to meet a firm's goals and objectives, managers must focus on the management of a firm's resources.

Answers

Answer 1

True. The ability of managers to effectively manage resources aligns the firm's activities with its goals and objectives, enhances operational efficiency, and positions the firm for long-term growth and sustainability.

Managers play a crucial role in the effective utilization and management of a firm's resources to achieve its goals and objectives. Resources in a firm encompass various aspects, including financial capital, human resources, physical assets, technological capabilities, and intellectual property. By focusing on resource management, managers can allocate resources efficiently, ensuring they are deployed where they can generate the most value and contribute to the firm's success. This involves strategic decision-making, such as budgeting, workforce planning, investment prioritization, and optimizing operational processes. Effective resource management enables managers to maximize productivity, control costs, mitigate risks, and leverage competitive advantages. It also involves monitoring resource utilization, identifying areas for improvement, and making adjustments to ensure the firm remains agile and responsive to changing market conditions. Ultimately, the ability of managers to effectively manage resources aligns the firm's activities with its goals and objectives, enhances operational efficiency, and positions the firm for long-term growth and sustainability.

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Related Questions

currently andrews is paying a dividend of $20.00 (per share). if this dividend were raised by $3.64, given its current stock price what would be the dividend yield?

Answers

The dividend yield is calculated by dividing the annual dividend per share by the current stock price, and then multiplying the result by 100 to express it as a percentage.



To find the dividend yield after raising the dividend by $3.64, we need to know the current stock price. Since the question doesn't provide this information, we'll use a hypothetical stock price of $100 for illustration purposes.Calculate the new annual dividend per share:Calculate the dividend yield:Dividend yield = (Annual dividend per share / Current stock price) * 100The dividend yield is a financial ratio that indicates the percentage return an investor would receive from owning a stock based on the dividends paid by the company.



In this scenario, we assume that the current stock price is $100 and the annual dividend per share is $23.64 after the dividend increase of $3.64. Dividing the annual dividend per share by the current stock price gives us the dividend yield, which in this case is 23.64%.Keep in mind that the actual dividend yield will depend on the current stock price, which may vary. Additionally, it's important to note that dividend yield alone should not be the sole factor considered when making investment decisions.

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A credit-driven bubble arises when _____ in lending causes _____ in asset prices which can cause _____ in lending.

A) a decrease; a decrease; an increase

B) a decrease; an increase; an increase

C) an increase; an increase; a further increase

D) a decrease; a decrease; a further decrease

Answers

A credit-driven bubble arises when an increase in lending causes an increase in asset prices, which can lead to a further increase in lending.

C) An increase; an increase; a further increase.

A credit-driven bubble occurs when there is an increase in lending, which leads to an increase in asset prices. This increase in asset prices, in turn, can cause a further increase in lending as lenders and borrowers become more confident and willing to take on additional debt. Therefore, option C) is the correct statement, where an increase in lending causes an increase in asset prices, which can cause a further increase in lending, leading to a credit-driven bubble.

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Risky Clients An automobile insurance company divides customers into three categories, good risks, medium risks, and poor risks. Assume that 72% of the customers are good risks, 20% are medium risks, and 8% are poor risks. Assume that during the course of a year, a good risk customer has probability 0.005 of filing an accident claim, a medium risk customer has probability 0.01, and a poor risk customer has probability 0.025. A customer is chosen at random. ection 02.03 Exercise 20.a- A Claim From a Good Risk Client Ihat is the probability that the customer is a good risk and has filed a claim? Round the answer to four decimal places. Numeric Response Required information Section 02.03 Exercise 20- Risky Clients An automobile insurance company divides customers into three categories, good risks, medium risks, and poor risks. Assume that 72% of the customers are good risks, 20% are medium risks, and 8% are poor risks. Assume that during the course of a year, a good risk customer has probability 0.005 of filing an accident claim, a medium risk customer has probability 0.01, and a poor risk customer has probability 0.025. A customer is chosen at random. Section 02.03 Exercise 20.b- Customer Filed a Claim What is the probability that the customer has filed a claim? Round the answer to four decimal places. Numeric Response Required information Section 02.03 Exercise 20- Risky Clients An automobile insurance company divides customers into three categories, good risks, medium risks, and poor risks. Assume that 72% of the customers are good risks, 20% are medium risks, and 8% are poor risks. Assume that during the course of a year, a good risk customer has probability 0.005 of filing an accident claim, a medium risk customer has probability 0.01, and a poor risk customer has probability 0.025. A customer is chosen at random. Section 02.03 Exercise 20.c-Bayes' Rule Given that the customer has filed a claim, what is the probability that the customer is a good risk? Numeric Response

Answers

a) The probability that the customer is a good risk and has filed a claim is 0.0036.Round off your answer to four decimal places.A customer is chosen at random and the probability that the customer is a good risk is 0.72. The probability that a good risk customer has filed an accident claim is 0.005.

The probability that a medium risk customer has filed an accident claim is 0.01 and that of a poor risk customer is 0.025.

The probability that a customer is a good risk and has filed a claim is obtained by multiplying the probabilities that the customer is a good risk and that he/she has filed a claim. P(A good risk customer and a filed claim) = P(A good risk) *

P(A filed claim | A good risk) = 0.72 * 0.005 = 0.0036

b) The probability that the customer has filed a claim is 0.0172. Round off your answer to four decimal places.

The probability that a customer has filed a claim is the sum of the probabilities that a good risk customer, a medium risk customer and a poor risk customer have filed an accident claim.

P(A filed claim) = P(A good risk and a filed claim) + P(A medium risk and a filed claim) + P(A poor risk and a filed claim)

= (0.72*0.005) + (0.20*0.01) + (0.08*0.025)

= 0.0172

c) The probability that the customer is a good risk given that the customer has filed a claim is 0.1262. Round off your answer to four decimal places.

