For Topic 1 you are employed as a Quantity Surveyor, in the Christchurch area who has been asked to provide professional cost services for a new client. The client has commissioned a glamping holiday resort, including a main 4-story building and leisure amenities plus single-level and doublelevel chalets designed across the site. The project is to be built in the far Northland on the west coast of New Zealand (in the allocated site). The client wants to maximise the number of units on the site as well as being Eco Friendly in its construction. They have expressed environmental concerns and the desire to minimise CO2 emissions from the building in both construction and operation. A key in this respect is efficiency in terms of minimising waste in all its forms including materials, wastewater, time and energy, both in construction and in use. The client has an ambitious plan for the site to be operational 1 st September 2023. Task A: (8 marks,450 to 500 words total) Identify and discuss the client's requirements in terms of Time, Cost and Quality. Additional Project Scenario Information: As this is a new venture for the company, they have asked you to provide an indication of the key factors which are likely to affect the design of the new development and so influence the project cost. Task B: (8 marks, 450 to 500 words total) Prepare a Report for the client, highlighting the factors which you consider are likely to have a significant impact on the design solution and thus on project cost. Additional Project Scenario Information: Having considered the design and cost implications, the company have now asked you to provide an early indication of likely project cost before they make a final commitment to the project. Task C: (9 marks, 450 to 500 words total) 1) Explain to the client the single most appropriate cost forecasting method applicable for the project 2) Describe to the client the benefits of using this particular method and the challenges associated with the chosen cost forecasting method. 3) Outline in detail to the client the how you would source cost data to prepare your cost forecast and outline the challenges associated specifically with this project.

Answers

Answer 1

Client's requirements in terms of Time, Cost, and Quality Time: The client has an ambitious plan to make the site operational on 1st September 2023. Hence, the project needs to be completed within the deadline.

Cost: The client wants to minimize CO2 emissions from the building in both construction and operation. The company wants to use eco-friendly materials and practices for the construction to minimize waste and maximize efficiency. The client wants to maximize the number of units on the site.Quality: The client wants the site to be eco-friendly and minimize waste in all forms including materials, wastewater, time, and energy, both in construction and in use.

Hence, choosing the right material is crucial.Labor and Equipment: Availability of skilled labor, equipment, and machinery at the site location plays an important role in determining project costs.Permitting and Regulations: There might be permits and regulations to follow before the construction begins, which can have a significant impact on the project . The most appropriate cost forecasting method applicable for the project is Bottom-up cost . There are challenges associated with this project, like the remote location of the site, which can make material and labor costs more expensive than usual. The site conditions might need more specialized labor and machinery, which can increase costs.

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Related Questions

Your truck has a market value of $60,800. You can sell it to your brother, who agreed to buy it now and pay $77,300 three years from now, or you can sell it to your cousin who agreed to pay you $66,900 at the end of the year. To whom should you sell the truck if your cost of capital is 9 percent? (Round answers to 2 decimal places, e.g. 25.25.)

Answers

He should sell the truck to his cousin who agreed to pay $66,900 at the end of the year as it has more present value.Firstly, you need to find out the Present Value (PV) of both the offers which are given in future values, so we can compare which offer is more profitable for the seller.

Secondly, if the cost of capital is 9%, then the Present Value (PV) can be found using the formula:

PV = FV / (1 + r)ⁿ

Here, FV is Future Value, r is the annual cost of capital rate, and n is the number of years.Let's calculate the present value of both offers:

PV of the offer from the brother:

PV = 77,300 / (1 + 0.09)³PV = 59,376.33

PV of the offer from the cousin:

PV = 66,900 / (1 + 0.09)PV = 61,314.22

So, from the above calculation we can see that PV of the offer from the brother is less than the PV of the offer from the cousin, which means that if the seller sells the truck to his cousin, then he can earn more profit.

Therefore, he should sell the truck to his cousin who agreed to pay $66,900 at the end of the year as it has more present value.

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The graph below shows the production possibilities frontier for an economy that produces soccer balls and sweaters. Use the graph to answer the following question(s).
1.Which of the labeled points are efficient?
2.Which of the labeled points are inefficient?
3.The economy is currently operating at point C. What is the opportunity cost of producing 75 more Soccer ball? (moving to point B)
4.Is the opportunity cost constant, increasing, or decreasing? How do you know?
5.What conditions can lead to economic growth?

Answers

1. The points A, B and C are efficient.2. The points E and F are inefficient.3. The opportunity cost of producing 75 more soccer ball is 75/25 = 3 sweaters. This means that in order to produce 75 more soccer balls, the economy will have to give up the production of 3 sweaters.

4. The opportunity cost is increasing. This can be seen from the fact that as we move along the production possibility frontier, the slope becomes steeper indicating that more and more of one good has to be given up to produce an additional unit of the other good. 5. Economic growth can be caused by the following factors:Improvements in technology and production processes that increase productivityIncrease in the quantity and quality of resourcesExpansion in the labor forceIncrease in investment in physical capital and human capital.

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-Nittany Banking Corporation (NBC) - a US firm - has US$200 million worth of one-year loans in the US, earning an average rate of return of 6 percent. NBC also has one-year Canadian dollar loans of C$110 million, earning 8 percent in Canada. These are NBC's assets. They amount to US$300 million in total (use the spot rate to convert C$ to US$).
NBC's funding source is US$300 million one-year deposits in the US, on which it's paying 4 percent interest. These are NBC's liabilities. They also amount to $300 million in total.
⚫ The spot rate is C$1.10 per US$1. The one-year forward rate is C$1.14 per US$1.
NBC hedges its currency risk fully using forwards.
What is NBC's weighted average return equal to?
6.7%
3.9%
5.4%
8.2%

Answers

Nittany Banking Corporation has $200 million worth of one-year loans in the US, earning an average rate of return of 6%, and $110 million in one-year Canadian dollar loans, earning 8% in Canada. These are NBC's assets, totaling $300 million (converted using the spot rate of C$1.10 per US$1).

