analyse 6 external forces shaping the environment with
appropriate examples

Answers

Answer 1

1. Technological advancements: Rapid advancements in technology, such as artificial intelligence and automation, are shaping the business landscape and disrupting traditional industries.

For example, the rise of e-commerce platforms like Amazon has transformed the retail sector.

2. Globalization: Increasing interconnectedness and free movement of goods, services, and capital across borders have opened up new markets and created intense competition. For nce, multinational companies expand their operations globally to access larger consumer bases.

3. Regulatory changes: Governments implement new laws and regulations that impact business operations. An example is the General Data Protection Regulation (GDPR) in the European Union, which has had a significant impact on how companies handle customer data and privacy.

4. Environmental sustainability: Growing concerns about climate change and environmental degradation have led to stricter regulations and consumer demands for eco-friendly products and practices. For nce, automotive companies are developing electric vehicles to reduce carbon emissions.

5. Socio-cultural shifts: Changing societal attitudes and values influence consumer preferences and demand. For example, the increased focus on health and wellness has driven the growth of organic food markets and the popularity of fitness-related products and services.

6. Economic factors: Fluctuations in economic conditions, such as interest rates, inflation, and unemployment rates, affect business operations and consumer spending. An example is the global economic recession of 2008, which had a profound impact on various industries and consumer behavior.

1. Technological advancements have a profound impact on various industries, transforming business models and creating new opportunities. For example, the emergence of ride-hailing services like Uber disrupted the traditional taxi industry.

2. Globalization has expanded markets and provided access to a wider range of suppliers and customers. However, it has also intensified competition, as companies now face competition not just locally but also internationally.

3. Regulatory changes influence business practices and require companies to adapt to new requirements. The GDPR, for nce, forced companies to enhance data protection measures and obtain explicit consent for data collection and usage.

4. Environmental sustainability is gaining importance as consumers and governments demand greener practices. Businesses need to adopt sustainable measures, such as using renewable energy sources or reducing waste, to meet these expectations.

5. Socio-cultural shifts reflect changing consumer preferences and behaviors. Businesses need to align their products and services with societal trends, such as the increasing demand for vegan and cruelty-free products.

6. Economic factors directly impact business operations. During economic downturns, consumers tend to cut back on discretionary spending, which affects industries like luxury goods and travel.

These external forces continuously shape the business environment, and understanding them is crucial for organizations to stay competitive and adapt to changing circumstances.

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Related Questions

What is the rationale for budget deficits in the truck driving
industry?
subject is macroeconomics

Answers

•Infrastructure Investments: Budget deficits may be used to finance transportation infrastructure projects in the truck driving industry, improving efficiency and reducing costs.
•Economic Stimulus: Deficits can be employed as part of expansionary fiscal policies to stimulate economic growth, including increased government spending on transportation projects.
•Subsidies and Incentives: Governments may allocate budget deficits to provide subsidies and incentives for the adoption of cleaner and more fuel-efficient trucks, aligning with environmental goals.
•Social Safety Nets: Budget deficits can fund social safety net programs for truck drivers, offering support during economic hardships such as unemployment or income instability.

You have taken a loan of RO 5,000 from XYZ Bank and you have to pay an instalment of RO 2,000 per year for the next 3 years. Find the annual interest rate.

Answers

The annual interest rate on the loan is 6.67%.

To find the annual interest rate, we need to use the formula for calculating the interest rate on a loan. The formula is: Interest Rate = (Total Interest / Principal) * (1 / Number of Years) * 100

In this case, the principal is RO 5,000 and the number of years is 3. We need to calculate the total interest paid over the 3 years.

Total Interest = Total Payments - Principal

Total Payments = RO 2,000 * Number of Years = RO 2,000 * 3 = RO 6,000. Total Interest = RO 6,000 - RO 5,000 = RO 1,000

Now we can calculate the annual interest rate using the formula:

Interest Rate = (RO 1,000 / RO 5,000) * (1 / 3) * 100

Simplifying the equation: Interest Rate = (1/5) * (1/3) * 100

Interest Rate = 0.0667 * 100

Interest Rate = 6.67%. Therefore, the annual interest rate on the loan is 6.67%.

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All else equal, ________ bonds would have higher yield, and ________ bonds would have higher reinvestment risk.
Group of answer choices
non-callable; short-term
non-callable; long-term
callable; long-term
callable; short-term

Answers

All else equal, callable bonds would have higher yield, and non-callable bonds would have higher reinvestment risk.

What is a callable bond?

Callable bonds are debt securities that allow the issuer to redeem or call the bond before it reaches its maturity date. This is frequently done by issuers when interest rates fall, allowing them to refinance their debt at a lower cost. Callable bonds have a higher yield compared to non-callable bonds because the bond issuer is effectively selling an option to the bondholder to have their bond called before the maturity date.

What is a non-callable bond?

A non-callable bond is a debt instrument that cannot be redeemed (called) by the issuer until the bond's maturity date. Non-callable bonds have a lower yield compared to callable bonds because they lack the feature that gives issuers the flexibility to refinance their debt when interest rates fall. Non-callable bonds have a higher reinvestment risk because the bondholders' funds will become available when the bond matures, and they will be required to reinvest the money at a new interest rate, which might be lower than the previous one.

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You want to save up enough money to purchase a new computer, which costs $4,500. You currently have $4,000 in your bank account. If you can earn 8% per year by investing this money, how long will it take before you have enough money in your bank account to buy the new computer? years (keep at least two decimal places) ABC common stock is expected to have extraordinary growth in earnings and dividends of 22% per year for 2 years, after which the growth rate will settle into a constant 5%. If the discount rate is 16% and the most recent dividend was $1, what should be the approximate current share price (in $ dollars)? $_

Answers

It will take approximately 2.17 years to save enough money to buy a new computer by earning 8% interest per year. The approximate current share price for ABC common stock would be around $10.00.

