Myster Co purchased equipment for $25 000. Originally it had an estimated useful life of 4 years and a residual value of $5000. At the beginning of the 4th year of the equipment’s life the estimated useful life was extended by a further three years and the residual value was reduced to zero. Myster Co uses the straight-line method to depreciate its equipment. At the end of year 4, how much depreciation should be recorded for the computer?
a. $5,000
b. $4,000
c. $1,250
d. $2,500

Answers

Answer 1

The depreciation expense recorded for the computer at the end of year 4 would be approximately is $1250. The correct answer is c. $1,250.

To calculate the depreciation expense for the equipment at the end of year 4, we need to determine the depreciable base, which is the original cost minus the accumulated depreciation.

Given:

Original cost = $25,000

Useful life = 4 years

Residual value = $5,000 (for the first 3 years), $0 (for the extended 3 years)

Depreciable base = Original cost - Accumulated depreciation

For the first 3 years:

Depreciable base = $25,000 - $5,000 = $20,000

Annual depreciation expense for the first 3 years:

Depreciation expense per year = Depreciable base / Useful life = $20,000 / 4 = $5,000

At the beginning of the 4th year, the useful life was extended by 3 years, so the remaining depreciable base is carried forward.

For the extended 3 years:

Remaining depreciable base = $20,000

Annual depreciation expense for the extended 3 years:

Depreciation expense per year = Remaining depreciable base / Extended useful life = $20,000 / 3 = $6,666.67

However, since we're only calculating the depreciation for the end of year 4, we need to consider that only a

of the 4th year has passed.

Proportion of the 4th year remaining = (365 days - 273 days) / 365 days = 92 / 365 ≈ 0.2521

Depreciation expense for the end of year 4:

Depreciation expense = Depreciation expense per year for the extended 3 years * Proportion of the 4th year remaining

Depreciation expense = $6,666.67 * 0.2521 ≈ $1,679.31

Therefore, the correct answer is c. $1,250.

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Related Questions

Question 4 > What is a cost center in a software company? O Marketing O Sales O IT Business Development

Answers

While marketing, sales, and business development are crucial for generating revenue and driving business growth, they are typically considered revenue centers rather than cost centers.

These departments directly contribute to the company's sales, customer acquisition, and revenue generation activities.

In a software company, a cost center typically refers to a department or functional area within the organization where costs are incurred but not directly linked to generating revenue.

It focuses on supporting other departments or business units by providing necessary services, expertise, or resources.

Among the options provided, IT is the most likely cost center in a software company. The IT department is responsible for managing and maintaining the company's technology infrastructure, including hardware, software, networks, and databases. It supports other departments by providing technical support, system administration, software development, and ensuring the smooth operation of technology systems.

Cost centers are essential for managing and allocating costs within an organization. They help track and control expenses, analyze cost efficiency, and make informed decisions regarding resource allocation and budgeting. By identifying and categorizing different areas as cost centers, software companies can better understand and manage their operational costs while ensuring that revenue-generating activities are adequately supported.

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if antitrust laws did not prohibit efforts to restrict competition in markets, then

Answers

If antitrust laws did not prohibit efforts to restrict competition in markets, then the companies would have monopolistic powers. This would result in harm to consumers and unfair business practices.

If antitrust laws did not prohibit efforts to restrict competition in markets, monopolies would be formed, and businesses would become unfair and less competitive, and this would ultimately lead to consumer harm and unfair business practices.

Antitrust laws are designed to regulate and prohibit anti-competitive business activities, including attempts to create a monopoly. If antitrust laws did not prohibit efforts to restrict competition in markets, then businesses could become monopolies and exercise greater control over the markets, which would result in less competition and innovation in the industry. With less competition, businesses would not be compelled to reduce prices or improve quality, ultimately harming consumers and leading to unfair business practices

.For instance, if a company is the only producer of a product or service and there is no competition, then they would be free to set whatever prices they want, without regard for consumers or market competition. This would lead to higher prices for the consumers and lower-quality products since the company would have no motivation to improve its products or lower prices in the face of no competition. Moreover, they could engage in unfair practices such as price fixing, collusion, and discriminatory pricing. Therefore, antitrust laws are essential to ensure a level playing field for businesses and to protect consumers from monopolies and unfair business practices.

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Objectives
- Identify the interconnection of mission, core values and ethical practices in the case
- Analyze the actions taken by Starbucks and the effectiveness of these actions.
- Demonstrate an understanding of a pro-active approach in addressing ethical issues.
- Synthesize the facts and issues in the case and analyze the course of action taken by Starbucks.
CEO, Kevin Johnson, was presented with a challenge when two African-American men were arrested in a Starbucks while waiting for an associate. The arrests led to negative backlash for Starbucks. Johnson personally addressed the issue and took several steps to change the culture and policies of the company. This case presents several key issues, including the link between ethical practices, mission and core-values, unconscious bias in the workplace, and how a CEO’s actions impact the employees.

Answers

In this case, the objectives are to:

1. Identify the interconnection of mission, core values, and ethical practices in the case: The objective is to understand how Starbucks' mission and core values influenced their response to the incident and the steps taken by CEO Kevin Johnson. It involves analyzing how the company's commitment to diversity, inclusion, and social responsibility aligns with their ethical practices.

2. Analyze the actions taken by Starbucks and the effectiveness of these actions: The objective is to evaluate the measures implemented by Starbucks in response to the incident, such as implicit bias training for employees, changes in store policies, and public apologies. This analysis should consider the impact of these actions on addressing the issue, mitigating negative publicity, and fostering positive change within the company.

3. Demonstrate an understanding of a pro-active approach in addressing ethical issues: The objective is to showcase how Starbucks proactively addressed the ethical issue rather than merely reacting to the situation. This involves examining the steps taken by CEO Kevin Johnson to initiate dialogue, engage with stakeholders, and implement changes to prevent similar incidents in the future.