NBC's funding source is $300 million one-year deposits in the US, on which it's paying 4% interest. These are NBC's liabilities.

= $12 million$110 million Canadian loan earns an interest of 8% per annum.8% of $110 million

= $8.8 million NBC's total interest income

= $12 million + $8.8 million

= $20.8 million Now, let's calculate the interest NBC pays on its liabilities:$300 million deposits in the US earn an interest of 4% per annum4% of $300 million

= $12 millionThe net interest income for NBC

= Interest income on assets - Interest paid on liabilities

= $20.8 million - $12 million

= $8.8 millionTo calculate the weighted average return, we need to determine the percentage of assets and liabilities denominated in each currency.

= ($200 million / $300 million) x 100%

= 66.67%Canadian dollars

= ($121 million / $300 million) x 100%

= 33.33%NBC's liabilities of $300 million are denominated in US dollars, which is 100% of its liabilities. Therefore, the weighted average return is calculated as follows: Weighted average return

= (US dollar assets % × US dollar asset return) + (Canadian dollar assets % × Canadian dollar asset return) - (US dollar liabilities % × US dollar liability rate)

= (0.6667 × 6%) + (0.3333 × 8%) - (1 × 4%)

= 4.00% + 2.67% - 4.00%

= 2.67%Therefore, NBC's weighted average return is equal to 5.4%.

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which of the following methods is used to determine volumes at which warehousing alternatives is best

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The correct method used to determine volumes at which warehousing alternatives are best is Option a) Factor Rating.

Warehousing alternatives refer to different options for storing and managing inventory within a supply chain or logistics system. Determining the most suitable volume for each warehousing alternative is crucial for efficient operations. Among the provided options, the method used for this purpose is "Factor Rating."

Factor Rating is a quantitative technique that involves assigning scores to different factors or criteria relevant to the evaluation of warehousing alternatives. These factors can include capacity, location, cost, accessibility, security, and other aspects that impact the performance and suitability of a warehouse for a particular volume of goods.

Here's how the Factor Rating method works:

1. Identify relevant factors: Determine the key factors that influence the selection of a warehousing alternative. These factors may vary depending on the specific requirements of the business or industry.

2. Assign weights: Assign weights or importance values to each factor based on their relative significance. These weights reflect the importance of each factor in the decision-making process.

3. Develop a rating scale: Create a rating scale for each factor. This scale typically ranges from 0 to 10, where 0 represents poor performance or suitability, and 10 represents excellent performance or suitability. The scale should be designed to provide a relative assessment of each alternative for a given factor.

4. Evaluate alternatives: Evaluate each warehousing alternative against the defined factors using the rating scale. Assign a score to each alternative for each factor, based on its performance or suitability.

5. Calculate weighted scores: Multiply the scores assigned to each alternative for each factor by the corresponding weights assigned in step 2. Sum up these weighted scores for each alternative.

6. Compare and select: Compare the total weighted scores for each alternative. The alternative with the highest total score is considered the most suitable for the given volume of goods.

By using the Factor Rating method, businesses can systematically evaluate and compare different warehousing alternatives based on multiple factors. This approach helps in identifying the most appropriate option for a specific volume requirement, considering factors such as capacity, cost, location, and other relevant criteria.

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Complete Question

Which of the following methods is used to determine volumes at which warehousing alternatives are best?

a) Factor Rating

b) Center of Gravity calculation

c) Cost Volume Breakeven Analysis (CVBA)

d) Break-bulk justification

Explain the difference between a positive and negative externality.In your analysis, make sure to provide an example of each type ofexternality.Why does the government need to get involved withexternalities to bring about market efficiency?What solutions needto be provided for your examples?

Answers

Externalities are an economic concept referring to a cost or benefit that is not reflected in the prices of goods and services.

Externalities can either be positive or negative.

Positive externality:

A positive externality refers to a benefit that is not reflected in the price of a good or service that is enjoyed by people who do not consume the good or service. Positive externalities are enjoyed by the society, and the producers are not compensated. They are known as spillover benefits.Example: One example of a positive externality is the market for education. The more people who are educated, the greater the overall benefit to society. Government intervention in education is therefore justified to ensure that education levels are high enough.

Negative externality

A negative externality refers to a cost that is not reflected in the price of a good or service that is borne by people who do not consume the good or service. Negative externalities are harmful to society, and the producers are not held accountable. They are known as spillover costs.Example: An example of a negative externality is pollution from factories. If a company produces pollution, it is the environment that bears the cost of the pollution.

Government intervention is required in order to ensure that the cost of the pollution is borne by the company producing the pollution and not by the environment.

One solution to negative externalities is to implement taxes on the companies that produce the pollution. This will increase the cost of production and make it less attractive to produce pollution. Another solution is to use the cap-and-trade system, which puts a cap on the amount of pollution that can be produced and allows companies to trade pollution permits. This will ensure that the amount of pollution produced is limited while also allowing companies to continue to produce.

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Joan, a supervisor at a publishing firm, hires her brother for a post in her company although he lacks the required credentials for the job. Joan is guilty of _____.

(a) pragmatism
(b) cronyism
(c) nepotism
(d) dogmatism

Answers

Joan, a supervisor at a publishing firm, hires her brother for a post in her company although he lacks the required credentials for the job. Joan is guilty of cronyism. The correct option is B

Cronyism refers to the act of granting employment or other advantages to one's acquaintances, often with the idea that these people are not qualified for the job or cannot legitimately earn the position.

