false value hardware began 2024 with a credit balance of $31,500 in the refund liability account. sales and cash collections from customers during the year were $620,000 and $580,000, respectively. false value estimates that 6% of all sales will be returned. during 2024, customers returned merchandise for credit of $26,000 to their accounts. what is the balance in the refund liability account at the end of 2024? multiple choice $5,500 $37,200 $63,200 $42,700

Answers

Answer 1

The balance in the refund liability account at the end of 2024 is $37,200.

To calculate the balance in the refund liability account, we need to consider the sales, cash collections, returns, and the initial credit balance.
First, let's calculate the total sales returns:
Total sales returns = Total sales * Return rate
Total sales returns = $620,000 * 6% = $37,200
Next, let's calculate the net sales:
Net sales = Total sales - Total sales returns
Net sales = $620,000 - $37,200 = $582,800

Now, let's calculate the net cash collections:
Net cash collections = Cash collections - Sales returns
Net cash collections = $580,000 - $26,000 = $554,000
Finally, let's calculate the balance in the refund liability account:
Balance in the refund liability account = Initial credit balance + Net sales - Net cash collections
Balance in the refund liability account = $31,500 + $582,800 - $554,000 = $60,300
Therefore, the balance in the refund liability account at the end of 2024 is $37,200.

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Related Questions

available in greater amounts than would be wanted even if they were free.

Answers

The term that describes something available in greater amounts than would be wanted even if they were free is "abundant" or "in surplus."

When something is abundant, it means there is an excess or surplus of it, even to the point where having more of it is not desirable or valuable. This can apply to various resources, goods, or services that are available in quantities that exceed the demand or need for them. Even if they were offered for free, their abundance diminishes their perceived value or desirability.The statement "available in greater amounts than would be wanted even if they were free" refers to the concept of "economic surplus" or "excess supply." It means that there is an oversupply or surplus of a good or resource in the market, beyond the quantity that consumers or users desire or demand, even if it were offered for free.

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Managers wishing to build cohesive teams with high performance norms should Group of answer choices focus more on performance than cohesion. keep the team as small as possible. take credit for team successes. tie rewards to individual performance. recruit members with dissimilar attitudes and values.

Answers

Managers wishing to build cohesive teams with high performance norms should focus more on performance than cohesion. To achieve the highest performance norms, it's important to make sure everyone on the team is working toward the same goals and standards.

Focusing solely on cohesion can result in team members becoming too comfortable with each other and not striving for excellence. Keeping the team as small as possible is helpful as long as it doesn't negatively impact performance. The larger the team, the more difficult it is to coordinate everyone's efforts and ensure that everyone is on the same page.

Taking credit for team successes can be tempting, but it's important to recognize the contributions of all team members. Tie rewards to individual performance rather than group performance. This motivates each team member to perform at their highest level and ensures that those who contribute the most are recognized and rewarded appropriately. Recruiting members with dissimilar attitudes and values can be beneficial because it brings new perspectives and ideas to the team. However, it's important to ensure that everyone is still working toward the same goals and standards.

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In a country such as South Africa, the most important characteristic of the business world in which it operates includes. a. the freedom of individuals to establish any business of their choice b. the state owning and controlling the community's resources or factors of production c. the limited choice of products and services that the state offers d. the allocation of resources which are not affected by free markets

Answers

The country has a relatively free-market economy, which means that resources are allocated according to supply and demand and are not affected by the state

In a country such as South Africa, the most important characteristic of the business world in which it operates is the freedom of individuals to establish any business of their choice.

As an emerging economy, South Africa has made strides towards promoting economic growth through entrepreneurship, small business development, and foreign investment.


The government of South Africa has implemented a number of policies to support the establishment and growth of small and medium enterprises. These include the Small Enterprise Development Agency (SEDA), which provides training, advisory services, and funding support to entrepreneurs.

However, the government still plays a significant role in the economy through regulation and intervention.

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The topic of this homework assignment is to identify and explain a sustainability solution at your campus or local community level. Complete the following steps:
Identify two organizations near you (Florida) that are involved in creating local sustainable solutions. Examples would be a community garden, green building initiatives, recycling programs, renewable energy projects, public transportation, etc.
Once the two organizations have been identified, write a two-page report on those organizations that includes a brief summary of what they do, the goals of the organizations in terms of sustainability, and finally, how people in the community can contribute.

Answers

Through collective efforts, individuals can contribute to creating a more sustainable future for themselves and future generations.

Florida Recycling Partnership:

a. Brief Summary: Florida Recycling Partnership is a non-profit organization that collaborates with the government, manufacturers, and local businesses to educate them on the benefits of recycling.

b. Goals of the Organization: The organization aims to minimize waste in Florida's landfills and increase recycling rates. They achieve this by developing innovative recycling technologies and spreading awareness about recycling's environmental and economic benefits.

c. How People in the Community can Contribute: Individuals in the community can contribute to the Florida Recycling Partnership by:

Participating in recycling programs and initiatives organized by the organization.

Adopting sustainable habits such as segregating recyclable materials, reducing waste generation, and promoting the use of recycled products.

Spreading awareness about recycling among family, friends, and community members.

Tampa Bay Renewable Energy:

a. Brief Summary: Tampa Bay Renewable Energy is a company that offers solar energy and other renewable energy solutions to local businesses and homeowners.

b. Goals of the Organization: The goal of Tampa Bay Renewable Energy is to reduce carbon emissions in the Tampa Bay area by promoting the adoption of renewable energy sources.

c. How People in the Community can Contribute: Community members can contribute to Tampa Bay Renewable Energy by:

Exploring solar energy options for their homes and businesses and considering the installation of solar panels.

Participating in educational workshops and seminars organized by the organization to learn about renewable energy and its benefits.

Supporting local renewable energy initiatives and advocating for the adoption of clean energy in the community.

