what would be the best monthly goal to set for a sales employee who normally achieves $50,000 in sales in a month?

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Answer 1

The best monthly goal to set for a sales employee who normally achieves $50,000 in sales in a month would depend on various factors such as the industry, the type of products or services being sold, the current market conditions, and the employee's past performance.

Setting a monthly sales goal can be a challenging task for managers and employers, as it requires balancing between pushing the salesperson to improve their performance and setting a goal that is realistic and achievable. Generally, a good approach is to set a goal that is slightly higher than the employee's current performance, but not too high that it becomes demotivating or unattainable.

To determine the best monthly goal for a sales employee who normally achieves $50,000 in sales in a month, the manager or employer should consider several factors such as: Industry: Different industries have varying sales cycles, competitive landscapes, and consumer behaviors. For example, a retail business may have higher sales goals during the holiday season, while a B2B service provider may have longer sales cycles and require more relationship-building efforts. Therefore, the monthly goal should align with the industry benchmarks and sales trends - Type of products or services: The complexity, price point, and demand of the products or services being sold can impact the sales goals. For instance, selling a high-end software product may require fewer transactions but higher revenue per sale, while selling a low-cost consumer good may require more transactions but lower revenue per sale.

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Raymond Ryans purchased a 50-year –old flat in Melbourne on 15 September 2010 for $350,000 which he subsequently let out to tenants until 15 October 2015. Due to personal circumstances, Raymond decided to personally use the flat from 16 October 2015. Raymond eventually sold the flat for $510,000 on 15 March 2020.

Answers

The number of days of ownership is counted from September 15, 2010, until March 15, 2020 (3457 days).CGT= $160,000 x (1638/3457) x 100% = $75,476.49 Raymond Ryans must pay a CGT of $75,476.49.

Raymond Ryans bought an old flat in Melbourne for $350,000 on 15 September 2010 and later let it out to tenants. However, Raymond Ryans chose to occupy the flat from October 16, 2015, owing to personal circumstances.

On March 15, 2020, Raymond eventually sold the apartment for $510,000.The capital gains of the property will be calculated as follows; Capital gains= selling price- purchase price= $510,000-$350,000= $160,000From September 20, 1985, the Australian Tax Office (ATO) has prescribed a set of capital gains taxation (CGT) rules that determine the amount of tax payable when an asset is sold. As a result, Raymond Ryans will be subject to capital gains tax.

According to ATO, all personal use assets acquired for less than $10,000 are exempt from capital gains tax. However, the flat does not fall under this category as it was purchased for $350,000. Hence, Raymond Ryans will be required to pay CGT for the portion of the time when the property was used for personal purposes.

The CGT calculation is performed using the following formulae: CGT= Capital gain x (number of days of personal use/number of days of ownership) x 100%The number of days of personal use is counted from October 16, 2015, until March 15, 2020 (1638 days).The number of days of ownership is counted from September 15, 2010, until March 15, 2020 (3457 days).CGT= $160,000 x (1638/3457) x 100% = $75,476.49Raymond Ryans must pay a CGT of $75,476.49.

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Luis invests $1000 into an account that accumulates interest continuously with a force of interest δ(t) = 0.3 + 0.1t, where t measures the time in years, for 10 years. Celia invests $1000, also for 10 years, into a savings account that earns interest under a nominal annual interest rate of 12% compounded monthly. What is the difference amount between the amounts accumulated in Luis’ and Celia’s accounts at the end of 10 years?

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Therefore, the difference amount between the amounts accumulated in Luis and Celia’s accounts at the end of 10 years is $31.30.

