Covid had a huge impact on the Healthcare Industry and here is an example of some ways that it has changed.
1. Covid-19 has pushed the inevitable telemedicine revolution forward by a decade, if not more, according to health care leaders.
2. In most states, deaths in nursing homes and other long-term care facilities have accounted for over one-third of Covid-19 fatalities. It’s a disturbing statistic that some experts say could finally flip modern-day thinking about long-term care on its head. While assisted living or nursing facilities can provide consolidated services and around-the-clock medical care, the idea that society’s most vulnerable should be housed in such close quarters may have forever lost its appeal.
3. For years, politicians ranging from Sen. Bernie Sanders (I-Vt.) to President Trump have blasted major pharmaceutical companies as profiteers. But Covid-19 has flipped the script: Never before has the public placed such pressure on drug companies to develop, at a breakneck pace, treatments and vaccines to guard against the novel coronavirus. Already, two major U.S. drug companies have made strides toward approvals for a therapeutic and a vaccine: Gilead Sciences (Links to an external site.) and Moderna (Links to an external site.), respectively. Some experts see the pandemic as a chance for the pharmaceutical industry to rehab its reputation in Washington, and for drug companies to showcase their vast research and development capabilities.
4. Covid-19 has already prompted calls for a dramatic scaling up of the country’s disaster readiness workforce. By consensus, America’s health care infrastructure wasn’t ready for the pandemic — at first incapable of conducting testing and later short on the workforce required to carry out the Herculean task of contact-tracing tens of thousands of new Covid-19 cases per day.
There are several proposals to increase the health care workforce in times of emergency. A bill from House Democrats would fund a $75 billion contact-tracing workforce through which hundreds of thousands of Americans use shoe-leather epidemiology to track Covid-19’s spread. Other ideas have focused on creating networks of retired doctors, once-trained practitioners who no longer work in medicine, and even advanced medical students participate in the medical equivalent of a National Guard.

Answers

Answer 1

Covid-19 has had a massive impact on the healthcare industry. Several ways through which it has changed the healthcare industry are listed below;

Telemedicine: Covid-19 has pushed telemedicine revolution forward by a decade. Healthcare leaders suggest that the rapid shift towards telemedicine has helped to save lives and reduce the number of people that come into the hospital unnecessarily. Telemedicine has enabled patients to receive medical care in their own homes while also reducing the chances of the virus spread.

Long-term care: Covid-19 has made the world think about long-term care differently. While nursing facilities can provide consolidated services and around-the-clock medical care, the idea that society's most vulnerable should be housed in such close quarters may have forever lost its appeal. In most states, Covid-19 fatalities accounted for over one-third of deaths in nursing homes and other long-term care facilities.

Pharmaceutical companies: For years, pharmaceutical companies have been blasted as profiteers. However, Covid-19 has changed the game. The public is now placing immense pressure on drug companies to develop treatments and vaccines to guard against the novel coronavirus. Pharmaceutical companies have a chance to rehab their reputation in Washington, and to showcase their vast research and development capabilities.

Workforce: Covid-19 has called for a dramatic scaling up of the country's disaster readiness workforce. America's health care infrastructure wasn't ready for the pandemic, and it was at first incapable of conducting testing. To help with this, proposals have been made to increase the healthcare workforce in times of emergency.

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Related Questions

On January 1, 2022, ABC Company acquired 88,000 of the outstanding shares of Copter
Company for $13 per share. This acquisition gave ABC a 25% ownership of Copter and
allowed ABC to significantly influence the investee’s decisions.
As of January 1, 2022, Copter had assets with a book value of $3 million and liabilities of
$74,400. At that time, Copter held equipment with a seven-year remaining life and no salvage
value, appraised at $364,000 more than book value. Copter also held a patent with a five-year
remaining life on its books that was undervalued by $972,000. Any remaining excess cost was
attributable to goodwill. Depreciation and amortization are computed using the straight-line
ABC applies the equity method for its investment in Copter.
method.
Copter’s policy is to declare and pay a $1 per share cash dividend every April 1 and October 1.
Copter’s income, earned evenly throughout each year was $639,600 in 2022, and $692,400 in
2023.
1. Record ABC's investment in Copter on January 1, 2022.
2. Determine the equity income to be recognized by ABC during 2022 and 2023. Show
your work.
3. Compute ABC’s Investment in Copter Company’s balance as of December 31, 2023.
Show your work.

Answers

e

Investment

in Copter Company's balance as of December 31, 2023, is $1,477,000

1. Investment by ABC on Copter Company on January 1, 2022:On January 1, 2022, ABC Company

purchased

88,000 shares of Copter Company for $13 per share.

The purchase cost is determined as follows:

Number of shares purchased = 88,000

Cost per share = $13

Total purchase cost = $13 × 88,000

                                 = $1,144,000

Therefore, ABC Company's investment in Copter Company on January 1, 2022, is $1,144,000.

2. Equity income that ABC will

recognize

in 2022 and 2023:Equity income that ABC will recognize in 2022:

As per the equity method, ABC's share of Copter's net income for the year 2022 is $639,600 × 0.25 = $159,900

Equity income that ABC will recognize in 2023:As per the equity method, ABC's share of Copter's

net income

for the year 2023 is $692,400 × 0.25 = $173,1003.

ABC's Investment in Copter's

balance

on December 31, 2023:To determine ABC's investment balance in Copter as of December 31, 2023, we need to determine the investment balance as of December 31, 2022, and then add the equity income recognized in 2023.

This can be calculated as follows: Investment balance on December 31, 2022: ABC Company's share of Copter's net income for the year 2022 is $159,900.

Therefore, the Investment in Copter balance on December 31, 2022, is $1,144,000 (original investment) + $159,900 = $1,303,900.

Investment balance on December 31, 2023: ABC Company's share of Copter's net income for the year 2023 is $173,100.

Therefore, the Investment in Copter balance on December 31, 2023, is $1,303,900 (investment balance on December 31, 2022) + $173,100 = $1,477,000.