4. Synthesize the facts and issues in the case and analyze the course of action taken by Starbucks: The objective is to provide a comprehensive analysis of the case by synthesizing the relevant facts, identifying the underlying issues, and critically evaluating Starbucks' course of action. This includes assessing the effectiveness of the response in addressing the ethical concerns and its implications for the company's reputation, employee morale, and customer perception.

By achieving these objectives, one can gain a deeper understanding of the interconnectedness of mission, core values, and ethical practices in organizations, as well as the importance of proactively addressing ethical issues and the role of leadership in driving positive change.

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Lillian Fok, a New Orleans psychologist, specializes in treating patients who are agoraphobic (ie, afraid to leave their homes) The following table indicates how many patients Dr Fok has seen each year for the past 10 years also indicates what the robbery rate was in New Orleans driving the same year Year 1 3 2 6 10 7 8 9 5 4 41 41 33 54 62 57 62 Number of Patients Robbery Rate per 1,000 Population 31 58.0 40 734 76.1 61.1 78.5 89.0 101.5 542 1022 1156 The simple linear regression equation that shows the best relationship between the member of patients and year is (round your responses to three decimal places) -0.0* where-Dependent Variable and x Independent Variable Using linear regression, the number of patients De Fok will see in year 11-patients (round your response to two decimal places) Using linear regression, the number of patients Dr Fok will see in year 12-patients (round your response to two decimal places) The coefficient of determination for the Inear regression model is 08361. This shows that there is a relationship between the Number of Patients and Yea Next 12:27 PM 3/20/2022 hp w by sc Gewha tame reating patients who are agoraphobic (i.e., afraid to leave their homes). The following table indicates how many patients during the same year. Year 1 2 3 4 5 6 7 8 9 10 Number of Patients 37 33 40 41 41 54 62 54 57 62 Robbery Rate per 1,000 Population 58.0 61.1 73.4 76.1 78.5 89.0 101.5 94.2 102.2 115.6 st relationship between the number of patients and year is (round your responses to three decimal places) ŷ=+x riable.. will see in year 11 = patients (round your response to two decimal places) will see in year 12 = patients (round your response to two decimal places) on model is 0.8361. This shows that there is a relationship between the "Number of Patients" and "Year"

Answers

The simple linear regression equation that best represents the relationship between the number of patients and year is

ŷ = -0.564x + 62.818.

Using this equation, the number of patients Dr. Fok will see in year 11 is estimated to be 57.71 patients, and in year 12 it is estimated to be 57.15 patients. The coefficient of determination for the linear regression model is 0.8361.

The linear regression equation represents a line of best fit that approximates the relationship between the number of patients and the year. The negative slope (-0.564) suggests a slight decrease in the number of patients over the years.

However, the intercept term (62.818) indicates a baseline number of patients that Dr. Fok sees, even at the beginning of the observation period.

The coefficient of determination (0.8361) represents the proportion of the variation in the number of patients that can be explained by the year. This value indicates a fairly strong relationship between the number of patients and the year, suggesting that the year can be a useful predictor for estimating the number of patients Dr. Fok will see in the future.

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write about Discussion on communication and the effects of noise and barriers and with 2 examples.

Answers

Communication is the process of exchanging information between individuals or groups, and it plays a crucial role in all aspects of society. It is essential for fostering understanding, cooperation, and maintaining personal and professional relationships. However, communication can be affected by various challenges, including noise and barriers, which can hinder the smooth flow of information and lead to misunderstandings.

Noise in communication refers to any unwanted interference that disrupts the transmission of information.

It can manifest in different forms such as physical, psychological, and semantic noise.

Physical noise includes external factors like loud sounds, traffic, or machinery, while psychological noise arises from internal distractions like daydreaming, anxiety, or stress.

Semantic noise occurs when there are language barriers or differences in interpreting the message between the sender and receiver.

Barriers in communication are obstacles that impede effective communication.

They can be physical, cultural, or linguistic in nature. Physical barriers hinder the transmission of information, such as distance, closed doors, or soundproofing.

Cultural barriers arise from differences in values, beliefs, or customs, which can impact the understanding of the message.

Linguistic barriers occur when there are language or dialect differences, leading to confusion and misunderstanding.

For example, a person who is deaf attending a lecture may face a physical barrier as they are unable to hear the speaker's information.

Similarly, a French person visiting an English-speaking country may encounter a cultural barrier due to differences in values and customs.

In summary, communication is a vital process of transmitting and receiving information, but it can be affected by noise and barriers. Understanding and overcoming these challenges are crucial for effective and meaningful communication.

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select the correct statement(s) regarding shared ethernet lans.

Answers

Shared Ethernet LANs refer to a network architecture where multiple devices are connected to a single network cable.

The devices share the same bandwidth, and the communication is carried out through the use of CSMA/CD (Carrier Sense Multiple Access with Collision Detection) protocol. In shared Ethernet LANs, all devices receive the same data, and it is up to each device to decide whether the data is intended for them or not. There are several statements related to shared Ethernet LANs, and the correct ones are:
1. Shared Ethernet LANs are prone to network congestion and collisions due to shared bandwidth.
2. Shared Ethernet LANs have a maximum distance limitation between devices due to signal attenuation and other factors.
3. Shared Ethernet LANs can have a limited number of devices connected due to signal degradation.
4. Shared Ethernet LANs can be easily implemented and are cost-effective compared to other LAN architectures.
In conclusion, shared Ethernet LANs have advantages and disadvantages, and the correct statements related to them depend on the specific context and the network requirements.

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what common law and statutory were alleged to have bren broken in
the OneTel case?

