Economic order quantity formula
EOQ = √ 2zCs for instantaneous replenishment
cC
Z = total annual usage Cs = cost of placing an order
c = unit cost of the item
C = carrying cost rate per year
EOQ = √(2zCs/cC)
The question
A Company annually purchases 2,600 kg of raw material X for € 33 per kg. The order costs are €250 per order. The stock costs per piece are € 30.50.
What is the optimal order size. Also give the calculation

Answers

Answer 1

The optimal order size is 212 kg, and this is the calculation.

EOQ is used to calculate the optimal order size. The economic order quantity formula is

EOQ = √(2 x Z x Cs/cC)

Where, Z = Total annual usage Cs = Cost of placing an order C = Carrying cost rate per year c = Unit cost of the item

Given,

Total annual usage = 2600 kg

Unit cost of the item, c = € 33

Cost of placing an order, Cs = € 250

Stock costs per piece, C = € 30.5

Calculate the optimal order size using the economic order quantity formula

EOQ = √(2 x Z x Cs/cC)

EOQ = √(2 x 2600 x 250/30.5 x 33)

EOQ = 212 kg

Therefore, the optimal order size is 212 kg, and this is the calculation.

To know more about optimal visit:

https://brainly.com/question/6348653

#SPJ11


Related Questions

Answer the below questions through any tool and create a dashboard for question 3. Share all the responses for question 1 and 2 in Word or summary report.
Questions
What related metrics are most associated with a country’s happiness index? (i.e. GDP, Generosity)
Highlight 2-3 trends you are seeing in the data. Summarize your findings and the impact of these trends.
Visualize the data in a Tableau / Einstein dashboard for an audience of leaders who are trying to improve the happiness of their population.

Answers

The metrics most associated with a country's happiness index include.

GDP per capita: Generally, countries with higher GDP per capita tend to have higher happiness scores. Economic prosperity provides individuals with better access to resources and opportunities, contributing to overall life satisfaction. Strong social support systems, including reliable family and friend networks, social institutions, and community engagement, positively influence happiness levels. Feeling supported and connected to others enhances well-being. Countries with higher life expectancies often exhibit higher happiness scores. Longer lifespans indicate better healthcare systems, quality of life, and overall societal well-being. Highlight 2-3 trends you are seeing in the data. Summarize your findings and the impact of these trends.

Learn more about metrics here:

https://brainly.com/question/32649116

#SPJ11

if the fed carries out an open market operation and sells u.s. government securities, the federal funds rate falls and the quantity of money increases.

Answers

The statement is incorrect. When the Federal Reserve carries out an open market operation and sells U.S. government securities, it actually has the opposite effect on the federal funds rate and the quantity of money. Here's a step-by-step breakdown to help you understand:

Open market operations: The Federal Reserve conducts open market operations to control the money supply and influence interest rates. These operations involve buying or selling U.S. government securities (bonds) in the open market. Selling government securities: If the Fed decides to sell government securities, it means it is taking money out of the economy. Federal funds rate: The federal funds rate is the interest rate at which banks lend funds to each other overnight to meet reserve requirements.

Effect on federal funds rate: When the Fed sells government securities, it reduces the reserves available to banks. As a result, banks have less money to lend to each other in the federal funds market. This increased scarcity of funds leads to a higher demand for funds and, consequently, an increase in the federal funds rate. Effect on quantity of money: Selling government securities reduces the money supply in the economy. Banks hold reserves in the form of deposits at the Federal Reserve.

To know more about federal funds visit:

https://brainly.com/question/31232170

#SPJ11

Bansal, P., Montgomery, W., & MacMillan, K. (2020). Maple Leaf Foods: Changing the system. Ivey Publishing. You should consider organizing your report as follows: · introduction (Brief summary of the case – not more than 150 words) · company background (based on data in the case and from the company’s website; not more than 150 words) · issue (based on discussion questions provided – Please name the sections appropriately) · evaluation of Issues · suggested Alternatives · conclusions · recommendations Other instructions: · Word Limit: 1500 to 1800 words · Should use APA format · Consult your instructor regarding the use of external academic and relevant non-academic references to support your case analysis Introduction: The case is about ‘The Maple Leaf Foods (MLF)’ which created a vision to change and became a sustainable company by focusing on society and the natural environment. The learning objectives of the case are: · To describe how vision can drive change in an organization. · To examine drivers and the need for organizational change. · To examine the challenges and opportunities related to implementing change Suggested Case Questions: 1. Discuss the key internal and external factors that led to the need for organizational change at Maple Leaf Foods. 2. Discuss the significance of organizational vision in guiding the change management efforts at Maple Leaf Foods. 3. Discuss the challenges faced by Maple Leaf Foods when implementing organizational change.
It is really disappoiting you provide me with wrong answer I need answer for MLF company and you gave me another

Answers

I apologize for the confusion. Here's a sample introduction for the Maple Leaf Foods case as per your question:Introduction: The Maple Leaf Foods (MLF) is a company that embarked on a journey of transformation and sustainability with the aim of prioritizing society and the natural environment.

To do so, the company established a vision that would drive change and lead them to become a sustainable company. The main objectives of this case are to describe how vision can drive change in an organization, to analyze the drivers and needs for organizational change, and to examine the opportunities and challenges related to implementing change. In this report, we will discuss the key factors that led to the need for organizational change at Maple Leaf Foods, the significance of organizational vision in guiding the change management efforts, and the challenges faced by the company when implementing organizational change.The company background and the issue will be discussed in the following sections.

To know more about Maple visit:

https://brainly.com/question/32491865

#SPJ11

What do a plane crash, a deserted island, and a volleyball have
to do with organizational change?

Answers

A plane crash, a deserted island, and a volleyball are key themes in the movie Cast Away. This movie provides great insights into organizational change. It tells the story of Chuck Noland, a high-performing FedEx executive who finds himself stranded on a deserted island after a plane crash.

The experience that Chuck goes through on the island is an excellent analogy for how organizational change often works. Chuck is initially thrown off by the dramatic change in his circumstances and struggles to adapt to the new reality. However, as he spends more time on the island, he starts to become more resourceful, innovative, and proactive. He learns to take care of his basic needs, such as finding food and shelter, and becomes more adept at solving problems.

As he begins to develop a routine, he starts to feel a sense of purpose and identity. When he discovers a volleyball washed up on the shore, he even starts to develop a relationship with it, naming it "Wilson." Through his experience on the island, Chuck learns that organizational change is not something that can be accomplished overnight.

It takes time, effort, and persistence to make significant progress. However, by embracing the change and being willing to adapt to new circumstances, it is possible to thrive in new environments and create meaningful change.

