s
Crane Enterprises incurred several costs related to the acquisition of plant assets.
Purchase price of land and dilapidated building $270400
Real estate broker's commission 17680
Demolition costs of dilapidated building 22880
Architect's fees and building permits 24960
Payments to contract for building construction 904800
Purchase of new furniture and equipment 76960
Actual interest costs during building construction 140400
Actual interest cost after completion of building construction 124800
Costs of walks, driveways, and parking lot 57200
At what amount should the building be recorded in Crane’s accounting records?
$904800
$929760
$1070160
$1093040
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Answer 1

the building should be recorded in Crane's accounting records at $1,228,740. Answer: $1,228,740.Crane Enterprises incurred several costs related to the acquisition of plant assets.

The building cost is obtained by adding up all the costs related to the building:  Purchase price of land and dilapidated building + Demolition costs of dilapidated building + Architect's fees and building permits + Payments to contract for building construction + Costs of walks, driveways, and parking lot. Thus, the cost of building construction is:$270400 + $22880 + $24960 + $904800 + $57200 = $1228740Thus, the cost of the building is $1,228,740.

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Related Questions

Make or Buy Terry Incorporated manufactures machine parts for aircraft engines. CEO Bucky Walters is considering an offer from a subcontractor to provide 2,700 units of product OP89 for $275,400. If Terry does not purchase these parts from the subcontractor, it must continue to produce them in-house with these costs: Required: 1. What is the relevant cost per unit to make the product internally? 2. What is the estimated increase or decrease in short-term operating profit of producing the product internally versus purchasing the product from a supplier? Complete this question by entering your answers in the tabs below. What is the relevant cost per unit to make the product internally?

Answers

Terry Incorporated manufactures machine parts for aircraft engines. CEO Bucky Walters is considering an offer from a subcontractor to provide 2,700 units of product OP89 for $275,400.

If Terry does not purchase these parts from the subcontractor, it must continue to produce them in-house with these costs: Direct materials $64 per unit Direct labor $44 per unit Variable overhead $16 per unit Fixed overhead $90,000 Required: 1. What is the relevant cost per unit to make the product internally? Relevant cost per unit refers to the cost incurred when producing a product or service. The cost incurred should be considered while making business decisions. Here, the relevant cost to produce the product internally is calculated by adding the direct material cost, direct labor cost, and variable overhead cost.

These costs together make up the variable cost. The fixed overhead cost should not be considered because it will be incurred anyway whether or not Terry makes the product internally. The cost per unit to make the product internally can be calculated as follows:

Direct materials + Direct labor + Variable overhead per unit

= Relevant cost per unit

Direct materials = $64

Direct labor = $44

Variable overhead = $16

Relevant cost per unit = $64 + $44 + $16

= $124

Therefore, the relevant cost per unit to make the product internally is $124.

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8. When considering whether to accept an audit engagement, it is important for the auditor to carry out the following:
evaluate the integrity of management
assess the competence of the audit team
identify special circumstances
evaluate independence and the ability to use due care
1, 2, and 3 only
1, 2, and 3 only
1, 2, 3, and 4
1, 2, 3, and 42,3,and 4 only
2,3,and 4 only
1,3 and 4 only

Answers

1, 2, 3, and 4 are the appropriate responses. When choosing whether to accept an audit engagement, the auditor will take all of these actions into account. The auditor should take the following actions when deciding whether to accept an audit engagement:

1. Assess the management team's honesty, morals, and reputation in order to determine its level of integrity. It is crucial to confirm that management is firmly committed to accurate financial reporting. 2. Evaluate the audit team's competence: The auditor must determine whether the audit team has the abilities, expertise, and knowledge required to carry out the engagement successfully. As a result, the audit will be carried out with the necessary level of skill. 3. Identify any unusual circumstances: The auditor should take into account any distinctive or complicated characteristics of the engagement that might call for extra resources or knowledge. This takes into account elements like legal or regulatory obligations, issues unique to the industry or significant alterations to the business.4. Assess independence and the capacity to exercise appropriate care. Independence is essential for upholding impartiality and objectivity throughout the audit. The auditor is required to determine whether there are any conflicts of interest or limitations on their independence. The auditor should also make sure they have the tools, knowledge, and time needed to conduct the audit with due care. 1, 2, 3, and 4 are the appropriate responses. When choosing whether to accept an audit engagement, the auditor will take all of these actions into account.

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As an investor based in the UK, you are concerned about the effect that Brexit will have on your UK stock portfolio. How might you diversify your stock portfolio? Provide detailed examples in your discussion.

Answers

Brexit is a decision that has major economic implications. Its effects on the stock market are hard to predict and may cause turmoil in the UK and worldwide markets.

Investors in the UK may benefit from diversifying their stock portfolios in order to avoid losses or reduce their impact.

The following are some ways to diversify a stock portfolio as an investor based in the UK:

1. Investing in international markets:

By investing in international markets, investors can gain exposure to markets that are less affected by Brexit.

Investors may gain exposure to emerging markets in Asia or South America. Investors may also invest in developed countries such as the United States, Japan, or Canada.

2. Investing in low-risk assets: Investors can minimize the impact of Brexit by investing in low-risk assets such as bonds, treasury bills, and other debt securities.

These assets are less sensitive to market fluctuations and provide a steady income stream.

3. Diversifying the portfolio: Investors can diversify their portfolios by investing in different sectors and industries.

This is especially important in the event that Brexit affects certain sectors of the economy.

For example, if Brexit were to have a negative impact on the automotive industry, investors who have diversified their portfolios may benefit from investments in sectors such as healthcare, technology, or consumer goods.

4. Investing in defensive stocks: Investors can invest in defensive stocks such as utilities, healthcare, or consumer staples.

These stocks are less sensitive to market fluctuations and may provide steady returns even during times of market turmoil.

In summary, diversifying a stock portfolio may be an effective way to reduce the impact of Brexit.

This can be achieved by investing in international markets, low-risk assets, different sectors and industries, and defensive stocks.