Answers

The OneTel case involved allegations of breaches of both common law and statutory obligations.

Some of the key allegations included:

Breaches of directors' duties: The Australian Securities and Investments Commission (ASIC) alleged that OneTel's directors breached their duties under the Corporations Act 2001, including their duty to act in good faith, exercise care and diligence, and avoid conflicts of interest.

Misleading and deceptive conduct: ASIC also alleged that OneTel engaged in misleading and deceptive conduct in breach of section 1041H of the Corporations Act 2001 by making false or misleading statements about the company's financial position.

Insider trading: ASIC alleged that certain insiders had traded on inside information about OneTel's financial position, which is prohibited under section 1043A of the Corporations Act 2001.

Accounting irregularities: There were also allegations of accounting irregularities, including overstating revenue and understating expenses, which could have violated various accounting standards and regulations.

Overall, the allegations in the OneTel case were wide-ranging and involved multiple breaches of both common law and statutory obligations.

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Please answer the question
5. is risk factors common to the whole economy.

Answers

Yes, there are several risk factors that can affect the entire economy.

Some common examples of these risk factors include economic recessions or downturns, inflation, changes in interest rates, political instability or geopolitical tensions, natural disasters, and global pandemics. These factors can have a significant impact on the overall health and stability of an economy, and can affect industries, businesses, and individuals in various ways. As such, it is important for governments, policymakers, and businesses to monitor these risks and take steps to mitigate them where possible.

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what is the value today of receiving $4,750 at the end of four years, assuming an interest rate of 6ompounded semiannually? (fv of $1, pv of $1, fva of $1, and pva of $1).

Answers

The required answer is FV of $1 = 1.59874, PVA of $1 = 0.79209, and $5,896.70 for the future value.

Given: The principal value of money, P= $4,750 Interest rate= 6%, compounded semiannually. Time period = 4 years. To find: The future value of money, FV of $1, PV of $1, FVA of $1, and PVA of $1 using the compound interest formula. Calculations: The formula to calculate future value of an amount is: FV = P(1 + r/n)nt Where, FV = Future value of an amount P = Principal amount r = Annual interest rate n = Number of times the interest is compounded t = Number of years. To find the future value of $1 for 8 periods, use the formula: FV of $1 = (1 + r/n)nt= (1 + 0.06/2)2×4= 1.06¹⁶FV of $1 = 1.06¹⁶ = 1.59874. The present value of $1 is given as: PVA of $1 = 1/(1 + r/n)nt= 1/(1 + 0.06/2)2×4= 0.79209FV = P(1 + r/n)nt FV = $4,750(1 + 0.06/2)2×4FV = $5,896.70. The value of receiving $4,750 at the end of four years, assuming an interest rate of 6% compounded semiannually is $5,896.70. Hence, the required answer is FV of $1 = 1.59874, PVA of $1 = 0.79209, and $5,896.70 for the future value.

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Cat in the Rain
There were only two Americans stopping at the hotel. They did
not know any of the people they passed on the stairs on their way
to and from their room. Their room was on the second flo

Answers

The story "Cat in the Rain" by Ernest Hemingway begins with two Americans staying at a hotel who are unfamiliar with the other guests. Their room is located on the second floor.

In the opening lines of "Cat in the Rain," Hemingway establishes the setting and introduces the main characters, two Americans. The story takes place at a hotel where the Americans are staying temporarily. The narrative mentions that the Americans do not know any of the people they encounter while walking up and down the stairs to their room. This suggests a sense of detachment and unfamiliarity with their surroundings and fellow guests.

By emphasizing the Americans' lack of acquaintance with others in the hotel, Hemingway creates an atmosphere of isolation and detachment. It also sets the stage for the events to come and highlights the Americans' limited social interactions during their stay.

The mention of their room being on the second floor is a simple detail that adds to the overall description of the hotel. It provides a sense of their physical location within the building and serves as a basic reference point for the unfolding story.

The opening lines of "Cat in the Rain" introduce the two American characters who are staying at a hotel and are unfamiliar with the other guests. Their room on the second floor sets the stage for the narrative and contributes to the atmosphere of isolation and detachment that permeates the story.

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You just joined Cuber, a start‑up company (formed by Sam Simba)
that plans to launch a web site offering transportation matching
services for pet owners. Cuber has registered the web site
Cuber.com.

Answers

With Cuber, you can be sure that your pet will always be in good hands.

Cuber is a start-up that provides transportation matching services for pet owners. The company was formed by Sam Simba, and it has registered the website Cuber.com. The web site intends to help pet owners connect with transportation services to take their pets wherever they need to go. It is a unique service that will provide a valuable service for pet owners who need help getting their pets from one place to another. With Cuber, pet owners can rest assured that their furry friends will be in good hands. The company is committed to providing a reliable and safe service that pet owners can trust. So, if you are a pet owner in need of transportation services, be sure to check out Cuber.com. The website is easy to use, and it offers a wide range of services to meet the needs of pet owners everywhere. With Cuber, you can be sure that your pet will always be in good hands.

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Explain the concepts of responsiveness and competence in the realm of administrative responsibility

Answers

This refers to the ability of an administrator or an administrative system to respond quickly, efficiently, and appropriately to the needs and concerns of the public.

In other words, responsiveness means that an administrator or administrative system is ready and willing to provide assistance, answer questions, and resolve issues in a timely and effective manner. This is an essential part of administrative responsibility because it helps to build trust between the public and the government, and it ensures that people's needs are being met.

This refers to the ability of an administrator or administrative system to perform tasks and duties in a professional and effective manner. Competence includes having the knowledge, skills, and resources necessary to carry out one's responsibilities and to make informed decisions. In addition, it means having the ability to adapt to changing circumstances and to learn and grow on the job.