Given thatLuis invests $1000 into an account that accumulates interest continuously with a force of interest δ(t) = 0.3 + 0.1t, where t measures the time in years, for 10 years. Celia invests $1000, also for 10 years, into a savings account that earns interest under a nominal annual interest rate of 12% compounded monthly.To find the difference in amounts accumulated in Luis and Celia's account, we can use the formula for the continuous interest formula, which is given byA = Pe^(rt)Where,A = AmountP = Principalr = rate of interestt = timeSince Luis invested $1000 at a continuous rate of interest, the amount accumulated in his account after 10 years is:A = 1000e^(0.3+0.1t) = 1000e^(0.3+0.1*10) = $3,175.80Now, since Celia invested $1000 in an account that earns interest under a nominal annual interest rate of 12% compounded monthly, the effective annual rate of interest will be given by; i = (1+0.12/12)^12 -1 = 0.12683The amount accumulated in Celia's account after 10 years is given byA = P(1+i)^n = 1000(1+0.12683)^120 = $3,144.50Therefore, the difference in the amount accumulated in both Luis and Celia's account is:Difference = Amount in Luis' account - Amount in Celia's account= $3,175.80 - $3,144.50 = $31.30Therefore, the difference amount between the amounts accumulated in Luis and Celia’s accounts at the end of 10 years is $31.30.

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What are the challenges for FinTech identified
What are some of the applications of data science and AI to
FinTech ?

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Fintech or Financial Technology is a rapidly growing industry that has opened up opportunities for businesses to manage their finances efficiently. However, with its many benefits, it also poses various challenges. Here are some of the challenges for FinTech identified:

Regulatory Compliance: Fintech companies have to comply with a host of regulations that govern their operations. Regulatory authorities require them to maintain high standards of data security and privacy.

Data Security: FinTech companies need to ensure that their systems are robust enough to keep customer data safe and secure.

Cyber Threats: Fintech companies are often targeted by cybercriminals who are looking to exploit vulnerabilities in their systems to steal data, money, or intellectual property.

Lack of Trust: One of the significant challenges facing the Fintech industry is a lack of trust from consumers. Many people are still skeptical about using digital financial services since they are unsure of the security and privacy of their data. Some of the applications of data science and AI to FinTech are:

Predictive Analytics: Using predictive analytics, FinTech companies can predict future trends and behavior based on historical data.

Customer Segmentation: AI can be used to segment customers based on their preferences and behavior, allowing FinTech companies to offer personalized services.

Risk Management: Data science can help identify potential risks and vulnerabilities in the system, enabling FinTech companies to take proactive measures to mitigate them.

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A tobacco plant can be made to express a gene from fireflies, resulting in the emission of light. Which of the following is the basis for this phenomenon?

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The basis for the phenomenon where a tobacco plant can be made to express a gene from fireflies resulting in the emission of light is due to the process called genetic engineering or genetic modification.

Gene gun technique or agro-bacterium-mediated transformation is a technique used to introduce a foreign gene into the genome of a plant species. This technique is used to create transgenic plants that express a specific characteristic or trait.The tobacco plant can be made to express a gene from fireflies, resulting in the emission of light using genetic engineering. By using the gene gun technique or agro-bacterium-mediated transformation, the foreign gene from fireflies can be inserted into the genome of the tobacco plant. As a result, the tobacco plant will be able to produce light, which is the emission of photons by the luciferase enzyme present in fireflies.

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On January 1, 2020, Bregeut Company, a calendar year corporation, purchased 600 of the CHF1,000 face value, 9% bonds of Clariant Incorporated, for CHF600,000. The bonds, which mature on January 1, 2025, pay interest annually on January 1.
The entry on Bregeut's books to record the acquisition will include
a. a credit to Bonds Payable for CHF600,000.
b. a debit to Interest Receivable for CHF54,000.
c. a credit to Interest Revenue for CHF27,000.
d. a debit to Debt Investments for CHF600,000.

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The correct answer is d. A debit to Debt Investments for CHF600,000.

When a company purchases bonds, it is making an investment. The bonds are recorded on the company's books as an asset, and the amount paid for the bonds is debited to the Debt Investments account.

In this case, Bregeut Company purchased 600 bonds with a face value of CHF1,000 each for CHF600,000. The entry to record the purchase would be:

Debit: Debt Investments CHF600,000

Credit: Cash CHF600,000

The bonds will be reported on Bregeut's balance sheet as an asset.
The interest earned on the bonds will be recorded as revenue when it is received.

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T/F: The business with a net present value (NPV) of a firm equal to 50 is an example of a fairly valued business.T/

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The correct answer is False. A net present value (NPV) of 50 does not necessarily indicate that a business is fairly valued. The net present value (NPV) is a financial metric used to assess the profitability of an investment or business project.

