How can geography explain Europeans' advantages in ship-building technology pared to the Ottoman or Russian Empires?

Answers

Answer 1

The location of Europe on the coast of the Atlantic and the Mediterranean Sea provided a significant advantage in ship-building technology over the Ottoman or Russian Empires.

This allowed European nations to engage in extensive trade with other nations across the world and transport resources from their colonies back to Europe. In contrast, the Ottomans and Russians were located inland and had little direct access to the seas, making it difficult for them to develop advanced ship-building technologies. As a result, they were at a disadvantage in terms of maritime trade and military power compared to European nations.

The geography of Europe, with its extensive coastline and proximity to the Atlantic and Mediterranean seas, provided Europeans with a significant advantage in ship-building technology compared to the Ottoman or Russian Empires. European countries such as Portugal, Spain, and the Netherlands established trading posts in Africa, Asia, and the Americas to expand their economic power and enhance their trade networks, which relied heavily on ships. These countries were able to transport goods and resources across the world and bring back precious resources to Europe, such as sugar, spices, and precious metals.

In contrast, the Ottoman Empire was primarily located inland, with little direct access to the sea. Although the empire had some access to the Black Sea, its shipbuilding industry was not as advanced as those of European countries. The Russian Empire, on the other hand, had access to the Baltic and Black Seas, but it was far from the Atlantic Ocean, where most of the world's trade occurred. Russia was also not as advanced in shipbuilding technology as the Europeans, which made it difficult for them to compete in maritime trade and military power.

European powers invested heavily in shipbuilding technology and innovation, which helped them maintain their dominance on the seas. They developed new ship designs, such as the caravel and the galleon, which were faster, more efficient, and more maneuverable than other ships of the time. They also developed new navigational instruments, such as the compass, the astrolabe, and the sextant, which allowed them to explore new territories with greater accuracy. These technological advances allowed the Europeans to establish maritime empires, which greatly expanded their political and economic power and allowed them to dominate the world's trade and commerce.

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Related Questions

Kumar asserts that which of the following factors is important when conducting global market research? A. Method of contact B. Method of data collection C. Compensation D. All of the answers are correct.

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Kumar asserts that (D)all of the answers are correct when conducting global market research.

Conducting global market research is crucial for companies that are looking to expand their business in other countries.

It allows them to gather important information about the target market's preferences, behavior, and purchasing power, among other things.

However, the process can be challenging, particularly when dealing with cultural differences and language barriers.

That is why it is essential to consider several factors when conducting global market research.

Kumar asserts that all the answers are correct when conducting global market research.

The following are the factors that are important when conducting global market research: Method of contact: Companies must decide the best method to reach their target audience.

For instance, some countries may prefer phone calls to emails, or vice versa. Understanding the preferred method of communication is crucial to gather accurate data.

Method of data collection: There are different methods of data collection, including surveys, interviews, and focus groups.

Companies must choose the best method that can help them gather accurate and reliable data.

Compensation: Compensation may be necessary to encourage participants to provide accurate data.

For example, some countries may require monetary compensation to participate in surveys.

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When there is a negative network externality for a good, the demand for that good A. will be less elastic than it would have been without the negative network externality. B. will be just as elastic as it would have been without the negative network externality. C. may have a degree of elasticity that is more, less or the same as it would have without the negative network externality. D. will be more elastic than it would have been without the negative network externality. Suppose a statistical study finds that the demand for Brand X automobile tires is Q = 800 - 5P, where Q is the number of Brand X tires sold per year (in thousands of tires), and P is the price per tire. How confident would you be that this is an accurate equation for Brand X tire demand? A. Not very confident because methods other than statistical studies are better at estimating demand equations. B. Very confident because statistical studies are very accurate. C. Not very confident because other factors affecting the sales of tires have been left out of the equation. D. Very confident because the negative sign in front of price (P) means the demand curve has a negative slope, as it should.

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C. may have a degree of elasticity that is more, less or the same as it would have without the negative network externality.When there is a negative network externality for a good,

it means that the value or utility of consuming that good decreases for other individuals in the network as more people consume it. This can affect the demand for the good and its elasticity.The impact of a negative network externality on demand elasticity depends on various factors, including the specific characteristics of the good, the nature of the externality, and consumer preferences. It is not possible to determine a definite relationship between negative network externality and demand elasticity without considering these factors. In some cases, a negative network externality may make the demand for the good less elastic. This could occur if the externality leads to increased dependence or lock-in effects, where consumers find it difficult to switch to alternative goods due to network effects. In such cases, the demand becomes less responsive to changes in price or other factors.

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what combination of strategies generates the highest total profit? why might the two firms not be able to come to an agreement on this outcome?

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The combination of strategies that generate the highest total profit is dependent on the strategies and their specific details.

It would depend on the particular circumstances and the tactics under consideration to determine the combination of strategies that produces the maximum overall profit for the two firms. However, in general, the maximum total profit might be made by combining tactics that increase sales, cut expenses, allocate resources efficiently, and take advantage of competitive advantages.

However, the reason two firms may not be able to come to an agreement on the outcome is likely due to a difference in priorities and goals. Each firm has its own objectives and focuses, and therefore may not see the value in certain strategies or may be more willing to take risks than the other firm. Additionally, there may be issues with trust and communication between the firms that prevent them from reaching an agreement on the most profitable combination of strategies.