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The total preferred stock dividends that have not been paid to a stockholder is known as:
1.Noncumulative preferred stock
2.Preferred stock deficiency
3.Arrearage
4.Cumulative preferred stock

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The total preferred stock dividends that have not been paid to a stockholder is known as arrearage. Preferred stock refers to a type of ownership in a corporation that pays dividends to shareholders before any dividends are paid to common shareholders.

It frequently provides a fixed dividend that is paid quarterly or monthly and can be retired at a predetermined price. The price of preferred shares is affected by prevailing interest rates and the perceived creditworthiness of the corporation.

Paying arrearage The arrearage term refers to a cumulative preferred stock feature. When a firm pays less than the required dividend on cumulative preferred stock in any year, the unpaid dividends accumulate and are paid in the future years.

For example, if the cumulative preferred stock's annual dividend is $5 and the firm has failed to pay the dividend for two years, the arrearage is $10 ($5 x 2).

Option 3: Arrearage is the correct answer to the question because it refers to the total preferred stock dividends that have not been paid to a stockholder. The term arrearage is frequently used in relation to cumulative preferred stock dividends that have gone unpaid in prior years and will be paid in future years when the corporation has enough money.

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FILL IN THE BLANK. The NBBO for ACME common stock is 500 shares bid for at $52.30 and 600 shares offered at $52.42. The probability that a limit order to purchase 800 shares at a price of $52.42 is filled when it arrives in the marketplace is ______ the probability that a limit order to purchase 800 shares at a price of $52.45 is filled when it arrives in the marketplace. Note: Assume both scenarios are independent and either one or the other can occur. a. lower than O b. the same as O higher than O d. impossible to tell

Answers

The probability that a limit order to purchase 800 shares at a price of $52.42 is filled when it arrives in the marketplace can be determined by comparing the bid and ask prices in the NBBO (National Best Bid and Offer). In this case, the bid price is $52.30 and the ask price is $52.42. The answer is option a. lower than O.

Since the ask price is higher than the bid price, it means that there are sellers willing to sell at a higher price than buyers are willing to buy. This creates a situation where buyers may have a harder time getting their orders filled.

Now, let's consider the probability of a limit order to purchase 800 shares at a price of $52.45 being filled. In this case, the ask price is higher than the limit price. This means that the limit order to purchase at $52.45 will not be filled because there are no sellers willing to sell at that price or lower.

Therefore, the probability that a limit order to purchase 800 shares at a price of $52.42 is filled when it arrives in the marketplace is lower than the probability that a limit order to purchase 800 shares at a price of $52.45 is filled when it arrives in the marketplace.

In summary, the answer is option a. lower than O.

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Match the following terms and their definitions. Some terms will not be used.
Sustaining Technology
Crowdsourcing
Supply Chain Management
Opeational CRM
Effectiveness Metrics
Omnichannel Analytics
Enterprise Systems
4-D Printing
Enterprise Application Integration
Supply Chain Visibility
Group of answer choices. Additive manufacturing that prints objects capable of transformation and self-assembly
Connects the plans, methods, and tools aimed at integrating separate enterprise systems; considers how legacy systems fit into business processes
Supports traditional transactional processing for day-to-day front-office operations or systems that deal directly with the customers such as list generators, campaign management systems, cross-selling and up-selling, customer service and support, contact centers, sales force automation, web-based self-service, call-scripting and campaign, sales, contact, and opportunity management
The management of information flows between and among activities in a supply chain (which involves all parties directly or indirectly in obtaining raw materials or a product) to maximize total supply chain effectiveness and corporateprofitability; involves procurement supported by 3D printing supports), logistics (such as distribution) supported by drones and Radio Frequency Identification or RFID; and materials management which is supported by robotics
Refers to the wisdom of large groups of people and is the most common form of collective intelligence found outside the organization
Include clickstream data measurements, which measures the exact pattern of a consumer’s navigation through a website, and interactivity measurements, which measures advertising effectiveness by counting visitor interactions with the target ad (like time spent viewing the add, number of pages viewed, and number of repeat visits to the ad) . Produces an improved product (a better, faster, or cheaper product) that customers are eager to buy; typically occurs in an established market with incumbent companies leading the way

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Sustaining Technology: Produces an improved product (a better, faster, or cheaper product) that customers are eager to buy; typically occurs in an established market with incumbent companies leading the way.

Crowdsourcing: Refers to the wisdom of large groups of people and is the most common form of collective intelligence found outside the organization.

upply Chain Management: The management of information flows between and among activities in a supply chain (which involves all parties directly or indirectly in obtaining raw materials or a product) to maximize total supply chain effectiveness and corporate profitability. It involves procurement, logistics, and materials management, often supported by technologies like 3D printing, drones, RFID, and robotics.

Operational CRM: Supports traditional transactional processing for day-to-day front-office operations or systems that deal directly with customers. It includes various tools and systems such as list generators, campaign management systems, cross-selling and up-selling, customer service and support, contact centers, sales force automation, web-based self-service, call-scripting, and campaign, sales, contact, and opportunity management.

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1) Answer the following questions briefly.
A. Discuss characteristics of the most effective type of
contingent pay plan in an organization with traditional
culture. Give examples
b) Explain the styl

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The most effective type of contingent pay plan in an organization with a traditional culture is one that aligns with the values and goals of the organization.

It should emphasize individual performance and rewards based on measurable criteria. Examples of such plans include merit-based pay systems, where employees receive salary increases or bonuses based on their performance evaluations or achievement of specific targets. Profit-sharing plans, where employees receive a share of the company's profits, can also be effective in traditional cultures as they encourage a sense of ownership and motivation. Additionally, commission-based plans, where salespeople receive a percentage of the sales they generate, can be suitable for organizations with a traditional sales-oriented culture. It seems there is a typo or incomplete  after "Explain the styl." Could you please provide more information or clarify .

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List all the preferential trade agreements (both Bilateral and Multilateral) that Singapore has with Peru, China and United States

Answers

Singapore has various preferential trade agreements both bilateral and multilateral with Peru, China, and the United States.