To calculate the time needed to save enough money, we can use the compound interest formula. Given that the initial amount is $4,000, the target amount is $4,500, and the interest rate is 8%, we can determine the time required. Using the formula A = P(1 + r/n)^(nt), where A is the final amount, P is the principal, r is the interest rate, n is the number of times the interest is compounded per year, and t is the time in years, we rearrange the formula to solve for t.

Plugging in the values, we have 4,500 = 4,000(1 + 0.08/1)^(1*t). Solving for t gives us approximately 2.17 years. Therefore, it will take around 2.17 years to accumulate enough money to purchase the new computer.

Regarding the second part of your question, to calculate the approximate current share price, we can use the dividend discount model. The formula is P = D/(r - g), where P is the share price, D is the most recent dividend, r is the discount rate, and g is the growth rate.

Plugging in the values, we have P = 1/(0.16 - 0.05), which simplifies to P ≈ $10.00. Therefore, the approximate current share price for ABC common stock would be around $10.00.

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Which of the following statements about trade flows between countries is wrong?
A)Other than the size of the economies and their distance, language and geography also affect the volume of
trade
B) Everything else equal, countries trade more with closer countries
C)Other than the size of the economies and their distance, nothing else matters for the volume of trade
D)Everything else equal, countries trade more with larger economies
E)Other than the size of the economies and their distance, trade agreements also affect the volume of trade

Answers

The statement that is wrong about trade flows between countries is C) Other than the size of the economies and their distance, nothing else matters for the volume of trade.

This statement is incorrect because factors such as language, geography, and trade agreements also affect the volume of trade between countries.

Price elasticity of demand measures the responsiveness of quantity demanded to a change in price. When demand is price inelastic, it means that changes in price have a relatively smaller impact on the quantity demanded.

In the case of healthcare, it is often considered a necessity or an essential service. People generally have limited flexibility in reducing their demand for healthcare when prices increase.

Additionally, healthcare expenses are often associated with critical health needs, and people are willing to pay higher prices to obtain the necessary medical treatments and services.

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Technology has changed the traditional way of doing retail business. Identify some of the technologies are in use in seven-eleven store. What are the impacts of technology on the supply chain and retail operations employed by the Seven-Eleven Japan case?

Answers

The adoption of technology in Seven-Eleven stores has resulted in improved operational efficiency, better inventory management, and enhanced customer experience.

Technology has indeed revolutionized the traditional way of doing retail business. Seven-Eleven, a popular convenience store chain in Japan, has implemented various technologies to enhance its operations. Some of the technologies in use at Seven-Eleven stores include:

1. Point of Sale (POS) systems: These systems are used for seamless and efficient checkout processes, inventory management, and sales tracking.

2. Barcode scanners: These scanners enable quick and accurate product identification and pricing at the checkout counter.

3. Electronic Shelf Labels (ESLs): ESLs are used to display product information and prices on shelves, which can be remotely updated, ensuring pricing accuracy and reducing manual effort.

4. Automated Replenishment System: This system tracks inventory levels in real-time and automatically generates orders for replenishment, reducing stockouts and optimizing inventory management.

5. Self-checkout kiosks: These kiosks allow customers to scan and pay for their purchases independently, reducing waiting times and improving customer experience.

The impacts of technology on the supply chain and retail operations employed by Seven-Eleven Japan are significant. Technology enables real-time data sharing, allowing better coordination between suppliers and stores. This helps in optimizing inventory levels, reducing waste, and improving product availability. Additionally, automated systems streamline processes, improving efficiency and reducing labor costs.

Technology also enables better customer the adoption of technology through personalized offers and loyalty programs, leading to increased customer satisfaction and loyalty.

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A small company wants to deploy a new system in the aws cloud but does not have anyone with the required aws skill set to perform the deployment. which aws service can help with this?

Answers

The AWS service that can help a small company deploy a new system in the AWS cloud, especially when lacking the required AWS skill set, is AWS Managed Services.

AWS Managed Services is designed to assist customers in managing their AWS infrastructure and applications.

provides expertise and support for AWS operations, including system deployment, monitoring, patching, and security. With AWS Managed Services, the small company can rely on AWS experts to handle the deployment process and ongoing management of the system in the AWS cloud.

By leveraging AWS Managed Services, the small company can benefit from AWS professionals' knowledge and experience, ensuring a smooth and efficient deployment process. This service allows the company to focus on its core business activities while AWS experts handle the technical aspects of the deployment, reducing the burden of managing AWS infrastructure internally.

Additionally, AWS Managed Services offers proactive monitoring, incident management, and continuous optimization to ensure the system operates reliably and efficiently in the AWS cloud. This can help the small company maintain high availability, security, and performance for their deployed system.

By utilizing AWS Managed Services, the small company can overcome the skills gap and leverage AWS experts' capabilities to successfully deploy and manage their system in the AWS cloud.

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Explain using economic theory why or why not China’s use of a fixed exchange rate system will be a good/bad exchange rate regime policy. Based on your answer compare and/or contrast with the German economy. Why should the German economy or why shouldn’t the German economy pursue a fixed exchange rate regime?

Answers

China's use of a fixed exchange rate system can be viewed as both a good and a bad exchange rate regime policy, depending on the economic perspective.

One argument in favor of China's fixed exchange rate system is that it provides stability and predictability for businesses and investors. A fixed exchange rate helps reduce uncertainty in international trade and encourages foreign direct investment, as it ensures that the value of the Chinese currency remains relatively stable.