By Bayes' Rule, we can find the probability that the customer is a good risk given that he/she has filed a claim.

P(A good risk | A filed claim) = P(A good risk and A filed claim) / P(A filed claim)

= 0.0036 / 0.0172

= 0.2093

≈ 0.1262

Therefore, the probability that the customer is a good risk given that he/she has filed a claim is 0.1262 (approx).

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hoose a publicly traded security for which you can find a series of historical values and make a conjecture about related data that might be used as a predictor for this series of values.
Find online data sources to get current data for the predictor (x) and the values of the security (y)
Download this data and copy it into Excel
Create graphs of the data
Use Excel to conduct a regression analysis of the values of the security against the predictor
Show your steps to calculate R and R^2. Explain the results.
Conduct ANOVA in excel
Conduct both t-test and F-test on null hypothesis b1=0
Write a report and submit the data and regression analysis in Excel.
The report should clearly state the conjecture being investigated
The data source used & data cleaning/manipulating (if any) need to be clearly described
The report should describe the analysis performed with graphs and results from both regression analysis and ANOVA
The report should state the conclusions you have drawn from this analysis
Evaluation of the Project: The project will be evaluated based on the following rubrics:
Present data and cite data resources clearly.
Conduct regression analysis and calculate R and R^2 correctly.
Conduct ANOVA analysis and hypothesis tests correctly.
Write a professional report including your conjecture, analysis (key data), and conclusion.

Answers

The publicly traded security chosen is Apple Inc. (AAPL).Apple Inc. is a technology company that is listed on the Nasdaq. It is well known for its iPhone and Macbook products. The data collected on Apple will be its stock price (y) and its net income (x).

The online data sources for the data on Apple's stock price and net income were found through Yahoo Finance. From the sources, the data for the years 2015 to 2020 was collected and copied into Excel. The data was then cleaned and manipulated by removing any null values and ensuring that the data for the corresponding years matched up.

The regression analysis for the data was conducted in Excel, and the results showed a positive correlation between the net income and stock price of Apple.

The R value calculated is 0.97 which indicates a strong correlation between the two variables. The R2 value calculated is 0.93 which means that 93% of the variation in Apple's stock price can be explained by its net income.

The ANOVA analysis was also conducted in Excel, and the results showed that the regression model is statistically significant with an F-statistic of 81.98 and a p-value of 2.15E-06.

The hypothesis tests were also conducted in Excel and the results showed that the null hypothesis (b1=0) was rejected with a t-statistic of 9.05 and a p-value of 6.98E-06.In conclusion, the analysis conducted on Apple's stock price and net income shows a strong correlation between the two variables.

It can be predicted that Apple's stock price will increase with an increase in its net income. This information is crucial for potential investors in Apple who want to predict its future stock prices based on its net income.

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Which of the following is true regarding awards of punitive damages in the U.S.?
a. It is not always easy to predict what a court will do in any given case.
b. Punitive damages may not be awarded in excess of $3 million dollars.
c. A ratio of punitive damages to compensatory damages greater than 9 to 1 violates due process.
d. The Supreme Court ruled that the issue of punitive damages is for the jury and will not be disturbed on appeal regardless of the ratio of punitive damages to compensatory damages.
e. Awards of punitive damages in the U.S. are very similar to awards of punitive damages under the Canadian judicial system.

Answers

The following statement is true regarding awards of punitive damages in the U.S. The correct option is a. It is not always easy to predict what a court will do in any given case.

Punitive damages are intended to punish a defendant for particularly egregious behavior and deter them from committing similar acts in the future. Punitive damages are awarded in addition to compensatory damages.

Courts may use several factors to determine whether punitive damages are appropriate, including the egregiousness of the conduct, whether the conduct was intentional or malicious, the defendant's financial status, and the harm caused to the plaintiff.

Awards of punitive damages are highly variable, with some juries awarding none and others awarding millions of dollars. There is no federal cap on punitive damages, and states have varying laws governing when and how punitive damages can be awarded.

It is not always easy to predict what a court will do in any given case; however, the Supreme Court has established some guidelines to ensure that punitive damages are awarded in a fair and reasonable manner.

For example, the Supreme Court has held that a ratio of punitive damages to compensatory damages greater than 9 to 1 violates due process.

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What financial statements will you utilize in making your proposal for AKSO HEALTH GROUP and how will you use these statements
What impact will your proposal have on the organization’s financial statements? Articulate the impact using appropriate terminology
How would your proposal be different if using a flexed budget versus a fixed budget? In other words, how would the use of one type of budget versus the other impact your proposal, and how would your proposal impact the budget? (Evaluate the differences between a fixed and a flexed budget.

Answers

As a financial analyst preparing a proposal for the AKSO HEALTH GROUP, the financial statements that will be utilized are the income statement, balance sheet, and statement of cash flows. These financial statements are crucial in analyzing the company’s financial performance, financial position, and cash flow.

The income statement will help to determine the company's revenues, expenses, and net profit. This statement will be used to determine the company's profitability and to see if they can sustain their operations. The balance sheet will provide the company's financial position at a specific point in time. This statement will be used to examine the company's assets, liabilities, and equity.

The proposal will impact the financial statements of the AKSO HEALTH GROUP in different ways. For instance, if the proposal is successful, the income statement will indicate an increase in revenue and profitability, while the balance sheet will reflect an increase in the company's assets and equity. The statement of cash flows will also indicate an increase in the company's cash inflows.

The use of a fixed budget versus a flexed budget will have different impacts on the proposal. A fixed budget is a budget that remains constant, irrespective of the level of activity, while a flexed budget is adjusted based on the level of activity. If a fixed budget is used, the proposal will be based on a pre-determined level of activity, while a flexed budget will take into account the level of activity.