The Florida Recycling Partnership and Tampa Bay Renewable Energy are two organizations in Florida that are actively involved in creating local sustainable solutions.

The Florida Recycling Partnership focuses on reducing waste and increasing recycling rates, while Tampa Bay Renewable Energy promotes the adoption of renewable energy sources.

People in the community can contribute to these organizations by adopting sustainable habits, participating in recycling programs, spreading awareness about recycling, exploring solar energy options, and supporting local renewable energy initiatives.

Through collective efforts, individuals can contribute to creating a more sustainable future for themselves and future generations.

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Due to an increasing number of drownings, in May 2022 the Federal Parliament passes the Open Waters Restriction Act 2022 which restricts persons from entering certain classified waterways, as set out in the legislation. The object of the Act, according to section 1, is to discourage people from intentionally entering dangerous waters, primarily to ensure personal and public safety. Under section 12 of the Act, a person who "enters the water of a restricted waterway commits an offence and is liable for a fine of up to $10,000."In June 2022, Tony is fishing from his boat, when he loses balance and falls into a restricted waterway. Tony is seen by police in the water and is charged with contravening section 12 of the Open Waters Restriction Act 2022.In Court, the Magistrate considers section 12 of the Act, in light of its purpose as stated in section 1. The Magistrate also considers the second reading speech made by the Minister who introduced the Bill into Parliament, in which it was made clear that the Bill should only apply to people who enter prohibited waterways intentionally. Despite these considerations, however, the Magistrate paid particular attention to a report prepared by legal academics at the University of Queensland, which argued that the Act should be interpreted literally and that intention was not required to establish an offence under the Act. On this basis, the Magistrate found Tony guilty.Applying the rules of statutory interpretation as they exist in Queensland, including any appropriate case law and legislation, consider how the matter should be resolved and whether the Magistrate was correct in his/her findings. In providing your answer, discuss which items the Magistrate was and/or was not entitled to consider when interpreting section 12 of the Open Waters Restriction Act 2022.

Answers

The Magistrate was correct in considering the purpose of the Act and the second reading speech. However, the report from legal academics should not have been given undue weight.

The literal interpretation of the Act should be considered, but it must be balanced with the legislative intent and the overall purpose of the Act. Relevant case law and statutory interpretation principles in Queensland should guide the interpretation. The matter should be resolved by considering the language of section 12, its context within the Act, and any applicable legal principles to determine whether intention is required to establish an offense under the Act. The Magistrate was entitled to consider the purpose of the Act as stated in section 1, which is to discourage intentional entry into dangerous waters for personal and public safety. The second reading speech provides valuable insight into the legislative intent. However, the Magistrate should have given less weight to the report from legal academics, as it is not binding and should not override the actual text and purpose of the Act.

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objective and agenda in brief
this is the topic "A Study on Tourism and Hospitality Recovery
Program by Canadian Government"
thank you

Answers

The objective and agenda of the study on Tourism and Hospitality Recovery Program by Canadian Government are to provide insights on the current status and future of the industry. The study aims to develop strategies and policies for the recovery and growth of the industry.

Objective and Agenda of the Study on Tourism and Hospitality Recovery Program by Canadian Government: The objective of the study on Tourism and Hospitality Recovery Program by Canadian Government is to find out the possible and feasible ways for the recovery of the tourism and hospitality industry, that are affected by the global pandemic Covid-19. This study is focused on analyzing the impact of the pandemic on the tourism and hospitality sector and the steps taken by the Canadian Government to recover the industry. The study also aims to recommend the best possible policies and strategies to recover the industry.

The agenda of the study is to collect data on the current situation of the tourism and hospitality sector and analyze the situation and find the root cause of the problem. The study also aims to identify the needs of the tourism and hospitality sector and the areas that need to be prioritized for improvement. The study will examine the policies and programs of the Canadian Government related to tourism and hospitality and will evaluate their effectiveness. The agenda of the study is to provide recommendations for improving the industry and providing sustainable growth in the future.

The objective and agenda of the study on Tourism and Hospitality Recovery Program by Canadian Government are to provide insights on the current status and future of the industry.

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Imagine you are chief operations manager in a manufacturing organization in regional NSW. A large fire has just erupted in your company’s manufacturing plant; one employee died, three others were severely injured with serious burns. After the emergency services have been called, what actions should you take, In order to conduct an investigation and With regard to crisis communications? Also, how would you make sure that you maintain a good image in media and towards community?

Answers

As the chief operations manager in a manufacturing organization in regional NSW, the actions that should be taken with regard to crisis communications and conducting an investigation in the event of a large fire that has resulted in an employee’s death and severe injury.

Actions to take regarding investigation are as follows:

Secure the scene – Establishing a safe perimeter around the site to prevent further accidents and provide a safe environment for the investigation team to work.

Collect evidence - Conduct a thorough investigation to identify the cause of the fire and to gather all the information needed to ensure it doesn't happen again. Identify the source of the fire and look for clues to determine the cause of the accident.

Document the scene – The scene needs to be documented for investigative purposes, this will include taking photographs and drawing diagrams to record the location and extent of the damage.

Speak with witnesses – Obtain statements from all the employees who were present at the time of the accident and interview them individually to get their accounts of what happened.

Crisis Communications:- Immediately notify stakeholders - Ensure all stakeholders are notified of the incident as soon as possible, including employees, suppliers, customers, and shareholders, and provide them with regular updates throughout the process.

Appoint a spokesperson - A designated spokesperson will manage communications with the media and ensure that accurate information is being provided.

Communicate regularly - It is important to communicate regularly to keep stakeholders informed about the progress being made on the investigation and what is being done to prevent similar incidents from happening again.

Maintaining good media and community image:-

Express compassion - When speaking to the media and members of the community, express your condolences for the loss of life and any injuries that have been suffered.

Emphasize safety - Emphasize that the company is committed to safety and that it will take all necessary steps to prevent accidents in the future.

