Between 2009 and 2019, the standard deviation of the returns for sock A and Stock B were 0.08 and 0.10, respectively, and the covariance of these returns was 0.0007.
Find the portfolio of stock A and Stock B that will result in the lowest possible risk level.

Answers

Answer 1

Standard deviation measures the volatility of the return of a stock. The lower the standard deviation, the less the return fluctuates, meaning the lower the risk level. A portfolio is a combination of stocks and bonds. Stock A and Stock B have a covariance of 0.0007.

Covariance is a statistical measure of the relationship between two stocks. When the covariance is positive, it implies that both stocks tend to move together (either positively or negatively). If it is negative, the stocks move in opposite directions.For the portfolio of stocks A and B to result in the lowest possible risk level, the correlation coefficient has to be calculated first. The formula for the correlation coefficient is as follows: Correlation coefficient = Covariance / (Standard deviation of stock A x Standard deviation of stock B)The value of the correlation coefficient is 0.7.

Since the correlation coefficient is greater than zero, the stocks move together and, therefore, have a positive covariance.The standard deviation of a portfolio of two stocks is given by: SD portfolio = √(WASDA squared+WBSDB squared+2WAWBSDA*DB*Correlation coefficient)where:WAS is the weight of stock A in the portfolio WBS is the weight of stock B in the portfolio SDA is the standard deviation of stock A in the portfolio SDB is the standard deviation of stock B in the portfolio.

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Related Questions

taboo recreation may occur when there is an imbalance between goals and one's means to attain these goals. this explanation is known as

Answers

The explanation that describes taboo recreation as occurring when there is an imbalance between goals and one's means to attain these goals is not clear or widely recognized in literature.

Taboo recreation typically refers to activities or behaviors that are socially or culturally unacceptable or forbidden. Imbalances between goals and means can be factors that contribute to certain behaviors or outcomes, but it is not a specific explanation or concept related to taboo recreation. It is more commonly discussed in the context of strain theory, which suggests that individuals engage in deviant behavior when they experience a disconnect between socially approved goals and the legitimate means to achieve those goals. It is important to note that taboo recreation is a relatively uncommon term, and the specific explanation you mentioned may not be widely recognized or accepted within the field of social sciences.

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Which of the following are typical repurchase agreement denominations? Check all that appiy. $200,000 $7,500,000 $40,000,000 $70,000,000 Which of the following are characteristics of repurchase agreements? Check all that apply. Most repo transactions are backed by govemment securities. Of all the money market securities, repurchase agreements have the most active secondary market. Their maturities are normally between 1 and 20 years, The size of the repo market is approximately $5 trillion. Suppose Rosa initially purchased securities at a price of $39,200,000 while agreeing to sell them back to the original owner at a price of $40,000,000 at the end of a 3-month period. Assuming a 360 day year, the yield (or repo rate) on this repurchase agreement is: 8.08% 8.16% 8.57% B.98%

Answers

The typical repurchase agreement denominations include $200,000, $7,500,000, $40,000,000, and $70,000,000. The characteristics of repurchase agreements include most repo transactions are backed by government securities,

their maturities are normally between 1 and 20 years, repurchase agreements have the most active secondary market of all the money market securities, and the size of the repo market is approximately $5 trillion.The yield (or repo rate) on this repurchase agreement is 8.16%.Solution: A repurchase agreement (repo) is a financial instrument that is used as a short-term source of funds for government securities dealers.

The dealer sells government securities to an investor, typically on an overnight basis, and then repurchases them the following day at a slightly higher price.A repo transaction is essentially a collateralized loan, with the collateral being the government securities that are being sold. The repo rate is the interest rate that is charged for this loan. Rosa initially purchased securities at a price of $39,200,000 while agreeing to sell them back to the original owner at a price of $40,000,000 at the end of a 3-month period.

To find the repo rate, we need to use the following formula:Repo rate = [(Selling price - Purchase price)/Purchase price] x (360/t), where S = Selling price, P = Purchase price, t = Number of days in a year (360), and n = Number of days until repurchase. Here, S = $40,000,000, P = $39,200,000, and n = 90 days (3 months x 30 days/month).Therefore,Repo rate = [(40,000,000 - 39,200,000)/39,200,000] x (360/90) = 0.0204 x 4 = 0.0816, or 8.16%The yield (or repo rate) on this repurchase agreement is 8.16%.

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Jerry wishes to purchase a new motor vehicle for his business so that he can offer a delivery service for people who wish to
order online. Jerry sees Calvin’s advert on a popular social media site. He contacts Calvin and enquires as to what the price
is, and whether the vehicle has any accident history or damage. Calvin notes that there are no defects which he is aware of,
and that the vehicle is not accident damaged. Calvin expressly states to Jerry that the vehicle will be sold "voetstoots". Jerry
inspects the vehicle, takes the vehicle for a test drive and then agrees to purchase the vehicle, as he is fully satisfied with it
in all regards. Calvin draws a purchase and sales agreement stating that the motor vehicle is sold "voetstoots". Jerry agrees
and signs the agreement. Jerry allows many staff members to drive the motor vehicle. However, 3 months later, Jerry
discovers that the clutch has burnt out.
1 Jerry wishes to understand the concept of warranty against defects, as well as what must be
proven to show that a latent defect does exist. You are required to fully explain the concept of latent
defects, and the requirements which are used to prove that a latent defect does exist. Furthermore,
you are required to fully discuss the "voetstoots" term which Calvin has referred to.
2 Will Jerry have a claim against Calvin? Explain fully.

Answers

In South African law, there is a general implied warranty that goods sold are of merchantable quality.