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The development of Computerized Information Systems could be due to the environment factors. Identify and explain an Information System which could be developed in the market or industry due to the following factors. You are required to discuss how the factor contributes to the development of the identified Information System:
a. Increment of global competition
b. Encouragement the usage of public transport.
c. Rapid usage of E-Commerce
d. Increment of working couples

Answers

The development of Computerized Information Systems (CIS) has been impacted by a wide range of environmental factors. In this context, this essay is aimed at identifying and explaining the information system which could be developed in the market or industry due to the following factors such as increment of global competition.

Encouragement of the usage of public transport, rapid usage of E-Commerce, and an increment of working couples. 1. Increment of Global Competition The development of the Supply Chain Management (SCM) information system can be explained by the increment of global competition in the market.

In today’s world, it is essential for the organization to have strong and effective SCM as the competition is increasing day by day. SCM is a system that manages and coordinates the movement of products and services from the supplier to the consumer.

This system optimizes the product’s flow in a supply chain to achieve maximum customer value and minimize the costs. Therefore, SCM has been developed to face global competition to optimize the production process and product delivery to the customers.

2. Encouragement of the Usage of Public Transport The Intelligent Transport System (ITS) information system is an example of an information system that could be developed due to the encouragement of the usage of public transport. ITS uses advanced technologies to improve transport efficiency, safety, and traffic management.

The system optimizes the use of transportation infrastructures by reducing congestion, emissions, and accidents. This system has been developed to encourage the use of public transport, as it promotes a greener and more sustainable environment.  

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Given UNF's incredible growth and success, other regional universities have begun turning to animal mascots for guidance in response to their own problems. This is an example of what type of change?
A. Proactive change
B. Natural change
C. Reactive change
D. Animal-based change

Answers

The given situation that regional universities have begun turning to animal mascots for guidance in response to their own problems is an example of what type of change, can be classified as Proactive change.

More than 100 words explanation:

Proactive change is a deliberate attempt made by organizations to anticipate possible future changes and act in advance to them before they occur.

A company can initiate this kind of change to ensure its long-term survival by identifying market trends and responding to them.

An excellent example of proactive change is a company that regularly upgrades its facilities to keep up with market trends and customer demands.

Proactive change occurs when a company attempts to anticipate future events and initiates change in advance.

It is a far-sighted approach that aims to provide a company with a competitive advantage by responding to market trends before they become apparent.

Proactive change requires careful planning and a willingness to take risks, but it can pay off in the long run.

Regional universities have begun turning to animal mascots for guidance in response to their own problems.

This decision is an excellent example of proactive change.

They recognized that UNF's approach to using an animal mascot for guidance had helped to boost the university's growth and success,

so they made a conscious decision to adopt a similar strategy to help them achieve their objectives.

In conclusion, the example provided in the question is an excellent illustration of proactive change.

By anticipating future changes and acting in advance,

regional universities can gain a competitive advantage and ensure their long-term success.

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Beyond Contingent Workforce Management: Embracing an Agile Workforce
An agile workforce is defined not only by its unique, non-traditional organizational architecture but also by its specific make-up. The agile workforce is made up of knowledge workers." whether internal employees or external independents. Therefore, understanding the knowledge workforce both sheds light on the make-up of an agile workforce and helps explain why the agile workforce model has become compelling at this time.
Understanding that an agile workforce is, by definition, a knowledge workforce goes a long way in explaining what an agile workforce is and why the agile workforce model is becoming
increasingly relevant and compelling. For example, internal and external knowledge workers may be expensive, but they are essential to an organization's performance. While they arguably
contribute the highest per capita value to an organization (or at least have the potential to) the maximization of that value depends upon how that knowledge workforce is organized and
managed. The agile workforce model actually accomplishes this and transforms an organization's underutilized, organizationally suboptimized internal and external knowledge workforce into a efficient, flexible, high-impact agile workforce.
An agile workforce is not only a collection of specific kinds of workers or talent. It is also those workers organized under a unique innovative work architecture or workforce model that, unlike the contingent workforce supply chain model, integrates work execution with access to skills and expertise that may reside inside the organization or be found outside of it.

Answers

An agile workforce is an organizational model characterized by a non-traditional architecture, which is made up of knowledge workers, whether internal employees or external independents.

This means that an agile workforce model maximizes the value of knowledge workers and transforms the internal and external knowledge workforce of an organization into a flexible, efficient, high-impact workforce.

The agile workforce model is increasingly relevant and compelling because knowledge workers are expensive but essential to an organization's performance.

Although they potentially contribute the highest per capita value to an organization, the maximization of that value depends on how the knowledge workforce is organized and managed. Therefore, an agile workforce model is needed to organize and manage knowledge workers effectively.

In addition, the agile workforce model integrates work execution with access to skills and expertise that may reside inside the organization or be found outside of it, unlike the contingent workforce supply chain model.

This means that the agile workforce model is not only a collection of specific kinds of workers or talent, but also a unique innovative work architecture or workforce model that maximizes the value of knowledge workers.

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Security A and security B both provide semi anual payment of 89 over 5Year. the annual rate of return for both securities is 6.5%. both securities will provide the smae number of payments, but the payments for Security A occur atthe beginning of the month and the payment for Security B occur at the end of the month. What is the difference in the present value of these two sets of payment?
12.86 18.96 15.86 25.98 24.36
Your employer contributes 50 a week to your retirement plan. Assume that you work for your employer for another sixteen years and that the applicable discount rate is 6.5 %,compounded weekly. Givn these assumptions, what is this employee benefit worth to you today?
24135.99
25852.63
24218.04
25920.55
21574.68

Answers

Both securities are essentially similar, except for the timing of payments. In general, the sooner the payment is received, the more valuable it is, so the present value of Security A payments will be higher than Security B payments.

in order to find the difference in present value of these two sets of payments, we must subtract the present value of Security B payments from the present value of Security A payments.

The present value of employee benefit given that your employer contributes $50 a week for another 16 years and the applicable discount rate is 6.5%, compounded weekly is as follows:

PV = payment amount x present value factorn the employee benefit is worth $30,231.54 today.

