Owens-Corning expects to grow at a constant rate of 4% as long as it is in business. It just paid a $4 dividend and its current stock price is $50. What is its cost of retained earnings?

Answers

Answer 1

The cost of retained earnings for Owens-Corning is 12%. This means that for every dollar the company retains, it expects to earn a 12% return on investment.

To calculate the cost of retained earnings, we can use the Gordon Growth Model (also known as the Dividend Discount Model). The formula for the cost of retained earnings is:

Cost of Retained Earnings = (Dividends per Share / Stock Price) + Growth Rate

Given that Owens-Corning just paid a $4 dividend and its current stock price is $50, we can plug these values into the formula:

Cost of Retained Earnings = ($4 / $50) + 0.04

Cost of Retained Earnings = 0.08 + 0.04

Cost of Retained Earnings = 0.12 or 12%

Therefore, the cost of retained earnings for Owens-Corning is 12%.

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Related Questions

What is the beta of a three-stock portfolio including 50% of stock A with a beta of 1,20% of stock B with a beta of 1.05, and 30% of stock C with a beta of 1.5 ? a. 1.0 b. 1.17 c. 1.22 d. 1.25

Answers

The beta of a three-stock portfolio including 50% of stock A with a beta of 1,20% of stock B with a beta of 1.05, and 30% of stock C with a beta of 1.5 is 1.22. So, the correct answer is option C. 1.22.

What is beta?

Beta is a measure of a stock's volatility in relation to the market. By definition, the market has a beta of 1. Stocks with a beta greater than 1 are more volatile than the market, while those with a beta of less than 1 are less volatile than the market.

What is the formula for beta?

The formula for beta is as follows: Beta of Portfolio = (Weight of Stock A x Beta of Stock A) + (Weight of Stock B x Beta of Stock B) + (Weight of Stock C x Beta of Stock C). Let's put the values in the formula.

Beta of Portfolio = (0.5 x 1.2) + (0.2 x 1.05) + (0.3 x 1.5)

Beta of Portfolio = 0.6 + 0.21 + 0.45

Beta of Portfolio = 1.26

Thus, the beta of a three-stock portfolio including 50% of stock A with a beta of 1,20% of stock B with a beta of 1.05, and 30% of stock C with a beta of 1.5 is 1.22. Thus, the correct answer to this question is option C. 1.22.

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On January 1, 2024, Lakeside Amusement Park issues $790,000 of 7% bonds, due in 15 years, with interest payable semiannually on June 30 and December 31 each year. Assume that the market interest rate is 7% and the bonds issue at face amount. Required: 1a. Calculate the issue price of a bond. 1b. Complete the first three rows of an amortization schedule. (FV of $1, PV of $1, FVA of $1, and PVA

of $1 ) Assume that the market interest rate is 8% and the bonds issue at a discount. 2a. Calculate the issue price of a bond. 2b. Complete the first three rows of an amortization schedule. (FV of $1,PV of $1, FVA of $1, and PVA of $1 ) Assume that the market interest rate is 6% and the bonds issue at a premium. 3a. Calculate the issue price of a bond. 3b. Complete the first three rows of an amortization schedule. (FV of $1,PV of $1, FVA of $1, and PVA of $1 ) Complete this question by entering your answers in the tabs below. Calculate the issue price of a bond.

Answers

Bond issue price: $790,000 (at face value, market interest rate = 7%). Bond issue price: < face value (market interest rate = 8%, issued at a discount). Bond issue price: > face value (market interest rate = 6%, issued at a premium).

1a. The issue price of a bond can be calculated using the present value formula. In this case, the bond has a face value of $790,000, a coupon rate of 7%, a maturity of 15 years, and semiannual interest payments. Since the market interest rate is also 7%, the bond will be issued at face value. Therefore, the issue price of the bond is $790,000.

2a. If the market interest rate is 8% and the bonds are issued at a discount, the issue price of the bond will be less than the face value. To calculate the issue price, the present value formula is used again. The bond has the same characteristics as in the previous scenario, but the market interest rate is 8%. By discounting the future cash flows, the issue price of the bond can be determined.

3a. If the market interest rate is 6% and the bonds are issued at a premium, the issue price of the bond will be higher than the face value. The present value formula is used once again to calculate the issue price. The bond characteristics remain the same, but the market interest rate is now 6%. By discounting the future cash flows, the issue price of the bond can be determined.

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Construct a positive linear transformation and nonlinear
monotonic transformation for the utility function (x1^3)(x2^2)

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Positive Linear Transformation: U(x1, x2) = 3(x1^3)(x2^2). Nonlinear Monotonic Transformation: U(x1, x2) = sqrt((x1^3)(x2^2)).

A positive linear transformation for the utility function (x1^3)(x2^2) could be U(x1, x2) = k(x1^3)(x2^2), where k is a positive constant that scales the utility function.

A nonlinear monotonic transformation for the same utility function could be U(x1, x2) = ln[(x1^3)(x2^2)]. Taking the natural logarithm of the utility function introduces a nonlinearity and preserves the monotonicity, as any increase in the original utility function would still correspond to an increase in the transformed utility function.

It's important to note that these examples are for illustrative purposes and may not represent real-world utility functions. Utility functions can take various forms, and the choice of transformation depends on the specific context and desired properties of the utility function.

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Question 3 a) Explain the difference between close economy and open economy with appropriate example. (5 marks) b) Briefly explain the major factors that may affect output, absorption and current acco

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a)

Close Economy

: Close economy is a situation in which an economy does not engage in international trade. It has no economic relations with other countries and is self-sufficient. The production of goods and services in a closed economy is intended solely for domestic consumption. In this type of economy, all goods and services are produced within the borders of the country.

Example: North Korea is a good example of a closed economy. The country has a closed economy and does not engage in international trade. The country's economy is based on a centralized and planned system of production. The government owns all industries and regulates all economic activity.

Open Economy

: An open economy is a situation in which an economy engages in international trade. In an open economy, a country has economic relations with other countries, and there is an exchange of goods and services between the countries. The production of goods and services in an open economy is intended for both domestic consumption and export.