To know more about organizational visit :

https://brainly.com/question/28503044

#SPJ11

joint ventures can take several forms, but what is true in each case? joint ventures can take several forms, but what is true in each case? it creates the best job opportunities the companies will lay off several employees the company will seek a partner that can provide complementary strengths the companies will agree on a new name

Answers

In each case, a true statement about joint ventures is that the companies involved will seek a partner that can provide complementary strengths.

Joint ventures are business partnerships between two or more companies that collaborate to achieve a common goal. They can take various forms depending on the objectives and nature of the companies involved. However, one consistent aspect of joint ventures is that the companies will look for a partner who can bring complementary strengths to the table.For example, a technology company might form a joint venture with a manufacturing company to combine their expertise and resources in order to develop and produce a new product. The technology company brings its knowledge and innovation in technology, while the manufacturing company brings its expertise in producing and scaling products. This collaboration allows both companies to leverage each other's strengths and achieve mutual benefits.

In contrast, the other options mentioned in the question are not necessarily true in each case. Joint ventures do not always create the best job opportunities or result in the layoff of several employees. Additionally, joint ventures do not always require the companies to agree on a new name. The decision to change the name of the joint venture is dependent on the specific circumstances and objectives of the partnership.To summarize, when it comes to joint ventures, seeking a partner with complementary strengths is a common characteristic. However, the creation of job opportunities, employee layoffs, and agreeing on a new name are not necessarily true in every case.

To know more about  joint ventures visit:

https://brainly.com/question/30154434

#SPJ11

Mr Ranjit, who is a trader trade with a share portfolio valued at RM1 million, thinks that the
local stock market will nosedive in line with the overall bearish outlook on regional bourses.
This is underpinned by the incessant surge of world oil and food prices which provide trading
opportunities for those who simply wish to take a view on the direction of the local market.
Therefore, Mr Ranjit wishes to protect his investment against any unexpected fall in the share
market. In June, the stock index futures trade at 1182.0. In the same month, he decides to
hedge using September KLCI futures which are trading at 1194.0 Later in September, KLCI
closed at 1159.0.
a. Do you think it is important for Mr Ranjit to protect his investment? Why?
b. Outline an appropriate hedging strategy for Mr Ranjit.
c. Illustrate the outcome of the hedging strategy assuming Mr Ranjit closes out his
position in early September at a price of 1163.0.
d. Comment the outcome of the hedging strategy proposed.
e. How hedger can use the futures market to protect his position in the cash market?

Answers

a. It is crucial for Mr Ranjit to safeguard his investment against any unexpected fall in the stock market.  

b. The most appropriate hedging strategy for Mr Ranjit is to purchase the KLCI futures at 1194.0 in June to cover his current share portfolio value of RM1 million.    

c. Mr Ranjit's profits are as follows:  

Change in Portfolio Value = RM1,000,000 - (1182/100 × RM1,000,000) = RM18,000Profits from futures market = (1194 - 1182) × RM50 = RM600  

Profits from Hedging = RM18,000 + RM600 = RM18,600  

d. The hedging strategy has worked well for Mr Ranjit, as it has reduced the risk of any unexpected decline in the stock market, and he has benefitted from the futures market's profits.  

e. A hedger can use the futures market to protect his position in the cash market by taking the following steps:  

To reduce risk, he buys futures to cover his current position, which provides security to his current holdings.As the futures contracts expire, the position in the futures market is closed, and the hedger profits or losses based on the differential between the spot and futures market rates.

Learn more about stock market.

https://brainly.com/question/33627525

#SPJ11

Last year the imaginary country of Wadiya had a population of 10.6 people worked 8 hours a day, and produced a real GDP of $32,000. The imaginary country of Baklava had a population of 12,8 people worked 6 hours a day, and produced a real GDP of $38,00. Which of the following is correct? Baklava had the higher productivity and higher real GDP per person. Wadiya had the higher productivity while Baklava had the higher real GDP per person. Wadiya had higher productivity and higher real GDP per person. Baklava had the higher productivity while Wadiya had the higher real GDP per person. Assuming no crowding-out, investment-accelerator, or multiplier effects, how will a $100 billion increase in government expenditures shift aggregate demand? It will shift aggregate demand left by more than $100 billion. It will shift aggregate demand right by less than $100 billion. It will shift aggregate demand right by more than $100 billion. It will shift aggregate demand right by $100 billion.

Answers

According to the given scenario,Last year, the imaginary country of Wadiya had a population of 10.6 people worked 8 hours a day, and produced a real GDP of $32,000. The imaginary country of Baklava had a population of 12,8 people worked 6 hours a day, and produced a real GDP of $38,00. Baklava had the higher productivity while Wadiya had the higher real GDP per person.

Therefore, Baklava had the higher productivity while Wadiya had the higher real GDP per person and a $100 billion increase in government expenditures will shift aggregate demand right by less than $100 billion.

To know more about According visit:

https://brainly.com/question/28741211

#SPJ11

In Roche's acqusition of Genentech Case - what are the
horizontal and vertical boundaries of Genentech, what are
Genentech's core capabilities and Genetech's competative
advantage?

Answers

The horizontal boundaries of Genentech refer to the extension of the company within the biotechnology industry.

The company focuses mainly on biotechnology products, which means that its activities are concentrated in one area. On the other hand, the vertical boundaries of Genentech refer to the stage in the value chain in which the company operates. The company operates in several value chain stages, from research and development to commercialization.

Core capabilities of Genentech: The core capabilities of Genentech are the technologies that it developed and owned, which gave the company its competitive advantage. The company has a considerable amount of knowledge about molecular biology and genetics, and it was the first to develop biotechnology products for the pharmaceutical market.

Competitive advantage of Genentech: The competitive advantage of Genentech comes from its core capabilities. The company developed technologies and owned them, which gave the company a unique advantage over its competitors. The company also had the ability to produce high-quality biotechnology products quickly and efficiently, which allowed it to remain competitive in the market.

Learn more about Competitive advantage: https://brainly.com/question/28539808

#SPJ11

The cost-benefit ratio of an IT project is calculated by: dividing the value of cash flows by total project investment dividing the total benefits by the total costs dividing the total project investment by cash flows dividing the total costs by the total benefits

Answers

The cost-benefit ratio of an IT project is calculated by dividing the total benefits by the total costs.

The cost-benefit ratio, also known as the benefit-cost ratio (BCR) or profitability index, is a financial metric used to assess the economic feasibility and attractiveness of an investment or project. It quantifies the relationship between the total benefits expected from the project and the total costs incurred.

