Consider the following dialogue between Tim and Brian, economics students taking a course on Money, Banking, Financial Markets and Institutions. TIM: Hi Brian. The professor mentioned that in addition to money people also hold bonds and some other asset, which I forget. Can you please remind me, which one is that? BRIAN: That's right, Tim, the professor told us that in addition to money and bonds, people also hold such financial assets as credit cards TIM: Also, I cannot see the difference between money and bonds. Could you explain it to me? stocks BRIAN: Unlike money, bonds represent tokens jewelry TIM: But why is money considered a financial asset? real estate BRIAN: Money is clearly an asset because by definition, it is TIM: Are there any other financial assets? BRIAN: Yes. Let's try to identify them together: Check all that apply. Checking accounts Savings accounts Credit cards Cars

Answers

Answer 1

Money is usually safer than stocks, but it usually returns less. Rather than valuing cash will devalue with expansion.

1. Introduce money and financial assets :

Paolo : That's right, Kenji. The professor told us that people also hold bonds, debentures, mutual funds, and bank deposits in addition to money.

Paolo : Unlike money, stocks represent a company's stock and can be traded for profit or held for dividends and price appreciation to gain financial gain. Money is usually safer than stocks, but it usually returns less. Rather than valuing cash will devalue with expansion.

Paolo : Money is unquestionably an asset because it is a liquid asset that derives its value from ownership rights or contractual rights.

Paolo :- Yes.

How about we attempt to distinguish them together:

Check all that apply Savings account

Checking account

Both savings accounts and checking accounts are regarded as assets. The majority of bank investments are liquid and claim ownership.

2. An overview of the financial market.      

Caroline : The equity market and the stock market are the same thing. due to the fact that both are traded on stock exchanges. Stock exchanges are used to trade a company's shares. Stock trade is where values and subordinates are purchased and sol.

Caroline : The financial market basically brings stock units, bonds, and other securities together.

Caroline  : It is accurate to state that new stock is sold on the primary market when companies and other organizations issue it. The secondary market is the market where bonds and stocks are resold.

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Related Questions

Every student will prepare a "Marketing Plan" for marketing a new product or service in Istanbul or their hometowns. The product/service will be determined by the students and the first assignment of the semester will be about the product/service you choose. Please do not forget to use the concepts/keywords/topics that we have covered in the class. ✓ Introduction (stating why you have chosen to market certain product or service) ✓ Marketing Objectives ✓ Marketing Environment, SWOT Analysis and the analysis of the 5 Forces ✓ Brief marketing research of consumers in Istanbul (market size, possible demand for the product/service, conduct a mini market research) ✓ Marketing and Competitive Strategies ✓ Market segmentation, targeting and positioning strategies (which segmentation strategy are you planning to use?) ✓ Marketing Mix Strategies: Product • Pricing • Distribution Communication strategies ✓ How do you apply SDGs in your project? Try to use 3 SDGs at least your project and explain them carefully. You need to underline the reason of using that specific goals! .
Important Notes:
• The written report must be in Font: Times New Roman: 12 and 1,5 space.
• Do not forget to use citations/references in your report and list them at the end.
• Please try to use up to date information
• Remember that this is a business document.
• The report evaluation:
Content: 40 pts
• Does the report cover all issues mentioned above?
• Originality; does the report include up to date information?
Similarity: 30 pts
• Do you avoid plagiarism and copy-pasting? The reports will be checked, and the
similarity is expected to be less than 20%. If any similarity is detected over 20%,
the student will get 0!
• The reports should include a reference page (articles, reports, news, web pages),
and the references should be listed in APA Style. If your report is not in APA
style you will lose 20 points!

Answers

Marketing plan for marketing a new product or service includes dates, follow-up procedures, long-term goals, target markets, some key marketing messages, marketing goals and measurements.

What are marketing objectives?

Marketing objectives are a list of specific, quantifiable goals created as a component of a marketing plan. Marketing goals set forth precise goals that must be accomplished in a certain amount of time.

What is SWOT analysis?

You can assess each of these four components of your business using a SWOT analysis. SWOT analysis is a method that can help you find your company's present strengths and create a winning future strategy.

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All of the following may be considered to be an uninsured
motorist, except:
A
A person borrowing the auto with permission
B
A driver with no liability insurance
C
A hit-and-run driver
D
A phantom

Answers

All of the following may be considered to be an uninsured motorist, except: A person borrowing the auto with permission.

Uninsured motorist coverage is an add-on to an automobile insurance policy that offers coverage when an at-fault driver does not have auto insurance. Any of the following may be considered an uninsured driver: a driver with no liability insurance, a hit-and-run driver, and a phantom driver who causes an accident but is never discovered or identified. However, if a person borrows the auto with permission, the auto insurance policy of the car owner would provide coverage for that person in the event of an accident.

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A bread company allocates a maximum of

​$26,000

to advertise its product to television and newspaper. Each hour of television costs

​$5,000​,

and each page of newspaper advertising costs

​$2,000.

The exposure from each hour of television time is assumed to be

120,000​,

and the exposure from each page of newspaper advertising is

90,000.

​Furthermore, the board of directors requires at least

two

hours of television time and one page of newspaper advertising. How should the advertising budget be divided to maximize exposure to the​ advertisements?

Answers

The advertising budget should be divided into 2 hours of TV and 1 page of newspaper. This will maximize the exposure of the advertisements.

The bread company has a budget of $26,000 for advertising its product on television and newspaper. To advertise on television, the company has to pay $5,000 per hour and for a newspaper advertisement, the cost is $2,000 per page. The exposure of each hour of television time is 120,000 and for each page of newspaper advertising, it is 90,000.