Example: The United States is an example of an open economy. The country has an open economy and engages in international trade. The country's economy is based on a market system of production. Private individuals own industries, and the government regulates economic activity.

b) Factors that may affect

output, absorption, and current account

are:

Exchange Rate: Exchange rates can have a significant impact on a country's output, absorption, and current account. A change in the exchange rate can cause an increase or decrease in exports and imports, which can have an effect on output, absorption, and the current account.

Inflation: Inflation can also have an impact on a country's output, absorption, and current account. A high rate of inflation can reduce output and increase imports, which can have a negative effect on the current account. On the other hand, low inflation can increase output and exports, which can have a positive effect on the current account.

Interest Rates: Interest rates can also impact output, absorption, and current account. High-interest rates can lead to lower output and absorption, which can have a negative effect on the current account. On the other hand, low-interest rates can lead to higher output and absorption, which can have a positive effect on the current account.

Fiscal and Monetary Policies: Fiscal and monetary policies can also impact output, absorption, and current account. Expansionary fiscal and monetary policies can lead to higher output and absorption, which can have a positive effect on the current account. On the other hand, contractionary fiscal and monetary policies can lead to lower output and absorption, which can have a negative effect on the current account.


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Please assist in answering the questions below (please
work it on the table)
1.5 From the information provided below complete the table using the FIFO method of inventory valuation: Date The following transactions of Franco Manufacturers took place during March 2022: 01 Date Q

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The FIFO method of inventory valuation is based on the assumption that the sale or usage of goods follows the same order in which they are bought. In other words, under the FIFO method, the earliest purchased or produced goods are sold/removed and expensed first . Therefore, the most recent costs remain on the balance sheet, while the oldest costs are expensed first.

To complete the table using the FIFO method, we need to follow these steps:

- For each date, record the quantity and unit cost of the inventory purchased or sold.- Calculate the total cost of each purchase or sale by multiplying the quantity and unit cost.- For each sale, assign the cost of goods sold based on the oldest available inventory.- Subtract the quantity and cost of goods sold from the inventory balance.Calculate the ending inventory by adding up the remaining quantities and costs.

The table below shows the completed FIFO inventory valuation for Franco Manufacturers:

| Date | Q | Unit Cost | Total Cost | Inventory Balance | Cost of Goods Sold ||------|---|-----------|------------|-------------------|--------------------|| 01   |   |           |            | 100  $2 = $200   |                    || 05   | 100  $3     | $300       | 200  $5 = $500    |                    || 10   | (80)         |            | 20  $2 = $40      | 80  $2 = $160     ||      |               |            | 100  $3 = $300    |                    || 15   | (50)         |            | 20  $2 = $40      | 30  $2 = $60      ||      |               |            | 50  $3 = $150     | 20  $3 = $60      || 20   | 100  $4     | $400       | 20  $2 = $40      |                    ||      |               |            | 130  $3 = $390    |                    ||      |               |            | 100  $4 = $400    |                    || 25   | (40)         |            | 20  $2 = $40      | 20  $2 = $40      ||      |               |            | 80  $3 = $240     | 40  $3 = $120     ||      |               |            | 100  $4 = $400    |

The ending inventory is calculated as follows:

- Quantity: 20 + 80 + 100 = 200 units- Cost: $40 + $240 + $400 = $680

The cost of goods sold is calculated as follows:

- Quantity: 80 + 50 + 40 = 170 units- Cost: $160 + $120 +$40 = $320.

About FIFO Method

FIFO Method (First In First Out) is a method of inventory management by using the stock of goods in the warehouse according to the time of entry. The stock that first enters the warehouse is the stock that must first leave the warehouse. The FIFO or First in First Out method is one of the most widely used methods by business people to ensure the management of stock taking or inventory of other business goods contained in the warehouse. warehouse in order to stay good in terms of quality and stay compliant with the law.

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Respond to the following in a minimum of 175 words: How
important are structure and culture compared to the other primary
internal considerations for a strategic plan?

Answers

Structure and culture are critical internal considerations for a strategic plan, shaping how the organization operates, makes decisions, and aligns with its goals and values.

Structure and culture play vital roles in the success of a strategic plan. Structure refers to the organization's framework, including reporting relationships, hierarchies, and divisions of responsibilities. It determines how information flows, decision-making processes, and coordination occur within the organization. A well-designed structure supports the efficient execution of the strategic plan and enables effective communication and collaboration. Culture, on the other hand, encompasses the shared values, beliefs, norms, and behaviors that shape the organization's identity. It influences how employees perceive and approach their work, make decisions, and interact with one another. A strong, positive culture aligned with the strategic objectives fosters employee engagement, motivation, and a sense of purpose, driving the successful implementation of the plan. While other internal considerations like resources, capabilities, and systems are also crucial, structure and culture have a profound impact on how these elements are leveraged and integrated into the strategic plan. They establish the foundation and context within which the organization operates, shaping its ability to adapt, innovate, and achieve its strategic goals. Therefore, structure and culture should be given due attention and alignment with the strategic plan to maximize its effectiveness and long-term success.

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(BUSINESS RESEARCH METHODS)
Discuss, Elaborate and Explain the data collection method and
the instrument used for the study (Issues and Challenges among
Young Entrepreneurs in Malaysia).

Answers

When conducting research on the issues and challenges among young entrepreneurs in Malaysia, data collection methods and instruments play a crucial role in gathering relevant and reliable information. Here, we will discuss and explain potential data collection methods and instruments for this study:

1. Surveys: Surveys are a common data collection method that allows researchers to collect data from a large number of respondents efficiently. In the case of young entrepreneurs in Malaysia, a survey questionnaire can be designed to gather information on various aspects such as the challenges they face, their motivations, access to resources, and support systems. The questionnaire can include both closed-ended and open-ended questions to capture quantitative and qualitative data. Closed-ended questions utilize pre-defined response options, while open-ended questions allow respondents to provide detailed insights.

2. Interviews: Interviews provide an opportunity for in-depth exploration and understanding of the issues and challenges faced by young entrepreneurs. Researchers can conduct structured, semi-structured, or unstructured interviews, depending on the level of guidance and flexibility needed. In structured interviews, researchers use a predefined set of questions, while semi-structured and unstructured interviews allow for more open-ended discussions. Interviews can be conducted face-to-face, over the phone, or through video conferencing platforms. The data collected from interviews can provide rich insights into the experiences and perspectives of young entrepreneurs in Malaysia.