To calculate the cost-benefit ratio, the total benefits of the project are divided by the total costs. The total benefits represent the expected positive outcomes, financial gains, or value generated by the project. The total costs encompass all the expenses associated with the project, including initial investment, ongoing operational costs, maintenance, and any other relevant expenses.

To learn more about ratio

https://brainly.com/question/29982132

#SPJ11

when an economy is producing at full employment or the maximum quantity that an economy can produce, it is considered a)real GDP b)nominal GDP c)potential GDP d)aggregate GDP

Answers

When an economy is producing at full employment or the maximum quantity that an economy can produce, it is considered to be at its potential GDP.

Potential GDP (Gross Domestic Product) represents the maximum level of output an economy can produce when all resources are fully utilized, including labor, capital, and technology. It represents the economy's productive capacity under ideal conditions, with full employment and efficient use of resources.

Real GDP and nominal GDP, on the other hand, are measures of the actual output of an economy during a specific period. Real GDP adjusts for inflation and provides a measure of output in constant prices, while nominal GDP does not adjust for inflation and reflects output at current market prices.

Aggregate GDP is not a commonly used term and does not represent a specific concept in economics. It might be confused with aggregate demand or aggregate supply, which relate to the total spending in the economy or the total supply of goods and services, respectively.

Therefore, the correct answer is c) potential GDP.

learn more about potential GDP here:
https://brainly.com/question/31792682

#SPJ11

how specific types of tasks and relations behaviors can be used
effectively?
why change-oriented behaviors are important for effective
leadership
why task and relations behaviors are important for lea

Answers

Leadership is a complex phenomenon that is unique to each individual. However, some specific types of tasks and relations behaviors can be used effectively, while change-oriented behaviors are important for effective leadership. Let's take a look at both of these ideas.

Task behaviors are used to establish what needs to be accomplished and how to achieve it. The task leader is responsible for ensuring that the group is working efficiently and productively towards the goals set by the organization. On the other hand, relational behavior involves supporting and encouraging team members to develop strong relationships with one another. A relationship leader is responsible for providing guidance, feedback, and support to team members to create a positive work environment.Change-oriented behavior is a type of leadership behavior that emphasizes the need for change and innovation. Change-oriented leaders are always seeking to improve the organization's processes, procedures, and structures. They are focused on creating an environment that fosters creativity and innovation.Task and relational behaviors are important for leadership because they help leaders to create a cohesive team that can work effectively towards the organization's goals. Task behavior helps leaders to establish clear expectations for what needs to be accomplished, while relational behavior helps leaders to create a positive work environment that promotes teamwork and collaboration. Change-oriented behaviors are important for leadership because they help leaders to create an environment that fosters creativity and innovation. This type of leadership behavior is particularly important in today's rapidly changing business environment.

To know more about Leadership visit:

https://brainly.com/question/28487636

#SPJ11

Which of the following is not a project document updated as part of implementing risk responses? a) Assumptions log b) Issue log c) Risk register d) Project team assignments

Answers

Project team assignments is not a project document updated as part of implementing risk responses.

Project team assignments are the documents that include the list of the project team members, their roles, responsibilities, skills, and the reporting structure. It is mainly created during the project planning stage.

Project team assignments are not a project document updated as part of implementing risk responses. Rather, it is created at the initial stage of the project planning. The remaining three options are related to risk management and are updated as part of implementing risk responses.

Risk register is an essential project management document that provides an overview of identified risks, their likelihood of occurrence, and the severity of their impact. The risk register is updated with information about the risk responses and their effectiveness. It helps to monitor the risks and provide an early warning of any potential risks that could affect the project.

Assumptions log is a document that includes the project assumptions that are made during the project planning. It is updated as part of implementing risk responses to reflect any changes in the assumptions made earlier. The assumptions log is useful for tracking the assumptions made and managing them appropriately.

Issue log is a project management document that tracks and monitors the issues that arise during the project. It is updated as part of implementing risk responses to reflect the impact of the risk response strategies. The issue log helps to monitor the progress of resolving the issues and provides information on the effectiveness of the risk response strategies.

Learn more about project management: https://brainly.com/question/32990426

#SPJ11

the
amount of valur produced by workers over and above the cost of
their living (including benefits) is_______

Answers

The amount of value produced by workers over and above the cost of their living (including benefits) is called surplus value. This term was developed by Karl Marx to describe the difference between the value that a worker produces and the wages that the worker receives.

The theory behind surplus value is that the capitalist class extracts value from the labor of the working class by paying them less than the value that they produce. This difference between the value of labor and the wages paid to workers is then kept as profit by the capitalist class.This exploitation of labor is seen as one of the fundamental flaws of capitalism, and Marx believed that it would eventually lead to the downfall of the capitalist system.

Surplus value is seen as a key concept in Marxist economic theory, and it is still studied and debated by economists today.In conclusion, the amount of value produced by workers over and above the cost of their living (including benefits) is called surplus value. This concept is important in Marxist economic theory and describes the difference between the value that a worker produces and the wages that the worker receives.

To know more about exploitation visit:

brainly.com/question/15165384

#SPJ11

Required Lump-Sum Payment To complete your last year in business school and then go through law school, you will need $10,000 per year for 4 years, starting next year (that is, you will need to withdraw the first $10,000 one year from today). Your uncle offers to put you through school, and he will deposit in a bank paying 5.5% interest a sum of money that is sufficient to provide the 4 payments of $10,000 each. His deposit will be made today. Do not round intermediate calculations. Round your answers to the nearest cent. If your answer is zero, enter "0". a. How large must the deposit be? $ b. How much will be in the account immediately after you make the first withdrawal? $ How much will be in the account immediately after you make the last withdrawal? $

Answers

a) The amount of money that must be deposited to cover the four $10,000 payments over four years, beginning one year from now, and earn 5.5% interest annually is required to be calculated.

As per the question, the annual payment of $10,000 is to be made for 4 years, thus the present value of four $10,000 payments (1 year from today) is to be calculated.

[tex]PV = PMT x [((1 + r)^n - 1) / r] PV = $10,000 x [((1 + 0.055)^4 - 1) / 0.055] = $37,523.72[/tex]

Therefore, the amount required for a lump-sum deposit today is $37,523.72.b) The account's balance immediately after you make the first withdrawal can be calculated as follows:Present Value of the remaining payments =

[tex]PMT x [((1 + r)^n - 1) / r] x (1 + r) ^ -t[/tex]

Present Value of the remaining payments =

[tex]$10,000 x [((1 + 0.055)^4 - 1) / 0.055] x (1 + 0.055) ^ -1 = $32,298.57[/tex]

The account balance is $32,298.57, immediately after the first withdrawal.Immediately after the last withdrawal, there will be no money left in the account as it would have been completely depleted by that point.