As per the board of directors, the company must allocate at least two hours of television time and one page of newspaper advertising. So, the company should allocate $10,000 for two hours of television time, which will give them an exposure of 240,000. Also, the company should allocate $2,000 for one page of newspaper advertising, which will give them exposure of 90,000. Therefore, the advertising budget should be divided into 2 hours of TV and 1 page of the newspaper to maximize exposure to the advertisements.

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A corporation earns $18 per share before tax, has a 30% corporate tax rate, and a dividend payout ratio of 50%. How much will a shareholder with a 20% marginal tax rate receive? 2. An S corporation earns $13073 before tax and distributes 80% to its owner, retaining the remainder in the firm. How much tax will the owner with a 30% tax rate pay?

Answers

To calculate the amount a shareholder will receive after taxes.the owner with a 30% tax rate will pay $2,353.14 in taxes on the income distributed from the S corporation.

First, let's calculate the amount of tax paid by the corporation:

Taxable income = Earnings per share * (1 - Corporate tax rate)

Taxable income = $18 * (1 - 0.30)

Taxable income = $12.60

Next, let's calculate the dividend amount:

Dividend = Taxable income * Dividend payout ratio

Dividend = $12.60 * 0.50

Dividend = $6.30

Finally, let's calculate the amount the shareholder will receive after taxes:

Shareholder amount = Dividend * (1 - Shareholder's marginal tax rate)

Shareholder amount = $6.30 * (1 - 0.20)

Shareholder amount = $6.30 * 0.80

Shareholder amount = $5.04

Therefore, a shareholder with a 20% marginal tax rate will receive $5.04.

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The salary expense of the president of a company is considered: Multiple Choice Cost of the period. Product cost manufacturing overhead Product cost - direct labor Product cost direct materials EITHER

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The salary expense of the president of a company is considered a Cost of the period.

Cost of the period refers to expenses incurred by a company during a specific period, such as salaries, rent, utilities, and other administrative expenses. These costs are not directly associated with the production or manufacturing of goods or services and are expensed in the period in which they are incurred. The salary expense of the president falls under this category as it is a regular operating expense related to the management and administration of the company.

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Which of the following is NOT a lever for increasing the service level? O a. Reducing demand standard deviation O b. Paying suppliers later Oc. Increasing safety inventor O d. Reducing lead time

Answers

B. Paying suppliers later

The correct answer is b.

Paying suppliers later.

Paying suppliers later does not directly impact the service level. Increasing safety inventory, reducing demand standard deviation, and reducing lead time are all levers that can help increase the service level by improving reliability, reducing variability, and increasing responsiveness to customer demands.

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There are two firms that compete against each other and each needs to decide if they will undertake research and development to improve their product. The payoffs are as follows:
If Firm 1 does undertake R&D then Firm 2 will earn $25 million if they also do R&D or $50 million if not
If Firm 1 does not undertake R&D then Firm 2 will earn $2 million if they do R&D or $0 million if not
If Firm 2 does undertake R&D then Firm 1 will earn $10 million if they also do R&D or $20 million if not
If Firm 2 does not undertake R&D then Firm 1 will earn $2 million if they do R&D or $0 million if not
Regarding this game, which of the following is TRUE?
Group of answer choices
Both firms will do R&D.
Firm 1 will do R&D and Firm 2 will not.
Only one will do R&D but we cannot say which one.
Both firms will not do R&D

Answers

The correct answer is: Only one will do R&D, but we cannot say which one.

What Is R&D? Determined The Optimal Strategy For Each Firm

R&D stands for Research and Development. It refers to the activities undertaken by companies or organizations to innovate, improve existing products or processes, and develop new technologies, products, or services.

R&D involves scientific research, experimentation, and technological advancements aimed at enhancing competitiveness, creating new markets, and driving economic growth.

It can include activities such as conducting experiments, prototyping, testing, data analysis, and the exploration of new ideas and technologies. R&D is often a crucial component for companies to stay competitive and adapt to changing market demands.

To determine the optimal strategy for each firm, we need to analyze the payoff matrix and identify the best response for each firm given the actions of the other firm.

From the given payoffs, it is evident that each firm has a dominant strategy to undertake R&D, as the payoffs are higher when both firms engage in research and development.

However, in this case, there is no clear dominant strategy for both firms simultaneously. The payoffs are such that if one firm chooses to undertake R&D, the other firm's best response depends on their own decision.

As a result, the outcome is indeterminate, and we cannot definitively say which firm will undertake R&D. It could be either Firm 1 or Firm 2, depending on their individual assessments and strategies.

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Choose from the following list of terms/phrases to best complete the statements below. 1. to the capital account. 2. closed. 3. Permanent accounts report on activities related to carry their ending ba

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Permanent accounts report on activities related to carry their ending balances forward to the next accounting period.

The term "to the capital account" is used to indicate that a transaction or adjustment affects the capital account of a business entity.

The term "closed" refers to the process of transferring the balances of temporary accounts, such as revenue and expense accounts, to the retained earnings account at the end of an accounting period.

Permanent accounts, also known as real accounts, are accounts whose balances are not closed at the end of an accounting period. These accounts include asset, liability, and equity accounts. Their ending balances are carried forward to the next accounting period.

When a transaction or adjustment is recorded "to the capital account," it means that it has an impact on the owner's equity or the shareholders' equity of a business. The capital account represents the investments made by the owner or shareholders in the business and any changes to it directly affect their ownership interests.

The process of closing accounts is done at the end of an accounting period to reset temporary accounts to zero and transfer their balances to the retained earnings account. This is done to prepare the accounts for the next accounting period and to calculate the net income or loss for the current period.