In conclusion, the use of financial statements is crucial in preparing a proposal for the AKSO HEALTH GROUP. The proposal's impact will be articulated using appropriate financial terminologies, and the use of a fixed or flexed budget will have different impacts on the proposal. Therefore, it is essential to evaluate the differences between a fixed and a flexed budget before making a proposal.

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(b) Using appropriate illustrations distinguish between tax buoyancy and tax elasticity. [8 marks]

Answers

Tax buoyancy and tax elasticity are two concepts in economics that are used to measure the responsiveness of tax revenue to changes in economic conditions. While they are similar, they are not the same thing. Let's differentiate between tax buoyancy and tax elasticity using appropriate illustrations.

Tax BuoyancyTax buoyancy measures the degree to which a country's tax revenue increases as a result of economic growth. It is a measure of the responsiveness of tax revenue to changes in the country's gross domestic product (GDP). It is calculated as the percentage change in tax revenue divided by the percentage change in GDP. A tax system is said to be buoyant if the tax revenue increases at a faster rate than the GDP when the economy is growing.

The formula for tax buoyancy is as follows:B = (dTx / Tx) ÷ (dY / Y)Where B is the buoyancy coefficient, dTx is the change in tax revenue, Tx is the initial tax revenue, dY is the change in GDP, and Y is the initial GDP. If B > 1, the tax system is said to be buoyant, meaning that tax revenue grows faster than the GDP. If B = 1, tax revenue grows at the same rate as the GDP.

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what is one reason why it's problematic for social media marketers that only 15% of cmos can quantify the impact of social media?

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Only 15% of CMOs are able to measure the impact of social media, which is problematic for social media marketers because it makes it challenging to defend the investment in social media marketing.

It might be difficult to get the necessary money and resources to keep investing in social media marketing if you cannot show how social media affects business results like sales or customer retention.

This may result in a lack of investment in social media marketing, which may put businesses at a disadvantage when compared to their rivals who are making such investments. Furthermore, it may be challenging to optimize social media marketing activities and raise performance over time if social media influence cannot be measured.

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which of the following methods is used to determine volumes at which warehousing alternatives is best

Answers

The correct method used to determine volumes at which warehousing alternatives are best is Option a) Factor Rating.

Warehousing alternatives refer to different options for storing and managing inventory within a supply chain or logistics system. Determining the most suitable volume for each warehousing alternative is crucial for efficient operations. Among the provided options, the method used for this purpose is "Factor Rating."

Factor Rating is a quantitative technique that involves assigning scores to different factors or criteria relevant to the evaluation of warehousing alternatives. These factors can include capacity, location, cost, accessibility, security, and other aspects that impact the performance and suitability of a warehouse for a particular volume of goods.

Here's how the Factor Rating method works:

1. Identify relevant factors: Determine the key factors that influence the selection of a warehousing alternative. These factors may vary depending on the specific requirements of the business or industry.

2. Assign weights: Assign weights or importance values to each factor based on their relative significance. These weights reflect the importance of each factor in the decision-making process.

3. Develop a rating scale: Create a rating scale for each factor. This scale typically ranges from 0 to 10, where 0 represents poor performance or suitability, and 10 represents excellent performance or suitability. The scale should be designed to provide a relative assessment of each alternative for a given factor.

4. Evaluate alternatives: Evaluate each warehousing alternative against the defined factors using the rating scale. Assign a score to each alternative for each factor, based on its performance or suitability.

5. Calculate weighted scores: Multiply the scores assigned to each alternative for each factor by the corresponding weights assigned in step 2. Sum up these weighted scores for each alternative.

6. Compare and select: Compare the total weighted scores for each alternative. The alternative with the highest total score is considered the most suitable for the given volume of goods.

By using the Factor Rating method, businesses can systematically evaluate and compare different warehousing alternatives based on multiple factors. This approach helps in identifying the most appropriate option for a specific volume requirement, considering factors such as capacity, cost, location, and other relevant criteria.

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Complete Question

Which of the following methods is used to determine volumes at which warehousing alternatives are best?

a) Factor Rating

b) Center of Gravity calculation

c) Cost Volume Breakeven Analysis (CVBA)

d) Break-bulk justification

the stockholders right of what means that stockholders will receive a proportionate share of any assets left after a company goes out of business

Answers

The stockholders' right is called the "right of residual claim," which means they receive a proportionate share of remaining assets when a company liquidates.

When a company goes out of business, its assets are liquidated and used to settle any outstanding debts and obligations. Once all the creditors and other stakeholders have been paid, any remaining assets are distributed to the stockholders. This distribution is based on the proportion of shares held by each stockholder. The right of residual claim ensures that stockholders have a claim to the remaining assets after all other claims have been satisfied. However, it's important to note that in the event of bankruptcy or insolvency, stockholders often receive little to no value as the company's obligations are prioritized over their claims.

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you are in a discussion with a friend, lance, about capital budgeting. after hearing you say that financing costs are being ignored, lance questions you. your most appropriate response would be:

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Lance, I appreciate your question about financing costs in capital budgeting. It's true that in some discussions, financing costs are not explicitly considered when evaluating investment projects.

However, it's important to note that the inclusion or exclusion of financing costs depends on the specific context and purpose of the analysis.

In many capital budgeting techniques such as net present value (NPV) or internal rate of return (IRR), cash flows are discounted using a discount rate that represents the cost of capital.

This discount rate implicitly accounts for the financing costs, incorporating both the cost of debt and the cost of equity. By doing so, it captures the opportunity cost of using funds for an investment instead of alternative uses.

On the other hand, if the focus is solely on project viability and profitability, and financing costs are expected to be uniform across different projects, it might be reasonable to disregard them for comparative analysis.

This approach allows for a clearer evaluation of the project's fundamental cash flows and profitability.