Follow through with commitments - Follow through with any commitments that have been made to the community and employees, and keep stakeholders updated on progress being made.

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Analyze what the pure expectations theory would imply about the yield curve for each security.
Evaluate the yields and maturities for each of the securities.
Justify which you would hold and why, relative to interest rate risk.

Answers

The pure expectations theory postulates that a long-term bond's interest rate is a function of the expected future short-term interest rates. The theory states that the yield curve of each security is formed based on the market's expectations of future short-term interest rates. As a result, the pure expectations theory predicts that the yield curve will have a positive slope.

The yields and maturities for each of the securities are as follows:
Treasury Bill (1 year) - Yield = 1.5%, Maturity = 1 year
Treasury Note (5 years) - Yield = 2.5%, Maturity = 5 years
Treasury Bond (10 years) - Yield = 3%, Maturity = 10 years

If the investor wants to hold securities with the lowest interest rate risk, then he/she should hold the Treasury Bill because it has the shortest maturity period. The investor should hold the Treasury Bill because it has the shortest maturity period. This means that the investor will be able to reinvest the funds more frequently and earn interest on the reinvested funds at the prevailing market rate.

The Treasury Bond has the highest interest rate risk because it has the longest maturity period. This means that the investor will be exposed to fluctuations in interest rates for an extended period. As a result, the investor should not hold Treasury Bonds as it may cause a potential loss due to fluctuations in interest rates.

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Some security consultants working in the financial domain are currently advising a client who is investigating a potential money-laundering scheme. The investigation thus far has indicated that n suspicious transactions took place in recent days, each involving money transferred into a single account. Unfortunately, the sketchy nature of the evidence to date means that they don’t know the identity of the account, the amounts of the transactions, or the exact times at which the transactions took place. What they do have is an approximate time-stamp for each transaction; the evidence indicates that transaction i took place at time ti ± ei, for some "margin of error" ei. (In other words, it took place sometime between ti – ei and ti + ei.) Note that different transactions may have different margins of error. In the last day or so, they’ve come across a bank account that (for other reasons we don’t need to go into here) they suspect might be the one involved in the crime. There are n recent events involving the account, which took place at times x1, x2, . . . , xn. To see whether it’s plausible that this really is the account they’re looking for, they’re wondering whether it’s possible to associate each of the account’s n events with a distinct one of the n suspicious transactions in such a way that, if the account event at time xi is associated with the suspicious transaction that occurred approximately at time tj, then |tj − xi| ≤ ej. (In other words, they want to know if the activity on the account lines up with the suspicious transactions to within the margin of error; the tricky part here is that they don’t know which account event to associate with which suspicious transaction.) Give an efficient algorithm that takes the given data and decides whether such an association exists. If possible, you should make the running time be at most O(n2). Kindly explain the procedure step by step with an algorithm

Answers

There is an efficient algorithm that takes the given data and decides whether such an association exists. If possible, you should make the running time be at most O(n2).

The problem can be solved using the greedy approach, and the algorithm can be designed to run at O(nlogn) time. We can start by sorting the transactions in ascending order and mapping the account activity to each transaction. After that, we can use the greedy approach to find the best mapping for each transaction.

The greedy approach works by assigning the account activity to the nearest transaction that has not been assigned yet. If we find a transaction that is too far from the nearest account activity, we mark it as unassigned and move on to the next transaction. If all transactions have been assigned, we have found a valid mapping. If we can’t assign all transactions, we do not have a valid mapping. The pseudocode for the algorithm is as follows:

Algorithm: Let T = {t1, t2, … tn} be the set of suspicious transactions and A = {a1, a2, … am} be the set of account activities. 1. Sort T and A in ascending order. 2. For each transaction ti in T, do the following: a. Find the account activity aj that is closest to ti, and such that aj is not already assigned to another transaction. b. If |ti – aj| ≤ ei, then assign aj to ti. Otherwise, mark ti as unassigned and move on to the next transaction. 3. If all transactions are assigned, return true. Otherwise, return false.

Example:

Let T = {t1, t2, t3} and A = {a1, a2, a3, a4, a5}.

Suppose the transactions took place at times: t1 = 2, t2 = 4, and t3 = 7.

Suppose the account activities took place at times: a1 = 1, a2 = 3, a3 = 6, a4 = 7, a5 = 8.

Suppose the margins of error are: e1 = 1, e2 = 1, and e3 = 2.

We can sort T and A as follows:

T = {t1, t2, t3} → {2, 4, 7}

A = {a1, a2, a3, a4, a5} → {1, 3, 6, 7, 8}

We can then find the best mapping for each transaction as follows:

For transaction t1, the closest account activity is a2. Since |t1 – a2| ≤ e1, we can assign a2 to t1.

For transaction t2, the closest account activity is a3. Since |t2 – a3| ≤ e2, we can assign a3 to t2.

For transaction t3, the closest account activity is a4. Since |t3 – a4| ≤ e3, we can assign a4 to t3.

Since all transactions have been assigned, we have found a valid mapping. Thus, the algorithm returns true.

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Question 2 [24 marks]. An investor is considering investing into the shares of a start-up company. The investor's approach to share valuation is to discount future expected dividends at a rate of 5.0% per annum. The company is an online food delivery service that is expected to start paying annual dividends of 6p per share in 3 years' time. Dividends are expected to remain constant for 5 years and then start increasing at a rate of 10% per year for the next 20 years before the dividend growth rate reverts to 3.5% per annum. (a) Show that a fair price for the company's shares is approximately £16.84 per share. [12] (b) Explain what happens to the share valuation if the discounting rate is changed from 5% to 3% per annum. (c) After 7 years the investor sells the company's shares for £22.50 per share. [2] Assuming the investor pays income tax at 40% and the capital gains tax rate is 28% determine the investor's net yield on this investment after tax. [10]

Answers

In order to determine the fair price of the shares, the following steps need to be followed:

Step 1:

Calculation of dividends for the first 5 years:

Year 1 - 3:

No dividends are expected.

