,000.

However, the share dividend was distributed on July 1 when the market price was P100 per share. Therefore, the actual value of the share dividend distributed is 30,000 shares * P100 per share = P3,000,000.

To calculate the amount that should be credited to share premium, we subtract the actual value of the share dividend distributed from the total value of the share dividend.

Amount credited to share premium = Total value of share dividend - Actual value of share dividend distributed

                                     = P3,480,000 - P3,000,000

                                     = P480,000

Therefore, P480,000 should be credited to share premium for the share dividend.

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Brier Company, manufacturer of car seat covers, provided the following standard costs for its product: Standard Standard Cost Standard Cost Inputs Quantity ($) per Unit (S) Direct materials 7.1 pounds

Answers

Standard cost is an estimated or predetermined cost of performing a process or producing a product under standard operating conditions.

Standard cost systems determine the cost of a product or service depending on the materials, labor, and overhead expected to be used during production. Brier Company, a manufacturer of car seat covers, has provided standard costs for its product. The standard costs for the product are as follows: Standard Cost Inputs Quantity ($) per Unit (S) Direct materials 7.1 pounds per unit $15.99 per pound Direct labor 0.8 hours per unit $21.75 per hour Manufacturing overhead 0.2 hours per unit $8.70 per hour Total cost per unit $169.73It's important to note that the standard costs are just estimates of what the cost should be under normal conditions.

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Brier Company provided the following standard cost for its product:Inputs Standard Quantity ($) per Unit (S) Standard CostDirect Materials 7.1 pounds $17.75 per pound $126.03Direct labor 2.5 hours $14.00 per hour $35.00Manufacturing overhead 2.5 hours $10.00 per hour $25.00Total standard cost per unit $186.03

Standard cost is a predetermined cost that is calculated based on estimates of resources required to produce a product or service under normal circumstances. It is a useful tool for budgeting and controlling costs, providing managers with a benchmark for evaluating actual costs and performance. Brier Company, a manufacturer of car seat covers, provided the following standard costs for its product:Direct materials: 7.1 pounds at $17.75 per poundDirect labor: 2.5 hours at $14.00 per hourManufacturing overhead: 2.5 hours at $10.00 per hourUsing this information, the total standard cost per unit can be calculated as follows:Direct materials cost = 7.1 pounds x $17.75 per pound = $126.03Direct labor cost = 2.5 hours x $14.00 per hour = $35.00Manufacturing overhead cost = 2.5 hours x $10.00 per hour = $25.00Total standard cost per unit = $186.03This means that Brier Company expects to spend $186.03 to produce one unit of car seat covers under normal circumstances.

Standard cost is an essential tool for budgeting and controlling costs. Brier Company, manufacturer of car seat covers, has provided the following standard costs for its product: direct materials (7.1 pounds at $17.75 per pound), direct labor (2.5 hours at $14.00 per hour), and manufacturing overhead (2.5 hours at $10.00 per hour). The total standard cost per unit is $186.03. This information can be used to evaluate actual costs and performance and to identify areas for improvement.

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The interest on a $100,000, 4 month note payable at 6% interest is: a. $6,000 b. $3,000 c. $2,000 d. $1,000 e. None of the above, the correct answer is: _______________

Answers

The correct answer is e. None of the above, the interest on a $100,000, 4-month note payable at 6% interest is $2,000.

To calculate the interest, you can use the formula: Interest = Principal x Rate x Time.

In this case, the principal is $100,000, the rate is 6% (0.06), and the time is 4 months (which needs to be expressed in years, so it becomes 4/12 or 1/3). Plugging these values into the formula:

Interest = $100,000 x 0.06 x 1/3

Interest = $100,000 x 0.02

Interest = $2,000

Therefore, the correct answer is $2,000.

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The AD-AS model uses two variables (price level and aggregate output) to represent the
short-run fluctuations of the economy.
a. For each following case, explain whether the economy moves along its AD curve
orwhether its ADcurve shifts (then in which direction):
i) The US economy (25% ofworld GDP) enters recession
ii) The Omani Riyal depreciates
iii) There is an increase in the price level
b. Are the effects of an increase inaggregate demand inthe aggregate demand and
aggregate supply model consistent with the Phillips curve? Explain.
c. TheCBO decides to reduce inflation. Usethe Phillip curve to showthe short-run
and long run effects of this policy. Howmightthe shortrun costs be reduced?
d. Why does a downward-sloping Phillips curve imply a positive sacrifice ratio?

Answers

The AD-AS model uses two variables (price level and aggregate output) to represent the short-run fluctuations of the economy. The sacrifice ratio measures the percentage increase in unemployment required to reduce inflation by 1 percentage point. If the Phillips curve is downward-sloping, then a positive sacrifice ratio is necessary to reduce inflation.

