Topic 3: Identity Theft in 21st Century
Critically evaluate if identity theft has increased or decreased over the past 5 years. (5 Marks)
What factors can cause identity theft to rise? (5 Marks)
Explain why it is important to understand and be aware of identity theft. (5 Marks)
2500 - 3000 words

Answers

Answer 1

In the 21st century, the incidence of identity theft has become widespread. An individual's personal information can be stolen in a variety of ways, including through phishing emails, computer hacking, and physical theft of personal belongings. However, it is unclear whether or not identity theft has increased or decreased in the past five years.In recent years, there have been numerous high-profile data breaches that have exposed the personal information of millions of people.

One major factor is the increasing amount of personal information that is being stored online. As more and more people use the internet to conduct their personal and financial affairs, there is a greater risk of their personal information being stolen by hackers.Another factor that can contribute to the rise of identity theft is the increasing sophistication of cybercriminals. These individuals are becoming more skilled at stealing personal information and using it to commit fraud. In addition, the use of social engineering tactics, such as phishing emails and phone scams, is becoming more widespread, making it easier for criminals to trick people into revealing their personal information.It is important to understand and be aware of identity theft because it can have serious consequences for individuals.

When a person's identity is stolen, they may be subjected to financial losses, damage to their credit score, and other negative outcomes. In some cases, identity theft can even lead to legal problems if the thief uses the stolen identity to commit crimes. Being aware of the risks of identity theft and taking steps to protect personal information can help to mitigate these risks.

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Related Questions

mrs. stewart came in to your retail pharmacy and wants to know what aisle your acid reflux medications are? you should:

Answers

If Mrs. Stewart came to the retail pharmacy and wants to know what aisle your acid reflux medications are, the pharmacist should guide her to the relevant aisle where the medication is available.

A retail pharmacy is a pharmacy that operates in a retail store. This type of pharmacy is intended to serve customers directly. Retail pharmacies are usually located in drugstores, grocery stores, and big-box stores like Walmart and Target.

Acid reflux medication is a medicine that is used to alleviate the symptoms of acid reflux. It is available over the counter or by prescription and works by reducing the amount of acid in the stomach.

When Mrs. Stewart came in to the retail pharmacy and asked where the acid reflux medication is available, the pharmacist should guide her to the relevant aisle where the medication is available. Also, the pharmacist can ask Mrs. Stewart if she needs help choosing a specific medication for acid reflux symptoms, and the pharmacist can also provide additional information about the medication, including its potential side effects, proper dosage, and how to take it.

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Current Attempt in Progress Vilas Company is considering a capital investment of $192,700 in additional productive facilities. The new machinery is expected to have a useful life of 5 years with no salvage value. Depreciation is by the straight-line method. During the life of the investment, annual net income and net annual cash flows are expected to be $11,562 and $47,000, respectively. Vilas has a 12% cost of capital rate, which is the required rate of return on the investment. Click here to view PV table. (a) Compute the cash payback period. (Round answer to 1 decimal place, e.g. 10.5.) Cash payback period years Compute the annual rate of return on the proposed capital expenditure. (Round answer to 2 decimal places, e.g. 10.52%) Annual rate of return % (b) Using the discounted cash flow technique, compute the net present value. (If the net present value is negative, use either a negative sign preceding the number e.g. -45 or parentheses e.g. (45). Round answer for present value to 0 decimal places, e.g. 125. For calculation purposes, use 5 decimal places as displayed in the factor table provided.) Net present value

Answers

(a) The cash payback period is the length of time it takes for the initial investment to be recovered from the net annual cash flows. To calculate the cash payback period, we need to divide the initial investment by the net annual cash flow.

Cash Payback Period = Initial Investment / Net Annual Cash Flow

Cash Payback Period = $192,700 / $47,000

Cash Payback Period ≈ 4.1 years (rounded to 1 decimal place)

(b) The annual rate of return on the proposed capital expenditure is calculated using the following formula:

Annual Rate of Return = (Average Annual Net Income / Initial Investment) * 100

Annual Rate of Return = ($11,562 / $192,700) * 100

Annual Rate of Return ≈ 6.00% (rounded to 2 decimal places)

(c) The net present value (NPV) is calculated by discounting the net annual cash flows to their present value and subtracting the initial investment.

Net Present Value = PV of Cash Inflows - Initial Investment

The discount rate is the cost of capital rate, which is 12%.

Using the discounted cash flow technique, we can calculate the present value of the net annual cash flows using the provided factor table. The present value of each year's net annual cash flow is calculated by multiplying the net annual cash flow by the present value factor for that particular year.

Year 1:

PV of Net Cash Flow = Net Annual Cash Flow * Present Value Factor at 12% for Year 1

= $47,000 * 0.89286 (from the factor table)

Year 2:

PV of Net Cash Flow = Net Annual Cash Flow * Present Value Factor at 12% for Year 2

= $47,000 * 0.79719

Year 3:

PV of Net Cash Flow = Net Annual Cash Flow * Present Value Factor at 12% for Year 3

= $47,000 * 0.71178

Year 4:

PV of Net Cash Flow = Net Annual Cash Flow * Present Value Factor at 12% for Year 4

= $47,000 * 0.63552

Year 5:

PV of Net Cash Flow = Net Annual Cash Flow * Present Value Factor at 12% for Year 5

= $47,000 * 0.56743

Net Present Value = PV of Year 1 + PV of Year 2 + PV of Year 3 + PV of Year 4 + PV of Year 5 - Initial Investment

Net Present Value = ($47,000 * 0.89286) + ($47,000 * 0.79719) + ($47,000 * 0.71178) + ($47,000 * 0.63552) + ($47,000 * 0.56743) - $192,700

Net Present Value ≈ $2,607.32 (rounded to 0 decimal places)

Therefore, the net present value (NPV) of the investment is approximately $2,607.32.