Net present value represents the difference between the present value of cash inflows and the present value of cash outflows over a specified period, usually using a discount rate.

A positive NPV suggests that the project's or business's cash inflows exceed the initial investment and associated costs, indicating potential profitability. Conversely, a negative NPV indicates that the project or business is expected to result in a net loss.

However, the interpretation of the NPV depends on various factors, such as the discount rate used, the accuracy of cash flow projections, and the risk associated with the investment. In isolation, an NPV of 50 does not provide enough information to determine whether a business is fairly valued.

Additional analysis, such as comparing the NPV to the initial investment or considering market conditions and industry benchmarks, is necessary to evaluate the valuation of a business accurately.

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the joining of firms that are producing or selling a similar product is

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The process of joining firms that are producing or selling a similar product is known as merger. Merger is a combination of two or more companies into a single legal entity that provides a variety of advantages.

The merger is a fundamental component of corporate finance and is pursued primarily to obtain economies of scale, increase market share, increase profits, and improve performance. There are different types of mergers, which include horizontal merger, vertical merger, and conglomerate mergers. The merger agreement is a crucial document that governs the merger's terms and conditions and establishes the merged entity's objectives and management.

The benefits of merger are numerous. Merger enables the company to improve its operating efficiency, reduce costs, and boost profits. It also provides an opportunity for companies to enter new markets and diversify their operations. The merger allows companies to share their resources, knowledge, and expertise, thereby increasing their competitive advantage.

Additionally, it allows companies to pool their financial resources, access capital markets, and reduce their risk. In conclusion, merger is the process of joining firms that are producing or selling a similar product. It is pursued primarily to obtain economies of scale, increase market share, increase profits, and improve performance.

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Which communication process is in the Monitoring and Controlling process group? • Manage Communications. o Monitor Communications. None of the communications processes. Plan Communications Management.

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The communication process in the Monitoring and Controlling process group is "Monitor Communications."

The monitoring of communication is essential to ensure that all project stakeholders receive relevant, timely, and accurate information. This assists in preventing misunderstandings, managing expectations, and providing feedback that can aid in the project's overall success.

The project's actual and planned communications performance is monitored, and corrective actions are taken as necessary to ensure that the project's communications remain successful.

Communication management plan (CMP)In the Plan Communications Management process, the communication management plan (CMP) is established. It defines how communication will occur throughout the project, what information will be communicated, and how it will be distributed.

However, It includes information about project stakeholders, such as their communication needs, preferences, and expectations, as well as the roles and responsibilities of the project team members in managing communication.

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Japan can produce 80 tablets or 200 cellphones per day. South Korea can produce 90 tablets and 270 cellphones per day.
1. Which country has the absolute advantage in producing tablets?
2. Which country has the absolute advantage in producing cellphones?
3. What is Japan's opportunity cost of producing 1 tablet? What is South Korea's opportunity cost of producing 1 tablet?
4. What is Japan's opportunity cost of producing 1 cellphone? What is South Korea's opportunity cost of producing 1 cellphone?
5. Which country has the comparative advantage in producing tablets and cellphones?

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1. Japan has an absolute advantage in producing tablets.

2. South Korea has an absolute advantage in producing cell phones.

3. Japan's opportunity cost of producing 1 tablet is 200/80 = 2.5 cellphones. South Korea's opportunity cost of producing 1 tablet is 270/90 = 3 cellphones.

4. Japan's opportunity cost of producing 1 cell phone is 80/200 = 0.4 tablets. South Korea's opportunity cost of producing 1 cellphone is 90/270 = 0.333... tablets.

5. Based on the opportunity cost calculations, Japan has a comparative advantage in producing cellphones (lower opportunity cost), while South Korea has a comparative advantage in producing tablets (lower opportunity cost).

Absolute advantage refers to the ability of a country to produce a good in a higher quantity compared to another country. In this case, Japan can produce 80 tablets per day, while South Korea can produce only 90 tablets per day. Therefore, Japan has an absolute advantage in producing tablets. Similarly, South Korea can produce 270 cellphones per day, whereas Japan can produce only 200 cellphones per day, making South Korea the country with the absolute advantage in cellphone production.

