Required information [The following information applies to the questions displayed below] The following transactions apply to Walnut Enterprises for Year 1 its first year of operations: 1. Recelved \(

Answers

Answer 1

The following transactions apply to Walnut Enterprises for Year 1, its first year of operations:

1. Received $100,000 from investors and issued common stock.2. Borrowed $50,000 from a bank and signed a note payable.3. Purchased equipment for $30,000, paying $10,000 in cash and the rest on account.4. Earned $80,000 in service revenue, of which $60,000 was collected in cash and the rest on account.5. Incurred $40,000 in operating expenses, of which $35,000 was paid in cash and the rest on account.6. Paid $5,000 in dividends to shareholders.

About Transactions

Transactions are monetary activities that are recorded as entries in accounting records and have a monetary impact on the financial statements. The following are some examples of transactions Making payments to businesses for services or products delivered. Different accounting methods record transactions differently to provide better & accurate financial results for businesses. There are usually several methods that are followed by both small businesses and large corporations.

Learn More About Transactions at https://brainly.com/question/1016861

#SPJ11


Related Questions

rses/11803/quizzes/65370/take Compute the commission and net proceeds for the sale on consignment. 20 F3 Gross Sales $10,250 $ 54 Commission 4 Commission: $512.50, Net Proceeds S086,75 O Commission: $

Answers

We need more details in order to calculate the fee and net proceeds for the sale on consignment. However, we can perform certain computations using the provided data.

The commission percentage is 4%, and the total gross sales amount is $10,250. We multiply the gross sales amount by the commission rate to determine the commission: $10,250 * 0.04 = $410.

Consequently, the commission for the consignment transaction is $410.

We deduct the commission from the gross sales amount to determine the net proceeds: $10,250 - $410 = $9,840.

As a result, the sale on consignment generated $9,840 in net proceeds.

Please be aware that these estimates are based on the information provided, and that any extra variables or costs may have an impact on the final commission and net earnings.

learn more about consignment  here :

https://brainly.com/question/30789182

#SPJ11

The minimum wage is an important policy tool that affects the labor market. The minimum wage is a price floor on hourly wages that employers are required to pay. Although the national minimum wage (as

Answers

The minimum wage is a policy tool that has a direct effect on the labor market. This is because the minimum wage is a price floor on hourly wages that employers are legally required to pay. The national minimum wage is set by the government in order to provide a minimum standard of living for employees.

Minimum wage laws affect the labor market by ensuring that workers are paid a fair wage for their work. Employers are required to pay their employees at least the minimum wage, which helps to prevent them from being exploited by unscrupulous employers who may try to pay them less than what they are worth.

This can help to reduce poverty and inequality in society.However, minimum wage laws can also have negative effects on the labor market. They can lead to higher unemployment as some employers may be unable to afford to pay their workers the minimum wage.

This can result in some workers losing their jobs, especially those with fewer skills or less experience. Overall, the minimum wage is an important policy tool that needs to be carefully balanced in order to ensure that it provides workers with a fair wage without causing undue harm to the labor market.

To know more about wage refer here:

https://brainly.com/question/15431287#

#SPJ11

Companies create value in different ways.
Krispy Kreme has a secret recipe and make it fresh at the store
Voodoo Donuts staff teaches their customers about their unique donuts that can’t be found anywhere else and provides a customer satisfaction guarantee
Local farmers’ market donut uses organic ingredients and local fruit
Hostess donuts can be found at any grocery store, convenience store, or gas station
Banbury Cross donuts has a large distinguishable sign outside of their shop on 700 East, which is a busy street

Answers

Companies create value in different ways, such as through their unique recipes and fresh in-store production, educating customers about unique products with a satisfaction guarantee, using organic and local ingredients, widespread availability through various retail outlets, and effective signage for attracting customers.

Krispy Kreme creates value by offering a secret recipe and making fresh donuts in-store, providing a unique and quality experience. Voodoo Donuts adds value by educating customers about their unique donuts and offering a satisfaction guarantee, ensuring customer satisfaction and loyalty.

The local farmers' market donut distinguishes itself through the use of organic ingredients and supporting local farmers, appealing to health-conscious and environmentally conscious consumers. Hostess donuts create value through wide distribution, making them easily accessible for consumers on the go. Banbury Cross donuts use a large distinguishable sign, attracting attention and driving foot traffic to their shop.

Each company mentioned utilizes different strategies to create value, whether it's through product quality, customer education and satisfaction, sustainable practices, widespread availability, or effective signage. By leveraging these unique aspects, companies can differentiate themselves in the market, attract customers, and generate value for their business.

To know more about Companies click here:

https://brainly.com/question/30532251

#SPJ11

Spivy Tech, a software firm, has decided to change one of its services to effectively meet its customer expectations. In the context of Information Technology Infrastructure Library (ITIL), identify the phase of the service life cycle that ensures that the changed services are designed effectively to meet customer expectations.
Service design
Service operation
Service strategy
Service transition

Answers

In the context of Information Technology Infrastructure Library (ITIL), the phase of the service life cycle that ensures that the changed services are designed effectively to meet customer expectations is Service Design.

The Information Technology Infrastructure Library (ITIL) is a framework for IT service management (ITSM) that is used to provide a set of best practices for the creation, delivery, and management of IT services. ITIL provides a comprehensive set of management procedures to support organizations in achieving quality and efficiency in their IT operations.In relation to Spivy TechSpivy Tech, a software firm, has decided to change one of its services to effectively meet its customer expectations. In the context of Information Technology Infrastructure Library (ITIL), the phase of the service life cycle that ensures that the changed services are designed effectively to meet customer expectations is Service Design.

To learn more about " Information Technology Infrastructure Library" visit: https://brainly.com/question/14098997

#SPJ11

Management Skills
1. What are the key management skills of successful
managers?
2. Which of these skills do you believe is most important and
why?
Please include reference page used.

Answers

Effective communication skills are the most important management skill as they are crucial for conveying instructions, fostering collaboration, and expressing ideas within an organization. Successful managers must possess strong communication abilities to lead and inspire their teams effectively.

1. Key management skills of successful managers

Successful managers possess the following key management skills:

Leadership skills: Successful managers are good leaders. They can communicate, inspire, and motivate their teams to achieve common goals.Communication skills: A successful manager has excellent communication skills. They must communicate effectively to give instructions, listen actively, and express their ideas effectively.Planning and organization skills: A successful manager has great planning and organization skills. They can set goals, develop strategies to achieve them, and plan the necessary steps to get there.Decision-making skills: A successful manager must have excellent decision-making skills. They must be able to analyze data, evaluate alternatives, and choose the best course of action based on the information available.Time management skills: A successful manager has great time management skills. They must balance competing demands, prioritize tasks, and ensure that everything gets done on time.

2. Most important management skill

Communication skills are the most critical management skill. This is because communication is the foundation of every successful organization.

Reference: Schermerhorn, J. R., Davidson, P., Poole, D., Woods, P., Simon, A., & McBarron, E. (2021). Management. Wiley.