Cronyism can be seen in various areas, including politics, where people are given jobs because they are relatives or close friends of politicians or bureaucrats, rather than because of their skills or qualifications.

Cronyism is frequently linked to corruption because it may lead to a situation where the best candidate is passed over in favor of someone with the correct connections, which may harm the company's efficiency or even the organization's reputation.

Cronyism is frequently frowned upon, and policies may be implemented to prevent it in various organizations. Cronyism is distinct from nepotism, which involves granting advantages to family members.

Although the words are similar, cronyism is typically used to describe the act of giving jobs or other advantages to close acquaintances or friends, rather than family members. Cronyism can be harmful to the organization because it promotes inefficiency and could damage the company's reputation.

Therefore, it is important to prevent cronyism by ensuring that job candidates are chosen based on their qualifications rather than their personal relationships.

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Answer:nepotism

Explanation:

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

Answers

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

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

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

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

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

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currently andrews is paying a dividend of $20.00 (per share). if this dividend were raised by $3.64, given its current stock price what would be the dividend yield?

Answers

The dividend yield is calculated by dividing the annual dividend per share by the current stock price, and then multiplying the result by 100 to express it as a percentage.



To find the dividend yield after raising the dividend by $3.64, we need to know the current stock price. Since the question doesn't provide this information, we'll use a hypothetical stock price of $100 for illustration purposes.Calculate the new annual dividend per share:Calculate the dividend yield:Dividend yield = (Annual dividend per share / Current stock price) * 100The dividend yield is a financial ratio that indicates the percentage return an investor would receive from owning a stock based on the dividends paid by the company.



In this scenario, we assume that the current stock price is $100 and the annual dividend per share is $23.64 after the dividend increase of $3.64. Dividing the annual dividend per share by the current stock price gives us the dividend yield, which in this case is 23.64%.Keep in mind that the actual dividend yield will depend on the current stock price, which may vary. Additionally, it's important to note that dividend yield alone should not be the sole factor considered when making investment decisions.

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Baker Industries’ net income is $23000, its interest expense is $6000, and its tax rate is 40%. Its notes payable equals $26000, long-term debt equals $75000, and common equity equals $250000. The firm finances with only debt and common equity, so it has no preferred stock. The data has been collected in the Microsoft Excel Online file below. Open the spreadsheet and perform the required analysis to answer the questions below. Open spreadsheet What are the firm’s ROE and ROIC? Round your answers to two decimal places. Do not round intermediate calculations. ROE fill in the blank 2 % ROIC fill in the blank 3 %

Answers

ROE (Return on Equity) is a measure of a company's profitability in relation to its shareholders' equity.

It indicates how efficiently the company is generating profits from the investment made by its shareholders. To calculate ROE, we divide the net income by the average common equity.

In this case, the net income is given as $23,000, and the common equity is $250,000. Therefore,

ROE = (Net Income / Average Common Equity) * 100

ROE = (23,000 / 250,000) * 100 = 9.2%

he Return on Equity (ROE) for Baker Industries is 9.2%.

ROIC (Return on Invested Capital) is a measure of a company's profitability in relation to all of its invested capital, including both debt and equity. It considers the return generated from all sources of financing. To calculate ROIC, we divide the operating income (net income + interest expense) by the average invested capital.

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

Answers

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

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

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

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

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

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Can i have a brief overview of guyanas agricultural sector and how
its changes over the years

Answers

Guyana is a country in South America that is well-known for its agricultural sector. It is also the largest sugar producer in the region and an important player in the rice, fruit, and vegetable industries. The agricultural sector is one of the country's most important economic drivers, accounting for a significant portion of its GDP.

The agricultural sector in Guyana has seen many changes over the years. In the past, the sector was largely focused on producing commodities such as sugar and rice. However, in recent years, there has been a shift towards more diversified and value-added agriculture. This has been driven by a number of factors, including changing consumer demand, technological advances, and the need to adapt to climate change. Guyana's agricultural sector has also benefited from increased investment in infrastructure and the development of new markets.

For example, the country has established trade agreements with a number of countries, including Canada and the European Union, which has helped to expand its export markets. Additionally, there has been a growing interest in organic and sustainably produced foods, which has led to increased investment in the sector.

This has helped to improve productivity and sustainability in the sector, and has also led to the development of new products and markets. Overall, Guyana's agricultural sector has undergone significant changes in recent years, and is poised to continue growing and evolving in the years to come.

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Risk management forms an integral part of project management, in particular project planning. Proper risk management will lead to revision of the project schedule to ensure that it reflects the most accurate and optimal project management plan. Vulnerability, hazards and risks are all elements that need to be considered when doing project risk management. Risk management ultimately remains the responsibility of the project manager. With reference to this: 1.1 Explain the difference between a risk and a hazard. (10) 1.2 Discuss the role of the project team in project risk management. (15) 1.3 Discuss how risk assessment actions feed into risk mitigation. (15)

Answers

1.1: A risk refers to potential events with uncertain outcomes, while a hazard is a potential source of harm or danger. 1.2: The project team actively participates in project risk management, contributing their expertise and insights to identify, assess, and mitigate risks. 1.3: Risk assessment actions inform the development of risk mitigation strategies and help prioritize and allocate resources to address potential risks.

1.1: A risk refers to the potential for uncertain events or conditions that can have a positive or negative impact on a project's objectives. A hazard, on the other hand, specifically denotes a potential source of harm, danger, or adverse event that can cause loss or damage.

1.2: The project team plays a crucial role in project risk management. They are responsible for identifying and assessing risks, contributing their expertise and insights, proposing risk mitigation strategies, and implementing risk response actions. The team's collective knowledge and experience contribute to a comprehensive understanding of project risks and enable effective risk management throughout the project lifecycle.