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what do you think would happen to the expected return on the u.s. equity market index if investors perceive a decrease in the volatility of stock returns?

Answers

If investors perceive a decrease in the volatility of stock returns, the expected return on the U.S. equity market index will decrease as well. The equity market is one of the most critical segments of the financial market.

Investors look to make returns by buying and selling shares of companies that are traded on public stock exchanges. However, investing in the equity market is accompanied by the risk of losing money due to market volatility. In times of economic and political uncertainty, investors tend to be more cautious and reduce their investment in the equity market. The expected return on the U.S. equity market index is directly proportional to the risk involved. Therefore, as the volatility of stock returns increases, the expected return on the U.S. equity market index also increases. However, if investors perceive a decrease in the volatility of stock returns, they become more confident about their investments. As a result, the demand for stocks increases, which leads to a decrease in the expected return on the U.S. equity market index. In other words, the decrease in volatility is an indicator of stability and predictability, which reduces the risk premium required by investors to invest in the equity market.

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42. Please describe, in your own words, how the unemployment rate, inflation rate and GDP growth rate give us an overall perspective on the health of the economy. 43. Please share in a few words, why

Answers

Unemployment rate, inflation rate, and GDP growth rate are some of the most important indicators of economic health. These indicators help economists, policymakers, and investors understand the health of the economy.

Let's take a look at each one of these indicators:

Unemployment rate: The unemployment rate measures the percentage of people who are unemployed and actively looking for work. A high unemployment rate indicates that there is a shortage of jobs and that the economy is struggling. On the other hand, a low unemployment rate indicates that there are plenty of jobs available, and the economy is doing well.

Inflation rate: The inflation rate measures the rate at which prices are rising in an economy. A high inflation rate means that the prices of goods and services are increasing rapidly, which can lead to decreased purchasing power for consumers. A low inflation rate indicates that prices are stable, which is generally considered a positive sign for the economy.

GDP growth rate: The GDP growth rate measures the rate at which the economy is growing. A high GDP growth rate indicates that the economy is expanding, which can lead to increased job opportunities and higher wages. On the other hand, a low GDP growth rate can indicate that the economy is contracting, which can lead to job losses and lower wages.

In conclusion, these indicators are crucial for understanding the overall health of the economy. By analyzing these indicators, economists and policymakers can make informed decisions that can help improve the economy.

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What is the future value of a 5-year ordinary annuity with annual payments of $ 1,102. evaluated at a 14.86 percent interest rate? Enter your answer to the nearest $.01. Do not use $ or, signs in your answer. Enter your answer as a positive number.

Answers

The future value of the annuity is approximately $7,227.36.

The future value of a 5-year ordinary annuity with annual payments of $1,102, evaluated at a 14.86 percent interest rate, can be calculated using the future value of an ordinary annuity formula:

Future Value = Payment x [(1 + Interest Rate)^Number of Periods - 1] / Interest Rate
Plugging in the values:

Payment = $1,102
Interest Rate = 14.86% = 0.1486
Number of Periods = 5
Future Value = $1,102 x [(1 + 0.1486)^5 - 1] / 0.1486 ≈ $7,227.36

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Describe your biblical and theological rationale for why
diversity and inclusion truly matter in how we live as
Christians.

Answers

Diversity and inclusion are very important in how we live as Christians. This is due to the biblical and theological rationale behind it. A biblical rationale for diversity and inclusion is found in the Bible, which teaches us that every person is made in the image of God.

In Genesis 1:27, it is stated that “God created man in his own image, in the image of God he created him; male and female he created them.” This means that every person, regardless of their race, gender, or ethnicity, has inherent worth and value because they reflect God's image. Furthermore, the Bible teaches us that we are all part of the body of Christ, and as such, we all have a unique role to play. In 1 Corinthians 12:12-14, it states, “For just as the body is one and has many members, and all the members of the body, though many, are one body, so it is with Christ.

For in one Spirit we were all baptized into one body—Jews or Greeks, slaves or free—and all were made to drink of one Spirit. For the body does not consist of one member but of many.” Theological rationale for diversity and inclusion is also present in the Bible. God's love is for all of humanity and the diversity of people should be celebrated as each individual can offer something unique in their own right. Christians are called to love their neighbors as themselves, regardless of their differences.

It is only through diversity and inclusion that the Church can truly be reflective of God's love for all humanity, and function as a cohesive body in which all people are able to fully contribute. Therefore, diversity and inclusion truly matter in how we live as Christians, for the glory of God.

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On January 1, 2019, ABC Co. took out a four-year, $400,000 loan from the bank. The loan is payable in equal annual installments. How should this loan be reported on a classified balance sheet as at January 1, 2019? Select one: a. $300,000 current liability; $100,000 long-term liability b. $100,000 current liability; $300,000 long-term liability c. $400,000 current liability. d. $400,000 long-term liability

Answers

b. $100,000 current liability; $300,000 long-term liability.

ABC Co. took out a four-year, $400,000 loan from the bank. The loan is payable in equal annual installments. How should this loan be reported on a classified balance sheet as at January 1, 2019?Answer: b. $100,000 current liability; $300,000 long-term liabilityThe loan is payable in equal annual installments, this implies that there is a part of the loan that is due within the next 12 months while the other part will be due beyond the next 12 months. As a result, it should be reported as a current liability and a long-term liability. The short-term component will be reflected as a current liability while the long-term component will be reflected as a long-term liability on the balance sheet. So, the loan should be reported as follows:$100,000 should be classified as current liability $300,000 should be classified as long-term liability.

