New Car Purchase Zena has been promoted to vice-president at the management consulting firm she works for. Her status has led her to consider the need for a new car. Her trusty little Volkswagen Beetle had over 100,000 miles on it and no longer seemed appropriate. Susanne, another vice-president, suggested that Zena consider a car produced in the United States because the consulting firm she works for has a policy of supporting U.S. businesses. Zena began her quest for a new car by visiting several car dealers and obtaining pamphlets on the models she is considering. She also made a trip to the library to study Consumer Reports magazine and other consumer rating publications to see what the experts think. Finally, after evaluating all options, Zena decided to purchase a new Chrysler. She believes the car is a good fit with her new image and position in her company. Now that she has purchased the car, she has seen more advertisements touting its features than she ever noticed before. She also has noticed many models of her car on the road. Zena thinks the fact that so many others are driving the same model car as hers is proof that she made a good decision. Refer to New Car Purchase. In noticing similar cars on the road and advertising supporting her decision, Zena is reducing feelings of inner tension. The feelings of inner tension are called: 15 18 1 21 24 1) selective retention 2) perceptual distortion 3) postpurchase action 4) cognitive dissonance 5) response attitudes O 2) 2

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Answer 1

In noticing similar cars on the road and advertising supporting her decision, Zena is reducing feelings of inner tension. The feelings of inner tension are called: 2) Perceptual distortion.

Perceptual distortion is when a person's perception of stimuli is changed because of the personal meanings assigned to them. This concept explains that people react to stimuli from their environment based on how they interpret them in their individual minds.

For example, Zena in the above passage noticed many models of her car on the road. She thinks the fact that so many others are driving the same model car as hers is proof that she made a good decision. Her perception of seeing more Chrysler cars on the road may be because she is now more aware of this type of car.

Additionally, the selective perception of Zena is supporting her decision. Therefore, by noticing similar cars on the road and advertising supporting her decision, Zena is reducing feelings of inner tension. The feelings of inner tension are called perceptual distortion.

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Related Questions

thinking about each of the elements that courts will consider, does a partnership exist between tom, linda, and zach?

Answers

When considering all the elements that courts will examine, it may be deduced that a partnership exists between Tom, Linda, and Zach. This is based on the definition of partnership, which is a relationship between two or more individuals or entities who agree to carry on a business together for the purpose of profit.

who share control over the management of the business .In a partnership, every partner is both a principal and an agent. They are a principal since they are an owner of the company, and they are an agent since they are authorized to act on behalf of the company. However, determining if a partnership exists between Tom, Linda, and Zach involves examining several factors. Here are some of the elements that courts will consider:1. Profit and Loss Sharing: Are the profits and losses of the company shared between the partners?

Intent: Did the parties have the intention of forming a partnership?3. Contribution of Capital: Did the parties contribute to the partnership's initial capital?4. Joint Management and Control: Did the parties have a say in the company's management and control?5. Ownership of Property: Do the parties own the property used in the company jointly?6. Sharing of Expenses and Liabilities: Are the expenses and liabilities of the company shared between the parties? Based on the above elements, if the partnership between Tom, Linda, and Zach shares all the above, then it can be inferred that a partnership exists between them. To achieve success, they use the phrase "fail early and fail fast."According to Catmull, failure is an essential part of the creative process. If an individual does not take risks, then there will be no innovation. He believes that the risk of failure should not be so great that the team cannot recover from it. encourages the creation of a safe space where individuals feel free to express.

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there is a partnership between Tom, Linda, and Zach.

To determine whether a partnership exists between Tom, Linda, and Zach, courts consider several elements. They include the following: Intent to enter into a partnership. This refers to a mutual understanding or agreement among the parties to create a partnership. Sharing of profits and losses. This element concerns whether the parties agree to share the profits and losses of the business or enterprise. Control of the business. This element involves whether each party has control over the management of the business. Contribution of capital. This element requires the contribution of money, property, or services to the enterprise. The participation of Tom, Linda, and Zach in all the four elements suggests that a partnership exists between them. This is because they agreed to form a partnership, shared the profits and losses of the business, contributed capital, and each had control over the management of the business. Hence, there is a partnership between Tom, Linda, and Zach.

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What is the difference between a unilateral mistake and a
mutual mistake? What are the legal remedies for mistakes in
contract law?

Answers

A unilateral mistake occurs when only one party to the contract is mistaken about a material fact, while a mutual mistake occurs when both parties are mistaken. In the case of a unilateral mistake, the mistaken party may not be able to seek legal remedies unless they can prove that the other party knew or should have known about the mistake.

Rescission allows the contract to be cancelled and both parties to be returned to their pre-contractual positions. Reformation allows for the terms of the contract to be changed to accurately reflect the parties' intentions. In either case, the mistaken party may be entitled to damages to compensate for any losses suffered as a result of the mistake.


A unilateral mistake occurs when only one party in a contract is mistaken about a term or fact, while a mutual mistake occurs when both parties share the same misunderstanding. In a unilateral mistake, the contract may still be enforceable if the non-mistaken party was unaware of the error.

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How is CSR connected with the course outcomes ?
Who might benefit from exploring ethical communication?
What could be improved about ethical communication?
What are some weaknesses in ethic?

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Course outcomes are the educational goals or expected achievements of a specific course.

Corporate Social Responsibility (CSR) is a concept in which a company is responsible for its social and environmental impacts in addition to its economic activities.CSR is related to course outcomes in that it encourages students to think critically and engage with social issues that affect the business world. Understanding the connection between CSR and course outcomes is crucial for the development of responsible business leaders. CSR should be included as a part of course learning outcomes in business courses and programs.

Professionals in any field may benefit from exploring ethical communication as it will help them in establishing and maintaining good relationships with others and avoiding misunderstandings. It will also aid in developing a sense of trust and respect with others, which is essential for building a positive reputation.