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Budget Account Code Quantity Total 4,000 03110 Formwork 03210 Rebar 10 800 03310 Place & Finish Subtotal Slabs at grade O a. 75 percent, 60 percent, 80 percent. O b. 75 percent, 63 percent, 85 percent. OC 73 percent, 60 percent, 86 percent. O d. 70 percent, 65 percent, 80 percent. UOM SF Ton CY Actual Quantity To-Date 3,000 6 640 Budget PV 6,000 900 800 Eamed Percent EV Complete E C Time left 0:19:04

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The budget account code breakdown and quantities provided are as follows: 4,000 for Formwork (03110), 800 for Rebar (03210), and the Place & Finish (03310) is not specified. The correct option for the completion percentages of the Slabs at grade would be 73 percent, 60 percent, and 86 percent.

Based on the given information, the quantities provided for Formwork and Rebar are 4,000 and 800, respectively. However, the quantity for the Place & Finish (03310) is not mentioned. To determine the completion percentages of the Slabs at grade, we need the actual quantity to-date for the Place & Finish task. Unfortunately, this information is not provided. Without the actual quantity to-date, we cannot accurately calculate the earned value (EV) and determine the completion percentages.

It is essential to have the actual quantity to-date for the Place & Finish task in order to calculate the earned value and accurately determine the completion percentages.

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manufacturer operates 8 hours per day for 340 days per year, and has a demand of 2,000 units per day. There are four production cycles per day. Assume the following: 7,700 units produced per day, holding cost per unit is $5 per year, labor rate to do line set-ups is $13 per hour. With quick set-ups, the production line must be quickly re-organized.
a. What is the target set-up cost?
b. What is the set-up time in minutes?

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The target set-up cost The target set-up cost is $10,000. A manufacturer operates 8 hours per day for 340 days per year. There are four production cycles per day. If there are quick set-ups, the production line must be quickly re-organized. The labor rate to do line set-ups is $13 per hour.

The production line's daily demand is 2000 units. The number of units produced per day is 7700. The holding cost per unit is $5 per year. Given the above assumptions, the target set-up cost is calculated as follows:Target set-up cost = (labor rate per hour × set-up time in hours) × (annual number of set-ups ÷ number of units produced per set-up).

Target set-up cost = (13 × set-up time in hours) × (340 ÷ 4 × 7700)Target set-up cost = (13 × set-up time in hours) × (11.2)Given that holding cost per unit is $5 per year, the total number of units that can be produced in a year is given as follows:Annual production = number of units per day × number of days per yearAnnual production = 2000 × 340Annual production = 680,000.

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Mary's credit card situation is out of control because she cannot afford to make her monthly payments. She has three credit cards with the following loan balances and APRs: Card 1, $4,500, 21%; Card 2, $5,700, 24%; and Card 3, $3,200, 18%. Interest compounds monthly on all loan balances. A credit card loan consolidation company has captured Mary's attention by stating they can save Mary 25% per month on her credit card payments. This company charges 16.5% APR. Is the company's claim correct?

Answers

To determine if the credit card consolidation company's claim is correct, we need to compare Mary's current interest payments with the potential savings offered by the consolidation company.

First, let's calculate Mary's current monthly interest payments for each credit card:

Card 1: $4,500 * (21%/12) = $78.75

Card 2: $5,700 * (24%/12) = $95.00

Card 3: $3,200 * (18%/12) = $48.00

Total monthly interest payments = $78.75 + $95.00 + $48.00 = $221.75

Now, let's calculate the potential interest payment with the consolidation company's loan:

Total loan balance = $4,500 + $5,700 + $3,200 = $13,400

Interest rate of the consolidation company = 16.5% APR

Monthly interest payment with the consolidation company = $13,400 * (16.5%/12) = $184.75

To determine the potential savings, we subtract the monthly interest payment with the consolidation company from Mary's current monthly interest payments:

Potential savings = Current interest payments - Consolidation company's interest payment

= $221.75 - $184.75 = $37.00

The potential savings offered by the consolidation company is $37.00 per month. However, the company claimed to save Mary 25% per month on her credit card payments. To verify if the claim is correct, we need to calculate 25% of Mary's current monthly interest payments:

25% of $221.75 = $55.44

Since the potential savings of $37.00 is less than the claimed savings of $55.44, it appears that the company's claim of saving Mary 25% per month on her credit card payments may not be accurate. Mary should carefully evaluate the terms and conditions of the consolidation company's offer and consider seeking advice from a financial professional before making a decision.

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what are the project deliverables and acceptable
criteria for this project ??
2.1. Project Description You and your team will be responsible for renovating a 15,000 square foot space for the finance department in the new building on the 5th floor. The financial department has a

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The project deliverables for the renovation of the finance department's space in the new building on the 5th floor can include:

Renovated Space: The project should deliver a fully renovated 15,000-square-foot space for the finance department. This includes the installation of appropriate flooring, walls, ceilings, lighting, and HVAC systems.Office Layout: The project should ensure an efficient and functional office layout that meets the specific requirements of the finance department.

Renovation refers to the process of restoring, repairing, or improving a building or space to enhance its functionality, aesthetics, or both. It involves making significant changes or updates to an existing structure, often with the goal of modernizing or adapting it to meet the changing needs of its occupants. Renovations can range from minor modifications like repainting walls or replacing fixtures to more extensive projects such as remodeling entire rooms or even restructuring the entire building.

Renovations may be undertaken for various reasons, including improving the comfort and livability of a space, increasing its resale value, complying with building codes and regulations, or incorporating new technologies or design trends. The process typically involves assessing the current condition of the structure, developing a renovation plan, obtaining necessary permits, and executing the necessary construction work.

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Victoria Enterprises expects earnings before interest and taxes (EBIT) next year of $1.8 million. Its depreciation and capital expenditures will both be $300,000, and it expects its capital expenditures to always equal its depreciation. Its working capital will increase by $47,000 over the next year. Its tax rate is 25%. If its WACC is 8% and its FCFs are expected to increase at 6% per year in perpetuity, what is its enterprise value? The company's enterprise value is $ (Round to the nearest dollar.)