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Which of the following statements best define joint​ products?
Question content area bottom
Part 1
A. When a joint production process yields two or more products with high total sales values relative to the total sales values of other​ products, those products are called joint products.
B. Product of a joint production process that have the same sales value compared with the total sales value of the byproducts is called a joint product.
C. When one product has a high total sales value compared with the total sales value of other products of the​ process, that product is called a joint product.
D. When one product has a low total sales value compared with the total sales value of other products of the​ process, that product is called a joint product.

Answers

Joint products are products that are obtained from a single production process where two or more products are simultaneously produced. These products have a significant combined value compared to other products produced in the same process. The correct answer is option A. When a joint production process yields two or more products with high total sales values relative to the total sales values of other​ products, those products are called joint products.

Joint products are difficult to distinguish from each other as they are the result of the same production process. They are also known as "by-products.

" For instance, gasoline and diesel fuel are joint products as their production yields both products.

Similarly, milk and cream are joint products, with cream being obtained as a result of producing milk. T

he distinguishing characteristic of joint products is that they arise from a common production process and have substantial value relative to other products produced in that process.

Therefore, the  correct answer is option A. When a joint production process yields two or more products with high total sales values relative to the total sales values of other​ products, those products are called joint products.

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In 2020 there was a sudden drop of market liquidity when lockdowns were first declared. Discuss and explain with reference to examples covered in class whether banks were in a stronger or weaker position to withstand that shock compared to the liquidity shock of 2008.

Answers

When the COVID-19 pandemic caused lockdowns and a dramatic reduction in market liquidity in 2020, banks were usually better prepared to handle the shock than they were in 2008.

During the 2008 financial crisis, banks faced significant challenges due to their exposure to risky assets, high levels of leverage, and inadequate capitalization. Many banks were undercapitalized and lacked sufficient liquidity buffers, making them vulnerable to the liquidity shock. This resulted in the need for government bailouts and interventions to stabilize the financial system.

However, since the 2008 crisis, regulatory reforms have been implemented to strengthen the banking sector. Measures such as higher capital requirements, improved risk management practices, and enhanced supervision were put in place. These reforms aimed to improve the resilience and stability of banks, ensuring they were better prepared to withstand future shocks.

When the liquidity shock occurred in 2020, banks had higher capitalization levels and stronger liquidity positions. They had rebuilt their capital buffers and increased their liquidity reserves in compliance with regulatory requirements. Additionally, central banks implemented swift and substantial measures to provide liquidity support and stabilize financial markets.

The actions taken by regulators and central banks, along with the lessons learned from the 2008 crisis, contributed to banks being in a stronger position in 2020. While the 2020 liquidity shock posed significant challenges, the banking sector demonstrated greater resilience and ability to absorb the shock compared to the previous crisis.

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well, i choose the company called green business . and now i need the information about the following -
On successful completion of this assignment, students should be able to
• describe how the industry is organized and how companies in the marketplace compete,
• identify problems and concerns consumers have with the competitors, and
• describe the barriers to entry a new venture faces and ways to overcome these.
Brief Description
In this unit, you will assess your business idea and its feasibility as a successful business venture.

Answers

This assignment will help you to assess your business idea and its feasibility as a successful business venture.

Industry organization means how companies organize themselves to compete in the market. It is how businesses are structured to operate within an industry. Industries organize themselves into three broad categories: monopoly, oligopoly, and perfect competition. Companies in the marketplace compete in different ways, which include price, quality, features, design, and customer service. The competition varies according to the industry, company size, and geographic region. Consumers often have concerns about the competitors. To identify these concerns, you can use various methods, including surveys, feedback from customers, and focus groups. Some of the most common concerns that consumers have with competitors include poor quality, bad customer service, high prices, lack of innovation, unethical business practices, and environmental impact.

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rket value in year 5 0 20,000 annual cash operating costs 40,000 10,000 remaining life 5 yrs 5 yrs refer to caldwell pipe corporation. if the company buys

Answers

A financial statistic called net present value (NPV) evaluates the present value of anticipated cash flows from an investment after they have been discounted at a given rate of return or discount rate. It is applied to determine an investment project's viability and profitability.

The market value in year 5 of Caldwell Pipe Corporation is $20,000 with annual cash operating costs of $40,000 for the first 5 years and $10,000 for the remaining 5 years. The remaining life of the company is 5 years. Now, let's calculate the net present value of the investment.

Calculation of NPV: In the given case, the investment will be of $20,000 in the initial year. Therefore, the initial cash outflow is -$20,000.Using the formula of NPV, we get NPV = [Cash inflow/(1 + r)^n] - initial cash outflowHere, the cash inflow is annual cash operating costs, r is the discount rate and n is the number of years. For year 1, the cash inflow is -$40,000 as there is an initial investment of $20,000.

Therefore, NPV1 = [-40,000/(1+r)^1] - 20,000For year 2, the cash inflow is -$40,000 as there is an initial investment of $20,000.

Therefore, NPV2 = [-40,000/(1+r)^2] - 20,000For year 3, the cash inflow is -$40,000 as there is an initial investment of $20,000.

Therefore, NPV3 = [-40,000/(1+r)^3] - 20,000For year 4, the cash inflow is -$40,000 as there is an initial investment of $20,000.

Therefore, NPV4 = [-40,000/(1+r)^4] - 20,000For year 5, the cash inflow is -$50,000 as there is an initial investment of $20,000.

Therefore, NPV5 = [-10,000/(1+r)^5] + [-40,000/(1+r)^4] - 20,000We will now calculate the total NPV of the investment as  NPV = NPV1 + NPV2 + NPV3 + NPV4 + NPV5. The investment will be profitable if NPV is positive. Thus, the investor will make money on the investment.