Here is how the AD curve moves for each given case:

i) The US economy (25% of world GDP) enters a recession. It leads to a decrease in consumer spending and aggregate demand that shifts to the left, causing the AD curve to shift leftward

.ii) The Omani Riyal depreciates. This leads to an increase in net exports and aggregate demand that shifts to the right, causing the AD curve to shift rightward.

iii) There is an increase in the price level. It leads to a decrease in consumer spending and aggregate demand that moves along the same AD curve but at a lower point on the curve. An increase in aggregate demand in the aggregate demand and aggregate supply model is consistent with the Phillips curve.

This is because an increase in aggregate demand leads to a decrease in unemployment and an increase in inflation in the short run. The Phillips curve explains the relationship between inflation and unemployment in the short run. If the CBO reduces inflation, it will lead to a decrease in aggregate demand.

The sacrifice ratio measures the percentage increase in unemployment required to reduce inflation by 1 percentage point. If the Phillips curve is downward-sloping, then a positive sacrifice ratio is necessary to reduce inflation.

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Buffalo Petronick decided to start an accounting practice after graduation from university. The following is a list of events that occurred concerning Buffalo's practice.
1. After shopping around, Buffalo found an office to lease and signed a lease agreement. The lease calls for a payment of $880 rent per month.
2. Buffalo borrowed $3,520 from his grandmother so that he could buy some office furniture for his new office.
3. Buffalo deposited the $3,520 plus $440 of his own cash in a new bank account at BMO under the name Petronick Accounting Services.
4. Paid the landlord the first month's rent.
5. Purchased office furniture for $2,904 on account.
6. Moved into the office and obtained the first assignment from a client to prepare year-end financial statements for $1,760.
7. Performed the work on the assignment and sent an invoice to the customer for $1,760.
8. Paid half of the amount of the purchase of office furniture.
9. Purchased office supplies on account for $264.
10. Paid $44 cash for Internet services.
11. Collected half of the amounting owing from the customer referred to in #7.
12. Buffalo withdrew cash from the business of $132 for personal expenses.
Using the table below, insert the amount of the effect of each of these events on the accounting equation. (If a transaction causes a decrease in Assets, Liabilities or Owner's Equity, place a negative sign (or parentheses) in front of the amount entered for the particular Asset, Liability or Equity item that was reduced.
Event Asset Liability Owner's Equity 1. $ $ $ 2. 3. 4. 5. 6. 7. 8. 9. 10. 11. 12.

Answers

The events involve various transactions such as leasing an office, borrowing money, making deposits, paying expenses, purchasing assets, completing client work, invoicing customers, collecting payments, and withdrawing personal cash . Each event affects specific elements of the accounting equation, reflecting changes in the company's financial position and the owner's equity.

Event      Asset       Liability    Owner's Equity

1.          -$880      +$880          $0

2.          +$3,520     $0              +$3,520

3.          +$3,960     $0              +$3,960

4.          -$880       $0              -$880

5.          -$2,904    +$2,904        $0

6.          $0             $0              +$1,760

7.          +$1,760     $0              +$1,760

8.          -$1,452    $0              -$1,452

9.          $0             +$264         $0

10.        -$44          -$44           $0

11.        +$880       $0              +$880

12.        -$132        $0              -$132

1. Signing a lease agreement has no effect on Owner's Equity, but it decreases Assets (cash) and increases Liabilities (lease payable).

2. Borrowing money from his grandmother increases Assets (cash) and Owner's Equity.

3. Depositing cash in a new bank account increases Assets (cash) and Owner's Equity.

4. Paying rent decreases Assets (cash) and Owner's Equity.

5. Purchasing office furniture on account decreases Assets (accounts payable) and increases Liabilities.

6. Obtaining an assignment has no effect on Liabilities, but it increases Owner's Equity (revenue).

7. Sending an invoice increases Assets (accounts receivable) and Owner's Equity.

8. Paying half of the purchase amount decreases Assets (cash) and decreases Owner's Equity (accounts payable).

9. Purchasing office supplies on account increases Assets (accounts payable) and increases Liabilities.

10. Paying for internet services decreases Assets (cash) and decreases Liabilities (accounts payable).

11. Collecting payment from the customer increases Assets (cash) and Owner's Equity.

12. Withdrawing cash for personal expenses decreases Assets (cash) and Owner's Equity.

The accounting equation is Assets = Liabilities + Owner's Equity. Each event affects the equation by changing the values of the assets, liabilities, and owner's equity. Positive (+) amounts represent increases, and negative (-) amounts represent decreases.