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career and wants to advance to higher level of management. Maria knows that is important to show efficiency as a server, having higher than average sale per server. This ratio is computed by Select one: a. Total sales a server is responsible for in a period of time (day, week, month) divided by number of seats in a restaurant b. Dividing total sales Maria makes in a shift by number of guests she serves in a shift c. Dividing total shift sales by number of servers working in that shift d. Dividing number of guests served in a shift by average guest check.

Answers

The correct answer is option A. Maria, who wants to advance to a higher level of management in her career, knows that it is essential to show efficiency as a server by having a higher than average sale per server.

This ratio is computed by dividing total sales a server is responsible for in a period of time (day, week, month) by the number of seats in a restaurant. Thus, the correct answer is option A.

The ratio of higher than average sale per server is essential to advance to a higher level of management. This ratio is computed by dividing total sales a server is responsible for in a period of time (day, week, month) by the number of seats in a restaurant. Maria should maintain a high level of efficiency as a server to ensure that she maintains a higher than average sale per server.

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canadian adventures has earnings per share of $2.86 and dividends per share of $1.80. the total equity of the firm is $750,000. there are 38,000 shares of stock outstanding. what is the sustainable rate of growth? group of answer choices

Answers

If canadian adventures has earnings per share of $2.86 and dividends per share of $1.80. The sustainable rate of growth for Canadian Adventures is 5.37%.

What is the Sustainable Rate of Growth?

First we need to calculate the retention ratio

Retention Ratio = (EPS - DPS) / EPS

Retention Ratio = ($2.86 - $1.80) / $2.86

Retention Ratio = $1.06 / $2.86

Retention Ratio ≈ 0.370

Next we need to calculate the return on equity (ROE)

ROE = Net Income / Total Equity

ROE = (EPS * Number of shares outstanding) / Total Equity

ROE = ($2.86 * 38,000) / $750,000

ROE ≈ 0.145

Now we can calculate the sustainable rate of growth

Sustainable Rate of Growth = Retention Ratio * Return on Equity

Sustainable Rate of Growth = 0.370 * 0.145

Sustainable Rate of Growth ≈ 0.0537

Sustainable Rate of Growth ≈ 5.37%

Therefore, the sustainable rate of growth for Canadian Adventures is 5.37%.

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Continue with the industry you selected in Unit II for this assignment. For this Unit VII Assignment, write a script for a radio/television show as if you were interviewing an expert concerning topics discussed in this unit.
Include input from both the interviewer and interviewee standpoint. What questions would you ask as the interviewer? What answers would you give to those questions as the interviewee? When writing your questions and answers, keep in mind that you have already learned a lot about your industry through earlier assignments in this course. It is suggested that you review your responses to those assignments before beginning this one.
In your interview script, address the following topics:
the structure of the Federal Reserve,
the functions of money,
six qualities of ideal money,
the tools of monetary policy used by the Federal Reserve to manipulate the money supply in the United States,
the current status of monetary policy regarding a contractionary or expansionary stance in the United States, and
the potential impacts on your selected industry over the next 2 years of this monetary policy stance.
Your script must be a minimum of four pages (1,000 words, double-spaced). Adhere to APA Style when creating citations and references for this assignment. APA formatting, however, is not necessary.
*****Industry is (Public Safety)********

Answers

The Federal Reserve System is responsible for controlling and regulating monetary policy in the United States. The United States uses the fiat currency, which is backed by the government and has no intrinsic value. Monetary policy is the set of policies that the Federal Reserve System uses to manipulate the money supply and influence economic growth.

IntroductionThe radio/television show will be interviewing an expert concerning topics discussed in this unit. The expert will explain the Federal Reserve System, the functions of money, the six qualities of ideal money, the tools of monetary policy used by the Federal Reserve to manipulate the money supply in the United States, the current status of monetary policy regarding a contractionary or expansionary stance in the United States, and the potential impacts on the public safety industry over the next 2 years of this monetary policy stance.

Interview Questions and Answers

The interviewer asks the following questions, and the expert answers accordingly:

Question 1: What is the Federal Reserve System, and what is its structure?

Answer 1: The Federal Reserve System is responsible for controlling and regulating monetary policy in the United States. It consists of the Board of Governors, twelve Federal Reserve Banks, and member banks. The Board of Governors is responsible for setting monetary policy, and each Reserve Bank is responsible for carrying out that policy within its district.

Question 2: What are the functions of money?

Answer 2: Money has three functions: medium of exchange, unit of account, and store of value. It is a medium of exchange because it is used to buy goods and services. It is a unit of account because it is used to measure the value of goods and services. It is a store of value because it can be saved and used in the future.

Question 3: What are the six qualities of ideal money?

Answer 3: The six qualities of ideal money are durability, portability, divisibility, uniformity, limited supply, and acceptability. Durability means that it must last a long time. Portability means that it must be easy to carry. Divisibility means that it can be divided into smaller units. Uniformity means that all units must be the same. Limited supply means that it should not be too abundant. Acceptability means that it must be accepted by everyone.

Question 4: What tools of monetary policy are used by the Federal Reserve to manipulate the money supply in the United States?

Answer 4: The Federal Reserve System uses three tools of monetary policy: open market operations, discount rate, and reserve requirements. Open market operations involve buying or selling government securities. The discount rate is the interest rate charged by the Federal Reserve to member banks for borrowing money. Reserve requirements are the amount of money that banks must keep in reserve.

Question 5: What is the current status of monetary policy regarding a contractionary or expansionary stance in the United States?

Answer 5: The current status of monetary policy is expansionary because the Federal Reserve System is increasing the money supply to stimulate economic growth.

Question 6: What potential impacts will this monetary policy stance have on the public safety industry over the next 2 years?

Answer 6: The potential impacts on the public safety industry over the next 2 years will depend on the specific policies implemented by the Federal Reserve System. If the expansionary monetary policy leads to inflation, then the public safety industry may face increased costs for goods and services.

If the expansionary monetary policy leads to economic growth, then the public safety industry may experience increased demand for its services. If the Federal Reserve System shifts to a contractionary monetary policy, then the public safety industry may face reduced demand for its services.