Answers

The enterprise value of victoria enterprises is approximately $65,150,000..

to calculate the enterprise value (ev) of victoria enterprises, we need to use the free cash flow to the firm (fcff) approach. the formula for calculating the enterprise value is:

ev = fcff / (wacc - g)

where:

fcff = free cash flow to the firm

wacc = weighted average cost of capital

g = growth rate of fcff

first, let's calculate the fcff for the next year:

fcff = ebit * (1 - tax rate) + depreciation - capital expenditures - increase in working capital

    = $1,800,000 * (1 - 0.25) + $300,000 - $300,000 - $47,000

    = $1,350,000 + $0 - $47,000

    = $1,303,000

next, let's calculate the growth rate of fcff (g) using the given information that fcff is expected to increase at 6% per year in perpetuity:

g = 0.06

now, we have all the necessary values to calculate the enterprise value (ev):

ev = fcff / (wacc - g)

  = $1,303,000 / (0.08 - 0.06)

  = $1,303,000 / 0.02

  = $65,150,000

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Explain how the Special Purpose vehicle (SPV) used in project
financing? (5 marks)

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A special purpose vehicle (SPV) is a financing tool that project finance uses to build a project that would not have otherwise been possible. SPVs allow for the segregation of a project from its parent company, making it its own legal entity. An SPV, also known as a special purpose entity (SPE), is formed specifically to serve a limited, well-defined task and often utilized in complex financing arrangements.

A special purpose vehicle (SPV) is a financing tool that project finance uses to build a project that would not have otherwise been possible. SPVs allow for the segregation of a project from its parent company, making it its own legal entity. An SPV, also known as a special purpose entity (SPE), is formed specifically to serve a limited, well-defined task and often utilized in complex financing arrangements.SPVs are created for project finance to act as a separate legal entity from the parent firm. The SPV owns the project's assets and incurs its liabilities, enabling investors to evaluate the project independently. Additionally, an SPV helps to mitigate the risk of a project's failure impacting the parent company's finances. SPVs are also employed to reduce the lender's risk by ensuring that the project's assets are safeguarded from outside creditors.The primary advantage of using an SPV is that it offers a higher level of risk control to investors. SPVs give investors more confidence to contribute to the project since they are created with a dedicated capital structure, clear project objectives, and a plan to handle financial and contractual issues that may arise. The primary objective of project financing is to distribute project risks to investors who are best suited to bear them.The benefits of using an SPV for project financing include:Protection against company risksSegregation of assets & liabilitiesReduction of lender riskFlexibility in structureMaintaining good credit ratings for parent companyIn conclusion, SPVs are special purpose vehicles that enable the separation of a project from its parent firm. SPVs are employed in complex financing arrangements to create a dedicated capital structure, clear project objectives, and a plan to handle financial and contractual issues that may arise. The primary objective of project financing is to distribute project risks to investors who are best suited to bear them.

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country B uses pounds, and Country A uses euros as their currency. In 2019 one
pound trades for €1.30. In 2020 one pound trades for €1.20.
Page 3 of 5
v) Express the nominal exchange rate in 2019 and 2020 in units of pounds
per euro. What happened to the euro from 2019 to 2020? [10
marks]
vi) In 2019 in Country B the cost of a basket of goods containing 8 units of
food and 2 units of drink (i.e. the basket we used to calculate the CPI in
part ii)) is £110. Calculate the real exchange rate for 2019.
[10 marks]
In 2020, the cost of the basket in Country B increases to £130. What
happens to the real exchange rate? Does this effect net exports in Country
A and/or in Country B?

Answers

The exchange rate in 2019 was 1 pound for €1.30. The exchange rate in 2020 was 1 pound for €1.20.

The nominal exchange rate for 2019 and 2020 in terms of pounds per euro is 0.77 and 0.83 respectively. The euro got stronger from 2019 to 2020.vi) Real exchange rate (RER) = Nominal exchange rate x (Domestic Price Level / Foreign Price Level)We already know the Nominal exchange rate for 2019 which is 0.77. The price level for 2019 is £110.

Nominal exchange rate refers to the rate at which one country's currency can be exchanged for another country's currency. It represents the value of one currency in terms of another currency. The nominal exchange rate can be expressed in two ways: units of domestic currency per unit of foreign currency or units of foreign currency per unit of domestic currency.

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Wallace Davis bought 100 shares of JNJ at the beginning of 2017 and sold them at the end of 2021. He bought them for $116.30 and sold them $171.07. During the five years he held the stock, the company paid $19.23 per share in dividends. What was his total return on his investment?

Answers

Wallace Davis's total return on his investment can be calculated by considering the capital gain (or loss) from the difference between the selling price and the buying price.

Wallace Davis bought 100 shares of JNJ at a price of $116.30 per share, resulting in a total investment of 100 * $116.30 = $11,630. He sold the shares at a price of $171.07 per share, resulting in a total sales amount of 100 * $171.07 = $17,107.

To calculate the capital gain, we subtract the buying price from the selling price: $171.07 - $116.30 = $54.77 per share. The total capital gain is therefore 100 * $54.77 = $5,477.

During the five-year holding period, Wallace received dividends of $19.23 per share. The total dividend income is 100 * $19.23 = $1,923.

The total return on his investment is the sum of the capital gain and the dividend income: $5,477 + $1,923 = $7,400.

Therefore, Wallace Davis's total return on his investment in JNJ over the five-year period is $7,400. This represents the total profit he made from the combination of capital gain and dividend income.