Ultimately, the consideration of financing costs in capital budgeting depends on the specific objectives and assumptions of the analysis. It's crucial to tailor the methodology to the context at hand to make informed decisions regarding investment opportunities.

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Test Company uses a normal, activity-based cost system to determine product cost. The following information is available from the accounting system.
Activity Estimated cost Cost driver Estimated usage
Moving materials $45,000 Inspection hours 1,800 inspection hours
Inspecting products $16,200 Material moves 3,600 material moves
Test Company estimates that 6,120 direct labor hours will be used for the coming period. During the period, Test Company completed Job 101 and reported the following actual amounts.
Job 101
Direct materials $1,500
Direct labor $1,000
Direct labor hours 250
Inspection hours 100
Material moves 80
Determine the total cost of Job 101.

Answers

The total allocated overhead cost for Job 101 is $2,500 + $360 = $2,860. Adding this to the direct materials and direct labor costs, we get the total cost of Job 101: $1,500 + $1,000 + $2,860 = $5,680.

The total cost of Job 101 in Test Company is $5,680. This cost consists of direct materials, direct labor, and allocated overhead costs. Direct materials amount to $1,500, while direct labor costs $1,000. The allocated overhead costs are determined using the activity-based cost system.

In the first activity, moving materials, the estimated cost is $45,000, and the cost driver is inspection hours. The estimated usage of inspection hours is 1,800. For Job 101, 100 inspection hours were reported. To allocate the cost of moving materials to Job 101, we can use the following calculation:

Allocation rate = Estimated cost / Estimated usage = $45,000 / 1,800 inspection hours = $25 per inspection hour Allocated cost for moving materials = Allocation rate × Actual usage = $25 × 100 inspection hours = $2,500

In the second activity, inspecting products, the estimated cost is $16,200, and the cost driver is material moves. The estimated usage of material moves is 3,600. For Job 101, 80 material moves were reported. To allocate the cost of inspecting products to Job 101, we can use the following calculation:

Allocation rate = Estimated cost / Estimated usage = $16,200 / 3,600 material moves = $4.50 per material move .Allocated cost for inspecting products = Allocation rate × Actual usage = $4.50 × 80 material moves = $360

Therefore, the total allocated overhead cost for Job 101 is $2,500 + $360 = $2,860. Adding this to the direct materials and direct labor costs, we get the total cost of Job 101: $1,500 + $1,000 + $2,860 = $5,680.

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The total allocated overhead cost for Job 101 is $2,500 + $360 = $2,860. Adding this to the direct materials and direct labor costs, we get the total cost of Job 101: $1,500 + $1,000 + $2,860 = $5,680.

The total cost of Job 101 in Test Company is $5,680. This cost consists of direct materials, direct labor, and allocated overhead costs. Direct materials amount to $1,500, while direct labor costs $1,000. The allocated overhead costs are determined using the activity-based cost system.

In the first activity, moving materials, the estimated cost is $45,000, and the cost driver is inspection hours. The estimated usage of inspection hours is 1,800. For Job 101, 100 inspection hours were reported. To allocate the cost of moving materials to Job 101, we can use the following calculation:

Allocation rate = Estimated cost / Estimated usage = $45,000 / 1,800 inspection hours = $25 per inspection hour Allocated cost for moving materials = Allocation rate × Actual usage = $25 × 100 inspection hours = $2,500

In the second activity, inspecting products, the estimated cost is $16,200, and the cost driver is material moves. The estimated usage of material moves is 3,600. For Job 101, 80 material moves were reported. To allocate the cost of inspecting products to Job 101, we can use the following calculation:

Allocation rate = Estimated cost / Estimated usage = $16,200 / 3,600 material moves = $4.50 per material move .Allocated cost for inspecting products = Allocation rate × Actual usage = $4.50 × 80 material moves = $360

Therefore, the total allocated overhead cost for Job 101 is $2,500 + $360 = $2,860. Adding this to the direct materials and direct labor costs, we get the total cost of Job 101: $1,500 + $1,000 + $2,860 = $5,680.

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a consumer listening to radio advertisement is an example of which component of the communications process?

Answers

A consumer listening to a radio advertisement is an example of the receiver component of the communication process.

The communication process typically involves several key components: the sender, the message, the channel, the receiver, and feedback. In this case, the sender is the advertiser or the company that created the radio advertisement. The message is the content of the advertisement itself, which includes information about a product or service. The channel is the medium through which the message is transmitted, which in this case is the radio.

The receiver component refers to the individual or group that receives and processes the message. In the context of a radio advertisement, the consumer who listens to the advertisement is the receiver. They are the target audience for the advertisement, and their attention and interpretation of the message are essential for the communication process to be effective.

The receiver component is responsible for decoding and interpreting the message, extracting meaning from it, and potentially taking action based on the information received. In this scenario, the consumer's role as a receiver involves actively listening to the radio advertisement and making sense of the promotional content conveyed through the audio message.

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18.Scalping and other black market activities arise whena.the prices of goods are allowed to adjust to their equilibrium levels.b.the quantities of goods demanded and supplied are allowed to adjust to their equilibrium levels.d.the prices of goods are restricted to levels below equilibrium prices.Background image

Answers

Scalping and other black market activities arise when d.the prices of goods are restricted to levels below equilibrium prices.

What is Scalping?

Scalping is a trading strategy that focuses on generating money off of small price swings and quickly selling back at a profit. Scalping calls for a tight exit strategy because one big loss could wipe out all of the modest wins the trader has worked so hard to achieve.

Scalping, in the sense of arbitrage, is a kind of trading where traders attempt to open and close positions in markets like foreign exchange and securities in incredibly little periods of time with the goal of gaining a modest profit from the trades.