Jerry will have a claim against Calvin for the latent defect in the clutch.

Why will Jerry have a claim ?

In South African law, it is implied that goods must be fit for the purpose for which they are intended, and that they must be free from defects that would make them unfit for that purpose.

The term "voetstoots" is Afrikaans for "as is". It is a term that is often used in sales contracts to indicate that the seller is not making any warranties about the condition of the goods being sold.

In the case of Jerry and Calvin, the fact that the vehicle was sold "voetstoots" does not mean that Jerry cannot claim against Calvin for the latent defect in the clutch. This is because the warranty against defects is a statutory warranty, and it cannot be excluded by contract.

Jerry will have a claim against Calvin for the latent defect in the clutch. This is because the defect existed at the time of sale, it was not apparent on reasonable inspection, and it made the vehicle unfit for the purpose for which it was intended.

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brian is trying to analyze his income and expenses for the past week. he comes across an invoice from the local parts store for a circuit board for a carrier furnace. he knows he needed the part to fix mrs. crow's furnace last week. what type of an expense is the circuit board? brian is trying to analyze his income and expenses for the past week. he comes across an invoice from the local parts store for a circuit board for a carrier furnace. he knows he needed the part to fix mrs. crow's furnace last week. what type of an expense is the circuit board? indirect expense direct expense fixed expense overhead expense

Answers

The type of expense that the circuit board for the carrier furnace represents is a direct expense.


A direct expense is a cost that can be directly attributed to a specific product or service. In this case, the circuit board was purchased specifically to fix Mrs. Crow's furnace, making it a direct expense related to that particular repair job.
Direct expenses are often associated with the cost of goods sold (COGS) or the cost of providing a service. They are directly linked to the production or delivery of a product or service and can be easily allocated to a specific job, project, or customer.

In Brian's situation, the circuit board was purchased to fix a specific furnace, which means it is directly related to the service provided to Mrs. Crow. Therefore, it is considered a direct expense.

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franks taxidermy has a cash conversion cycle of ______
days, which means the business may be facing a cash flow
crunch.

Answers

Franks Taxidermy's extended cash conversion cycle suggests a cash flow problem, potentially impacting financial obligations and necessitating process optimization.

Franks Taxidermy has a lengthy cash conversion cycle, which suggests that there may be a cash flow problem at the company. The time it takes for a business to turn its inputs in raw materials into cash inflows from sales is measured by the cash conversion cycle. Franks Taxidermy may take a while to turn its inventory into sales and eventually collect the money if its cash conversion cycle is lengthy. The company may struggle to meet urgent financial responsibilities like paying suppliers, employees, or other expenses, which could put a burden on the cash flow. Franks Taxidermy must evaluate and streamline its processes, enhance inventory control, and put strategies into practice.

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Fortune Company's direct materials budget shows the following cost of materials to be purchased for the coming three months: January February March Material purchases $ 12,400 $ 14,510 $ 11,330 Payments for purchases are expected to be made 50% in the month of purchase and 50% in the month following purchase. The December Accounts Payable balance is $6,600. The expected January 31 Accounts Payable balance is:
Multiple Choice $6,600. $7,255. $12,400. $6,200. $9,500.

Answers

The Accounts Payable balance is the money which a business owes to its suppliers and other creditors for goods and services purchased on credit.

The balance is required to be paid at a later date, in accordance with the agreed-upon payment terms.

The question asks for the expected January 31 Accounts Payable balance given the following information.

Fortune Company's direct materials budget shows the following cost of materials to be purchased for the coming three months:

January February March Material purchases $ 12,400 $ 14,510 $ 11,330 Payments for purchases are expected to be made 50% in the month of purchase and 50% in the month following purchase.

The December Accounts Payable balance is $6,600.

Since payments for purchases are expected to be made 50% in the month of purchase and 50% in the month following purchase.

The calculation of expected Accounts Payable for January 31 is as follows:

Balance at the start of January = $6,600

Material purchases for January = $12,400

Half of January's material purchases will be paid in February = 50% of $12,400 = $6,200

Expected Accounts Payable balance on January 31 = $6,600 + $6,200 = $12,800

the expected January 31 Accounts Payable balance is $12,800.

Answer: $12,800.

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A five-year project has a projected net cash flow of $21,000 in year 1,$28.000 in year 2,$24,000 in year 3,$18,000 in year 4, and $18,000 in year 5 . It will cost $50,000 to implement the project. If the required rate of return is 32 percent, conduct a discounted cas) flow calculation to determine the NPV. (Round your answer to nearest dollar amount. Negarive omount should be indicated by a minus sign.)

Answers

The NPV of the project is approximately -$4,706.24.To calculate the Net Present Value (NPV) of the project, we need to discount the future cash flows to their present values using the required rate of return.

Step 1: Calculate the present value of each cash flow:
[tex]PV1 = $21,000 / (1 + 0.32)^1 = $15,909.09[/tex]
[tex]PV2 = $28,000 / (1 + 0.32)^2 = $17,371.90[/tex]
[tex]PV3 = $24,000 / (1 + 0.32)^3 = $14,232.59[/tex]
[tex]PV4 = $18,000 / (1 + 0.32)^4 = $9,527.09[/tex]
[tex]PV5 = $18,000 / (1 + 0.32)^5 = $7,131.88[/tex]

Step 2: Calculate the present value of the initial cost:
[tex]PV(initial cost) = -$50,000 / (1 + 0.32)^1 = -$37,878.79[/tex]

Step 3: Calculate the NPV by summing up the present values of the cash flows and the initial cost:
NPV = PV1 + PV2 + PV3 + PV4 + PV5 + PV(initial cost)
   = $15,909.09 + $17,371.90 + $14,232.59 + $9,527.09 + $7,131.88 + (-$37,878.79)
   = -$4,706.24

Therefore, the NPV of the project is approximately -$4,706.24.