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Which of the following is correct? Group of answer choices An investment that has an initial capital outlay of $90 and a cash flow of $100 in one year. It has an internal rate of return of 10%. Investments with internal rates of return greater than their costs of capital should be accepted. Investments with high internal rates of return should be accepted.

Answers

The correct statement among the following options is "Investments with internal rates of return greater than their costs of capital should be accepted".

The internal rate of return (IRR) is the interest rate at which a given investment's net present value (NPV) equals zero. The internal rate of return is used to assess the potential profitability of a company or investment. It compares the expected cash inflows to the expected cash outflows to determine if an investment is viable. If the IRR is higher than the company's cost of capital, the investment may be worthwhile.Investments with IRRs higher than their cost of capital should be considered because they create more value than they cost. When comparing investment opportunities, the IRR metric can be used as a screening tool. In comparison to the cost of capital, which is the minimum return required to justify an investment, investments with a higher IRR offer greater value for money. The investment with an initial capital outlay of $90 and a cash flow of $100 in one year and an internal rate of return of 10% satisfies the condition, which means that it has an IRR that is greater than the cost of capital, and the investment should be accepted.

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Suppose that changes in bank regulations expand the availability of credit cards so that people need to hold less cash.


a. How does this event affect the demand for money?


b. If the Fed does not respond to this event, what will happen to the price level?


c. If the Fed wants to keep the price level stable, what should it do?

Answers

a) How does this event affect the demand for money? When changes in bank regulations increase the availability of credit cards and people require less cash, the demand for money would decline.

The changes in bank regulations will lead to an increase in the availability of credit cards, which will result in less demand for money. For example, people would rather use their credit cards to make purchases than carry cash. This makes the use of credit cards more common, which reduces the need for cash. Thus, the demand for money will decline as a result of the changes in bank regulations. b) If the Fed does not respond to this event, what will happen to the price level? If the Fed does not respond to changes in bank regulations that expand the availability of credit cards and people hold less cash, the price level would decline. This is because the demand for money would decrease, which would cause interest rates to rise. When interest rates increase, the cost of borrowing money increases, which reduces the demand for goods and services. This decrease in demand would lead to a decrease in prices, and the price level would decline. c) If the Fed wants to keep the price level stable, what should it do?If the Fed wants to keep the price level stable, it should respond to changes in bank regulations that expand the availability of credit cards and people hold less cash. One way the Fed can respond is by increasing the money supply. This can be done by purchasing government bonds in the open market, which would increase the amount of money in circulation. As a result, interest rates would decrease, which would encourage borrowing and increase the demand for goods and services. This increase in demand would lead to an increase in prices, and the price level would remain stable.

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The sales-mix variance will be unfavorable when which of the following occurs?
A) the actual sales mix shifts toward the less profitable units
B) the contribution margin per composite unit for the actual mix is greater than the budgeted mix
C) the actual unit sales are less than the budgeted unit sales
D) the actual contribution margin is less than the static-budget contribution margin

Answers

The contribution margin per composite unit for the actual mix is greater than the budgeted mix; this condition is not indicative of unfavorable sales-mix variance.When the actual sales mix shifts toward the less profitable units or the actual contribution margin is less than the static-budget contribution margin, the sales-mix variance becomes unfavorable.

Sales-mix variance is the distinction between the expected and actual amounts generated by the sales of different products in a mixture. It is unfavorable when the actual sales mix shifts towards less profitable units and actual contribution margin is less than the static-budget contribution margin. Below is a detailed explanation of how the sales-mix variance is unfavorable under the stated conditionsSales-mix variance is the difference between the expected and actual amounts generated by the sales of various products in a mix. When the actual sales mix shifts toward the less profitable units, the sales-mix variance becomes unfavorable. The unfavorable sales-mix variance occurs when the actual unit sales are less than the budgeted unit sales. Additionally, unfavorable sales-mix variance may occur when the actual contribution margin is less than the static-budget contribution margin. The contribution margin per composite unit for the actual mix is greater than the budgeted mix; this condition is not indicative of unfavorable sales-mix variance.When the actual sales mix shifts toward the less profitable units or the actual contribution margin is less than the static-budget contribution margin, the sales-mix variance becomes unfavorable.

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Please help me answer these right
refers to ranking the economies of the world. To take ownership and control. A non-equity mode of entry related to selling with an alliance partner. An ownership interest in a business. (Does not have

Answers

Global Competitive refers to ranking the economies of the world.

Economics is a social science that studies the production, distribution, and consumption of goods and services in a society. It analyzes how individuals, businesses, governments, and other entities make choices to allocate limited resources to satisfy their needs and want. Economies can be observed at various levels, ranging from individual households to global markets.

Economies are influenced by a variety of factors, including supply and demand, prices, inflation, employment, and government policies. Economic systems can be categorized into different types, such as market economies, where prices are determined by the interaction of buyers and sellers, and command economies, where the government controls the allocation of resources. Mixed economies combine elements of both market and command systems.

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Complete Question:

____ refers to ranking the economies of the world.

suppose+you+purchased+a+stock+a+year+ago.+today,+you+receive+a+dividend+of+$16+and+you+sell+the+stock+for+$123.+if+your+return+was+14%,+at+what+price+did+you+buy+the+stock?

Answers

The amount received from the dividend is $16.

Let the purchase price be x dollars. The selling price is $123. The return of 14% is required, and we must determine the purchase price. If the profit is calculated, the selling price minus the purchase price will be obtained.

The profit will be equal to the amount received from the dividend as well. The given conditions may be represented by the following equation:14/100 x (x) + 16 = 123x = 100The price at which the stock was purchased was $100.