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Assume that pizza and stromboli are substitutes. Which of the following best describes the effect on the pizza market if the price of stromboli decreases?
A. Demand for pizza will shift right
B. Demand for pizza will shift left
C. Supply for pizza will shift right
D. Supply for pizza will shift left
E. Both demand and supply for pizza will shift left

Answers

Demand for pizza will shift right describes the effect on the pizza market if the price of stromboli decreases. (Option A)

If stromboli is a substitute for pizza and its price decreases, consumers are more likely to choose stromboli as a lower-priced alternative to pizza. This change in relative prices leads to an increase in the demand for stromboli. As a result, the demand for pizza, being a substitute, will shift to the right.

When the price of a substitute product decreases, consumers tend to substitute it for a relatively more expensive product. In this case, as the price of stromboli decreases, consumers will find it more attractive compared to pizza and will be inclined to purchase more stromboli. As a result, the demand for pizza will decrease, leading to a rightward shift in the demand curve for pizza.

It is important to note that a decrease in the price of a substitute does not impact the supply of pizza directly. The supply of pizza would only be affected if there were changes in the cost of production, availability of inputs, or other supply-side factors.

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Markets The market is characterized by a growing middle class who has a higher disposable income and is able to buy more products and the keen willingness to invest in wellness programs. This is seen in the rise of the number of gymnasiums across the region and exponential growth of health chains selling healthcare products and supplements. Analysts are optimistic about this sector in the long term. Assignment Your task is to prepare a report focusing on the following: 2. What is the impact on customer service level when only four (4) warehouses are now serving the entire ASEAN region? [20 marks]

Answers

In the case that only four (4) warehouses serve the entire ASEAN region, the impact on customer service level would be negative. It's because customers would have to travel longer distances to get to the warehouses and the cost of transporting goods will be much higher.  This expansion would help reduce transportation costs, enhance the delivery of products, and improve customer satisfaction levels.

This increase in cost would make products more expensive, and customers might turn to less expensive options. The 4 warehouses might not have enough capacity to store all the products needed to meet the growing demand of customers in the region.

Consequently, the stocks available for customers might be limited, and they may not find what they want. This would also affect the reputation of the company, which could result in a loss of customers. There might be a delay in delivering goods to customers, as the warehouses may not be close to all customers. There is also a likelihood of longer delivery times, which might not be convenient for the customers who might turn to other brands that can provide quicker delivery times.

As a result, there might be a decline in customer loyalty. This could lead to a loss of market share and revenue. It is highly important to expand the number of warehouses in the region to meet the growing demand for healthcare products and services. This expansion would help reduce transportation costs, enhance the delivery of products, and improve customer satisfaction levels.

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A cash register tape shows cash sales of $1,500 and sales taxes of $120. The journal entry to recond this infirmation is a Cash 1,620 Sales 1,620 bCal. 1,620 Sales To Payable Sales 120 1,500 C Carh 1,500 Sales Tax Expenen.. 120 Sales 1,620 dCash.. 1,620 Sales 1,500 Sales Taxes Revenue 120 A) a B) b C) D) d

Answers

Option b is correct because there is given a cash register tape showing cash sales of $1,500 and sales taxes of $120, moreover, the journal entry to record this information is: b. Cash 1,620 Sales 1,620.

The cash register tape shows cash sales of $1,500 and sales taxes of $120.

The amount of cash sales will be recorded as Sales revenue in the books of accounts.

The amount of sales tax will be recorded in the payable account.

Therefore, the journal entry will be as follows.

Cash 1,500 Sales 1,500 (Sales revenue on account of cash sales).

Sales Taxes Payable 120 (Sales tax on sales).

Cash 1,620 (Sum of cash sales and sales tax).

Sales 1,620 (Sales revenue on account of both cash sales and sales tax).

Therefore, option b is correct.

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A Business Organized As A Corporation Question 28 Options: Is Not A Separate Legal Entity In Most Provinces. Has An Definite Life. Requires That Shareholders Be Personally Liable For The Debts Of The Business. Is
A business organized as a corporation
Question 28 options:
is not a separate legal entity in most provinces.
has an definite life.
requires that shareholders be personally liable for the debts of the business.
is owned by its shareholders.

Answers

A business organized as a corporation is owned by its shareholders. In contrast to the other options presented, a corporation is a separate legal entity that is owned by its shareholders.

"What is a Separate Legal Entity"?A separate legal entity is a business organization that operates as a separate entity from its owners. A corporation is one example of a separate legal entity. The corporation operates as a separate legal entity from its shareholders. It is owned by shareholders who are not personally liable for the debts and liabilities of the business entity. Thus, the correct option among the given alternatives is 'is owned by its shareholders.'

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What alternative fact pattern might change the court’s decision
on whether Cangemi and Calianno breached their non-compete
agreements?

Answers

An alternative fact pattern that might change the court's decision on whether Cangemi and Calianno breached their non-compete agreements involve presenting evidence that proves they did not engage .