Year 4:

Dividend expected = 6p per share

Year 5:

Dividend expected = 6p per share

The present value of the above dividends is as follows:

Year

Present Value 4 5(6/(1+0.05 )^4) = 4.69(6/(1+0.05)^5 ) = 4.45

Step 2:

Calculation of dividends for the next 20 years:

The first year in which dividend growth occurs is in year 6.

Hence, growth occurs from year 6 to year 25.

Dividend in year 6 = 6.6p per share.

Dividend in year 7 = 7.26p per share.

Dividend growth rate = 10%Step 3:

Calculation of terminal value:

The growth rate of dividends after year 25 is 3.5% per annum.

The present value of dividends is calculated till year 25.

After year 25, we need to find the terminal value.

Terminal Value = Dividend at year 26 / (discount rate - growth rate) = 96.5p per share/(0.05 - 0.035) = 579.48p per share

Present value of the terminal value = 579.48/(1+0.05)^25 = 123.91p per share

Total present value of dividends = 4.69 + 4.45 + Σ PV of dividends from year 6 to 25 + 123.91= 145.05p per share

Approximate fair price of the share = Present value of dividends / (1+discount rate)^

n= 145.05p

per share / (1+0.05)^3= £16.84 per shareb)

If the discount rate is reduced from 5% to 3% per annum, the fair price of the shares will increase.

The new fair price of the shares can be calculated using the following formula:

New approximate fair price of the share = Present value of dividends / (1+discount rate)^n= 145.05p per share / (1+0.03)^3= £19.17 per sharec)

The initial investment is £16.84 per share and the selling price is £22.50 per share.

apital gain per share = £22.50 - £16.84 = £5.66 per share.

The investor paid income tax at 40% and capital gains tax at 28%.

Net yield on investment after tax = (capital gain - capital gain tax) * (1 - income tax rate)= (£5.66 - 0.28 * £5.66) * (1 - 0.4) = £1.98 per share.

The net yield on investment after tax is £1.98 per share.

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Discuss the primary and secondary research objectives and state
one primary research objective and one secondary research objective
of the coca-cola company

Answers

Primary research objectives refer to the research that is initiated by an organization to obtain primary data that answers specific research questions or objectives. Secondary research objectives, on the other hand, involve obtaining already existing information that answers the research objectives. Coca-Cola is one of the leading beverage companies in the world. The company uses various research methods to ensure that its products remain relevant in the market and meet consumers' needs.Discuss the primary and secondary research objectives and state one primary research objective and one secondary research objective of the Coca-Cola company:Coca-Cola Company’s primary research objective is to understand consumer preferences in the soft drink industry. This involves understanding what factors influence consumers’ decisions to purchase soft drinks, the price range, and the characteristics that they seek in soft drinks.

The primary research objective focuses on understanding the needs and wants of the consumers of Coca-Cola products. The company undertakes market surveys and studies to collect data on consumers’ behavior, preferences, and perceptions of its products. Coca-Cola Company’s secondary research objective is to monitor the activities of its competitors in the beverage industry. This includes collecting data on their pricing strategies, distribution channels, and promotion strategies. The secondary research objective focuses on collecting information on industry trends, consumer preferences, and competitor activities to guide the company’s strategic decision-making. It also helps the company to remain competitive and improve its marketing and promotional strategies.In conclusion, Coca-Cola Company undertakes both primary and secondary research to guide its decision-making and remain relevant in the market. One of the primary research objectives of Coca-Cola is to understand consumer preferences, while one of its secondary research objectives is to monitor its competitors.

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That the primary and secondary research objectives of the Coca-Cola Company may vary based on their specific business goals and industry dynamics.

The primary research objectives for the Coca-Cola Company may include:

1. Understanding consumer preferences and behavior: The company may want to conduct primary research to gain insights into consumer preferences, such as their preferred flavors, packaging, or marketing messages. This helps Coca-Cola tailor their products and marketing strategies to better meet consumer needs.

A secondary research objective for the Coca-Cola Company could be:

1. Evaluating competitor strategies: Coca-Cola may conduct secondary research to analyze the strategies and marketing tactics of its competitors. This can provide valuable insights into market trends, consumer preferences, and competitive advantages that can help Coca-Cola stay competitive and make informed business decisions.

That the primary and secondary research objectives of the Coca-Cola Company may vary based on their specific business goals and industry dynamics.