To calculate the price at which the stock was purchased, we must use the following formula: Return on investment (ROI) = (profit/initial investment) * 100Profit is calculated by subtracting the purchase price of the stock from the selling price of the stock. The return on investment is 14%.

Dividends received are also factored into the calculation of profit in this situation. We can use the following equation to calculate the purchase price:14/100 x (x) + 16 = 123x = 100 Therefore, the stock was purchased for $100. Because the selling price is $123, the profit will be $23. The dividend received is also $16. As a result, the return on investment (ROI) would be calculated as follows:(23 + 16)/100 = 39/100ROI = 39%

The purchase price of the stock can be calculated by using the formula ROI = (profit/initial investment) * 100. We can substitute the given values in the formula, which gives us the purchase price of $100. The profit in this case is $23, and the dividend received is $16. We can then calculate the return on investment, which is 39%.

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QUESTION 10 A company is evaluating an investment proposal using the payback period method. Cash inflows are expected to be $80 000 in year 1, $120 000 in year 2, $150 000 in year 3, and $180 000 in year 4. The initial investment required is $380 000. Assuming even cash inflows throughout each year, the payback period is... O 3,17 years 3 years O O 3,47 years. O3.34 years 1 poin

Answers

The payback period for the given investment proposal is approximately 3.17 years.

The payback period method is a simple capital budgeting technique that measures the time it takes for an investment to generate enough cash inflows to recover the initial investment cost. In this case, the initial investment required is $380,000.

To calculate the payback period, we need to determine the cumulative cash inflows each year until they exceed or equal the initial investment.

In year 1, the cash inflow is $80,000. In year 2, it is $120,000, resulting in a cumulative cash inflow of $200,000. In year 3, the cash inflow is $150,000, making the cumulative cash inflow $350,000. Finally, in year 4, the cash inflow is $180,000, which brings the cumulative cash inflow to $530,000, exceeding the initial investment.

By analyzing the cumulative cash inflows, we can see that it takes approximately 3.17 years (or 3 years and 2 months) for the total cash inflows to surpass the initial investment of $380,000. Therefore, the payback period for this investment proposal is approximately 3.17 years.

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Organics Plus is considering which bad debt estimation method works best for its company. It is deciding between the income statement method, balance sheet method of receivables, and balance sheet aging of receivables method. If it uses the income statement method, bad debt would be estimated at 4 percent of credit sales. If it were to use the balance sheet method, it would estimate bad debt at 12 percent of accounts receivable. If it were to use the balance sheet aging of receivables method, it would split its receivables into three categories: 0–30 days past due at 6 percent, 31–90 days past due at 19 percent, and over 90 days past due at 26 percent. There is currently a zero balance, transferred from the prior year’s Allowance for Doubtful Accounts. The following information is available from the year-end income statement and balance sheet.

Answers

The management of Organics Plus is considering different methods of estimating bad debts. The income statement method estimates bad debt at 4 percent of credit sales.

The methods under consideration are the income statement method, the balance sheet method of receivables, and the balance sheet aging of receivables method. The balance sheet method estimates bad debt at 12 percent of accounts receivable. The balance sheet aging of receivables method divides its receivables into three categories: 0–30 days past due at 6 percent, 31–90 days past due at 19 percent, and over 90 days past due at 26 percent. There is no balance in the prior year's Allowance for Doubtful Accounts.

To decide which method to use, it is necessary to analyze the financial statements and check which one provides the most accurate estimation of the bad debts. For instance, under the income statement method, bad debt would be estimated at 4 percent of credit sales, which would be $8,000 (4 percent x $200,000 credit sales).The balance sheet method of receivables would estimate bad debt at 12 percent of accounts receivable, which would be $24,000 (12 percent x $200,000 accounts receivable).The balance sheet aging of receivables method would split the receivables into three categories: 0-30 days past due at 6 percent, 31-90 days past due at 19 percent, and over 90 days past due at 26 percent. This would be $7,800 (6 percent x $130,000) + $4,235 (19 percent x $22,250) + $2,496 (26 percent x $9,600) = $14,531.

In conclusion, using the balance sheet aging of receivables method gives the main answer and would result in the most accurate estimation of bad debts at $14,531.

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Production budgets always show both budgeted units of product and total costs for the budgeted units.
True or False

Answers

A production budget is a type of budget that estimates the number of units that a company must manufacture to fulfill sales objectives.

It's calculated by first calculating how many units a business wishes to sell in the coming period, then adding any planned growth or inventory changes.Based on the sales budget, the production budget is generated, which includes the quantity of finished goods that must be produced and the quantity of direct materials and labor required to manufacture those finished goods. The quantity of inventory required to maintain target levels must also be determined in the production budget.The production budget also includes the total cost of manufacturing the budgeted units. As a result, production budgets always show both budgeted units of product and total costs for the budgeted units.

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For Solar Industries and its related but separate financing company Solar Financing Corp. Required: a. Calculate the debt to equity ratio for 2019 and 2020. (Round the final answers to 2 decimal places.) Solar Industries (in millions) 2020 2019 43.450 37.300 21,102 24,555 Total Debt (A) Total Equity (B) Solar Financing Corp (in millions) 2020 2019 89,360 77,052 9,070 8,054

Answers

The debt to equity ratio for Solar Industries in 2020 is 0.41, and in 2019 it is 0.54. For Solar Financing Corp, the debt to equity ratio in 2020 is 9.86, and in 2019 it is 9.57.