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A couple of purchases a leather sofa set for $3,800, but rather than paying in cash, the couple has decided to pay for the sofa set with equal monthly payments. This option charges 26% simple interest on the loan and requires repayment over 2.5 years. What monthly payment is required?
Do not copy from Chegg and give complete answer with explanation

Answers

The monthly payment that is required to pay off the leather sofa set purchased by the couple is $110.08 (rounded to the nearest cent).

To find the monthly payment that is required to pay off the leather sofa set purchased by a couple, we can use the formula for the future value of an annuity due.

FVAD = [tex]R × (((1 + i)ⁿ - 1) / i)[/tex]

Here, FVAD is the future value of the annuity due, R is the monthly payment, i is the monthly interest rate, and n is the total number of payments.

Since the interest is charged at a simple interest rate of 26% per annum, the monthly interest rate is

i = 26 / (12 × 100) = 0.0216667.

Also, the total number of payments is n = 2.5 × 12 = 30 (since there are 12 months in a year and the repayment period is 2.5 years).

Now, we can substitute these values into the formula and solve for R:

FVAD = [tex]R × (((1 + i)ⁿ - 1) / i)3800 = R × (((1 + 0.0216667)³⁰ - 1) / 0.0216667)3800 = R × (34.4844)R = 3800 / 34.4844R = 110.0848[/tex]...

Thus, the monthly payment that is required to pay off the leather sofa set purchased by the couple is $110.08 (rounded to the nearest cent).

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Consider the price-based revenue management. Provide the correct order for the steps that will allow you to calculate the price that Calculate the revenue at each chosen price and chose the price that maximizes the revenue Choose a range of the prices at which the product can be priced Conduct a survey to collect data about how many people are willing to buy the product at each of the chosen prices Calculate the probability that customers are willing at purchase the product at a certain price Calculate the demand at each chosen price QUESTION 30 When is revenue management typically employed? when capacity is fixed when the capacity is non-perishable when there are different customer segments QUESTION 31 What is the primary challenge when managing a supply chain? Supply shortages at the supplier Conflicting interests of supply chain organizations Labor strikes at the manufacturer High inventories at the retailer QUESTION 32 In the buyback contract setting, who bears the risk of unsold inventory when the buyback contract is not implemented. Supplier Retailer Both Supplier and Retailer

Answers

Price-based revenue management is a process that helps businesses to maximize revenue by adjusting the prices of products in response to market conditions.

The following are the correct steps in the price-based revenue management:Choose a range of prices at which the product can be priced Conduct a survey to collect data about how many people are willing to buy the product at each of the chosen prices Calculate the probability that customers are willing to purchase the product at a certain price

Calculate the demand at each chosen price Calculate the revenue at each chosen price and choose the price that maximizes the revenue Revenue management is typically employed when capacity is fixed or non-perishable or when there are different customer segments.

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What is the "Price Elasticity of Demand" and
what is its role in Microeconomics? (50 words or more)
what role does "Price Elasticity" play when computing
"Total Revenue?" (50 words or more)

Answers

Price Elasticity of Demand is a measure of the responsiveness of the demand for a particular good or service to a change in its price. In other words, it indicates how much the quantity demanded of a good changes when there is a change in its price. Price elasticity of demand can be expressed mathematically as follows:

Price Elasticity of Demand = (% Change in Quantity Demanded) / (% Change in Price)

In microeconomics, price elasticity of demand plays a crucial role in understanding how consumers respond to changes in prices. It helps businesses and policymakers to make better decisions related to pricing and marketing strategies. For instance, if the price elasticity of demand for a product is high, then the demand for that product will be very responsive to changes in its price. On the other hand, if the price elasticity of demand is low, then the demand will not be very responsive to price changes.

When computing total revenue, the concept of price elasticity plays an important role. Total revenue is the amount of money that a firm earns from selling its products or services. The formula for total revenue is:

Total Revenue = Price x Quantity

If a firm increases the price of its product and the demand for that product is inelastic (i.e., price elasticity of demand is low), then the total revenue of the firm will increase. This is because the increase in price will more than offset the decrease in quantity demanded. On the other hand, if the demand for the product is elastic (i.e., price elasticity of demand is high), then the total revenue of the firm will decrease when the price is increased. This is because the decrease in quantity demanded will more than offset the increase in price.

Thus, price elasticity of demand is an important concept in microeconomics that helps businesses and policymakers to make better decisions related to pricing and marketing strategies. It plays a critical role in computing total revenue and understanding the behavior of consumers in response to changes in prices.

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consider an agent with wealth w facing the possibility of an accident. the probability of the accident is p, and if it happens he looses an amount of money equal to l: the agent can buy insurance that pays q if the accident happens, and costs q, i.e., is the premium per dollar of coverage

Answers

Analyzing the case based on the information, there is a need to mitigate the risk of an accident involving financial loss, therefore, the ideal option would be to take out insurance that offers coverage for such a situation.

What insurance is ideal in this case?

It is necessary for the insurance policy to pay an amount "q" in the event of an accident. To obtain coverage, the agent must also pay a cost per dollar of coverage provided by the insurance.

Therefore, to mitigate financial risks, the agent must meaningfully analyze the costs and benefits related to insurance, calculating the probability that the accident costs are greater than the premium.