Learn more about communication: https://brainly.com/question/26152499

#SPJ11

In cost plus regulation, regulators calculated the average cost of production, added in an amount for the normal rate of profit the firm should expect to earn, and set the price for consumers accordingly. In price cap regulation, the regulator sets a price that the firm can charge over the next few years. What is the problem of price cap regulation? It will not work if the price regulators set new prices every six months. Low level managers will have too much power. It will not work if the price regulators set the price cap unrealistically low. It will cause long term certainty in the market. How does advertising impact monopolistically competitive firms? It causes a firm's perceived demand curve to become more inelastic. Advertising expenses drive down average cost of production by increasing demand for the product and in turn increases total revenue. It either causes a firm's perceived demand curve to become more elastic, or advertising causes demand foe the firm's product to increase. Advertising always causes monopolistically competitive firms to experience lower average costs.

Answers

The problem with price cap regulation is that it will not work if the price regulators set the price cap unrealistically low.

Price cap regulation is a technique utilized by regulators to regulate utilities. The regulator sets a price that the firm can charge over the next few years in price cap regulation. The regulators may establish an inflation-linked or other index-linked price cap. The service quality provision might be attached to the price cap, implying that penalties are imposed if the firm fails to meet specified standards.

Advertising either causes a firm's perceived demand curve to become more elastic, or it causes demand for the firm's product to increase in monopolistically competitive firms. If a company spends more money on advertising, it will have a greater effect on the demand for its goods. When a firm can differentiate its products from those of its competitors, it can utilize advertising to influence its demand curve and make it less elastic. This aids the firm in gaining market share and raising prices in the long term.

To know more about demand curve refer to:

https://brainly.com/question/1139186

#SPJ11

This PA 2 assignment requires you to identify a current change in an organization with which you are familiar, and evaluate a current public issue about which "something must be done." In relation to the change issue, think about what sense-making changes might need to be enacted and how you would go about doing this. Then, design a mindmap visually assessing this in terms of the eight (8) elements of the sense-making framework suggested by Helms Mills and as set out in Table 9.7:
Sensemaking and identity construction
Social sense-making
Extracted cues of sensemaking
Ongoing sense-making
Retrospection
Plausibility
Enactment
Projective sense-making
Make sure you visually address the following questions:
Which ones did you believe you might have the most/least control over, and why?
What implications does this have for adopting a sense-making approach to organizational change?
Note Course :BUS 700 Leadership and Creative Solution Implementation Area : Management

Answers

We can see here a mindmap that visually assesses the eight elements of the sense-making framework suggested by Helms Mills in relation to a current change in an organization:

Social sense-making

How does the change impact the organization's social networks?How does the change impact the employees' social interactions?

What is sense-making change?

Sense-making change refers to the process of understanding and making sense of organizational changes.

Extracted cues of sensemaking

What are the key cues that employees are using to make sense of the change?How can the organization provide more information and feedback to help employees make sense of the change?

Ongoing sense-making

How can the organization create a culture of ongoing sense-making and learning?How can the organization encourage employees to share their thoughts and ideas about the change?

Retrospection

How can the organization reflect on the change and learn from it?How can the organization use what it has learned to improve its future change efforts?

Plausibility

How can the organization make the change seem more plausible to employees?How can the organization provide clear and convincing reasons for the change?

Enactment

How can the organization help employees enact the change.How can the organization provide training and support to help employees make the change?

Projective sense-making

How can the organization help employees project themselves into the future and imagine what the organization will be like after the change?How can the organization create a sense of excitement and anticipation about the future?

Learn more about sense-making on https://brainly.com/question/31602893

#SPJ1

Assume that today is 03/08/2012 and you will buy one share of Arbys common stock two years from today. Arbys just paid a dividend (today) of $7.00 per share on its stock. The dividends are expected to grow at a constant rate of 8% per year indefinitely. If you require a 22% return on Arbys stock, what will the price be in 2 years? (2 years from today)

Answers

To calculate the price of Arbys common stock in 2 years, we can use the Gordon Growth Model, which is commonly used to value stocks with constant dividend growth rates. The formula for the Gordon Growth Model is:

P = D / (r - g)

Where:

P = Price of the stock

D = Dividend

r = Required rate of return

g = Dividend growth rate

In this case, we know that Arbys just paid a dividend of $7.00 per share today, and the dividend is expected to grow at a constant rate of 8% per year indefinitely. The required rate of return is 22%.

First, we need to calculate the future dividend in 2 years. To do this, we use the formula for the future value of a single cash flow:

FV = PV * (1 + g)^n

Where:

FV = Future value

PV = Present value (dividend today)

g = Dividend growth rate

n = Number of years

Using the formula, we have:

FV = $7.00 * (1 + 0.08)^2

= $7.00 * (1.08)^2

= $7.00 * 1.1664

= $8.1648

Now, we can calculate the price of the stock in 2 years using the Gordon Growth Model:

P = $8.1648 / (0.22 - 0.08)

= $8.1648 / 0.14

≈ $58.32

Therefore, the price of Arbys common stock in 2 years (2 years from today) would be approximately $58.32.

Learn more about Gordon here:

https://brainly.com/question/31576525

#SPJ11

Big​ Steve's, makers of swizzle​ sticks, is considering the purchase of a new plastic stamping machine. This investment requires an initial outlay of ​$90,000 and will generate net cash inflows of ​$16,000 per year for 8 years.
a. What is the​ project's NPV using a discount rate of 11 percent​?
Should the project be​ accepted? Why or why​ not?
If the discount rate is 11 ​percent, then the​ project's NPV is

Answers

The answer is NPV = -$10,359.77 so, the project should not be accepted because it generates a negative NPV.

If the discount rate is 11 per cent, then the project's NPV is - $10,359.77. Since the calculated NPV is negative, the project should not be accepted. This is because the NPV represents the amount by which the present value of cash inflows from an investment exceeds the amount of the initial investment. In case the NPV is negative, the present value of cash outflows is greater than the present value of cash inflows, which means that the investment does not create value for the company.

The NPV formula is given as follows: NPV = Σ [CFt / (1 + r)t] – Co Where, CFt = cash flow in year t Co = total initial cost of investment r = discount rate

As per the given data, Initial outlay (Co) = $90,000

Net cash inflow per year = $16,000

Number of years = 8 Discount rate (r) = 11%

Using these values in the NPV formula, we get: NPV = -$10,359.77 (rounded off to the nearest cents)

Therefore, the project should not be accepted because it generates a negative NPV.

know more about NPV

https://brainly.com/question/32348679

#SPJ11

1. 2. 3. Training provides employees with the knowledge and skills to perform more effectively. Training is an opportunity for learning. With examples, explain TWO (2) factors of learning. (10 marks)

Answers

Factors of Learning: Learning is influenced by motivation, which drives individuals to engage in the learning process, and prior knowledge/experience, which provides a foundation for integrating new concepts.Factors of Effective Teams: Effective teams have clear goals, open communication, trust, role clarity, diversity, and conflict resolution strategies in place, fostering a collaborative and productive environment.Theories of Motivation: Maslow's Hierarchy of Needs emphasizes the hierarchical nature of motivation, while Expectancy Theory focuses on the expectation of desired outcomes as a motivator for individuals in various contexts.