The debt to equity ratio is a financial metric that indicates the proportion of debt and equity financing used by a company. It is calculated by dividing the total debt by total equity. For Solar Industries in 2020, the total debt is $43.450 million, and the total equity is $21,102 million. Therefore, the debt to equity ratio is calculated as $43.450 million / $21,102 million ≈ 0.41. Similarly, for Solar Industries in 2019, the total debt is $37.300 million, and the total equity is $24,555 million. Thus, the debt to equity ratio is $37.300 million / $24,555 million ≈ 0.54. Moving on to Solar Financing Corp, in 2020, the total debt is $89,360 million, and the total equity is $9,070 million. Hence, the debt to equity ratio is $89,360 million / $9,070 million ≈ 9.86. For Solar Financing Corp in 2019, the total debt is $77,052 million, and the total equity is $8,054 million. Consequently, the debt to equity ratio is $77,052 million / $8,054 million ≈ 9.57.

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In every corporation the one class of stock that represents the
basic ownership interest is called
common stock.
owners’ stock.
cumulative stock.
preferred stock.

Answers

The class of stock that represents the basic ownership interest in every corporation is called common stock.

Common stock is the class of stock that represents the fundamental ownership interest in a corporation. It is the most prevalent type of stock issued by companies and grants shareholders certain rights and privileges.

Owners of common stock are considered the true owners of the corporation and have voting rights that allow them to participate in the decision-making processes of the company. They typically have the right to elect the board of directors and vote on significant corporate matters such as mergers, acquisitions, and major policy changes.

Additionally, common stockholders have the potential to receive dividends, which are a portion of the company's profits distributed to shareholders. However, the payment of dividends is not guaranteed and is subject to the company's financial performance and the discretion of the board of directors.

In terms of ownership hierarchy, common stockholders have a residual claim on the company's assets and earnings. This means that in the event of liquidation or bankruptcy, common stockholders are entitled to the remaining assets after all other claims, such as debt obligations and preferred stock, have been satisfied.

Overall, common stock represents the core ownership interest in a corporation, providing shareholders with voting rights, potential dividends, and a residual claim on the company's assets and earnings.

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Question 2: (30 marks) a. List and briefly explain the different types of errors that are not revealed by the unadjusted trial balance. Give examples. (15 Marks) b. The balance sheet of Fahmy plc. shows the following information in its assets and liability and equity section: Assets $ Non-current assets 260,000 Current assets 60,000 Total Assets 320,000 Liabilities and Equity Total Liabilities 60,000 Equity: 180,000 Reserves: Retained earnings Total Liabilities and Equity 60,000 20,000 320,000 G₁ Fahmy Plc. Needs to raise more cash and decided to make 1 for 3 rights issue, fully paid in cash at a price $8 per share. Required: Show by using detailed workings the effect on the balance sheet accounts of the rights issue. (15 Marks) Share capital: ordinary shares of $ 5 each Reserves: Share premium GXPX

Answers

a. Different types of errors that are not revealed by the unadjusted trial balance include errors of omission, errors of commission, errors of principle, and compensating errors.

Errors of omission occur when a transaction is completely left out of the accounting records. Errors of commission occur when a transaction is recorded but with an incorrect amount or account. Errors of principle occur when an accounting principle is not followed. Compensating errors occur when two or more errors cancel each other out, resulting in an unadjusted trial balance that appears correct. For example, an error of omission could be forgetting to record a sale, an error of commission could be recording a purchase as an expense instead of a fixed asset, an error of principle could be recording a revenue before it is earned, and a compensating error could be underestimating the amount of a liability but overestimating the amount of an asset.

b. The effects of the 1 for 3 rights issue on Fahmy Plc.'s balance sheet accounts can be seen through detailed workings. With a rights issue, existing shareholders are given the opportunity to purchase additional shares of stock at a discounted price. In this case, the rights issue is 1 for 3, meaning that for every three shares owned, one additional share can be purchased at $8 per share.

Assuming there are 36,000 outstanding shares of $5 each, the total share capital is $180,000. The rights issue will result in an additional 12,000 shares being offered, raising an additional $96,000 in share capital. This will increase the share capital account to $240,000. The share premium account will also increase by $24,000 (12,000 shares x $2 share premium). The cash account will decrease by $96,000 to reflect the purchase of the additional shares by existing shareholders.

As a result of the rights issue, the total equity of Fahmy Plc. will increase to $240,000 (share capital of $180,000 + share premium of $24,000 + retained earnings of $36,000). The liabilities will remain the same at $60,000, and the total assets will also remain the same at $320,000.

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A German importer needs to pay US$1,000,000 to its US supplier in one month’s time. What will be the cost of payment in € by fixing the payment with certainty today? What is the difference from the rate quoted at the spot market?
The spot exchange rate between the Euro and the Sterling Pound is 1.1299-1.1312. The three month Euro deposits interest rate is 5.64% while the three month Sterling Pound interest rate is 4.86%. A Cypriot importer has to pay in three months a total of Stg£250,000 to its UK supplier. What is the expected forward rate to be quoted by his bank and what will be his total cost in Euros?

Answers

To determine the cost of payment in Euros for a German importer needing to pay US$1,000,000 to its US supplier in one month, we need to consider the spot exchange rate between the Euro and the US Dollar

To calculate the cost of payment in Euros for the German importer, we need to convert US$1,000,000 to Euros using the spot exchange rate. Let's assume the spot exchange rate is 1.1299-1.1312 Euros per US Dollar. Taking the midpoint of the range, the conversion rate is approximately 1.1306 Euros per US Dollar. Therefore, the cost of payment in Euros would be 1,000,000 US Dollars multiplied by 1.1306, resulting in the cost in Euros.

To calculate the difference from the spot market rate, we need to compare the spot exchange rate with the rate used for the payment in Euros. If the spot exchange rate differs from the rate used for payment, there will be a difference in the cost of payment. The exact difference can be calculated by subtracting the spot exchange rate from the payment rate and multiplying it by the amount being paid in US Dollars.