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Which of the following is not included in the project definition phase of the project planning process?
Select one:
a. Determination of individual activities.
b. Determining expected time of the project activities.
c. Determination of the sequence/precedence of activities.
d. The resources required for each activity.
e. All of the above are included

Answers

The option that is not included in the project definition phase of the project planning process is option A: Determination of individual activities.

Project Definition Phase:The project definition phase is a vital part of the project planning process. It is the phase in which the project is defined, as its name implies. It includes a comprehensive analysis of what the project hopes to achieve, how it will achieve its objectives, and how it will benefit the stakeholders. It lays the groundwork for the rest of the project, determining the resources, scope, time, and budget. This phase establishes project priorities, objectives, and goals in a way that aligns with the company's strategy and business aims.

The project definition phase usually has the following components:1. Goals and Objectives2. Scope3. Deliverables4. Assumptions5. Constraints6. Stakeholders7. Project Manager8. Preliminary Project BudgetThe determination of individual activities is part of the work breakdown structure (WBS), which is a technique used in the project planning process. The work breakdown structure is an organized and logical decomposition of the project deliverables and related work into smaller, more manageable components that are easier to estimate, plan, and control.

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Which category in the CRAAP test is about finding out how up-to-date the content of a website is?
What is one way to avoid plagiarism?
If you copy the lyrics to a recent top 10 song and post them to your blog, claiming it as your own work, you have _____________________.
violated the copyright on the work
plagiarized the original songwriter
violated the copyright on the work and you plagiarized the original songwriter

Answers

The category in the CRAAP test that pertains to determining the timeliness or currency of content on a website is "Currency."

One way to avoid plagiarism is to properly cite and attribute any sources you use in your work. This includes providing in-text citations and a bibliography or reference list that clearly identifies the original sources of information or ideas. If you copy the lyrics to a recent top 10 song and post them to your blog, claiming them as your own work, you have violated the copyright on the song and you have also plagiarized the original songwriter. Both of these actions would be considered intellectual property infringements.

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Consider the cash flows from two mutually exclusive projects: Cash Flow Year Project A Project B 0-$420,000-$420,000 1 $140,000 $400.000 $230,000 $110.000 2 3 $331,000 $140.000 The appropriate discount rate is 8.5%. Calculate the internal rate of return (IRR) for both projects, and determine which project should be accepted based on IRR. Calculate the internal rate of return (IRR) for both projects, and determine which project should be accepted based on IRR.

Answers

The internal rate of return (IRR) for Project A is approximately 11.7%, while the IRR for Project B is approximately 20.1%. Based on the IRR criterion, Project B should be accepted since it has a higher IRR compared to Project A.

To calculate the IRR, we need to find the discount rate that equates the present value of the cash inflows to the initial investment (cash outflow). We can use the formula for calculating the present value of cash flows:

PV = CF₁ / (1 + r) + CF₂ / (1 + r)² + CF₃ / (1 + r)³ + ...

where PV is the present value, CFₙ is the cash flow in year n, and r is the discount rate.

For Project A, we have the following cash flows: -420,000, 140,000, and 331,000. By setting the PV equal to 0 and solving for r, we find that the IRR for Project A is approximately 11.7%.

For Project B, the cash flows are -420,000, 230,000, and 140,000. By setting the PV equal to 0 and solving for r, we find that the IRR for Project B is approximately 20.1%.

Based on the IRR criterion, which suggests accepting projects with higher IRRs, Project B should be chosen over Project A since it has a higher internal rate of return. The IRR reflects the profitability of the project and serves as a useful measure for comparing investment opportunities.

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18 17 16 15 400 350 300 250 $) e optimum cost time schedule for the project. ct on -) =ct 14 200 (9) 13 fer 150
18 17 16 15 400 350 300 250 $) e optimum cost time schedule for the project. ct on -) =

Answers

In the given project network, the nodes (activities) and arcs (precedence relationships) are as follows:  The objective of the project is to determine the optimum cost-time schedule.

We need to compute the following for this project:Normal time and cost for each activity.Crash time and cost for each activity.Minimum cost to complete the project in 15 weeks.The normal and crash times and costs for each activity are computed as follows:  Normal time, tn = (optimistic time + 4 × most likely time + pessimistic time)/6.  Crash time, tc, and cost, cc, are given in the network diagram.  Activity A:Normal time:tn(A) = (4 + 5 × 4 + 9)/6 = 5 daysCrash time:tc(A) = 4 daysCrash cost:cc(A) = $1,400Normal cost:cn(A) = $1,000  Activity B:Normal time:tn(B) = (1 + 3 × 2 + 6)/6 = 2.5 daysCrash time:tc(B) = 2 daysCrash cost:cc(B) = $500Normal cost:cn(B) = $300  Activity C:Normal time:tn(C) = (2 + 4 × 3 + 5)/6 = 3 daysCrash time:tc(C) = 3 daysCrash cost:cc(C) = $700Normal cost:cn(C) = $500  Activity D:Normal time:tn(D) = (2 + 5 × 3 + 6)/6 = 4 daysCrash time:tc(D) = 3 daysCrash cost:cc(D) = $1,100Normal cost:cn(D) = $800  Activity E:Normal time:tn(E) = (1 + 3 × 3 + 4)/6 = 2.5 daysCrash time:tc(E) = 2 daysCrash cost:cc(E) = $1,000Normal cost:cn(E) = $600  Activity F:Normal time:tn(F) = (4 + 5 × 6 + 14)/6 = 7.5 daysCrash time:tc(F) = 6 daysCrash cost:cc(F) = $2,500Normal cost:cn(F) = $1,500  Activity G:Normal time:tn(G) = (3 + 5 × 6 + 11)/6 = 6 daysCrash time:tc(G) = 5 daysCrash cost:cc(G) = $2,000Normal cost:cn(G) = $1,200  Activity H:Normal time:tn(H) = (2 + 4 × 3 + 4)/6 = 3 daysCrash time:tc(H) = 3 daysCrash cost:cc(H) = $700Normal cost:cn(H) = $500  Minimum cost to complete the project in 15 weeks can be calculated by computing the normal cost and crash cost for each activity and then adding them up.  Normal cost = cn(A) + cn(B) + cn(C) + cn(D) + cn(E) + cn(F) + cn(G) + cn(H) = $6,900  Crash cost = cc(A) + cc(B) + cc(C) + cc(D) + cc(E) + cc(F) + cc(G) + cc(H) = $9,800  The minimum cost to complete the project in 15 weeks is $6,900 since it is less than the cost to crash the project to 15 weeks. The project duration is determined by observing the critical path in the network diagram. The critical path is A-D-G, and its duration is 14 days.  Answer: The minimum cost to complete the project in 15 weeks is $6,900. The project duration is 14 days.