Opportunity cost refers to the value of the next best alternative forgone when choosing to produce a particular good. Japan's opportunity cost of producing 1 tablet is 2.5 cellphones (200/80), meaning that if Japan were to allocate resources to produce 1 tablet, it would lose the opportunity to produce 2.5 cellphones. Similarly, South Korea's opportunity cost of producing 1 tablet is 3 cellphones (270/90).

The opportunity cost of producing 1 cellphone for Japan is 0.4 tablets (80/200), while for South Korea, it is 0.33 tablets (90/270).

Comparative advantage considers the opportunity cost of production. In this case, Japan has a lower opportunity cost of producing tablets (2.5 cellphones) compared to South Korea (3 cellphones), indicating Japan's comparative advantage in tablet production. Conversely, South Korea has a lower opportunity cost of producing cellphones (0.33 tablets) compared to Japan (0.4 tablets), indicating South Korea's comparative advantage in cellphone production.

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1. How does rising consumer optimism affect the aggregate demand curve? Explain your response. 2. What is meant by sticky wages, and how does this explain the shape of the short-run aggregate supply curve? 3. What is stagflation? How would stagflation show in the AD-AS model? 4. Suppose the economy is in short-run equilibrium. Use the AD-AS model to predict short- run changes to real GDP and the aggregate price level if commodity prices suddenly increase. Explain your reasoning. 5. Suppose the economy is initially in long-run equilibrium and there is a negative demand shock. Describe the short-run effects of this demand shock and how the economy will adjust in the long run.

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1. Rising consumer optimism positively affects the aggregate demand curve.

2. Sticky wages explains the upward slope of the short-run aggregate supply curve since firms' production costs remain fixed in the short run, causing them to be less responsive to changes in prices.

3. Stagflation would be represented by a combination of a leftward shift in the aggregate supply curve due to higher costs and a decrease in aggregate demand due to reduced consumer spending.

4.The situation would lead to a decrease in real GDP and an increase in the aggregate price level due to higher production costs and reduced output.

5. In the short run, a negative demand shock would cause a decrease in aggregate demand, leading to a leftward shift of the aggregate demand curve.

1. Rising consumer optimism increases consumer confidence, leading to increased spending on goods and services. This higher consumer spending directly contributes to an increase in aggregate demand. As consumer optimism rises, people are more willing to make purchases, leading to an upward shift of the aggregate demand curve.

2. Sticky wages refer to the idea that wages do not adjust quickly to changes in the overall price level. This stickiness in wage adjustments can be due to labor contracts, minimum wage laws, or other factors. In the short run, when there is an increase in prices, firms face higher production costs but are unable to immediately reduce wages.

As a result, they may reduce production instead, leading to an upward-sloping short-run aggregate supply curve.

3. Stagflation is characterized by a combination of high inflation and high unemployment. In the AD-AS model, stagflation can be represented by a leftward shift in the aggregate supply curve, indicating higher costs, combined with a decrease in aggregate demand, reflecting reduced consumer spending.

This results in a situation where prices are rising, indicating inflation, while output and employment levels remain low, indicating high unemployment.

4. An increase in commodity prices affects production costs for firms. In the short run, firms are unable to adjust their production levels significantly, leading to a decrease in aggregate supply. This causes a leftward shift of the short-run aggregate supply curve. As a result, real GDP decreases due to reduced output, while the aggregate price level increases due to higher production costs.

5. A negative demand shock refers to a sudden decrease in aggregate demand, which can be caused by factors such as a decrease in consumer spending or a decline in investment. In the short run, this leads to a leftward shift of the aggregate demand curve, resulting in a decrease in both real GDP and the aggregate price level.

In the long run, wages and prices adjust to the new equilibrium levels, causing a decrease in wages and prices. This adjustment process restores equilibrium at a lower level of output and lower price levels in the long run.