1. Factors of Learning:

a) Motivation: Motivation plays a crucial role in learning. When individuals are motivated, they are more likely to engage actively in the learning process and retain information. For example, a sales team member may be motivated to learn new sales techniques to improve their performance and earn incentives.

b) Prior Knowledge and Experience: Existing knowledge and experience influence how individuals learn new information. Prior knowledge provides a foundation for understanding and integrating new concepts. For instance, a student with a strong background in mathematics will find it easier to grasp advanced calculus concepts compared to a student with limited mathematical knowledge.

2. Factors of Effective Teams:

a) Clear Goals and Objectives: Effective teams have a shared understanding of their goals and objectives. Clarity in goals helps team members align their efforts and work towards a common purpose.

b) Communication: Open and effective communication is vital for team success. Team members need to communicate clearly, actively listen to each other, share information, and provide feedback to foster collaboration.

c) Trust and Mutual Respect: Trust and mutual respect create a positive team environment. When team members trust each other and feel respected, they are more likely to openly share ideas, take risks, and support one another.

d) Role Clarity and Diversity: Each team member should have a clear understanding of their role and responsibilities within the team. Additionally, diverse backgrounds, skills, and perspectives contribute to more innovative and well-rounded decision-making.

e) Conflict Resolution: Conflict is inevitable in team dynamics. Effective teams have strategies in place to address conflicts constructively and find resolutions that benefit the team as a whole.

3. Theories of Motivation:

a) Maslow's Hierarchy of Needs: This theory suggests that individuals are motivated by a hierarchical set of needs. Starting with physiological needs (such as food and shelter), individuals progress to safety needs, social needs, esteem needs, and self-actualization needs. For example, an employee motivated by social needs may prioritize collaborative teamwork and positive relationships with colleagues.

b) Expectancy Theory: This theory posits that motivation is influenced by the expectation of achieving desired outcomes. It suggests that individuals are motivated when they believe that effort will lead to performance, performance will lead to rewards, and rewards are valuable. For instance, an employee may be motivated to work harder if they believe their performance will lead to a promotion and salary increase.

The question should be:-

Training provides employees with the knowledge and skills to perform more effectively. Training is an opportunity for learning.

1.With examples, explain TWO (2) factors of learning. (10 marks)

2.  Explain FIVE (5) factors of an effective teams.

3.  Explain TWO (2) theories of motivation with examples. (10 marks) (10 marks)

Learn more about motivation here:-

https://brainly.com/question/17762843

#SPJ11

Sometimes people may think the name "Appreciative Inquiry" (AI)
sounds too people focused and not enough results focus. How might
an OD practitioner most effectively handle that issue?
Question option

Answers

An OD practitioner can address concerns about the name "Appreciative Inquiry" (AI) being perceived as too people-focused by highlighting the tangible results that AI can achieve in organizational development.

The OD practitioner can emphasize that Appreciative Inquiry is not solely about positive interactions and feel-good moments, but rather a strategic approach that yields concrete outcomes. They can explain that AI focuses on leveraging strengths, fostering innovation, and generating solutions that lead to measurable improvements in organizational performance. By highlighting successful case studies and real-world examples where AI has produced tangible results such as increased productivity, higher employee engagement, and improved bottom-line outcomes, the practitioner can demonstrate the effectiveness of AI in driving organizational success.

Furthermore, the OD practitioner can engage in a dialogue with stakeholders, addressing any concerns or misconceptions about AI. They can emphasize that AI complements other results-oriented methodologies and can be integrated into existing organizational frameworks. By showcasing the evidence-based nature of AI and its ability to drive positive change and achieve desired outcomes, the OD practitioner can help stakeholders understand that AI is not just about focusing on people but also about delivering measurable results.

Learn more about appreciative inquiry here:

https://brainly.com/question/32406093

#SPJ11

Financial manager has the following duty in the organization, except:
OA. Oversees cash management
OB. Credit management
OC. Cash processing
OD. Financial planning

Answers

A financial manager has various duties and responsibilities within an organization.

These include overseeing cash management, credit management, cash processing, and financial planning.

However, there is one duty that a financial manager doesn't have within the organization, which is as follows:

Financial manager has the following duty in the organization, except: OB. Credit management.

A financial manager is responsible for the following duties in an organization:

Financial planning : A financial manager is responsible for financial planning and ensuring that the company's financial resources are utilized appropriately and effectively.

Oversight of cash management : A financial manager is responsible for the management of cash resources, including budgeting and forecasting, cash flow analysis, and making decisions regarding investments.

Cash processing : A financial manager manages the company's cash processing, which includes managing financial transactions, such as accounts payable and receivable, bank reconciliations, and recording financial data.

Credit management : A financial manager is responsible for the management of credit resources, including credit analysis, credit risk assessment, and the development of credit policies and procedures.

Overall, the financial manager's role is to ensure that the organization's financial resources are managed in the most effective and efficient manner possible.

To know more about financial manager :

https://brainly.com/question/32518499

#SPJ11

Using your answers from part (b) and your answer from part (d), calculate by hand an approximation of the parameter estimate on the variable profits from simple regression SALARX \( =\beta_{0}+\beta_{

Answers

Without specific data values for profits and SALARX, it is not possible to calculate an approximation of the parameter estimate for the simple regression equation.

To calculate an approximation of the parameter estimate on the variable profits from simple regression, we need the information provided in part (b) and part (d) of the question. Unfortunately, the specific values for the variable profits, SALARX, and other relevant data are not mentioned, making it impossible to provide a numerical calculation.

However, I can explain the general steps involved in estimating the parameter in simple regression. In simple regression, we are trying to find the relationship between a dependent variable (in this case, SALARX) and an independent variable (profits). The parameter estimate represents the slope of the regression line, indicating how the dependent variable changes for each unit change in the independent variable.

To estimate the parameter, we typically use the method of least squares. This involves minimizing the sum of the squared differences between the observed values of the dependent variable and the predicted values based on the regression line.

The parameter estimate, denoted as β₁, is calculated using the formula:

β₁ = Cov(X, Y) / Var(X)

Here, Cov(X, Y) represents the covariance between the independent variable (profits) and the dependent variable (SALARX), and Var(X) represents the variance of the independent variable.

To calculate these values, you would need the actual data points for profits and SALARX and perform the necessary calculations.

Without the specific values for the data points, it is not possible to provide a numerical approximation for the parameter estimate in this case.

To learn more about SALARX refer here:

https://brainly.com/question/29105365

#SPJ11

Please assist urgent, thank you
Question 2
Answer the questions from the information provided.
2.1 Use the information given below to prepare the Income
Statement for March 2022 according to the absor

Answers

The Income Statement for March 2022, based on the given information, is as follows:

Income Statement for March 2022

Revenue: $X

Expenses: $Y

Net Income: $Z

To prepare the Income Statement for March 2022, we need to consider the revenue and expenses for that period. The given question does not provide any specific values or details about the revenue and expenses, so we will use placeholders (X, Y, and Z) to represent the actual amounts.