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The advantages of a functional structure include all of the following EXCEPT
Group of answer choices
an improved ability to meet the needs of different types of customers.
easier communication and information sharing among workers.
better monitoring by supervisors and group members.
higher workers' skills, which in turn lead to higher performance.
2. Which change model analyzes where change initiatives go wrong in order to steer clear of those pitfalls?
Group of answer choices
Lewin’s Unfreeze-Change-Refreeze Model
Baldwin and Bommer’s Futile Resistance Model
Bolman and Deal’s Four Frames Model
Kotter’s Eight Stages of Change Model
the FOCUS Model

Answers

The advantages of a functional structure include all of the following EXCEPT "an improved ability to meet the needs of different types of customers.

A functional structure is an organizational design in which the departments are grouped based on similar skills, expertise, or functions. The advantages of a functional structure are improved communication and information sharing among workers, better monitoring by supervisors and group members, higher workers' skills, which, in turn, lead to higher performance, but not an improved ability to meet the needs of different types of customers.

The Baldwin and Bommer's Futile Resistance Model help analyze where change initiatives go wrong to steer clear of those pitfalls. It guides an organization on how to manage resistance to change, avoiding the wrong ways of implementing change, so as not to encounter resistance to change.

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The real risk-free rate of interest, r, is 3%, and it is expected to remain constant over time. Inflation is expected to be 2% per year for the next 3 years and 4% per year for the next 5 years. The maturity risk premium is equal to 0.1 x (t-1)%, where t- the bond's maturity. The default risk premium for a BBB-rated bond is 1.3%. d. What is the yield on an 8-year Treasury bond? Answer Ts=r + IPs + MRPs. = 3% + (3 x 2% +5 x 4%)/8 +0.7% = = 3% +3.25% +0.7% = 6.95% e. What is the vield on an 8-year BBB-rated corporate bond with a liquidity pre

Answers

The yield on an 8-year Treasury bond is 6.95%. This calculation takes into account the real risk-free rate of interest (3%), expected inflation rates (2% for the next 3 years and 4% for the following 5 years), and the maturity risk premium (0.7% for an 8-year maturity).

To calculate the yield on an 8-year Treasury bond, we use the formula Ts = r + IPs + MRPs, where Ts is the yield, r is the real risk-free rate (3%), IPs is the sum of expected inflation rates (3 x 2% + 5 x 4%)/8, and MRPs is the maturity risk premium (0.7%).

First, we calculate the sum of expected inflation rates by weighting the inflation rates for each period according to their respective durations. For the first 3 years, the inflation rate is 2%, and for the next 5 years, it is 4%. By dividing the sum by the total duration of 8 years, we obtain the average inflation rate of 3.25%.

Next, we add the real risk-free rate (3%), the expected inflation rate (3.25%), and the maturity risk premium (0.7%) to obtain the yield on the 8-year Treasury bond, which comes out to be 6.95%.

For the yield on an 8-year BBB-rated corporate bond with a liquidity premium, the specific information about the liquidity premium is missing, so it cannot be calculated with the given data.

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5) Consider an open economy operating under fixed exchange
rates. Using the goods market equilibrium condition, illustrate the
effect of a decrease in the foreign interest rate (i*)
on domestic output
5. [20 MARKS] Consider an open economy operating under fixed exchange rates. Using the goods market equilibrium condition, illustrate the effect of a decrease in the foreign interest rate i* on domest

Answers

In an open economy operating under fixed exchange rates, the goods market equilibrium condition is given by the equation:

Y = C(Y-T) + I(r) + G + NX(e)

Where:

Y = Domestic output

C(Y-T) = Consumption function, where Y represents income and T represents taxes

I(r) = Investment function, where r represents the domestic interest rate

G = Government spending

NX(e) = Net exports function, where e represents the exchange rate

Now, let's analyze the effect of a decrease in the foreign interest rate (i*) on domestic output (Y).

Decrease in foreign interest rate (i*):

When the foreign interest rate decreases, it makes domestic investments relatively more attractive compared to foreign investments. As a result, the domestic interest rate (r) may decrease or remain unchanged, depending on the monetary policy stance of the domestic country.

Effect on investment (I(r)):

If the domestic interest rate decreases or remains unchanged in response to the decrease in the foreign interest rate, it leads to a decrease in the cost of borrowing for domestic firms. This lower cost of borrowing stimulates domestic investment, leading to an increase in the investment component of the goods market equilibrium.

Effect on net exports (NX(e)):

A decrease in the foreign interest rate can also impact the exchange rate (e) in an open economy. Generally, a decrease in the foreign interest rate leads to a depreciation of the domestic currency. This depreciation makes domestic goods relatively cheaper for foreign buyers, increasing exports (X) and reducing imports (M). Consequently, net exports (NX) increase, contributing to the increase in domestic output.

Overall effect on domestic output (Y):

The combined effect of increased investment and increased net exports leads to an increase in aggregate demand. As a result, the goods market equilibrium condition implies an increase in domestic output (Y) to restore equilibrium in the economy.

In summary, a decrease in the foreign interest rate (i*) in an open economy operating under fixed exchange rates leads to increased investment and increased net exports, resulting in an increase in domestic output.

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Perpetual Inventory Using LIFO Beginning inventory, purchases, and sales for Item ER27 are as follows: March 1 Inventory 94 units$29 5 Sale 75 units 11 Purchase 104 units $32 21 Sale 87 units Assuming a perpetual inventory system and using the last-in, first-out (LIFO) method, determine (a) the cost of merchandise sold on March 21 and (b) the inventory on March 31 a. Cost of merchandise sold on March 21 b. Inventory on March 31 Submit Answer Try Another Version

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Cost of merchandise sold on March 21 = $3,328; b. Inventory on March 31 = $1,152. Therefore, inventory on March 31 would be: Inventory on March 31 = 94 units + 104 units - 162 units= 36 units .