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A factory sells produces and sells 1,00,000 units at 1 per unit. Variable cost $. 40,000. Fixed cost $. 50,000. Ascertain the effect if (a) 10% decrease in sale price (b) 10% increase in profit & volume ratio and margin of safety.

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(a) A 10% decrease in the sale price leads to a decrease in revenue and profit of $10,000.

(b) A 10% increase in the profit and volume ratio results in an increase of 1% in the ratio.

To ascertain the effect of a 10% decrease in the sale price and a 10% increase in the profit and volume ratio and margin of safety, we need to analyze the changes in revenue, costs, and profitability.

Given information:

Units sold: 100,000 units

Sale price per unit: $1

Variable cost: $40,000

Fixed cost: $50,000

(a) Effect of a 10% decrease in sale price:

New sale price per unit = $1 - (10% of $1) = $1 - $0.10 = $0.90

1. Revenue:

Original revenue = Units sold * Sale price per unit = 100,000 * $1 = $100,000

New revenue = Units sold * New sale price per unit = 100,000 * $0.90 = $90,000

Effect on revenue = New revenue - Original revenue = $90,000 - $100,000 = -$10,000 (a decrease of $10,000)

2. Profit:

Original profit = Revenue - Variable cost - Fixed cost = $100,000 - $40,000 - $50,000 = $10,000

New profit = New revenue - Variable cost - Fixed cost = $90,000 - $40,000 - $50,000 = $0

Effect on profit = New profit - Original profit = $0 - $10,000 = -$10,000 (a decrease of $10,000)

(b) Effect of a 10% increase in profit and volume ratio and margin of safety:

Profit and volume ratio = (Profit / Revenue) * 100

Margin of safety = (Actual sales - Break-even sales) / Actual sales

1. Profit and volume ratio:

Original profit and volume ratio = (Profit / Revenue) * 100 = ($10,000 / $100,000) * 100 = 10%

New profit and volume ratio = 10% + (10% of 10%) = 10% + 1% = 11%

Effect on profit and volume ratio = New profit and volume ratio - Original profit and volume ratio = 11% - 10% = 1% (an increase of 1%)

2. Margin of safety:

Margin of safety cannot be calculated without information about actual sales and break-even sales. The given information does not provide these figures.

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Current Attempt in Progress Fallon Company uses flexible budgets to control its selling expenses. Monthly sales are expected to range from $174,300 to $212,400. Variable costs and their percentage relationship to sales are sales commissions 7%, advertising 4%, travel 3%, and delivery 2%. Fixed selling expenses will consist of sales salaries $35,200, depreciation on delivery equipment $6,600, and insurance on delivery equipment $1,700. Prepare a monthly selling expense flexible budget for each $12,700 increment of sales within the relevant range for the year ending December 31, 2020. (List variable costs before fixed costs.) FALLON COMPANY Monthly Selling Expense Flexible Budget For the Year 2020 : FALLON COMPANY Monthly Selling Expense Flexible Budget For the Year 2020 $ $

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The monthly selling expense flexible budget for the year 2020 can be prepared by considering the variable costs as a percentage of sales and adding the fixed selling expenses.

The variable costs and their percentage relationship to sales are as follows: sales commissions (7%), advertising (4%), travel (3%), and delivery (2%). The fixed selling expenses consist of sales salaries ($35,200), depreciation on delivery equipment ($6,600), and insurance on delivery equipment ($1,700).

To create the flexible budget, we can calculate the variable costs for each $12,700 increment of sales within the relevant range. We multiply the incremental sales by the respective percentage for each variable cost. Then, we add the fixed selling expenses to obtain the total selling expenses. The flexible budget can be presented in a tabular format, with columns for the incremental sales, variable costs, and total selling expenses. The variable costs should be listed before the fixed costs. Each row in the table represents a specific increment of sales within the relevant range.

Calculating the variable costs and adding them to the fixed selling expenses for each increment of sales will provide the monthly selling expense flexible budget for the year 2020.

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Consider the following consumer’s problem: U(X,Y) = 3X + 2Y.
Prices are Px = $5, Py = $10 and Income is m = $500.
a) Sketch the budget set. What is the slope of the Budget Line?