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The Telecom Industry in India. (Reliance Jio, Bharti Airtel, Vodafone Idea, BSNL, MTNL) Characterize the telecom industry and discuss its evolution. Analyse the performance of the key players in terms of their product, output, price, revenue, profit etc
Data included in the analysis may be from databases such as Prowess; Company annual reports from Bloomberg and similar secondary sources. The sources of data should be mentioned.
The outer limit for the size of the report should be 10 pages.
Focus should be on the application of the theory (Micro Economics).
A plagiarism report should be submitted along with the project report.
Title – it should be interesting and justified by the work
• Introduction – should include importance and the justification of the telecom industry
• Objective of the analysis • Evolution/ Key developments in the industry along with Government policy intervention (if any) overtime
• Analysis of structure, market share, degree of competition
• Analyse the performance of the key player/players in the industry in terms of their product, output, price, revenue, profit etc.
• Conclusion – should touch upon the issues, challenges and prospects
Look forward to a positive response and a complete solution to the same.

Answers

Reliance Jio, Bharti Airtel, Vodafone Idea, BSNL, and MTNL are the key players in the industry. The performance of these key players in the industry was analyzed in terms of their product, output, price, revenue, profit, etc.

The Telecom Industry in India is characterized by the presence of Reliance Jio, Bharti Airtel, Vodafone Idea, BSNL, and MTNL. The industry has seen significant growth and evolution in recent years. The objective of this analysis is to examine the performance of key players in the industry in terms of their product, output, price, revenue, profit, etc.

In conclusion, the Telecom Industry in India has seen tremendous development in recent years.  Government policy interventions, market structure, and competition were also analyzed. The report concludes by highlighting the challenges and prospects for the telecom industry in India.

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There are three questions here. Answer any two (2). Don't answer more than two questions. Each question is worth points A Describe the common components of the new model of publication with the camples Discuss the act of public are in the implementation of propies and program with suitable comples Why is public sector management necessary Discuss.

Answers

Describe the common components of the new model of publication with the camples Publishing is the process of producing and disseminating information, literature, music, or software.

The traditional publication model has been replaced by a new model, which has a number of common components. The common components of the new model of publication with the samples are as follows: 1. Digitalization - Everything has been converted to a digital format, from books to journals.2. Internet Connectivity - The internet is a vital component of this model.

Everything can be accessed from the internet.3. Global Accessibility - The internet allows for global access, making it easy for people all over the world to access information.4. Low-cost Publication - The costs of publication have been significantly reduced as a result of this model.

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18. prepare journal entry for issuing $300,000 bonds for cash at
98

Answers

The journal entry for issuing $300,000 bonds for cash at 98 would involve recording the increase in cash received from the bond issuance and the corresponding liability created by the bonds issued.

The journal entry would be as follows:

Debit: Cash ($300,000 × 98%) = $294,000

Credit: Bonds Payable ($300,000)

When the company issues bonds for cash, it receives the cash amount from the bondholders. In this case, the company receives $300,000. However, since the bonds are issued at a discount (98% of their face value), the cash received would be the discounted amount, which is $294,000.

On the other side of the entry, the company creates a liability called "Bonds Payable" for the face value of the bonds issued, which is $300,000 in this case. The Bonds Payable account represents the company's obligation to repay the bondholders at maturity.

By recording this journal entry, the company recognizes the cash received from the bond issuance and establishes the corresponding liability on its balance sheet.

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"Suppose that the dynamic aggregate demand curve in Swaziland is determined by the equation M + v = 6%. Using this information, draw Swaziland's dynamic aggregate demand curve on the graph: Aggregate demand ] Real GDP growth rate"

Answers

The dynamic aggregate demand curve in Swaziland is determined by the equation M + v = 6%.  it can be inferred that an increase in the quantity of money (M) and the velocity of money (v) will lead to an increase in aggregate demand, while a decrease in M and v will lead to a decrease in aggregate demand.

The aggregate demand (AD) is defined as the sum total of all goods and services that an economy wants to buy at a given price level. In other words, it shows the relationship between price levels and the quantity of goods and services that consumers are willing to buy.Suppose that the dynamic aggregate demand curve in Swaziland is determined by the equation M + v = 6%. Using this information, the following is the graph of Swaziland's dynamic aggregate demand curve on the graph: Aggregate demand ] Real GDP growth rate.It is not possible to depict the dynamic aggregate demand curve as it is described in a 100 word answer. A graph of the dynamic aggregate demand curve for Swaziland must be created as per the equation M + v = 6%. However, based on the information provided in the question, it can be inferred that an increase in the quantity of money (M) and the velocity of money (v) will lead to an increase in aggregate demand, while a decrease in M and v will lead to a decrease in aggregate demand.

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Russia and Ukraine are at war, the social and economic environment is suffering severely. Neighbouring countries and trading partners are impacted by these new developments identify the impact on South Africa supply chains, due to this war.

Answers

South Africa's supply chains are impacted by the war between Russia and Ukraine.

How does the war between Russia and Ukraine affect South Africa's supply chains?

The ongoing war between Russia and Ukraine has significant implications for South Africa's supply chains. As an interconnected global economy, disruptions in one region can have far-reaching consequences for trading partners around the world. In this case, the conflict between Russia and Ukraine has led to heightened geopolitical tensions, increased trade barriers, and a decrease in overall global trade confidence.

One of the primary ways in which South Africa's supply chains are affected is through the disruption of key trade routes. The conflict has resulted in heightened security measures and potential blockades in certain regions, leading to delays and disruptions in the transportation of goods. South Africa relies heavily on maritime trade, with major ports acting as vital gateways for imports and exports. Any disruption in these trade routes can significantly impact the flow of goods and increase costs for businesses.

Moreover, the war has created an atmosphere of uncertainty and instability in global markets. Investors and businesses are more cautious when engaging in international trade, which can lead to a decrease in demand for South African goods and services. This decline in demand can have a direct impact on local industries, affecting production levels, job opportunities, and overall economic growth.