3. Focus Groups: Focus groups involve bringing together a small group of individuals with similar characteristics or experiences to discuss specific topics. This method allows researchers to observe group dynamics and gather collective insights. Conducting focus groups with young entrepreneurs can facilitate discussions on shared challenges, collaborative problem-solving, and identifying potential solutions. Focus groups provide an interactive platform for participants to exchange ideas and build upon each other's thoughts. The discussions can be audio or video recorded for later analysis.

4. Document Analysis: This method involves reviewing and analyzing existing documents, such as reports, articles, policy documents, and business plans related to young entrepreneurship in Malaysia. Researchers can gather valuable insights on government initiatives, support programs, and available resources for young entrepreneurs. Document analysis helps contextualize the challenges faced by young entrepreneurs within the broader socio-economic and policy landscape.

5. Case Studies: Case studies involve in-depth investigations of specific individuals, organizations, or situations. Researchers can select representative young entrepreneurs in Malaysia and conduct detailed case studies to explore their experiences, challenges, and strategies for success. Case studies involve data collection through interviews, document analysis, observations, and examination of relevant records. The findings from case studies provide rich, contextualized information that can enhance understanding of the challenges faced by young entrepreneurs in Malaysia.

It is important to note that the selection of data collection methods and instruments should align with the research objectives, the nature of the research questions, and the target population. Researchers should also consider ethical considerations, such as obtaining informed consent, ensuring data confidentiality, and maintaining participant anonymity when collecting data. Furthermore, piloting and pre-testing data collection instruments can help identify any potential issues and refine the instruments for improved data quality.

By employing appropriate data collection methods and instruments, researchers can gather comprehensive and valuable insights into the issues and challenges faced by young entrepreneurs in Malaysia. This information can contribute to evidence-based policies, programs, and interventions aimed at supporting and promoting the success of young entrepreneurs in the country.

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A company has a beta of 1.8, pre-tax cost of debt of 5% and an effective corporate tax rate of 20%. 40% of its capital structure is debt and the rest is equity. The current risk-free rate is 1.5% and the expected market return is 5.5%. What is this company's weighted average cost of capital? Answer in percent, rounded to one decimal place.

Answers

To calculate the company's weighted average cost of capital (WACC), you need to consider the cost of equity and the cost of debt. The WACC is the weighted average of these two components, taking into account .

Next, calculate the after-tax cost of debt by adjusting the pre-tax cost of debt for the corporate tax rate:After-Tax Cost of Debt = Pre-Tax Cost of Debt * (1 - Tax Rate)After-Tax Cost of Debt = 5% * (1 - 20%)After-Tax Cost of Debt = 5% * 0.8After-Tax Cost of Debt = 4%Finally, calculate the WACC using the weights of debt and equity:WACC = (Weight of Equity * Cost of Equity) + (Weight of Debt * After-Tax Cost of Debt)WACC = (60% * 8.7%) + (40% * 4%)WACC = 5.22% + 1.6%WACC = 6.82%Therefore, the company's weighted average cost of capital (WACC) is approximately 6.82%.the proportion of debt and equity in the company's capital structure.

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Super Carpeting Inc. (SC.) just paid a dividend (D 0

) of $2.40 per share, and its annual dividend is expected to arow at a constant rate ( 0 ) of 5. Cos per year, If the required return (f n

) on SCl 's stock is 12.50%, then the intrinsic value of 5Ct 's shares is per share. Which of the following statements is true about the constant growth model? The constant growth model can be used if a stock's expected constant growth rate is less than its required return. The constant growth model can be used if a stock's expected constant growth rate is more than its required return. Use the constant growth model to calculate the appropriate values to complete the following statements about Super Carpeting inc:i - If Sci's stock is in equilibrium, the current expected dividend yield on the stock will be per share. - SCI's expected stock price one year from today will be per share. - If SCl's stock is in equillbrium, the current expected capitat gains yleld on 5C1 's stock will be per share.

Answers

The statement "if a stock's expected constant growth rate is more than its required return, it can be used" is true about the constant growth model. The expected dividend yield is 7.5%, the expected stock price one year from today is $33.60, and the expected capital gains yield is 0%.

Intrinsic value of the Super Carpeting Inc (SCI) shares=Dividend expected to be paid in the next period / (Required return on the shares - expected growth rate)​Using the given information:D0 = $2.40, g = 5% and k = 12.5%The intrinsic value of SCI's shares = $2.40 × (1 + 0.05) / (0.125 - 0.05) = $2.40 × 1.05 / 0.075 = $33.60According to the constant growth model, if a stock's expected constant growth rate is more than its required return, it can be used.The expected dividend yield on SCI's stock is:Dividend yield = D1 / P0D1 = D0 × (1 + g) = $2.40 × 1.05 = $2.52Expected dividend yield = $2.52 / $33.60 = 0.075 = 7.5%The expected stock price one year from today will be:Price of stock after one year = D1 / (k - g)D1 = D0 × (1 + g) = $2.40 × (1 + 0.05) = $2.52Price of stock after one year = $2.52 / (0.125 - 0.05) = $2.52 / 0.075 = $33.60Expected capital gains yield on SCI's stock is:Capital gains yield = P1 - P0 / P0P1 = Expected stock price one year from today = $33.60Capital gains yield = $33.60 - $33.60 / $33.60 = 0%. Therefore, the statement "if a stock's expected constant growth rate is more than its required return, it can be used" is true about the constant growth model. The expected dividend yield is 7.5%, the expected stock price one year from today is $33.60, and the expected capital gains yield is 0%.

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Which of the following best describe the term fixed costs. A) The possibility that errors in projected cash flows lead to incorrect decisions. B) The sales level that results in a zero NPV. C) The percentage change in operating cash flow relative to the percentage change in quantity sold. D) Costs that do not change when the quantity of output changes during a particular time period. E) Opportunities that managers can exploit if certain things happen in the future.

Answers

D) Costs that do not change when the quantity of output changes during a particular time period.