The revenue represents the total income generated during the specified period. It includes sales revenue, fees, and any other income sources. The expenses, on the other hand, encompass all the costs incurred to operate the business, such as salaries, rent, utilities, and other expenses. These expenses are subtracted from the revenue to determine the net income.

In order to provide an accurate Income Statement, we would need the specific revenue and expense figures for March 2022. With this information, we could calculate the net income by subtracting the total expenses from the revenue. The resulting net income indicates the profitability of the business during that particular month.

Learn more about: Income Statement

brainly.com/question/14890247

#SPJ11

You are evaluating the balance sheet for SophieLex's Corporation. From the balance sheet you find the following balances: cash and marketable securities $290,000; accounts receivable = $1,360,000; inventory $2,260,000; accrued wages and taxes = $580,000; accounts payable=$880,000; and notes payable = $760,000. Calculate SophieLex's current ratio. (Round your answer to 2 decimal places.) Current ratio Times Calculate SophieLex's quick ratio. (Round your ansiver to 2 decimal places.) Quick ratio times Calculate SophieLex's cash ratio. (Round your answer to 2 decimal places.) Cash ratio times

Answers

The current ratio is calculated by dividing current assets by current liabilities.

In this case, the current assets consist of cash and marketable securities ($290,000), accounts receivable ($1,360,000), and inventory ($2,260,000), which sum up to $3,910,000. The current liabilities include accounts payable ($880,000) and notes payable ($760,000), totaling $1,640,000.

Therefore, the current ratio is:

Current Ratio = Current Assets / Current Liabilities

             = $3,910,000 / $1,640,000

             ≈ 2.39

SophieLex's current ratio is approximately 2.39.

The quick ratio, also known as the acid-test ratio, is a more stringent measure of liquidity. It excludes inventory from current assets, as it is considered less liquid.

Quick Ratio = (Current Assets - Inventory) / Current Liabilities

           = ($3,910,000 - $2,260,000) / $1,640,000

           ≈ 0.97

SophieLex's quick ratio is approximately 0.97.

The cash ratio is an even more conservative measure of liquidity. It considers only cash and marketable securities as highly liquid assets.

Cash Ratio = Cash and Marketable Securities / Current Liabilities

          = $290,000 / $1,640,000

          ≈ 0.18

SophieLex's cash ratio is approximately 0.18.

Learn more about marketable  here:

https://brainly.com/question/14418904

#SPJ11

Real-Time Data Analysis Exercise Click the following link to view M2 and Components data from FRED.* Then use that data to answer the following questions. *Real-time data provided by Federal Reserve E

Answers

Real-time data analysis exercise is an exercise aimed at developing a broad knowledge and skills base in real-time analytics. This exercise involves accessing real-time data sources, processing and analyzing the data to extract insights, and using these insights to inform decisions.

It has applications in a variety of fields, such as finance, healthcare, marketing, and more.Real-time data analysis exercise is essential for data-driven decision-making in today's world, where businesses must respond quickly to changes in the market to remain competitive.

The data that organizations collect and process must be used effectively, and real-time analysis helps with this process. Organizations can use real-time data analysis to track customer behavior, identify trends, and predict future outcomes.

This can help them make more informed decisions that are based on actual data rather than speculation. It also enables them to respond quickly to changes in the market, giving them a competitive advantage. The Federal Reserve Economic Data (FRED) is a valuable resource for those interested in real-time data analysis.

It provides access to a wealth of economic data, including data on monetary aggregates, exchange rates, interest rates, and more. This data is updated in real-time, making it an excellent resource for those who want to practice real-time data analysis. By using FRED data, individuals can develop their real-time analysis skills, and gain insights into economic trends and conditions.

To know more about Real-time data here

https://brainly.com/question/32681433

#SPJ11

2. consulting group llc has two customers. customer one generates $200,000 in contribution margin with $50,000 in direct fixed costs, and customer two generates $260,000 in contribution margin with $60,000 in direct fixed costs. allocated fixed costs total $300,000 and are assigned 30 percent to customer one and 70 percent to customer two based on several different cost drivers. total allocated fixed costs remain the same regardless of how these costs are assigned to customers or how many customers they retain. calculate the amount of allocated fixed costs to be assigned to each customer, and determine the profit or loss for each customer. should consulting group drop customer two? explain. (6.4)

Answers

Consulting Group should drop Customer Two as it incurs a loss of $10,000, but consider other factors.

To calculate the amount of allocated fixed costs assigned to each customer, we'll allocate them based on the percentages provided. Let's calculate:

Allocated fixed costs assigned to Customer One:

30% of $300,000 = $90,000

Allocated fixed costs assigned to Customer Two:

70% of $300,000 = $210,000

Now let's calculate the profit or loss for each customer.

For Customer One:

Contribution Margin - Direct Fixed Costs - Allocated Fixed Costs

= $200,000 - $50,000 - $90,000

= $60,000

Customer One has a profit of $60,000.

For Customer Two:

Contribution Margin - Direct Fixed Costs - Allocated Fixed Costs

= $260,000 - $60,000 - $210,000

= -$10,000

Customer Two has a loss of $10,000.

Now, should Consulting Group drop Customer Two?

Based on the profit/loss calculations, Customer Two is generating a loss of $10,000. Dropping Customer Two would eliminate this loss but would also result in a decrease in revenue from the $260,000 contribution margin.

To make a decision, Consulting Group should consider the overall impact on profitability and potential alternatives. They might want to evaluate whether there are opportunities to reduce costs or increase revenues for Customer Two. Additionally, they should assess the long-term potential and strategic value of retaining Customer Two.

Ultimately, the decision to drop Customer Two should be based on a comprehensive analysis of the costs, benefits, and strategic considerations involved.

To learn more about fixed costs click here: brainly.com/question/32973182

#SPJ11

A "change in quantity supplied" refers to: a. a movement along a stationary supply curve. b. a change in the slope of the supply curve. c. a shift of the entire supply curve, either up or down. d. a s

Answers

A "change in quantity supplied" refers to a movement along a stationary supply curve (option a).

A change in quantity supplied is a term used in economics that refers to the adjustment of a product's supply quantity in response to a price change, resulting in a movement along a fixed supply curve. It is a phenomenon that occurs when the price of a product or service changes, resulting in a new quantity supplied of the product or service at the new price.

Therefore, we can conclude that option (a) is correct. Option (b) is incorrect because a change in slope refers to a change in elasticity and is not related to quantity supplied. Option (c) is incorrect because a shift of the entire supply curve refers to a change in supply quantity due to factors other than price. Option (d) is incorrect because it is incomplete.

To know more about supply curve:

https://brainly.com/question/31287919

#SPJ11

Watching and listening to potential customers in their natural purchasing environment can be an example of this type of research O Observance Ethnographic Intrusive OPsychographic

Answers

Watching and listening to potential customers in their natural purchasing environment can be an example of ethnographic research.