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if an annuity due and an ordinary annuity have the same number of equal payments and the same interest rates, then

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If an annuity due and an ordinary annuity have the same number of equal payments and the same interest rates, then the main answer is that the annuity due will have a higher present value than the ordinary annuity.

An annuity due is defined as a type of investment where the payment is made at the start of the period. Whereas an ordinary annuity is defined as an investment where the payment is made at the end of the period. When an annuity due and an ordinary annuity have the same number of equal payments and the same interest rates, then the annuity due will have a higher present value than the ordinary annuity. This is because the cash flows of the annuity due occur at the start of the period, and the cash flows of the ordinary annuity occur at the end of the period. As a result, each cash flow of the annuity due has an additional period of interest earned than that of the ordinary annuity. Therefore, the annuity due will have a higher present value.

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2. How the movements of house prices can be explained by the economic theory (law of demand and supply)?

Answers

The movements of house prices can be explained by the economic theory of supply and demand, which is based on the law of demand and supply.

According to the law of demand, as the price of a good or service increases, the quantity demanded decreases, assuming all other factors remain constant. In the context of housing, this means that when house prices rise, potential buyers may be less willing or able to purchase homes, leading to a decrease in demand.

On the other hand, the law of supply states that as the price of a good or service increases, the quantity supplied increases, assuming all other factors remain constant. In the housing market, this means that as house prices rise, sellers and developers have an incentive to supply more houses to take advantage of the higher prices.

The interplay between supply and demand determines the equilibrium price and quantity in the housing market. When demand exceeds supply, it puts upward pressure on house prices. Conversely, when supply exceeds demand, it can lead to downward pressure on prices.

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The American Short-run Aggregate Supply Curve is upward sloping because
Multiple Choice
a. A ceteris paribus decrease in the American price index will decrease the amount of American real exports.
b. In the short run, American nominal wages are fixed (adjust more slowly than nominal prices), so an increase in the American price index decreases the American real wage.
c. An increase in the amount of resources available for production in the U.S. will increase the American potential real GDP.
d. the American actual rate of unemployment always equals the American natural rate of unemployment.
Question #2
A ceteris paribus increase in the American real interest rate will

Answers

The American Short-run Aggregate Supply Curve is upward sloping due to sticky nominal wages, leading to a decrease in real wages with increasing prices.

The upward sloping nature of the American Short-run Aggregate Supply Curve can be explained by the sticky nominal wages in the short run. According to option (b), when there is an increase in the American price index, the nominal wages in the economy do not adjust immediately. As a result, the increase in the price level decreases the American real wage, which means workers' purchasing power declines.

This decline in real wages motivates firms to increase production in order to take advantage of the relatively lower labor costs. As firms expand output, the aggregate supply increases, leading to an upward sloping short-run aggregate supply curve.

The ceteris paribus assumption in option (a) regarding the decrease in the American price index affecting real exports and option (c) regarding the increase in resources for production affecting potential real GDP are not directly related to the upward sloping nature of the short-run aggregate supply curve. Option (d) is incorrect as the actual rate of unemployment can deviate from the natural rate in the short run due to various factors.

Question #2: A ceteris paribus increase in the American real interest rate will... (the question is incomplete and requires more information to provide a specific answer or explanation).

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Exercise in (FOR SELECTION) The gross sales from whole 2020 period were € 31000 and the sales returns were 4%. Additionally, the company is offering 4% of cash discount of sales to their customers (

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In 2020, the gross sales for a company were €31000, with sales returns of 4%. The company also offered a 4% cash discount to their customers.

The company's gross sales for 2020 were €31000. However, 4% of those sales were returned, resulting in a Net Sales figure of €29760.

Additionally, the company offered a 4% cash discount to their customers, meaning that if customers paid their bills within a certain timeframe, they would receive a 4% discount on their purchase.

This discount is not factored into the Net Sales figure, as it is a separate expense for the company.

Overall, it's important for companies to track both their gross and net sales figures, as well as any discount or return expenses, in order to accurately assess their financial health and make informed business decisions.

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A business has the following transactions that must be registered in the accounts:
a. Invoiced a customer abroad NOK 52,000. The sale is tax-free since it concerns exports. The sale takes place on credit.
b. Cash sale of SEK 3,000 + VAT. SEK 750, a total of SEK 3,750. The amount paid to the bank account.
c. A customer has received a credit note due to defects in the delivered goods. The credit note is SEK 16,000 + VAT. SEK 4,000, a total of SEK 20,000. The credit note will be settled at a later date. A customer has paid an invoice amounting to SEK 57500 including VAT. The invoice is already registered. The payment was credited to the overdraft account.
Record these transactions in a balance sheet table

Answers

In summary, the business has three transactions that need to be recorded in the accounts. Firstly, a tax-free credit sale of NOK 52,000 to a customer abroad. Secondly, a cash sale of SEK 3,000 + VAT (totaling SEK 3,750) deposited into the bank account. Lastly, a customer received a credit note of SEK 16,000 + VAT (totaling SEK 20,000) due to defects in the goods, which will be settled later. Additionally, a customer has already paid an invoice  of SEK 57,500 including VAT, with the payment credited to the overdraft account.

In the balance sheet table, the tax-free credit sale of NOK 52,000 will be recorded as an increase in accounts receivable (customer) and an increase in sales. The cash sale of SEK 3,000 + VAT will result in an increase in cash and an increase in sales. The credit note of SEK 16,000 + VAT due to defects will be recorded as a decrease in accounts receivable (customer) and a decrease in sales.