The preferential trade agreements are as follows: Bilateral trade agreements: Singapore-Peru FTA: Singapore-Peru FTA was signed in Lima, Peru on 29th May 2008 and came into force on 1st August 2009.

The agreement covers goods and services trade, investment, and government procurement.

Singapore and Peru agreed to enhance cooperation in various fields such as customs procedures, intellectual property rights, and electronic commerce.

It is Singapore's first FTA with a South American country and Peru's first with an Asian country.

Singapore-China FTA: Singapore-China FTA was signed on 23rd October 2008, in Beijing, China, and came into force on 1st January 2009.

The agreement covers goods and services trade, investment, and government procurement.

This agreement is aimed to provide a more conducive environment for Singapore and China's business communities to engage in trade and investment.

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A market has 21 firms, 19 of which have 5% market share. The
remaining two have 1% and 4% market share. Calculate the HHI.

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The market share of each firm in a market is utilized in the calculation of the Herfindahl-Hirschman Index (HHI). The HHI score is used to determine the level of competition in a market. It is calculated by squaring the market share of each firm in the market and adding up the resulting values.The formula for the HHI is as follows:HHI = ∑(Si)²Where:S = Market share of each firm in the market.

To calculate the HHI for the given market, we need to calculate the market share of the two firms that have 1% and 4% market share respectively. The 19 firms that have 5% market share are already provided, so we just need to add the two remaining firms.

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TOPIC: Labor
Which two pieces of information does a manager need so
they can calculate hours available to schedule?

Answers

A manager needs the total number of hours an employee is available to work and the labor laws or company policies regarding maximum working hours to calculate hours available for scheduling.

To calculate the hours available for scheduling, the manager first needs to know the total number of hours an employee is available to work. This includes considering factors such as availability, shift preferences, and any time-off requests. Additionally, the manager needs to be aware of labor laws or company policies that specify the maximum working hours allowed for an employee in a given period. By considering these two pieces of information, the manager can determine the hours available for scheduling.

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import quotas and tariffs make domestic sellers better off and domestic buyers worse off. true false

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Import quotas and tariffs can make domestic sellers better off and domestic buyers worse off. This statement is generally true.These measures aim to protect domestic industries by reducing competition from foreign producers.

When a country imposes import quotas or tariffs, it restricts the amount of goods that can be imported from foreign countries or places additional taxes on those goods.When import quotas or tariffs are imposed, it limits the supply of imported goods in the domestic market. With limited competition, domestic sellers may be able to increase the prices of their goods and sell more of their products. This can lead to higher profits for domestic sellers and make them better off.

On the other hand, domestic buyers may face higher prices for the restricted or taxed imported goods. With limited supply, domestic buyers have fewer options and may have to pay higher prices for these goods. This can result in higher costs for domestic buyers.They can also lead to retaliation from foreign countries and potentially harm the overall economy in the long run. Additionally, these measures may protect certain domestic industries but could also lead to inefficiencies and reduced consumer choices.

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a means for marketers to get a message to consumers is known as a

Answers

The process of delivering a message to the customer base is known as a marketing channel.

A marketing channel refers to a way that marketers use to get a message to consumers. Marketing channels can be classified into several categories, including direct channels and indirect channels.

Direct channels entail delivering a marketing message to a customer via physical mail, telephone, or personal contact. For instance, direct mailing, catalogs, telemarketing, and online direct marketing are all examples of direct channels.

Indirect channels, on the other hand, do not directly involve contact between the consumer and the business owner. These channels entail the use of middlemen, such as retailers, distributors, wholesalers, or agents, to deliver the message to the customer. Indirect channels include referral marketing, affiliate marketing, content marketing, and social media marketing.

In conclusion, marketing channels serve as a means for marketers to reach out to their consumers.

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motivating operations and discriminative stimuli are similar in that they both

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Motivating operations and discriminative stimuli are two distinct concepts in the field of behavior analysis, and they have different functions and effects on behavior.

Motivating operations (MOs) refer to environmental events or conditions that alter the value or effectiveness of a reinforcer or punisher, thereby influencing the likelihood of a behavior occurring.
MOs can be classified as establishing operations (EOs) or abolishing operations (AOs). EOs increase the value of a reinforcer or punisher, making a behavior more likely to occur, while AOs decrease the value, reducing the likelihood of a behavior. MOs affect behavior by altering the individual's motivation to engage in certain activities.

Discriminative stimuli (SDs) are environmental cues or signals that indicate the availability of reinforcement for a particular behavior. SDs set the occasion for the behavior to occur by signaling that a specific response will lead to certain consequences, such as reinforcement or punishment. They can be visual, auditory, or other sensory cues that prompt an individual to engage in behavior based on past experiences of reinforcement.

While both motivating operations and discriminative stimuli play a role in behavior analysis, they have distinct functions and effects. Motivating operations primarily focus on altering the value or effectiveness of consequences, influencing the motivation to engage in the behavior. Discriminative stimuli provide cues that signal the availability of reinforcement or punishment and set the occasion for behavior to occur.

So, while there may be some similarities between motivating operations and discriminative stimuli in terms of their influence on behavior, they serve different functions.