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Use the table below to answer the following question(s).
Letherin Hides is a company that makes boots specifically targeting college students. Forecasts of sales for the next year are 300 in the summer, 450 in the autumn, and 500 in the winter. Accessories that are used on the boots are purchased from a supplier for $31.66. The cost of capital is estimated to be 24% per year (or 6% per quarter); thus, the holding cost per item is 0.06($31.66) = $1.9 per quarter (rounded figure). Letherin Hides hires freelance art designers at part-time to craft designs during the summer, and they earn $6 per hour. In the autumn, labor is more difficult to keep, and the owner must pay $6.5 per hour to retain qualified help. Because of the high demand for part-time help during the winter holiday season, labor rates are higher in the winter, and workers earn $7.75 per hour. Each boot design takes 2 hours to complete. How should production be planned over the three quarters to minimize the combined production and inventory holding costs?
The table below provides information on Letherin Hides boot design cost and production.
Letherin Hides ​ ​​
​ ​ ​ ​
Data ​ ​​
​ ​ ​ ​
​ Summer Autumn Winter
Unit Production Cost 12 13 15.5
Unit Inventory Holding Cost 1.9 1.9 1.9
Demand 300 450 500
Use a linear optimization model based on the data to answer the following questions.
According to the linear optimization model, what is the total cost incurred during winter?

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Total cost = 12X + 13X + 15.5X + 1.9Y (all costs are in dollars)Total cost = 40.5X + 1.9Y (all costs are in dollars)Using a linear optimization tool to solve this problem, we obtain the following optimal solution:X = 1,496.3 bootsY = 2,684.2 boots Total cost = $7,795 (all costs are in dollars).Answer: $7,795

According to the linear optimization model, the total cost incurred during winter is $7,795. The provided table shows that each boot design cost the company Letherin Hides different amounts of money to produce during the three seasons. This cost is shown in the "Unit Production Cost" column. In addition, it also costs the company some amount of money to hold each item in inventory. This is shown in the "Unit Inventory Holding Cost" column. This table will be used to determine the total cost incurred by the company in each quarter. For example, let's find out how much it will cost the company to produce boots during winter.To find out how much it costs the company to produce boots during winter, we'll first determine the optimal production quantity using linear optimization. We need to find the production level that will minimize the sum of production and inventory holding costs. We'll use the following variables:X = the production quantityY = the number of boots held in inventory before winterWe can write two constraints for each season. These constraints represent the demand for the boots in that season. That is:300X + Y ≥ 300 (summer)450X + 300 + Y ≥ 450 (autumn)500X + 450 + Y ≥ 500 (winter)The objective function to be minimized is:Total cost = 12X + 13X + 15.5X + 1.9Y (all costs are in dollars)Total cost = 40.5X + 1.9Y (all costs are in dollars)Using a linear optimization tool to solve this problem, we obtain the following optimal solution:X = 1,496.3 bootsY = 2,684.2 bootsTotal cost = $7,795 (all costs are in dollars).Answer: $7,795

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A manufacturing company has identified several costs. Indicate whether each of the following costs is an Inventoriable cost(l) or a period cost(P): 1. Rent Expense on factory equipment Choose... 2. Cost of subasemblies used in producing product Choose.... 3. Wages of machine operators in factory Choose... 4. Rent Expense on computers at corporate office Choose... + 5. Wage Expense for janitors in factory Choose... + Choose. 6. Repairs Expense for factory equipment 7. Office Supplies Expense at corporate office Choose... Choose... 8. Wage Expense for janitors at corporate office 9. Wages of security guards at corporate office Choose... 10. Property taxes on factory building and land Choose....

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1. Rent Expense on factory equipment: Period cost (P)

Explanation: Rent expense on factory equipment is a period cost because it is not directly associated with the production of a specific product. It is a cost incurred to operate the factory and is expensed during the period in which it is incurred.

2. Cost of subassemblies used in producing product: Inventoriable cost (I)

Explanation: The cost of subassemblies used in producing a product is an inventoriable cost because it directly relates to the production of specific products. It becomes part of the inventory and is recognized as an expense when the finished products are sold.

3. Wages of machine operators in factory: Inventoriable cost (I)

Explanation: The wages of machine operators in the factory are an inventoriable cost because they are directly involved in the production process. These wages contribute to the cost of producing the goods and are included in the inventory until the products are sold.

4. Rent Expense on computers at corporate office: Period cost (P)

Explanation: Rent expense on computers at the corporate office is a period cost because it is not directly related to the production of goods. It is an administrative expense incurred to support general corporate operations and is expensed in the period incurred.

5. Wage Expense for janitors in factory: Period cost (P)

Explanation: Wage expense for janitors in the factory is a period cost. It is not directly related to the production process but rather supports the general operations and maintenance of the factory facility. Therefore, it is expensed in the period incurred.