1.3: Risk assessment actions involve evaluating the likelihood and potential impact of identified risks, determining their priority, and quantifying their level of risk. The findings from risk assessment inform the development of risk mitigation strategies and actions. Risk mitigation aims to reduce the probability or impact of risks, and the risk assessment results help prioritize and allocate resources to the most critical risks. By implementing appropriate risk mitigation actions, the project team can proactively address potential issues, minimize negative impacts, and increase the likelihood of project success.

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Jasper Auto Inc is going to Invest in a new machine to produce Part A. The cost of the machine is s400,000. Part A will have variable cost per unit of $75.00 and the sales price per unit will be $140.00. Fixed costs will be $80,000. The machine is expected to have a life of eight years. Jasper Auto requires a return of 10% on their investments. Required: Ignoring the effect of taxes, calculate the following. Round all your answers to two decimal points. a. Accounting Break-even quantity (2 marks) b. Cash Break-even quantity ( 2 marks) c. Financial Break-even quantity (4 marks) d. Degree of operating leverage.

Answers

a) Accounting Break-even quantity:Accounting break-even point (ABEP) is the number of units a business must sell to earn zero profit and zero loss. To calculate the Accounting Break-even quantity of Jasper Auto Inc, we use the formula below:

ABEP = Fixed Cost / Contribution Margin per unit Contribution Margin per unit = Sales Price per unit - Variable Cost per unit Contribution Margin per unit = $140 - $75 = $65 Fixed Costs = $80,000ABEP = $80,000 / $65 = 1230.77 ≈ 1231 units

b) Cash Break-even quantityCash Break-even Point (CBEP) is the minimum sales required to cover the company’s variable and fixed costs and earn zero profit and zero loss. To calculate the Cash Break-even quantity of Jasper Auto Inc, we use the formula below:

CBEP = Fixed Costs / (Price per Unit - Variable Cost per unit)CBEP = $80,000 / ($140 - $75) = 1076.92 ≈ 1077 unitsc) Financial Break-even quantity.

The Financial Break-even Point (FBEP) is the quantity of products a business must sell to break even when the cost of capital is included.

To calculate the Financial Break-even quantity of Jasper Auto Inc, we use the formula below:FBEP = (Fixed Costs + (Cost of Capital x Machine Cost)) / (Sales Price per unit - Variable Cost per unit)Cost of Capital = 10% of $400,000 = $40,000FBEP = ($80,000 + ($40,000 x $400,000)) / ($140 - $75) = 13,076.92 ≈ 13,077 unitsd) Degree of operating leverage:

Degree of Operating Leverage (DOL) measures the percentage change in operating income when sales quantity changes by 1%.

To calculate the Degree of Operating Leverage, we use the formula below:

DOL = Contribution Margin / Operating IncomeContribution Margin = $140 - $75 = $65Operating Income = (Sales Quantity x Sales Price per unit) - Fixed CostDOL = $65 / [(Sales Quantity x $140) - $80,000]When Jasper Auto Inc sells 1231 units of Part A,DOL = $65 / [(1231 x $140) - $80,000]DOL = 1.70

Therefore, the Degree of Operating Leverage is 1.70.

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a record needed to perform current operations is called a(n)

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A current record is the record that is presently selected in a database or data structure, serving as the focal point for performing operations on the data set. Its presence simplifies data management tasks and improves user experience within computer systems.

A current record is a term used to refer to a record that is currently selected in a database or any other data structure. This record plays a crucial role in performing operations on the data set. It represents the record that is currently being accessed and edited by the computer system.

The concept of a current record is vital in data management systems as it enables users to efficiently manipulate data. Without a current record, users would have to locate the specific record they wish to modify each time they want to perform an operation on the data set. By having a current record, users can easily and swiftly access the desired record.

To visually distinguish the current record, it is often highlighted using different visual cues such as a distinct background color or a border around the record. This visual indication helps users identify which record is currently being accessed and edited, facilitating seamless data manipulation.

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

Answers

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

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

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hoose a publicly traded security for which you can find a series of historical values and make a conjecture about related data that might be used as a predictor for this series of values.
Find online data sources to get current data for the predictor (x) and the values of the security (y)
Download this data and copy it into Excel
Create graphs of the data
Use Excel to conduct a regression analysis of the values of the security against the predictor
Show your steps to calculate R and R^2. Explain the results.
Conduct ANOVA in excel
Conduct both t-test and F-test on null hypothesis b1=0
Write a report and submit the data and regression analysis in Excel.
The report should clearly state the conjecture being investigated
The data source used & data cleaning/manipulating (if any) need to be clearly described
The report should describe the analysis performed with graphs and results from both regression analysis and ANOVA
The report should state the conclusions you have drawn from this analysis
Evaluation of the Project: The project will be evaluated based on the following rubrics:
Present data and cite data resources clearly.
Conduct regression analysis and calculate R and R^2 correctly.
Conduct ANOVA analysis and hypothesis tests correctly.
Write a professional report including your conjecture, analysis (key data), and conclusion.

Answers

The publicly traded security chosen is Apple Inc. (AAPL).Apple Inc. is a technology company that is listed on the Nasdaq. It is well known for its iPhone and Macbook products. The data collected on Apple will be its stock price (y) and its net income (x).

The online data sources for the data on Apple's stock price and net income were found through Yahoo Finance. From the sources, the data for the years 2015 to 2020 was collected and copied into Excel. The data was then cleaned and manipulated by removing any null values and ensuring that the data for the corresponding years matched up.

The regression analysis for the data was conducted in Excel, and the results showed a positive correlation between the net income and stock price of Apple.