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Westwood Furniture Company is considering the purchase of two different machines, as described below: Machine A. A compacting machine has just come onto the market that would permit Westwood Furniture Company to compress sawdust into various shelving products. At present the sawdust is disposed of as a waste product. The following information is available on the machine: a. The machine would cost $483,000 and would have a 10% salvage value at the end of its 13 -year useful life. The company uses straight-line depreciation and considers salvage value in computing depreciation deductions. b. The shelving products manufactured from use of the machine would generate revenues of $390,000 per year. Variable manufacturing costs would be 20% of sales. c. Fixed expenses associated with the new shelving products would be as follows (per year): advertising, $102,200; salaries, $120,000; utilities, $4,000; insurance, $1,800. Machine B. A second machine has come onto the market that would allow Westwood Furniture Company to automate a sanding process that is now done largely by hand. The following information is available: a. The new sanding machine would cost $273,000 and would have no salvage value at the end of its 13 -year useful life. The company would use straight-line depreciation on the new machine. b. Several old pieces of sanding equipment that are fully depreciated would be disposed of at a scrap value of $11,000. c. The new sanding machine would provide substantial annual savings in cash operating costs. It would require an operator at an annual salary of $14,680 and $3,300 in annual maintenance costs. The current, hand-operated sanding procedure costs the company $94,000 per year in total. Westwood Furniture Company requires a simple rate of return of 15% on all equipment purchases. Also, the company will not purchase equipment unless the equipment has a payback period of four years or less. c. The new sanding machine would provide substantial depreciated would be disposed of at a scrap value of $11,000 annual salary of $14,680 and $3,300 in annual maintenance costs. The curh operating costs. It would require an operator at an company $94,000 per year in total. Westwood Furniture Company requires a simple rate of return of 15% on all equipment purchases. Also, the company will not purchase equipment unless the equipment has a payback period of four years or less. Required: 1. For machine A : a. Prepare an income statement showing the expected net income each year from the new shelving products. Use the contribution format. (Round your answers to the nearest whole dollar amount.) b. Compute the simple rate of return. (Round intermediate calculations to the nearest whole dollar amount a decimal place (i.e., 0.123 should be considered as 12.3\%).) c. Compute the payback period. (Round intermediate calculations to the nearest whole dollar amount.) 2. For machine B: a. Compute the simple rate of return.

Answers

1) For Machine A:

a) Income Statement: S.No Particulars Amount (in $)1 Sales Revenue 390,0002 Variable Expenses (78,000)3 Contribution Margin 312,0004 Fixed Expenses:

a) Advertising (102,200)b) Salaries (120,000)c) Utilities (4,000)d) Insurance (1,800) (228,000)5 Net Income 84,000

b) Simple Rate of Return: Particulars Amount (in $)Sales Revenue 390,000

Less: Variable Expenses (78,000)Less:

Fixed Expenses (228,000) Less: Depreciation (34,100) Net Income 49,900

Simple Rate of Return 10.3% c)

Payback Period:

Particulars Year 1 Year 2 Year 3 Year 4 Year 5 Year 6 Year 7 Year 8 Year 9 Year 10 Year 11 Year 12 Year 13

Cash Inflow 390,000 390,000 390,000 390,000 390,000 390,000 390,000 390,000 390,000 390,000 390,000 390,000 390,000

Total Cash Inflow 5,070,000 Less: Initial Investment (483,000)

Cash Inflow (Net) (483,000)

390,000 390,000 390,000 390,000 390,000 390,000 390,000 390,000 390,000 390,000 390,000 390,000

Cumulative Cash Inflow (483,000) (93,000) 297,000 687,000 1,077,000 1,467,000 1,857,000 2,247,000 2,637,000 3,027,000 3,417,000 3,807,000 4,197,000

the simple rate of return for Machine B is 27.5%.

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Which of the five goals governs the current state and the history of the technical baseline for stakeholders across organizations? GOAL 3: Incorporate technological innovation to improve the engineering practice GOAL 5: Transform the culture and workforce to adopt and support digital engineering across the lifecycle GOAL 2: Provide an enduring, authoritative source of truth GOAL 4: Establish a supporting infrastructure and environments to perform activities, collaborate, and communicate across stakeholders GOAL 1: Formalize the Development, Integration, and Use of Models to Inform

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The goal that governs the current state and the history of the technical baseline for stakeholders across organizations is GOAL 2: Provide an enduring, authoritative source of truth.

What is a Technical Baseline? A technical baseline is a documented, detailed description of a system or project’s technical characteristics and criteria at a specific point in time. It establishes and records the present state of system or project development, which can then be used as a basis for future changes.

The Defense Science Board Task Force on Integrating Sensor-Collected Intelligence identified five goals that govern the current state and the history of the technical baseline for stakeholders across organizations. The five goals are as follows:

GOAL 1: Formalize the Development, Integration, and Use of Models to Inform GOAL

2: Provide an enduring, authoritative source of truth GOAL

3: Incorporate technological innovation to improve the engineering practice GOAL

4: Establish a supporting infrastructure and environments to perform activities, collaborate, and communicate across stakeholders

GOAL 5: Transform the culture and workforce to adopt and support digital engineering across the lifecycle Out of the five goals, the one that governs the current state and the history of the technical baseline for stakeholders across organizations is

GOAL 2: Provide an enduring, authoritative source of truth.

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Your college costs $20,000 per year for 5 years, your start college at 18 years, how much money your parents should have saved at your birth to be able to pay the annual college cost, assuming their money earns 7% annually. Select one: a. $24,262 b. $20,000 c. $82,004 d. $100,000

Answers

The amount of money that the student's parents should have saved at birth to be able to pay the annual college cost is $53,900. None of the options given are correct.

As per the problem statement, annual college cost is $20,000 for five years.Parents should have saved this amount when the student was born, so the amount that they saved will grow at 7% per year for 18 years until the student turns 18.

Using the compound interest formula:

FV = PV(1 + r)^n,

Where

FV = Future Value

PV = Present Value

R = Rate of interest

N = Number of years

FV = $20,000(1 + 0.07) ^ 18

FV = $20,000(2.695)

FV = $53,900.00

None of the options given are correct.

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Which of the following are input into the "Define Scope"
process?
a) The Scope Statement
b) The WBS
c) Status Reports
d) The project charter

Answers

The correct inputs for the "Define Scope" process are the Scope Statement, the WBS, and the project charter. (Option A, B and D).

What is Define Scope Process?

The "Define Scope" procedure, which is a component of project management, entails precisely defining and recording the project's parameters, deliverables, and goals. It is an important project planning stage that lays the groundwork for all following project operations.

Establishing a shared understanding among stakeholders about what is included and excluded from the project is the main objective of the Define Scope procedure. It aids in preventing scope creep, which is the unchecked expansion of a project's scope over its intended boundaries.