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Bank Debit Memo #CB-4732 Dated February 6, 2019 From Capital Bank: Cheque #454 for $588.50 from AIM International for invoice #3084 was returned as NSF. The bank charged $25.00 as an NSF fee. Create invoice #3120 to record the returned cheque and NSF charges. No taxes are charged on these amounts. Invoice total $613.50. Terms: Due on Receipt. Update customer record with new terms.

Answers

To record the returned cheque and NSF charges, an invoice numbered 3120 should be created. The invoice total should be $613.50, including the NSF fee of $25.00.

The terms for the invoice should be set as "Due on Receipt." Additionally, the customer's record should be updated to reflect the new terms. In response to Bank Debit Memo #CB-4732 dated February 6, 2019, from Capital Bank regarding the returned cheque #454 for $588.50 issued by AIM International for invoice #3084, an invoice #3120 should be generated to record the returned cheque and NSF charges. The invoice total should include the original amount of the cheque ($588.50) and the NSF fee ($25.00), totaling $613.50. As specified, no taxes are charged on these amounts. The terms for the invoice should be set as "Due on Receipt," indicating that payment is expected immediately upon receipt of the invoice. Furthermore, it is necessary to update the customer's record to reflect the new terms, ensuring accurate and up-to-date information is maintained for future transactions.

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suppose you write one texas instruments august 80 call contract quoted at $6. if, at expiration, the price of a share of texas instruments stock is $79, your profit would be _________.

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If you write one Texas Instruments August 80 call contract quoted at $6, the profit made at the expiration when the price of a share of Texas Instruments stock is $79 is $5.

If you write one Texas Instruments August 80 call contract quoted at $6, the profit made at the expiration when the price of a share of Texas Instruments stock is $79 is $5. The call option is a financial agreement between two parties where the holder has the right but not the obligation to purchase the underlying asset at a predetermined price at a specific period while the writer of the contract is obligated to sell the asset when the holder wants to exercise the contract.An option is referred to as an in-the-money option if the underlying asset's price is above the strike price at the expiration of the option. Also, the option is an out-of-the-money option if the underlying asset's price is below the strike price at the expiration of the option.Suppose an investor sells (writes) one Texas Instruments August 80 call contract quoted at $6. It means that the investor will earn a premium of $6 per share sold, with the strike price of $80 and an expiration in August. The investor is bearish about the Texas Instruments stock and hopes that the share price will drop before the expiration date.The potential profit that can be made depends on the stock's closing price at the expiration date. If the share price is above the strike price of $80, the option is referred to as being in-the-money. On the other hand, if the stock price is below the strike price, the option is referred to as out-of-the-money.Using the example, suppose the price of a share of Texas Instruments stock is $79 at expiration. The option is considered to be out-of-the-money since it is below the strike price of $80. Therefore, the option is worthless, and the writer will keep the premium received from selling the option, which is $6. Hence, the profit made from the transaction is $6 (premium). Therefore, the profit made at the expiration when the price of a share of Texas Instruments stock is $79 is $5.

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In an operational setting, the labor used to produce a product is called a: A transforming resource B transformed resource C output D) material good

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The labor used to produce a product in an operational setting is called a transforming resource that is option no A.

A transforming resource refers to the input or factor of production that is involved in the transformation process to convert inputs into desired outputs. Labor, in the context of operations management, is one of the transforming resources. It includes the physical and mental efforts of workers involved in the production process.

Labor plays a crucial role in the production of goods and services. It encompasses the skills, knowledge, and expertise of individuals employed to perform specific tasks and activities. Labor is responsible for operating machinery, assembling components, providing services, and carrying out various production-related activities.

Unlike transformed resources, which are the inputs that are transformed or converted during the production process, labor is an active element that contributes to the transformation of inputs into outputs. Transformed resources refer to materials, components, or information that are processed, combined, or modified to create the final product.

Therefore, labor is classified as a transforming resource because it plays a vital role in the conversion or transformation of inputs into desired outputs in an operational setting.

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: A company working at 90% capacity is producing 13,500 units per year. It follows flexible budget method. The following figures are taken from its budget. Particulars 90% 100% Sales 15,00,000 16,00,000 Fixed 3,00,500 3,00,600 Semi-fixed costs 97,500 1,00,500 variable costs 1,45,000 1,49,500 Number of units 13,500 15,000 The cost of Material and labour is fixed per unit. Margin of profit 10%. From the above particulars suggest: (a) the differential cost when production is 1500 units and the capacity is increased to 100% and (b) the export price of 1500 units assuming that the foreign prices are very low when compared to domestic prices.

Answers

To calculate the differential cost when production is increased to 100% capacity (15,000 units), we need to consider the difference in costs between operating at 90% and 100% capacity.

The differential costs can be calculated as follows: Fixed Costs: Differential fixed costs = 100% fixed costs - 90% fixed costs Differential fixed costs = Rs. 3,00,600 - Rs. 3,00,500 Differential fixed costs = Rs. 100Therefore, the differential cost when production is increased to 100% capacity is the sum of the differential fixed costs, differential semi-fixed costs, and differential variable costs: Differential cost = Rs. 100 + Rs. 3,000 + Rs. 4,500 Differential cost = Rs. 7,600.