To know more about payment visit:

https://brainly.com/question/32320091

#SPJ11

TQM maximizes customer satisfaction by A. viewing external customers as coworkers B. following the five-step DMAIC process C. involving all employees in efforts to continually improve quality D. employing the external customer mindset E. limiting product defects to 3.4 million or fewer

Answers

TQM maximizes customer satisfaction by involving all employees in efforts to continually improve quality. TQM or Total Quality Management is a management approach that aims to maximize customer satisfaction and improve the overall quality of an organization's products or services. The following are the ways by which TQM maximizes customer satisfaction:

Involving all employees in efforts to continually improve quality:TQM involves all employees in the organization in efforts to continually improve quality. This approach is based on the belief that quality is everyone's responsibility, not just the responsibility of a particular department or group. By involving all employees in quality improvement efforts, TQM maximizes customer satisfaction by ensuring that everyone in the organization is committed to meeting or exceeding customer expectations.

Viewing external customers as coworkers: TQM views external customers as coworkers. This approach recognizes that the relationship between a company and its customers is a partnership, and that both parties have a stake in the success of the relationship. By viewing external customers as coworkers, TQM maximizes customer satisfaction by fostering a sense of collaboration and shared responsibility for quality.

Limiting product defects to 3.4 million or fewer: TQM does not limit product defects to 3.4 million or fewer. This statement is not accurate. Rather, TQM aims to eliminate defects altogether, rather than just limiting them to a certain number. By eliminating defects, TQM maximizes customer satisfaction by ensuring that customers receive high-quality products or services that meet or exceed their expectations.

To know more about management visit :

https://brainly.com/question/32216947

#SPJ11

Suppose you want to enter a forward contract on soybeans, where you agree to buy 10,000 bushels (about 272,000 kg) of soybeans in six months. Suppose it costs $0.50 per bushel (in present value terms) to store soybeans for six months, and suppose that the current market price for soybeans is $12.50 per bushel. Suppose the six-month zero rate is 1.0% per annum with continuous compounding. As a reminder, soybeans are consumed and used in production.
(a) What can you say about the forward price Fo for such a contract? Either give me an exact value, or lower/upper bounds for the price. Express your value(s) per bushel.
(b) Suppose you observe that the market price for such a forward contract is $12.20 per bushel. Is this an arbitrage opportunity? If so, describe the arbitrage strategy. If not, explain why this is not an arbitrage. Either way, keep your explanation short: 2 sentences maximum.

Answers

(a) Forward price for such a contract can be computed as follows: Forward price (Fo)

= Spot price × e^(Rf × T), where Rf is the risk-free rate and T is the time to maturity. Here,Spot price

= $12.50 per bushel, Rf

= 1.0% per annum with continuous compounding,

T = 6/12

= 0.5 (as six months

= 0.5 year)

= $12.50 × e^(0.01 × 0.5)

= $12.5665 (rounded off to four decimal places).The cost of storage is $0.50 per bushel (in present value terms).

= $13.00 per bushel. The lower bound on the forward price is equal to the spot price because the seller can store the soybeans for six months and then deliver them in the forward contract.

Therefore, the lower bound on Fo is $12.50 per bushel. Hence, the bounds on the forward price Fo are:$12.50 ≤ Fo ≤ $13.00 per bushel.(b) Yes, this is an arbitrage opportunity because the market price of $12.20 per bushel is less than the lower bound of $12.50 per bushel computed in part (a). Hence, an arbitrageur can buy soybeans at the current market price of $12.20

= $0.80 per bushel. Therefore, the arbitrage strategy is to buy soybeans at the current market price, store them for six months, and then sell them in the forward market at the lower bound price.

To know more about maturity visit:

https://brainly.com/question/28265519

#SPJ11

) A monopolist faces a potential entry to the market. If the competitor stays out, he gets zero profits and the monopolist gets the monopoly profits 5 . If the competitor enters (which is observed by the monopolist), the monopolist can decide to fight by cutting prices or to acquiesce. A fight leads to negative profits −1 for both firms. Without fight, both firms make positive profits which are smaller than the monopoly profits, namely 2. (a) (10 points) Draw the game tree, and find out two Nash equilibria of this sequential-move game. (b) (5 points) Which of the two equilibria is a subgame perfect equilibrium? (c) (5 points) Why is the other Nash equilibrium not very reasonable?

Answers

Game tree for the above-mentioned game is as follows: Game tree for the Monopolist’s decision The above tree shows that there are two stages to this game.

In the first stage, the monopolist decides whether to fight the new entrant or not. In the second stage, the new entrant decides to enter the market or not. The strategies of the monopolist are denoted by “Fight” and “Don’t fight.” The strategies of the entrant are denoted by “Enter” and “Don’t Enter.”

The payoffs for the strategies are as follows:Fight, Enter – The monopolist gets -1 profit and the entrant gets -1 profit.Fight, Don’t enter – The monopolist gets 5 profits and the entrant gets 0 profit.Don’t Fight, Enter – The monopolist gets 0 profit and the entrant gets 2 profit.

To know more about decision visit:

https://brainly.com/question/31475041

#SPJ11

Explain if you have ever held particularly boring jobs, and then
try to determine how, acting as managers, the respective firms
might have implemented job expansion tactics to help you

Answers

If an employee feels that their job is dull and unstimulating, this may indicate that they are underutilized or that the job lacks career development options. Job expansion tactics may assist in making uninteresting jobs more fulfilling and motivating. It includes redesigning positions to include more varied and complex tasks, such as cross-training, and job rotation to offer workers new learning experiences.

It may also imply the development of a team atmosphere where workers are encouraged to participate in problem-solving and decision-making processes. Companies may provide more engaging work opportunities by introducing job enlargement and job enrichment tactics.

To improve job performance, job enlargement aims to add tasks to a worker's role, while job enrichment involves enhancing the quality of work activities.

To know more about decision-making visit:

https://brainly.com/question/30697303

#SPJ11

BMMB has recently been approached by John Smart and Lydia Job. They are seeking advice with regards to operating a new catering business to trade as Ultimate Catering. They both have over 10 years’ experience in this industry and now want to set up their own business. They intend to rent the premises and employ 3 chefs and 3 kitchen hands.

john would manage the kitchen and Lydia would take care of the administration and bookkeeping duties.

They anticipate that the set-up cost for each shop would be $50,000. They have already won a contract to provide catering services to the local TV station. As seasoned chefs who have made headlines in the industry, they expect the business to be very successful.

John has personal investments worth $500,000 and Lydia has personal investments of $200,000 and a property trust. They want a business structure that is not expensive to set up and that which would enable them to minimise their tax liability whilst protecting their personal assets and investments.