Fixed costs refer to costs that remain constant regardless of the quantity of output produced or sold. These costs do not vary with the level of production or sales and are incurred by a company regardless of its level of activity. Examples of fixed costs include rent, salaries of employees, insurance premiums, and  expenses.

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Different countries often use different motivational and managerial strategies to get work done and in motivating employees using locally valid incentive and reward systems. James is managing a global workforce in Dubai, identify and discuss strategies that James can draw upon to implement appropriate local reward and benefits systems to best motivate employees?

Answers

James can implement appropriate local reward and benefits systems in Dubai by understanding cultural values and offering Islamic banking benefits, aligning rewards with employees' preferences and motivating them effectively. Adapting to the local context and maintaining regular communication with employees are essential for a successful implementation.

To implement appropriate local reward and benefits systems in Dubai and effectively motivate employees, James can draw upon the following strategies:

1. Understand Cultural Values: James should familiarize himself with the cultural values, norms, and preferences in Dubai. This includes understanding the importance of hospitality, teamwork, and respect for hierarchy in the workplace. Tailoring rewards and benefits to align with these cultural values can enhance employee motivation.

2. Offer Islamic Banking Benefits: As Dubai is a predominantly Muslim country, offering Islamic banking benefits, such as profit-sharing schemes or interest-free loans, can be highly valued by employees. These benefits align with Islamic principles and can serve as powerful motivators.

By understanding and incorporating cultural values and Islamic banking benefits, James can implement a local reward and benefits system in Dubai that resonates with employees and motivates them effectively. It is essential to adapt to the local context and align rewards with cultural values to ensure the strategies are well-received and impactful. Regular feedback and communication with employees can also help tailor the reward system to their specific needs and preferences, fostering a motivating work environment.

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A bank has a net income after taxes of \( \$ 4 \) million, assets of \( \$ 200 \) million, and bank capital of \( \$ 10 \) million. What is the bank's equity multiplier (EM)? Write your answer as a de

Answers

The bank's equity multiplier is 1.05.

Equity Multiplier is defined as the ratio of Total Assets to Shareholder’s Equity. It provides us the amount of assets supported by one dollar of Shareholder’s Equity. Mathematically, it can be expressed as follows: EM = Total Assets / Shareholder’s Equity. Given, Net Income after Taxes = $4 million, Assets = $200 million, Bank Capital = $10 million. Let us calculate Shareholder’s Equity first by using the formula: Shareholder's Equity = Assets - Liabilities, SE = Assets - Bank Capital. SE = $200 million - $10 million, SE = $190 million. Now, use the below formula to find Equity Multiplier: EM = Total Assets / Shareholder’s Equity. EM = $200 million / $190 million, EM = 1.05. Therefore, the bank's equity multiplier is 1.05.

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Please use the following data for Macroland to answer the questions. This economy at real full employment output is $70 billion. M = 10 billion V = 10 P=2 Y = ? billion a. b. c. d. Please solve for Y. (This is the current level of real GDP) How much is current level of nominal GDP? How big is the gap in real terms? What type of gap is this economy experiencing? What type of monetary policy should the FRB adopt to close this gap? How much should the money supply change to close the gap? (other things being equal, hold V and P constant) e. Construct an idealized money market and show the change in money supply to close the gap. Next, construct an idealized AD/AS model showing the related change to close the gap.

Answers

a. To solve for Y, we can use the equation of the quantity theory of money: M * V = P * Y. Plugging in the given values, we have 10 billion * 10 = 2 * Y. Solving for Y, we find Y = 50 billion.

b. The current level of nominal GDP can be calculated by multiplying the price level (P) by the real GDP (Y). Therefore, the nominal GDP is 2 * 50 billion = 100 billion.c. The gap in real terms can be calculated by subtracting the real full employment output ($70 billion) from the current level of real GDP ($50 billion). So, the gap is 70 billion - 50 billion = 20 billion.d. The economy is experiencing a recessionary gap, as the current level of real GDP is below the real full employment output.e. To close the gap, the FRB (Federal Reserve Bank) should adopt expansionary monetary policy.

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Which college do you work in? ( \( 1= \) Arts \( \& \) Sciences, \( 2= \) Business, \( 3= \) Fine Arts, \( 4= \) Education, \( 5= \) Health Sciences, \( 6= \) Music) Categorical; Ordinal/Interval Disc

Answers

Categorical data is a type of data that refers to groups or categories. These groups are usually non-numerical, and the data cannot be ranked or ordered in any way.

For example, college majors, gender, religion, and race are examples of categorical data.Ordinal data is a type of data that can be ranked in order. The ranking can be from least to greatest or greatest to least.

Ordinal data is not measured using a precise numerical value, but it is given an order. Examples of ordinal data include ranking of high school classes (1st, 2nd, 3rd, etc.), letter grades (A, B, C, D, F), and clothing size (small, medium, large).Interval data is a type of data that is measured using a numerical value and has an equal distance between data points.

The numerical value assigned to the data has a specific unit of measurement. For instance, temperature is measured in Fahrenheit or Celsius.

Examples of interval data include temperature (in Fahrenheit or Celsius), time, and pH levels.The six colleges that you mentioned fall under the categorical data type. This is because they cannot be ranked or ordered in any way, and they do not have a numerical value. However, within each college, the various majors or departments can be ordered or ranked using ordinal data.

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Social Selling when done well works best as a stand alone solution. True False

Answers

In this scenario, the additional revenue generated from the sale of the final 75 handbags is referred to as "marginal revenue."

Marginal revenue is the difference in total revenue caused by the production and sale of one more unit of a good. It measures the increase in revenue caused by the sale of an extra unit.The plant owner's declaration indicates that sales of the last 75 handbags increased by $1,000. This increase in income includes the additional revenue generated from the sale of those more units.Therefore, in economics, "marginal revenue" refers to the additional revenue generated from the sale of the remaining 75 handbags. It represents the gradually rising revenue caused by

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On January 1, 2014 (the date of grant), Lutz Corporation issues 2,070 shares of restricted stock to its executives. The fair value of these shares is $111,600, and their par value is $11,200. The stock is forfeited if the executives do not complete 3 years of employment with the company.
Prepare journal entries for January 1, 2014, and December 31, 2014, assuming the service period is 3 years.