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LOGISTIC MANAGEMENT
Question 1 (a)
You are selected to be part of the team in the Raju’s Hill Strawberry Farm located in Cameron Highlands.
(a) Examine the logistics activities throughout the supply chain from raw materials to end user.
[25 marks]

Answers

Logistics activities are an essential part of the supply chain. This refers to the process of planning, implementing, and controlling the efficient, cost-effective flow and storage of goods, services, and related information from the point of origin to the point of consumption to meet customer requirements.

Logistics activities are an essential part of the supply chain. This refers to the process of planning, implementing, and controlling the efficient, cost-effective flow and storage of goods, services, and related information from the point of origin to the point of consumption to meet customer requirements. As a member of the team at Raju’s Hill Strawberry Farm, it is important to examine the logistics activities throughout the supply chain from raw materials to end-user.Raw Materials:In the case of Raju’s Hill Strawberry Farm, raw materials would include seeds, fertilizers, equipment, and other supplies needed to cultivate the strawberries. Proper planning and coordination would be required to ensure that these materials are available when needed and are of good quality. This will help to ensure that the strawberries produced are of high quality and meet customer expectations.Production:In the production stage, it is important to ensure that the necessary equipment and labor are available and utilized efficiently. Proper planning is essential to ensure that the strawberries are produced in a timely and cost-effective manner.Storage:Once the strawberries are harvested, proper storage facilities must be available to keep them fresh until they are transported to the end-user. Proper storage facilities should be designed and equipped to maintain the required temperature, humidity, and ventilation.Transportation:Transportation is a critical part of the supply chain. The strawberries must be transported from the farm to the end-user in a safe and efficient manner. Proper transportation planning will help to ensure that the strawberries arrive at their destination in good condition and on time.Distribution:Finally, the distribution of the strawberries must be coordinated to ensure that they reach the end-user in a timely and cost-effective manner. This will require proper planning and coordination to ensure that the strawberries are delivered to the right location at the right time and in the right quantity.In conclusion, efficient logistics activities throughout the supply chain are essential for the success of Raju’s Hill Strawberry Farm. Proper planning, coordination, and execution of logistics activities from raw materials to end-user are necessary to ensure that the strawberries produced are of high quality, meet customer expectations, and are delivered in a timely and cost-effective manner.

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Independent Practice: (revising a complaint letter) -- The following complaint letter does not abide by complaint letter writing guidelines. Rewrite it fully, applying proper complaint letter format and content requirements. Hey you! It is very unfortunate that I had to write this letter to complain about the laptop I bought from your computer retail sTore last week. The laptop is not working, NOT EVEN SWITCHING ON and has me problems, as I could not turn in my assignments on time!! What a loss of the money: $2000!!! I guess you and he are going to regret as I will take this further to the court to sue you. Simply put, from the end, either return me the money or give me another laptop No regards, Angry Mike SUBMISSION DUE DATE: SUNDAY, NOVEMBER 21, 2021

Answers

To resolve this issue, I request that you either return the money I spent on the laptop or provide me with a new laptop. I am confident that you will resolve this issue promptly and satisfactorily.

Dear Sir/Madam, I am writing to complain about a laptop I purchased from your computer retail store last week. Unfortunately, the laptop is not functioning properly, and it is not even switching on. This has caused me many problems, and I have been unable to submit my assignments on time. It is frustrating that I spent $2000 on a laptop that is not working correctly.  If you fail to do so, I will have no choice but to take legal action against you. I hope we can resolve this matter quickly and efficiently. Thank you for your time and attention to this matter. Sincerely, [Your Name].

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) A consumer lives for two periods. His current income is Y₁ = 100, and his income next period is Yt+1 = 121. Suppose the real interest rate is 10%. Assume he has the log utility function. Assume he has the log utility function and B = 1. U = log Ct + Blog Ct+1 a) Suppose the consumer faces a no-borrowing constraint. That is, he can only save. Under the no-borrowing constraint, what is the Euler equation, the optimal consumption Ct, Ct+1? Plot your solution on the new intertemporal budget constraint along with the no-borrowing constraint

Answers

Under the no-borrowing constraint, the consumer can only save, meaning he cannot consume more than his current income.

To find the optimal consumption levels, we can use the Euler equation, which equates the marginal utility of consumption in the current period to the discounted marginal utility of consumption in the next period.

Given the log utility function U = log(Ct) + B log(Ct+1) and the no-borrowing constraint, the Euler equation can be expressed as:

1/Ct = (1 + r) * 1/Ct+1

where r is the real interest rate.

Substituting the given values, the equation becomes:

1/Ct = (1 + 0.10) * 1/Ct+1

Simplifying further, we get:

Ct+1 = (1.10) * Ct

Now, let's solve for optimal consumption levels Ct and Ct+1. Since the consumer cannot borrow, he can only consume his current income in the first period (Ct = Y₁ = 100). Using the equation Ct+1 = (1.10) * Ct, we can calculate the optimal consumption in the second period:

Ct+1 = (1.10) * 100 = 110

Plotting this on the intertemporal budget constraint, we see that the consumer's consumption in the first period is 100, and in the second period is 110, given the no-borrowing constraint. The budget constraint represents the combinations of current and future consumption that the consumer can afford, and the no-borrowing constraint restricts the consumer's choices to points on or below the 45-degree line. The optimal consumption point lies on the budget constraint line and is determined by the Euler equation and the given interest rate.