In the alternative fact pattern, it would be crucial to present evidence that demonstrates Cangemi and Calianno did not violate the terms of their non-compete agreements. This evidence could include documentation of their actions during the relevant period, such as their work responsibilities, projects, and interactions with clients. If it can be proven that they did not engage in any activities that directly compete with their previous employer or disclose enforceable contract any confidential information, it would significantly impact the court's decision.

Additionally, presenting evidence of the steps taken by Cangemi and Calianno to safeguard the confidentiality of their previous employer's information could further support their position. This evidence could include records of their compliance with company policies, non-disclosure agreements, and any measures they took to ensure the protection of sensitive information.

By presenting a compelling alternative fact pattern that disproves the alleged breach of the non-compete agreements, it is possible to change the court's decision and potentially have the case ruled in favor of Cangemi and Calianno.

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On December 31, 2020, Green Bank enters into a debt restructuring agreement with Kingbird Inc., which is now experiencing financial trouble. The bank agrees to restructure a $1.1-million, 12% note receivable issued at par by the following modifications:
1.Reducing the principal obligation from $1.1 million to $0.88 million
2.Extending the maturity date from December 31, 2020, to December 31, 2023
3.Reducing the interest rate from 12% to 10%

Answers

1. The principal obligation of the debt is reduced from $1.1 million to $0.88 million.
In this debt restructuring agreement, the bank and Kingbird Inc. have agreed to lower the total amount owed from $1.1 million to $0.88 million. This reduction in the principal obligation reduces the overall debt burden for Kingbird Inc., potentially making it more manageable for the company to repay.

2. The maturity date of the debt is extended from December 31, 2020, to December 31, 2023.
The original maturity date for the debt was December 31, 2020, but as part of the restructuring, the bank and Kingbird Inc. have agreed to extend the deadline for repayment to December 31, 2023. This extension provides Kingbird Inc. with additional time to meet its payment obligations, allowing for a potentially more feasible repayment schedule.
3. The interest rate on the debt is reduced from 12% to 10%.
The initial interest rate on the debt was 12%, but as part of the restructuring agreement, the bank and Kingbird Inc. have agreed to lower the interest rate to 10%. This reduction in the interest rate helps to alleviate the financial burden on Kingbird Inc. by reducing the amount of interest it has to pay on the outstanding debt, potentially making it easier for the company to meet its payment obligations.

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Consider a stock that sells for $60. In 1 year it will be worth
either $70 or $50. The risk-free rate is 4%. What is the value of a
call option with a $30 exercise price?
Show your work, and please la

Answers

To calculate the value of a call option using the risk-neutral valuation approach, we need to consider the probabilities of the stock ending up at each possible price at expiration.

Given:

Current stock price (S0) = $60

Stock price in 1 year (S1) can be either $70 or $50

Risk-free rate (r) = 4%

Exercise price (X) = $30

Step 1: Calculate the risk-neutral probabilities

We assume that the risk-neutral probabilities of the stock reaching each possible price are equal. Therefore, the probability of the stock price being $70 (p1) and the probability of the stock price being $50 (p2) are both 0.5.

Step 2: Calculate the present value of each possible stock price

The present value (PV) of a future stock price can be calculated using the risk-free rate. We discount the future stock prices back to the present.

PV(S1 = $70) = $70 / (1 + r) = $70 / (1 + 0.04) = $67.31

PV(S1 = $50) = $50 / (1 + r) = $50 / (1 + 0.04) = $48.08

Step 3: Calculate the option value

The value of a call option is the difference between the present value of the stock price and the exercise price, weighted by the probabilities.

Option value = (p1 * PV(S1 = $70)) + (p2 * PV(S1 = $50)) - X

Option value = (0.5 * $67.31) + (0.5 * $48.08) - $30

Option value = $33.65 + $24.04 - $30

Option value = $27.69

Therefore, the value of the call option with a $30 exercise price is approximately $27.69.

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4. Scheduling maintenance to fix a guardrail outside of core work hours is what type of hazard control?
Elimination
Engineering
Administrative
Personal Protective Equipment
None of the above

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Scheduling maintenance to fix a guardrail outside of core work hours is a type of hazard control strategy known as engineering. Explanation: Safety control is the process of reducing or eliminating hazards that could cause workplace injuries and illnesses.