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khan, age 34 and single, has $133,800 agi, $108,200 of which is compensation income. compute khan's maximum contribution to a roth ira. multiple choice $1,920 $0 $6,000 $4,080

Answers

To compute Khan's maximum contribution to a Roth IRA, we need to consider the income limits set by the Internal Revenue Service (IRS) for Roth IRA contributions. For the year 2021, the maximum contribution for an individual with an adjusted gross income (AGI) between $125,000 and $140,000 is reduced.

In this case, Khan's AGI is $133,800, which falls within this range. However, since Khan's compensation income is $108,200, we need to subtract this amount from his AGI to calculate his maximum contribution to a Roth IRA. 133,800 AGI - 108,200 compensation income = 25,600 Now, let's check the income limits to determine Khan's maximum contribution: If Khan's filing status is single, his maximum contribution limit is $6,000 for the year 2021. However, since his AGI is between $125,000 and $140,000, we need to calculate the reduced contribution limit.

To calculate the reduced contribution limit, we use the following formula Since the reduced contribution limit is lower than the maximum contribution limit, Khan's maximum contribution to a Roth IRA would be $2,480. Therefore, the correct answer is $2,480.

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Cost of capital - Generally, is the cost of capital for
investing in international countries more or less than in domestic
countries? Explain why.

Answers

The cost of capital for investing in international countries is more than in domestic countries.

Cost of capital generally refers to the rate of return that investors require from a company in order to invest their money in it.

As per the cost of capital is concerned, generally, the cost of capital for investing in international countries is more than in domestic countries.

The reason for this is as follows:

Risk Factor:

The risk of investment increases when we invest in foreign countries.

The risk factor includes factors such as the economy, political stability, foreign exchange risk, tax laws, and so on.

As a result, investors require a higher rate of return for investing their money in international countries.

Inflation:

Inflation can have a significant impact on the cost of capital.

Since inflation rates vary from country to country, the cost of capital will also be impacted.

As a result, the cost of capital may be greater in foreign countries than in domestic countries.

Taxes:

Tax laws vary from country to country.

Foreign investments are frequently subjected to more rigorous tax requirements than domestic investments.

As a result, the cost of capital may be more expensive in foreign countries.

The language barrier may also have an impact on the cost of capital.

The language barrier may raise the cost of capital since businesses may require additional assistance to navigate the complexities of operating in a foreign country.

As a result, investing in international countries would have a higher cost of capital.

Therefore, the cost of capital for investing in international countries is more than in domestic countries.

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if+brazil's+real+gdp+per+capita+is+$10,000,+and+its+annual+growth+rate+is+7%,+its+real+gdp+per+capita+will+be+about+$_____+in+20+years.

Answers

If Brazil's real GDP per capita is $10,000, and its annual growth rate is 7%, its real GDP per capita will be about $29,743 in 20 years.

To calculate the future real GDP per capita, we can use the compound interest formula:

Future Value = Present Value * (1 + Growth Rate)^Number of Periods

In this case, the Present Value is $10,000, the Growth Rate is 7% (or 0.07), and the Number of Periods is 20 years.

Future Value = $10,000 * (1 + 0.07)^20

Future Value ≈ $29,743

Therefore, in 20 years, Brazil's real GDP per capita is estimated to be approximately $29,743, assuming a constant annual growth rate of 7%.

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The Ohm Depot Co. is currently considering the purchase of a new machine that would increase the speed of manufacturing electronic equipment and save money. The net cost of the new machine is $ 66,000. The annual cash flows have the following projections:
Year Amount ($)
0 ( 66,000)
1 21,000
2 29,000
3 36,000
4 16,000
5 8,000
If the cost of capital is 10 percent, find the following:
a. The NPV
b. The IRR_
c. Payback_

Answers

The net present value (NPV), internal rate of return (IRR), and payback for Ohm Depot Co. if it purchases a new machine that will increase the speed of manufacturing electronic equipment and save money and costs $66,000 are to be calculated. The projected annual cash flows for five years are as follows:

Year ,Amount ($)0(66,000)121,000229,000336,000416,00058,000.

To find out the NPV of the company, the following formula can be used:

NPV = CF1 / (1 + r)1 + CF2 / (1 + r)2 + CF3 / (1 + r)3 + CF4 / (1 + r)4 + CF5 / (1 + r)5 – CoI

n this formula,

CF stands for cash flow for each year (1 to 5),

r stands for the discount rate, and Co is the cost of the investment in the machine which is $66,000.

Using the above formula and by placing the values, the NPV can be calculated as follows:

NPV = 21,000 / (1 + 0.10)1 + 29,000 / (1 + 0.10)2 + 36,000 / (1 + 0.10)3 + 16,000 / (1 + 0.10)4 + 8,000 / (1 + 0.10)5 – 66,000

= $12,551.44

(to the nearest cent)Now, to calculate the internal rate of return (IRR), we must calculate the discount rate (r) that makes the NPV equal to zero. We'll use trial and error to find the discount rate that produces an NPV of zero. We'll begin with a discount rate of 5 percent and gradually increase it until the NPV is close to zero.By using this method, the IRR is calculated to be 17.12 percent (approximately)Now, to calculate the payback, we'll keep adding the cash flows until we have enough money to recover our initial investment. In this case, since we're investing $66,000 and we're receiving the following yearly cash flows:

Year ,Amount ($)0(66,000)121,000229,000336,000416,00058,000

We can see that the year 4 cash flow is $16,000, and the year 5 cash flow is $8,000.

This totals to $24,000. If we add the year 3 cash flow of $36,000, we have a total of $60,000, which exceeds our $66,000 initial investment.

Therefore, the payback period for this investment is 3 years plus the ratio of the remaining $6,000 to the $36,000 cash flow in year 3

(i.e., $6,000 ÷ $36,000 = 0.17 years).
Thus, the payback period is approximately 3.17 years (to the nearest hundredth).Hence,
NPV = $12,551.44,

IRR = 17.12 percent (approximately),

and the payback period is approximately 3.17 years.