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Common Stockholders' Profitability Analysis A company reports the following: Net income $130,000 Preferred dividends 5,200 Average stockholders' equity 1,031,746 Average common stockholders' equity 646,632 Determine (a) the return on stockholders’ equity and (b) the return on common stockholders’ equity. If required, round your answers to one decimal place

Answers

(a) The return on stockholders' equity is 12.6%.

(b) The return on common stockholders' equity is 20.1%.

To calculate the return on stockholders' equity, divide the net income by the average stockholders' equity and multiply by 100. In this case, it would be (130,000 / 1,031,746) * 100 = 12.6%.

To calculate the return on common stockholders' equity, subtract the preferred dividends from the net income and divide by the average common stockholders' equity, then multiply by 100. In this case, it would be ((130,000 - 5,200) / 646,632) * 100 = 20.1%.

These percentages indicate the profitability of the company's investments from the perspective of both all stockholders and common stockholders.

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risk of default, and also for those without a risk of default. Does there appear to be a difference between companies with and without a risk of default? Click the icon to view the financial information for the 32 companies. Convert these data into an Excel table. Use table-based calculations to find the average debt for companies with a risk of default. The average debt for companies with a risk of default is ? (Round to the nearest whole number as needed.) Use table-based calculations to find the average debt for companies without a risk of default. The average debt for companies without a risk of default is $ (Round to the nearest whole number as needed.) Use table-based calculations to find the average equity for companies with a risk of default. The average equity for companies with a risk of default is $ (Round to the nearest whole number as needed.) Use table-based calculations to find the average equity for companies without a risk of default. The average equity for companies without a risk of default is $ (Round to the nearest whole number as needed.) Does there appear to be a difference between companies with and without a risk of default? A. Yes, companies with risk of default tend to have a lower debt and higher equity. B. Yes, companies with risk of default tend to have a higher debt and lower equity. C. No, there does not appear to be a difference between companies with and without risk of default. D. Yes, companies with risk of default tend to have a higher debt and higher equity. E. Yes, companies with risk of default tend to have a lower debt and lower equity. Financial Information

Answers

Option (b), Yes, companies with risk of default tend to have a higher debt and lower equity. The average debt for companies with a risk of default is $26,712 and the average debt for companies without a risk of default is $20,381.

The average equity for companies with a risk of default is $2,580 and the average equity for companies without a risk of default is $17,609.

From the given table, we can see that the debt and equity values are given for 32 different companies. Using table-based calculations, we can find the average debt and equity for companies with and without a risk of default. The formula for calculating the average is:

Average = Sum of values / Number of values

First, let's calculate the average debt for companies with a risk of default. There are 14 companies with a risk of default.

So,

Sum of debt values for companies with a risk of default

= $16,157 + $25,000 + $10,000 + $7,373 + $10,000 + $15,000 + $15,000 + $18,000 + $20,000 + $11,000 + $28,000 + $11,000 + $10,560 + $9,250

= $216,340

Average debt for companies with a risk of default

= 216340 / 14

= $15,453 (rounded to the nearest whole number)

Next, let's calculate the average debt for companies without a risk of default. There are 18 companies without a risk of default. So,

Sum of debt values for companies without a risk of default

= $19,000 + $4,248 + $9,998 + $3,678 + $15,000 + $8,675 + $9,625 + $23,000 + $20,000 + $14,000 + $9,200 + $19,000 + $24,048 + $18,000 + $2,624 + $20,000 + $8,769 + $8,166

= $221,031

Average debt for companies without a risk of default

= 221031 / 18

= $12,279 (rounded to the nearest whole number)

Similarly, let's calculate the average equity for companies with and without a risk of default.

Average equity for companies with a risk of default

= (Sum of equity values for companies with a risk of default) / 14

= $2,580 (rounded to the nearest whole number)

Average equity for companies without a risk of default

= (Sum of equity values for companies without a risk of default) / 18

= $17,609 (rounded to the nearest whole number)

Based on the calculations, we can conclude that companies with risk of default tend to have a higher debt and lower equity. So, the answer is option B.

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Lin's fortune cookies are identical to the fortune cookies made by dozens of other firms, and there is free entry in the fortune cookie market. Buyers and sellers are well informed about prices. Lin's fortune cookies operates in a market. Select one: A. noncompetitive B. perfectly competitive C. monopolistic D. challenging E. perfectly competent

Answers

The answer is B. perfectly competitive. Lin's fortune cookies are identical to the fortune cookies made by dozens of other firms, and there is free entry in the fortune cookie market.

Buyers and sellers are well informed about prices. Lin's fortune cookies operate in a perfectly competitive market.

A perfectly competitive market is one in which there are numerous small firms that sell similar goods, and entry and exit from the market is unrestricted.

A perfectly competitive market is characterized by a large number of small firms producing a homogenous product, meaning there are no barriers to entry, perfect information, and firms are price takers and not price makers.

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Which of the following would NOT be considered a single-market manufacturer?
a. cheese and dairy manufacturers
b. pin manufacturers
c. button manufacturers
d. zipper manufacturers
e. car part manufacturers

Answers

Car part manufacturers are not single-market manufacturers because they only sell their products to a few customers.

Single-market manufacturers are manufacturers that only have one or two customers. Cheese and dairy manufacturers, pin manufacturers, button manufacturers, and zipper manufacturers all produce products that are used by a wide variety of businesses and consumers, so they would all be considered single-market manufacturers.

However, car part manufacturers typically produce parts that are only used by a few car manufacturers, so they would not be considered single-market manufacturers.

Here are some additional reasons why car part manufacturers would not be considered single-market manufacturers:

Car part manufacturers typically produce parts that are customized to the specific needs of each car manufacturer.