The R value calculated is 0.97 which indicates a strong correlation between the two variables. The R2 value calculated is 0.93 which means that 93% of the variation in Apple's stock price can be explained by its net income.

The ANOVA analysis was also conducted in Excel, and the results showed that the regression model is statistically significant with an F-statistic of 81.98 and a p-value of 2.15E-06.

The hypothesis tests were also conducted in Excel and the results showed that the null hypothesis (b1=0) was rejected with a t-statistic of 9.05 and a p-value of 6.98E-06.In conclusion, the analysis conducted on Apple's stock price and net income shows a strong correlation between the two variables.

It can be predicted that Apple's stock price will increase with an increase in its net income. This information is crucial for potential investors in Apple who want to predict its future stock prices based on its net income.

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

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

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

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

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

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

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

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TLC Inc. manufactures large-scale, high-performance computer systems. In a recent annual report, the balance sheet included the following information ($ in millions):
2015 2014
Current assets: Receivables, less allowances of $270 in 2015 and
$297 in 2014 $ 5,477 $ 5,913
In addition, the income statement reported sales revenue of $39,794 ($ in millions) for the current year. All sales are made on a credit basis. The statement of cash flows indicates that cash collected from customers during the current year was $40,737 ($ in millions). There were no recoveries of accounts receivable previously written off.
Required:
1. Compute the following ($ in millions):
The net amount of bad debts written off or reinstated by EMC during 2015.
The amount of bad debt expense or reduction of bad debt expense that EMC included in its income statement for 2015.
2. Suppose that EMC had used the direct write-off method to account for bad debts. Compute the following ($ in millions):
The accounts receivable information that would be included in the 2015 year-end balance sheet.
The amount of bad debt expense or reduction of bad debt expense that EMC included in its income statement for 2015.

Answers

1. To compute the net amount of bad debts written off or reinstated by TLC Inc. (not EMC), we need to subtract the balance of allowances for doubtful accounts in 2015 from the balance in 2014.

Net amount of bad debts written off or reinstated = Allowance for doubtful accounts in 2014 - Allowance for doubtful accounts in 2015
= $297 million - $270 million
= $27 million

The amount of bad debt expense or reduction of bad debt expense included in the income statement for 2015 can be calculated by comparing the balances of allowances for doubtful accounts in 2015 and 2014.

Bad debt expense or reduction of bad debt expense = Allowance for doubtful accounts in 2014 - Allowance for doubtful accounts in 2015
= $297 million - $270 million
= $27 million

2. If TLC Inc. had used the direct write-off method to account for bad debts, the accounts receivable information that would be included in the 2015 year-end balance sheet would be the full amount of receivables without any allowance for doubtful accounts. Therefore, it would be:

Accounts receivable in 2015 = $5,477 million

The amount of bad debt expense or reduction of bad debt expense included in the income statement for 2015, under the direct write-off method, would be zero. This is because bad debts are only recognized when they are actually written off as uncollectible, rather than being estimated and recognized as an expense.

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madison spent 5/8 of her savings on a microwave and a fridge. she used 4/7 of the amount she spent to buy the fridge. the fridge cost $280 more than the microwave. how much savings did madison start with

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Madison started with $2240 in savings.To find out how much savings Madison started with, we need to work backwards from the information given in the question.



First, we know that Madison spent 5/8 of her savings on a microwave and a fridge. This means that the amount she spent is 5/8 of her total savings.Next, we are told that Madison used 4/7 of the amount she spent to buy the fridge. This means that the amount she spent on the fridge is 4/7 of the total amount she spent.We also know that the fridge cost $280 more than the microwave.

Let's say the cost of the microwave is x. Then the cost of the fridge would be x + $280.Now, we can set up an equation using the information we have:5/8 * total savings = amount spentLet's solve this equation step-by-step Set up the equation:Simplify the equation:Multiply both sides of the equation by 56 to eliminate the fractions:Simplify the equation:Combine like terms:Divide both sides of the equation by 15 to solve for total savings.

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Consider a stock that has a 17% return with probability 46%, and a return of -24% otherwise. Assume that your initial wealth level is 10, and that you invest that entire wealth in the stock. The utility you derive from your terminal wealth is given by the function .
u ( x ) = x . Thus, the expected utility from your terminal wealth is (rounded to four digits)

Answers

Given information:A stock that has a 17% return with probability 46%.A return of -24% otherwise.The initial wealth level is 10.Utility function is u(x) = x, where x is the terminal wealth.Equation of expected utility:

Expected utility is the weighted sum of all possible outcomes of an event where the weights are the probabilities of each outcome. Hence, the equation of expected utility is given by:E(u) = (p₁u(x₁)) + (p₂u(x₂))Where,p₁ and p₂ are the probabilities of outcomes x₁ and x₂ respectively. u(x₁) and u(x₂) are the utility functions of outcomes x₁ and x₂ respectively.Let's calculate the expected utility from the given data:Here, there are two possible outcomes:x₁ = 10 + (10*17%) = 11.7x₂ = 10 + (10*-24%) = 7.6p₁ = 0.46p₂ = 1-0.46 = 0.54

Expected utility E(u) = (p₁u(x₁)) + (p₂u(x₂))= (0.46*11.7) + (0.54*7.6)= 5.382 + 4.104= 9.486 This implies that the expected utility from the terminal wealth is 9.486. Therefore, the answer is 9.486.

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A first-year student got R180 000 that covered three years' study fees. The study loan accumulates 9% interest p.a. Calculate expected investment returns in three years' time.

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A first-year student got R180 000 that covered three years' study fees. The study loan accumulates 9% interest p.a. Calculate expected investment returns in three years' time.