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4- How many months will it take to pay off a $705 debt, with monthly payments of $25 at the end of each month, if the interest rate is 15%, compounded monthly? 12

Make sure that you are drawing the Cash Flow Diagrams as well as listing out the factors used, then the inputs to those factors. answ 35 months

Answers

The $705 debt with $25 monthly payments and a 15% monthly compounded interest rate will be paid off in approximately 35 months, considering the cash flow diagram and relevant factors.

To determine the number of months needed to pay off the debt, we can use the formula for the number of periods in an annuity. In this case, the debt is the present value (PV), the monthly payment is the payment amount (PMT), and the interest rate is the periodic interest rate (r). By substituting these values into the formula and solving for the number of periods (n), we find that it will take approximately 35 months to pay off the debt.

The cash flow diagram represents the inflows and outflows of cash over time. In this scenario, there is an initial cash outflow of $705 (representing the debt) and subsequent cash inflows of $25 (representing the monthly payments) at the end of each month. By considering these cash flows and the impact of compounding interest at a rate of 15% per month, we can determine the time required to fully repay the debt, which is approximately 35 months.

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Bernanke warns against meddling with Fed Testifying on Capitol Hill, Fed chairman Bernanke warned that if Congress limits the Fed's independence, financial markets will send interest rates higher. Source: The Independent, July 22, 2009 How might limiting the Fed's independence make interest rates rise? Limiting the Fed's independence could result in O A. a Congressional bias toward greater government debt, which increases the demand for loanable funds and raises the real interest rate O B. a decrease in personal saving, which decreases the supply of loanable funds and raises the real interest rate OC. a Congressional bias toward persistently increasing money growth to increase real GDP growth, resulting in higher inflation and higher interest rates in the long run OD. greater business investment, which increases the demand for loanable funds and raises the real interest rate

Answers

Limiting the Fed's independence could result in a Congressional bias toward greater government debt, which increases the demand for loanable funds and raises the real interest rate.

When the Fed's independence is limited, Congress may have more influence over monetary policy decisions. In such a scenario, there could be a tendency for Congress to prioritize policies that result in greater government spending and higher levels of debt. This increased government borrowing leads to an increased demand for loanable funds from the financial markets.

As the government competes with other borrowers for funds, the increased demand for loanable funds puts upward pressure on interest rates. This is because lenders demand higher interest rates to compensate for the perceived risk associated with lending to the government. Therefore, limiting the Fed's independence and allowing greater influence from Congress may result in higher interest rates.

Option A correctly captures this relationship by highlighting the potential Congressional bias toward greater government debt, which increases the demand for loanable funds and raises the real interest rate. The other options (B, C, and D) are not directly related to the impact of limiting the Fed's independence on interest rates.

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in the audit of accounts payable, an auditor's procedures will most likely focus primarily on management's assertion about account balances of
1. existence.
2. completeness.
3. valuation and allocation.
4. classification and understandability.

Answers

In the audit of accounts payable, an auditor's procedures will most likely focus primarily on management's assertion about account balances of existence, completeness, valuation and allocation, and classification and understandability. The correct answer is option a.

Existence refers to whether the accounts payable balances actually exist and are valid. To test for existence, an auditor may examine purchase orders, invoices, and other documentation to confirm that the goods or services were actually received and that the amounts owed are accurate.  Completeness refers to whether all liabilities related to accounts payable have been recorded and that no amounts have been omitted. To test for completeness, an auditor may examine vendor statements, reconciliations, and other documentation to ensure that all liabilities have been recorded.

Valuation and allocation refer to whether the accounts payable balances have been appropriately valued and allocated to the correct periods. To test for valuation and allocation, an auditor may examine the company's accounting policies, such as the use of discounts, accruals, and other adjustments, to ensure that the accounts payable balances have been appropriately valued and allocated.

Classification and understandability refer to whether the accounts payable balances have been properly classified and presented in the financial statements. To test for classification and understandability, an auditor may examine the company's financial statements and disclosures to ensure that the accounts payable balances have been properly classified and presented in accordance with the relevant accounting standards.

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Question The following information is taken from the financial press concerning the euro spot and forward rates: Currency Spot One Month Forward Three Months Forward Canada $ 1.4630-1.4640 0.30-0.20c

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The information provided in the financial press indicates the following spot and forward rates for the euro against the Canadian dollar:

Currency:

Euro (EUR)

Spot Rate:

1 Euro = $1.4630 - $1.4640 Canadian dollars

One Month Forward Rate:

1 Euro = $0.30 - $0.20 Canadian dollars

Three Months Forward Rate:

1 Euro = C (not specified in the question)

It's important to note that the three-month forward rate for the euro against the Canadian dollar is not provided in the given information.

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Gilden Company identifies the following items for possible inclusion when taking a physical inventory at the end of the period. Indicate whether each item should be included or excluded in the inventory count. (a) Goods shipped on consignment by Gilden to another company. (b) Goods sold but held for customer pickup. (c) Goods purchased FOB destination have been received. (d) If in c) the appropriate company paid the freight costs, would the freight costs be included or excluded in the cost of inventory for Gilden Co.? (e) Goods in transit from a supplier shipped FOB destination but not yet received. (f) Goods sold to a customer FOB shipping point which were shipped but not yet received by the customer. Ex 2 In its first month of operations, Walden Company made three purchases of identical merchandise in the following sequence: (1) 200 units at $6, (2) 500 units at $8, (3) 300 at $9. If the company uses the periodic inventory system and there are 390 units on hand at the end of the period, what is the amount of the ending inventory and the resulting cost of merchandise sold under the FIFO system? the LIFO system? the Weighted-Average system? Periodic System Ending Inv. CMS FIFO LIFO Weighted Average Ex 3 The management of Clements Co. is considering the effects of various inventory-costing methods on its financial statements and its tax expense. Assuming that the price the company pays for Inventory is increasing, which method will: (a) provide the highest net income? (b) provide the highest ending inventory? (c) result in the lowest income tax expense? (d) result in the most stable earnings over a number of years? (e) be used for the financial statements if LIFO is used on the tax return? Ex 4 Ally Appliance Center accumulates the following cost and market data for their Ending Inventories as of the last day of the period. Inventory Categories COST MARKET Cameras $12,000 $12,100 Camcorders 9,700 9,500 Computers 14,000 12,800 Compute the lower-of-cost-or-market (LCM) valuation for the company's Total Inventory.