Answers

Restricted Stock (2,070 shares * Fair Value per Share) as of January 1, 2014.     $111,600 Common Stock, Par Value: $11,200 $100,400 in additional paid-in capital The distribution of 2,070 shares of restricted .

The shares' par value of $11,200 is noted as an increase in common stock. Credited to Additional Paid-in Capital is the $100,400 difference between fair value and par value. Compensation Expense as of December 31, 2014 (Fair Value Per Share * Unvested Shares * Time Elapsed)  $37,200 $37,200 in Restricted Stock The restricted stock that vested in the first year is included in this item as compensation expense. Considering equal vesting over the three years of service, By the conclusion of the first year, one-third (1/3) of the shares have become fully vested. To determine the compensation expense

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1. Assume that a piece of property is purchased for $75, 000. A 20% down payment is made' and the rest is financed through a 30-year mortgage loan with a 12% annual interest rate, compounded monthly. The loan will be repaid in equal monthly payments. Calculate the monthly payments.

Answers

The monthly payment for a 30-year mortgage loan with a 12% annual interest rate, compounded monthly, and a $60,000 principal is approximately $659.96.

To calculate the monthly payments, we need to use the formula for a fixed monthly payment on a mortgage loan:

M = P * r * (1 + r)^n / ((1 + r)^n - 1)

Where:

M = Monthly payment

P = Loan principal (purchase price minus down payment)

r = Monthly interest rate (annual interest rate divided by 12 and expressed as a decimal)

n = Total number of monthly payments (number of years multiplied by 12)

Purchase price = $75,000

Down payment = 20% of purchase price = $75,000 * 0.20 = $15,000

Loan principal = Purchase price - Down payment = $75,000 - $15,000 = $60,000

Annual interest rate = 12%

Number of years = 30

First, let's calculate the monthly interest rate:

Monthly interest rate = Annual interest rate / 12 = 0.12 / 12 = 0.01

Next, let's calculate the total number of monthly payments:

Number of monthly payments = Number of years * 12 = 30 * 12 = 360

Now, we can calculate the monthly payment using the formula:

M = $60,000 * 0.01 * (1 + 0.01)^360 / ((1 + 0.01)^360 - 1)

After performing the calculation, the monthly payment is approximately $659.96.

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Rucker Company manufactures drinking glasses. One unit is a package of eight glasses, which sells for $15. Rucker projects sales for April will be 4,000 packages, with sales increasing by 100 packages per month for May, June, and July. On April 1, Rucker has 175 packages on hand but desires to maintain an ending inventory of 10% of the next month's sales. Prepare a sales budget and a production budget for Rucker for April, May, and June April, May, and June April Total Budgeted packages to be sold 4,000 4,100 Sales price per package 51.500 184.500 Total sales May 12300 Now prepare a production budget for April, May, and June. Rucker Company Production Budget April, May, and June April May June Total Plus: Total packages needed Budgeted packages to be produced Choose from any list or enter any number in the input fields and then click Check Answer All parts showing Check Answer Clear All

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The sales budget for Rucker Company for April, May, and June shows projected sales of 4,000, 4,100, and 4,200 packages respectively. The production budget indicates that Rucker needs to produce 4,350, 4,450, and 4,550 packages for April, May, and June respectively.

The sales budget is prepared based on the projected sales for each month. In April, Rucker expects to sell 4,000 packages. Since sales are projected to increase by 100 packages per month, the sales budget for May and June is 4,100 and 4,200 packages respectively. The sales price per package remains constant at $15.

To determine the production budget, Rucker considers the desired ending inventory for each month. The desired ending inventory is calculated as 10% of the next month's sales. In April, Rucker desires to have an ending inventory of 10% of May's sales, which is 10% of 4,100 packages, equal to 410 packages.

Therefore, the total packages needed for April are 4,000 (sales projection) plus 410 (desired ending inventory), resulting in a total of 4,410 packages. Similarly, the total packages needed for May and June are calculated using the same formula.

Therefore, the production budget for Rucker Company indicates that they need to produce 4,350, 4,450, and 4,550 packages for April, May, and June respectively to meet the projected sales and maintain the desired ending inventory.

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Two-way tables use which of the following statistics
A- T Statistics
B- F Statistics
C- Chi Square Statistics
D- Z Score

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Two-way tables use Chi-Square Statistics to analyze the relationship between categorical variables. Option C.

Two-way tables use Chi-Square Statistics. A two-way table, also known as a contingency table, is used to analyze the relationship between two categorical variables. It displays the frequency or count of observations for each combination of categories from the two variables.

Chi-Square Statistics, specifically the chi-square test, is used to determine if there is a significant association or relationship between the two categorical variables in a two-way table. It helps to assess whether the observed frequencies in the table differ significantly from what would be expected if there was no association.

The chi-square test calculates a test statistic, which follows a chi-square distribution. It compares the observed frequencies in the two-way table to the expected frequencies under the assumption of independence between the variables. If the test statistic is large enough, it suggests that there is a significant association between the variables.

The chi-square test is widely used in various fields, including social sciences, marketing research, and epidemiology, to examine relationships between categorical variables.

It helps researchers and analysts understand the dependence or independence of variables and assess the strength and significance of the association. So Option C is correct.

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if the price index rises from 200 to 250, the purchasing power value of the dollar group of answer choices may either rise or fall. will rise by 25 percent. will fall by 25 percent. will fall by 20 percent.

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The purchasing power value of the dollar will fall by 20 percent if the price index rises from 200 to 250.

When the price index increases, it indicates that the general level of prices has risen. This means that goods and services have become more expensive relative to the purchasing power of the dollar. In this case, with the price index rising from 200 to 250, it represents a 25 percent increase in the price level.

To calculate the change in purchasing power, we can use the formula:

Change in Purchasing Power = ((New Price Index - Old Price Index) / Old Price Index) * 100

Using the given values:

Change in Purchasing Power = ((250 - 200) / 200) * 100 = 25 percent

However, the correct answer is that the purchasing power value of the dollar will fall by 20 percent. This is because the formula for calculating the change in purchasing power uses the old price index as the denominator, not the new price index. Therefore, the correct calculation would be:

Change in Purchasing Power = ((250 - 200) / 250) * 100 = 20 percent

So the purchasing power value of the dollar will fall by 20 percent, not rise or fall by 25 percent.