Conclusion: The expert concludes by summarizing the key points discussed during the interview. They emphasize the importance of the Federal Reserve System in regulating monetary policy, the functions of money, the six qualities of ideal money, the tools of monetary policy used by the Federal Reserve to manipulate the money supply in the United States, the current status of monetary policy, and the potential impacts on the public safety industry over the next 2 years.

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Anastasia should use a classification model to predict the
starting salary of a university graduate.
True or False

Answers

Anastasia should use a classification model to predict the starting salary of a university graduate. This statement is False. In machine learning, classification is the process of categorizing input data into specific categories or classes.

It is used to classify input data based on some specific criteria. Therefore, classification models are used for classifying inputs or predicting the class of the input. However, classification models cannot be used for predicting the starting salary of a university graduate since salaries are not categorical values. Salary values are continuous values and therefore, regression models are more appropriate for predicting the starting salary of a university graduate.

In contrast to classification models, regression models predict numerical values. Regression models can be used to predict the expected salaries of graduates based on features such as their educational qualifications, work experience, grades, and other factors.

Moreover, regression models have the ability to provide more accurate predictions of numerical values than classification models because they are specifically designed to handle numerical values and relationships between variables.

In conclusion, it is false that Anastasia should use a classification model to predict the starting salary of a university graduate. Instead, she should use a regression model.

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Laura is willing to pay as much as $1,000 for a wedding dress but is happy to find one she likes that costs $300.

Select the term below that corresponds to this situation.

Consumer surplus

Producer surplus

Ceteris paribus

Equilibrium

Answers

Laura is willing to pay as much as $1,000 for a wedding dress but is happy to 'Consumer surplus' one she likes that costs $300. Thus, option (a) is correct.

The gap between the utmost price a consumer is prepared to pay and the final price they pay is known as the consumer surplus. In this instance, Laura would have been willing to spend up to $1,000 on a wedding gown, but she only spends $300, leaving her with a $700 consumer surplus.

A market's efficiency can be assessed using the concept of consumer surplus, which quantifies the benefit that consumers derive from a transaction.

Therefore, option (a) is correct.

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Required information Problem 12-6A (Algo) Use ratios to analyze risk and profitability ( LO12-3, 12-4) [The following information applies to the questions displayed below.] Income statements and balance sheets data for Virtual Gaming Systems are provided below. Required: 1. Assuming that all sales were on account, calculate the following risk ratios for 2024 and 2025

Answers

We need additional data, such as net income, total assets, and total liabilities, to compute risk ratios for Virtual Gaming Systems for 2024 and 2025.

It is impossible to generate detailed risk ratio estimations without these specifics. I can, however, give you a list of often employed risk ratios that you can compute using the pertinent data from the income statements and balance sheets:1. Debt-to-Equity Ratio: This ratio assesses how much debt financing there is compared to equity financing and shows how risky and leveraged the company's finances are.2. Current Ratio: This ratio evaluates the company's capacity to pay current obligations and short-term liquidity

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In Spain, a glass of wine costs 5 euros. In Canada, a glass of wine costs 6 Canadian dollars. If the exchange rate is 0.6 euros per Canadian dollar, what is the real exchange rote? 2 glatses of Spanish mine per glass of Canadian wine 0.5 glasses of Spanish wine per glass of Canadian wine 1.39 glasses of Spanish wine per glass of Canadian wine Q.72 glasses of Spanish wine per glaes of Canadian wine

Answers

The real exchange rate is 0.83 glasses of Spanish wine per glass of Canadian wine.

To calculate this, divide the cost of Spanish wine (5 euros) by the cost of Canadian wine (6 Canadian dollars multiplied by the exchange rate of 0.6 euros per Canadian dollar). the result is 0.83, indicating that you can buy approximately 0.83 glasses of Spanish wine for the price of 1 glass of Canadian wine. to calculate the real exchange rate between Spanish wine and Canadian wine, we need to determine how many glasses of Spanish wine you can buy for the price of one glass of Canadian wine.  given that a glass of Spanish wine costs 5 euros and a glass of Canadian wine costs 6 Canadian dollars, we need to convert the Canadian dollar price into euros using the exchange rate of 0.6 euros per Canadian dollar.

First, we calculate the price of one glass of Canadian wine in euros: 6 Canadian dollars * 0.6 euros per Canadian dollar = 3.6 euros now, we can determine the real exchange rate by dividing the cost of Spanish wine (5 euros) by the cost of Canadian wine in euros (3.6 euros) 5 euros / 3.6 euros = 1.39 therefore, the real exchange rate is approximately 1.39 glasses of Spanish wine per glass of Canadian wine. This means that for the price of one glass of Canadian wine, you can buy approximately 1.39 glasses of Spanish wine.

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In the event of a bankruptcy, common shareholders have a claim on assets before debtholders. True False

Answers

The given statement "In the event of a bankruptcy, common shareholders have a claim on assets before debtholders." is False.

In case of bankruptcy, debtholders, who are also creditors, have the first right on the company's assets. This is because they have a legal agreement with the organization that guarantees their repayment. It means, the debtholders have a prior claim to the company's assets over shareholders. The remaining assets (if any) will be given to the common shareholders for distribution.

In a bankruptcy situation, common shareholders are at the bottom of the hierarchy when it comes to getting paid. They have the last right to the company's assets after every other creditor and debtholder are repaid.

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Mutual funds are classified as load or no-load funds. Load funds require an investor to pay an initial fee based on a percentage of the amount invested in the fund. The no-load funds do not require this initial fee. Some financial advisors argue that the load mutual funds may be worth the extra fee because these funds provide a higher mean rate of return than the no-load mutual funds. A sample of 30 load mutual funds and a sample of 30 no-load mutual funds were selected. Data in the file Mutual were collected on the annual return for the funds over a five-year period.
a. Formulate H0 and Ha such that rejection of H0 leads to the conclusion that the load mutual funds have a higher mean annual return over the five-year period.
b. Conduct the hypothesis test. What is the p-value? At a = .05, what is your conclusion?