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Twilight Corp. desired to raise cash to fund its expansion by issuing long-term bonds. The corporation hired an investment banker to manage the issue (best efforts underwriting) and also hired the services of a lawyer, an audit firm, etc. On June 1, 2020, Twilight sold $ 500,000 in long-term bonds. The bonds will mature in 10 years and have a stated interest rate of 8%. Other bonds that Twilight has issued with identical terms are traded based on a market rate of 10%. The bonds pay interest semi-annually on May 31 and November 30. The bonds are to be accounted for using the effective-interest method. On June 1, 2022 Twilight decided to retire 20% of the bonds. At that time the bonds were selling at 98.
Instructions (Round all values to the nearest dollar)
a) Prepare the journal entry for the issuance of the bonds on June 1, 2020.
b) What was the interest expense related to these bonds that would be reported on Twilight’s calendar 2020 income statement?
c) Prepare all entries from after the issue of the bond until December 31, 2020.
d) Calculate the gain or loss on the partial retirement of the bonds on June 1, 2022.
e) Prepare the journal entries to record the partial retirement on June 1, 2022.

Answers

Journal entry for the issuance of bonds on June 1, 2020 will be as follows:ParticularsDebitCreditCash$ 500,000Discount on Bonds Payable$ 53,794Bonds Payable$ 553,794b) Interest expense related to these bonds that would be reported on Twilight’s calendar 2020 income statement:

Interest expense Effective interest rate is 9.487%, and the carrying value of bonds = $ 553,794 (Carrying value = Face value – Discount)$ 52,521 (round off to the nearest dollar)c) Entries from after the issue of the bond until December 31, 2020:ParticularsDebitCreditInterest Expense$ 52,521Discount on Bonds Payable$ 4,206Cash Interest Paid (500,000 × 8% × 6/12) = $20,000$ 20,000Discount on Bonds Payable Amortization (($ 500,000 – $ 20,000) × 9.487% × 6/12) = $ 22,315$ 22,315d)

Gain or loss on the partial retirement of bonds on June 1, 2022:Face value of bonds to be retired = 20% of $ 500,000 = $ 100,000Carrying value of bonds on June 1, 2022 = $ 494,843 (discount of $ 58,951 has been amortized)$ 8,157 gain is there on the partial retirement of bonds.e) Journal entries to record the partial retirement on June 1, 2022 will be as follows:ParticularsDebitCreditBonds Payable$ 100,000Discount on Bonds Payable$ 3,046Gain on Bond Retirement$ 8,157Cash$ 104,111I hope the explanation clears your doubts.

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Consider a market where supply and demand are given by QXs = -14 + PX and QXd = 82 - 2PX. Suppose the government imposes a price floor of $37, and agrees to purchase and discard any and all units consumers do not buy at the floor price of $37 per unit.
Instructions: Enter your responses rounded to the nearest penny (two decimal places).
a. Determine the cost to the government of buying firms’ unsold units.
$ ___________________
b. Compute the lost social welfare (deadweight loss) that stems from the $37 price floor.
$ _______________________

Answers

To determine the cost to the government of buying firms' unsold units, we need to find the number of units that consumers are willing to buy at the price floor of $37.

Step 1: Set the quantity demanded (QXd) equal to the quantity supplied (QXs) to find the equilibrium price:

QXd = QXs

82 - 2PX = -14 + PX

Step 2: Solve for the equilibrium price (PX):

82 + 14 = 3PX

96 = 3PX

PX = 32

So, the equilibrium price is $32.

Step 3: Determine the number of units demanded and supplied at the equilibrium price:

QXd = 82 - 2PX

QXd = 82 - 2(32)

QXd = 82 - 64

QXd = 18

QXs = -14 + PX

QXs = -14 + 32

QXs = 18

At the equilibrium price of $32, the quantity demanded and supplied is 18 units.

Step 4: Compare the equilibrium price and quantity to the price floor:

Price floor = $37

Since the price floor is higher than the equilibrium price, the quantity demanded on the price floor will be less than the quantity supplied.

Step 5: Calculate the cost to the government of buying firms' unsold units:

Cost to the government = (Quantity supplied - Quantity demanded) * Price floor

Cost to the government = (18 - 18) * $37

Cost to the government = 0 * $37

Cost to the government = $0

Therefore, the cost to the government of buying firms' unsold units is $0.

Now, let's calculate the lost social welfare (deadweight loss) that stems from the $37 price floor.

Step 1: Calculate the consumer surplus at the equilibrium price:

Consumer surplus = 0.5 * (Quantity demanded at the equilibrium price) * (Equilibrium price - Price floor)

Consumer surplus = 0.5 * 18 * ($32 - $37)

Consumer surplus = 0.5 * 18 * (-$5)

Consumer surplus = -45

Step 2: Calculate the producer surplus at the equilibrium price:

Producer surplus = 0.5 * (Quantity supplied at the equilibrium price) * (Price floor - Equilibrium price)

Producer surplus = 0.5 * 18 * ($37 - $32)

Producer surplus = 0.5 * 18 * $5

Producer surplus = $45

Step 3: Calculate the deadweight loss:

Deadweight loss = |Consumer surplus| + |Producer surplus|

Deadweight loss = |-45| + |45|

Deadweight loss = 45 + 45

Deadweight loss = $90

Therefore, the lost social welfare (deadweight loss) that stems from the $37 price floor is $90.

a. The cost to the government of buying firms’ unsold units. is $90. b. The lost social welfare (deadweight loss) that stems from the $37 price floor is $ 12.50.

a. To determine the cost to the government of buying firms' unsold units, we need to find the difference between the equilibrium quantity demanded and the quantity supplied at the price floor.