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he MUA also includes a social cost of carbon offset, of $60/MT CO2.e in its business model. When the initial pro-forma was created, the MUA used 200 kW of electrical output, based on 95% runtime. Emissions Factors of 0.88 lb CO2.e/kWh were used. What is the additional revenue stream in the first year (no adjustment for Present Value required) associated with the carbon credits? ($/yr) (2) 3. The improvements proposed by the MUA will cost it $3.4 million. The MUA has applied for a State Grant that rebates 33% of the capital cost of the project after five years of successful operation - no adjustment for inflation is provided. The MUA uses a 4% Discount Factor to evaluate its investments. What value should the accountant show for the present value of the grant ($)? (2) 4. The plant operates with enhanced biological nutrient removal such that phosphorous accumulating organisms are present in the sludge going to the digester. Your junior engineer approaches you mentioning recent research suggesting addition of magnesium hydroxide can boost biogas production. What should you be concerned about and why?

Answers

The additional revenue stream in the first year associated with the carbon credits is $10,512.

How is the additional revenue stream calculated for carbon credits?

To calculate the additional revenue stream from carbon credits, we need to determine the total CO2.e emissions and multiply it by the social cost of carbon offset.

First, we calculate the total CO2.e emissions by multiplying the electrical output (200 kW) by the runtime (95%) and the emissions factor (0.88 lb CO2.e/kWh).

Total CO2.e emissions = 200 kW ˣ 0.95 ˣ 0.88 lb CO2.e/kWh

Next, we convert the emissions to metric tons (MT) by dividing the result by 2,204.62 (since there are 2,204.62 lb in a metric ton).

Total CO2.e emissions in MT = (200 kW ˣ 0.95 ˣ 0.88 lb CO2.e/kWh) / 2,204.62

Finally, we multiply the total CO2.e emissions in MT by the social cost of carbon offset ($60/MT CO2.e) to calculate the additional revenue stream.

Additional revenue stream = Total CO2.e emissions in MT ˣ $60/MT CO2.e

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Consider a student studying for a biology exam. Would you expect
study time to be subject to diminishing​ returns? Suppose
productivity is measured as the anticipated increase in the exam
score. Con

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Yes, it is reasonable to expect study time to be subject to diminishing returns in the context of the student studying for a biology exam.

Diminishing returns occur when the incremental gains or benefits obtained from each additional unit of input decrease over time. In the case of studying, initially, dedicating more time to studying can result in significant improvements in productivity or the anticipated increase in exam score. However, as the student continues to study, the marginal benefit of additional study time starts to diminish. At the beginning of the study process, the student is likely to cover essential concepts, gain a better understanding of the material, and improve their knowledge base. This initial increase in study time can result in a substantial increase in productivity or the anticipated increase in exam score. However, as the student progresses and becomes more familiar with the material, the additional study time may lead to smaller incremental gains.

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In your view, are all employees interested in finding meaning at
work? How can organizations ensure that employees get a sense of
meaning if the organization is not "purpose driven"?

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Not all employees may be equally interested in finding meaning at work. However, organizations can still ensure that employees get a sense of meaning even if the organization is not "purpose driven" by focusing on individual development, fostering a positive work environment, and providing opportunities for growth and recognition.

Organizations can create a sense of meaning by aligning individual goals and values with the work being performed. This can be achieved by offering opportunities for skill development, providing a supportive and inclusive workplace culture, encouraging autonomy and ownership, and recognizing and rewarding employee contributions. By emphasizing personal growth, creating a positive work atmosphere, and acknowledging employees' efforts, organizations can help employees derive meaning from their work, irrespective of the organization's overarching purpose.

While not all employees may prioritize finding meaning at work, organizations can still play a crucial role in cultivating a sense of purpose and fulfillment. By focusing on individual development and fostering a supportive environment, organizations can contribute to employees' overall satisfaction and engagement, leading to a greater sense of meaning in their work.

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A compensation element that provides you with help to cope with personal stress and problems is referred to as: a. employee assistance program. b. individual incentives c. indirect financial compensation. d. annuities

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An employee compensation element that provides you with help to cope with personal stress and problems is referred to as an (A) employee assistance program (EAP).

It is a type of benefit program that offers employees confidential counseling and support for a variety of personal and work-related issues.

EAPs are designed to help employees cope with a wide range of personal and work-related challenges, including mental health issues, financial problems, relationship difficulties, and substance abuse. They typically provide short-term counseling and referral services to help employees address their concerns and find the help they need.

One of the main benefits of an EAP is that it can help reduce stress and anxiety among employees, which can in turn lead to improved productivity, job satisfaction, and retention. By providing employees with access to counseling and support, employers can create a more supportive work environment that encourages employees to seek help when they need it.

Overall, employee assistance programs are an important component of a comprehensive employee benefits package. By providing employees with access to confidential counseling and support, employers can help promote employee well-being and improve overall organizational performance.

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Franchising is a entry strategy for the franchisee. A. low-labor B. high-risk C. high-cost D. labor-intensive E. low-risk

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Franchising is an entry strategy for the franchisee that can be categorized as E. low-risk. Franchising allows individuals or businesses (franchisees) to operate under an established brand and business model (franchisor) by paying fees and adhering to set guidelines.

This strategy offers several advantages, including lower risk compared to starting a new independent venture. Franchisees benefit from the established brand recognition, proven business model, and ongoing support provided by the franchisor. The franchisee receives training, marketing support, and access to a network of resources, which reduces the risks associated with market entry and business operations. Overall, franchising offers a lower-risk pathway for entrepreneurs looking to start their own business compared to other entry strategies.

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list out minimum five failure scenarios in Oil and Gas company, and asses the risk by assiming suitable failure frequencies. Topic title: Health and safety management.

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The five failure scenarios in an Oil and Gas company include:

Equipment failuresFires and explosionsNatural disastersHuman errorsSabotage and terrorism

-Equipment failures

An Oil and Gas company needs to assess the potential of failure of all of the equipment being used, including machinery and transportation vehicles, in order to minimize the risk of accidents and injuries to workers. The frequency of equipment failure can be minimized by regularly checking equipment and machines to ensure that they are in good condition and are being used in accordance with the manufacturer's instructions.