They have a general idea about Trusts, Corporations and Joint Ventures. They want you to research and analyse these options and advise on the best business structure for them.

John and Lydia and other local businesses in the area which to run a soup kitchen once a month at their local community Centre. They want to formalise this and keep it separate from their personal and business activities. Advise them on the best structure to use.

Explain the following business structures and suggest the best structure for your client based on their needs. In your answer, analyse the impact of legal principles and risk implications involved in the suggested business structure.
Trusts
Corporations
Joint Ventures
Suggest the best structure for your client based on their needs and analyse the impact of legal principles and risk implications involved in the suggested business structure.

Answers

It's important to note that the choice of business structure involves legal and risk implications. Establishing a corporation requires compliance with corporate laws, taxation regulations, and ongoing reporting.

Rusts: A trust is a legal entity created to hold and manage assets on behalf of beneficiaries. It involves transferring assets to a trustee who has a fiduciary duty to manage and distribute them according to the terms of the trust. Trusts can provide asset protection, flexibility in tax planning, and privacy. However, they require formal establishment, administration, and ongoing compliance.

Corporations: A corporation is a separate legal entity from its owners, known as shareholders. It offers limited liability protection, meaning that the shareholders' personal assets are generally protected from business liabilities.

Corporations have a more complex structure, requiring formal incorporation, adherence to corporate governance rules, and compliance with various regulations. They can raise capital through the issuance of shares and have perpetual existence.

Joint Ventures: A joint venture involves two or more parties coming together to pursue a specific business opportunity or project. Each party contributes resources, shares profits, and bears risks. Joint ventures can be structured through a contractual agreement or by establishing a separate legal entity. They allow for collaboration and risk-sharing but require clear agreements and management of the relationship between the parties.

Based on John and Lydia's needs, the best business structure for them would likely be a corporation. As they seek to protect their personal assets and investments, a corporation offers limited liability, separating their personal finances from the business. With their anticipation of success and potential expansion, a corporate structure provides a more scalable and enduring framework. They can issue shares to raise capital, establish clear roles and responsibilities, and ensure compliance with legal and regulatory requirements.

However, it's important to note that the choice of business structure involves legal and risk implications. Establishing a corporation requires compliance with corporate laws, taxation regulations, and ongoing reporting.

They would need to consider factors such as taxation, governance, shareholder agreements, and liability exposure. Consulting with legal and financial professionals would be crucial to ensure a thorough analysis of the legal principles and risk implications associated with the chosen business structure.

Learn more about business from the given link!

https://brainly.com/question/14997249

#SPJ11

Which of the following statements is true? Profits provide assurance that cash flow will be sufficient to maintain solvency. The cash flows generated in a given time period are equal to the profits reported. As long as they are profitable, companies should always seek to maximize sales growth. None of the options are correct

Answers

Of the statements presented, none of them are entirely accurate. A company's cash flow cannot be guaranteed by its profits alone.

So, neither the first nor the second options are correct. When it comes to the third option, it is not entirely correct as well. A business can increase sales but at the same time, reduce profitability, resulting in financial difficulties.To increase the profitability of the company, several measures can be taken such as increasing productivity, reducing operating costs, and introducing new products or services.

The company must ensure that the balance between profitability and sales growth is maintained.Therefore, none of the options are entirely true.

To know more about accuratevisit:

https://brainly.com/question/30350489

SPJ11

a(n) ______ assessment measures the direct value of tangible assets.

Answers

A tangible asset assessment measures the direct value of tangible assets.

Tangible assets are physical assets that can be seen, touched, or quantified. Examples of tangible assets include buildings, land, machinery, equipment, vehicles, inventory, and cash. These assets have a physical form and can be assigned a monetary value.

A tangible asset assessment involves determining the fair market value or book value of these assets. Fair market value refers to the price at which an asset would sell in an open and competitive market, while book value represents the value of an asset as recorded in the company's accounting books.

The assessment of tangible assets is important for various purposes, including financial reporting, insurance purposes, investment decisions, mergers and acquisitions, and tax calculations. It provides insights into the value and worth of a company's physical resources, which can impact its overall financial position and strategic decision-making.

Appraisal methods, such as cost approach, market approach, or income approach, may be used in the assessment of tangible assets, depending on the nature of the assets and the specific context in which the assessment is conducted.

To learn more about, tangible assets, click here, https://brainly.com/question/14826727

#SPJ11

: Agricultural finance is unique because: farmers dre quite often price takers instead of price setters farmers are usually asset rich and cash poor farming income can be cyclical and volatile all of the above

Answers

Agricultural finance is unique because farmers are quite often price takers instead of price setters, farmers are usually asset-rich and cash-poor, and farming income can be cyclical and volatile.

All of these aspects contribute to making agricultural finance different from other types of financing.Agricultural finance is unique in several ways. The first way is that farmers are quite often price takers instead of price setters.

This means that farmers do not always have control over the prices they receive for their products. Instead, they are often at the mercy of market forces and other factors beyond their control. This can make it challenging for farmers to plan for the future or make long-term investments.

The second way that agricultural finance is unique is that farmers are usually asset-rich and cash-poor. This means that while farmers may own a lot of land and other assets, they often do not have a lot of cash on hand. This can make it difficult for them to secure financing for new projects or investments, as traditional lenders may be hesitant to lend to borrowers with limited cash reserves.

The final way that agricultural finance is unique is that farming income can be cyclical and volatile. This means that farmers may experience periods of high profits followed by periods of low or even negative profits.

This can make it difficult for farmers to plan for the future or make long-term investments, as they may not know when their next profitable year will be.Overall, these factors make agricultural finance different from other types of financing. While there are many challenges associated with financing agriculture, there are also many opportunities for lenders and other financial institutions to help farmers succeed.

To know more about finance visit:

https://brainly.com/question/30502952

#SPJ11

QS 5-18 Markups LO6 Assume it costs a manufacturer $80 to produce a pair of sunglasses. The manufacturer sells the sunglasses to a fashion designer for $100. The fashion designer puts its brand name on the sunglasses and sells them to optical retail stores for $160. The optical retail stores then sell the sunglasses to the end customers at $320. Required 1. What is the markup percentage between the following: a. Manufacturer and fashion designer? b. Fashion designer and optical retail store? c. Optical retail store and end customer? 2. What is the total markup from the manufacturer to the end customer?

Answers

Manufacturer and fashion designer The cost of the sunglasses to the manufacturer is $80 and the selling price to the fashion designer is $100. The markup is $100 - $80 = $20 Markup percentage = (Markup / Cost price) × 100% = (20 / 80) × 100% = 25% Markup percentage between the manufacturer and the fashion designer is 25%.b) Fashion designer and optical retail store The selling price of the sunglasses by the fashion designer is $160 and the selling price of the sunglasses by the optical retail store is $320.