Equilibrium quantity demanded (Qd) can be found by setting the quantity demanded equation equal to the quantity supplied equation:

82 - 2PX = -14 + PX

Combining like terms:

3PX = 96

Solving for PX:

PX = 32

Substituting the price into the quantity supplied equation:

QXs = -14 + (32) = 18

The equilibrium quantity demanded at the price floor is 18.

Since the price floor is set at $37, and the quantity demanded at that price is 18, the cost to the government of buying firms' unsold units is:

Cost = (Price floor - Equilibrium price) × Quantity = (37 - 32) × 18 = $90.

b. To compute the lost social welfare (deadweight loss) that stems from the $37 price floor, we need to calculate the area of the triangle formed by the price floor, the equilibrium quantity demanded, and the quantity supplied.

The equilibrium quantity supplied at the price floor can be found by substituting the price floor into the quantity supplied equation:

QXs = -14 + (37) = 23

The lost social welfare is equal to half the base times the height of the triangle:

Lost Social Welfare = 0.5 × (Equilibrium quantity supplied - Equilibrium quantity demanded) × (Price floor - Equilibrium price) = 0.5 × (23 - 18) × (37 - 32) = $12.50.

Therefore, the lost social welfare (deadweight loss) that stems from the $37 price floor is $12.50.

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The actual cost of direct labor per hour is $14.75. Two and one half standard direct labor hours are allowed per unit of finished goods. During the current period, 2,400 units were produced using 5,700 direct labor hours. The direct labor efficiency variance is $3,400 favorable. Calculate the standard direct labor rate per hour. O A. $14.75 OB. $1.42 O C. $11.33 OD. $1.76

Answers

To calculate the standard direct labor rate per hour, we need to find the actual cost per hour and the standard direct labor hours allowed per unit.

Actual cost of direct labor per hour = $14.75

Standard direct labor hours allowed per unit = 2.5 hours

To find the standard direct labor rate per hour, we can use the direct labor efficiency variance formula:

Direct Labor Efficiency Variance = (Standard Hours - Actual Hours) × Standard Rate

We are given that the direct labor efficiency variance is $3,400 favorable. Substituting the known values into the formula:

$3,400 = (2,400 × 2.5 - 5,700) × Standard Rate

Simplifying the equation:

$3,400 = (6,000 - 5,700) × Standard Rate

$3,400 = 300 × Standard Rate

To find the standard rate, divide both sides of the equation by 300:

Standard Rate = $3,400 / 300

Standard Rate = $11.33

Therefore, the standard direct labor rate per hour is $11.33. Option C, $11.33, is the correct answer.

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Events Subsequent to Acquisition The following expenditures were among those incurred by Jensen Corporation during the year ended December 31, 2016: Replacement of tiles on portion of roof that had been leaking $4,000 Overhaul of machinery that is expected to extend its useful life for another 2 years 6,000 How much should be charged to repairs and maintenance in 2016? O $10,000 $4,000 $6,000 $0

Answers

In 2016, Jensen Corporation incurred two expenditures: $4,000 for the replacement of leaking roof tiles and $6,000 for the overhaul of machinery.

The amount that should be charged to repairs and maintenance in 2016 will be explained below. The expenditure for the replacement of leaking roof tiles should be charged to repairs and maintenance in 2016. This is because it relates to fixing a specific issue with the roof and falls under the category of routine repairs and maintenance expenses. Therefore, the amount of $4,000 should be charged to repairs and maintenance.

On the other hand, the expenditure for the overhaul of machinery should not be charged to repairs and maintenance in 2016. The overhaul extends the useful life of the machinery for another 2 years, indicating that it is a capital expenditure that enhances the machinery's value and extends its economic benefits beyond the current year. Instead, this expenditure should be capitalized and recorded as an addition to the machinery's cost, and then depreciated over its useful life.

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You are assigned for a new job as a fitness club owner, 1. Cite
the major advantages and disadvantages of secondary data.
2. what kinds of secondary data would you use to learn more
about your industr

Answers

Advantages and Disadvantages of Secondary Data:

1. Advantages:

  - Cost-Effective: Secondary data is often readily available and less expensive to access compared to primary data, which requires data collection efforts.

  - Time-Saving: Secondary data saves time as it has already been collected and compiled by other sources, allowing for quicker analysis and decision-making.

  - Large Sample Size: Secondary data sources often provide a larger sample size, enabling broader insights and more robust statistical analysis.

  - Historical Analysis: Secondary data can provide historical trends and patterns, allowing for comparisons and long-term analysis.

2. Disadvantages:

  - Lack of Specificity: Secondary data may not address the specific research objectives or have the level of detail required for a fitness club owner's needs.

  - Reliability and Validity Concerns: The accuracy and reliability of secondary data can vary, depending on the source. It is important to critically evaluate the credibility and methodology of the data provider.

  - Limited Control: As secondary data is collected by others, the fitness club owner has no control over the data collection process, potentially leading to data limitations or biases.

  - Outdated or Incomplete Information: Secondary data may not reflect the most current industry trends or may lack comprehensive coverage, limiting its relevance and usefulness.

Types of Secondary Data for Learning About the Fitness Club Industry:

As a fitness club owner, several types of secondary data can provide valuable insights into the industry:

1. Market Reports: Industry-specific market reports, published by market research firms or industry associations, provide comprehensive data on market size, growth trends, consumer behavior, and competitor analysis.

2. Government Publications: Government agencies often publish data related to the health and fitness industry, including statistics on participation rates, facility utilization, and regulations.

3. Trade Journals and Magazines: Publications catering to the fitness industry offer industry news, expert insights, case studies, and emerging trends relevant to fitness club owners.

4. Online Databases: Online databases such as IBISWorld, Statista, or industry-specific databases offer a wide range of industry data, including financials, market trends, and consumer demographics.