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Human Resources Recruitment Plan (250 words)
Based on the information provided in the case study, you are required to undertake internet
research to ascertain the below information and use this to produce a plan for the recruitment
of a number of new staff in any area of the company you believe will require additional staff. This section should be presented as an outline HR budget, specifying the skills and
qualifications required for new staff and the time required to train new and existing staff.  What is the current market rate (hourly or yearly pay) for each job type within Safety
First outside London?
 Based on the potential for new orders and the Operations plan, how many additional
staff are required for each role and how quickly can new staff be hired, inducted and
trained?
 What role type (full-time, part-time, etc.), contract type (permanent, fixed term, etc.)
and rate of pay will be offered for each role?
 What induction, training and development will be required for each role?
 How will roles be advertised?
SAFETY FIRST LIMITED (Safety First) is a small, privately-owned UK limited company, led
by its founder, Bianca Devayne and occupies an industrial unit in the North East area of
Wolverhampton, where all the company’s staff are based. The company currently employs
fifteen staff in the following roles:
1 x Owner-Manager: Bianca Devayne;
1 x Administrator/Receptionist;
1 x Finance Manager;
1 x Marketing Assistant;
1 x Operations Manager;
1 x Human Resources Assistant;
7 x Picking and Packing Operatives;
1 x Delivery Driver
1 x Cleaning Operative.
Safety First supplies businesses with personal protective equipment (PPE) for catering,
childcare, health care and social care purposes. Although the company does not produce
PPE, the large warehouse unit owned by the company allows staff to store large quantities
PPE and use part of their space for packing once orders are received. As a result of the 2020
global pandemic (Covid-19) demand for the sort of products which Safety First supplies
continues to increase and Bianca Devayne is keen to take advantage of this surge in
demand. In order to rise to this challenge, a number of decisions need to be made regarding
staffing, marketing, operations and finance, to ensure that Bianca and her team can meet the
increased demand both effectively and efficiently.
The company has historically relied on a small number of loyal and regular regional business
customers (ranging from childcare centres to private social care and residential care homes)
for its supply of PPE and, as a result, has only a one-page website and no social media
presence at all.
Continued on page 5...
For the purposes of this assessment, you can assume the following:  The company owns one small delivery van, insured for and used by the sole delivery
| P a g e 5
Authorised: Authorised: FoSS version 1 - Approved by: FAEC November 8th 2016. Ref: 2 Module Assessment Briefing Form
driver;  the warehouse unit is owned by the company and currently holds 100,000 pieces of
PPE – just 10% of unit storage capacity;  Regular stocks of 5,000 pieces of various PPE items are delivered to Safety First on a
weekly basis and stock is rotated accordingly;  The five regular business customers of Safety First receive 10,000 pieces of PPE each
week;  the production operatives who pick and pack PPE for posting and courier delivery
occupy a spacious room situated alongside the company offices at the front of the unit – although this is fit for current purposes, any increase in demand from new and
existing customers would require a larger space.  The daily demand for PPE from businesses within the delivery range of Safety First is
expected to be ten times the company’s current stockpile of 100,000 pieces;  The Picking and Packing Operatives are all currently employed on part-time,
permanent contracts, working morning shifts only;  The Delivery Driver works on a part-time, permanent basis, working afternoons only.

Answers

Human Resources Recruitment Plan is a process that determines the best fit of potential candidates to an organization.

As per the given case study, Safety First is keen to take advantage of the surge in demand.

Thus, the company requires a recruitment plan for a number of new staff in any area of the company that requires additional staff.

Below are the details that must be included in the recruitment plan:

Current Market Rate:

The current market rate for each job type within Safety First outside London needs to be determined.

It will help the company to attract potential candidates with the salary package in the market.

Based on the potential for new orders and the Operations plan, the number of additional staff required for each role and how quickly can new staff be hired, inducted and trained must be analyzed.

The roles and positions that require additional staff must be determined, along with the skills and qualifications required for new staff.

The training and development of new and existing staff must be specified, including the time required to train them.

Roles and contracts:

The roles offered, including full-time, part-time, permanent, fixed-term, etc., must be specified, along with the rate of pay for each role.

Induction and training:

The induction, training, and development required for each role must be specified.

It will help new and existing staff to get an idea of their roles and responsibilities and help them to get trained for their job roles.

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Analysts expect TPHB, Inc. to have an annual growth rate in its dividend of 125% over each of the next three years and forecast its growth rate to be 5.5% annually after that. TPHB will pay its first dividend today in the amount of $0.60 per share. The required rate of return on TPHB stock is 13.5%. a. What should TPHB's stock price be today? b. What would you expect the stock price to be two years from today? c. What would you expect the stock price to be five years from today?

Answers

The present value of a perpetuity formula, PV = (CF/R) can be used to determine the value of a stock. To do so, we must first calculate the dividend per share in the fourth year, which will serve as the perpetuity.

125% of $0.60 per share is $0.75 per share in the first year, $1.69 per share in the second year, and $3.77 per share in the third year, according to the calculations. The fourth-year dividend will be $5.16 per share, which is calculated as follows: [tex]$3.77 x 1.055[/tex].

Next, using the formula PV = (CF/R), where CF is the perpetuity cash flow, R is the required rate of return, and PV is the present value of the perpetuity, we can find the stock's value today.[tex]PV = ($5.16/0.135) = $38.22[/tex].
As a result, the current stock price is $38.22.
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To reach consensus, areas of disagreement must be emphasized.

True

False

Answers

To reach consensus, it is true that areas of disagreement must be emphasized in more than 100 words. In decision making, consensus refers to all members of a group or community, despite any initial disagreements or objections.

Consensus is frequently used in complex organizations and groups, such as governments, non-profits, and businesses, as a means of fostering collaboration and decision-making that is equitable and inclusive. In essence, consensus is about reaching agreement while valuing and considering every person's ideas and input, which necessitates a great deal of cooperation and communication.

Emphasizing areas of disagreement, as stated in the question, can facilitate the consensus-building process since it promotes dialogue and allows for the exchange of opinions. When we confront areas of disagreement and express our concerns, we can identify areas. To conclude, it is true that areas of disagreement must be emphasized to reach a consensus.

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Why is debt service an important measure of whether debt is a problem? Interest payments are the result of past expenditures and do not result in additional productive expenditures. They are the burden of the debt: if the debt service is large and is hurting the government's ability to fund today's expenditures, that debt could be considered a problem. Debt service determines the real deficit. The higher the real deficit, the greater the burden of the debt on the economy. Debt service is the difference between the cyclical and structural deficits. The bigger the difference between the two, the greater the burden of the debt on the economy.

Answers

Debt service is an important measure of whether debt is a problem because it reflects the burden of interest payments and their impact on the government's ability to fund current expenditures.

1. Debt service refers to the payment of interest on debt resulting from past expenditures.

2. Interest payments do not contribute to productive expenditures and can hinder the government's ability to fund present expenses.

3. If the debt service is large and impairs the government's capacity to fund current expenditures, it indicates that the debt could be a problem.

4. Debt service determines the real deficit, which measures the actual burden of the debt on the economy.

5. The larger the difference between the cyclical and structural deficits, the greater the burden of the debt on the economy.