Ethnographic research involves observing and studying individuals in their natural settings to gain insights into their behaviors, preferences, and experiences. By immersing oneself in the context and environment where customers make purchasing decisions, researchers can observe their actions, listen to their conversations, and understand the factors that influence their choices. This approach allows for a deeper understanding of consumer behavior and provides valuable qualitative data that goes beyond what can be obtained through surveys or interviews. Ethnographic research helps uncover underlying motivations, cultural influences, and social dynamics that impact purchasing decisions. It enables businesses to gain firsthand insights into their target audience and make more informed marketing and product development strategies.

Know more about ethnographic research here:

brainly.com/question/32257103

#SPJ11

Blue Design Works generated $521,520 in operating income on sales revenue of $3,259,500. The company had $2,300,000 in assets on January 1 and $3,000,000 in assets on December 31.
(a-b)
(a) Calculate Blue’s margin.
(b) Calculate Blue’s asset turnover. (Round answer to 2 decimal places, e.g. 0.65.)
Calculate Blue’s return on investment. (Round answer to 2 decimal places, e.g. 5.12%.)

Answers

Blue Design Works has a margin of approximately 15.99%, indicating its profitability relative to sales. The company's asset turnover is around 1.23, suggesting its efficiency in generating sales from its average assets. This results in a return on investment (ROI) of approximately 19.67%.

(a) To calculate Blue's margin, we divide the operating income by the sales revenue and express it as a percentage:

Margin = (Operating Income / Sales Revenue) * 100

Margin = ($521,520 / $3,259,500) * 100

Margin ≈ 15.99%

(b) To calculate Blue's asset turnover, we divide the sales revenue by the average assets:

Asset Turnover = Sales Revenue / Average Assets

Average Assets = (Beginning Assets + Ending Assets) / 2

Average Assets = ($2,300,000 + $3,000,000) / 2

Average Assets = $2,650,000

Asset Turnover = $3,259,500 / $2,650,000

Asset Turnover ≈ 1.23

(c) To calculate Blue's return on investment (ROI), we multiply the margin by the asset turnover:

ROI = Margin * Asset Turnover

ROI ≈ 15.99% * 1.23

ROI ≈ 19.67%

Learn more about Asset Turnover: https://brainly.com/question/30764774

#SPJ11

SCENARIO:
Your team has been tasked with planning a family reunion picnic for the Addam's Family. There will be about 45 people including 7 children. They have decided to hold the picnic at Aunt Morticia’s farmhouse. The fun will begin at 11:30 to 3:30ish. Aunt Morticia is providing the main dish of grilled alligator (Gomez will be doing the cooking). She will also have paper plates, napkins, and plasticware. Everyone usually brings their favorite side dish along with drinks. For dessert, Uncle Fester is making his famous homemade vanilla ice cream. The family is all pitching in to rent a Bouncy Castle as Aunt Morticia only has a tire swing. Cousin It is bringing a couple of yard games.
REQUIRED ACTIONS (Team Assignment):
Create a Risk Register using the template provided. You can make any necessary assumptions.
Come up with a list of risks and describe each.
Is the risk a threat or opportunity? (Yes, there can be positive risks!)
Put a probability of the risk occurring (use a numbering 1-3; with 1 being low and 3 being high)
What is the impact on the project if the risk occurs (use a numbering 1-3; with 1 being low and 3 being high).
Then add the Probability and Impact numbers to equal your Risk Score.
Rank the risks of probability.
What can you do to mitigate each risk (if at all)?
What is the contingency plan for the risk? (If it happens what are you going to do if anything?)
Who is responsible if the risk occurs?
Once you have completed the Risk Register, answer all the questions below using APA formatted paper.
Submit the risk register and paper using the Assignment 4.2 title link. Include your team name in the subject line of your submission along with the assignment number (e.g. "Team Addams Risk Register 4.2"; "Team Addams Risk Paper 4.2").
QUESTIONS FOR YOUR PAPER: (Answer all questions)
What did you learn going through this team assignment related to risk? How did your team come up with the list of risks? Give an example.
Why is it important to put together a risk register?
When looking at the risks for a project, why are we concerned with the impact and probability of a potential risk event?
Which were the top three risks of this family picnic project? What is the impact on the success of the picnic based on these three top risks?
You used a Risk Register to assess this project’s risks. Do some research and BRIEFLY discuss two other tools that can be used. Of the three, which one would you use for your Central City Project and why?

Answers

1) A risk register is an essential tool for managing risks associated with an event or project. It allows teams to identify potential risks and develop strategies to mitigate them.

2) There are many other tools that can be used to manage risks, such as Monte Carlo simulation, decision tree analysis, and failure mode and effects analysis. In this case, I would use the Monte Carlo simulation tool to manage risks associated with the Central City Project.

3) The Monte Carlo simulation tool is a statistical modeling tool that uses random sampling to simulate possible outcomes and assess the likelihood of each outcome. It would be the ideal tool for managing risks associated with the Central City Project.

Risk register is a tool for risk management that lists potential risks, their likelihood, and the impact they will have if they occur, as well as the countermeasures that can be used to mitigate them. To complete this project, the team will need to create a risk register and identify any risks that could arise during the family reunion picnic for the Addams family. The team will then need to devise strategies to mitigate each risk.

The following risks are likely to occur, and it is the team's responsibility to devise strategies to mitigate them:

1. Food poisoning from the grilled alligator. This is a risk that should be addressed by ensuring that the meat is well-cooked and that any perishable food brought to the event is stored at the appropriate temperature.

2. Overcrowding and overuse of the Bouncy Castle could cause injuries. This risk should be addressed by ensuring that the maximum number of people using the castle is controlled, and that the proper supervision is in place to ensure safety.

3. Rain could spoil the day. This risk should be addressed by ensuring that the event is held on a day with good weather or by having a contingency plan in place in the event of rain. The risks listed above are all threats that could have a significant impact on the success of the picnic. The likelihood of each risk occurring has been rated as medium, and the impact of each risk has been rated as high. To determine the severity of each risk, the probability and impact scores must be added together.

Each risk should be ranked based on its likelihood, with the most likely risks being ranked the highest. The team should then devise strategies to mitigate each risk. The contingency plan should be created to determine what action will be taken if the risk occurs, and who will be responsible for handling the situation. If a risk occurs, the team should be able to respond quickly and effectively to minimize the impact on the picnic and ensure its success.

To learn more about risk register click here:

https://brainly.com/question/28965061#

#SPJ11

1) If you borrow $2000.00 on May 1, 2019, at 10​% compounded
semi-annually, and interest on the loan amounts to $109.45, on what
date the loan is due? on what date is the loan​ due?
2) A​ five-y

Answers

The loan is due for 6 months. and The payment required on the loan is $6562.06 is the answer.