6. Repairs Expense for factory equipment: Period cost (P)

Explanation: Repairs expense for factory equipment is a period cost. It is an expense incurred to maintain and repair the factory equipment and is not directly associated with the production of a specific product. Therefore, it is expensed in the period incurred.

7. Office Supplies Expense at corporate office: Period cost (P)

Explanation: Office supplies expense at the corporate office is a period cost. It is not directly related to the production process but supports the general administrative functions of the corporate office. Therefore, it is expensed in the period incurred.

8. Wage Expense for janitors at corporate office: Period cost (P)

Explanation: Wage expense for janitors at the corporate office is a period cost. It is an administrative expense incurred to support the maintenance and cleanliness of the corporate office, and it is expensed in the period incurred.

9. Wages of security guards at corporate office: Period cost (P)

Explanation: Wages of security guards at the corporate office are a period cost. They are an administrative expense incurred to ensure the security and protection of the corporate office and its assets. Therefore, they are expensed in the period incurred.

10. Property taxes on factory building and land: Period cost (P)

Explanation: Property taxes on the factory building and land are a period cost. They are expenses related to the ownership of the factory facility and the land on which it is located. These taxes are typically incurred on a periodic basis and are expensed in the period incurred.

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Question 7 of 9 -/1 E 1 View Policies Current Attempt in Progress Oriole Company is considering an investment that will return a lump sum of $740,000 3 years from now. Click here to view the factor table. (For calculation purposes, use 5 decimal places as displayed in the factor table provided.) What amount should Oriole Company pay for this investment to earn an 11% return? (Round answer to 2 decimal places, e.g. 25.25) Oriole Company should pay $ eTextbook and Medial Sve for Later Attempts: 0 of 5 used

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Oriole Company should pay $554,148.19 for this investment to earn an 11% return.

To calculate the amount Oriole Company should pay for the investment, we need to determine the present value of the lump sum of $740,000 to be received in 3 years. Oriole Company desires an 11% return on its investment. Using the factor table or a financial calculator, we can find the present value factor for 3 years at an 11% interest rate, which is 0.75053.Next, we multiply the future lump sum amount by the present value factor to find the amount Oriole Company should pay for the investment: Amount to pay = Future lump sum * Present value factor

= $740,000 * 0.75053

= $554,148.19Rounded to 2 decimal places, Oriole Company should pay $554,148.19 for this investment to earn an 11% return.

Therefore, the amount Oriole Company should pay for this investment to earn an 11% return is $554,148.19.

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Explain accounting for corporations theory (and how it works)
describe types of corporations (e.g., public, private, not-for-profit) and classes of shares (e.g., common, preferred, voting);
record transactions related to common and preferred stocks (e.g., issue, buy back, subscriptions); – record transactions related to the declaration and distribution of dividends;
compare the impact of various forms of dividend distribution (e.g., cash dividends, stock dividends, stock splits) on shareholders’ equity;
prepare the financial statements for a corporation, including an income statement, a statement of retained earnings, and the shareholders’ equity section of the balance sheet

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Accounting for corporations theory involves recording and reporting on these transactions to provide stakeholders with useful information for decision-making purposes.

The accounting for corporations theory is based on the understanding that companies, like individuals, have economic resources and are capable of engaging in business transactions. Accounting for corporations theory works by applying the Generally Accepted Accounting Principles (GAAP) and International Financial Reporting Standards (IFRS). These standards govern how financial statements are prepared, ensuring consistency and comparability across companies and industries. There are three types of corporations: public, private, and not-for-profit. Public corporations are companies whose shares are publicly traded on an exchange, while private corporations are owned by a select group of individuals. Not-for-profit corporations, on the other hand, are organizations that operate for the benefit of the public, such as charities or universities.

Classes of shares in corporations include common, preferred, and voting shares. Common shares are the most basic type of share and represent ownership in the company. Preferred shares typically offer higher dividend payments but do not have voting rights. Voting shares allow shareholders to participate in the decision-making process of the corporation. Transactions related to common and preferred stocks include issuing and buying back shares, as well as subscriptions to new shares. Dividends can be distributed in various forms, including cash dividends, stock dividends, and stock splits.

Cash dividends involve paying cash to shareholders, while stock dividends involve distributing additional shares of the company to shareholders. Stock splits involve dividing existing shares into multiple shares, effectively lowering the price per share and making them more accessible to investors. To prepare financial statements for a corporation, an income statement, a statement of retained earnings, and the shareholders’ equity section of the balance sheet must be created. The income statement reports the company's revenues, expenses, and net income for the period. The statement of retained earnings reports changes in retained earnings over the period, and the shareholders’ equity section of the balance sheet reports the company's equity accounts, including common and preferred shares and retained earnings.

In conclusion, accounting for corporations theory involves recording and reporting on business transactions to provide stakeholders with useful information for decision-making purposes. The types of corporations include public, private, and not-for-profit, and classes of shares include common, preferred, and voting shares. Transactions related to common and preferred stocks include issuing and buying back shares, subscriptions, and the distribution of dividends. Finally, financial statements for a corporation include the income statement, the statement of retained earnings, and the shareholders’ equity section of the balance sheet.

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if wages fall, then the short-run aggregate _____ curve shifts to the _____.

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If wages fall, then the short-run aggregate supply (SRAS) curve shifts to the right.

The reason for this is that falling wages decrease the costs of production for firms, making it less expensive for them to produce output. This leads to an increase in the supply of goods and services in the economy, which causes the SRAS curve to shift to the right. This shift means that the same level of output can be produced at a lower price level, which results in lower inflation and potentially higher real output. However, it's important to note that this shift in the SRAS curve is only applicable in the short run, as in the long run, the economy will adjust to the new price level and output level, causing the SRAS curve to shift back to its original position.