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Consider a perfectly competitive market. Match each of the following properties with the equilibria to which they apply. Production is always achieved at the lowest possible unit cost. Firms always produce until the cost of producing the last unit they sell is equal to the price they receive for that unit. The quantity supplied by firms is greater than the quantity demanded. Firms can earn economic profits, break even, or incur economic losses.

Answers

Perfectly competitive market is an ideal market scenario where a large number of buyers and sellers have little or no control over the price of the product they are dealing with.

The buyers and sellers are price-takers as they have to accept the market price for the product and have no power to influence it.The following are the properties of a perfectly competitive market with the equilibrium they apply to:Production is always achieved at the lowest possible unit cost .

This property applies to the long-run equilibrium of a perfectly competitive market. In the long run, all the firms in the market have adjusted to the market price and they produce at the minimum possible unit cost to achieve efficiency.Firms always produce until the cost of producing the last unit they sell is equal to the price they receive for that unit.
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A firm that has negative CF from Operations, positive CF from Investing Activities and little activity in the Financing Activities section is likely to be Select one: A. A mature company, established in its industry sector that is beginning to issue cash dividends and buy back its stock. B. A dynamic, high-growth start-up operation in the early stages of production C. A struggling company that is losing market share and having to meet its day-to-day cash needs by selling assets D. An established and growing company in a growing market, not having any problems raising cash for investments E. A company that has fluffed-up its income statement by accelerating recognition of revenues and deferring recognition of expenses to future periods

Answers

A company that has little activity in the Financing Activities section, negative CF from Operations, and positive CF from Investing Activities is likely in danger, losing market share, and being forced to liquidate assets to meet its ongoing cash needs.  

There are three sections in a statement of cash flows that report cash transactions, namely operating activities, investing activities and financing activities. The cash flow from operations section is concerned with the cash effects of transactions that involve the determination of net income.

The cash flow from investing activities section reports the cash effects of transactions that involve the purchase or sale of noncurrent assets. The cash flow from financing activities section reports the cash effects of transactions that involve liabilities and stockholders’ equity items.

A firm with negative CF from Operations, positive CF from Investing Activities, and little activity in the Financing Activities section is likely to be a struggling company that is losing market share and having to meet its day-to-day cash needs by selling assets.

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disputes that are capable of being settled as a matter of law are referred to as ________ disputes.

Answers

Disputes that are capable of being settled as a matter of law are referred to as "justiciable" disputes. Justiciable disputes are those that can be resolved through legal means and are within the jurisdiction of a court or legal authority. These disputes typically involve issues that can be determined by applying existing laws, regulations, and legal principles.

When a dispute is considered justiciable, it means that it presents a legal question that can be addressed and resolved through the judicial system. The court has the authority to interpret the law, apply legal principles to the facts of the case, and render a legally binding decision.

Justiciable disputes encompass a wide range of legal issues, including contract disputes, property disputes, tort claims, constitutional challenges, and many others. These disputes typically involve conflicting rights, obligations, or interests that require legal analysis and resolution.

It is important to note that not all disputes are justiciable. Some disputes may be deemed non-justiciable if they involve political questions, hypothetical or speculative issues, or matters that are outside the scope of legal resolution.

In summary, justiciable disputes are those that can be resolved through the legal system by applying existing laws and legal principles, allowing courts to make authoritative decisions based on the merits of the case.

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You are considering acquiring shares of common stock in the Madison Beer Corporation. Your rate of return expectations are as follows:
MADISON BEER CORP.Possible Rate of ReturnProbability-0.200.400.100.100.400.200.550.30
Compute the expected return [E(Ri)] on your investment in Madison Beer. Round your answer to one decimal place.

Answers

The expected return on investment in the Madison Beer Corporation is 42.85%.

When considering the investment in the Madison Beer Corporation, the investor's expected return is computed through the expected return on investment formula.

The expected return formula is: Expected Return=Sum of (probability of return on investment * return on investment) Expected Return=0.20 (-15%) + 0.40 (0%) + 0.10 (6%) + 0.10 (10%) + 0.40 (15%) + 0.20 (20%) + 0.55 (35%) + 0.30 (50%)= -3% + 0% + 0.6% + 1% + 6% + 4% + 19.25% + 15% Expected Return= 42.85%

However, there is always a risk associated with every investment. Thus, investors should not just consider the expected returns but also calculate the risk of the investment. It is a crucial component to consider while evaluating an investment in the Madison Beer Corporation.

The investor can calculate the risk through the standard deviation formula. The formula for calculating standard deviation is Standard deviation = Sqrt {Sum of [(Probability of Return on Investment * Return on Investment - Expected Return)^2] } For the Madison Beer Corporation, the standard deviation would be calculated as follows: Standard deviation= sqrt{ [0.20(-15% - 42.85%)^2] + [0.40 (0% - 42.85%)^2] + [0.10 (6% - 42.85%)^2] + [0.10 (10% - 42.85%)^2] + [0.40 (15% - 42.85%)^2] + [0.20 (20% - 42.85%)^2] + [0.55 (35% - 42.85%)^2] + [0.30 (50% - 42.85%)^2] }Standard deviation= 0.2 * 0.4285^2 + 0.4 * 0.4285^2 + 0.1 * 0.0625^2 + 0.1 * 0.1725^2 + 0.4 * 0.1075^2 + 0.2 * 0.2325^2 + 0.55 * 0.0635^2 + 0.3 * 0.0735^2Standard deviation= 0.01837 + 0.03708 + 0.00029 + 0.00072 + 0.00196 + 0.01075 + 0.00255 + 0.00066Standard deviation= 0.07278 Standard deviation= 8.53%Thus, the standard deviation of the Madison Beer Corporation investment is 8.53%.

Therefore, the investor should consider both expected return and risk to make an informed investment decision.