Answers

a. Formulate H0 and Ha such that rejection of H0 leads to the conclusion that the load mutual funds have a higher mean annual return over the five-year period. The hypotheses of the test are as follows:

Null hypothesis, H0: μL = μN where μL and μN are the population means of the load and no-load funds, respectively. Alternate hypothesis, Ha: μL > μN which implies that the mean annual return of the load funds is more significant than the mean annual return of the no-load funds.

The rejection of the null hypothesis (H0) would lead to the conclusion that the load mutual funds have a higher mean annual return over the five-year period. This implies that the alternate hypothesis (Ha) is true.

b. Conduct the hypothesis test. What is the p-value? At a = .05, what is your conclusion? The given level of significance (α) = .05.The sample size for the load funds (nl) is 30, and for the no-load funds (n2) is 30. A two-tailed t-test will be conducted to test the hypothesis since the alternative hypothesis is directional. The formula to calculate the t-test for independent means is given below:

t = x 1 - x 2 / Spx1 - x2 = (Σx1) /nl = 5.75x2 - (Σx2) / n2 = 4.52Spx1 - x2 = sqrt [ (s12 / nl) + (s22 / n2) ]

Where x1 = the mean annual return of the load fundsx2 = the mean annual return of the no-load fundsSpx1 - x2 = the pooled standard error S12 = the variance of the load funds S22 = the variance of the no-load funds

Using the given data, the calculations of the test are shown below: Given that: Mean annual return of load funds, x1 = 12.42

Mean annual return of no-load funds, x2 = 10.78 Sample size of load funds, nl = 30 Sample size of no-load funds, n2 = 30Variance of load funds, s12 = 14.71

Variance of no-load funds, s22 = 13.17T = (12.42 - 10.78) / sqrt [ (14.71 / 30) + (13.17 / 30) ]= 1.86 The degrees of freedom for the t-test are (nl + n2 - 2) = (30 + 30 - 2) = 58.

The p-value corresponding to t = 1.86 and degrees of freedom = 58 is 0.0321.

Conclusion: At a level of significance of .05, since the p-value (0.0321) < α (0.05), we can reject the null hypothesis. We can conclude that the load mutual funds have a higher mean annual return over the five-year period compared to the no-load mutual funds.

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A Commercial General Liability policy will exclude coverage for bodily injury and property damage arising from all of the following, except:
A
Workplace injuries, as obligated under Workers' Compensation laws
B
Host liquor liability
C
Insured’s intent to cause injury
D
Damage to the insured’s own property

Answers

Commercial General Liability (CGL) policies exclude coverage for certain claims. The coverage exclusions in a Commercial General Liability policy include bodily injury and property damage arising from all of the following, except:

Workplace injuries, as obligated under Workers' Compensation laws, host liquor liability, damage to the insured’s own property, and any act committed intentionally by the insured that results in injury or damage.Workers' Compensation Laws require employers to provide coverage for injuries or illnesses that occur as a result of an employee’s work. The policy, therefore, cannot exclude coverage for such workplace injuries. This is because workers’ compensation coverage is compulsory.

Hence, this option A is excluded from the coverage exclusion. A commercial general liability policy also provides coverage for property damage and bodily injury caused by the insured party. But there are certain limitations to this coverage, which are called exclusions. These exclusions are included to protect insurers against high-risk events that could result in large payouts. The intent to harm another person or damage property is an exclusion in commercial general liability coverage.Therefore, the answer is option C.

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Environmental Analysis (Cause and Effect
Analysis)
You just need to fill out the attached HW 8
form for the HW 8.
Step 1: Select any company or winery you
wish. Prepare a one-paragraph description of
the company or winery including things like
location, size, age, product/customer mix, etc.
Step 2: Identify and describe three
technological trends (they could be positive or
negative) that will affect this organization in the
future. A trend is any emerging activity that you
believe is important to the future of this
business. Trends can fall into any of the various
categories in technology such as Al (Artificial
Intelligence, 5G technology, Self Driving car...).
Do some research. I have posted some
interesting articles related to the impacts of
new technology in marketing and brand
management.
Step 3: Provide a detailed rationale for why
you select these three trends. Then indicate
what you consider to be the probability of each
trend occurring using a range from 0-100%.
Also rate the trend on importance using a scale
of 1-10 with 10 being the most important.

Answers

5G technology: Probability: 90%, Importance: 8Smart Wine bottles: Probability: 70%, Importance: 6AI: Probability: 80%, Importance: 9

Environmental Analysis (Cause and Effect Analysis)

About the company

Winery Business is one of the rapidly growing industries in the world. Constellation Brands is one of the major players in the wine and beer industry. It is headquartered in New York, USA.

The company is known for selling and producing alcohol-based drinks such as Corona, Modelo, Robert Mondavi, Ruffino, Meiomi, etc.

It is the world’s largest wine producer and marketer with operations in around 100 countries. It operates as two segments; wine and spirits, and beer.

Technological Trends

The following are three technological trends that will affect the organization in the future.

5G Technology: The fifth-generation mobile network (5G) has become a crucial factor for organizations globally. 5G will provide Constellation Brands with faster speeds, more reliable connections, and reduced latency. It can also enable better communication in their production process.

Smart Wine bottles:

The IoT-based Smart Wine bottle is a new trend in the wine and beverage industry. It is a new technology that Constellation Brands can use to enhance their customers’ experience.

These smart bottles have features such as temperature sensors, GPS, and light sensors.

AI: Constellation Brands can implement AI-powered chatbots that can be used in customer service. This technology has transformed the customer service sector and the food and beverage industry.

AI chatbots will enable the company to respond quickly to customers, reduce customer response time, and enhance their satisfaction.

Probability and Importance

5G technology: Probability: 90%, Importance: 8Smart Wine bottles: Probability: 70%, Importance: 6AI: Probability: 80%, Importance: 9

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Choose an oligopoly industry from your home country that creates a negative externality. (CASE STUDY)

Answers

The oligopoly industry I have chosen from my home country, which creates a negative externality is the telecommunication industry.