5. Social Media and Online Forums: Monitoring discussions, reviews, and social media platforms relevant to fitness clubs can provide insights into customer preferences, feedback, and emerging trends.

6. Academic Research: Academic studies and research papers can offer in-depth analysis on various aspects of the fitness industry, including customer behavior, marketing strategies, and operational best practices.

By leveraging these sources of secondary data, a fitness club owner can gain a comprehensive understanding of the industry landscape, customer preferences, competitor analysis, and emerging trends.

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Question 1 [15 marks]: Explain three possibilities when 100% of the meals and entertainment are allowed to be deducted from accounting income. [Not less than 50 words: Not less than 1 reference]
Explain two circumstances when club membership dues and recreational facilities fees are not allowed to be deducted for tax purposes.
[Not less than 50 words: Not less than 1 reference]
Explain three circumstances when contingent expenses are not allowed to be deducted for tax purposes.
[Not less than 50 words: Not less than 1 reference]

Answers

Three possibilities when 100% of the meals and entertainment are allowed to be deducted from accounting income:

a. Meals and entertainment provided to employees for the convenience of the employer: When meals and entertainment are furnished on the employer's premises primarily for the convenience of the employer, they can be fully deductible as a business expense.

b. Meals and entertainment included in compensation: If meals and entertainment are provided as part of an employee's compensation package and are included in their taxable income, they can be fully deductible by the employer.

c. Expenses related to company events open to the public: Costs incurred for promotional events or seminars open to the public, where meals and entertainment are provided, can be fully deductible.

Two circumstances when club membership dues and recreational facilities fees are not allowed to be deducted for tax purposes:

a. Social or recreational purposes: If the club membership dues or recreational facilities fees are primarily for social or recreational purposes, they are generally not deductible for tax purposes.

b. Business-related benefits not incidental: If the membership or fees provide substantial business-related benefits, such as access to exclusive business contacts or opportunities, they may not be deductible as they are considered personal or capital expenditures.

Three circumstances when contingent expenses are not allowed to be deducted for tax purposes:

a. Speculative or potential expenses: Contingent expenses that are based on speculative or potential events, where the liability is uncertain, are generally not deductible until the contingency is resolved.

b. Prohibited by tax law: Certain contingent expenses may be specifically prohibited from deduction by tax laws or regulations. For example, penalties and fines imposed by government authorities are generally not deductible.

c. Non-business or personal contingencies: Contingent expenses related to non-business or personal contingencies are not deductible for tax purposes. Tax deductions are typically limited to expenses directly related to the operation of a trade or business.

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Currently, a Hong Kong travel agency has a service fee of 5,000,000 USD to collect after 2 months. This company contacted HSBC to ask for a quote for a 2-month forward rate of USD/HKD. Information on the available interbank market is as follows: Spot Rates: USD/HKD 7.7632-7.7643 HKD 2-month term interest rate: 3.8% -4.05% USD 2-month forward interest rate: 4.50% -4.70% a/ Calculate the forward rate of 2 months USD/HKD. b/ What are the risks Hong Kong tour operators face? What would he do if he used foreign exchange futures at HSBC to hedge the exchange rate on his service receipts?

Answers

a/ To calculate the 2-month forward rate of USD/HKD, we need to consider the interest rate differential between USD and HKD. Using the given information, we can calculate the forward points as follows:

USD/HKD spot rate: 7.7643
USD 2-month forward interest rate: 4.50%
HKD 2-month term interest rate: 3.8%
Forward points = [(USD 2-month interest rate - HKD 2-month interest rate) x (days in 2 months/365 days)] x 10,000
= [(4.50% - 3.8%) x (60/365)] x 10,000
= 4.08
Forward rate = Spot rate + Forward points
= 7.7643 + 0.000408
= 7.7647
Therefore, the 2-month forward rate of USD/HKD is 7.7647.
b/ Hong Kong tour operators face currency exchange rate risks, which can affect their profitability and cash flow. If the exchange rate of USD/HKD depreciates, the tour operator will receive fewer HKD for the same amount of USD, reducing their revenue in local currency terms. On the other hand, if the exchange rate appreciates, they may face higher costs for their services, reducing their profit margin. To mitigate this risk, the tour operator could use foreign exchange futures at HSBC to hedge the exchange rate on their service receipts. By entering into a futures contract, the tour operator can lock in the exchange rate at a predetermined level, thereby eliminating the risk of exchange rate fluctuations. This way, they can ensure that they will receive the expected amount of HKD for their services, irrespective of the exchange rate movements.

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The foreign bank representative office_ A) obtains local market information B) trades Eurodollars C) None of them D) accepts deposits and makes loans E) issues letters of credit

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The foreign bank representative office typically obtains local market information, but it does not trade Eurodollars, accept deposits and make loans, issue letters of credit, or perform other banking functions.

Its primary purpose is to serve as a liaison between the foreign bank and local businesses and institutions, providing information about the local economy and regulatory environment, and facilitating communication and transactions between the two parties.

A foreign bank representative office is an office established by a foreign bank in a foreign country for limited purposes such as promoting the bank's services, conducting market research, and building relationships with local businesses and institutions. However, it does not engage in full banking activities such as accepting deposits, making loans, trading Eurodollars, or issuing letters of credit. Its primary function is to provide a presence for the foreign bank in the foreign market and facilitate communication and networking.

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A conducted regression had stock price as the dependent variable and firm size was the independent variable. Only firm size was on a natural log scale. The beta coefficient of firm size was -14 and p =0.02.
Thus, every [ Select ] ["2€", "14%", "1%", "1€", "14€", "2%"] increase in the firm size is on average associated with a [ Select ] ["2%", "1%", "14%", "2€", "0.14€", "1€"] decline in the stock price, which is statistically [ Select ] ["significant", "insignificant"] .