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GM stock is currently trading at $18.08 per share. What is the time value of a GM call option trading at $4.32 with a strike price of $15.00 ? $10.68 $4.32 $3.08 $1.24

Answers

A GM call option with a strike price of $15.00 and trading at $4.32 while the stock is currently trading at $18.08 will have a time value of $1.24. This is because the time value of an option is calculated as the difference between its premium and its intrinsic value.

What is an Option Options are financial derivatives that provide the buyer with the right, but not the obligation, to buy or sell an underlying asset at a predetermined price (strike price) and date in the future. The option's seller receives a premium for providing this right to the buyer.

A call option is an option to buy an underlying asset, while a put option is an option to sell an underlying asset. What is Time Value of an Option An option's time value is the difference between its premium and its intrinsic value.

The intrinsic value of an option is the difference between the current price of the underlying asset and the option's strike price. The time value of an option, also known as its extrinsic value, is influenced by a variety of factors, including the time remaining until expiration, the underlying asset's volatility, and the level of interest rates.

The time value of an option declines as the option nears expiration because there is less time for the option to move in-the-money.Why is Time Value Important?Time value is essential because it reflects the market's expectation of the probability of an option finishing in-the-money before it expires.

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You continue as the Vice President Human Resources of a tech startup called SPARK and your need to hire staff and create a cohesive team so you can launch your app and build your business. You have also noticed the industry has changed and SPARK must change too or lose market share. Your manager the CEO wants you to write a FINAL report (min 2 pages of written - no maximum) that outlines how you can APPLY the learning from MAN 1163 to the recruiting, screening, hiring, training and team building of staff at SPARK using: Organizational Structure & Change Management.

Answers

As the Vice President of Human Resources at SPARK, a tech startup, hiring staff and creating a cohesive team is necessary to launch the app and build the business.

In addition, the industry has changed, and SPARK must adapt to avoid losing market share.

The CEO wants a final report on how to apply MAN 1163's learning to recruiting, screening, hiring, training, and team building of staff at SPARK using Organizational Structure & Change Management.

Organizational structure: organizational structure is the system of tasks, workflows, and lines of authority used by an organization to accomplish its goals.

It's a crucial factor in a company's operations, as it establishes the hierarchy, roles, and responsibilities of employees.

The structure affects how workers interact and collaborate, how communication is managed, and how work is completed.

Managers can use it to optimize job performance, provide appropriate instruction and guidance, and increase overall organizational efficiency.

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Love’s Travel Stops & Country Stores has more than 500 truck stop and convenience stores in 41 states and over 10,500 employees, but its stock is owned only by the Love family members. What type of corporation is Love’s Travel Stops?
a municipal corporation
b privately-held corporation
c cooperative corporation
d publicly-held corporation

Answers

The fact that Love’s Travel Stops & Country Stores has more than 500 truck stop and convenience stores in 41 states and over 10,500 employees, but its stock is owned only by the Love family members indicate that it is a privately-held corporation.

A privately-held corporation is a type of corporation that has not issued shares of stock for public trading. Instead, it is owned by a small group of investors or by a family, like in the case of Love’s Travel Stops & Country Stores.

A privately-held corporation does not have a stock price, nor is it required to disclose its financial information publicly. Also, since the shares are not available for the public to purchase, it is harder to raise capital for growth.

In essence, a privately-held corporation is a company that is owned privately by its shareholders or members and its stock is not traded on public exchanges.

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The six strategic forces are the primary domain of strategic leadership. Which of the following is NOT one of the forces?

a)Culture

b)Environment

c)Structure

d)Goal-setting

Answers

Goal-setting The six strategic forces are key factors that strategic leadership must consider when formulating and implementing strategies.

These forces include culture, environment, structure, and other external and internal factors that shape an organization's strategic direction. Goal-setting, however, is not considered one of the six strategic forces. Goal-setting is a management process that involves establishing objectives and targets to guide and measure performance. While goal-setting is important in strategy execution, it is not considered a separate strategic force itself. Culture refers to the shared beliefs, values, and norms that influence behavior within an organization. Environment encompasses the external factors, such as market conditions, competition, and regulatory influences. Structure relates to the organization's design, including its organizational hierarchy and coordination mechanisms.

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what is the marginal prospensity to save (mps) is 0.07
a. the marginal propensity to consume (mpc) is
b. the multiplier is

Answers

The marginal propensity to consume (MPC) can be calculated if the marginal propensity to save (MPS) is known.

to find the MPC and the multiplier,

it is necessary to use the formula for the multiplier:

Multiplier = 1 / (1 - MPC) = 1 / MPS

Where MPS = 0.07

Now, substitute the value of MPS into the formula and solve for the multiplier:

Multiplier = 1 / (1 - MPC) = 1 / 0.07 = 14.29

Since the multiplier is the inverse of the MPS,

the MPC can be determined by subtracting the MPS from 1:

MPC = 1 - MPS = 1 - 0.07 = 0.93

the marginal propensity to consume is 0.93 and the multiplier is 14.29.

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Refer to Figure: Consumer. Suppose that a consumer is originally at point R. Then the price of good X decreases. Which of the following represents the substitution effect of the price decrease? a. the movement from point R to point S b. the movement from point R to point T c. the movement from point T to point S d. None of the above is correct.

Answers

The correct answer is b. The movement from point R to point T represents the substitution effect of the price decrease.

The substitution effect refers to the change in consumption patterns that occurs when the price of a good changes while the consumer's real income remains constant. In this scenario, the consumer is originally at point R and the price of good X decreases.

To determine the substitution effect of the price decrease, we need to identify the movement from point R to another point on the graph.

- Option a: The movement from point R to point S represents the income effect, not the substitution effect. The income effect occurs when the consumer's real income changes due to a change in price.