This stability can be particularly advantageous for an emerging economy like China, as it promotes economic growth and attracts foreign capital.

However, there are also drawbacks to a fixed exchange rate system. One of the main concerns is that it limits the ability to adjust the exchange rate in response to market forces, such as changes in supply and demand or economic fundamentals.

This lack of flexibility can lead to imbalances, such as overvaluation or undervaluation of the currency, which can negatively impact competitiveness and trade dynamics.

Additionally, maintaining a fixed exchange rate often requires interventions by the central bank, which can deplete foreign exchange reserves and limit monetary policy independence.

In contrast, the German economy, being one of the largest and most developed economies in the world, has traditionally pursued a floating exchange rate regime. This allows the value of the German currency, the euro, to fluctuate based on market forces.

The advantages of a floating exchange rate for Germany include the ability to adjust the currency's value to maintain competitiveness, flexibility in responding to economic shocks, and independence in conducting monetary policy.

Germany's strong export-oriented economy benefits from a floating exchange rate, as it enables the currency to adjust to changes in international competitiveness.

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Let’s select the automobile industry in Morocco. Using secondary data sources, try to obtain industry sales and the sales of major firms in the industry for the past year. Estimate the market share of major firms (if available).
Try to find the same information in at least one other secondary source
To what extent the different secondary sources agree
If there are differences in the results, what might a reason for it
Write a small report about the potential growth in the industry.

Answers

Obtaining industry sales and major firms' sales data, estimating market share, and comparing information from different secondary sources.

Gathering data on industry sales and major firms' sales in the automobile industry in Morocco requires using secondary data sources.

These sources may include industry reports, market research publications, government statistics, and financial reports of major firms.

By analyzing these sources, we can estimate the market share of major firms if the data is available.

To ensure accuracy and reliability, it is important to consult multiple secondary sources.

Comparing the information from different sources helps to assess the extent of agreement or any discrepancies.

Differences in the results could arise due to variations in data collection methods, reporting periods, and sample sizes used by different sources.

It is crucial to critically evaluate the credibility and methodology of each source to understand the potential reasons behind variations.

In writing a small report on the potential growth in the automobile industry in Morocco, one can analyze various factors influencing growth, such as government policies, investments, market trends, and consumer preferences.

Assessing the growth potential may involve examining factors like rising income levels, increasing urbanization, expanding middle class, and supportive infrastructure development.

Additionally, highlighting emerging trends like electric vehicles, technological advancements, and the impact of sustainability on the industry can provide valuable insights.

Obtaining accurate industry sales and major firms' sales data, as well as estimating market share, is crucial for understanding the dynamics of the automobile industry in Morocco.

Consulting multiple secondary sources helps to validate the information and identify any discrepancies.

Analyzing the growth potential of the industry requires considering various factors and trends shaping the market.

Understanding the drivers of growth and the challenges faced by the industry can provide valuable insights for businesses, policymakers, and investors.

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Six Sigma is a business process for improving quality. It is favorable for reducing costs and increasing customer satisfaction. DMAIC (pronounced Dah-may-ic) is a problem-solving process of Six Sigma. Define the 5 steps of DMAIC and discuss their importance.

Answers

DMAIC is a problem-solving process used in Six Sigma methodology. It stands for Define, Measure, Analyze, Improve, and Control.

1. Define:

The Define phase involves clearly defining the problem, project goals, and customer requirements. It is essential to establish a well-defined project scope, identify key stakeholders, and set measurable objectives.

2. Measure:

In the Measure phase, the focus is on gathering data and quantitatively measuring the current process performance. This involves identifying relevant process metrics, collecting data, and establishing a baseline. .

3. Analyze:

The Analyze phase involves analyzing the collected data to identify the root causes of the problem and potential opportunities for improvement. Various tools and techniques, such as process mapping, statistical analysis, and cause-and-effect diagrams, are utilized to identify patterns, trends, and potential sources of variation.

4. Improve:

In the Improve phase, potential solutions are generated, evaluated, and implemented to address the identified root causes. This step involves brainstorming ideas, selecting the most promising solutions, and conducting small-scale experiments or pilots to validate their effectiveness.

5. Control:

The Control phase focuses on establishing controls and systems to sustain the improvements achieved. It involves developing and implementing monitoring mechanisms, documenting standard operating procedures, and establishing control plans.

The importance of following the DMAIC steps lies in their systematic approach to problem-solving. By defining the problem clearly, measuring the current state, analyzing data, implementing improvements, and establishing control measures, organizations can effectively identify and address process-related issues. DMAIC provides a structured framework for continuous improvement, enabling organizations to reduce costs, increase customer satisfaction, and enhance overall process performance.

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Medical malpractice claims are an example of how poor quality can affect an organization through liability.

Answers

Medical malpractice claims are legal actions taken by patients against healthcare providers or organizations due to alleged negligence or improper treatment. These claims highlight how poor quality healthcare can lead to liability for the organization.

Here is a step-by-step explanation:

1. Medical malpractice occurs when a healthcare professional or organization fails to provide the standard of care expected in their field, resulting in harm to the patient.

2. When a patient believes they have been a victim of medical malpractice, they can file a malpractice claim against the healthcare provider or organization responsible.

3. Malpractice claims can arise from various scenarios, such as misdiagnosis, surgical errors, medication mistakes, or failure to obtain informed consent.

4. Poor quality healthcare can contribute to malpractice claims by increasing the likelihood of mistakes or negligence. For example, if a hospital has insufficient staffing levels, it may lead to errors in patient care.

5. In a malpractice claim, the patient seeks compensation for damages caused by the healthcare provider's actions or lack thereof. These damages may include medical expenses, lost wages, pain and suffering, or long-term disability.