Answers

The inventory count will include goods sold but held for customer pickup and goods purchased FOB destination that have been received.

(a) Goods shipped on consignment by Gilden to another company: Excluded from the inventory count because they are owned by another company.(b) Goods sold but held for customer pickup: Included in the inventory count because the customer has not received them yet. (c) Goods purchased FOB destination have been received: Included in the inventory count because Gilden now owns them. (d) If in c) the appropriate company paid the freight costs, would the freight costs be included or excluded in the cost of inventory for Gilden Co.?: Included in the cost of inventory because the items are FOB destination. (e) Goods in transit from a supplier shipped FOB destination but not yet received: Excluded from the inventory count because they are not yet owned by Gilden. (f) Goods sold to a customer FOB shipping point which were shipped but not yet received by the customer: Excluded from the inventory count because the customer owns them. Therefore, the inventory count will include goods sold but held for customer pickup and goods purchased FOB destination that have been received.

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WHY DO ACTIVISTS BELIEVE THE ECONOMY'S SELF CORRECTING MECHANISM
IS SLOW? 20 marks.

Answers

Activists believe that the economy's self-correcting mechanism is slow due to factors such as rigidities, market failures, and inadequate policy responses.

The slow self-correcting mechanism of the economy is a view held by activists who argue that market forces alone are insufficient to ensure a swift recovery from economic downturns or to address structural issues. They point out that various factors contribute to this sluggishness. For instance, rigidities in labor markets, such as minimum wage laws or high levels of employment protection, can impede quick adjustments in employment and wages, delaying the restoration of equilibrium. Additionally, market failures, such as imperfect information or externalities, can disrupt the efficient functioning of markets and hinder self-correction. Moreover, activists argue that inadequate policy responses can further prolong the self-correction process. In their view, policy interventions, such as austerity measures or insufficient fiscal stimulus during recessions, can exacerbate economic downturns and hinder recovery. They advocate for proactive government policies, including fiscal stimulus, targeted regulations, and social safety nets, to address market failures, reduce inequalities, and promote a more efficient and equitable self-correction mechanism.

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The Board of Governors of the Federal Reserve does each of the following except: sit on the Federal Open market Committee. serve on the Board at the pleasure of the President, who can make individual governors resign at any time. carry out monetary policy. O raise and lower reserve requirements.

Answers

The Board of Governors of the Federal Reserve does each of the following except: "serve on the Board at pleasure of President, who can make individual governors resign at any time." So correct option is (a).

The Federal Reserve, often referred to as the Fed, is the central banking system of the United States. It is an independent entity established by the U.S. Congress in 1913 to promote stability, flexibility, and strength in the country's monetary and financial systems. The Federal Reserve's primary responsibilities include conducting monetary policy, supervising and regulating banks and financial institutions, maintaining the stability of the financial system, and providing certain financial services to banks and the government. It plays a crucial role in influencing interest rates, managing inflation, and promoting economic stability.

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Show how you could present the GoFundMe project from this class on your resume
It's like, how can i present the project on my resume.
Can you write anything. I need it right now on my test. If you can write a comment, I need in ten minutes..

Answers

The GoFundMe project can showcase your ability to work in a team, take initiative, communicate effectively, and make a positive impact on society.

GoFundMe is an online fundraising platform that enables individuals and organizations to raise money for personal and social causes. In your resume, you can present your participation in the GoFundMe project to illustrate your teamwork, leadership, and social skills.

The GoFundMe project was a team effort that involved collaboration, coordination, and communication. To present the project on your resume, you should highlight your role, responsibilities, and achievements. Here's how you could present the project on your resume:

•GoFundMe Project Team Member: Participated in a team project that raised over $10,000 for charity through crowdfunding platform GoFundMe.

Collaborated with a team of 10 members to design, plan, and execute a successful fundraising campaign that included creating a compelling story, setting a goal, sharing the campaign on social media, and engaging with donors.• Coordinated with charity representatives to ensure that the funds were transferred securely and transparently, and that the donors were acknowledged and thanked.

• Communicated regularly with team members to provide updates, feedback, and support, and to ensure that the project was progressing smoothly.

• Demonstrated leadership skills by taking on additional responsibilities, such as creating visual content, managing the project timeline, and resolving conflicts.

• Showed social awareness and responsibility by contributing to a cause that supports underprivileged children in developing countries.

Overall, the GoFundMe project can showcase your ability to work in a team, take initiative, communicate effectively, and make a positive impact on society.

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When it comes to measuring exercise motivation, there is an exercise motivation inventory that is comprised of ______ sources of exercise motivation
a.6
b. 8 c. 10
d. 12
In the Stages of Change Theory, which stage is defined as "after a period of 6 months, there is now less risk that people will quit the new behavior. a. Termination b. Action
c. Maintenance
d. Preparation

Answers

The exercise motivation inventory is comprised of 10 sources of exercise motivation. In the Stages of Change Theory, the stage defined as "after a period of 6 months, there is now less risk that people will quit the new behavior" is the Maintenance stage.