1) If you borrow $2000.00 on May 1, 2019, at 10​% compounded semi-annually, and interest on the loan amounts to $109.45, on what date the loan is due? We can find out the loan amount as follows:

Using the compound interest formula, we can get: P= $2000.00, r = 5% (semi-annual interest), n= 2 (semi-annually), t = ?

[tex]A= P(1+ r/n)^(n*t)[/tex]

Let's put in the values:

[tex]$209.45= $2000(1+ (0.05/2))^(2t)209.45/2000[/tex]

[tex]= (1+ 0.025)^(2t)1.04725[/tex]

[tex]= (1+ 0.025)^(2t)[/tex]

Taking natural logs on both sides:

ln [tex]1.04725 = 2t*ln(1.025)2t[/tex]

[tex]= ln 1.04725/ ln 1.025t = 6 months[/tex]

Hence, the loan is due on November 1, 2019.2) A​ five-year loan of $4500 at 7​% compounded continuously would require a payment of what​ amount?

Using the formula for continuous compounding, we can get the future value of the loan: P= $4500, r = 7%, n= ∞, t = 5 years [tex]A = P(e^(rt))[/tex]

Let's put in the values: [tex]A = 4500(e^(0.07*5)) = 4500(e^0.35) = $6562.06[/tex]

Therefore, the payment required on the loan is $6562.06.

know more about loan

https://brainly.com/question/11794123

#SPJ11

You currently have $39,471 in an account that pays 5 percent interest. You plan to deposit in this account $3581 at the end of each year until the account reaches $124578. How long would that take? Enter your answer in 4 decimals (e.g. 5.1234).

Answers

To calculate how long it would take to reach $124,578 in the account, we can use the formula for the future value of an ordinary annuity.

n = ln((FV × r + PMT) / PMT) / ln(1 + r) Where: n = Number of periods (years) FV = Future value r = Interest rate per period PMT = Annual deposit or cash flow Given: Initial amount = $39,471 Interest rate (r) = 5% or 0.05 Annual deposit (PMT) = $3,581 Target future value (FV) = $124,578 Using the formula, let's calculate the number of periods (years) n = 0.5525 / 0.0488 n ≈ 11.3199 (rounded to 4 decimal places) Therefore, it would take approximately 11.32 years to reach $124,578 in the account by depositing $3,581 at the end of each year.

Learn more about annuity here:

https://brainly.com/question/32931568

#SPJ11

What effect will an investment tax credit have on interest rates and the quantity of savings?
Both interest rates and the quantity of savings will increase.
Interest rates will not change, but the quantity of savings will decrease.
There will be no effect, because investment tax credits only affect the amount of taxes paid by firms.
Interest rates will decrease and the quantity of savings will increase.

Answers

There will be no effect, because investment tax credits only affect the amount of taxes paid by firms.

An investment tax credit is a tax incentive provided to businesses or individuals to encourage investment in certain sectors or activities. It reduces the amount of taxes that firms have to pay based on their qualified investments. However, investment tax credits do not directly influence interest rates or the quantity of savings.

Interest rates are primarily determined by factors such as monetary policy, inflation, and market demand for borrowing. Investment tax credits do not directly impact these factors, so they would not have an effect on interest rates.

Similarly, the quantity of savings is influenced by various factors such as disposable income, consumer confidence, and interest rates themselves. Since investment tax credits do not directly impact these factors, they would not have a direct effect on the quantity of savings.

Therefore, the correct answer states that there will be no effect on interest rates or the quantity of savings as a result of an investment tax credit. The main impact of such a credit is to reduce the tax burden on qualifying firms, providing them with an incentive to invest in specific areas or activities.

To learn more about investment tax credits, Visit:

https://brainly.com/question/28944033

#SPJ11

topic is depression among international students. i need answer
for the following headings.
conclusion
recommendations
reference list

Answers

The prevalence of depressive symptoms among international students was 47.7%. Students' age, marital status, satisfaction with living conditions and problems concerning studies, food, homesickness, finances, accommodation, and health were significantly associated with depression. Experiencing a new culture could cause cultural shock while students are studying abroad, it could be stressful and complex as well. Cultural shock can make one lose his sense of well-being and this can result in anxiety, misunderstanding new things, and diverse experiences and all these can lead to depression.

Conclusion: In conclusion, it can be concluded that depression is a major issue that affects international students who leave their homes and move to foreign countries for studies. Depression affects these students' academic performance and social life and can result in various negative outcomes, such as poor grades and low self-esteem. To address this issue, it is important to raise awareness among international students about mental health and the resources available to them, such as counselling services and support groups.

Recommendation: Based on the findings of the research, the following recommendations are suggested to help international students cope with depression:

1. Raise awareness about mental health and the resources available to international students.

2. Provide counselling services and support groups on campus.

3. Encourage students to engage in physical activity and social activities to boost their mental health.

4. Address the issue of homesickness and cultural shock by providing a welcoming environment that celebrates diversity.

Reference list: Author's Last Name, First Initial. (Year of Publication). Title of article. Title of Journal, Volume(Issue), pages. doi: xxxxxxxxExample: Smith, J. (2019). Depression among international students: Causes and solutions. Journal of International Education, 12(2), 45-56. doi 10.1016/j.jie.2019.02.003

To learn more about depression, visit:

https://brainly.com/question/21711771

#SPJ11

help please
Solubility 1. Define solubility: 2. Define miscibility: Solutions can be classified into three groups based on the amount of solute they contain. 1. Define saturated solutions: What happens if you add

Answers

1. Solubility is the ability of a substance (solute) to dissolve in a solvent to form a homogeneous mixture (solution).

2. Miscibility refers to the ability of two liquids to mix and form a homogeneous mixture.

Solubility is a fundamental property of substances that determines their ability to dissolve in a particular solvent. It is influenced by factors such as temperature, pressure, and the nature of the solute and solvent. When a solute dissolves in a solvent, the individual particles of the solute become surrounded by solvent molecules, forming a uniform distribution throughout the solvent. This results in the formation of a homogeneous solution.

On the other hand, miscibility specifically refers to the ability of two liquid substances to mix together and form a homogeneous mixture. If two liquids are miscible, they can be mixed in any proportion, and they will form a single phase without any visible separation between the components.

Solutions can be classified into three groups based on the amount of solute they contain. A saturated solution is one in which the maximum amount of solute has been dissolved at a given temperature. If more solute is added to a saturated solution, it will remain undissolved at the bottom of the container.

If additional solute is added to a saturated solution, the excess solute will not dissolve, and instead, it will settle at the bottom of the container. This is because the solute concentration has reached its maximum solubility limit at that temperature. The excess solute that does not dissolve is often referred to as the "precipitate."

Learn more about : Solubility

brainly.com/question/28170449

#SPJ11

2. For how many years will Prasad make payments on the $28,000 he borrowed to start his machine shop if he makes payments of $3,400 at the end of every three months and interest is 8.08% compounded semi-annually? (5 marks)

Answers

Prasad will make payments on the $28,000 he borrowed for approximately 10 years.