Answers

This regression analysis provides evidence that firm size is an important factor in understanding stock price movements and can be a valuable variable to consider when analyzing stock market data.

In the conducted regression analysis, the dependent variable was the stock price, while the independent variable, firm size, was measured on a natural log scale. The beta coefficient for firm size was determined to be -14, with a p-value of 0.02. This implies that for every 1% increase in the firm size, there is, on average, a 14% decline in the stock price. The negative sign indicates an inverse relationship between firm size and stock price. Moreover, the statistical significance of the beta coefficient suggests that this relationship is unlikely to have occurred by chance.

The negative beta coefficient of -14 indicates that there is a significant relationship between firm size and stock price. Specifically, a 1% increase in firm size is associated with a 14% decline in the stock price, on average. The negative relationship suggests that larger firms tend to have lower stock prices. The p-value of 0.02 indicates that the relationship is statistically significant, meaning that it is unlikely to have occurred by random chance. This regression analysis provides evidence that firm size is an important factor in understanding stock price movements and can be a valuable variable to consider when analyzing stock market data.

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Norway extracts 1 million barrels of oil and sells this oil for 100 million US dollars. This money is used to buy shares in a foreign company.
A) How does the extraction of oil affect BNP in Norway?
B) How does the driving of shares abroad affect Norway's savings?

Answers

The extraction of oil in Norway has a positive impact on the country's Gross Domestic Product (GDP) as it contributes to economic output. However, the driving of shares abroad using the revenue from oil sales affects Norway's savings by reducing the domestic accumulation of financial assets.

A) The extraction of oil in Norway has a positive impact on the country's Gross Domestic Product (GDP). GDP measures the total value of goods and services produced within a country's borders. Oil extraction involves economic activities such as drilling, refining, and transportation, which generate income and contribute to economic output. As a result, the revenue generated from oil sales contributes to the overall GDP of Norway. B) When the revenue from oil sales is used to buy shares in a foreign company, it affects Norway's savings. Savings represent the portion of income that is not consumed and is set aside for future use. By driving shares abroad, Norway is effectively investing its financial resources in foreign assets rather than accumulating domestic savings. This reduces the amount of savings available within the country and shifts financial assets to the foreign market. The impact on Norway's savings depends on the magnitude of the share purchases and the proportion of the revenue allocated to such investments.

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September 14, 2022 - Bike Mail paid for the supplies purchased on September 4, 2022. Account Name Debit Credit A. Supplies Expense Cash Supplies Cash B. c. D. Cash Accounts Payable Supplies Expense Supplies 2,000 2,000 2,000 2,000 2.000 2,000 2,000 2,000

Answers

The correct answer is D. Cash Accounts Payable Supplies Expense Supplies.

On September 14, 2022, Bike Mail paid for the supplies purchased on September 4, 2022. This is a decrease in cash and an increase in accounts payable. The supplies expense is also increased to reflect the cost of the supplies.

When Bike Mail purchased the supplies on September 4, 2022, it increased the supplies account and increased accounts payable. This is because Bike Mail had not yet paid for the supplies, so it was considered a liability. On September 14, 2022, when Bike Mail paid for the supplies, it decreased cash and decreased accounts payable. This is because Bike Mail no longer owed money for the supplies, so the liability was eliminated. The supplies expense was also increased to reflect the cost of the supplies. This is because the supplies were used up during the month of September, so they are considered an expense.

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Which of the following correctly describes the accounting treatment for interest​ payable?
A. It is shown on the balance sheet as a current liability.
B. It is shown on the balance sheet as a​ long-term liability.
C. It is shown on the income statement as an operating expense.
D. It is shown on the balance sheet as a current asset.

Answers

The correct answer is: A. It is shown on the balance sheet as a current liability.

Interest payable represents the amount of interest that a company owes but has not yet paid. It is considered a current liability because it is expected to be settled within one year or the operating cycle, whichever is longer. Therefore, it is reported on the balance sheet under the current liabilities section, reflecting the company's obligation to pay the accrued interest in the near term.

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Which of the following is NOT generally considered a theme in the political and economic development of California? a. The Gold Rush and John Sutter
b. The Railroads and the Big Four c. California's 2nd constitution that was adopted in 1879, and that provided for the creation of three separate branches of government and regulatory bodies, and that currently has over 500 amendments
d. Statehood and the Compromise of 1850 e. The American War for Independence

Answers

The theme that is NOT generally considered in the political and economic development of California is e. The American War for Independence.

The American War for Independence is not directly relevant to the political and economic development of California because California was not part of the original thirteen colonies that fought for independence from British rule. California's history and development were shaped by other significant events and factors that are more specific to the region.

On the other hand, the other options listed (a, b, c, and d) are all key themes in the political and economic development of California. The Gold Rush and John Sutter, the Railroads and the Big Four, California's 2nd constitution, and Statehood and the Compromise of 1850 are all important historical events and developments that had a significant impact on the shaping of California's political and economic landscape. These events influenced the growth of industries, population migration, governance structures, and the overall development of the state.

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Required information (The following information applies to the questions displayed below] The following information is available for ADT Company, which produces special-order security products and uses a job order costing system. Overhead is applied using a predetermined overhead rate of 55% of direct labor cost. Inventories Beginning of period $ 39,000 End of Period $ 49,000 Raw materials Work in process Finished goods 9,500 20,300 66,000 34,600 Cost Incurred for the period Raw materials purchases Factory payroll $ 174,000 200,000 Factory everhead (actual) Indirect materials used Indirect labor used Other overhead costs 8,000 46,000 115,000 1. Raw materials purchases for cash 2. Direct materials used 3. Indirect materials used. Prepare journal entries for the above transactions for the period.