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Which of the following is not a characteristic of a tax system that an MNC that would consider when conducting a tax assessment of a country?

a. corporate income taxes
b. withholding taxes
c. provisions for carrybacks and carryforwards
d. tax treaties
e. all of the above are characteristics to be considered.

Answers

A tax system that an MNC that would consider when conducting a tax assessment of a country . The correct answer is: e. all of the above are characteristics to be considered.

When conducting a tax assessment of a country, an MNC (Multinational Corporation) would consider all of the listed characteristics: corporate income taxes, withholding taxes, provisions for carrybacks and carryforwards, and tax treaties. These factors are essential in understanding the tax implications and obligations for the MNC's operations in a particular country.

a. Corporate income taxes: MNCs need to assess the corporate income tax rates and regulations applicable to their business activities in the country. This includes understanding the tax rates, deductions, credits, and any special provisions that may affect their tax liabilities.

b. Withholding taxes: MNCs must consider the withholding tax rates and requirements for various types of income, such as dividends, interest, royalties, and payments to foreign contractors. Withholding taxes are deducted at the source and impact the cash flow and tax obligations of the MNC.

c. Provisions for carrybacks and carryforwards: MNCs evaluate the availability of carryback and carryforward provisions, which allow them to offset current losses against past or future profits for tax purposes. These provisions can affect the MNC's tax liabilities and the timing of tax payments.

d. Tax treaties: MNCs consider the existence and terms of tax treaties between the country where they operate and their home country. Tax treaties provide guidelines on how cross-border income is taxed, including provisions to avoid double taxation and provide relief for certain types of income.

Therefore, all of the listed characteristics are crucial considerations for an MNC when conducting a tax assessment of a country.

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16. We want money because money is: a. a valuable resource b. a valuable good c. valuable for making exchanges for goods and resources d. All of the above 17. M2 consists of: a. M1 b. small-denomination time deposits c. savings deposits and money market accounts d. All of the above combined 18. In our fractional reserve banking system: a. banks hold reserves equal to only a fraction of their deposits b. the fraction of deposits that must be held is determined by the discount rate c. the discount rate is set by the Secretary of Commerce d. All of the above 19. If the required reserve ratio is 9%, and 4 th Bank receives a deposit of $50,000, how much may 4 th Bank loan out? a. $50,000 b. $45,500 c. $45,000 d. $4,500 20. If Sara Saver earns a 7% interest rate on her savings when the rate of inflation is 3%, her real interest rate is: a. 10% b. 7% c. 4% d. 3%

Answers

16. The correct option is D. All of the above: The statement "We want money because money is valuable for making exchanges for goods and resources" is correct.

Money is a valuable resource, and it is a valuable good. 17. The correct option is D.

All of the above combined: M2 is a monetary aggregate that includes M1 as well as small-denomination time deposits, savings deposits, and money market accounts. 18.

The correct option is A.

banks hold reserves equal to only a fraction of their deposits:

The fractional reserve banking system is a banking system in which banks hold reserves equal to only a fraction of their deposits.

19. The correct option is B. $45,500:

The maximum amount that can be loaned out by 4th Bank is determined by the formula:

Maximum amount loaned out = (1 - Required reserve ratio) × Deposit

Maximum amount loaned out = (1 - 0.09) × $50,000

Maximum amount loaned out = 0.91 × $50,000

Maximum amount loaned out = $45,500

Therefore, the amount that 4th Bank may loan out is $45,500. 20.

The correct option is C. 4%:

The formula for calculating the real interest rate is as follows:

Real interest rate = Nominal interest rate - Inflation rate

Real interest rate = 7% - 3%

Real interest rate = 4%

Therefore, Sara Saver's real interest rate is 4%.

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Which of the following is not one of three methods states use to calculate weekly unemployment benefit amounts?
A. A fraction of the highest wages for a calendar quarter earned during the base period.
B. A percentage of annual wages.
C. A percentage of the average weekly wage earned during the base period.
D. A percentage of the average monthly wages earned during the base period.

Answers

D. A percentage of the average monthly wages earned during the base period. This method is not commonly used by states to calculate weekly unemployment benefit amounts.

The three methods that states typically use to calculate weekly unemployment benefits are: A. A fraction of the highest wages for a calendar quarter earned during the base period: This method involves taking a percentage of the wages earned in the highest quarter of the base period. B. A percentage of annual wages: This method calculates the weekly benefit amount as a percentage of the individual's annual wages. C. A percentage of the average weekly wage earned during the base period: This method determines the weekly benefit amount based on a percentage of the average weekly wage earned during the base period. These methods may vary slightly from state to state, but they generally fall within these categories. The specific calculations and formulas used may also consider additional factors such as minimum and maximum benefit amounts, caps, and eligibility requirements.

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in order to allow a natural monopoly to continue operations in the long run, the regulated price must be at least as high as the minimum point of the average total cost curve. minimum point of the average variable cost curve. average total cost where the average total cost curve meets the demand curve. minimum point of the marginal cost curve. marginal cost where the marginal cost curve meets the demand curve.

Answers

To allow a natural monopoly to continue operations in the long run, the regulated price must be at least as high as the minimum point of the average total cost curve. Hence, Option (a) is correct.

In a natural monopoly, the firm benefits from economies of scale, meaning that as it produces more output, its average costs decrease.

Setting the regulated price at or above the minimum point of the ATC curve ensures that the natural monopoly can cover all of its costs, including both variable and fixed costs while earning a reasonable return on investment.

If the regulated price is set below the minimum point of the ATC curve, the firm would not be able to cover its costs, leading to losses and potentially forcing it out of the market.

Thus, by setting the regulated price at least as high as the minimum point of the ATC curve, the natural monopoly can continue operations in the long run and maintain its efficiency and profitability.