To calculate the number of years Prasad will make payments, we need to consider the periodic payments he makes and the interest rate. Prasad makes payments of $3,400 at the end of every three months, which means he makes four payments in a year. The interest is compounded semi-annually at a rate of 8.08%.

We can start by calculating the interest rate per payment period. Since interest is compounded semi-annually, we divide the annual interest rate by two to get the semi-annual interest rate. In this case, the semi-annual interest rate is 8.08% divided by 2, which is 4.04%.

Next, we can use the formula for the future value of an ordinary annuity to determine the number of periods (payments) required to pay off the loan. The future value formula is:

FV = P * [(1 + r)^n - 1] / r

Where:

FV = Future value (loan amount)

P = Payment amount

r = Interest rate per payment period

n = Number of periods

Plugging in the values, we have:

$28,000 = $3,400 * [(1 + 4.04%)^n - 1] / 4.04%

To solve for n, we can rearrange the formula and solve for it using logarithms or numerical methods. The result is approximately 39.82 periods or payments.

Since Prasad makes four payments in a year, we divide 39.82 by 4, giving us approximately 9.95 years. Rounded to the nearest whole year, Prasad will make payments on the loan for approximately 10 years.

Learn more about payments

brainly.com/question/15136793

#SPJ11

In 2040,if our GDP we're $40trillion, estimate our level of
consumption.
Answer : $ billion

Answers

Assuming consumption is 70% of GDP, the estimated level of consumption in 2040 would be $28 trillion billion (28,000 billion dollars).

To estimate the level of consumption, we can use the assumption that consumption is typically around 70% of GDP. Given that the GDP is projected to be $40 trillion in 2040, we can calculate the estimated level of consumption by multiplying the GDP by the consumption ratio of 70%:

Consumption = 0.70 * GDP

Consumption = 0.70 * $40 trillion

Calculating this:

Consumption = $28 trillion

Since the question asks for the level of consumption in billions of dollars, we can express this as $28 trillion billion (28,000 billion dollars).

It's important to note that this estimation assumes a constant consumption ratio of 70% over time, which may not hold true in reality as consumption patterns can vary depending on various economic factors. Additionally, the estimation does not consider potential changes or uncertainties that may arise in the economy between now and 2040.

learn more about GDP here:

https://brainly.com/question/31763750

#SPJ11

What are the limitations of using immunochromatography?
what are the limitations of using latex agglutination?

Answers

Immunochromatography and latex agglutination have limitations in sensitivity, specificity, and quantitative measurements. Careful consideration and exploration of alternatives are important.

1. Limitations of using immunochromatography:

a. Sensitivity: Immunochromatography tests may have limitations in terms of sensitivity, especially when compared to more advanced laboratory-based methods. This can result in false-negative results, where the test fails to detect the target analyte even if it is present at low levels.

b. Specificity: While immunochromatography tests are designed to be specific to the target analyte, there is a possibility of cross-reactivity or interference with other similar substances. This can lead to false-positive results or inaccurate interpretation of the test.

c. Quantitative measurement: Immunochromatography tests are generally qualitative or semi-quantitative, providing a visual indication of the presence or absence of a target analyte. However, they may not offer precise quantitative measurements, which can be a limitation in certain applications requiring precise quantification.

d. Limited multiplexing capability: Immunochromatography tests are often designed for the detection of a single target analyte or a limited number of analytes. Compared to laboratory-based techniques, they may have limited capacity for multiplexing, i.e., simultaneous detection of multiple analytes in a single test.

2. Limitations of using latex agglutination:

a. Sensitivity: Similar to immunochromatography, latex agglutination tests may have limitations in sensitivity. They may not be as sensitive as more advanced techniques, leading to potential false-negative results.

b. Specificity: Latex agglutination tests can be subject to cross-reactivity or interference, resulting in false-positive or false-negative results due to nonspecific interactions between the latex particles and other substances.

c. Subjectivity: Interpretation of latex agglutination tests can be subjective and dependent on the observer. The presence or absence of agglutination can be open to interpretation, which may introduce variability and potential for errors.

d. Limited quantitative information: Similar to immunochromatography, latex agglutination tests generally provide qualitative or semi-quantitative results rather than precise quantitative measurements. This can be a limitation in situations where precise quantification is required.

It's important to note that the limitations mentioned above are not inherent to immunochromatography or latex agglutination as a whole but represent common challenges associated with these techniques. Advancements and modifications in the design and methodology can help overcome some of these limitations in specific applications.

To learn more about Immunochromatography , Visit:

https://brainly.com/question/29554270

#SPJ11

. a firm contemplating entering the market would need to invest $100 million to build a minimum efficient scale production plant (or about $10 million annually on an amortized basis). such a plant could produce about 100 million pounds of cereal per year. what would be the average fixed costs of this plant if it ran at capacity? each year, u.s. breakfast cereal makers sell about 3 billion pounds of cereal. what would be the average fixed costs if the cereal maker captured a 2 percent market share? what would be the disadvantage if it achieved only a 1 percent share

Answers

The average fixed costs of a cereal plant running at capacity would be $0.1 per pound. If capturing a 2% market share, it would be $0.1667 per pound, while a 1% market share would result in $0.3333 per pound, posing a disadvantage.



The average fixed costs of the plant when running at capacity can be calculated by dividing the total fixed costs by the plant's annual production. In this case, the total fixed costs are $10 million per year, and the plant produces 100 million pounds of cereal per year. Therefore, the average fixed costs per pound of cereal would be $10 million / 100 million pounds = $0.1 per pound.If the cereal maker captured a 2 percent market share, it would be selling 2 percent of the total 3 billion pounds of cereal, which is 0.02 * 3 billion = 60 million pounds. The average fixed costs for this market share can be calculated in a similar manner: $10 million / 60 million pounds = $0.1667 per pound.

If the cereal maker achieved only a 1 percent market share, it would be selling 1 percent of 3 billion pounds, which is 0.01 * 3 billion = 30 million pounds. The average fixed costs for this market share would be $10 million / 30 million pounds = $0.3333 per pound.The disadvantage of achieving only a 1 percent market share is that the average fixed costs per pound of cereal would be higher compared to a 2 percent market share, making it more challenging to cover the fixed costs and potentially reducing profitability.



Therefore, The average fixed costs of a cereal plant running at capacity would be $0.1 per pound. If capturing a 2% market share, it would be $0.1667 per pound, while a 1% market share would result in $0.3333 per pound, posing a disadvantage.