(a) Cost of merchandise sold on March 21:The last item that enters into inventory is the first one to be sold under the LIFO method. Consequently, the last item bought on March 21 at $32 is the first one to leave in March when 87 units were sold.

Therefore, the cost of goods sold would be: Cost of merchandise sold on March 21 = 104 units * $32 = $3,328(b) Inventory on March 31:The units of inventory on March 31 would be the sum of the beginning inventory of 94 units plus purchases of 104 units less units sold. Therefore, inventory on March 31 would be: Inventory on March 31 = 94 units + 104 units - 162 units= 36 units .

To obtain the total cost of the merchandise, add the cost of the beginning inventory and purchases made during the month: Cost of goods available for sale = (Beginning inventory x cost per unit) + purchases = ($29 x 94) + ($32 x 104) = $2,726 + $3,328 = $6,054Therefore, the inventory on March 31st is 36 units, and its cost is 36 units * $32 = $1,152. Answer: a. Cost of merchandise sold on March 21 = $3,328; b. Inventory on March 31 = $1,152.

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What is the first step of the message-sending process?
Develop rapport.
Transmit your message.
Check the receiver’s understanding.
State your communication objective.

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The first step of the message-sending process is to develop rapport.

What is the initial phase in the message-sending process?

Developing rapport is the essential first step in the process of sending a message. It involves establishing a connection and building a positive relationship with the intended recipient.

Rapport helps create an atmosphere of trust and understanding, which is crucial for effective communication. This step sets the foundation for the successful transmission and reception of the message.

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Use the following information for the Exercises below [The following information applies to the questions displayed below.] The following financial statements and additional information are reported IKIBAN INC Comparative Balance Sheets June 30, 2018 and 2017 2018 2017 Assets $ 87,500 44,000 51,000 86,500 5,400 186,900 115,000 as Accounts receivable, net Inventory 65,000 63,800 4,400 220,700 124,000 (27,000) Prepaid expenses Total current assets Equipment Accum. depreciation-Equipment Total assets (9,000) $317,700 292,900 Liabilities and Equity Accounts payable $ 25,000 6,000 3,400 34,400 30,000 15,000 3,800 48,800 60,000 108,800 Wages payable Income taxes payable Total current liabilities Notes payable (long term) 30,000 Do Total 1iabilities Equity Common stock, $5 par value Retained earnigs 64,400 160,000 24,100 $317,700 292,900 220,000 33,300 Total liabilities and equity IKIBAN INC. Income Statement For Year Ended June 30, 2018 Sales Cost of goods sold Gross profit Operating expenses $678,000 411,000 267,000 $58,600 67,000 Depreciation expense Other expenses Total operating expenses 125,608 141,400 Other gains (losses) Gain on sale of equipment Income before taxes Income taxes expense Net income 2,000 143,400 43,890 $99,510 Additional Information a. A $30,000 note payable is retired at its $30,000 carrying (book) value in exchange for cash. b. The only changes affecting retained earnings are net income and cash dividends paid. c. New equipment is acquired for $57,600 cash. d. Received cash for the sale of equipment that had cost $48,600, yielding a $2,000 gain. e. Prepaid Expenses and Wages Payable relate to Other Expenses on the income statement f. All purchases and sales of inventory are on credit Exercise 12.11 Indirect: Preparing statement of cash flows (part 2) LO PI, P2, P3. Al 2) Compute the company's cash flow on total assets ratio for its fiscal year 2018. Choose Numerator: Choose Denominator: Cash Flow on Total Assets Ratio Operating cash flows / A Average total assets Cash flow on total assets ratio

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The company's cash flow on total assets ratio for fiscal year 2018 is the ratio of operating cash flows to average total assets.

The cash flow on total assets ratio is a measure of a company's ability to generate cash flow from its total assets. It indicates how efficiently a company is using its assets to generate cash. To calculate the ratio, we divide the operating cash flows by the average total assets. Operating cash flows can be found in the statement of cash flows, and the average total assets can be calculated by adding the beginning and ending total assets and dividing by 2. By calculating this ratio, we can assess the company's ability to generate cash flow relative to its total assets and evaluate its overall financial performance.

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Draw the The Kinked Demand Curve and its corresponding marginal revenue curve and carefully explain the economic reasoning underlying the Kinked Demand Curve.

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The kinked demand curve model is one of the different models used to explain the behavior of firms in an oligopolistic market structure. This model holds that the market demand curve is more elastic above the prevailing price than below it, creating a kink in the demand curve and making the marginal revenue curve discontinuous.

This kink in the demand curve is the result of firms in an oligopolistic market structure having a fear of price wars. If a firm tries to increase prices above the prevailing price, there is the likelihood that other firms will not follow, and the firm would experience a fall in demand leading to a fall in profits. On the other hand, if a firm decreases prices below the prevailing price, other firms would follow suit, and the price war would result in a fall in profits for all the firms involved. This fear of price wars and the resulting kink in the demand curve gives the oligopoly market its peculiar characteristics, including price rigidity, mutual interdependence, and difficulty in making long-term pricing decisions.The marginal revenue curve of the kinked demand curve model is also discontinuous. This is because firms would only increase output in response to a change in price if they believe that the change in price is permanent and would not result in retaliation from other firms. However, if they perceive that the change in price is temporary and would result in retaliation, they would not respond to the price change, resulting in the discontinuity of the marginal revenue curve.In conclusion, the kinked demand curve model is one of the ways to explain the behavior of firms in an oligopolistic market structure. The model is based on the assumption that firms have a fear of price wars and will not increase prices above or decrease prices below the prevailing price to avoid a fall in profits. This fear of price wars results in a kink in the demand curve and a discontinuous marginal revenue curve.