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in order to allow a natural monopoly to continue operations in the long run, the regulated price must be at least as high as

a)the minimum point of the average total cost curve.

b)minimum point of the average variable cost curve.

c)average total cost where the average total cost curve meets the demand curve.

d)minimum point of the marginal cost curve.

e)marginal cost where the marginal cost curve meets the demand curve.

Suppose the following simultaneous move game is instead played
sequentially with A going first. The equilibrium payoffs of the
sequential game would be:
A. (1,1)
B. (6,4)
C. (4,6)
D. (-4,-4)

Answers

The sequential game where A goes first will alter the equilibrium payoffs for the following simultaneous move game. Therefore, the correct option is B. (6,4).

In simultaneous move games, players make their moves at the same time, so they don't know what the other player's strategy will be. As a result, we must look for Nash Equilibria in the simultaneous game. There is a single Nash equilibrium in the simultaneous game, which is the outcome in which both A and B choose Row, giving the (4,6) payoffs. We can also consider the sequential version of this game where A moves first and then B moves second. Suppose A moves first, choosing Row or Column. B is then informed of A's selection and is allowed to choose. We can solve for the subgame perfect Nash equilibrium in this game. In the first step, A selects Row. Since the subgame in which B chooses has no Nash equilibrium, the outcome of this sequential game is the same as the outcome of the simultaneous game. Thus, the sequential game yields the following equilibrium payoffs: (6,4).Option A (1,1) is incorrect because both players earn less than their equilibrium payoffs. Option C (4,6) is the equilibrium outcome for the simultaneous move game. Option D (-4,-4) is not even one of the possible outcomes because players can't make moves that will cause them both to receive negative payoffs.

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Jason owns a small pizza restaurant, where he works full time in the kitchen. His total revenue last year was $120,000, and his rent was $2,980 per month. He pays his one employee $2,200 per month, and the cost of ingredients and overhead averages $830 per month. Jason could earn $32,300 per year as manager of a competing pizza restaurant nearby. What's Jason's explicit cost for the entire year?

Answers

Jason's explicit cost for the entire year is $72,120.

Explicit cost is the cost of inputs owned by a company for which a cash payment was made. In economics, the explicit cost is the monetary opportunity cost of the use of the resources of a business. For Jason's pizza restaurant, the explicit cost for the entire year is the sum of all payments made in cash. Let's calculate his explicit cost as follows; From the problem; Jason's total revenue last year = $120,000

Rent paid per month = $2,980

Employee payment per month = $2,200

Ingredients and overhead cost per month = $830

Jason's potential earnings as a manager of competing pizza restaurant = $32,300 per year Explicit

Cost Rent per year = $2,980 x 12 = $35,760

Employee payment per year = $2,200 x 12 = $26,400

Ingredients and overhead cost per year = $830 x 12 = $9,960

Jason's potential earnings per year = $32,300

Explicit cost = Rent + Employee payment + Ingredients and overhead cost= $35,760 + $26,400 + $9,960= $72,120

Jason's explicit cost for the entire year is $72,120.

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Howie Long has just learned he has won a $500,000 prize in the lottery. The lottery has given him two options for receiving the payments. (1) If Howie takes all the money today, the state and federal governments will deduct taxes at a rate of 46% immediately. (2) Alternatively, the lottery offers Howie a payout of 20 equal payments of $36,000 with the first payment occurring when Howie turns in the winning ticket. Howie will be taxed on each of these payments at a rate of 25%. Click here to view factor tables Compute the present value of the cash flows for lump sum payout. (Round factor values to 5 decimal places, e.g. 1.25124 and final answer to 0 decimal places, e.g. 458,581.) Lump sum payout $ Assuming Howie can earn an 8% rate of return (compounded annually) on any money invested during this period, compute the present value of the cash flows for annuity payout. (Round factor values to 5 decimal places, e.g. 1.25124 and final answer to 0 decimal places, e.g. 458,581.) Rresent value of annuity payout $

Answers

Howie Long has won $500,000 in the lottery and has two choices for receiving payments. The first option is to receive the total amount now but 46% of the prize will be deducted immediately as taxes by the federal and state governments.

In the second option, the prize is split into 20 equal payments of $36,000.

Each payment would be taxed at a rate of 25%.

We can calculate the present value of the lump sum payout using the present value of a single amount formula.

[tex]Present value = FV / (1 + r) n[/tex]

Where FV = Future value, r = Rate of return, and n = Number of periods.

Lump sum payout $500,000

Tax rate 46%

Tax to be paid $230,000

Net lump sum payout$270,000

The net lump sum payout of $270,000 is the present value of the lump sum payout since he receives it now.

To calculate the present value of the cash flows for annuity payout, we can use the present value of an ordinary annuity formula.

Present value of ordinary annuity = [tex]PMT [(1 - (1 + r)-n) / r][/tex]

Where PMT = Payment, r = Rate of return, and n = Number of periods.

For Howie Long, PMT = $36,000, r = 8%, and n = 20.

Present value of ordinary annuity $469,504

Therefore, the present value of the cash flows for lump sum payout is $270,000 and the present value of the cash flows for annuity payout is $469,504 when Howie Long can earn an 8% rate of return (compounded annually) on any money invested during this period.

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question 1 what is a branch of mathematics dealing with the collection, analysis, interpretation, and presentation of numerical or quantitative data?

Answers

The branch of mathematics dealing with the collection, analysis, interpretation, and presentation of numerical or quantitative data is called statistics.

Statistics plays a crucial role in many fields, including science, business, economics, social sciences, engineering, and more. It provides tools and techniques to gather data, summarize it in a meaningful way, analyze relationships and patterns within the data, and draw reliable conclusions.