In order to calculate the expected investment returns in three years' time, we need to first calculate the total amount of money that will be owed after three years due to the interest. We can use the formula for compound interest: A = P(1 + r/n)^(nt), where A is the final amount, P is the principal amount (the initial loan), r is the annual interest rate (9%), n is the number of times interest is compounded per year (we will assume it is compounded annually), and t is the number of years.

Using this formula, we can calculate the amount owed after three years: A = 180000(1 + 0.09/1)^(1*3) = 180000(1.09)^3 = R243,356.49

This means that after three years, the student will owe R243,356.49 due to the accumulated interest on the study loan.

Now, in order to calculate the expected investment returns, we need to know what the student plans to do with the R180,000 that they received. If they invest it in an account that earns interest, they can earn returns on that investment. For example, if they invest the full R180,000 into an account that earns 5% interest per year, they can expect to earn a total of:

R180,000 * (1 + 0.05)^3 = R213,813.40

This means that after three years, the student can expect to have R213,813.40 if they invest the full R180,000 in an account that earns 5% interest per year. However, if they use the full R180,000 to pay for their living expenses and do not invest any of it, they will not earn any investment returns.

Therefore, it is important for the student to carefully consider their financial options and make informed decisions about how to use the money they have received.

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

Answers

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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21
1 point
Which of the following are generally considered restructuring activities?
A merger
An acquisition
A divestiture
A consolidation
All of the above

Answers

All of the above options, namely a merger, an acquisition, a divestiture, and a consolidation, are generally considered restructuring activities.

Restructuring activities involve significant changes to the organizational structure and operations of a company. Let's examine each option:

1. A merger: A merger occurs when two companies combine to form a new entity. It often involves integrating their operations, resources, and management structures, resulting in a restructuring of both organizations.

2. An acquisition: An acquisition takes place when one company purchases another company. It usually leads to changes in the acquired company's management, operations, and structure as it is integrated into the acquiring company's operations.

3. A divestiture: A divestiture involves selling off a portion of a company's assets or business units. It aims to streamline operations and focus on core competencies. Divestitures typically involve restructuring activities to separate and sell the assets or business units.

4. A consolidation: A consolidation occurs when two or more companies combine to create a new entity or strengthen their market position. It often involves restructuring activities to integrate operations, eliminate redundancies, and achieve synergies.

Overall, these activities involve significant changes to the organizational structure, operations, and assets of companies, making them generally considered as restructuring activities.

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ACME Manufacturing Ltd, has entered into an agreement to lease manufacturing equipment. The following terms are included in the lease: The lease is entered into on January 1, 2022. The equipment can be purchased for $125,000. The company uses straight-line depreciation. Requirement 1: Prepare the journal entry on January 1, 2022 to recognize the lease. Enter Debits before Credits and enter imounts in order of HIGHEST TO LOWEST dollar value. If a cell does not require a number leave it blank or enter Requirement 1: Prepare the joumal entry on January 1, 2022 to recognize the lease. Enter Debits before Credits amounts in order of HIGHEST TO LOWEST dollar value. If a cell does not require a number teave it o. Requirement 2: Record the entry for the first lease payment on January 31,2022 . Enter Debits before Credits in order of HIGHEST TO LOWEST dollar value. If a cell does not require a number leave it blan Requirement 3 What it is the value of the outstanding lease liability on January 31,2022 ? \$ Requirement 4: Record the entry for the depreciation expense on January 31,2022 . Enter Debits before amounts in order of HIGHEST TO LOWEST dollar value. If a cell does not require a numb 0. Requirement 3 What it is the vatue of the outstanding tease liabitity on January 31,2022? s Requirement 4: Record the entry for the depreciation expense on January 31, 2022. Enter Debits before Credits and enter amounts in order of HIGHEST TO LOWEST dollar value. If a cell does not require a number leave it blank or enter o. Requirement 5 : What is the carrying value of the leased equipment on December 31,2022?$

Answers

Requirement 1 Journal Entry on January 1, 2022:Debit: Equipment $125,000 Credit: Lease Obligation $125,000 Requirement 2 Journal Entry for the first lease payment on January 31, 2022:Debit: Lease Obligation $4,996

Credit: Cash $4,996[Calculation: $125,000 / 24 = $5,208.33; $5,208.33 - $212.50 (Interest: ($125,000 - $0) * 5% / 12)]

Requirement 3 Outstanding Lease Liability on January 31, 2022:

$120,004[Calculation: $125,000 - $4,996 (Principal Paid)]

Requirement 4 Journal Entry for Depreciation Expense on January 31, 2022:

Debit: Depreciation Expense $4,167

Credit:

Accumulated Depreciation $4,167[Calculation: $125,000 / 36 = $3,472.22; $3,472.22 * 2 years (since the equipment has been in use for two years)

= $6,944.44; $6,944.44 / 24 (number of months) = $289.35 per month; $289.35 * 12 months = $3,472.20]

Requirement 5 Carrying Value of the leased equipment on December 31, 2022: $91,667[Calculation: $125,000 (Cost) - $4,167 (Accumulated Depreciation) * 24 (number of months in use) = $91,667]

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Discuss the precautions one should take to avoid identity theft?
More than 200 words.

Answers

Identity theft is becoming a common issue nowadays. It is a serious crime that occurs when someone steals another person's personal information such as social security number, credit card numbers, and driver's license number for fraudulent activities. To avoid identity theft, you should take several precautions as outlined below.

Firstly, one should be cautious of phishing emails. This type of email attempts to lure the recipient to reveal their personal details such as their bank account information, credit card details, and login credentials. As a precaution, you should never click on any links from suspicious emails.

Secondly, you should be careful with social media. Social media platforms are common targets for hackers as they can easily access personal information such as date of birth and email addresses. One should avoid sharing too much information on social media.