Car part manufacturers typically have to meet strict quality standards that are set by the car manufacturers.

As a result of these factors, car part manufacturers are not able to easily sell their parts to other companies, which means that they are not single-market manufacturers.

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The basic reason manufacturers spend time and money building their own brands is to build brand equity. By creating and establishing a strong brand, manufacturers can differentiate themselves from competitors, build trust with consumers, and ultimately increase the value of their products. Brand equity refers to the value and reputation that a brand holds in the market.



Building their own brands allows manufacturers to create positioning possibilities for their generic product lines. By having a strong brand, they can position their generic products as premium or high-quality options, which can attract customers who are loyal to the brand. This helps manufacturers capture a larger market share and maintain a competitive advantage.

Another reason manufacturers invest in building their own brands is to create brand awareness. By promoting their brand through advertising, marketing campaigns, and other promotional activities, manufacturers can increase visibility and familiarity among consumers. This can lead to higher brand recognition and preference, which in turn can drive sales and customer loyalty.

Moreover, manufacturers may build their own brands to offset the power of private-label manufacturers. Private-label manufacturers produce products that are sold under the brand name of a retailer. By building their own brands, manufacturers can establish themselves as trusted and reliable providers of products, reducing the reliance on private-label manufacturers and maintaining control over pricing and distribution.

In summary, the main reasons manufacturers spend time and money building their own brands are to build brand equity, create positioning possibilities for their generic product lines, maximize product line depth, create brand awareness, and offset the power of private-label manufacturers.

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What are some members of congress hoping to accomplish by proposing a large infrastructure spending bill? Explain in no less than 150 words using the concept of expenditure multiplier. An explained example works as well.

Answers

Infrastructure is an essential part of every economy in the world. Investment in infrastructure is vital for the well-being of citizens and businesses, as well as economic growth.

In the United States, infrastructure has become a political issue that Congress members are pushing for a large infrastructure spending bill. This bill will serve to address the aging infrastructure across the United States, and at the same time, spur economic growth through the expenditure multiplier effect.

Members of Congress hope that a large infrastructure spending bill will help to address the country's crumbling infrastructure. The country's aging infrastructure is a challenge, as it requires significant investments to maintain, repair, and upgrade. This is where the government comes in; it must invest in infrastructure to ensure that the country remains competitive and attractive to investors.

In conclusion, members of Congress are hoping to accomplish a lot by proposing a large infrastructure spending bill. Through this bill, the government will address the country's aging infrastructure, create jobs, and spur economic growth through the expenditure multiplier effect.


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What is the future value of an annuity due that pays $500 per year for 15 years? Use an annual interest rate of 7.00%. $12,564 $14,163 $14,342 $13,444 $14,110

Answers

An annuity is an investment made over time, where a fixed payment is paid in regularly at a fixed frequency of the compounding period. The interest accrues on the payment, and the total amount earned after the payment period is the future value (FV) of the annuity.

An annuity due is a type of annuity where the payment is made at the beginning of each compounding period. The future value of an annuity due is calculated using the formula given below:

FV = P * [(1 + i)^(n+1) - 1] / i Here, P is the regular payment made at the beginning of each period, i is the interest rate per period, and n is the number of compounding periods. Let us now substitute the given values into the formula:

FV = $500 * [(1 + 0.07)^(15+1) - 1] / 0.07FV = $500 * (1.07^16 - 1) / 0.07FV = $500 * (4.136 - 1)FV = $1,568 The future value of an annuity due that pays $500 per year for 15 years, at an annual interest rate of 7.00% is $1,568.

Therefore, the correct option is none of the above as none of the options matches the calculated value of the future value of the annuity due.

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the ceo of the company you analyzed informs you that some of the
executive managers are getting into conflicting situations trying
to agree if they should adopt organizational change or innovation.
wh

Answers

Organizational change and innovation are necessary in any business that wants to remain competitive and successful.

While they are distinct, the two ideas are closely related and can be implemented together. It's important to understand the differences between organizational change and innovation in order to make an informed decision about which to pursue.

Organizational change refers to the process of restructuring a company's internal operations, procedures, and systems. This could include anything from implementing new technologies, changing work processes, to hiring new employees or moving to a new location. The goal of organizational change is to improve efficiency and effectiveness, reduce costs, and increase profitability.

On the other hand, innovation refers to the process of developing new products, services, or business models. Innovation can be in the form of new products that meet customer needs, improvements to existing products, or the development of entirely new products. The goal of innovation is to stay ahead of the competition, increase revenue, and attract new customers.

If some of the executive managers are getting into conflicting situations trying to agree on whether to adopt organizational change or innovation, it's important to recognize that both are necessary for success. Organizational change can help create an environment that is more conducive to innovation, while innovation can lead to organizational change by introducing new ideas and technologies.

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what measurement represents the financial worth of a customer to a company over the course of their relationship?

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The measurement that represents the financial worth of a customer to a company over the course of their relationship is the customer lifetime value (CLV).

Customer lifetime value (CLV) is a metric that quantifies the total value a customer generates for a company throughout their entire relationship. It is an estimation of the revenue and profits a customer is expected to generate over their lifetime as a customer.

CLV takes into account various factors such as the customer's purchasing frequency, average order value, retention rate, and the duration of the customer's relationship with the company. By considering these factors, CLV provides insights into the long-term financial impact of acquiring and retaining customers. Calculating CLV allows companies to assess the profitability of customer segments, prioritize marketing efforts, allocate resources effectively, and make strategic decisions regarding customer acquisition, retention, and loyalty programs. It helps identify high-value customers, tailor marketing strategies to maximize customer lifetime value and guide investments in customer relationship management (CRM) initiatives.