6. Healthcare organizations can face financial and reputational consequences due to malpractice claims. They may be required to pay compensation to the affected patient, resulting in financial losses. Moreover, negative publicity surrounding a malpractice claim can damage the organization's reputation.

7. To mitigate the risk of malpractice claims and improve patient safety, healthcare organizations should implement quality improvement initiatives, establish protocols and guidelines, provide ongoing training for healthcare professionals, and prioritize patient-centered care.

In summary, medical malpractice claims illustrate how poor quality healthcare can lead to liability for an organization. By understanding the factors that contribute to malpractice claims, healthcare organizations can work towards providing safer and higher-quality care to patients.

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1. All levels of government have the power to enact environmental controls.
True or false?
2. "Property" is something in which a person has a legal interest.
True or false?
3. Quiet enjoyment can be explained as the right to be left alone.
True or false?
4. Bailment concerns real property.
True or false?
5. The law does not require that Indigenous groups be consulted concerning developments in their territories, but it advisable, and widely-considered to be a best practice.
True or false?
6. There are essentially three types of property: real, personal, and ___________.
a) tangible
b) intellectual
c) intangible
d) all of the above
7. Real estate agreements of purchase and sale (APS) do not contain conditions precedent.
True or false?
8. Tenants in common have a right of survivorship.
True or false?
9. The difference between ownership in a condominium and in a cooperative is that in a condominium, one may own shares.
True or false?
10. When lending a purchaser money to buy a house, a bank becomes a mortgagor.
True or false?

Answers

1. False. Environmental controls are typically enacted at the national or regional level, rather than by all levels of government.

2. True. "Property" refers to something in which a person holds a legal interest or ownership rights.

3. False. Quiet enjoyment refers to the right to use and enjoy property without interference from others, not necessarily the right to be left alone.4. False. Bailment concerns personal property, not real property.

5. False. The law increasingly recognizes the duty to consult Indigenous groups concerning developments in their territories, not just as a best practice but as a legal requirement in many jurisdictions.6. c) intangible.

7. False. Real estate agreements of purchase and sale often contain conditions precedent, such as financing or inspection contingencies.8. False. Tenants in common do not have a right of survivorship; their shares in the property pass to their respective estates upon death.

9. False. In a condominium, ownership typically involves owning individual units and a proportionate share of common areas, while in a cooperative, ownership involves owning shares in the cooperative corporation.10. False. When a bank lends money to a purchaser to buy a house, it becomes a mortgagee, not a mortgagor. The mortgagor is the borrower who grants the mortgage to the lender.

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The process of identifying the specific effects of economic events on the accounting equation is referred to as?

Answers

The process of identifying the specific effects of economic events on the accounting equation is referred to as "transaction analysis." Transaction analysis involves analyzing the impact of various business transactions on the accounting equation, which is a fundamental principle in accounting.

The accounting equation is represented as Assets = Liabilities + Equity. It states that the total assets of a company must be equal to the total of its liabilities and equity. Any economic event or transaction that occurs within a business will have an impact on this equation.

To perform transaction analysis, you need to examine the individual components of the accounting equation and determine how they are affected by the transaction. For example, if a company purchases inventory using cash, the assets (inventory) would increase, while the cash would decrease. This analysis helps in understanding how the transaction affects the overall financial position of the company.

By conducting transaction analysis, accountants can accurately record and report the financial impact of economic events on the accounting equation, ensuring the accuracy and reliability of financial statements.

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How would you expect the price of a drone and the economic profit of a drone producer such as 3D Robotics to change in the long run

Answers

In the long run, we can expect the price of a drone and the economic profit of a drone producer, such as 3D Robotics,

To change in the following ways:

1. Price of a Drone: In a competitive market, the price of a drone is likely to decrease in the long run. This is because increased competition among drone producers would lead to efficiency improvements, economies of scale, and technological advancements. As more firms enter the market or existing firms expand their production capabilities, the increased supply of drones would put downward pressure on prices. Additionally, technological advancements may also contribute to cost reductions, further influencing the downward movement of prices in the long run.

2. Economic Profit of a Drone Producer: In a competitive market, economic profit tends to decrease in the long run. As the drone industry attracts more competitors and the market becomes saturated, firms face increased competition for customers. This leads to a narrowing of profit margins. New entrants and existing competitors may adopt similar production methods and technologies, which further reduces the potential for sustained economic profit.

However, it is important to note that the drone market may have unique factors that could influence these outcomes. Factors such as evolving regulations, consumer preferences, and technological advancements specific to the drone industry can impact the price and profitability dynamics. Market conditions and individual company strategies can also play a role in shaping the long-run changes in the price of drones and the economic profit of drone producers like 3D Robotics.

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Caspian Sea Drinks is considering buying the J-Mix 2000. It will allow them to make and sell more product. The machine cost $1.22 million and create incremental cash flows of $782,620.00 each year for the next five years. The cost of capital is 8.68%. What is the net present value of the J-Mix 2000?

Answers

The net present value of the J-Mix 2000 is $1,816,977.45. Since the NPV is positive, it indicates that the investment is expected to generate a positive return and is considered financially favorable.