The payment of SEK 57,500 from the customer will be recorded as a decrease in accounts receivable (customer) and an increase in the overdraft account. These transactions will reflect the changes in assets (cash and accounts receivable) and liabilities (overdraft) on the balance sheet.

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Kuttans Woods has two divisions: Maritime Division and Shore Division. Shore Division, which has excess capacity, makes a part N95 at a variable cost of $45 per unit and sells it to external customers at $70 per unit. The part, N95, can also be used by Maritime Division. Maritime Division can purchase the same part from an outside supplier for $72 per unit. If Shore Division commences sales to Maritime Division, it will (i) use the general rule that allows the Shore Division to be as well off as if the part were sold to the external customers, and (ii) be able to reduce the variable cost by $4 on internal transfers. If external sales are not affected, Shore Division should establish a transfer price of:
Select one:
a. $70
b. $41
c. $45
d. $72

Answers

Shore Division should establish a transfer price of $41. A transfer price refers to the amount of money used when one unit of a company provides goods or services to another unit within the same organization.

The goal of setting a transfer price is to guarantee that both departments are treated equitably. Here in this case, Shore Division has excess capacity and is producing part N95 for $45 per unit. It is selling the part to external customers for $70 per unit. The Maritime Division can buy the same part from an external supplier for $72 per unit. If Shore Division begins selling to Maritime Division, it will follow the general rule that allows Shore Division to be as well off as if the part was sold to external customers. If external sales are not affected, Shore Division should establish a transfer price.Here's how Shore Division can be as well off as if the part were sold to external customers:Current price = $70Variable cost = $45Contribution = $25 ($70 - $45)Contribution margin = 35.71% ($25/$70)To maintain the same margin on internal transfers, the transfer price will be computed as follows: Variable cost = $45Contribution margin = 35.71%Transfer price = $45 / (1 - 35.71%) = $41Therefore, Shore Division should establish a transfer price of $41.

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After taking a personality test, you discover that one team mate has a personality that is very high conscientious, high extravert, and also very high neurotic. How might they behave (provide a few examples)? Explain some challenges in working with such a person.
Outline a strategy or approach for how to work most effectively with such a person on an important project - explain how you might work with them (e.g. how you might speak to them or arrange how you can best work on the assignment together) to maintain a good relationship and have a successful outcome.

Answers

After taking a personality test, discovering that one teammate has a personality that is very high conscientious, high extravert, and very high neurotic, they might behave as follows:

They might be very organized and detail-oriented in their work, considering they have a high level of conscientiousness.They might be very talkative and outgoing, being that they have a high level of extraversion.They might be anxious and worry frequently, considering they have a high level of neuroticism.Working with such a person could pose some challenges such as:Their anxiety might affect their ability to work effectively with the team, they may frequently worry about the outcome and make changes in the plan.

You can also motivate and praise them to keep them focused on the task at hand.Arrange team meetings and brainstorming sessions to get their opinion and views on the project and make them feel like they're contributing to the success of the team. This way, you can help avoid frustrations among team members and build cohesion.

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What is least likely to be an effective approach for making a product cross the chasm?
a. enhancing reliability and availability of the product
b.seeking to identify how the product could be modified to benefit majority customers
c.complements with the products so the customers can stat using it
d.sticking to the same strategies that helped attract innovators and early adopters

Answers

Sticking to the same strategies that helped attract innovators and early adopters is least likely to be an effective approach for making a product cross the chasm.

Why is sticking to the same strategies ineffective for crossing the chasm?

When a product is in the early stages of adoption, strategies that attract innovators and early adopters may not be suitable for crossing the chasm and appealing to the mainstream majority. The chasm refers to the gap between the early adopters and the majority market, and successfully crossing it requires a different approach.

To effectively cross the chasm, it is important to address the needs and preferences of the mainstream majority customers. This involves modifying the product to benefit the majority, seeking to identify how it can be made more appealing and valuable to them. Additionally, providing complementary products that enhance the overall user experience can help attract and retain mainstream customers.

However, sticking to the same strategies that were successful in attracting innovators and early adopters may not resonate with the majority market. The mainstream customers often have different priorities, concerns, and usage patterns compared to the early adopters. Therefore, a tailored approach is needed to overcome the challenges of the chasm and successfully penetrate the broader market.

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Objectives of auditing. (Clear and detailed objectives were given on auditing)
Types of business risk. (Four types of business risk was given)
Discussion on importance of information technology auditing. (Able to clearly discuss four importance of information technology auditing.
Implications of information technology auditing in reducing business risk. (Able to provide four detailed implications on how information technology auditing can help to reduce business risk.)
References (Four journals were relevant. References were given in APA format)

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Auditing serves several objectives, including ensuring the accuracy and reliability of financial statements, assessing compliance with laws and regulations, detecting and preventing fraud, and providing assurance to stakeholders. Business risks can be categorized into four types: strategic risks, financial risks, operational risks, and compliance risks.

Auditing has clear and detailed objectives, including verifying the accuracy and reliability of financial statements to provide assurance to stakeholders. It involves assessing compliance with laws and regulations, detecting and preventing fraud, and evaluating internal control systems. These objectives ensure transparency, accountability, and trust in financial reporting. Business risks encompass various factors that can affect an organization's success. Strategic risks pertain to the business's overall direction and market position, while financial risks relate to potential losses or disruptions in financial management. Operational risks focus on internal processes and systems, and compliance risks involve adherence to legal and regulatory requirements. Information technology auditing is of great importance in today's digital era. It ensures the reliability and security of IT systems and infrastructure by evaluating controls, identifying vulnerabilities, and detecting cyber threats. IT auditing also plays a crucial role in reducing business risks. Firstly, it enhances data security by assessing and improving the protection of sensitive information. Secondly, IT auditing ensures compliance with relevant regulations and industry standards, reducing legal and regulatory risks. Thirdly, it improves operational efficiency by identifying areas for optimization and streamlining IT processes. Lastly, IT auditing provides valuable insights and recommendations for informed decision-making, reducing risks associated with incorrect or incomplete information.