The exercise motivation inventory is a tool used to measure the various sources of motivation individuals may have when it comes to exercise. These sources can include intrinsic factors such as enjoyment, satisfaction, and personal challenge, as well as extrinsic factors like social recognition, weight management, and health improvement. The inventory helps to assess the relative importance of these different sources in motivating individuals to engage in regular exercise. Therefore, the correct answer is option c. 10 sources. The Stages of Change Theory, also known as the Transtheoretical Model, describes the process individuals go through when making behavioral changes. It consists of several stages: Precontemplation, Contemplation, Preparation, Action, and Maintenance. The Maintenance stage is reached after a period of 6 months, during which individuals have successfully adopted the new behavior and are working to sustain it in the long term. At this stage, the risk of relapse decreases, and individuals have integrated the behavior change into their lifestyle. Thus, the correct answer is option c. Maintenance.

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2- COVID-19 pandemic has stricken the globe with a major negative impact on world’s economy, global health and overall wellbeing of human population. Nations across the globe more or less strived to take strict measures to control the spread of this pandemic. Consequently, global states had to inflict some restrictive strategies in the
form of travel restrictions and national crisis management programs which affected the lives of millions of people. What international health laws/ acts/ concepts warrant these regional and international control mechanisms making these apparently restrictive measures fairly legitimate for the sake of protecting global health and
overall wellbeing? (Minimum 1500 words- 35 Marks)

Answers

COVID-19 pandemic has greatly impacted global economy, health, and overall human wellbeing. Therefore, nations have implemented stringent measures to control the spread of the pandemic, including travel restrictions and national crisis management programs, affecting millions of people.

However, these measures are justifiable under international health laws, acts, and concepts.The World Health Organization (WHO) is responsible for creating and implementing international health regulations to control and prevent the spread of pandemics. The International Health Regulations (IHR) of 2005 obligate countries to report certain diseases to the WHO. By doing so, countries can receive technical assistance from WHO, which may prevent a pandemic from occurring. During the COVID-19 pandemic, the IHR helped countries collaborate and coordinate their responses.The Global Health Security Agenda (GHSA) is another program established to prevent infectious disease threats, such as COVID-19. The GHSA focuses on preventing and containing the spread of infectious diseases through partnerships and multi-sectoral collaboration. The GHSA aims to strengthen health systems, surveillance, and laboratory capacities, among other things.Furthermore, there are national health laws, acts, and concepts that countries have used to control the spread of the pandemic. The United States, for example, has implemented the Public Health Service Act, which grants the Secretary of Health and Human Services the power to implement quarantine measures to control the spread of infectious diseases. The Act also empowers the Centers for Disease Control and Prevention to monitor and prevent the spread of diseases in the United States.In conclusion, international health laws and acts, such as the IHR and GHSA, and national health laws, such as the Public Health Service Act, justify the implementation of travel restrictions and national crisis management programs to protect global health and overall wellbeing. Through cooperation and collaboration, countries can prevent and control infectious disease threats like COVID-19.

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3 points Save Answer A retailer buys an article from the wholesaler at $80 and the wholesaler charges a VAT at the prescribed rate of 5%. The retailer fixes the price at $ 100 and charges VAT at the s

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In this scenario, a retailer purchases an article from a wholesaler for $80 and incurs a value-added tax (VAT) at a rate of 5%. The retailer then sets the selling price at $100 and charges the same VAT rate.

To calculate the VAT paid by the retailer, we need to find 5% of the purchase price, which is $80. The VAT paid is $80 * 0.05 = $4.

Next, to determine the VAT collected from the customer, we calculate 5% of the selling price, which is $100. The VAT collected is $100 * 0.05 = $5.

Therefore, the retailer pays $4 in VAT to the wholesaler and collects $5 in VAT from the customer. The difference between the VAT collected and the VAT paid is the retailer's VAT liability, which is $5 - $4 = $1. The retailer will remit this $1 to the tax authorities.

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Need help for this question and please tell me which criminology theory applies to your explanation. Your answer should look like you asked it from someone else (in short interview question). Please do not forget to support your answer with proper theory.
Q : What do you think could change people from involvement in crime ?
your answer should belong to one of these theories ( Rational choice, Social disorganization, Strain, Social learning, Social control or labeling or biology theory)

Answers

Interviewer: What do you think could change people from involvement in crime.

Interviewee: According to social control theory, if an individual has strong bonds with society, they are less likely to engage in criminal behavior. Social control theory states that individuals follow the law because of their social bonds with others, institutions, and society as a whole. The stronger these bonds are, the less likely an individual is to commit crimes.Among the elements of social control theory are attachment, commitment, involvement, and belief. Attachment refers to the emotional ties people have with family, friends, and community. Commitment refers to an individual's involvement in socially acceptable activities, such as education and employment. Involvement refers to the individual's active participation in activities that don't involve criminal behavior. Belief refers to an individual's acceptance of societal norms and values. Individuals who strongly believe in the law are less likely to break it. Therefore, social control theory believes that individuals with strong social bonds are less likely to engage in criminal behavior.

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A ________ is a separate company created and owned by two or more independent entities to achieve a common business objective.
A) wholly owned subsidiary
B) joint venture
C) strategic alliance
D) turnkey project

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B) Joint venture is a separate company created and owned by two or more independent entities to achieve a common business objective.