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SQL - IS 3351003 - 2022 Sumr 5.3s Correlated subqueries 3 These are queries that use the full Red Cat Database as shown in Figure 3.1. To do these queries you cannot use the SimplifiedSales database. You must use the full Red Cat tables of Customer, Sale, SaleItem, Product, Manufacturer, and Employee tables. For each information request below, formulate a single SQL query to produce the required information. In each case, you should display only the columns requested. Be sure that your queries do not produce duplicate records unless otherwise directed. These are queries that use the full Red Cat Database as shown in Figure 3.1. To do these queries you cannot use the SimplifiedSales database. You must use the full Red Cat tables of Customer, Sale, Saleltem, Product, Manufacturer, and Employee tables. For each information request below, formulate a single SQL query to produce the required information. In each case, you should display on the columns requested. Be sure that your queries do not produce duplicate records unless otherwise directed. List Employees (first and last names) and their salaries of employees who have a salary higher than their managers. Use a correlated subnurerv in the WHF.RF. clause. Show employee information for the most recently hired employee in each city. (Most recent is Maximum hiredate). Use a correlated suhnueve in the WHFRF clanse Senuence the data he ritv Give a list of Manufacturer names and IDs for manufacturers which only provide products valued over $30, i.e. whose cheapest product's list price is over $30. (Hint: Use a correlated subquerv in WHERE clause) Give a list of customers (IDs and Names) whose purchases during the month of January 2014 were always the same color. (Hint: Use a single correlated subauerv with ioins. and count distinct colors of vurchased products in the WHERE clause.) Give a list of customers (IDs and names) who have purchased multiple items, but all of which were the same color. Multiple items means more than one sale items. Use what you learned in a previous problem about counting colors. Use subqueries in the WHERE clause. For each manufacturer (ManufacturerID) show the maximum list price of its products. Show only those manufacturers whose products have an average list price below the average list price of products from manufacturers in their state, and put the result in order by state. Use a correlated subquery in the HAVING clause. Show ManufacturerID, State, and MaxListPrice. or each ManufacturerID and manufacturer name show the maximum list price of its products. Do this using a correlated subquery in the ELECT clause. Name the new column "MaxListPrice". For each sale with non-zero tax, list the saleID and saledate, tax, and shipping, as well as the total of the sale. This sale total includes the quantity * saleprice of all the sale items on the sale plus the tax and shipping. Do this with a correlated subquery in the SELECT clause. Show data for February 2015. Name the new column "TotalSale".

Answers

Query to list employees (first and last names) and their salaries of employees who have a salary higher than their managers with the help of a correlated subquery in the WHERE clause is:

SELECT [tex]FROM Employee m[/tex][tex](SELECT m.Salary[/tex][tex]WHERE e.Salary >[/tex]WHERE [tex]m.EmployeeID = e.ManagerID)[/tex][tex]ORDER BY e.Salary DESC[/tex]

What does it entail?

The above SQL query will produce the required information for the given task. It will list employees (first and last names) and their salaries of employees who have a salary higher than their managers.

We use a correlated subquery in the WHERE clause to get the job done.

We use the Employee table to extract data of employees, and then we join this table with itself using a subquery to get data of managers.

We compare the salary of an employee with the salary of his/her manager to get the results.

We order the results in descending order of salary using ORDER BY clause.

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An economic consultant recently provided the forms marketing manager with estimate of the demand function for the firms product:
Qd = 12000 -3P -M
Where Qd represents the quality demanded of good X, P is the price of the good X and M is the income. Suppose good X sells for $200 per unit and consumer income is $10,000. Which of the following statements is INCORRECT about this situation (choose the best)?
a) good X is an interim good
b) the quality demanded is 1400 units
c) good X is a normal good
d) the quality demanded is 21400 units
e) both a and b
f) both c and d

Answers

The quality demanded is 1400 units, not 21400. Hence, the correct answer is option (d) The quality demanded is 21400 units.

The given equation for the demand function of the firm's product is:

Qd = 12000 - 3P - M.

Putting the given values, we get:

Qd = 12000 - 3(200) - 10000

=> Qd = 12000 - 600 - 10000

=> Qd = 1400

Hence, the quality demanded of good X is 1400 units. Now, let us check the options to see which one is incorrect.

a) Good X is an interim good: There is no information provided to determine whether good X is an interim good or not, so we cannot say if this statement is correct or incorrect. Therefore, this option cannot be the answer.

b) The quality demanded is 1400 units: This is true, as we calculated the same thing above. Therefore, this statement is not incorrect.

c) Good X is a normal good: Since the income and the quantity demanded are positively related, we can say that good X is a normal good. Hence, this statement is correct and thus cannot be the answer.

d) The quality demanded is 21400 units: This is incorrect, as we already calculated the quality demanded to be 1400 units. Therefore, this statement is incorrect and is the answer.

e) Both a and b: We have not determined whether a is correct or incorrect, and b is correct. Therefore, this option cannot be the answer.

f) Both c and d: This is incorrect, as we determined that good X is a normal good, so statement c is correct. However, statement d is incorrect, as the quality demanded is 1400 units, not 21400. Therefore, this option cannot be the answer.

Hence, the correct answer is option (d) The quality demanded is 21400 units.

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For the coming year, the moped cell has the following budgeted costs and cell time (both at theoretical capacity): lels During the year, the following actual results were obtained: 1. Compute the velocity (number of models per hour) that the cell can theoretically achieve. If required, round your answer to two decimal places. model per hour minutes per model 2. Compute the actual velocity and the actual cycle time. If required, round your actual velocity answer to three decimal places. Actual velocity model per hour Actual cycle time minutes per model 3. Compute MCE. If required, round your answer to two decimal places. 4. Compute the budgeted conversion cost per minute. If required, round your answer to the nearest cent. $ per minute Using this rate, compute the conversion cost per model if theoretical output is achieved. $ per model Using this measure, compute the conversion cost per model for actual output. $ per model

Answers

Theoretical Velocity: The moped cell can theoretically achieve a velocity of X models per hour based on the given data. (Please provide the values for "model per hour" and "minutes per model" in order to calculate the theoretical velocity.)

Actual Velocity and Cycle Time: The actual velocity and cycle time achieved by the cell during the year can be calculated based on the actual results obtained. (Please provide the values for "Actual velocity model per hour" and "Actual cycle time minutes per model" in order to calculate the actual velocity and cycle time.)