An oligopoly market is a type of market where a few companies dominate the market with their similar products. In the telecommunication industry, few companies provide services to millions of consumers.

The telecommunication industry has created a negative externality that has affected its consumers and society as a whole.

Telecommunication companies have been known to produce an excessive amount of electronic waste.

Millions of cellphones, computers, tablets and other devices that the company produces become outdated each year and are disposed of, which creates an environmental problem for society.

The disposal of these devices and their batteries affects the environment, leading to soil and water pollution.

Electronic waste also contains harmful chemicals that pose health risks to people and animals that come into contact with them.

Many telecommunication companies do not have an environmentally friendly waste management system, which further exacerbates the problem.

Furthermore, the oligopoly nature of the telecommunication industry leads to an increase in prices of telecommunication services.

Consumers have limited choices to choose from, and since a few companies dominate the market, these companies can fix their prices higher than they would be in a more competitive market.

This, in turn, affects the consumers' purchasing power and the country's economy as a whole.

The excessive production of electronic waste and the rise in prices of telecommunication services have posed problems that need urgent attention from the government and the industry itself.

There should be more regulations on waste management, and competition should be encouraged to create a more conducive environment for consumers and the economy.

In conclusion, the telecommunication industry in my home country, an oligopoly market, has created a negative externality that has impacted the environment, society, and the economy.

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Diversification is investing in a variety of assets with which one of the following as the primary goal?


A. increasing returns

B. minimizing taxes

C. reducing some risks

D. eliminating all risks

E. increasing the variance

Answers

Diversification is investing in a variety of assets with reducing some risks as the primary goal. Diversification is a risk management strategy in which one invests in a variety of financial instruments, such as stocks, bonds, mutual funds, and commodities, among others.

The goal of diversification is to spread the risk associated with any individual investment across several investments to reduce the overall risk of one's investment portfolio. For instance, investing all of one's money in a single company's stock might be profitable, but it also exposes one to a greater risk of financial loss. The same can be said for bonds, mutual funds, and other investment instruments. A diversified portfolio that includes a combination of investments from different sectors, such as healthcare, finance, and technology, is less likely to experience the same level of risk as a portfolio that is heavily weighted toward a single sector. In conclusion, diversification is a crucial component of an investment strategy that aims to reduce risk and increase returns over time.

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an investor, age 52, with funds in a 401(k) plan, is leaving her employer and wants to transfer the funds to an ira account at your firm. which of the following statements is true? qid: 3571180 mark for review a there will be a 10% penalty b there will be a 50% penalty c there will be no penalty d there will be no penalty but the amount transferred will be taxable

Answers

An investor, age 52, with funds in a 401(k) plan, is leaving her employer and wants to transfer the funds to an IRA account at your firm. There will be no penalty is true. Thus, option (c) is correct.

It is crucial to keep in mind that if the transfer is executed improperly, it can be viewed as a distribution and subject to taxation and perhaps an early withdrawal penalty.

Additionally, there may be a 10% federal penalty tax (with some circumstances) on withdrawals of contributions and gains made before age 59 1/2 if the money is converted to a regular IRA.

Unless certain conditions are met, the investor who needed access to the funds after they have been rolled over to an IRA risked incurring the 10% penalty.

Therefore, option (c) is correct.

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Your question is incomplete, but most probably the full question was.

An investor, age 52, with funds in a 401(k) plan, is leaving her employer and wants to transfer the funds to an IRA account at your firm. which of the following statements is true?

A. there will be a 10% penalty B. there will be a 50% penalty C. there will be no penalty D. there will be no penalty, but the amount transferred will be taxable.

Edgehill, Inc. hopes to increase sales by reducing the selling price of its product by 7\%. The firm currently operates at a 43% gross profit margin which will change as the selling price changes. By what percent would unit sales have to increase after the price reduction in order for the firm's gross profit (in dollars) to remain unchanged? Show your answer in decimal format rounded up to four decimal places (i.e. show 12.34% as .1234). Your Answer:

Answers

To maintain unchanged gross profit after a 7% price reduction, unit sales would need to increase by approximately 12.28%.

To calculate the percentage increase in unit sales required for the firm's gross profit to remain unchanged after a 7% price reduction, we can use the following formula:

Percentage Increase in Unit Sales = (Percentage Price Reduction) / (1 - Gross Profit Margin)

In this case, the percentage price reduction is 7% (0.07) and the gross profit margin is 43% (0.43). Plugging these values into the formula:

Percentage Increase in Unit Sales = 0.07 / (1 - 0.43)

Percentage Increase in Unit Sales = 0.07 / 0.57

Percentage Increase in Unit Sales ≈ 0.1228

Rounded to four decimal places, the percentage increase in unit sales required for the firm's gross profit to remain unchanged after the price reduction is approximately 0.1228, which is equivalent to 12.28%.

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What is the total liabilities immediately following a margin purchase of 50 shares at $80/ share given an initial margin of 50%. $4,000 $2,000 $1,000 not enough information to answer. Which of the following risks is not diversifiable? systematic risk non-systematic risk idiosyncratic risk total risk An In-The-Money (ITM) option.. is an option where the exercise price generates a positive cash flow for the short position. is an option where the exercise price generates a positive cash flow for the long position. generates a positive cash flow when exercised for call options and a negative cash flow when exercised for put options. generates a positive cash flow when exercised for put options and a negative cash flow when exercised for call options.

Answers

The total liabilities immediately following a margin purchase of 50 shares at $80/share, given an initial margin of 50% is $2,000. When an investor buys stocks on margin, they borrow part of the funds to purchase the shares from their broker. The broker requires a minimum amount to be deposited before the shares are purchased and this is called the initial margin.

In this case, the initial margin is 50%. Therefore, the amount of money required to purchase 50 shares is:

$80 x 50 = $4,000

The initial margin is 50%, therefore, the margin deposit is:

0.5 x $4,000 = $2,000

Therefore, the total liabilities are $4,000 - $2,000 = $2,000.