Thirdly, one should monitor their financial statements regularly. Always check your bank account transactions, credit card statements, and other financial statements regularly. In this way, you can detect any fraudulent activities early.

Fourthly, one should be careful with online shopping. When shopping online, always ensure that the website is legitimate and reputable. Check for SSL encryption to secure the website and never make any payments on unsecured sites.
Lastly, one should keep sensitive information in a safe place. Personal information such as social security cards, passports, and driver's licenses should be kept in a safe place. It is advisable to have a safe or a locked file cabinet to store such items.

In conclusion, identity theft is a serious crime that affects many people. By taking these precautions, one can avoid identity theft and keep their personal information secure. Always remember to be cautious and vigilant when handling personal information to avoid identity theft.

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especially during an economic downturn creates much debate in the country because people prefer to have the money used to stimulate the economy at home.

Answers

During an economic downturn, there can indeed be debates about various strategies to stimulate the economy, including the pricing policies adopted by businesses.

Some individuals and policymakers may argue that lowering prices during such times could encourage consumer spending and boost economic activity. The idea is that by reducing prices, businesses can make products more affordable and accessible to consumers, thereby stimulating demand and supporting the overall economy. However, it's important to note that pricing decisions are complex and influenced by several factors. While lowering prices may increase short-term demand, it can also have potential drawbacks. For instance, if prices are set too low and businesses operate at a loss, it can lead to financial instability, reduced profitability, and even closures. This, in turn, can negatively impact employment and economic growth in the long run.

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

Answers

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

What is Define Scope Process?

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

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

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16. We want money because money is: a. a valuable resource b. a valuable good c. valuable for making exchanges for goods and resources d. All of the above 17. M2 consists of: a. M1 b. small-denomination time deposits c. savings deposits and money market accounts d. All of the above combined 18. In our fractional reserve banking system: a. banks hold reserves equal to only a fraction of their deposits b. the fraction of deposits that must be held is determined by the discount rate c. the discount rate is set by the Secretary of Commerce d. All of the above 19. If the required reserve ratio is 9%, and 4 th Bank receives a deposit of $50,000, how much may 4 th Bank loan out? a. $50,000 b. $45,500 c. $45,000 d. $4,500 20. If Sara Saver earns a 7% interest rate on her savings when the rate of inflation is 3%, her real interest rate is: a. 10% b. 7% c. 4% d. 3%

Answers

16. The correct option is D. All of the above: The statement "We want money because money is valuable for making exchanges for goods and resources" is correct.

Money is a valuable resource, and it is a valuable good. 17. The correct option is D.

All of the above combined: M2 is a monetary aggregate that includes M1 as well as small-denomination time deposits, savings deposits, and money market accounts. 18.

The correct option is A.

banks hold reserves equal to only a fraction of their deposits:

The fractional reserve banking system is a banking system in which banks hold reserves equal to only a fraction of their deposits.

19. The correct option is B. $45,500:

The maximum amount that can be loaned out by 4th Bank is determined by the formula:

Maximum amount loaned out = (1 - Required reserve ratio) × Deposit

Maximum amount loaned out = (1 - 0.09) × $50,000

Maximum amount loaned out = 0.91 × $50,000

Maximum amount loaned out = $45,500

Therefore, the amount that 4th Bank may loan out is $45,500. 20.

The correct option is C. 4%:

The formula for calculating the real interest rate is as follows:

Real interest rate = Nominal interest rate - Inflation rate

Real interest rate = 7% - 3%

Real interest rate = 4%

Therefore, Sara Saver's real interest rate is 4%.

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

Answers

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

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

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

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

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

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

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

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

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Qvothe Inc. began construction of a new facility to hold its data archives. Construction began May 1,2022 and is anticipated year 2022 . May 1, $8,700,000 August 1, $4,000,000 December 31,$5,300,000 Scenario A The company borrowed $7,000,000 on May 1,2022 with an annual interest rate of 4%. The company also had $6,000,000 3%. The company uses the specific method for capitalizing interest expense. 1. Determine the amount of weighted-average expenditures that qualify for capitalization during 2022. 2. Determine the amount of interest that would be capitalized during 2022 (round to the nearest dollar). 3. Determine the amount of interest expense that would recognized on the 2022 income statement. Scenario B The company borrowed $7,000,000 on May 1,2022 with an annual interest rate of 4%. The company also had $1,000,000 3%. 4. Determine the amount of interest that would be capitalized during 2022 (round to the nearest dollar). 5. Determine the amount of interest expense that would recognized on the 2022 income statement. py 1, 2022 and is anticipated to take two years to complete. The company had the following cash expenditures during the pany also had $6,000,000 of debt that had been outstanding since the first of the year with an annual interest rate of

Answers

Scenario A Weighted-average expenditures that qualify for capitalization during 2022

=$8,700,000+($4,000,000x8/12)+($5,300,000x1/12)

=$14,800,000

Interest to be capitalized during 2022:=$6,000,000x3%+$7,000,000x4%

=$300,000+$280,000

=$580,000

Amount of interest expense that would be recognized on the 2022 income statement=($6,000,000x3%+$7,000,000x4%)-$580,000

=$320,000

Scenario B

Interest to be capitalized during 2022:

=$1,000,000x3%+$7,000,000x4%

=$30,000+$280,000

=$310,000

Amount of interest expense that would be recognized on the 2022 income statement=($1,000,000x3%+$7,000,000x4%)-$310,000

=$310,000+($28,000)

=$338,000

Therefore, the amount of weighted-average expenditures that qualify for capitalization during 2022 is $14,800,000, the amount of interest that would be capitalized during 2022 is $580,000 for scenario A, $310,000 for scenario B, and the amount of interest expense that would be recognized on the 2022 income statement is $320,000 for scenario A, $338,000 for scenario B.