Scheduling maintenance to fix a guardrail outside of core work hours is a type of hazard control strategy known as engineering. Explanation:Safety control is the process of reducing or eliminating hazards that could cause workplace injuries and illnesses. A risk management system is often developed in the workplace to manage risk. The objective of a risk control system is to decrease the frequency and severity of workplace accidents and injuries while increasing productivity. Risk control can be divided into three categories: elimination, engineering, and administrative.A hazard is a situation that can cause damage, injury, or ill health. It is a source or potential source of damage, injury, or ill health to a person or persons. Hazard controls aim to mitigate or eliminate the likelihood of accidents, injuries, and fatalities. Hazard control measures can be grouped into three categories: elimination, engineering, and administrative. Here's more information about these three hazard control methods.Engineering controls are physical modifications to facilities, equipment, or processes that reduce the risk of injury or illness. They eliminate or decrease exposure to a hazard by modifying or replacing equipment. Engineering controls are the most effective type of hazard control because they eliminate or substantially reduce the risk of exposure. These solutions are usually the most efficient, particularly if they are integrated into the original design of the facility, machine, or process. In addition to being the most effective, engineering controls are often the most cost-effective means of hazard control.

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What can we do to allocate indirect cost to revenue areas?

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Allocating indirect costs to revenue areas is an important aspect of cost accounting and financial analysis.

It allows businesses to accurately determine the profitability of different revenue-generating activities or departments. Here are several methods commonly used to allocate indirect costs to revenue areas: Cost Allocation based on Direct Labor Hours: This method assigns indirect costs based on the number of labor hours spent on each revenue area. Cost Allocation based on Direct Costs: This approach assigns indirect costs based on the direct costs associated with each revenue area.

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Discuss the two main issues in relation to our supplies of
resources and energy.
Reference: McConnell, C.R., Brue, S.L., Flynn, S.M., &
Grant, R.R., (2019). Microeconomics 3rd Ed. McGraw-Hill: New

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The two main issues in relation to our supplies of resources and energy are scarcity and environmental sustainability.

Scarcity: Resources and energy are limited in nature, and their availability is finite. Scarcity refers to the condition where the demand for resources and energy exceeds the available supply. As human populations grow and economies expand, the demand for resources and energy also increases. However, the Earth's resources are limited, and some resources are non-renewable, meaning they cannot be replaced once they are depleted. This creates a challenge in managing and allocating resources efficiently to meet the needs of current and future generations. Scarcity necessitates making choices and trade-offs, as societies must decide how to allocate scarce resources among various competing uses, such as production, consumption, and environmental preservation.Environmental Sustainability: The second main issue is the need to ensure environmental sustainability in the production and consumption of resources and energy. The extraction, processing, and utilization of resources and energy often have significant environmental impacts. These impacts include pollution, habitat destruction, deforestation, greenhouse gas emissions, and climate change. Unsustainable practices can lead to irreversible damage to ecosystems, loss of biodiversity, and degradation of natural resources. It is essential to consider the long-term consequences and the carrying capacity of the Earth's ecosystems when utilizing resources and energy. Achieving environmental sustainability involves adopting sustainable practices, such as conservation, renewable energy sources, recycling, and minimizing waste generation. Balancing economic growth and development with environmental protection is crucial to ensure the well-being of current and future generations.

Addressing these two main issues requires a combination of economic, technological, and policy approaches. It involves promoting efficient resource allocation, developing sustainable technologies, investing in renewable energy sources, implementing conservation measures, and establishing regulatory frameworks that incentivize environmentally responsible behavior. By addressing scarcity and striving for environmental sustainability, societies can mitigate the negative impacts of resource depletion and environmental degradation, while promoting long-term economic and environmental well-being.

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Briefly describe the aim of the 'Value Chain' framework in strategic analysis. Outline the different roles that primary and supporting activities play in the firm's value chain. Reflect about the limitations of a value chain analysis as compared to an industry analysis. Critically evaluate the usefulness of the Value Chain framework in high technology company such as Microsoft or Apple

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The aim of the 'Value Chain' framework in strategic analysis is to identify and analyze the activities within a company's operations that create value for customers. It helps in understanding how a firm can gain a competitive advantage by optimizing its internal activities. The value chain consists of primary activities, which are directly involved in the creation and delivery of the product or service, and supporting activities, which provide the necessary infrastructure and resources to support the primary activities.

Primary activities include inbound logistics (procurement, receiving, and warehousing), operations (manufacturing, assembly, or service provision), outbound logistics (order processing, distribution, and delivery), marketing and sales (promoting and selling the product or service), and customer service (after-sales support and assistance). Supporting activities comprise infrastructure (company-wide functions like finance, planning, and quality control), human resource management (recruiting, training, and development), technology development (research and development, innovation), and procurement (sourcing and purchasing materials).

While a value chain analysis helps in understanding a company's internal operations and how they create value, it has limitations compared to an industry analysis. A value chain analysis primarily focuses on internal activities and may not consider external factors such as industry dynamics, market trends, and competitive forces. An industry analysis provides a broader perspective by examining the external environment and identifying opportunities and threats that may impact the company's value chain.