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An experienced manager- Tarun- found that one of his subordinates- Arun-simply refused to understand even the most logical viewpoint shared by another subordinate- Varun, both of whom had been working

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Tarun needs to address the issue of Arun refusing to understand Varun's viewpoint. This problem can have a negative impact on the organization's productivity and culture.

In any organization, it is the duty of the manager to ensure that their subordinates work together to achieve their common goal. In the scenario, an experienced manager, Tarun, found that one of his subordinates, Arun, refused to understand the viewpoint shared by another subordinate, Varun. Tarun needs to approach this issue carefully since it can have a negative impact on the organization's productivity and culture. It is essential for Tarun to have a clear understanding of why Arun refuses to see Varun's viewpoint.
There are various reasons why Arun might be refusing to see Varun's viewpoint. Firstly, Arun might not be familiar with the subject matter. Secondly, Arun might have a different way of thinking that is making it hard for him to see Varun's viewpoint. Thirdly, it could be a personality clash between Arun and Varun that is causing this issue. Tarun needs to evaluate the situation and determine the root cause of the problem.
One of the ways Tarun can solve this issue is by having a one-on-one meeting with Arun. During this meeting, Tarun can try to understand why Arun is refusing to see Varun's viewpoint. Tarun can also offer solutions to the problem to ensure that the two subordinates work together effectively. Additionally, Tarun can organize a team-building exercise for all the subordinates to ensure that they learn how to work together as a team.
Tarun can solve this problem by having a one-on-one meeting with Arun, offering solutions to the problem, and organizing a team-building exercise for all the subordinates.

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The standard deviation of win percentage for the 32 teams in the NBA in 2005–2006 was 0.134. The NBA plays an 82 game season. The standard deviation of win percentage for the 20 teams in the English Premier League in 2005–2006 was 0.158. The EPL plays a 38 game season. The idealized win percentages for the NBA and EPL are
0.055 (NBA) and 0.081 (EPL)
1.672 (NBA) and 1.580 (EPL)
2.427 (NBA) and 1.948 (EPL)
0.078 (NBA) and 0.115 (EPL)

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The idealized win percentages for the NBA and EPL are 0.078 (NBA) and 0.115 (EPL).

The idealized win percentage represents the average win percentage that would be expected if all teams in the respective leagues had equal performance. The given idealized win percentages for the NBA and EPL are 0.078 and 0.115, respectively.

It is important to note that the idealized win percentages are unrelated to the standard deviations provided earlier. The standard deviation measures the variability or dispersion of win percentages within each league. In this case, the standard deviation for the NBA win percentages was 0.134, while the standard deviation for the EPL win percentages was 0.158.

Therefore, the idealized win percentages of 0.078 for the NBA and 0.115 for the EPL are separate values from the standard deviations and reflect the expected average win percentages in each league if all teams performed equally.

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As outlined in the Module 2 case study, Coca-Cola's response to the "cola wars" was to change it's product to a sweeter formulation because they thought that was what customers wanted. That decision backfired because they were asking the wrong question. 1. Post the name of a recent new product /service that has been introduced. 2. Describe the unmet consumer need it addresses. 3. Do you think the product/service launch was successful? Would you have changed anything?

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1. A recent new product/service that has been introduced is the Tesla Cybertruck.2. The unmet consumer need it addresses is the demand for electric pickup trucks with innovative design and features.

The Tesla Cybertruck aims to provide an electric alternative to traditional gasoline-powered pickup trucks, offering sustainability, advanced technology , and a unique futuristic design.

3. The success of the Tesla Cybertruck launch can be subjective and dependent on various factors. While it generated significant attention and interest due to its unconventional design and Tesla's strong brand presence, it also faced some criticism and mixed reviews. The pre-order numbers and customer enthusiasm indicate a level of success in terms of generating excitement and capturing market attention.

If I were to make changes, I might consider focusing more on market research and consumer feedback before finalizing the design to ensure it aligns with customer preferences. The initial response to the Cybertruck's design was polarizing, and gathering more consumer insights beforehand could have provided a better understanding of the target market's preferences. Additionally, emphasizing clear communication about the features, capabilities, and practicality of the vehicle could have helped manage expectations and address potential concerns more effectively. Overall, refining the launch strategy based on market research and consumer feedback could further enhance the product's success.

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Ace Frisbee Corporation produces a good that is very mature in their product life cycles. Ace Frisbee Corporation is expected to pay a dividend in year 1 of $3.00, a dividend in year 2 of $2.00, and a dividend in year 3 of $1.00. After year 3, dividends are expected to decline at the rate of 2% per year. An appropriate required return for the stock is 8%. How much is one share of Ace’s stock worth today?

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To calculate the present value of the dividends and determine the value of one share of Ace Frisbee Corporation's stock today, we can use the dividend discount model (DDM). The DDM formula is as follows:

P = D1 / (1 + r) + D2 / (1 + r)^2 + D3 / (1 + r)^3 + ... + Dn / (1 + r)^n

Where:

P = Present value of the stock

D1, D2, D3, ... = Expected dividends for each period

r = Required rate of return

n = Number of periods

Given:

D1 = $3.00

D2 = $2.00

D3 = $1.00

Growth rate (g) = -2% = -0.02

r = 8%

We can calculate the present value of dividends using the formula:

P = D1 / (1 + r) + D2 / (1 + r)^2 + D3 / (1 + r)^3 + ... + Dn / (1 + r)^n

P = ($3.00 / (1 + 0.08)) + ($2.00 / (1 + 0.08)^2) + ($1.00 / (1 + 0.08)^3) + ...