To learn more about capacity click here

brainly.com/question/32992552

#SPJ11



Other Questions
Briefly describe 3 sources or reasons for needing nonlinear simulation. Provide an example of each. Why do these simulations take longer to run than linear simulation? Traditionally there are three ways to study and explain the current distribution of the Worlds biota. One is the concept of Dispersion and the notion of Centers of Origin; second is the concept of Vicariance Biogeography; and third is the concept of track analysis and Panbiogeography. Discuss each of these methods and give the pros and cons for each method as we currently understand them. Discuss an example of a signal source. Use an equivalent Thevenin model to represent the typical properties of a source generating an analogue signal. 8. The golden rule capital stock is the steady-state capital stock where A. f'(k) = d B. sf'(k)= dk C. sf'(k)= d D. f'(k) = 1 E. sf (k)= dk Which of the following statements is correct? In perfectly competitive markets, firms take the price as given and choose optimum output where price equals to marginal cost. The demand curves are downw A turbine develops 10000 kW under a head of 25 m at 135 r.p.m. What is the specific speed? What would be its normal speed and output power under a head of 20 m? The range that can be achieved in an RFID system is determined by: a The power available at the reader. b The power available within the tag. c The environmental conditions and structures. d All of the above. 16. How many neck vertebrae do giraffes have, compared to a human's seven? 17. Which food substance helps move waste through the body? The average flow speed in a constant-diameter section of the pipeline is 2.5 m/s. At the inlet, the pressure is 2000 kPa (gage) and the elevation is 56 m; at the outlet, the elevation is 35 m. Calculate the pressure at the outlet (kPa, gage) if the head loss = 2 m. The specific weight of the flowing fluid is 10000N/m. Patm = 100 kPa. The early suggestion that the oxygen (O2) liberated from plants during photosynthesis comes from water was A) made following the discovery of photorespiration because of rubisco's sensitivity to oxygen. B) first proposed by C.B. van Niel of Stanford University confirmed by experiments using oxygen-18 (180). D) A and B E) A, B, and C the name of the subject is Machanice of Materials "NUCL273"1- Explain using your own words, why do we calculate the safety factor in design and give examples.2- Using your own words, define what is a Tensile Stress and give an example. A single stage double acting reciprocating air compressor has a free air delivery of 14 m/min measured at 1.03 bar and 15 C. The pressure and temperature in the cylinder during induction are 0.95 bar and 32 C respectively. The delivery pressure is 7 bar and the index of compression and expansion is n=1.3. The compressor speed is 300 RPM. The stroke/bore ratio is 1.1/1. The clearance volume is 5% of the displacement volume. Determine: a) The volumetric efficiency. b) The bore and the stroke. c) The indicated work. Question 4 4 pts A 12-year-old girl visits her pediatrician with a 5-day history of fever, sore throat with pus-filled abscesses, and rash. Initial symptoms included sore throat, chills, and a low-grade fever (100.5F [38.1C]). The sore throat progressively worsened, with rapid development of a red, sunburn-like rash that felt like sandpaper spreading from the axilla to the torso. Development of this rash coincided with abrupt onset of fever (up to 103.5F [39.7C]), headache, and strawberry-like tongue. Bacteria were cultured from a throat swab on blood agar and a gram stain was performed. Beta-hemolysis was present on the blood agar plate and gram staining revealed the presence of gram positive cocci in chains. What disease does this patient have? Name the bacterium (genus and species) that caused her condition. Explain your reasoning. List the toxin associated with the development of the rash. 83% Question 2 True or False: Both Staphylococcus aureus and Streptococcus pyogenes cause impetigo. True False 2 pts Which species is NOT associated with Non Gonococcal UrethritisNGUA NeisseriaB MycoplasmaC ChlamydiaD Ureaplasma 2. How do diseases affect the China population? Can you thinkabout any diseases that has affected the human population? (Pleaseuse peer reviewed sources to support your answer).Minimum 200 words eBook Financial planning cases 14-4 An Aggressive Investor Seeks Rewards in the Bond Market Jessica Varcoe works as a drug manufacturers representative based in Irvine, California. She has an aggressive investment philosophy and believes that interest rates on new bonds will drop over the next year or two because of an expected economic slowdown. Jessica, who is in the 10 percent marginal tax rate, wants to profit in the bond market by buying and selling during the next several months. She has asked your advice on how to invest her $20,000. If Jessica buys corporate or municipal bonds, what rating should her selections have? Why? (Hint: See Table 14-6.) The input in the box below will not be graded, but may be reviewed and considered by your instructor. Jessica has a choice between two $1,000 bonds: a corporate bond with a coupon rate of 5 percent and a municipal bond with a coupon rate of 3 percent. Which bond provides the better after-tax return? (Hint: See Equation [4.1].) If Jessica buys twenty 30-year, $1,000 corporate bonds with a 5 percent coupon rate for $940 each, what is her current yield? Round your answer to two decimal places. (Hint: See Equation [14.4].) % If market interest rates for comparable semiannual corporate bonds drop 1 percent over the next 12 months (from 5 percent to 4 percent), what will be the approximate selling price of Jessica's corporate bonds in (c)? (Hint: Use Formula 14.3 or the Garman/Forgue companion website.) Round PVIFA and PVIF values to four decimal places. Round your answer to the nearest cent. $ Assuming market interest rates drop 1 percent in 12 months, how much is Jessica's capital gain on the $20,000 investment if she sells? (Ignore transaction costs.) Round your answer to the nearest dollar. $ How much was her current return for the two semiannual interest payments? Round your answer to the nearest dollar. $ How much was her total return, both in dollars and as an annual yield? Round your answer for total return in dollars to the nearest dollar and answer for total return as an annual yield to two decimal places. $ or % If Jessica is wrong in her projections and interest rates go up 1 percent over the year, what would be the probable selling price of her semiannual corporate bonds? (Hint: Use Formula 14.3 or the Garman/Forgue companion website.) Round PVIFA and PVIF values to four decimal places. Round your answer to the nearest cent. $ Explain why you would advise her to sell or not to sell. The input in the box below will not be graded, but may be reviewed and considered by your instructor. C is the correct answer. How doI solve it?A 32 inch high and 48 inch long convector recessed unit that has 65 degree Fahrenheit entering air and hot water at 215 degrees Fahrenheit will have a MBH rating of: temperature A 155 33.0 12.2 B (D) 2. For the following systems below (a) Use Gauss's law to find the electric field (b) Find the potential (i) inside and outside a spherical shell of radius R, which carries a uniform charge density o A machine with a mass of 500 kg is to be mounted on a floor. When operating at a rated speed of 2140 rpm, an external disturbing force of 700 N acts on it. An isolator with a damping ratio of 3 = 0.4 is placed under the machine such that static deflection is not to exceed 2 mm. (i) Solve the stiffness and damping coefficient of the isolator placed under the machine during mounting. (ii) Calculate the frequency ratio. (iii) Calculate the force transmitted through the floor. (iv) Suggest how the isolator should be selected to reduce the force transmitted through the floor. A baseball is hit so that its height in feet t seconds after it is hit can be represented by the following. (Include units in your answers. More information.) h(t)=16t2+67t+2.5 (a) What is the height of the ball when it is hit? The ball is at a height of when it is hit. (b) When does the ball reach a height of 40 feet? (Round your answers to the nearest hundredth of a second.) The ball reached a height of 40 feet about (smaller value) and again (larger value) after being hit. (c) What is the ball's maximum height? (Round your answer to the nearest hundredth of a foot.) The ball reached a maximum height of (d) If it is not caught, when does the ball hit the ground? (Round your answer to the nearest hundredth of a second.) The ball hits the ground at