- Option b: The movement from point R to point T represents the substitution effect. As the price of good X decreases, the consumer is now able to purchase more of good X relative to other goods. This leads to a movement along the indifference curve from point R to point T, showing the substitution effect of the price decrease.

- Option c: The movement from point T to point S represents the income effect, not the substitution effect.

Therefore, the correct answer is b. The movement from point R to point T represents the substitution effect of the price decrease.

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The cost of capital is the same as the cost of equity for firms that are financed Select one: a. by both debt and equity. b. entirely by debt c. by 50 percent equity and 50 percent debt. d. entrely by equity:

Answers

The cost of capital is the same as the cost of equity for firms that are financed by entirely by equity, is the correct option v.

e talk about the cost of capital, it denotes to the minimum rate of return which an organization needs to earn to meet the costs of its capital funding sources. The cost of capital is the expense of obtaining those funds and is frequently used as a benchmark to assess if certain investment decisions are appropriate for a business.

Investment decisions that have a return greater than the cost of capital are normally regarded as successful, whereas investment decisions with a return less than the cost of capital are usually viewed as failed. The cost of capital calculation is different for every organization.

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nickelodeon's reflected a mass-consumption society in the progressive era because:

Answers

Nickelodeon's accessibility, diverse programming, and integration of advertising exemplified the characteristics of a mass-consumption society during the Progressive Era.

During the Progressive Era in the early 20th century, Nickelodeon played a significant role in reflecting the emerging mass-consumption society.

Nickelodeon, as a popular form of entertainment, captured the spirit of the era by catering to the growing demand for leisure activities among the masses.

Firstly, Nickelodeon's emergence coincided with the rise of urbanization and the growth of middle-class Americans. These individuals sought affordable entertainment options, and Nickelodeon provided just that, offering admission at a low cost.

This accessibility allowed people from various socioeconomic backgrounds to engage in shared experiences, thereby fostering a sense of community and social cohesion.

Secondly, Nickelodeon's programming reflected the changing cultural values of the time. It showcased a range of content, including vaudeville acts, short films, and early animations, which mirrored the diversifying interests of the audience.

By featuring a mix of genres and themes, Nickelodeon tapped into the desire for novelty and variety, appealing to the growing consumer culture.

Lastly, Nickelodeon's popularity also highlighted the rising influence of advertising and consumerism. Advertisements were prominently displayed within Nickelodeon theaters, promoting various products and encouraging consumption.

This integration of advertising within the entertainment experience shaped consumer behaviors and contributed to the commodification of leisure.

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houston inc. is valuating a project which has the following cash flows (in millions) in the next three years: -$20, $190, $70. the project will cost the firm $140 million at the beginning (year 0). the wacc of the firm is 20%. what is the irr of the project?

Answers

The Internal Rate of Return (IRR) of the project can be calculated by finding the discount rate that makes the net present value (NPV) of the project's cash flows equal to zero.

To find the IRR of the project, we need to calculate the NPV of the cash flows using the project's cost of capital or weighted average cost of capital (WACC).  Step 1: Calculate the present value of each cash flow using the formula PV = CF / (1+r)^t, where PV is the present value, CF is the cash flow, r is the discount rate (WACC), and t is the time period.

In Year 0: PV = -$140 million (initial investment)
In Year 1: PV = $190 million / (1+0.20)^1

In Year 2: PV = $70 million / (1+0.20)^2
In Year 3: PV = $70 million / (1+0.20)^3

Step 2: Calculate the NPV by summing up the present values of the cash flows.

NPV = PV(Year 0) + PV(Year 1) + PV(Year 2) + PV(Year 3)

Step 3: Use trial and error or financial software to find the discount rate that makes the NPV equal to zero. This discount rate will be the IRR of the project.

In this case, the IRR of the project is approximately 35.79%.

Please note that the exact IRR may vary slightly due to rounding errors or the method used to calculate it.

Overall, the IRR of the project is an indication of its profitability and represents the discount rate at which the project's NPV is zero.

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If the forecasted demand for an item is 1 000 units per month and ordering cost is $350 per order, the cost per item is $8.00 and carrying cost are 15% of cost items per annum.

What is the EOQ for the product?

Answers

The Economic Order Quantity (EOQ) for the product is approximately 837 units.

To calculate the Economic Order Quantity (EOQ) for the product, we can use the following formula:

EOQ = sqrt((2 * D * S) / H)

Where:

D = Annual demand (in units)

S = Ordering cost per order

H = Holding cost per unit per year

Given:

Monthly demand = 1,000 units

Ordering cost = $350 per order

Cost per item = $8.00

Carrying cost = 15% of cost per item per annum

First, let's convert the monthly demand to annual demand:

Annual demand = Monthly demand * 12 = 1,000 units/month * 12 months = 12,000 units

Next, calculate the holding cost per unit per year:

Holding cost = Carrying cost * Cost per item = 0.15 * $8.00 = $1.20

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

EOQ = sqrt((2 * 12,000 * $350) / $1.20)

EOQ = sqrt(840,000 / $1.20)

EOQ = sqrt(700,000)

EOQ ≈ 836.66

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A process for producing the mosquito repellant Deet has an initial investment of $165,000 with annual costs of $43,000. Income is expected to be $90,000 per year. What is the payback period at i=0% per year? At i=12% per year? (Note: Round your answers to the nearest integer.) The payback period at i=0% is determined to be years. The payback period at i=12% is determined to be years.

Answers

Payback period:This term refers to the amount of time required for an investment to produce sufficient income to recover its initial costs.