- Fires and explosions

The risks of fire and explosions in an Oil and Gas company are significant, and can be caused by many factors including human error, equipment failure, and even natural disasters such as lightning. The frequency of fires and explosions can be minimized by having adequate fire and explosion prevention systems in place, as well as by training workers on how to respond in the event of an emergency.

-Natural disasters

The risk of natural disasters such as hurricanes, tornadoes, and earthquakes are significant in an Oil and Gas company. The frequency of natural disasters can be minimized by having emergency response plans in place, as well as by regularly conducting drills to ensure that workers are prepared in the event of an emergency.

-Human errors

Human errors such as mistakes made by workers, poor communication, and lack of training are significant risks in an Oil and Gas company. The frequency of human errors can be minimized by providing adequate training to workers, implementing procedures to ensure proper communication, and regularly reviewing safety protocols to ensure that they are up-to-date.

- Sabotage and terrorism

The risk of sabotage and terrorism is significant in an Oil and Gas company, and can be caused by both internal and external factors. The frequency of sabotage and terrorism can be minimized by implementing security protocols, conducting regular security audits, and training workers to be vigilant and report any suspicious activity.

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Provide links to two articles that report on a policy initiative that applies the Keynesian perspective.
Additionally, find two more articles that report on a policy initiative that applies the neoclassical perspective. For each
article, explain how any policies mentioned are focused on long-term or short-term economic effects.

Answers

Keynesian economics supports government intervention, while neoclassical economics favors market self-correction. They differ in fiscal and monetary policies, wealth distribution, and the role of markets in stability.

Two articles that report on a policy initiative that applies the Keynesian perspective are:

"Policy Implications of the Neoclassical Perspective": This article discusses the Keynesian response to a recessionary gap, which is to use government policy to stimulate aggregate demand and eliminate the gap. Keynesians believe that fiscal and monetary policy should be used actively in the short run to manage aggregate demand. In the long run, Keynesians believe that fiscal and monetary policy should be devoted to increasing potential GDP. Tax cuts on business investment can help, as well as investing into public infrastructure. [Source: https://opened.cuny.edu/courseware/lesson/553/overview]"Public-Private Partnerships from a Neoclassical and Keynesian Political Economy Perspective": This article discusses how a Keynesian approach provides a useful framework for local governments to use when negotiating contracts with potential partners that prioritize equitable wealth distribution. A crucial characteristic of Keynesian political economy is the belief that economic decisions should be analyzed from a long-term perspective. It argues that short-term priorities are rational only at the micro level because actors benefit from doing what is in their best interest. [Source: https://crownschool.uchicago.edu/student-life/advocates-forum/public-private-partnerships-neoclassical-and-keynesian-political]

Two articles that report on a policy initiative that applies the neoclassical perspective are:

"Balancing Keynesian and Neoclassical Models": This article discusses how neoclassicals advocate a hands-off, or fairly limited, role for active stabilization policy. They believe that the economy is self-correcting, and attempting to fine-tune the economy through monetary and fiscal policies makes problems worse. Fiscal policy (primarily in the form of tax cuts) should be devoted to increasing potential GDP through stimulating physical and human capital formation. [Source: https://courses.lumenlearning.com/wm-macroeconomics/chapter/balancing-keynesian-and-neoclassical-models/]"Neoclassical Economics: What It Is and Why It's Important": This article discusses how followers of neoclassical economics believe that there is no upper limit to the profits that can be made by smart capitalists since the value of a product is driven by consumer perception. Neoclassical economic theory believes that markets will naturally restore themselves. Prices, and therefore wages, will adjust on their own in response to changes in consumer demand. Keynesian economic theory does not believe markets can adjust naturally to these changes. It encourages using fiscal and monetary policy to stabilize the economy in the short run. [Source: https://www.investopedia.com/terms/n/neoclassical.asp]

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Imagine that data collected in Ireland reveals that a 10% increase in income leads to the following changes: *A 21% increase in the quantity demanded of gourmet coffee "A 6% decrease in the quantity demanded of sliced bread A 9% increase in the quantity demanded of wine The income elasticity of demand for wine is . (Be careful to keep track of the direction of change. Like the cross price elasticity of demand, the sign of the income elasticity of demand can be positive or negative, and important information is conferred by the sign.) According to the income elasticity of demand, gourmet coffee is Which of the following three goods is most likely to be classified as a luxury good? O Sliced bread Gourmet coffee Wine good and sliced bread, 4 good.
Previous question

Answers

The income elasticity of demand for wine is +1. Gourmet coffee is more likely to be classified as a luxury good. A 21% increase in the quantity demanded of gourmet coffee with a 10% increase in income indicates that gourmet coffee is a luxury good.

"A 6% decrease in the quantity demanded of sliced bread A 9% increase in the quantity demanded of wine

Income elasticity of demand for wine :The income elasticity of demand for wine is +1. The positive sign indicates that the quantity demanded of wine increased with an increase in income. The numerical value of 1 indicates that the increase in the quantity demanded of wine was proportional to the increase in income.

Luxury good: According to the income elasticity of demand, gourmet coffee is classified as a luxury good. This is because the income elasticity of demand for gourmet coffee is more than one. Therefore, an increase in income led to a larger increase in the quantity demanded of gourmet coffee.

Since luxury goods are more sensitive to income changes than necessary goods, gourmet coffee can be considered a luxury good. People spend more on luxury goods when their income increases, which results in a larger proportionate increase in demand.

Gourmet coffee: Gourmet coffee is more likely to be classified as a luxury good. A 21% increase in the quantity demanded of gourmet coffee with a 10% increase in income indicates that gourmet coffee is a luxury good. The income elasticity of demand for gourmet coffee is greater than 1, indicating that gourmet coffee is more sensitive to changes in income than necessary goods such as sliced bread and wine.

As a result, people spend more on gourmet coffee when their income increases, resulting in a larger increase in demand.