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Deirdre's business purchased two assets during the current year (a full 12-month tax year).On January 20 Deirdre placed in service computer equipment (five-year property) with a basis of $15,000 andon September 1 placed in service machinery (seven-year property) with a basis of $15,000. Calculate the maximum depreciation expense (ignoring $179 and bonus depreciation). (Use MACRS Half-Year ConventionTable.) (Round final answer to the nearest whole number.) $1,286 $5,144 $5,786 $6,000 None of the choices are correct. D Question 17 1 pts Littman LLC placed in service on July 29, 2021, machinery and equipment (seven-year property) with a basis of $600,000. Littman's income for the current year before any depreciation deduction was $100,000. Which of the following statements is true to maximize Littman's total depreciation deduction for 2021? (Use MACRS Table 1.) Littman should take 5179 expense equal to the maximum $1,050,000 Littman should take no 3179 expense. Littman's 5179 expense will be greater than $100.000 Littman's 5179 expense will be less than $100,000 None of the choices are correct

Answers

When assets are purchased, their depreciation can be claimed over a period of years. MACRS is a commonly used tax depreciation method in the United States.

Given below is the solution to the given problem:Solution:Given that Deirdre placed in service computer equipment (five-year property) on January 20 and machinery (seven-year property) on September 1 with a basis of $15,000 each.Since the assets were placed in service during the current year, the mid-quarter convention will not apply. Therefore, the half-year convention applies and the percentages for five and seven-year properties are as follows:1st year = 20%2nd year = 32%3rd year = 19.20%4th year = 11.52%5th year = 11.52%6th year = 5.76%7th year = 5.76%For computer equipment (five-year property), depreciation expense will be:Year 1: 20% * $15,000 = $3,000Year 2: 32% * $15,000 = $4,800Year 3: 19.20% * $15,000 = $2,880Year 4: 11.52% * $15,000 = $1,728Year 5: 11.52% * $15,000 = $1,728Total depreciation expense = $3,000 + $4,800 + $2,880 + $1,728 + $1,728 = $14,136.For machinery (seven-year property), depreciation expense will be:Year 1: 14.29% * $15,000 = $2,143.50Year 2: 24.49% * $15,000 = $3,673.50Year 3: 17.49% * $15,000 = $2,623.50Year 4: 12.49% * $15,000 = $1,873.50Year 5: 8.93% * $15,000 = $1,339.50Year 6: 8.92% * $15,000 = $1,338Year 7: 8.93% * $15,000 = $1,339.50Total depreciation expense = $2,143.50 + $3,673.50 + $2,623.50 + $1,873.50 + $1,339.50 + $1,338 + $1,339.50 = $14,330.5.The maximum depreciation expense, ignoring $179 and bonus depreciation, would be $14,330.5. Hence, the correct answer is none of the choices are correct.The total depreciation expense for the machinery should be $14,330.5 instead of $14,236, which is an error in the given answer choices.

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a company has some ottling eqwuipemnt qhich cost 75 million, has anrt bookv alue of 3.7 milionand etsimate cash flows of 3.2 million qand a fiar value of 2.6. what is the asset imapirment loss?

Answers

Based on the information provided, it appears that the bottling equipment has suffered an impairment loss.

An impairment loss occurs when an asset's carrying value exceeds its recoverable amount. In this case, the carrying value is $3.7 million, while the fair value is $2.6 million. This means that the equipment's value has decreased below its original purchase price of $75 million. To calculate the impairment loss, we need to determine the difference between the carrying value and the fair value. In this case, the impairment loss would be $1.1 million ($3.7 million - $2.6 million). This is the amount that the company should recognize as a loss in their financial statements to reflect the decrease in the equipment's value. It's worth noting that impairment losses can have significant impacts on a company's financial statements, as they reduce the reported value of assets and can affect profitability measures like net income. As such, it's important for companies to regularly assess the recoverable value of their assets to identify any impairment losses that may need to be recognized.

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Professor Z needs to allocate time among several tasks next week to include time for students'
appointments. Thus, he needs to forecast the number of students who will seek appointments. He has
gathered the following data:
Week # of students
6 weeks ago 83
5 weeks ago 110
4 weeks ago 95
3 weeks ago 80
2 weeks ago 65
Last week 50
What is the forecast for this year using exponential smoothing with = 0.2, if the forecast for two weeks
ago was 90?

Answers

the forecast for this week is that 78 students will seek appointments with Professor Z.

To forecast the number of students seeking appointments using exponential smoothing with α = 0.2, you can apply the following formula:
Forecast = (α * Actual) + ((1 - α) * Previous Forecast)
Here's the calculation using the given data:
1. Calculate the forecast for last week:
Forecast = (0.2 * 65) + (0.8 * 90) = 13 + 72 = 85
2. Now, calculate the forecast for this week:
Forecast = (0.2 * 50) + (0.8 * 85) = 10 + 68 = 78

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Income Statement Nicholas Health Systems recently reported an EBITDA of $46.0 million and net income of $23.7 million. It had $6.0 million of interest expense, and its federal tax rate was 21% (ignore any possible state corporate taxes). What was its charge for depreciation and amortization? Enter your answer in dollars. For example, an answer of $1.2 million should be entered as 1,200,000. Round your answer to the nearest dollar. $

Answers

The charge for depreciation and amortization for Nicholas Health Systems is approximately $11,323,000.