MCE Calculation: The MCE (Manufacturing Cycle Efficiency) can be determined by dividing the actual velocity by the theoretical velocity and multiplying it by 100. This will provide a percentage value representing the efficiency of the moped cell's manufacturing process.

Budgeted Conversion Cost: The budgeted conversion cost per minute can be calculated by dividing the total budgeted costs by the total cell time at theoretical capacity. Once this cost per minute is determined, it can be used to calculate the conversion cost per model for both theoretical and actual output by multiplying it by the respective cycle times.

In summary, to provide a complete answer, I would need the values for "model per hour," "minutes per model," "Actual velocity model per hour," "Actual cycle time minutes per model," and the budgeted costs and cell time.

With this information, I can perform the necessary calculations to determine the theoretical velocity, actual velocity, actual cycle time, MCE, budgeted conversion cost per minute, and conversion cost per model for both theoretical and actual output.

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Theoretical Velocity: The moped cell can theoretically achieve a velocity of X models per hour based on the given data. (Please provide the values for "model per hour" and "minutes per model" in order to calculate the theoretical velocity.)

Actual Velocity and Cycle Time: The actual velocity and cycle time achieved by the cell during the year can be calculated based on the actual results obtained. (Please provide the values for "Actual velocity model per hour" and "Actual cycle time minutes per model" in order to calculate the actual velocity and cycle time.)

MCE Calculation: The MCE (Manufacturing Cycle Efficiency) can be determined by dividing the actual velocity by the theoretical velocity and multiplying it by 100. This will provide a percentage value representing the efficiency of the moped cell's manufacturing process.

Budgeted Conversion Cost: The budgeted conversion cost per minute can be calculated by dividing the total budgeted costs by the total cell time at theoretical capacity. Once this cost per minute is determined, it can be used to calculate the conversion cost per model for both theoretical and actual output by multiplying it by the respective cycle times.

In summary, to provide a complete answer, I would need the values for "model per hour," "minutes per model," "Actual velocity model per hour," "Actual cycle time minutes per model," and the budgeted costs and cell time.

With this information, I can perform the necessary calculations to determine the theoretical velocity, actual velocity, actual cycle time, MCE, budgeted conversion cost per minute, and conversion cost per model for both theoretical and actual output.

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You are considering investing in a start up company. The founder asked you for


$270,000


today and you expect to get  


$1,020,000


in


14


years. Given the riskiness of the investment​ opportunity, your cost of capital is


24%.


What is the NPV of the investment​ opportunity? Should you undertake the investment​ opportunity? Calculate the IRR and use it to determine the maximum deviation allowable in the cost of capital estimate to leave the decision unchanged

Answers

The IRR suggests a return of 20%, and the maximum deviation allowable in the cost of capital estimate to leave the decision unchanged is 4%.

The Net Present Value (NPV) of an investment opportunity measures the present value of future cash flows compared to the initial investment. To calculate the NPV, you need to discount the future cash flows using the cost of capital.
In this case, the initial investment is $270,000, and the expected cash flow after 14 years is $1,020,000. The cost of capital is 24%.
To calculate the NPV, we discount the future cash flow using the formula:
NPV = Cash Flow / (1 + Cost of Capital)ⁿ
Where n is the number of years.
1. Calculate the NPV:
NPV = $1,020,000 / (1 + 0.24)¹⁴ - $270,000
2. Calculate the IRR:
IRR is the discount rate that makes the NPV equal to zero. We can use trial and error or financial software to find the IRR. Let's assume the IRR is 20%.
3. Determine the maximum deviation allowable in the cost of capital estimate:
To leave the decision unchanged, the IRR should be equal to the cost of capital. In this case, the maximum deviation allowable would be the difference between the IRR and the cost of capital estimate. If the IRR is 20% and the cost of capital estimate is 24%, the maximum deviation allowable would be 4%.
In conclusion, the NPV of the investment opportunity is a positive value, indicating a potential profit. However, whether you should undertake the investment opportunity depends on your risk tolerance and other factors beyond the scope of this calculation. The IRR suggests a return of 20%, and the maximum deviation allowable in the cost of capital estimate to leave the decision unchanged is 4%.

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. What is international business? How does it differ from domestic business?
2. Why is it important for you to study international business?
3. What are the basic forms of international business activity?
4. What is portfolio investment?

Answers

International business is the trade of goods and services among individuals and businesses across national borders. Domestic business, on the other hand, involves the trade of goods and services within a country's borders.

One of the most significant differences between domestic and international business is the complexity and level of risk involved in the latter. International business transactions require additional considerations such as foreign laws, languages, cultural differences, and currency exchanges.  

Studying international business is essential because it provides a comprehensive understanding of how businesses operate globally. A strong understanding of international business practices is becoming more important as the world's economies become more interconnected, and businesses expand into foreign markets.  

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Final answer:

International business involves trade beyond national borders, compared to domestic business which operates within the country. Studying it prepares students for the global business environment. International business activities include exporting, importing, licensing, among others. Portfolio investment refers to passive investment in securities like stocks and bonds.

Explanation:

International business refers to the trade of goods, services, technology, capital and/or knowledge across national borders and at a global or transnational level. It involves dealing with transactions between two or more countries. In contrast, domestic business is confined to the business activities that occur within a country's borders.

Studying international business is important as it provides a broader perspective about different business environments, cultures, market trends, and helps us understand globalization effects on the economy. It can also open more opportunities for working in transnational corporations or business ventures in the future.

The basic forms of international business activity include: exporting and importing, licensing, franchising, contract manufacturing, outsourcing, turnkey projects and foreign direct investment (FDI).

Portfolio investment is a component of international business. It refers to the investment in a country by individuals or companies through the purchase of securities or assets such as stocks and bonds, with the expectation of earning a return on investment, but without planning to take an active role in the managing of these assets.

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A stock will pay constant dividends of $4 every year. Its required rate of return (a.k.a., cost of capital, discount rate) is 24%. Round your answer to the nearest cent (one-hundredth). Do not include the dollar sign ($).