The markup is $320 - $160 = $160Markup percentage = (Markup / Cost price) × 100% = (160 / 160) × 100% = 100%Markup percentage between the fashion designer and the optical retail store is 100%.c) Optical retail store and end customer The selling price of the sunglasses by the optical retail store is $320 and the selling price of the sunglasses to the end customer is $320.

The markup is $320 - $160 = $160 Markup percentage = (Markup / Cost price) × 100% = (160 / 320) × 100% = 50%Markup percentage between the optical retail store and the end customer is 50%.2.

Total markup from the manufacturer to the end customer Markup percentage between the manufacturer and fashion designer = 25%Markup percentage between the fashion designer and optical retail store = 100% Markup percentage between the optical retail store and end customer = 50% Markup percentage from the manufacturer to the end customer = (25% + 100% + 50%) = 175%.

Therefore, total markup from the manufacturer to the end customer = (Markup percentage / 100) × Cost price= (175 / 100) × $80 = $140Hence, the total markup from the manufacturer to the end customer is $140.

To know more about manufacturer visit:

https://brainly.com/question/33621434

#SPJ11

you earn $30,000 per year, and the federal tax rate is 10 percent. your net income is (5 points)

Answers

The federal tax rate for an individual is 10% on $30,000 annual income. Let us calculate the net income. We can find the tax amount by multiplying the tax rate by the income amount.

The tax amount will be[tex]$30,000 x 10/100 = $3,000[/tex]. Now, we can find the net income by subtracting the tax amount from the annual income. Hence, the net income will be [tex]$30,000 - $3,000 = $27,000[/tex].The net income is the amount of money that a person receives after the taxes are deducted from their gross pay.

It is calculated by subtracting the taxes, including federal, state, and local taxes, and any other deductions from the gross pay. In this case, the gross pay is $30,000, and the federal tax rate is 10%. The net income is $27,000.The formula for calculating the net income is:[tex]Net Income = Gross Pay - (Taxes + Deductions)[/tex]

To know more about federal visit:

https://brainly.com/question/1951874

#SPJ11

1. List 6 different styles in which food can be cooked? 2. What is the difference between shallow frying and deep frying? 3. What do you mean be sauteeing food? 4. Define stirfrying of food. 5. What is braising of meats? 6. What is the difference between boiling and steaming of food?

Answers

1. The six different styles in which food can be cooked are:

a. Boiling: Cooking food in a liquid at a high temperature.

b. Frying: Cooking food in hot oil or fat.

c. Baking: Cooking food in an oven using dry heat.

d. Roasting: Cooking food in an oven using dry heat, often with added fat.

e. Grilling: Cooking food over an open flame or hot coals.

f. Steaming: Cooking food by using steam heat.

2. The main difference between shallow frying and deep frying is the amount of oil used. Shallow frying involves cooking food in a small amount of oil, just enough to cover the bottom of the pan. Deep frying, on the other hand, requires submerging the food completely in a large amount of hot oil.

3. Sauteeing food refers to the cooking technique of quickly frying food in a small amount of oil or fat over high heat. The food is often tossed or stirred constantly to ensure even cooking.

4. Stir frying is a cooking technique where food is cooked quickly in a small amount of oil or fat over high heat. It involves stirring the ingredients constantly to ensure even cooking and to prevent burning. The food is usually cut into small, uniform pieces to facilitate quick cooking.

5. Braising is a cooking method that involves searing meat on high heat and then simmering it slowly in a liquid, such as broth or wine, at a lower temperature. This method helps tenderize tougher cuts of meat and infuses them with flavor.

6. The difference between boiling and steaming of food lies in the cooking method. Boiling involves submerging food in hot water and cooking it at a high temperature. Steaming, on the other hand, involves cooking food by exposing it to steam. The food is usually placed in a steamer basket or a perforated container above boiling water, allowing the steam to cook it. Steaming is a gentler cooking method that helps retain the nutrients and flavors in the food.

To know more about food visit:

https://brainly.com/question/32109606

#SPJ11

A change in regulations means that fewer factory workers can perform a certain task. New machinery is being offered to factories that can, in some instances, perform the task without workers. Which of the following pairs represents the new wage and new quantity of factory workers?
1. Wage increase, quantity increase
2. Indeterminate wage change, quantity decrease
3. Wage decrease, quantity decrease
4. Wage decrease, indeterminate quantity change

Answers

A change in regulations means that fewer factory workers can perform a certain task. New machinery is being offered to factories that can, in some instances, perform the task without workers.

If we have to choose which pair represents the new wage and new quantity of factory workers, then the answer would be option 4, wage decrease, indeterminate quantity change. Why?

In the given scenario, the new machinery is being offered to the factories, which means the productivity of the workers will decrease because their work is being replaced by machines.

Hence, the demand for the workers will decrease, which will result in the decrease of wage, hence the first part of the answer is "Wage Decrease".

Now, we don't know exactly how much the quantity of the workers will decrease because that is subjective and depends on the factory's efficiency, capacity, and resources.  we can conclude that the quantity of workers will have an indeterminate change, hence the second part of the answer is "In determinate quantity change".

So, the new wage and quantity of factory workers are Wage decrease and indeterminate quantity change.

To know more about regulations visit :

https://brainly.com/question/30695404

#SPJ11

CHANG Corp. has 10-year bonds outstanding that pay a coupon of 9 percent. Assume that these bonds are priced at $890 and coupon payments are made semiannually.
What is the current yield on these bonds?
Group of answer choices
4.50%
9.00%
10.29%
10.11%
10.59%
PreviousNext

Answers

The current yield on the bond is the coupon payment divided by the price of the bond. Here, CHANG Corp. has 10-year bonds outstanding that pay a coupon of 9 percent.

Assume that these bonds are priced at 890 and coupon payments are made semiannually. We need to calculate the current yield on these bonds as follows.

Calculating the annual coupon payment

Annual coupon payment = Coupon rate * Face value of bond

Annual coupon payment = 9% * 1000

Annual coupon payment = 90

Calculating the price of the bond in semiannual installments

Number of semiannual payments = 10 years * 2 semiannual payments per year

Calculate the semiannual coupon payment by dividing the annual coupon payment by 2. In this case, it is $90 / 2 = $45.

Determine the semiannual interest rate by dividing the annual interest rate by 2. For example, if the annual interest rate is 9%, the semiannual interest rate would be 4.5%.

Calculate the present value factor using the formula: Present value factor (n,i%) = 1 - [1 / (1+i%[tex])^n][/tex], where n is the number of semiannual periods and i% is the semiannual interest rate.