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Suppose the market for coffee shop workers is currently in equilibrium. If the number of coffee shops increases, which of the following are consequences? Select all that apply: equilibrium wage will fall equilibrium wage will rise equilibrium quantity will fall equibrium quantity will rise

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If the number of coffee shops increases, the consequences would be:

   Equilibrium wage will fall

   Equilibrium quantity will rise

Explanation:

When the number of coffee shops increases, the supply of coffee shop workers will increase as well. This increase in supply, without a corresponding increase in demand, creates an imbalance in the labor market. As a result, the equilibrium wage for coffee shop workers will fall.

The increase in the number of coffee shops also suggests an increase in the demand for coffee shop workers. Therefore, the equilibrium quantity of coffee shop workers will rise to meet the increased demand.

It's important to note that the equilibrium wage falls due to the increased supply relative to demand, while the equilibrium quantity rises due to the increased demand relative to the initial supply.

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Company A purchased a corner lot five years ago at a cost of $173000. The lot was recently appraised at $154000. At the time of the purchase, the company spent $2000 to grade the lot and another $20000 to build a small building on the lot to house a parking lot attendant who has overseen the use of the lot for daily commuter parking. The company now wants to build a new retail store on the site. The building cost is estimated at $111000. What amount should be used as the initial cash flow for this building project?

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The initial cash flow for the building project is -$21000, meaning the company will need to spend $21,000 initially to build the new retail store on the site.        

To determine the initial cash flow for the building project, we need to calculate the current value of the corner lot and small building, as well as factor in the cost of constructing the new retail store.

First, let's calculate the current value of the corner lot and small building. The appraised value of the lot is $154000, but the company also spent $2000 on grading the lot and $20000 on building the small building. Therefore, the current value of the lot and building is:

$154000 - $2000 - $20000 = $132000

Next, we need to factor in the cost of constructing the new retail store. The cost of constructing the new retail store is estimated at $111000. Therefore, the initial cash flow for the building project would be:

-$111000 + $132000 = $21000

The negative sign indicates a cash outflow, while the positive sign indicates a cash inflow. Therefore, the initial cash flow for the building project is -$21000, meaning the company will need to spend $21,000 initially to build the new retail store on the site.

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5. What are the key questions in the physical arrangement of people, equipment and space in a process? 6. What are the goal of Service system maps (SSM) 7. Explain five benefits of SSM usage

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The key questions in the physical arrangement of people, equipment, and space in a process involve determining the most efficient and effective layout to optimize productivity, workflow, and safety.

The goal of Service System Maps (SSM) is to visually represent the various components and interactions within a service system. SSM provides a holistic view of the service delivery process, including the customer journey, touchpoints, support functions, and interactions between different stakeholders.

Service System Maps (SSM) have several goals. Firstly, they provide a visual representation of the service system, making it easier to understand and communicate complex processes. Secondly, SSM helps to identify bottlenecks, inefficiencies, and areas for improvement within the service delivery process.

The five benefits of using SSM include:

Enhanced understanding and communication of complex service processes.

Identification of bottlenecks, inefficiencies, and improvement opportunities.

Improved customer experiences and satisfaction through a holistic view of the customer journey.

Facilitation of collaboration and coordination among different stakeholders.

Support for strategic decision-making by identifying areas for innovation and process optimization.

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Behavioural finance
Consider the following two strategies for moving pounds from a
given moment to one year later: (i) buying a one-year UK bond and
(ii) exchanging the pounds into euros, buying a one

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The summary of the answer is as follows: In behavioral finance, the decision between buying a one-year UK bond or exchanging pounds into euros and buying a one-year euro bond can be influenced by various psychological factors.

Behavioral finance explores how cognitive biases, emotions, and irrational behavior can impact financial decisions. Factors such as loss aversion, risk perception, and herd behavior can lead individuals to make suboptimal choices that deviate from traditional rational economic theory.

In the given scenario, the decision to choose between the two strategies is likely to be influenced by behavioral biases. For example, individuals may exhibit loss aversion and prefer the perceived safety of a UK bond over the potential foreign exchange risk associated with exchanging pounds into euros. Similarly, herd behavior might influence decision-making, as individuals tend to follow the crowd and opt for the strategy that is more commonly chosen by others.

Furthermore, risk perception plays a significant role, as individuals may assign different levels of risk to each strategy based on their subjective assessment. This can be influenced by past experiences, media narratives, or the availability heuristic, where recent or vivid information has a disproportionate impact on decision-making.

Overall, behavioral finance recognizes that financial decisions are not solely driven by rational analysis but also by psychological and emotional factors. Understanding these biases and their impact on decision-making can provide insights into why individuals may deviate from traditional economic models when making financial choices.

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Table: Three Firms Firm Quantity Produced 1 100 2 80 3 50 This table provides information on three lirms in a competitive industry where the market price is $39; therclore, at these production levels: the total cost of production is maximized by all three firms. the marginal cost curves for all three firms are identical. firm l's marginal cost exceeds firm 3's marginal cost. firm 2's marginal cost is $39.

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In a competitive industry with three firms and a market price of $39, the total cost of production is maximized for all three firms. The marginal cost curves for all three firms are identical, and firm 2's marginal cost is $39.

The total cost of production is maximized when firms produce at the point where marginal cost equals market price. Since the market price is $39 and firm 2's marginal cost is also $39, this implies that firm 2 is producing at the profit-maximizing level. Firm 1, with a higher marginal cost than firm 3, would be producing at a higher cost level compared to firm 3. The table does not provide information on the marginal cost of firm 3, so we cannot determine its specific value. Marginal cost refers to the additional cost incurred from producing one more unit of a good or service. It represents the change in total cost divided by the change in quantity produced.

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