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Problem 10.25 Part 1 of 2 Peter Rourke, a loan processor at Wentworth Bank, has been timed performing four work elements, with the results shown in the following table. 85% 80% 85% 1 0.4 0.6 0.5 1.5 > HW Score: 0%, 0 of 6 points O Points: 0 of 1 0.5 0.7 0.4 1.9 Observation (minutes per cycle) 2 3 4 0.7 0.6 0.7 2.0 0.4 0.6 0.4 1.8 Clear all D The allowances for tasks such as this are personal, 8%; fatigue, 8%; and delay, 2%. a) The normal time for the complete operation = 3.1 minutes (round your response to two decimal places).

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The normal time for the entire operation = 2.14 minutes.

Peter Rourke, a loan processor at Wentworth Bank, has been timed performing four work elements. The results are shown in the following table: Observation (minutes per cycle) Element Time(minutes) Rating 1 0.4 85% 2 0.6 80% 3 0.5 85% 4 0.7 80%Allowances for tasks are personal (8%), fatigue (8%), and delay (2%).The normal time for the entire operation = is 3.1 minutes (round your response to two decimal places).Part 1: Calculate the total observed time. To calculate the total observed time, multiply the observed time by the rating for each element: Element Time(minutes) Rating Observed time(minutes) 1 0.4 85% 0.34 2 0.6 80% 0.48 3 0.5 85% 0.43 4 0.7 80% 0.56 Total observed time = 1.81 minutes part 2: Calculate the normal time. The sum of the allowances is 18%. To get the adjusted time, multiply the total observed time by 1.18:Adjusted time = Total observed time × (1 + allowances%) = 1.81 × 1.18 = 2.1358 minutes normal time = Adjusted time × Performance rating = 2.1358 × 100% = 2.14 minutes (rounded to two decimal places).

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B1 Descriptive and optimisation models play a central role in supporting supply chain decision making. Discuss. (17 marks)

Answers

Descriptive and optimization models indeed play a central role in supporting supply chain decision making. These models provide valuable insights, help identify optimal solutions, and facilitate data-driven decision-making processes. Here is a discussion outlining the importance and benefits of descriptive and optimization models in supply chain management:

1. Descriptive Models:

Descriptive models aim to describe and understand the current state of the supply chain. They utilize historical data and statistical techniques to analyze patterns, trends, and relationships within the supply chain. Key benefits of descriptive models include:

  a. Performance Measurement: Descriptive models help measure and evaluate the performance of the supply chain by quantifying key metrics such as delivery time, inventory levels, order fulfillment rates, and customer satisfaction. This enables managers to identify areas of improvement and monitor progress over time.

  b. Root Cause Analysis: By examining historical data, descriptive models can identify the root causes of supply chain inefficiencies, delays, bottlenecks, or quality issues. This understanding allows managers to take corrective actions and implement process improvements.

  c. Visualization and Communication: Descriptive models often employ data visualization techniques such as charts, graphs, and dashboards to present complex supply chain data in a visually understandable format. This aids in communicating insights and facilitating discussions among stakeholders.

2. Optimization Models:

Optimization models focus on finding the best possible solution to a specific supply chain problem. They utilize mathematical algorithms and techniques to optimize decision variables and constraints. Key benefits of optimization models include:

  a. Cost Reduction: Optimization models can help minimize costs across the supply chain by optimizing inventory levels, production schedules, transportation routes, and distribution strategies. They consider various cost factors and trade-offs to identify the most efficient allocation of resources.

  b. Improved Efficiency and Service Levels: By optimizing processes, resources, and capacity utilization, optimization models enhance overall supply chain efficiency. This leads to improved service levels, reduced lead times, faster order fulfillment, and better customer satisfaction.

  c. Scenario Analysis and Risk Mitigation: Optimization models allow managers to simulate and analyze different scenarios and potential risks in the supply chain. This enables proactive decision-making by evaluating the impact of uncertainties, disruptions, or changes in demand, and developing contingency plans.

  d. Strategic Decision Support: Optimization models can support strategic decisions such as facility location, network design, capacity expansion, and supplier selection. They provide insights into the long-term implications of different alternatives, enabling informed decision-making and investment planning.

Overall, descriptive and optimization models are powerful tools that provide valuable insights and support decision-making processes in supply chain management. They help improve performance, efficiency, and customer service while reducing costs and mitigating risks. It is important for supply chain managers to leverage these models to make informed decisions and drive continuous improvement in their supply chain operations.

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Modify and correct the given code so that it will solve the following - Routh Table - Stability of the system - Number of poles on the right hand side of the (s) plane - Poles of the system% Code By% Farzad Sagharchi ,Iran% 2007/11/12coeffVector = input('input vector of your system coefficients: \n i.e. [an an-1 an-2 ... a0] = ');ceoffLength = length(coeffVector);rhTableColumn = round(ceoffLength/2);rhTable = zeros(ceoffLength,rhTableColumn);rhTable(1,:) = coeffVector(1,1:2:ceoffLength);if (rem(ceoffLength,2) ~= 0)rhTable(2,1:rhTableColumn - 1) = coeffVector(1,2:2:ceoffLength);elserhTable(2,:) = coeffVector(1,2:2:ceoffLength);endepss = 0.01;for i = 3:ceoffLengthif rhTable(i-1,:) == 0order = (ceoffLength - i);cnt1 = 0;cnt2 = 1;for j = 1:rhTableColumn - 1rhTable(i-1,j) = (order - cnt1) * rhTable(i-2,cnt2);cnt2 = cnt2 + 1;cnt1 = cnt1 + 2;endendfor j = 1:rhTableColumn - 1firstElemUpperRow = rhTable(i-1,1);rhTable(i,j) = ((rhTable(i-1,1) * rhTable(i-2,j+1)) - ....(rhTable(i-2,1) * rhTable(i-1,j+1))) / firstElemUpperRow;endif rhTable(i,1) == 0rhTable(i,1) = epss;endendunstablePoles = 0;for i = 1:ceoffLength - 1if sign(rhTable(i,1)) * sign(rhTable(i+1,1)) == -1unstablePoles = unstablePoles + 1;endendfprintf('\n Routh-Hurwitz Table:\n')rhTableif unstablePoles == 0fprintf('~~~~~> it is a stable system! it is an unstable system!