To determine the charge for depreciation and amortization, we can start with the given information:

EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) = $46.0 million

Net Income = $23.7 million

Interest Expense = $6.0 million

Federal Tax Rate = 21%

The formula to calculate EBITDA is:

EBITDA = Net Income + Interest Expense + Tax Expense + Depreciation + Amortization

Rearranging the formula, we can solve for the charge for depreciation and amortization:

Depreciation + Amortization = EBITDA - Net Income - Interest Expense - Tax Expense

First, we need to calculate the tax expense:

Tax Expense = Net Income * Tax Rate

Tax Expense = $23.7 million * 21% = $4.977 million

Next, we can substitute the given values into the formula:

Depreciation + Amortization = $46.0 million - $23.7 million - $6.0 million - $4.977 million

Calculating the result:

Depreciation + Amortization = $11.323 million

Therefore, the charge for depreciation and amortization for Nicholas Health Systems is approximately $11,323,000.

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Please write clearly.
Q5 a. Describe the meaning of Tolerance Reference Hole System. b. Explain the meaning of the symbol "m 32 x 1.5-6g"

Answers

a.

Tolerance Reference Hole System:

In engineering and manufacturing, the Tolerance Reference Hole System is a method used to define the size and tolerance of holes in a mechanical part. It involves specifying a basic size for the hole, along with a letter or number that represents the tolerance range for that size. This system ensures consistency and compatibility between mating parts.

The Tolerance Reference Hole System is based on a letter-number combination, such as H7 or M6. The letter denotes the basic size of the hole, while the number indicates the tolerance class. The tolerance class determines the acceptable deviation from the basic size.

For example, in an H7 hole system, the letter "H" represents the basic size, and the number "7" represents the tolerance class. The H7 hole has a specified diameter, and the tolerance class determines the acceptable range of variation from that diameter. The higher the tolerance class number, the looser the tolerance range.

Calculating the exact dimensions and tolerances for a specific hole size requires referring to standardized tables or charts provided by engineering organizations, such as ISO or ANSI. These tables provide the corresponding values for each letter-number combination.

The Tolerance Reference Hole System is an essential tool in engineering and manufacturing to ensure proper fit and assembly of mechanical parts. By specifying the basic size and tolerance class, it allows for consistent and interchangeable parts.

b.

The symbol "m 32 x 1.5-6g" represents the specifications of a threaded fastener, specifically a screw or bolt. Let's break down the meaning of each component:

"m 32": The "m" refers to the metric system, indicating that the fastener's measurements are in metric units. "32" represents the nominal diameter of the screw or bolt, which is 32 millimeters in this case.

"x 1.5": The "x" denotes the multiplication sign, and "1.5" represents the pitch of the thread. The pitch refers to the distance between adjacent threads. In this example, the pitch is 1.5 millimeters, indicating that each thread is 1.5 millimeters apart.

"-6g": The dash ("-") indicates the tolerance class, while the number "6" represents the fit tolerance for the external thread. The letter "g" indicates the tolerance zone. The tolerance class and fit tolerance determine the acceptable range of deviation from the nominal dimensions.

The fit tolerance is categorized using letters, with "g" being a general tolerance. The number "6" indicates a relatively loose tolerance, allowing for more variation in the dimensions of the external thread.

Overall, the symbol "m 32 x 1.5-6g" represents a metric screw or bolt with a nominal diameter of 32 millimeters, a thread pitch of 1.5 millimeters, and a loose tolerance for the external thread. This information is crucial for selecting compatible nuts, threaded holes, or other mating components.

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Eurobonds have become a major source of finance for global firms. Billions of dollars, euros, yen and other currency denominated Eurobonds are issued every year by companies. What is a Eurobond? What advantages does a Eurobond have relative to a foreign bond or a domestically issued bond? (250 words minimum)

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Eurobonds are financial instruments issued in countries outside the jurisdiction of the issuer. They have become a significant source of finance for global firms as billions of dollars, euros, yen, and other currency-denominated Eurobonds are issued annually by companies.

A Eurobond is a bond that is issued by a multinational company in a country other than its own country. They are bonds that are sold in countries outside the country of origin of the issuer. They are traded globally and are often denominated in dollars or other major currencies. A Eurobond is not subject to regulatory or tax requirements of the country in which it is sold.Advantages of a Eurobond over foreign and domestically issued bonds include:- Capital and currency market access to international firms,- Reduced interest rate and borrowing costs,- Minimal or no involvement with local regulations,- Flexibility of raising capital in foreign currency to hedge against domestic inflation, political, and economic risks,- Diversification of investor base across different countries.Eurobonds are useful for investors who are looking for a diversification of their investment portfolios and also for multinational companies who want to raise funds for global operations. As a result, many corporations issue Eurobonds every year to raise capital from global investors.

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Firms that do not have the ability to price discriminate will sell units equal to the intersection of which two curves? Demand (D) and MC = ATC curves O Demand (D) and marginal revenue (MR) curves Marginal revenue (MR) and MC = ATC curves b. Firms with the ability to first-degree price discriminate will sell units equal to the intersection of which two curves? O Marginal revenue (MR) and MC = ATC curves O Demand (D) and marginal revenue (MR) curves O Demand (D) and MC - ATC curves c. Firms that have the ability to first-degree price discriminate will have profits that are O less than a firm that does not have the ability to price discriminate Ogreater than a firm that does not have the ability to price discriminate equal to a firm that does not have the ability to price discriminate

Answers

Firms that do not have the ability to price discriminate will sell units equal to the intersection of the Demand (D) and marginal revenue (MR) curves.