Compute the present value of each semiannual coupon payment by multiplying the semiannual coupon payment by the present value factor for the respective number of semiannual periods.

Calculate the present value of the face value of the bond using the same present value factor formula.

Determine the price of the bond by summing the present value of the semiannual coupon payments and the present value of the face value of the bond.

Calculate the current yield on the bonds by dividing the annual coupon payment by the price of the bond.

Convert the current yield into a percentage to obtain the correct option.

Therefore, the sorted paragraph, based on the Brainly platform, would be as follows:

Number of semiannual payments = 20.

Semiannual coupon payment = Annual coupon payment / 2.

Semiannual coupon payment = $90 / 2 = $45.

Semiannual interest rate = 9% / 2 = 4.5%.

Calculate the present value factor (n,i%) using the formula: Present value factor (n,i%) = 1 - [1 / (1+i%)^n].

Calculate the present value of each semiannual coupon payment using the formula: Semiannual coupon payment * Present value factor (n,i%).

Calculate the present value of the face value of the bond using the formula: Face value of bond * Present value factor (n,i%).

Calculate the price of the bond by summing the present value of the semiannual coupon payments and the present value of the face value of the bond.

Calculate the current yield on the bonds by dividing the annual coupon payment by the price of the bond.

Convert the current yield into a percentage to obtain the correct option, which is (E) 10.59%.

To know more about coupon visit:

https://brainly.com/question/32114615

#SPJ11

Which of the following would most likely cause a country's production possibilities set to shift outward at every point along the frontier?
A) a decrease in idle capital
B) a decrease in unemployment
C) a technological advance in only one sector of the economy
D) a general technological advance that affects all sectors of the economy
E) none of the above

Answers

The most likely scenario to cause an outward shift at every point along the frontier is a general technological advance that affects all sectors of the economy.The correct answer is option D.

A general technological advance that impacts all sectors of the economy would lead to an outward shift of a country's production possibilities set at every point along the frontier.

This is because a technological advance enhances the overall productivity and efficiency of the economy, allowing for the production of more goods and services with the same amount of resources.

With technological progress, countries can develop new and improved methods of production, introduce innovative machinery and equipment, or enhance organizational processes.

These advancements increase the capacity to produce output in all sectors, leading to an expansion of the production possibilities set.

On the other hand, options A and B, a decrease in idle capital or a decrease in unemployment, may improve the utilization of existing resources but do not necessarily lead to an outward shift of the production possibilities set at every point along the frontier.

Option C, a technological advance in only one sector of the economy, would result in an outward shift of the production possibilities set in that specific sector, but not necessarily in other sectors.

For more such questions economy,Click on

https://brainly.com/question/28210218

#SPJ8

Consider the following information of Stars Ltd. corresponding to the accounting year 2021: - There was an increase in inventories of £12,800. - Trade receivables decreased in £6,000. - Tax paid during the year amounts to £5,100. - There were not non-current assets disposals during the year. - Depreciation expense equals £3,000. - Operating profit equals £8,200. Considering the previous information, the net cash flow from operating activities (using the indirect method) equals to: a. −£700 b. −£6,700 c. £12,900 d. None of the answers is true.

Answers

The net cash flow from operating activities (using the indirect method) equals £12,900.Operating cash flow (OCF) is calculated by adding depreciation and amortization to the operating income, then subtracting changes in working capital. The indirect method of presenting the statement of cash flows is based on the changes in balance sheet accounts. In this case, the information provided is used to calculate the cash flows using the indirect method.

The increase in inventories, £12,800, reflects an outflow of cash (use of cash) since more inventory is being purchased. This figure will, therefore, be subtracted in the cash flow statement. This means that the trade receivables decrease of £6,000 is added to the statement since the receivables represent an inflow of cash. The tax paid of £5,100 will also be subtracted since it represents an outflow of cash. Depreciation expense is added to the cash flow statement as it represents a non-cash expense. There were no non-current assets disposals during the year, which means that there will be no gain or loss in the cash flow statement as a result of such activity.

Therefore, operating profit equals £8,200.

Using the formula, net cash flow from operating activities= Operating profit + Depreciation Expense - Decrease in Trade Receivables + Increase in Inventories - Tax Paid= 8200 + 3000 + 6000 + (-12800) - 5100= £12,900

The net cash flow from operating activities (using the indirect method) is £12,900.

To know more about operating income visit:

https://brainly.com/question/31421166

#SPJ11

A large electricity provider faces the following (normalised) demand: D(p)=p −c
where c>1. We can interpret the previous relationship as follows: for a given price p, the electricity provider will sell q=D(p) units of electricity to the market. The supply of electricity verifies the following relationship, p=ae bq
, where p is the price to supply quantity q and (a,b) are positive parameters. (a) Calculate the price elasticity of demand. By what percentage would demand for electricity change if prices were to increase by 30% ? (b) Show that demand is an invertible function. Invert the function in order to derive the price p as a function of the quantity q. c) Represent schematically the demand and supply functions in the plan (q,p) and represent the equilibrium price p ∗
and quantity q ∗
. d) Derive expressions for the consumer and producer surpluses as a function of parameters and of equilibrium price p ∗
and quantity q ∗
. Represent them in the graph drawn in part c of this question. e) Suppose that there was a shock to supply and a increases. Explain what would happen to consumer and producer surpluses.

Answers

A shock to supply (an increase in a) would cause the equilibrium quantity to increase and the equilibrium price to decrease.

a)Price elasticity of demand is calculated as the percentage change in demand, divided by the percentage change in price.

Therefore, the price elasticity of demand in this case can be calculated as:

[tex]PED= (dq/q) / (dp/p)PED = (dq/dp) * (p/q)[/tex]

However, [tex]dq/dp[/tex] is simply the inverse of the derivative of the demand function:

[tex]D'(p) = 1, therefore PED = p/q.[/tex]

To determine the percentage change in demand for a 30% increase in price, we can use the following formula:

[tex]Percentage change in demand = (PED) * (Percentage change in price)[/tex]

[tex]Percentage change in demand = (p/q) * (30%)[/tex]

[tex]Percentage change in demand = (p/(p-c)) * (30%)[/tex]

[tex]Percentage change in demand = (30*p) / (p-c)[/tex]

Therefore, the percentage change in demand would be

[tex](30*p) / (p-c).b)[/tex]

Demand is invertible if it is a strictly decreasing function.

This is because a function has an inverse only if it is one-to-one (injective).

Therefore, we must show that [tex]D'(p) < 0[/tex] for all p.

[tex]D'(p) = 1 > 0[/tex] for all p, hence demand is not invertible.