The Value Chain framework is particularly useful for high technology companies like Microsoft or Apple. These companies rely heavily on technology development and innovation, which are critical components of their value chain. By analyzing the technology development activity, they can assess their research and development capabilities, identify opportunities for innovation, and stay ahead in the market. Additionally, primary activities such as marketing and sales play a crucial role in creating demand for their high-tech products. The Value Chain framework enables these companies to understand and optimize their activities to deliver value to customers and maintain a competitive edge in the fast-paced high-tech industry.

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True or False or"be true only if "
(b) A firm considers investing £100 million in a risky project. A bank offers to lend the firm £100 million at an interest rate of 4%. The appropriate discount rate for the NPV calculation is thus 4

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True. In a Modigliani and Miller (1958) world, also known as the capital structure irrelevance proposition, the firm's weighted average cost of capital (WACC) is determined by its investment policy and is independent of how cash flows are shared between equity and debt.

The proposition states that, under certain assumptions (e.g., perfect capital markets, no taxes, no transaction costs), the value of a firm is determined by its cash flows generated by its assets and the risk of those cash flows. The allocation of these cash flows between equity and debt does not affect the overall value of the firm or its WACC.

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Calculate the cost of the premium: Rating of Area Class A 1 $ Building 90,000 $ Contents 30,000

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The cost of the premium is directly related to the rating of the area. In this case, the rating is Area Class A 1.

When calculating the cost of an insurance premium, there are several factors to consider. One of the most important is the rating of the area. In this case, the rating is Area Class A 1, which means that the area is considered low risk. The cost of the premium is also affected by the value of the building and the contents being insured. In this case, the building is valued at $90,000, and the contents at $30,000. These values will be used to determine the total amount of coverage needed. Once these factors have been considered, the insurance company will use a formula to calculate the cost of the premium. This formula takes into account the risk of the area, the value of the property being insured, and any other factors that may affect the cost of the policy. In conclusion, the cost of the premium for this policy will depend on several factors, including the rating of the area, the value of the building and contents, and any other factors that may affect the cost of the policy. It is important to work with a qualified insurance agent to determine the best coverage options and rates for your specific needs.

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Do you believe that organizations should be doing more to get
products off the docks and into the hands of consumers? 6 sentences
answer

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To expedite the movement of products from docks to consumers, organizations should prioritize enhancing their supply chain management and logistics. This entails effectively planning, executing, and controlling the flow of goods and services from origin to consumption. By optimizing operations, reducing expenses, and enhancing customer satisfaction, efficient supply chain management ensures timely delivery of suitable products to the right customers.

Furthermore, organizations can leverage technology such as automation, robotics, and artificial intelligence to streamline processes and accelerate delivery.

Collaborating with suppliers, distributors, and retailers is another strategy to establish efficient and cost-effective distribution channels.

By proactively improving supply chain management and logistics, organizations can bolster their competitiveness, minimize costs, and enhance customer satisfaction through swift product delivery.

This approach enables them to swiftly transition products from docks into the hands of eager consumers.

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Explain why inequality is inherent in the US society. Why do we
pretend everyone has an equal chance of equality in
America?

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Inequality is inherent in US society due to various factors such as historical disparities, systemic discrimination, and unequal distribution of resources. However, the belief in equal opportunity and the notion that everyone has an equal chance for success in America is often promoted for several reasons.

The belief in equal opportunity in America is rooted in the principles of democracy, individualism, and the American Dream. It serves as a unifying ideal and motivates individuals to strive for success. It creates a sense of hope and aspiration, fostering social cohesion and preventing widespread discontent. Additionally, promoting equal opportunity can be a strategy to address social unrest and maintain social stability. However, the reality is that social mobility and equal opportunities are often hindered by structural barriers, such as unequal access to quality education, healthcare, and economic resources. Acknowledging and addressing these systemic issues is crucial to working towards a more equitable society.

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Provide and estimation of the cost of equity using the CAPM model re ? 4
Explain why the CAPM model may be incomplete to estimate the cost of capital?
Compute the WACC?
Given its equity beta of 0.8 and its debt beta of 0.2, what is the asset beta of the firm F?

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Cost of equity using CAPM modelRe = Rf + Beta(Rm - Rf)where,Re is the cost of equity,Rf is the risk-free rate of return,Beta is the beta of the stock,Rm is the market return.Rf is given to be 3.5%Beta is given to be 0.8The market return is given to be 10%Rm - Rf = 10% - 3.5% = 6.5%Re = 3.5% + 0.8 × 6.5% = 8.3%.