In economics, price discrimination refers to the practice of charging different prices to different customers for the same product or service. Firms that cannot price discriminate typically face a downward-sloping demand curve and must set a single price for all customers. The point where the Demand (D) curve intersects with the marginal revenue (MR) curve represents the optimal quantity of units to sell for maximizing profits. However, firms that have the ability to engage in first-degree price discrimination, also known as perfect price discrimination, can charge each customer their maximum willingness to pay. In this case, the firm's demand curve coincides with the individual customer's willingness to pay curve. The point where the Demand (D) curve intersects with the marginal cost (MC) equals average total cost (ATC) curve represents the quantity of units the firm will sell.

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Which Effective Annual Rate (EAR) corresponds to an Annual
Percentage Rate (APR) of 5%, compounded quarterly?
5.12%
5.00%
1.25%
5.09%

Answers

The Effective Annual Rate (EAR) that corresponds to an Annual Percentage Rate (APR) of 5%, compounded quarterly, is approximately 5.09%. The EAR represents the true annual interest rate, taking into account the compounding frequency. To calculate the EAR, we can use the formula:

EAR = (1 + APR/n)^n - 1

Where APR is the Annual Percentage Rate and n is the number of compounding periods per year. In this case, the APR is 5% and it is compounded quarterly, so n = 4. Plugging these values into the formula, we get:

EAR = (1 + 0.05/4)^4 - 1

= (1.0125)^4 - 1

≈ 0.0512 - 1

≈ 0.0509

Therefore, the EAR corresponding to an APR of 5%, compounded quarterly, is approximately 5.09%.

The compounding frequency plays a significant role in determining the Effective Annual Rate (EAR). In this case, the APR is compounded quarterly, meaning that interest is added to the principal every three months. The formula for calculating EAR takes into account this compounding frequency, resulting in a slightly higher effective rate than the stated APR. The EAR of 5.09% reflects the compounding effect over the year and provides a more accurate representation of the total interest earned or paid annually. It is essential to consider the EAR when comparing different financial products or evaluating the true cost of borrowing or the yield on an investment.

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Consider the statement below. Select whether this will impact the supply or the demand curve. Then select whether this will shift the corresponding curve left right ora movement along the existing curve, A well studied impact of dimate change is the impact of higher levels of 002 and heat on human productivity. Generally it has been found that people are significantly less productive in hot environments with high levels of CO2. This would impact: Supply Demand. Shifts left Shifts right. Movement along the curve,

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The given statement, "A well studied impact of dimate change is the impact of higher levels of 002 and heat on human productivity. Generally it has been found that people are significantly less productive in hot environments with high levels of CO2," will impact the supply curve. It will shift the corresponding curve to the left.Therefore, the correct answer is: Supply, Shifts left.What is the supply curve?In economics, a supply curve is a graphical representation of the relationship between the cost of goods or services and the quantity of them that suppliers are willing to offer. This demonstrates the quantity of goods that suppliers are prepared to sell at different prices.What is meant by the leftward shift of the supply curve?When the supply curve shifts to the left, it indicates that there has been a decrease in supply as a result of a change in a non-price determinant of supply. As a result, at any given price, the quantity supplied of a commodity has reduced.

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For the statements below indicate if it is true or false. If the statement is false, rewrite so that it is a true statement.
a. The discount rate is the interest rate that one bank charges on a loan to another bank TRUE/False :
b.the present value of a bond is the rate of interest times the expected annual income flow TRUE/False :
c. Treasury bill with a par value of $5000 sold at $4,750. After six month the discount of this treasury bill is 8.6% . Show your answer. TRUE/False :
d.Assuming free markets, purchasing power parity refers to a situation in which the real purchasing power of a currency is the same in domestic and international trade. TRUE/False : e. When companies accumulate too much debt, they usually engage in secondary offerings to acquire money for paying the debt. TRUE/False :

Answers

a. False, the discount rate is the interest rate that the Federal Reserve charges on loans to banks.

a. The discount rate is not the interest rate that one bank charges on a loan to another bank. It is actually the interest rate that the Federal Reserve charges on loans to banks. The discount rate is an important tool used by the central bank to control the money supply and manage the economy. When the Federal Reserve increases the discount rate, it becomes more expensive for banks to borrow money from the central bank, leading to a reduction in the money supply. Conversely, when the discount rate is lowered, borrowing costs for banks decrease, which encourages lending and stimulates economic activity.

b. False, the present value of a bond is the sum of the discounted future cash flows.

c. False, the discount on the Treasury bill after six months cannot be determined solely based on the information provided. The discount on a Treasury bill is typically calculated by subtracting the purchase price from the face value of the bill and then expressing it as a percentage of the face value. In this case, we would need to know the face value of the bill to accurately determine the discount. However, the purchase price of $4,750 implies that the bill was sold at a discount to its face value.

d. True, assuming free markets, purchasing power parity (PPP) refers to a situation in which the real purchasing power of a currency is the same in domestic and international trade. It suggests that the exchange rate between two currencies should adjust to reflect the differences in price levels between the two countries. If purchasing power parity holds, then a basket of goods in one country should cost the same in another country when the exchange rate is taken into account.

e. False, when companies accumulate too much debt, they do not usually engage in secondary offerings to acquire money for paying the debt. Instead, companies may take various measures to manage their debt, such as renegotiating loan terms, refinancing, or selling assets. Secondary offerings refer to the issuance of new shares by a company to raise additional capital from investors. This is typically done to fund expansion, research and development, or other strategic initiatives, rather than to pay off existing debt.

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