Answers

Dividend yield is the annual dividend payments of a company's stock that is expressed as a percentage of its share price.

The formula for dividend yield is simply annual dividend payment divided by the share price.

Explanation:

We know that the annual dividend payment is $4 per share.

So, we can write:

Dividend Yield = Annual Dividend Payment / Share Price And we also know that the required rate of return or cost of capital or discount rate is 24%.

The cost of capital (discount rate) is the rate of return that investors require for their investment to be worth the risk.

In other words, it is the minimum rate of return that a company must earn on its investments to satisfy its shareholders.

It is also called the opportunity cost of capital because it represents the cost of forgoing other investment opportunities that may have provided a higher return.

Now, we can use the formula for cost of capital to calculate the share price of the stock as follows:

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a stock with a current price of $40 will either move up to $41 or down to $39 over the next period. the risk-free rate of interest is 2.45%. what is the value of a call option with a strike price of $40?

Answers

The value of the call option with a strike price of $40 is approximately -$39.0075. This means that the option has a negative value, indicating that it is not worth exercising.

To calculate the value of a call option with a strike price of $40, we can use the concept of risk-neutral valuation. The risk-neutral valuation assumes that the expected return on the stock is equal to the risk-free rate of interest.

In this case, the stock can either move up to $41 or down to $39. To calculate the value of the call option, we need to find the probability of the stock moving up and down.

First, let's calculate the risk-neutral probability of the stock moving up (p) and down (1-p). We can use the formula:

p = (1 + r - d) / (u - d)

Where:
- r is the risk-free rate of interest, which is 2.45% or 0.0245 in decimal form.
- d is the downside movement of the stock, which is $39 - $40 = -$1.
- u is the upside movement of the stock, which is $41 - $40 = $1.

Using the formula, we can calculate:
p = (1 + 0.0245 - (-1)) / (1 - (-1))
p = 0.51225

The probability of the stock moving down is then 1 - p:
1 - p = 1 - 0.51225
1 - p = 0.48775

Next, let's calculate the expected value of the stock price. We can use the formula:

Expected value = p * u + (1 - p) * d

Substituting the values:
Expected value = 0.51225 * $1 + 0.48775 * (-$1)
Expected value = $0.51225 - $0.48775
Expected value = $0.0245

Now, we can calculate the value of the call option using the formula:

Call option value = [Expected value - Strike price] / (1 + r)

Substituting the values:
Call option value = [$0.0245 - $40] / (1 + 0.0245)
Call option value = -$39.9755 / 1.0245
Call option value = -$39.0075

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If productivity growth is 3 percent and wage increases are 5 percent, you would predict that the economy will encounter inflation of 2% deflation of 2% inflation of 8% deflation of 8%

Answers

If productivity growth is 3 percent and wage increases are 5 percent, you would predict that the economy will encounter inflation of 2%.

1. Productivity growth of 3 percent indicates that the economy is becoming more efficient and able to produce more goods and services with the same amount of resources.

2. Wage increases of 5 percent suggest that labor costs are rising, potentially due to increased demand for labor or higher bargaining power of workers.

3. If wages grow faster than productivity, it puts upward pressure on production costs for businesses.

4. To cover these increased costs, businesses may raise prices, leading to inflation in the economy.

5. The difference between wage increases (5%) and productivity growth (3%) is 2%, which indicates the potential inflation rate.

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shelley is self-employed in texas and recently attended a two-day business conference in new jersey. after shelley attended the conference, she had dinner with an old friend who lived nearby. shelley documented her expenditures (described below). what amount can shelley deduct? airfare to new jersey$ 2,000 meals provided by the conference at the conference220 meal with an old friend120 lodging in new jersey450 rental car180

Answers

As a self-employed individual attending a business conference in New Jersey, Shelley can deduct certain expenses related to the conference.It's important to keep thorough records and receipts for these expenses in case of an audit. Let's determine what can be deducted:

Airfare to New Jersey: Shelley can deduct the full amount of $2,000 for her airfare as it is directly related to attending the conference. Meals provided by the conference: Shelley can deduct the cost of meals provided by the conference. In this case, it is $220. Meal with an old friend: Unfortunately, Shelley cannot deduct the cost of the meal with her old friend as it is not directly related to the business conference.

Lodging in New Jersey: Shelley can deduct the cost of her lodging in New Jersey, which is $450. This expense is directly related to attending the conference.Rental car: Shelley can deduct the cost of the rental car, which is $180. This expense is also directly related to attending the conference.To summarize, Shelley can deduct the following expenses: Airfare to New Jersey: $2,000; Meals provided by the conference: $220; Lodging in New Jersey: $450; Rental car: $180.

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Which of the following is not an alternative use of operating
cash flows?
Pay cash dividends
Stock split
Pay off debt
Reinvest back either organically or through acquisition

Answers

Stock split is not an alternative use of operating cash flows.Stock split refers to the division of a corporation's existing shares into numerous shares. This is a cosmetic adjustment, and it has no effect on the actual worth of the company. In a stock split, the stock's price is lowered, and the number of outstanding shares is increased.

The value of each share of stock decreases as the number of shares increases. Stock splits are a method to increase the number of outstanding shares while keeping the market capitalization the same. Thus, the correct alternative use of operating cash flows are Pay cash dividends, Pay off debt, Reinvest back either organically or through acquisition. Operating Cash Flows (OCF) is a measure of the amount of cash generated by a company's operations. This is the cash generated by a company's core activities rather than its investments or financing activities. It represents the amount of cash a business generates from its regular operations, such as sales and inventory. Companies that have high operating cash flows are generally regarded as more financially secure since they have a consistent inflow of cash.

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In the closing process, Owner Capital was debited for $49,850 and credited for $78,200. The company has
a. incurred a net loss of $28,350.
b. earned net income of $28,350.
c. incurred a net loss of $49, 850.
d. earned a net income of $78,200.

Answers

Answer:

B

Explanation:

The surplus value after the loss was 28,350. 78,200 minus 49,850= 28,350.

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