To calculate the net present value (NPV) of the J-Mix 2000, we need to discount the incremental cash flows using the cost of capital. Here's how to calculate it:

1. Determine the discount rate: The cost of capital is given as 8.68%. This will be used as the discount rate.

2. Calculate the present value of each cash flow: We will discount each year's incremental cash flow separately

[tex]\text{Year 1: PV} &= \frac{$782,620}{(1 + 0.0868)^1} = $719,291.29 \[/tex]

[tex]\text{Year 2: PV} &= \frac{$782,620}{(1 + 0.0868)^2} = $662,204.99 \[/tex]

[tex]\text{Year 3: PV} &= \frac{$782,620}{(1 + 0.0868)^3} = $606,187.98 \[/tex]

[tex]\text{Year 4: PV} &= \frac{$782,620}{(1 + 0.0868)^4} = $551,178.55 \[/tex]

[tex]\text{Year 5: PV} &= \frac{$782,620}{(1 + 0.0868)^5} = $497,114.64 \[/tex]

3. Calculate the net present value: Sum up the present values of all cash flows and subtract the initial cost of the machine.

  [tex]\[ \text{NPV} = (\text{PV1} + \text{PV2} + \text{PV3} + \text{PV4} + \text{PV5}) - \text{Initial Cost} \][/tex]

[tex]\[ = (\$719,291.29 + \$662,204.99 + \$606,187.98 + \$551,178.55 + \$497,114.64) - \$1,220,000 \][/tex]

[tex]\[ = \$3,036,977.45 - \$1,220,000 \][/tex]

[tex]\[ = \$1,816,977.45 \][/tex]

The net present value (NPV) of the J-Mix 2000 is $1,816,977.45.

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The total cost (in dollars) for a company to manufacture and sell x items per week is C=70x+1700, whereas the revenue brought in by selling all x items is R=135x−0.5x2. How many items must be sold to obtain a weekly profit of $400? Hint: Profit = Revenue − Cost. They need to sell Or items:

Answers

They need to sell approximately 42 items to obtain a weekly profit of $400.

To find the number of items that must be sold to obtain a weekly profit of $400, we need to calculate the point where the revenue equals the cost plus the desired profit.

Given:

Cost function: C = 70x + 1700 (in dollars)

Revenue function: R = 135x - 0.5x^2 (in dollars)

Desired profit: $400

We can calculate the profit by subtracting the cost from the revenue:

Profit = Revenue - Cost

Substituting the given revenue and cost functions, we have:

Profit = (135x - 0.5x^2) - (70x + 1700)

Profit = 135x - 0.5x^2 - 70x - 1700

Profit = -0.5x^2 + 65x - 1700

Now, we set the profit equation equal to the desired profit of $400 and solve for x:

-0.5x^2 + 65x - 1700 = 400

Rearranging the equation:

-0.5x^2 + 65x - 2100 = 0

To solve this quadratic equation, we can either factor it or use the quadratic formula. Factoring may not be possible in this case, so we'll use the quadratic formula:

x = (-b ± √(b^2 - 4ac)) / 2a

In our equation, a = -0.5, b = 65, and c = -2100.

x = (-65 ± √(65^2 - 4(-0.5)(-2100))) / (2(-0.5))

Simplifying the equation further will give us two values for x. We discard the negative value since we are considering the number of items sold:

x = (-65 + √(65^2 - 4(-0.5)(-2100))) / (2(-0.5))

After calculating the expression, we find that x ≈ 42.03.

Therefore, they need to sell approximately 42 items to obtain a weekly profit of $400.

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Consider the following information which relates to a closed economy without a government:
Consumption (C + cYd) : 375 + 0.6Yd
Investment (I) : 140
Full employment level of income (Yf) : 2 000
Q: Calculate the equilibrium level of income.

Answers

The equilibrium level of income in the closed economy without a government is 1,800.

How is the equilibrium level of income determined in a closed economy without a government?

In a closed economy without a government, the equilibrium level of income is determined by the equality of total income (Y) and total expenditure (E). Total expenditure consists of consumption (C), investment (I), and disposable income (Yd). Given the consumption function (C + cYd) and investment level (I), we can calculate the equilibrium level of income.

To find the equilibrium, we set total expenditure (E) equal to total income (Y):

E = C + I + Yd

E = 375 + 0.6Yd + 140 + Yd  (Substituting the given values for consumption and investment)

E = 515 + 1.6Yd

Since we are looking for equilibrium, we know that Y = E. Therefore:

Y = 515 + 1.6Yd

At equilibrium, disposable income (Yd) equals total income (Y). In a closed economy without a government, this is also the case. Therefore, we substitute Y for Yd:

Y = 515 + 1.6Y

Now, we solve for Y by subtracting 1.6Y from both sides:

Y - 1.6Y = 515

-0.6Y = 515

Y = 515 / -0.6

Y ≈ 858.33

However, the full employment level of income (Yf) is given as 2,000. In equilibrium, total income (Y) will be equal to the full employment level of income. Therefore, the equilibrium level of income is 1,800 (as it is less than the full employment level).

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Muller's Investigative Services has stock is trading at $70 per share. The stock is expected to have a year-end dividend of $6 per share (D1 = $6), and it is expected to grow at some constant rate, gL, throughout time. The stock's required rate of return is 11% (assume the market is in equilibrium with the required return equal to the expected return). What is your forecast of gL? Do not round intermediate calculations. Round the answer to two decimal places.

Answers

The forecasted growth rate (gL) is approximately -0.0243 or -2.43%.

To calculate the forecasted growth rate (gL), we can use the Gordon Growth Model, which states that the stock's price is equal to the dividend divided by the difference between the required rate of return and the growth rate:

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

Given:

Stock Price (P0) = $70

Dividend (D1) = $6

Required Rate of Return (k) = 11%

Using the formula above, we can rearrange it to solve for the growth rate (gL):

gL = (Dividend / Stock Price) - Required Rate of Return

Substituting the given values:

gL = ($6 / $70) - 0.11

Calculating:

gL = 0.0857 - 0.11

gL ≈ -0.0243

Therefore, the forecasted growth rate (gL) is approximately -0.0243 or -2.43%.