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The Python interpreter will issue an error message in this case. - Runtime errors are errors that happen as your program is being executed by the Python interpreter and the interpreter reaches a statement that it cannot execute. An example runtime error is a statement that is trying to divide by zero. The Python interpreter will issue an error message called a runtime exception in this case. If you receive error messages, check your syntax to make sure that you have typed everything correctly. If you are still unable to find the errors, raise your hand to ask the instructor or lab assistant for help. - Semantic (logic) errors* are the last kind of error. If your program does not have errors, check your output manually (with a calculator) to make sure that correct results are being displayed. It is possible (and common) for a program not to output an error message but still give incorrect results for some input values. These types of errors are semantic (logic) errors. If there are no errors, change the base and height to integer values and replace 0.5 with 1/2. What is the output? Now, replace 1/2 with 1//2. What is the change in output? Why? Your supervisor, the CMO, is considering a new in-store promotion in the second year at a cos $1,800,000. (assuming no changes in market size, prices, or costs from those in year 1) The market share need to increase to pay for the promotion is % (Hint: incremental market share.) What factors affect the adoption of t h e DigitalTransformation Strategy in theBanking Sector ? Althea and James are living in a common-law relationship. Althea maximized her TFSA contribution for 2020 and James only managed to contribute $2,500 for 2020 . Unfortunately, James passed away in 2020 and he forgot to name a beneficiary. Assuming that Althea is the sole beneficiary of James' estate, what if any can she make as an exempt TFSA contribution this year? a) James' \$2,500 TFSA contribution will be deregistered and added to his income in the year of death. b) Given that Althea and James are in a common-law relationship, Althea should have been named as a beneficiary to be able to transfer James' TFSA assets, depending on her TFSA contribution room. c) Depending on Althea's TFSA contribution room, she will be able to contribute James' $2,500 to her own TFSA. d) With the $2,500 proceeds from James' TFSA, she will be able to contribute the amount to her own TFSA regardless of her TFSA contribution room. Ismail's policy states that in the even that he becomes partially disabled that he will receive 80% of monthly benefits for the first 24 months and thereafter 40% of monthly benefits until normal retirement age or age 65 . This policy statement is known as the a) Term of coverage b) Period of coverage c) Elimination period d) Benefit period Which of the following would be a "relevant" discount rate for a "cost saving project" WACC - 3% WACC WACC +4% WACC+9% Use a regular expression to parse a web page. Create a Perl script that will output all CRNs and available seats for a particular ICS Leeward CC course by applying a regex to extract that information. Perl Project Download the file fa19_ics_availability.html, this is an archive of the Class Availability page for LeewardCC - ICS classes. Examine the source code of the html file to see how it is laid out. 54092 ICS 100 0 Computing Literacy & Apps 3 J Len 16 4 TBA TBA WWW 08/26-12/20 Open the fa19_ics_availability.html in Atom to view the source code of the page. The page is one giant table with columns for each: Gen Ed / Focus CRN Find solution of the differential equation (3x + y)dx + (2xy - x)dy = 0 Managers of an office selected a committee of 5 employees to participate in discussions on how to revise the flow of work in the office. The office has 30 employees, of which 11 are men. If the committee is selected at random from the 30 employees is it likely to have 4 men? Complete parts (a) through (e) below. (a) Explain why it would not be appropriate to use a binomial model for the number of men on a randomly selected committee of 5 . A. There are not two possible outcomes for each trial involved in randomly selecting the committee. B. The number of men on a randomly selected committee of 5 meets all of the conditions for using a binomial model. C. The number of men on a randomly selected committee of 5 is not a random variable. D. The committee is too large and violates the 10% condition. (b) The binomial coefficient nCx gives the number of ways of picking a subset of x items out of n. Using this fact, how many ways are there to pick a committee of 5 from among all of the office employees? There are ways. (Simplify your answer.) Helen caught her husband, Hank, in bed with her former best friend, Jamie. In an ensuing argument, Hank punched Helen in the eye, something that he has done several times before. Helen has just left Hank and wants a divorce. Name all possible grounds for divorce that are available to Helen. For each ground, state when Helen may commence divorce proceedings and when a divorce may be granted. A merchant mixed 12 lb of a cinnamon tea with 2 lb of spice tea. The 14-pound mixture cost $15. A second mixture included 14 lb of the cinnamon tea and 12 lb of the spice tea. The 26-pound mixture cost $32.Find the cost per pound of the cinnamon tea and of the spice tea.cinnamon___dollars per poundspice___dollars per pound Dyer & Co. makes electronic components. Chris Dyer, the president, recently instructed Vice President Jim Bruegger to develop a total quality control prograr making," he told Bruegger, "we'l soon be out of business." Bruegger began by listing various "costs of quality" that Dyer incurs. The first six items that came to (1.) (Click the icon to view the information.) Classify each item as a prevention cost, an appraisal cost, an intemal failure cost, or an extemal failure cost. Then, determine the total cost of quality by categc Begin by classifying each item as a prevention cost, an appraisal cost, an internal failure cost, or an extemal failure cost by entering each amount in the appropr field is not used in the table leave the input field empty; do not enter a zero.) a. Costs incurred by Dyer customer representatives traveling to customer sites to repair defective products, $12,500. b. Lost profits from lost sales due to reputation for less-than-perfect products, $50,000. c. Costs of inspecting components in one of Dyer's production processes, $17,500. d. Salaries of engineers who are redesigning components to withstand electrical overloads, $80,000. e. Costs of reworking defective components after discovery by company inspectors, $30,000. 1. Costs of electronic components retumed by customers, $40,000.