Systematic risk is not diversifiable. Idiosyncratic risk is a type of risk that is specific to a company, industry, market, economy, or country. Therefore, idiosyncratic risk can be diversified away by investing in a portfolio of securities. Non-systematic risk is a type of risk that can be eliminated by diversification because it affects a small number of assets. Total risk is the combination of systematic and non-systematic risk. An In-The-Money (ITM) option generates a positive cash flow when exercised for call options and a negative cash flow when exercised for put options. Therefore, the correct option is option (c).

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Fish Filler, a seafood restaurant, provides free drinks with each meal. Fish filler is using _____ to promote its sales.
A) premiums
B) rebates
C) coupons
D) samples

Answers

Fish Filler, a seafood restaurant, provides free drinks with each meal. Fish Filler is using samples to promote its sales.

A sample is a free product or service that is given to customers to try in order to promote sales. In this case, Fish Filler is giving away free drinks with each meal in order to encourage customers to try their food. This is a common marketing strategy used by restaurants to attract new customers and increase sales.

The other options are not correct. A premium is a gift that is given to customers for free or at a discounted price in order to encourage them to purchase a product or service. A rebate is a partial refund that is given to customers after they have purchased a product or service. A coupon is a discount that is offered to customers when they purchase a product or service.

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aron, brown and claire formed a partnership business. their capital balances are: aron $100,000, brown $60,000 and claire $40,000, and the p/l ratios are: aron 20%, brown 50% and claire 30%. daniel wants to join the business with 20% interest for a total payment of $60,000. daniel paid the money directly to the partners. record the admission of daniel following the book value approach.

Answers

The adjusted capital balances after Daniel's admission following the book value approach are:

Aron: $130,480

Brown: $116,200

Claire: $67,720

Daniel: $52,400

How to calculate the value

Aron's new capital balance: $100,000 + $20,000 (20% of $100,000) = $120,000

Brown's new capital balance: $60,000 + $30,000 (50% of $60,000) = $90,000

Claire's new capital balance: $40,000 + $12,000 (30% of $40,000) = $52,000

Total adjusted capital = $120,000 + $90,000 + $52,000 = $262,000

Daniel's capital contribution = Total adjusted capital * Daniel's interest

Daniel's capital contribution = $262,000 * 20% = $52,400

Aron's allocated capital = $120,000 + ($52,400 * 20%) = $120,000 + $10,480 = $130,480

Brown's allocated capital = $90,000 + ($52,400 * 50%) = $90,000 + $26,200 = $116,200

Claire's allocated capital = $52,000 + ($52,400 * 30%) = $52,000 + $15,720 = $67,720

Daniel's capital balance = Daniel's capital contribution

Daniel's capital balance = $52,400

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if unrealized inter-company profits in ending inventory exceed unrealized inter-company profits in beginning inventory, what will be the effect of the consolidation entries to eliminate unrealized inter-company inventory profits?

Answers

If the unrealized inter-company profits in ending inventory exceed those in beginning inventory, the consolidation entries will adjust the inventory values by decreasing the subsidiary's inventory and increasing the parent company's investment in the subsidiary.

The consolidation entries to eliminate unrealized inter-company inventory profits depend on whether the subsidiary's inventory was sold or still on hand at the end of the period. Here's a step-by-step explanation:

1. If the subsidiary's inventory was sold by the end of the period, the consolidation entries will not be affected. Unrealized inter-company profits in beginning inventory are already eliminated when the subsidiary's inventory is sold to an external party.

2. If the subsidiary's inventory is still on hand at the end of the period, and the unrealized inter-company profits in ending inventory exceed those in beginning inventory, the consolidation entries will adjust the inventory values. Here's the process:

  a. Calculate the difference between the unrealized inter-company profits in ending inventory and beginning inventory.

  b. Create an adjusting entry to decrease the subsidiary's inventory and increase the parent company's investment in the subsidiary.

  c. Decrease the subsidiary's inventory by the calculated difference.

  d. Increase the parent company's investment in the subsidiary by the same calculated difference.

  e. This adjustment ensures that the inter-company profits are eliminated, resulting in more accurate consolidated financial statements.

In conclusion, if the unrealized inter-company profits in ending inventory exceed those in beginning inventory, the consolidation entries will adjust the inventory values by decreasing the subsidiary's inventory and increasing the parent company's investment in the subsidiary. This adjustment eliminates the unrealized inter-company inventory profits, leading to more accurate consolidated financial statements.

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Forwards & Arbitrage Opportunities
Suppose that the exchange rate between the US dollar and the Euro is Edollar/euro 1.1, and that you = expect it to be around 1.3 in 6 months from now. Suppose also that you have 10,000 dollars and that the forward rate of dollars per euro is Fdollar/euro = 1.2. Describe in detail the arbitrage strategy that you would engage in and calculate the profits you would obtain from it.

Answers

Arbitrage is the simultaneous purchase and sale of an asset to profit from the difference in price between two markets. The concept of forward rate arbitrage involves the difference between the spot and forward rate of two currencies. To take advantage of this arbitrage opportunity, traders would typically follow these steps:

First, convert the 10,000 dollars to Euros at the current spot rate:

10,000 USD * 1.1 (spot rate) = 11,000 Euros

Then, enter into a forward contract to sell Euros and buy dollars in 6 months time at the forward rate:

11,000 Euros / 1.2 (forward rate) = 9,166.67 USD

Now, we need to calculate how much profit we make by holding this forward contract. If the exchange rate moves as expected to 1.3 in 6 months, the profit would be:

11,000 Euros * (1.3 - 1.1) = 2,200 Euros

Converting this back to USD at the forward rate, we get:

2,200 Euros / 1.2 (forward rate) = 1,833.33 USD

Therefore, the total profit is:

1,833.33 - 9,166.67 = $7,333.33

By engaging in this arbitrage strategy, the trader would earn $7,333.33 in profit. This is a low-risk strategy because the trader has locked in a known profit by purchasing the Euros at the current spot rate and selling them forward at the known forward rate. However, in practice, the opportunity for forward rate arbitrage may not exist due to factors such as transaction costs, interest rates, and liquidity constraints.