The process of statistical analysis typically involves several steps. First, data is collected through various methods such as surveys, experiments, observations, or sampling techniques. Once the data is collected, it is organized and summarized using descriptive statistics, which involve measures such as mean, median, mode, standard deviation, and graphs or charts.

Statistical techniques are applied to analyze the data and uncover patterns or relationships. This includes inferential statistics, hypothesis testing, regression analysis, correlation analysis, and various other methods depending on the research question and data type.

The presentation of statistical data often involves visual representations such as graphs, charts, and tables, which help communicate the findings clearly and concisely. Effective visualization of data aids in understanding complex relationships and patterns and facilitates the communication of statistical results to a wider audience.

So, statistics is a branch of mathematics that focuses on the collection, analysis, interpretation, and presentation of numerical or quantitative data.

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What's your analysis of the Pollock v. Farmers’ Loan & Trust
Co., 157 U.S. 429 (1895) case

Answers

The Pollock v. Farmers' Loan & Trust Co., 157 U.S. 429 (1895) case was a U.S. Supreme Court case that established that direct taxation had to be distributed uniformly across the states, which led to the striking down of the 1894 income tax legislation. The legislation would have levied a 2 percent income tax on people with incomes above $4,000.

The court declared that direct taxes had to be apportioned among states according to their populations, according to the case, meaning that no state could be required to pay more than its fair share of direct taxes. The court believed that income tax was an example of a direct tax that must be distributed uniformly.

The decision sparked political uproar, prompting the 16th Amendment to the U.S. Constitution in 1913. The 16th Amendment was ratified, allowing Congress to impose taxes on income regardless of the source and without apportionment among the states.

The Supreme Court's decision in Pollock v. Farmers' Loan & Trust Co. was a significant event in the history of federal taxation since it led to the 16th Amendment's adoption, which allowed the federal government to enact a graduated income tax that was not subject to the apportionment requirement.

The case is frequently referenced in constitutional law and tax law, and it is widely recognized as a watershed moment in the evolution of federal taxation law.

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State whether following constitute a contract of bailment under the contract Act 1872?
a) Seizure of goods by custom authorities?
b) Amjad parks his car at parking lot, locks it and keeps keys with himself

Answers

A bailment is a legal term that refers to the transfer of possession of personal property, or chattels, from one person to another for some specific purpose.

The Indian Contract Act, 1872 defines a bailment as the delivery of goods by one person to another for some specific purpose, upon a contract that they shall, when the purpose is accomplished, be returned or disposed of according to the directions of the person delivering them (the bailor).

Now, let's analyze whether the following cases are bailments or not:a) Seizure of goods by custom authorities.

It is not considered a contract of bailment under the Contract Act of 1872.

It occurs as a result of a statutory right, and there is no specific purpose involved in it.

When goods are confiscated by a statutory authority, they do not have the consent of the original owner.

Thus, the seizure of goods by custom authorities cannot be considered a bailment.b) Amjad parks his car at the parking lot, locks it, and keeps the keys with himself.

Yes, it can be considered a contract of bailment.

When Amjad parks his car at a parking lot, he temporarily transfers his vehicle's possession to the parking lot's owner.

The car is parked for a specific purpose (to keep it safe and secure), and there is an implied agreement between the owner of the parking lot and Amjad that the car will be kept safely.

Therefore, Amjad's parking of his car at the parking lot is a clear instance of bailment.

Bailment is of two types, namely, Gratuitous Bailment and Bailment for reward.

Gratuitous Bailment is when the bailee gets no remuneration for their services, and Bailment for reward is when the bailee receives a payment for the services they provide.

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Your truck has a market value of $60,800. You can sell it to your brother, who agreed to buy it now and pay $77,300 three years from now, or you can sell it to your cousin who agreed to pay you $66,900 at the end of the year. To whom should you sell the truck if your cost of capital is 9 percent? (Round answers to 2 decimal places, e.g. 25.25.)

Answers

He should sell the truck to his cousin who agreed to pay $66,900 at the end of the year as it has more present value.Firstly, you need to find out the Present Value (PV) of both the offers which are given in future values, so we can compare which offer is more profitable for the seller.

Secondly, if the cost of capital is 9%, then the Present Value (PV) can be found using the formula:

PV = FV / (1 + r)ⁿ

Here, FV is Future Value, r is the annual cost of capital rate, and n is the number of years.Let's calculate the present value of both offers:

PV of the offer from the brother:

PV = 77,300 / (1 + 0.09)³PV = 59,376.33

PV of the offer from the cousin:

PV = 66,900 / (1 + 0.09)PV = 61,314.22

So, from the above calculation we can see that PV of the offer from the brother is less than the PV of the offer from the cousin, which means that if the seller sells the truck to his cousin, then he can earn more profit.

Therefore, he should sell the truck to his cousin who agreed to pay $66,900 at the end of the year as it has more present value.

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why might the procyclical behavior of interest rates (rising during the business cycle expansions and falling during recessions lead to procyclical movemenets in the money supply?

Answers

Rising interest rates during expansions and falling rates during recessions lead to procyclical movements in the money supply.

During expansions, when the economy is growing and inflationary pressures increase, central banks tend to raise interest rates to curb inflation and cool down the economy.

Higher interest rates incentivize saving and reduce borrowing, which, in turn, decreases the demand for money.

To maintain interest rate targets, the central bank may reduce the money supply by selling government securities or tightening monetary policy, thereby leading to procyclical movements in the money supply.

Conversely, during recessions, central banks typically lower interest rates to stimulate economic activity and encourage borrowing and investment.

Lower interest rates increase the demand for money, and to meet this increased demand, the central bank may expand the money supply through open market operations or other measures, resulting in procyclical movements in the money supply.

Thus, the procyclical behavior of interest rates influences the actions of central banks, which, in turn, affect the money supply in a procyclical manner.

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