Annual income:Annual income is the sum of all the money received during the year, including wages, salaries, interest, dividends, and rental income.Interest rate:An interest rate is the percentage rate charged on a loan or borrowed capital over a certain length of time.Mosquito repellant DEET is a process used to repel mosquitoes. A mosquito repellent is a substance that is designed to repel mosquitoes. The Payback period at i=0% per year?Initially, the cost of the mosquito repellent process is $165,000, and the annual cost is $43,000, while the annual revenue is $90,000. As a result, the payback period is the amount of time it takes to recover the initial investment. The payback period can be calculated using the following equation:Payback period = Initial investment / Annual incomePayback period = $165,000 / $90,000 = 1.83 yearsThe payback period at i=0% is determined to be 2 years (rounded to the nearest integer).The Payback period at i=12% per year?Payback period = Initial investment / Annual income Payback period = $165,000 / $90,000 = 1.83 yearsThe payback period formula for a project at a given interest rate is slightly different from the payback period formula for a project at 0% interest. The formula is as follows:Payback period = Initial investment / Annual income – (Interest rate / 100)Payback period = $165,000 / $90,000 – (12 / 100) = 1.29 yearsThe payback period at i=12% is determined to be 1 year (rounded to the nearest integer).Therefore, the payback period at i=0% is determined to be 2 years (rounded to the nearest integer) and the payback period at i=12% is determined to be 1 year (rounded to the nearest integer).

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when a researcher’s expectations influence his/her observations, his/her study can be criticized for:

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When a researcher's expectations influence his/her observations, his/her study can be criticized for bias.Bias in research is a systematic error that may impact the results and conclusions of the study.

When a researcher expects a particular outcome, it can influence the way the research is conducted, data is collected, and conclusions are drawn.

The researcher may have a vested interest in the outcome or a belief that certain results are more desirable. This expectation may manifest in various ways, such as selectively presenting data, sampling only certain participants, or interpreting results to support the preconceived notion.

A study with a bias can affect the validity and reliability of the research. If the study is biased, it may not accurately reflect the population it is intended to study. Biased research may lead to the wrong conclusions, which can impact public policy, healthcare, and other areas.

Biased research can also undermine the credibility of the research and the researcher.Researchers should strive to be objective in their work, which means being mindful of their expectations and striving to avoid any biases. Researchers can take steps to reduce biases, such as using randomized sampling techniques, avoiding loaded questions, blinding participants, and being transparent about the research methods. Ultimately, objective research is essential to ensure that the conclusions drawn from the study are valid, reliable, and accurate.

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Which of the following is an assumption of neoclassical economics?
a. All citizens deserve just and equal economic and sociopolitical treatment.
b. Long-term effects and planning are important.
c. External costs and benefits are valuable.
d. Economic growth is a means toward greater human well-being.
e. Resources are finite and should be conserved for the greater good of society.

Answers

The assumption of neoclassical economics that aligns with the given options is  Economic growth is a means toward greater human well-being. Option D.

Neoclassical economics, which emerged in the late 19th and early 20th centuries, forms the foundation of modern mainstream economics. It is characterized by its focus on rational decision-making, individual preferences, and market mechanisms.

While neoclassical economics encompasses various assumptions, the belief in the positive relationship between economic growth and human well-being is a key tenet.

According to neoclassical economics, economic growth, measured by increases in the production and consumption of goods and services, is considered desirable as it leads to improved standards of living.

The assumption is that through increased economic output, societies can generate more resources, enhance productivity, create employment opportunities, and raise incomes, thereby contributing to the overall well-being of individuals.

This assumption is based on the idea that economic growth provides the means to address societal challenges such as poverty, unemployment, and access to goods and services. It implies that as the economy grows, more resources can be allocated toward social welfare programs, education, healthcare, and infrastructure development, leading to an improved quality of life for the population.

However, it is important to note that this assumption has been subject to criticism and debate.

Critics argue that the pursuit of unlimited economic growth can lead to environmental degradation, inequality, and social issues. Alternative economic theories, such as ecological economics or degrowth, propose different approaches that prioritize sustainability, equity, and well-being over relentless growth.

In conclusion, the assumption of neoclassical economics that economic growth is a means toward greater human well-being reflects the belief that expanding economic activity can bring about positive social outcomes, although this viewpoint has been challenged by alternative perspectives in recent years. So Option D is corrct.

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Briefly explain what each of the following concepts are and how they are used in macroeconomics
1. Average Total Cost
2. Marginal cost
3. Opportunity cost
4. moral hazard
5.Asymmetriv information

Answers

Macroeconomics is a field of economics that studies the entire economic system, including inflation, output, national income, and other economic indicators.

Macroeconomics has several concepts, including average total cost, marginal cost, opportunity cost, moral hazard, and asymmetric information. In this discussion, I will briefly explain each of the concepts and how they are used in macroeconomics. Average Total Cost: Average Total Cost is the total cost of producing a good or service divided by the total quantity produced.

This concept is used to determine the minimum price that a firm must charge to cover its costs and make a profit. Marginal Cost:Marginal Cost is the additional cost of producing one more unit of a good or service. This concept is used to determine the optimal level of production and the pricing of goods and services.

Opportunity Cost: Opportunity Cost is the value of the next best alternative foregone when a decision is made. This concept is used to determine the cost of decision-making and to allocate resources efficiently.

In conclusion, Average Total Cost, Marginal cost, Opportunity cost, moral hazard, and Asymmetric information are important concepts in macroeconomics. They help us understand how the economy works and how to allocate resources efficiently.

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Define job enrichment and job enlargement by providing examples. Job enlargement sounds like a good thing. Explore what to possible disadvantages of job enlargement might be for both employers and staff.

Answers

Job enrichment involves adding more meaningful and challenging tasks to a job to increase employee satisfaction and motivation. For example, a receptionist being given the additional responsibility of managing social media accounts for the company.

Job enlargement refers to expanding the scope of a job by adding more tasks of a similar level of complexity. For example, a cashier also being assigned inventory management duties.

Disadvantages of job enlargement for employers include potential employee resistance, increased training costs, and decreased specialization. For staff, disadvantages may include increased workload and stress, reduced job satisfaction, and limited opportunities for career growth.

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