A joint venture is a separate company that is created and owned by two or more independent entities (companies or individuals) to achieve a common business objective. It involves the pooling of resources, expertise, and capital to pursue a specific project or venture. Joint ventures are often established when two or more parties believe that they can accomplish more together than individually. The entities involved in a joint venture typically share both the risks and rewards associated with the venture. Joint ventures can be formed for various purposes, such as entering new markets, developing new products, or sharing research and development costs. They allow the participating entities to leverage each other's strengths and mitigate risks through collaboration and shared responsibilities.

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China is a large country as an importer of Australian wine. The Chinese domestic supply function of wine is QS = 10 + 40P and the Chinese domestic demand function is QD = 4800 - 40P. The Australian export supply function is QS =-120 + 20P. Suppose China imposes a specific tariff of $5 on wine. The Chinese government revenue from the tariff is:

Answers

The Chinese government revenue from the tariff can be calculated by multiplying the tariff amount by the quantity of wine imported.

Effects of the Tariff:

With the tariff imposed, the effective price faced by Chinese consumers (PC) increases by the amount of the tariff (T). Therefore, the new Chinese domestic demand function becomes:

QD = 4800 - 40(PC + T)

The Australian export supply function remains the same:

QS = -120 + 20P

Equilibrium Quantity:

To find the equilibrium quantity, we set the Chinese domestic demand equal to the Australian export supply and solve for P:

4800 - 40(PC + T) = -120 + 20P

Simplifying the equation:

4800 - 40PC - 40T = -120 + 20P

40P + 20P = 40PC + 40T + 4800 + 120

60P = 40PC + 40T + 4920

60P - 40PC = 40T + 4920

20P(3 - 2C) = 40T + 4920

20P = (40T + 4920)/(3 - 2C)

P = (2T + 246)/(3 - 2C)

Quantity of Imported Wine:

Substituting the price back into the Australian export supply function, we can find the quantity of imported wine (QI):

QS = -120 + 20[(2T + 246)/(3 - 2C)]

QI = -120 + (40T + 4920)/(3 - 2C)

Chinese Government Revenue:

The Chinese government revenue from the tariff is given by the product of the tariff (T) and the quantity of imported wine (QI):

Government Revenue = T * QI

Government Revenue = T * [-120 + (40T + 4920)/(3 - 2C)]

The Chinese government revenue from the $5 tariff on wine can be calculated by substituting the appropriate values of T and C into the equation for government revenue.

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Explain impact of capital adequacy ratio on the safety of a
bank. Analyse why Basel 2 did not prevent widespread bankruptcies
in the 2008-2009 recession.
[25 Marks]

Answers

The capital adequacy ratio (CAR) is a measure of a bank's capital in relation to its risk-weighted assets.

It is designed to ensure that banks maintain sufficient capital to absorb potential losses and protect depositors and creditors. A higher CAR indicates a stronger financial position and enhances the safety of a bank.

The impact of the capital adequacy ratio on the safety of a bank is significant. A higher CAR provides a cushion against unexpected losses and reduces the risk of insolvency. It ensures that a bank has enough capital to cover its liabilities and absorb potential losses from risky assets or adverse economic conditions. A strong CAR also enhances confidence among depositors and creditors, as it indicates the bank's ability to meet its obligations.

However, Basel II, which introduced a more risk-sensitive approach to capital requirements, did not prevent widespread bankruptcies during the 2008-2009 recession. There were several factors contributing to this:

Inadequate Risk Assessment: Basel II relied on internal risk models of banks, which proved to be flawed and underestimated the true risks associated with complex financial products, such as mortgage-backed securities and derivatives. This led to banks holding inadequate capital against these risky assets.

Procyclicality: Basel II did not effectively address the issue of procyclicality, where banks tend to reduce capital during periods of economic expansion and increase it during downturns. This exacerbates the impact of economic downturns and weakens the resilience of the banking system.

Systemic Risks: The financial crisis of 2008-2009 was characterized by interconnectedness and systemic risks. Basel II did not adequately address these systemic risks arising from the interdependencies among financial institutions and the contagion effect of their failures.

Regulatory Arbitrage: Some banks exploited loopholes and engaged in regulatory arbitrage to reduce their capital requirements, undermining the effectiveness of Basel II.

Overall, the weaknesses in risk assessment, procyclicality, inadequate consideration of systemic risks, and regulatory arbitrage undermined the ability of Basel II to prevent widespread bankruptcies during the 2008-2009 recession. Subsequent revisions, such as Basel III, aimed to address these shortcomings and strengthen the resilience of the banking system by introducing more robust capital and liquidity requirements.

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$180,000. At that date, Skate reported net assets of $150,000. The fair value of the noncontrolling interest was $45,000. Assume Pond uses the fully adjusted equity method. The balance sheets for Pond

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To determine the value of Pond's investment in Skate using the fully adjusted equity method, we need to calculate the carrying amount of the investment and the noncontrolling interest

The balance sheets for Pond should reflect an investment in Skate of $165,000 ($180,000 - $45,000) on the asset side and a noncontrolling interest of $45,000 on the equity side. When using the fully adjusted equity method, the balance sheets of Pond should reflect the investment in Skate and the noncontrolling interest. Given the information provided, the investment in Skate should be recorded at $165,000 ($180,000 - $45,000). This represents Pond's share of the net assets of Skate.On the asset side of Pond's balance sheet, there should be an investment account or an investment in subsidiary account with a balance of $165,000, representing Pond's ownership interest in Skate. This reflects the value of the investment made by Pond in acquiring the controlling interest in Skate.

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