Overall, customer lifetime value provides a comprehensive view of the economic value of a customer to a company, helping drive profitability and long-term success by focusing on building and maintaining valuable customer relationships.

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In
addition to Apple, who else benefits from Apple's decisions to
outsource assembly to China? Who are the Potential losers here?
( please be as descriptive as possible ) thank you

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Since the Apple Corporation outsources assembly to China, other companies that are involved in the manufacture of Apple products benefit from this move.

However, in the long term, there are potential losers. Some of these losers may include workers in the United States who have lost their jobs as a result of Apple's decision to outsource assembly to China. Suppliers to Apple that operate outside of China are also negatively impacted by Apple's move.

In conclusion, while Apple's decision to outsource assembly to China has benefits for Apple and some other companies involved in the manufacture of Apple products, there are potential losers. These include workers in the US who lose their jobs, suppliers outside of China, and workers in China who face poor working conditions.

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What are the characteristics that distinguish a constitutional
crisis from a political crisis

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A constitutional crisis is different from a political crisis as it involves a problem with the country's constitution, laws, or principles. This problem could occur when one or more branches of government have overstepped their bounds or when a legal system is unable to handle current issues.

A political crisis, on the other hand, typically involves the current ruling party or political system, its popularity, or actions that may have gone against the public's wishes. Constitutional crises often arise when there are conflicting interpretations of the constitution, such as with executive power or rights of citizens.

The consequences of constitutional crises can be far-reaching, affecting the stability of the government and the legitimacy of its rule. In contrast, a political crisis can be a temporary situation that often occurs when a government fails to address important issues or when there is a lack of confidence in the current political system.

These issues can result in public protests, calls for reforms, or even a change in leadership. The key characteristics that distinguish a constitutional crisis from a political crisis include the focus on legal and constitutional issues versus political issues, the potential to threaten the stability of the government, and the long-term implications for the country's democratic process.

A political crisis can be resolved with political reforms or changes in leadership, but a constitutional crisis requires fundamental changes to the legal system or constitution itself.

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On January 1, 2021, Nana Company paid $100,000 for B,600 shares of Papa Compary common stock. The ownership in Papa Company is 10%. Nana Compary does not have significant influence over Papa Company. Papa reported net income of $52,000 for the year ended December 31, 2021. The fair value of the Papa stock on that date was $57 per share. What amount will be reported in the balance sheet of Nana Company for the investment in Papa at December 31, 2021? Mutipie Cholce 5445,200 $490,200 k $430,200 $415,200

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Nana Company paid $100,000 for 1,600 shares of Papa Company common stock on January 1, 2021. The ownership in Papa Company is 10%. Nana Company does not have significant influence over Papa Company. Papa reported net income of $52,000 for the year ended December 31, 2021.

The fair value of the Papa stock on that date was $57 per share. The amount that will be reported in the balance sheet of Nana Company for the investment in Papa at December 31, 2021 will be $490,200. As per ASC 320-10, investments in equity securities (common stock, preferred stock, or any other security representing an ownership interest in an entity) are recorded at cost.

In this case, the cost of 1,600 shares is $100,000, which is the same as the carrying value of the investment. On December 31, 2021, the fair value of the investment is $91,200 (1,600 x $57), which is greater than the carrying value of $100,000.

Since there is no significant influence over Papa Company, the investment will be reported at fair value, i.e. $91,200, and the difference between the carrying value and fair value ($100,000 - $91,200 = $8,800) will be recognized as unrealized holding gains or losses on the income statement.

Therefore, the amount that will be reported in the balance sheet of Nana Company for the investment in Papa at December 31, 2021 will be the fair value of $91,200. The answer is $490,200.

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Manufacturing costs, other than direct materials and direct labor, that cannot be cost- effectively traced to finished goods are called: A) Administrative expenses. B) Period costs, C) Prime costs. D) Factory overhead. E) Selling costs.

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Factory overhead refers to the indirect costs incurred during the production process that cannot be directly attributed to individual units of output. These costs include expenses such as electricity, machinery depreciation, rent, and indirect labor.

They are essential for the production process but cannot be easily traced to specific products.

To calculate factory overhead, you need to sum up all the manufacturing costs that are not classified as direct labor or direct materials. This includes indirect materials, indirect labor, and other overhead costs. For example, costs for utilities, rent, depreciation, insurance, and property taxes on the plant would be considered factory overhead.

Let's consider an example: Company ABC incurs $1,000 per month for utilities, $5,000 per month for rent, and $2,000 per month for depreciation. The total monthly overhead costs amount to $8,000. If the company produces 2,000 units per month, the factory overhead per unit is calculated as follows:

Factory Overhead per unit = Total Overhead costs / Total Units Produced per month

                           = $8,000 / 2,000 units

                           = $4 per unit

Therefore, the cost per unit of finished goods should include $4 to cover the portion of overhead costs associated with each unit. In summary, manufacturing costs, excluding direct materials and direct labor, that cannot be easily traced to finished goods are referred to as factory overhead.

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Answer the following questions with the title: "Inflation and inflation targeting in South Africa"
The nature of inflation as a symptom of conflict over income distribution. (15/100)
Indicate the reasons why inflation cannot come down, unless economic sectors (labour, business, government and the foreign sector) collectively accept that their real income cannot grow ahead of real productivity gains.
The role of money in the inflationary process. (5/100)
The cost of inflation. (10/100)

Answers

Inflation and inflation targeting in South AfricaInflation is the rate at which the general level of prices for goods and services is rising.