However, we can still derive p(q) by rearranging the demand equation:

[tex]p(q) = D^(-1)(q) = q + c.c)[/tex]

The equilibrium occurs where demand equals supply.

Therefore, we can set

[tex]D(p) = p = aeq+bq to get q* = a/(b+1)[/tex], and hence [tex]p* = aeq* = ab/(b+1).d)[/tex]

Consumer surplus is the area between the demand curve and the equilibrium price, up to the quantity q*.

Thus, [tex]CS = ∫0^q* D(p)dp - p*D(p*)[/tex]

Producer surplus is the area between the equilibrium price and the supply curve, up to the quantity q*.

Thus, [tex]PS = p*S(q*) - ∫0^q* S(q)dq[/tex]

Substituting the expressions for D and S into these formulae, and using the expressions derived for p* and q*, we get:

[tex]CS = (ab - c)q*/2 = (ab - c)a/(2b+2)PS = (c/b)q* - (c^2)/(2b^2) = (ac/(b+1)) - (c^2)/(2b^2)e)[/tex]

A shock to supply (an increase in a) would cause the equilibrium quantity to increase and the equilibrium price to decrease.

The consumer surplus would increase due to the lower price, and the producer surplus would decrease due to the lower price.

To know more about equilibrium quantity visit:

https://brainly.com/question/13501330

#SPJ11

Other Questions
Many indigenous North American religions emphasize the interrelationship of all things. True False Ashley and Rod cleaned the house in 4 hours. Rod can clean the houre alone in 2 hours how long will it take for ashley to clean the house alone? Lab: Your task in this lab is to change the group ownership of the /hr/personnel file from hr to mgmt1.Use the ls -l command to verify the ownership changes.(Type the commands) 8%$10 par preferred stock, 10,000 authorized and issued $5 par common stock, 10,000 shares authorized, 4,000 shares issued $100,000 Paid-in-capital in excess of par: Common stock $8,000,000 Given the above partial stockholder's equity section, what was the price received per share of common stock assuming it was sold in a single purchase? Multiple Choice $2 Multiple Choice $2 $7 $15 $5 What is the functionality of analogWrite()?Write an example sketch to show the functionality briefly. This question is related to the differential equation y +7y=8t with the initial condition y(0)=6. The following questions deal with calculating the Laplace transforms of the functions involving the solution of equation (1). Find the Laplace transform L{y(t)t 7 } which is the transform of the convolution of y(t) and t 7. John sets up a frequency distribution with the following classes using limit grouping: What is wrong with these classes? Describe two ways the classes could have been correctly depicted. Stored Procedures: (Choose all correct answers) allow us to embed complex program logic allow us to handle exceptions better allow us to handle user inputs better allow us to have multiple execution paths based on user input none of these during the advanced stages of cystic fibrosis, the anatomic alterations cause the patient to have: A beam of blue light causes photoelectrons to be emitted from a photoemissive surface. An increase in the intensity of the blue light will cause an increase in the__. Discuss and rank the top three changes in the product realization process due to outsourcing. Select an industry (communications, industrial, and regulated such as medical/military and consumer) or discuss in general. Please give the reasons for your selections and ranking of the changes in the realization process Digital media typically accessed via computers, smartphones, or other Internet-based devices is referred to as __________ media. A baseball is traveling in a direction 45^ above the horizontal while heading southeast at 90 miles per hour. Find the components of the velocity of the baseball in each direction: north, east and vertically. Please use the "standard" convention that the positive x direction is East, the positive y direction is North, and the positive z direction is up. Cos(x), where x is in radians, can be defined by the following infinite series: cos(x)= n=0[infinity](2n)!(1) nx 2n=1 2!x 2+ 4!x 4 6!x 6+ 8!x 8+ Carry your answers for parts a,b, and c below to six decimal places. x= 4a) What is the value of cos(/4) if the series is carried to three terms? b) What is the value of cos(/4) if the series is carried to four terms? c) What is the approximate absolute error, E A, for your estimation of cos(/4) ? d) What is the approximate relative error, A, for your estimation, as a percentage? Carry this answer to 3 significant figures. 3.14 The velocity of a flow may be measured using a manometer, a pitot-static tube, and the following formula: V= rho2hwhere is the specific weight of the manometer fluid, h is the differential height in the manometer legs, and rho is the density of the flowing fluid. Given =57.00.15lb/ft 3,h=0.150.01ft, and rho=0.00238 0.0001slug/ft 3, determine the speed of the flow and its uncertainty. Perform both exact and approximate analyses and present your answers in absolute and relative form. hen people anticipate potential stressors and act in advance to either prevent them or reduce their impact, it is known as Problem-focused coping. Proactive coping Problematic coping. Appraisal focused coping. Emotional approach coping. Coping with stress is most efficient if individuals use emotion-focused strategies use proactive strategies use problem-focused strategies shift between coping strategies to meet the demands of a situation np means a number n to a power p. Write a function in Java called power which takes two arguments, a double value and an int value and returns the result as double value ....Human Population GrowthObjectives: Create a graph of human population growth and use it to predict future growth and identify factorsthat affect population growth,Year1650175018501925195619661970197619801991200020042012Number of People (in billions).60.701.02.02.53.33.64.04.45.56.06.57,5Instructions for creating your graph:Place time on the horizontal axis. Values should range from 1650 to 2050.Place number of people on the vertical access. Values should range from 0 to 15 billion.Make sure that your graph is a full page in size and you have the correct labels for the X and Y axisCreate a title for your graph.ARARIORATPARIRATUREMA MAnalysis (use your graph to answer the following):1. It took 1649 years for the world population to double, going from .25 billion people to .50 billion people.How long did it take for the population to double once again?A third time?2. How long did it take for the population to double a second time?,3. Use a different color to extend your graph to the year 2015,In what year will the population reach 10 billion?1. Based on your graph, how many years will it take for the population of 2000 to double?The graph illustrates exponential growth. Based on the properties of this graph, what does this term mean? high-frequency soundwaves (ultrasound) are used to produce an image a small ferry boat is 4.00 m wide and 6.00 m long. when a loaded truck pulls onto it, the boat sinks an additional 3.83 cm into the river. what is the weight of the truck? You have to create a game namely rock, paper, scissors in the c language without using arrays, structures, and pointers.use stdio.h library and loops statements. please give an explanation of code.1) Both of the players have to type their choice, such as R, S, P. R represents rock, S represents Scissors, P represents paper.2) If the chosen values are not appropriate type (error) and ask to retype the value again, additionally if the values are the same, ask to retype the choice again.3) At the end, the program has to print the winner, and ask them to play a game again by typing (yes/Y) or any other value that means no and the game ends.