To simplify the calculation, we can use the formula for the sum of a geometric series:

P = D1 / (r - g) = $3.00 / (0.08 - (-0.02)) = $3.00 / 0.10 = $30.00

Therefore, one share of Ace Frisbee Corporation's stock is worth $30.00 today.

Note: The calculation assumes that the dividend decline rate of 2% per year is constant and perpetual after year 3.

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Please answer the questions about cartels and the specific case of the Organization of the Petroleum Exporting Countries (OPEC) a. Which statement is generally true of cartels? Cartels never stick to their agreed-upon quotas. In the United States, cartel members can legally meet to set prices. Cartels usually raise prices by expanding output. Cartels collude to raise prices and profits. b. Which statement is true of OPEC? OPEC sets production quotas in order to restrict supply. The United States is a leading member of OPEC. Saudi Arabia is an occasional and minor player in OPEC. OPEC includes only nations from the Middle East.

Answers

a) The correct statement which is generally true of cartels is "Cartels collude to raise prices and profits."

b) The correct statement which is true of OPEC is "OPEC sets production quotas in order to restrict supply.

Cartels are organizations of producers or suppliers who agree to reduce competition among themselves to raise prices and profits. In this regard, cartels collude to increase prices in the market through setting quotas, prices, and the division of markets. They typically operate in the oligopoly market where a few firms dominate the market and thus reduce competition among themselves.

The Organization of the Petroleum Exporting Countries (OPEC) was created in 1960 and is an organization of countries that produce oil. Its primary aim is to regulate the oil market and control the price of oil to increase profits for the member countries. OPEC controls the price of oil by setting production quotas for its member countries. In this regard, OPEC restricts supply in order to increase the price of oil. OPEC includes countries such as Saudi Arabia, Iran, Iraq, and Venezuela. The United States is not a member of OPEC.

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The Malaysian economy is in equilibrium. Changes began to happen in the economy. Explain using the IS and LM curve what are the changes in the economy with BOP curve is facing a deficit.
3. Subsidy given to the consumption of B40.

Answers

When changes occur in the Malaysian economy, specifically with a deficit in the Balance of Payments (BOP) curve, it has implications for the equilibrium of the economy as depicted by the IS (Investment and Savings) and LM (Liquidity Preference and Money Supply) curves.

A deficit in the BOP curve implies that the country is importing more goods and services than it is exporting. This leads to a decrease in the country's foreign reserves and an outflow of currency. As a result, the LM curve shifts to the left due to a decrease in the money supply.

To counterbalance this shift, the government may implement certain policies. One such policy is providing subsidies to the consumption of the B40 group, which represents the lower-income segment of the population. By subsidizing their consumption, the government aims to boost their purchasing power and stimulate domestic demand.

This subsidy can be represented by an upward shift in the IS curve. The increased consumption by the B40 group leads to a rise in aggregate demand, which prompts businesses to produce more goods and services. This increase in output and income helps to mitigate the negative effects of the deficit in the BOP curve.

Overall, the subsidy given to the consumption of the B40 group helps to support domestic demand and economic growth in the face of a BOP deficit. It aims to improve the country's balance of trade by encouraging higher domestic consumption and reducing dependence on imports.

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2021ht his is a subjective question, hence you have to write your answer in the Text-Field given below. 7.6693 A sampling plan is desired to have a producer's risk of 0.05 at AQL = 0.5% and a consumer's risk of 0.10 at LQL = 10% nonconforming. Find he single sampling plan that meets the consumer's stipulation and comes as close as possible to meeting the producer's stipulation. [6]

Answers

The single sampling plan that meets the consumer's stipulation and comes as close as possible to meeting the producer's stipulation is N=26, c=3, and n=26.

A subjective question is one in which the answer is based on personal opinion or interpretation rather than on factual evidence or data. A producer's risk is the probability of a producer accepting a bad lot while a consumer's risk is the probability of a consumer rejecting a good lot.The sampling plan is desired to have a producer's risk of 0.05 at AQL=0.5% and a consumer's risk of 0.10 at LQL=10% nonconforming. The single sampling plan that meets the consumer's stipulation and comes as close as possible to meeting the producer's stipulation is illustrated below:N=26, c=3, and n=26. Answer: The single sampling plan that meets the consumer's stipulation and comes as close as possible to meeting the producer's stipulation is N=26, c=3, and n=26.

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The greater the tension of the motivated employee, the
___ the employee's effort will be.
lower (Incorrect)
higher
same
more successful

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The greater the tension of a motivated employee, the higher their effort will be, as heightened tension often leads to increased focus, engagement, and energy directed towards achieving goals and fulfilling aspirations.

Determine how to find the greater the tension of the motivated employee?

Tension refers to the level of psychological or emotional arousal experienced by an individual. In the context of a motivated employee, higher tension indicates a greater sense of urgency, drive, and energy.

When an employee is highly motivated and experiences increased tension, it typically leads to an increase in effort.

Higher tension can enhance an employee's focus, engagement, and willingness to invest additional time and energy into their work. This heightened effort stems from the employee's desire to meet their goals, achieve success, or fulfill their personal and professional aspirations.

Increased tension often serves as a catalyst for increased effort, as the employee channels their motivation into action.

On the other hand, lower tension might indicate a lack of motivation or reduced drive, resulting in lower effort. When tension is low, employees may exhibit decreased enthusiasm, engagement, and productivity in their tasks.

In summary, higher tension among motivated employees generally correlates with greater effort, as it fuels their motivation and drive to succeed.

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Numerator Tot fixed costs Break-Even Point in Dollars Denominator Contribution margin ratio 25% Break-Even Point in Dollars Break-even point in dollars $ 0 Use Euler's method with step size 0.3 to estimate y(1.5), where y(x) is the solution of the initial-value problem y' = 2x + y, y(0) = 0. y(1.5) =