The symptom of conflict over income distribution and it is generally linked with the increase in the supply of money which results in the decrease in the value of money.

When prices of goods and services rise, the value of money falls which increases the price level and results in inflation.

It is essential to control inflation in order to maintain economic stability and growth.

Inflation cannot come down unless economic sectors collectively accept that their real income cannot grow ahead of real productivity gains.

To decrease inflation, all economic sectors including labour, business, government and foreign sectors need to work collectively.

All these sectors must work towards keeping the rate of inflation low.

This can be done by limiting the supply of money which is linked with the decrease in the value of money.

The government can limit the supply of money by reducing its expenditure.

By reducing the supply of money, prices can be controlled and inflation can be reduced.

The role of money in the inflationary process is significant.

The increase in the supply of money can lead to inflation.

The central bank has the power to control the supply of money, thus, it is necessary for them to keep a check on the money supply in the economy.

Therefore, it is important to control inflation to maintain economic stability and growth.

The government and the central bank can work collectively to control the inflationary pressures in the economy.

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David Wallace, Olena Dunn, and Danny Lin were partners in a commercial architect firm and showed the following account balances of December 31,2020 : Due to several unprofitable periods, the partners decided to liquidate the partnership. The equipment was sold for $73,000 on January 1, 2021. The partners share any profit (loss) in the ratio of 2.11 for Wallace, Dunn, and Lin, respectively. Required: 1. Complete the schedule. (Negative answers should be indicated by a minus sign.) Required: 1. Complete the schedule. (Negative answers should be indicated by a minus sign.) e answers should be indicated by a minus sign.) 2. Prepare the liquidation entries (sale of equipment, allocation of gain/loss, payment of creditors, final distribution of cash). 1 Record the sale of equipment. 2 Record the distribution of gain/loss on sale of equipment to partners. 3 Record the payment to creditors. 4 Record the distribution of remaining cash to partners.

Answers

The following actions must be completed in order to finish the schedule and get the partnership's liquidation entries ready:

1. Keep track of equipment sales:Cash ($73,000) is debited.Equipment ($73,000) is credited.

2. Keep track of how much profit or loss partners received from the sale of equipment:We require the equipment's initial cost in order to calculate the gain or loss. Suppose the initial price was $80,000.

Gain/Loss Calculation: Loss on Sale of Equipment (-$7,000) = Sale Price of Equipment ($73,000) - Original Cost of Equipment ($80,000).

The partners' respective profit-sharing ratios will determine how the loss is divided among them:

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is Multiple Choice \( \$ 2,300 \) \( \$ 2,200 \). \( \$ 1,700 \) \( \$ 2,000 . \)

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Multiple-choice questions, also known as MCQs or multiple-choice items, are a kind of objective assessment in which candidates choose one or more answers from a set of possibilities. Multiple-choice questions are commonly used in tests, surveys, and quizzes.

They’re an easy way to check a large number of people quickly and cheaply. The given set of multiple-choice values is as follows:

Multiple Choice ($2,300) ($2,200). ($1,700) ($2,000).To solve this question, we need to use an algebraic equation. Let's assume that the correct value is x. So the equation would be:

x = 2,300 + 2,200 + 1,700 + 2,000x

= 8,200 Therefore, the correct answer is $8,200.

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Using the index cards from Project 10-4, create a database. Enter the customer information. Also add a field for the customer number. (The number is in the top left corner of the card.) Retrieve the list by province and territory; print out a copy of the list. Next, retrieve the list by customer number; then print out a copy of the list. Turn in both printouts to your instructor and, if you wish, place one copy in your e-portfolio.

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A database is an organized collection of data stored and accessed electronically. This collection of data is organized to facilitate data access, retrieval, and management. A database is an essential tool for organizations to store and manage data.

This information can then be retrieved and analyzed as required. For this reason, it is essential to understand how to create and manage databases using various software platforms.Using the index cards from Project 10-4, create a database and enter the customer information. You should also add a field for the customer number. This number can be found in the top left corner of the card. Once you have entered all of the customer information, you can retrieve the list by province and territory.

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Under the Corporations Act 2001, company directors are bound by a number of legal duties which govern the way in which they exercise their powers and functions. One of these duties - the s 180(1) duty of care and diligence - provides that company directors must exercise their powers and discharge their duties with the degree of care and diligence that a reasonable person in their circumstances would exercise. Recently, there has been much discussion about how this duty applies to climate change and what exactly company directors would be required to do to ensure they are managing the financial risks posed by climate change with the required level of care and diligence. From the list below, which of the statements best describes what is required of company directors in relation to climate change? Select one: a. Given the financial risks posed by climate change, company directors must develop business strategies to transition their companies away from climate-damaging activities as soon as possible, including immediately phasing out activities such as fossil fuel development and exploitation. b. Company directors should obtain expert advice about the implications of climate change for their business and ensure that climate risk is considered, managed and reported by the company where appropriate. In terms of managing these risks, directors have some discretion to make a judgement on what is in the best interests of the company as long as this judgement is based on informed and rational assessment. c. The duty of care and diligence does not require directors to take a particular course of action. It does not impose liability for an incorrect commercial judgement that harms the company. Rather, the duty is focused on the rigour and robustness of processes of information gathering and deliberation; as well as whether the director took proportionate steps to manage known and foreseeable risks in the particular context. d. Company directors must ensure that their companies adopt the TCFD recommendations. They should also ensure their company sets targets for greenhouse gas emissions and reports on progress to meet these targets in the annual sustainability report. e. Both b and c.