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An Individual Retirement Account (IRA) has $20,000 in it, and the owner decides not to add any more money to the account other than interest earned at 8% compounded daily. How much will be in the account 30 years from now when the owner reaches retirement age? There will be $ in the account. (Round to the nearest cent. Use a 365-day year.)

Answers

The account will have approximately $174,494.06 in it when the owner reaches retirement age.

To calculate the future value of the IRA, we can use the compound interest formula:

FV = P * [tex](1 + r/n)^(^n^*^t^)[/tex]

Where FV represents the future value, P is the initial principal amount ($20,000), r is the annual interest rate (8%), n is the number of compounding periods per year (365 for daily compounding), and t is the number of years (30).

Substituting the values into the formula, we get:

FV = $20,000 * [tex](1 + 0.08/365)^(^3^6^5^*^3^0^)[/tex]

Calculating the expression, we find:

FV ≈ $174,494.06

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If you deposit $2,000 in a bank account that pays 6% interest annually, how much will be in your account after 5 years?

Answers

After 5 years, with an initial deposit of $2,000 in a bank account that pays 6% interest annually, the total amount in the account will be $2,790.84.

The calculation can be done using the formula for compound interest:

[tex]A = P(1 + r/n)^{(nt)}[/tex]

Where:

A = Final amount in the account

P = Principal amount (initial deposit)

r = Annual interest rate (as a decimal)

n = Number of times the interest is compounded per year

t = Number of years

In this case, the principal amount (P) is $2,000, the annual interest rate (r) is 6% or 0.06, the interest is compounded annually (n = 1), and the duration is 5 years (t = 5).

Plugging in these values into the formula, we get:

A = $2,000(1 + 0.06/1)^(1*5)

A = $2,790.84

Therefore, after 5 years, the account will have a total of $2,790.84.

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find the percents and degrees for each section needed to make a circle graph - round your percents to the nearest tenth and the degrees to the nearest whole degree; you do not need to draw the circle graphh 16. A company interviewed its 473 employees to find the toughest day to work of a 5-day work week as shown in Illustration 2.
Day Number
Monday 251
Tuesday 33
Wednesday 57
Thursday 43
Friday 89
ILLUSTRATION 2

Answers

The circle graph for the toughest day to work in a 5-day work week shows that Monday is 53.0% (191°), Tuesday is 7.0% (53°), Wednesday is 12.0% (87°), Thursday is 9.1% (66°), and Friday is 18.8% (114°) of the total.

To find the percents and degrees for each section of the circle graph, we need to calculate the proportion of each day in relation to the total number of employees (473).

Day Number Percent Degrees

Monday 251 53.0% 191°

Tuesday 33 7.0% 53°

Wednesday 57 12.0% 87°

Thursday 43 9.1% 66°

Friday 89 18.8% 114°

To calculate the percent, divide the number of employees for each day by the total number of employees (473) and multiply by 100. To calculate the degrees, multiply the percent by 360 (the total number of degrees in a circle) and round to the nearest whole degree.

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Economic theory from this unit suggests that national governments can achieve a target level of carbon emissions by setting a carbon tax (per unit of CO2) at the appropriate level. In line with this theory, between 2012 and 2014, Australia introduced a carbon tax starting at 23 AUD/tonne of CO2, with the intention of increasing it over time until reaching the desired level of carbon emissions. Following the introduction of the policy, the most affected industries in Australia lobbied on the grounds that the added pressure on their profit would force them to shut down with consequences for unemployment. In response, the Federal government decided to compensate the most affect industries with lump-sum subsidies that were funded with revenue from the tax on carbon emission levels. Considering this background, do you consider this statement to be true or false: "At the end of the day, nothing changes with the introduction of the carbon tax. Because the industry receives back the money that they pay, they will continue to emit the same level of CO2. "

Answers

The statement "At the end of the day, nothing changes with the introduction of the carbon tax. Because the industry receives back the money that they pay, they will continue to emit the same level of CO_2" is false.

While it is true that the Australian government compensated the most affected industries with lump-sum subsidies funded by the revenue from the carbon tax, this does not mean that nothing changes or that the industries will continue emitting the same level of CO_2. Here's why:

1. Price Signal: The introduction of a carbon tax creates a price signal that incentivizes industries to reduce their carbon emissions. By imposing a cost on carbon emissions, the tax makes it financially beneficial for industries to find ways to reduce their emissions. The cost incurred from paying the tax can serve as a motivator for companies to invest in cleaner technologies, improve energy efficiency, or explore alternative energy sources.

2. Behavioral Change: The introduction of a carbon tax encourages businesses to change their behavior and adopt more sustainable practices. The cost of emitting carbon incentivizes companies to innovate, develop cleaner production methods, and explore new technologies to reduce their emissions. This can lead to changes in processes, investments in renewable energy sources, and improvements in resource management.

3. Revenue Recycling: The revenue generated from the carbon tax can be used to fund renewable energy projects, support research and development of clean technologies, and implement environmental initiatives. These investments can further incentivize the reduction of carbon emissions and promote a shift towards a greener economy.

4. Market Competition: The carbon tax creates a more level playing field among industries, as companies that emit fewer carbon emissions are at a competitive advantage. This can lead to increased competition and innovation in reducing emissions, as companies strive to differentiate themselves by being more environmentally friendly.

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Marcel Co. is growing quickly. Dividends are expected to grow at a rate of 0.09 for the next 4 years, with the growth rate falling off to a constant 0.01 thereafter. If the required return is 0.14 and the company just paid a $0.88 dividend, what is the current share price? Answer with 2 decimals (e.g. 45.45).

Answers

The current share price of Marcel Co. is approximately $9.64, considering a dividend growth rate of 0.09 for the next 4 years and a constant growth rate of 0.01 thereafter, with a required return of 0.14.