Answers

Journal entry:

Factory Overhead $68,000

Raw Materials Inventory $68,000

Raw materials purchases for cash:

Journal entry:

Raw Materials Inventory $174,000

Cash $174,000

Direct materials used:

Direct materials are the raw materials that are directly used in the production process. The direct materials used during the period can be calculated as follows:

Direct materials used = Beginning raw materials inventory + Raw materials purchased - Ending raw materials inventory

Direct materials used = $9,500 + $174,000 - $10,000

Direct materials used = $173,500

Journal entry:

Work in Process Inventory $173,500

Raw Materials Inventory $173,500

Indirect materials used:

Indirect materials are the materials that are not directly used in the production process but are necessary for the production process. The indirect materials used during the period can be calculated as follows:

Indirect materials used = Actual factory overhead - Indirect labor cost - Other overhead costs

Indirect materials used = $115,000 - $46,000 - $1,000

Indirect materials used = $68,000

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Your organization assigned you the task for auditing one of its sites which involve SHE potential hazards. Mention briefly (in the form of summarized points) the steps you should go through to assure successful auditing program. Q8. Explain briefly how to use the expected loss index in decision making with numerical example. Q9. Give a numerical example to apply the approach proposed by Heinrich et al. (1980) for risk analysis and cost effectiveness evaluation.

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The steps to be followed in order to assure a successful auditing program are as follows:Define the scope of the audit: It is important to define the scope of the audit in order to narrow down the focus of the audit. It is essential to define the boundaries and expectations before the audit begins

. Define the criteria for audit: Defining audit criteria helps the auditor in deciding the standard which is required for the audit. This can be done by checking whether the business is adhering to the legal requirements or not. This criterion is usually set by the company’s management. Planning: Planning plays an important role in the success of an audit program. It helps the auditor in keeping track of the time and resources needed to complete the audit. Audit program planning includes developing checklists, communication plans and sampling techniques. Conducting the audit: The auditor conducts the audit by collecting and verifying data to evaluate whether the established criteria are met or not. This is done by interviewing employees, reviewing documentation and conducting field observations. Reporting: Reporting the findings is essential for the auditor as well as for the management. The auditor prepares a report which summarizes the findings. The report should be clear and concise. Follow-up: This is the final step where the auditor follows up to check whether the company has implemented the recommended changes or not. Q8. The Expected Loss Index helps decision-makers to assess risk. It is expressed as a percentage and is calculated as follows:Expected Loss Index = Expected Loss / Total Value of Exposed AssetsThe Expected Loss Index provides a numerical way to assess risk. For instance, if the Total Value of Exposed Assets is $1,000,000 and the Expected Loss is $10,000, the Expected Loss Index is 1%. Decision-makers can use this index to evaluate which risks should be prioritized and which can be ignored. Q9. Heinrich et al. (1980) proposed an approach to risk analysis and cost-effectiveness evaluation. Their approach involves the following steps:Identify unsafe conditionsIdentify unsafe actsIdentify accidentsDetermine the number of accidents that result from unsafe acts and unsafe conditionsCalculate the ratio of unsafe acts to accidentsCalculate the ratio of unsafe conditions to unsafe actsIdentify the cost of unsafe conditions and actsCalculate the cost of accidents caused by unsafe actsCalculate the cost of accidents caused by unsafe conditionsCalculate the cost of correcting unsafe acts and conditionsCalculate the cost of preventing accidents caused by unsafe acts and conditionsCalculate the cost of insurance premiums based on risk rankingTheir approach is numerical and helps companies prioritize and allocate resources based on the cost-benefit analysis of accident prevention.

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risk and probability micro-pub, inc., is considering the purchase of one of two digital cameras, r and s, each of which requires an initial investment of $

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Micro-Pub, Inc. is a company that wants to buy one of the two digital cameras, R and S, each requiring a $ 3,000 initial investment. Digital camera R, considered to be the economy model, is expected to have a four-year life and a salvage value of $ 500.

It has a high probability of having a net cash inflow of $ 1,500 per year for the first three years and a low probability of $ 1,000 per year for the fourth year. Digital camera S, the deluxe model, has a six-year life and a salvage value of $ 800. It has a high probability of generating net cash inflows of $ 2,500 per year for the first four years and a low probability of $ 1,500 per year for the final two years.

Assuming the decision is based on the maximum expected net cash inflow, which camera should Micro-Pub, Inc. purchase? We can analyze the problem by using the expected value (EV) approach, which is given as follows: EV = ∑(Xi * Pi), where Xi is the possible net cash inflow and Pi is the probability associated with each net cash inflow for the respective alternative. Using the expected value approach, the EV for camera R is:EV for camera R = $1,500 x 0.75 + $1,000 x 0.25 = $1,375The EV for camera S is: EV for camera S = $2,500 x 0.75 + $1,500 x 0.25 = $2,000

Therefore, camera S should be purchased as it has a higher EV than camera R.

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If you were to do a research on the topic of determining the satisfaction of university students on May Festival activities,
a- how would you define target population?
b- would you take a census or a sample for your research?

Answers

If I were to do research on the satisfaction of university students on May Festival activities, the target population would be all the students who attend the university and participate in the May Festival activities. This includes both undergraduate and graduate students.



In terms of data collection, I would take a sample of the target population instead of conducting a census. A census would involve surveying every single student, which would be impractical and time-consuming. A sample, on the other hand, involves selecting a representative group of students to survey. This allows for a more manageable data collection process while still providing a reliable estimate of the satisfaction of the entire population.

To ensure the sample is representative, I would use a random sampling technique, such as stratified random sampling, to ensure that students from different departments, years, and genders are included in the sample. I would also aim for a sufficiently large sample size to ensure that the results are statistically significant and can be generalized to the target population.

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