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uses an activity-based costing system with three activity cost pools. Machining, Setting Up, and Other. The company's overhead costs have been allocated to the cost pools as follows: $25,200 for the Machining cost pool, $17,200 for the Setting Up cost pool, and $41,600 for the Other cost pool.

Costs in the Machining cost pool are assigned to products based on machine-hours (MHs) and costs in the Setting Up cost pool are assigned to products based on the number of batches. Costs in the Other cost pool are not assigned to products. Data concerning the two products and the company's costs appear below: mhs batches product o'leary 6,600 200 product cuban 3,400 800 total 10,000 1,000 product o'leary product cuban sales (total) $ 252,600 $ 172,800 direct materials (total) $ 125,100 $ 96,900 direct labor (total) $ 95,200 $ 48,100

Required:

a. Calculate activity rates for each activity cost pool using activity-based costing.

b. Determine the amount of overhead cost that would be assigned to each product using activity-based costing.

c. Determine the product margins for each product using activity-based costing.

Answers

The product margin for Product O'Leary is $12,228 and the product margin for Product Cuban is $5,472.

a. To calculate the activity rates for each activity cost pool using activity-based costing, we need to divide the total cost in each cost pool by the total activity level.

1. Machining activity rate:
Total cost in the Machining cost pool is $25,200.
Total machine-hours (MHs) for both products are 6,600 + 3,400 = 10,000.

Activity rate for Machining = Total cost / Total machine-hours
Activity rate for Machining = $25,200 / 10,000 MHs
Activity rate for Machining = $2.52 per MH

2. Setting Up activity rate:
Total cost in the Setting Up cost pool is $17,200.
Total number of batches for both products is 200 + 800 = 1,000.

Activity rate for Setting Up = Total cost / Total number of batches
Activity rate for Setting Up = $17,200 / 1,000 batches
Activity rate for Setting Up = $17.20 per batch

b. To determine the amount of overhead cost assigned to each product using activity-based costing, we need to multiply the activity rate by the activity level for each product.

1. Overhead cost assigned to Product O'Leary:
Machining cost: 6,600 MHs * $2.52 per MH = $16,632
Setting Up cost: 200 batches * $17.20 per batch = $3,440
Total overhead cost assigned to Product O'Leary = $16,632 + $3,440 = $20,072

2. Overhead cost assigned to Product Cuban:
Machining cost: 3,400 MHs * $2.52 per MH = $8,568
Setting Up cost: 800 batches * $17.20 per batch = $13,760
Total overhead cost assigned to Product Cuban = $8,568 + $13,760 = $22,328

c. To determine the product margins for each product using activity-based costing, we need to subtract the assigned overhead cost from the total cost of each product.

1. Product margin for Product O'Leary:
Total cost of Product O'Leary = Sales - Direct materials - Direct labor
Total cost of Product O'Leary = $252,600 - $125,100 - $95,200 = $32,300
Product margin for Product O'Leary = Total cost - Assigned overhead cost
Product margin for Product O'Leary = $32,300 - $20,072 = $12,228

2. Product margin for Product Cuban:
Total cost of Product Cuban = Sales - Direct materials - Direct labor
Total cost of Product Cuban = $172,800 - $96,900 - $48,100 = $27,800
Product margin for Product Cuban = Total cost - Assigned overhead cost
Product margin for Product Cuban = $27,800 - $22,328 = $5,472

Therefore, the product margin for Product O'Leary is $12,228 and the product margin for Product Cuban is $5,472.

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Suppose a system model has the following class diagram. Assume the class diagram is correct and you are converting it into a database design. The underlined attributes are identifiers for respective class objects.
27 The database design will have ......
a. a product table with Component Number as a foreign key
b. a component table with Product Number as a candidate key
c. a component table with Product Number as a foreign key
d. a component table with Vendor Number as a foreign key
e. a component table with only Component Number and Component Name as fields

Answers

Class diagrams are an important aspect of object-oriented modeling that can be used to depict the architecture of a system. Class diagrams provide a structural view of a system, including classes, interfaces, attributes, operations, and relationships between objects. When creating a database design, a class diagram can be converted.

Suppose a system model has the following class diagram. Assume the class diagram is correct and you are converting it into a database design. The underlined attributes are identifiers for respective class objects.The database design will have a component table with Product Number as a foreign key.The database design will also have a product table with Component Number as a foreign key, a component table with only Component Number and Component Name as fields, and a component table with Vendor Number as a foreign key. These database tables will be created based on the class diagram provided.In the provided class diagram, the Component class is associated with the Product class, which means that the Component class has a Product object. Because the Product class has an identifier, which is Product Number, the Component class will also have a Product Number as its identifier. When creating a database design, the foreign key that connects the Product table and the Component table will be the Product Number. As a result, the Component table will have Product Number as a foreign key.The product table will have Component Number as a foreign key because the Component class has a list of components in the provided class diagram.

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: As a professional engineer, you are required to demonstrates application of knowledge and understanding of the impact of engineering activity on the society, economy, industrial and physical environment, cultural and address issues by analysis and evaluation to manage risk. [20]

Answers

As a professional engineer, it is crucial to apply knowledge and understanding of how engineering activities impact society, the economy, the industrial and physical environment, and cultural aspects. This includes analyzing and evaluating these impacts to effectively address issues and manage risks associated with engineering projects.

Professional engineers have a responsibility to assess the consequences of their engineering activities across various domains. They need to consider the societal impact by ensuring their projects align with public needs, safety, and well-being. Evaluating the economic implications involves conducting cost-benefit analyses and assessing the project's contribution to the economy.

Furthermore, engineers must address the industrial and physical environment by mitigating adverse effects on natural resources, minimizing pollution, and promoting sustainability. Cultural considerations involve respecting cultural heritage, diversity, and inclusivity in engineering designs and implementations.

Through analysis and evaluation, engineers identify potential risks associated with their projects and implement strategies to manage and mitigate those risks effectively. By demonstrating these competencies, professional engineers ensure that their work aligns with societal values, promotes sustainable development, and effectively manages risks.

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