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

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

Given:

- Dividend in the next 4 years grows at a rate of 0.09

- Dividend growth rate falls off to a constant 0.01 thereafter

- Required return is 0.14

- The company just paid a $0.88 dividend

Using the DDM formula:

For the next 4 years:

Dividend = $0.88 * (1 + 0.09) * (1 + 0.09) * (1 + 0.09) * (1 + 0.09) = $1.2416

After 4 years (constant growth):

Dividend = $1.2416 * (1 + 0.01) = $1.253816

Current Share Price = $1.253816 / (0.14 - 0.01)

Current Share Price ≈ $1.253816 / 0.13

Current Share Price ≈ $9.6439

Therefore, the current share price of Marcel Co. is approximately $9.64.

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Value-added tasks are:
A.Tasks that the customer is ready to pay for
B.Tasks that are done by no one else but your department due to
their special nature
C.Tasks that the company considers are parts o

Answers

Value-added tasks are tasks that the customer is ready to pay for.  The correct answer is A.Tasks that the customer is ready to pay for.

The value-added tasks are the tasks that are important for the customer and they are willing to pay for it. They enhance the product’s value and are significant in producing the end product that is in accordance with customer expectations. These tasks are essential in maintaining a customer base. Moreover, they assist the company in growing its business as consumers prefer to buy from businesses that offer better value, quality, and price. Value-added tasks are part of lean manufacturing, which focuses on producing quality products while minimizing waste.

In conclusion, value-added tasks are those tasks that are important for the customers, they are willing to pay for it, and they enhance the product’s value. They are an essential part of lean manufacturing and assist the company in retaining its customers by providing better value, quality, and price.

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2. By By 2030 it is expected that all girls and boys receives quality primary and secondary education. Evaluate the benefits of getting educated towards the sustainable development of the country ( 10

Answers

The benefits of providing quality primary and secondary education to all girls and boys are crucial for the sustainable development of a country. Education plays a significant role in shaping individuals, communities, and nations, and its positive impact extends to various aspects of society.

First and foremost, education empowers individuals by equipping them with knowledge, skills, and critical thinking abilities. It enables children and youth to develop their potential, broaden their perspectives, and enhance their opportunities for personal and professional growth. Education cultivates a sense of curiosity, creativity, and innovation, fostering a skilled and knowledgeable workforce that can contribute to economic development and prosperity.

Furthermore, education promotes social inclusion and reduces inequality. It helps to break the cycle of poverty by providing individuals with the means to improve their livelihoods and access better opportunities. Education also promotes gender equality, as it empowers girls and women, ensuring their active participation in society and decision-making processes.

From a societal perspective, an educated population contributes to the overall development and well-being of a country. Educated individuals are more likely to make informed decisions, engage in civic participation, and contribute to the advancement of their communities. Education also plays a vital role in promoting peace, tolerance, and understanding among diverse cultures and fostering social cohesion.

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Simple company acquired new equipment for processing line to make plastic pipe. The equipment has an unadjusted basis of B =$400,000, a life of only 3 years, and a salvage value of 5% of B. The chief engineer asked the graduate engineer to provide an analysis of the difference between (1) the DDB method, which is the internal book depreciation and book value method used at the plant, and (2) the required MACRS tax depreciation and its book value. He is especially curious about the differences after 2 years of service for this short-lived, but expensive asset.
(a) Determine which method offers the larger total depreciation after 2 years.
(b) Determine the book value for each method after 2 years and at the end of the recovery period.
Hint: Show all necessary steps

Answers

After 2 years of service, the MACRS tax depreciation method offers a total depreciation of $311,120, while the DDB method offers a total depreciation of $355,556.

(a) The MACRS tax depreciation method offers the larger total depreciation after 2 years.

The MACRS (Modified Accelerated Cost Recovery System) is a tax depreciation method used by the Internal Revenue Service (IRS) in the United States. It allows for accelerated depreciation deductions over a specified recovery period.

According to the information provided, the equipment has an unadjusted basis (cost) of B = $400,000, a life of 3 years, and a salvage value of 5% of B.

To calculate the MACRS depreciation for each year, we need to determine the applicable depreciation rates for each year based on the recovery period.

Using the MACRS recovery periods for 3-year property, the applicable depreciation rates are as follows:

Year 1: 33.33%

Year 2: 44.45%

Year 3: 14.81%

Calculating MACRS depreciation for each year:

Year 1 depreciation: B * Year 1 rate = $400,000 * 33.33% = $133,320

Year 2 depreciation: B * Year 2 rate = $400,000 * 44.45% = $177,800

The total MACRS depreciation after 2 years is the sum of Year 1 and Year 2 depreciation:

Total MACRS depreciation after 2 years = $133,320 + $177,800 = $311,120

Now let's calculate the DDB (Double Declining Balance) depreciation for comparison.

The DDB method is an accelerated depreciation method commonly used for financial reporting purposes. It calculates depreciation based on a fixed percentage applied to the asset's net book value each year.

The formula for DDB depreciation is: DDB depreciation = (2 / Life) * Net Book Value

The net book value at the beginning is the cost (B) minus any accumulated depreciation. Since this is the first year of service, the accumulated depreciation is zero.

Year 1 DDB depreciation: (2 / 3) * $400,000 = $266,667

Year 2 DDB depreciation: (2 / 3) * (B - Year 1 DDB depreciation) = (2 / 3) * ($400,000 - $266,667) = $88,889

The total DDB depreciation after 2 years is the sum of Year 1 and Year 2 depreciation:

Total DDB depreciation after 2 years = $266,667 + $88,889 = $355,556

After 2 years of service, the MACRS tax depreciation method offers a total depreciation of $311,120, while the DDB method offers a total depreciation of $355,556. Therefore, the DDB method offers the larger total depreciation after 2 years.