The estimation of the cost of equity using the CAPM model Re is 8.3%.Explanation:The CAPM model may be incomplete to estimate the cost of capital for the following reasons:It assumes that the market portfolio can be fully represented by a single index. It assumes that the return on a security depends only on systematic risk. It assumes that beta can be determined precisely. These assumptions may not hold in reality.The CAPM model also has some limitations which include:It is based on unrealistic assumptions. It may not be applicable to all types of companies. It may not be effective in estimating the cost of equity for a particular company.Compute the WACCThe formula for the weighted average cost of capital (WACC) is as follows:WACC = (E/V) * Re + (D/V) * Rd * (1 - Tc)Where E is the market value of the company's equityD is the market value of the company's debtV = E + D is the total market value of the company's financingRe is the cost of equity is the cost of debtTc is the corporate tax rate.Equity = 7,500,000Debt = 2,500,000E + D = 7,500,000 + 2,500,000 = 10,000,000Re = 8.3%Rd = 6%Tax rate = 40%WACC = (7,500,000/10,000,000) * 8.3% + (2,500,000/10,000,000) * 6% * (1 - 40%)WACC = 7.1%Given its equity beta of 0.8 and its debt beta of 0.2, what is the asset beta of the firm F?Asset beta (BA) = (E/V) x Beta(E) + (D/V) x Beta(D) x (1 - Tc)BA = (7,500,000/10,000,000) x 0.8 + (2,500,000/10,000,000) x 0.2 x (1 - 0.4)BA = 0.56The asset beta of the firm F is 0.56.

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QUESTION 3: Accounting Concepts (10 marks) You are employed as a graduate accountant in a mid-tier accounting firm. One of the partners has asked you to review the following cases where the client has

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As an AI language model, I can provide you with an explanation of accounting concepts. However, since you haven't provided the specific cases or scenarios you want me to review, I won't be able to provide a detailed response.

Nevertheless, I can explain some fundamental accounting concepts that are commonly used in financial reporting. Please note that this is a general explanation and may not cover all accounting concepts.Accrual Concept: This concept states that transactions and events should be recorded in the accounting records when they occur, regardless of when the cash is received or paid. In other words, revenues should be recognized when earned, and expenses should be recognized when incurred, irrespective of the timing of cash flows.Matching Concept: This concept requires that expenses be recognized in the same period as the revenues they helped generate. It ensures that the financial statements reflect the proper matching of expenses to the revenues they helped generate, resulting in accurate determination of net income.Historical Cost Concept: This concept states that assets and liabilities should be recorded at their original cost, as this is verifiable and provides a reliable basis for financial reporting. It does not consider the subsequent changes in market value or inflation.

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derivatives 8 4.
4. Suppose that put options on a stock with strike prices $30 and $35 cost $4 and $7, respectively. How can the options be used to create (a) a bull spread and (b) a bear spread? Construct a table tha

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To create a bull spread using the put options, we can buy the put option with the lower strike price and simultaneously sell the put option with the higher strike price. This strategy allows us to profit from a moderate increase in the stock price.

(a) Bull Spread:

Buy Put Option with $30 Strike Price: Cost = $4

Sell Put Option with $35 Strike Price: Premium Received = $7

The table below shows the profit/loss for the bull spread strategy at different stock prices:

Stock Price Payoff from $30 Put Payoff from $35 Put Total Payoff

$25                          $5                            -$0                  $5

$30                               $0                            -$0                  $0

$35                                -$5                             $0                  -$5

$40                                -$5                               $0                   -$5

To create a bear spread using the put options, we can buy the put option with the higher strike price and simultaneously sell the put option with the lower strike price. This strategy allows us to profit from a moderate decrease in the stock price.

(b) Bear Spread:

Buy Put Option with $35 Strike Price: Cost = $7

Sell Put Option with $30 Strike Price: Premium Received = $4

The table below shows the profit/loss for the bear spread strategy at different stock prices:

Stock Price Payoff from $35 Put Payoff from $30 Put Total Payoff

$25                   $10                                     -$5                        $5

$30                      $5                                    -$0                   $5

$35                         $0                                       -$0                   $0

$40                        -$5                                      $0                  -$5

Please note that the values in the table represent the payoff from each put option and the total payoff, assuming the options are held until expiration. The payoff is calculated as the difference between the strike price and the stock price, with negative values indicating a loss.

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Assume you know the following three points on the demand curve for a typical customer: When P = $50, Q = 1; when P = $35; Q = 3; and when P = $15; Q = 5. What price would you charge the customer for a 5-unit bundle of the good?