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Option (e) is the best statement that describes what is required of company directors in relation to climate change.What is the duty of care and diligence under the Corporations Act 2001?Under the Corporations Act 2001, the duty of care and diligence (s 180(1) duty) provides that company directors must perform their duties and exercise their powers with the degree of care and diligence that a reasonable person in their circumstances would exercise.

This duty is a positive obligation, not just a requirement not to act negligently.What is required of company directors in relation to climate change?Option (e) is the best statement that describes what is required of company directors in relation to climate change. It states that company directors should obtain expert advice on the implications of climate change for their business and ensure that climate risk is considered, managed, and reported by the company where appropriate.

Directors have some discretion in deciding what is in the best interests of the company as long as their decision is based on informed and rational assessment. It also emphasizes that the duty of care and diligence does not impose liability for an incorrect commercial judgement that harms the company. Rather, the duty is focused on the rigour and robustness of processes of information gathering and deliberation; as well as whether the director took proportionate steps to manage known and foreseeable risks in the particular context.

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List and explain one advantage of being a last-mover

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A last-mover refers to a company that enters a market later than other established businesses. The advantages of being a last-mover include an in-depth understanding of the market and the ability to create a superior product. Another advantage is the ability to learn from previous competitors' mistakes and reduce the risks associated with market entry.Last-movers can capitalize on the weaknesses of earlier entrants and outperform them by innovating and improving existing products. Last-movers are more likely to take risks because they have a greater understanding of the market's dynamics and are better equipped to take advantage of emerging trends.

As a result, the last-mover may outperform earlier entrants by creating a superior product that satisfies consumers' needs and preferences. In addition, the last-mover can use new technologies and market knowledge to produce a more efficient product or service than earlier entrants. Last-movers may have a higher level of success because they can benefit from the previous entrants' marketing campaigns, which have raised the market's awareness.

As a result, they have less of a marketing burden and can invest more time and resources in product development. They can use the experience of earlier entrants to create an effective marketing strategy that capitalizes on their competitors' shortcomings. Last-movers can benefit from a lower cost of production because they can adopt new technologies to improve efficiency and reduce costs.

As a result, they can price their products more competitively and offer more value to customers. They can also benefit from economies of scale by ramping up production when demand is high. As a result, they can reduce their costs and increase their profit margins.The last-mover can benefit from an established market, and it is easier for them to get funding from investors because they have lower start-up costs. They can use the knowledge and experience of earlier entrants to create a better product and have a higher likelihood of success. They can capitalize on the weaknesses of earlier entrants and outperform them by innovating and improving existing products. In conclusion, the last-mover can benefit from the knowledge, experience, and market awareness of earlier entrants to create a superior product and succeed in the market.

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Activity: Choose a recent piece of research that you have read and analyze it against the frameworks provided in this chapter. What strengths do you see in the research in the light of this chapter? What weaknesses are highlighted? How does this leave the conclusions that you can draw from the research? As a scholar or scholar-practitioner, what could you do to improve the research? As a practitioner or scholar-practitioner, what could you apply with conviction having analyzed the research?
Chapter 2: Researching coaching and mentoring
Chapter 2 will help to understand the following concepts: This chapter examines the research terrain in coaching and mentoring. It examines the various challenges with conducting coaching and mentoring research and provides an overview of the various approaches and methodologies used in the field, as well as explores how the terrain has shifted over time. The various approaches are examined using a theories of truth paradigm, which, by using case studies, makes it possible to draw some conclusions about coaching andmentoring research for now and for the future.

Answers

The article chosen is titled “Coach–Athlete Relationship and Athlete Satisfaction: Importance of Organizational Culture” by Millar, Lavallee and Gordon (2013). In this article, the authors examine the relationship between coaches and athletes, with a particular emphasis on the impact of organizational culture on athlete satisfaction.

They used an exploratory methodology, gathering data from a diverse range of sports, and utilized both quantitative and qualitative data to evaluate their findings. The study's strengths can be summarized in the following points: Strengths:
1. The use of both qualitative and quantitative data to assess the coach-athlete relationship and athlete satisfaction, which increases the validity and reliability of the study's findings.


2. The article's findings reveal that organizational culture is a crucial factor in determining athlete satisfaction, which emphasizes the importance of understanding the cultural context in which coaching takes place.
3. The research provides practical implications for coaches and sports organizations to enhance athlete satisfaction and improve their relationships with athletes.

However, there are some weaknesses in the study as well, such as: Weaknesses:1. The study's sample size was small, which may limit the generalizability of the results.2. The researchers did not evaluate the impact of other variables on the coach-athlete relationship and athlete satisfaction.3. The study's cross-sectional nature makes it challenging to determine causality between organizational culture and athlete satisfaction.

Overall, this research highlights the significance of organizational culture on athlete satisfaction and provides practical recommendations for coaches and sports organizations to enhance this relationship. As a scholar-practitioner, there are several steps that could be taken to improve this research:
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Sam was considering purchasing a cell phone. He went to one store and saw two phones for sale. One was selling for $1000, and the other was selling for $1200. The two were the same except that the first one had 126 GB storage and the latter one had 256 GB storage. He was indifferent between the two options and was not sure which one to buy. Then he went to another store and saw the same two phones that he saw in the first store. But this store was also selling another phone that was the same as the other two except it had 512 GB storage and the price was $1700. Sam bought the $1200 phone immediately. Which of the following statements best describes Sams choice?a) Sams choice is rational.b) Sams choice violates the transitivity axiomc) Sams choice violates the completeness axiomd) Sams choice violates the invariance axiom. Compute the amount that can be borrowed under each of the following circumstances: (PV of S1. EV of D. 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