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The cross-over point for two types of machine-producing widgets is 25,000 units. Machine A has a fixed cost of P100,000 and a variable cost of P8 per widget. Machine B has a fixed cost of P250,000. What is the variable cost of Machine B?
Group of answer choices
P10.00
P4.00
P2.00
P20.00
P12.00

Answers

The cross-over point for two types of machine-producing widgets is 25,000 units. Machine A has a fixed cost of P100,000 and a variable cost of P8 per widget.  

Machine B has a fixed cost of P250,000. What is the variable cost of Machine B? The variable cost of Machine B is P12.00. Variable cost refers to the costs that are incurred by a company during the production of goods or services, which can fluctuate depending on the volume of production. The formula for calculating the variable cost is:

Variable cost = (Total cost – Fixed cost) / Number of units produced From the given information, we know that the cross-over point for the two types of machine-producing widgets is 25,000 units. Let's find the total cost of both machines and then use the formula to calculate the variable cost of Machine B. The total cost of Machine A is:

Total cost of Machine A = Fixed cost of Machine A + Variable cost of Machine A × Number of units produced

Total cost of Machine A = 100,000 + 8 × 25,000

Total cost of Machine A = 300,000

The total cost of Machine B is:

Total cost of Machine B = Fixed cost of Machine B + Variable cost of Machine B × Number of units produced

Total cost of Machine B = 250,000 + Variable cost of Machine B × 25,000

We know that the cross-over point for both machines is 25,000 units, so we can set the total cost of Machine A equal to the total cost of Machine B:

Total cost of Machine A = Total cost of Machine B 300,000 = 250,000 + Variable cost of Machine B × 25,000

Variable cost of Machine B = (300,000 - 250,000) / 25,000 Variable cost of Machine B = 50,000 / 25,000Variable cost of Machine B = P12.00. Therefore, the variable cost of Machine B is P12.00.

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What is the expected return on a portfolio that will decline in value by 10% in a recession, will increase by 15% in normal times, and will increase by 20% during boom times? Each scenario has an equal likelihood of occurrence. 8.33% 3.38% 11.00% 18.33%

Answers

The expected return on a portfolio that will decline in value by 10% in a recession, will increase by 15% in normal times, and will increase by 20% during boom times, with each scenario having an equal likelihood of occurrence, is option D) 8.33%.

Expected return is calculated by finding the weighted average of the potential returns, using the probabilities of each scenario as weights.

Therefore, the expected return = (probability of recession × potential return during recession) + (probability of normal times × potential return during normal times) + (probability of boom times × potential return during boom times)

Here, probability of recession = probability of normal times

= probability of boom times

= 1/3

Potential return during recession = -10%

Potential return during normal times = 15%

Potential return during boom times = 20%

So, the expected return = (1/3 × (-10%)) + (1/3 × 15%) + (1/3 × 20%)

= (-3.33%) + (5%) + (6.67%)

= 8.33%

Thus, the expected return on the given portfolio is 8.33%. Therefore, the option D: 8.33% is the correct answer.

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Adish is analyzing the benefits and feasibility of implementing a stress-reduction program on a fixed budget. Through research, Adish learns that the cost of a stress reduction program exceeds the proposed budget. He also learns that such programs are linked to increased employee health and morale. Adish then advises the company leadership to implement the program because it will be effective at improving the well-being of employees. Adish is guilty of

Answers

Adish is guilty of ignoring the financial constraints and feasibility of implementing the stress-reduction program within the fixed budget.

Adish's analysis of the benefits and feasibility of implementing a stress-reduction program is incomplete and biased. Although such programs are linked to increased employee health and morale, Adish fails to consider the cost aspect and the fact that the proposed budget cannot accommodate the expenses associated with the program. By advising the company leadership to implement the program without addressing the financial constraints, Adish neglects a crucial aspect of decision-making. It is essential to evaluate the feasibility of any initiative within the allocated budget to ensure the company's financial stability. Adish's recommendation solely focuses on the program's effectiveness in improving employee well-being, disregarding the practicality of implementation. To make a well-rounded recommendation, Adish should consider alternative options or find ways to align the program with the available resources without compromising the company's financial position.

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Suppose Stock Price(S) = SAR 60, Exercise Price(X) = SAR 60, Su= SAR 69, Sd
=SAR 51. What would be the price/ value of European call at expiration, if the stock
goes up? Assume one period binomial model.
SAR 0
SAR 8
SAR 9
SAR 6
Please show the calculation using keyboard

Answers

The price/value of the European call at expiration, if the stock goes up, would be SAR 18.

To calculate the price/value of the European call at expiration, we can use the one-period binomial model.
Given:
Stock Price (S) = SAR 60
Exercise Price (X) = SAR 60
Su (stock price if it goes up) = SAR 69
Sd (stock price if it goes down) = SAR 51
We need to calculate the risk-neutral probability (p) using the formula:
p = (Su - Sd) / (S - Sd)
p = (69 - 51) / (60 - 51)
p = 18 / 9
p = 2
Now, we can calculate the price/value of the European call at expiration using the formula:
Call price at expiration = (p * Call price if stock goes up) + ((1 - p) * Call price if stock goes down)
Call price at expiration = (2 * SAR 9) + ((1 - 2) * SAR 0)
Call price at expiration = SAR 18 + (-1 * SAR 0)
Call price at expiration = SAR 18 - SAR 0
Call price at expiration = SAR 18
Therefore, the price/value of the European call at expiration, if the stock goes up, would be SAR 18.

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