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Given the three points on the demand curve for a typical customer, when P = $50, Q = 1; when P = $35; Q = 3; and when P = $15; Q = 5. We can use the formula for demand  = a - = quantity  =  slope of the demand curve is calculated  = (Q2 - Q1) / (P2 - P1)Here,Q1 = 1, P1 = 50Q2 = 3, P2 = 35

Thus, the slope of the demand curve is calculated = (3 - 1) / (35 - 50)= -2 / 15Thus, the demand equation= a  use the first point on the demand curve, where P = $50, and Q = 1 to calculate the value of the + (-2 / 15) * 50 = 1a - 6.67 = 1a = 7.67Thus, the demand equation = 7.67 - (2 / 15) we can find out the quantity demanded when P = $20.Q = 7.67 - (2 / 15) * 20= 4.67Thus, the customer would demand 4.67 units if the price of the good is $20. Now,

we can find the price for a 5-unit bundle of the demanded = 5Q = 7.67 - (2 / 15)P5 = 7.67 - (2 / 15)PP = (5 - 7.67) * (15 / 2) / 2P = $12.16Therefore, the price charged for a 5-unit bundle of the good would be $12.16.

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ICE Task 4 Choose any business. Evaluate their mission statement according to the following questions: •Why is the organisation in business? •What are the economic goals? •What is the operating

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A mission statement is a brief statement that explains the reason for a company's existence. It lays out the company's purpose, what it aims to accomplish, and how it plans to achieve those objectives. Economic goals refer to the aims and objectives of a business organization, such as profitability, sales, and growth. The operating strategy describes how the company plans to carry out its mission, which includes its services, goods, processes, and so on.

Every business has a mission statement, which is a short explanation of why the business exists. It outlines the company's objectives, what it intends to achieve, and how it will accomplish those objectives. When it comes to evaluating a company's mission statement, there are three essential elements to consider. These elements are why the company exists, its economic objectives, and its operating plan. Firstly, it is essential to comprehend why the company exists, or what its mission statement is. For example, a mission statement might say that the company exists to provide the highest quality products and services to its clients. A company's mission statement is significant because it establishes the firm's long-term goals and what it stands for. Secondly, economic objectives are critical to a company's success. A business must have clear economic goals, which are the objectives and aspirations that underpin its economic success, such as profitability, sales, and growth. These goals serve as a guide to a company's operations, decision-making, and resource allocation. Finally, the operating strategy of a business outlines how it will achieve its objectives. It is the practical side of a company's mission statement, and it includes its goods, services, processes, and procedures. A company's operating strategy is a set of steps that it takes to realize its mission statement. It describes how the company will compete in the market, which includes marketing, distribution, and sales, among other things.

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Using ABC analysis categorize the products. Part Num Unit Cost Annual Unit Demand 2JR $ 402.65 2,740 AZ8 $ 3.97 50,000 B77 $ 201.75 4,987 BT2 $ 0.25 50,000 D42 $ 705.87 5 FW2 $ 0.05 50,000 NS7 $ 3.15 44,036 R6V $ 1.15 2,700 $15 $ 0.02 37,898 VK3 $ 2.35 789 Z6K $ 56.50 1,597

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Using ABC analysis, the products can be categorized into three categories: A, B, and C. The categorization is based on the criteria of unit cost and annual unit demand.

In this case, the categorization can be based on the unit cost and annual unit demand. Generally, high-value items with high demand are categorized as A items, medium-value items with moderate demand are categorized as B items, and low-value items with low demand are categorized as C items.

Analyzing the given data, we can categorize the products as follows:

Category A:

Part Num: AZ8 (unit cost: $3.97, annual unit demand: 50,000)

Part Num: NS7 (unit cost: $3.15, annual unit demand: 44,036)

Part Num: Z6K (unit cost: $56.50, annual unit demand: 1,597)

Category B:

Part Num: 2JR (unit cost: $402.65, annual unit demand: 2,740)

Part Num: B77 (unit cost: $201.75, annual unit demand: 4,987)

Part Num: D42 (unit cost: $705.87, annual unit demand: 5,000)

Part Num: R6V (unit cost: $1.15, annual unit demand: 2,700)

Category C:

Part Num: BT2 (unit cost: $0.25, annual unit demand: 50,000)

Part Num: FW2 (unit cost: $0.05, annual unit demand: 50,000)

Part Num: $15 (unit cost: $0.02, annual unit demand: 37,898)

Part Num: VK3 (unit cost: $2.35, annual unit demand: 789)

By categorizing the products, businesses can allocate their resources effectively, prioritize inventory management, and focus on the most important items in terms of value and demand.

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If a recession is caused by a fall in aggregate demand, then O it is likely to be accompanied by an increase in the inflation rate. the price level or inflation rate will probably also fall. O it will probably cause the money supply to fall. O it will cause the unemployment rate to fall also. Which of the following is not a generally practiced method of presenting the income statement?a. Including prior period adjustments in determining net incomeb. The single-step income statementc. The consolidated statement of incomed. Including gains and losses from discontinued operations of a component of a business in determining net income the first line of defense in the stomach against damaging acid and pepsin is the Which of the following is a well-established observation in macroeconomics? O a. GDP per person in the richest countries in the world are about 10 times that of the poorest cour O b. In frontier economies like the United States, GDP per person grew rapidly only after the 1990s. 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