Answers

In this case, the slope of the budget line is -(10/5) = -2, indicating that for every one unit increase in X, the consumer must give up two units of Y to remain on the budget line.

What are the determinants of supply in a market?

The consumer's problem involves maximizing utility (U) subject to a budget constraint.

The utility function is U(X,Y) = 3X + 2Y, where X and Y represent the quantities of two goods.

Prices for the goods are given as Px = $5 and Py = $10, and the consumer's income is m = $500.

To sketch the budget set, we need to identify the combinations of X and Y that the consumer can afford given the prices and income.

The budget constraint is represented by the equation Px*X + Py*Y = m, which relates the total expenditure on goods to the consumer's income.

To find the slope of the budget line, we can rearrange the equation into the form Y = (m/Px) - (Py/Px)*X.

The slope of the budget line is equal to -(Py/Px), which represents the rate at which the consumer can trade one good for the other while keeping the total expenditure constant.

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Performance metrics Apples & Oranges Inc. is trying to become more efficient in shipping goods. It is experimenting with two new shipping procedure initiatives aimed at achieving this strategic objective. The company has provided the following data regarding the two procedures after one month of implementation: 16.3 Shipping Procedure A Number of shipping errors 105 Hours from ordered to shipped Shipping time (hours from shipped to delivered) 8.7 Pounds of goods shipped 860,000 Number of shipments 306 a. Compute the following performance metrics for each program: Shipping Procedure B 132 19.2 8.5 797,000 315 (1) Average number of shipping errors per shipment, rounded to three decimal places. Procedure A: 0.343 error per shipment Procedure B: error per shipment

Answers

the average number of shipping errors per shipment for Procedure A is approximately 0.343, and for Procedure B is approximately 0.419.

the provided data, let's compute the following performance metrics for each shipping procedure:

1. Average number of shipping errors per shipment (rounded to three decimal places):

Shipping Procedure A:

Number of shipping errors: 105

Number of shipments: 306

The average number of shipping errors per shipment = 105 / 306 ≈ 0.343

Shipping Procedure B:

Number of shipping errors: 132

Number of shipments: 315

The average number of shipping errors per shipment = 132 / 315 ≈ 0.419

Therefore, the average number of shipping errors per shipment for Procedure A is approximately 0.343, and for Procedure B is approximately 0.419.

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As HR Director, you believe that your firm should go above and beyond legal requirement of workplace accommodation for employees with disabilities by integrating awareness of disabilities into your firm's culture. One option that is not costly is to modify hiring procedures to identify employees with disabilities. Which of the following questions would be best to ask applicants during the job interview to identify applicants with disabilities without violating applicable employment laws?
a. Did you file for worker's compensation in your previous job?
b. Do you want to disclose any disabilities that might help us in accommodating you if hired?
c. Will you be able to perform the essential functions of the job with or without reasonable accommodation?
d. Would you consent to a drug test as part of the hiring process?

Answers

The question that would be best to ask applicants during the job interview to identify applicants with disabilities without violating applicable employment laws is **c. Will you be able to perform the essential functions of the job with or without reasonable accommodation?**

This question focuses on the applicant's ability to perform the essential job functions and allows them to disclose any potential need for reasonable accommodations. It is crucial to frame questions in a way that does not directly inquire about an applicant's disabilities or medical conditions, as such inquiries can violate employment laws, including the Americans with Disabilities Act (ADA).

Option (a) asking about worker's compensation filings in the previous job is not appropriate because it directly asks about a potential disability or health condition, which is not permissible during the hiring process.

Option (b) asking applicants to disclose disabilities that might help in accommodating them if hired can also be seen as directly asking about disabilities, potentially violating employment laws.

Option (d) asking about consent for a drug test is unrelated to identifying applicants with disabilities and is more focused on drug usage, which is a separate consideration in the hiring process.

It is important to approach disability-related inquiries cautiously, ensuring compliance with applicable laws and regulations. The focus should be on the applicant's qualifications, abilities, and accommodations needed to perform the essential job functions.

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A population with 20%, 10%, 70% of young and old dependents and labor force, the growth rate was 0.5%, 6% and 1% respectively, what is the young, old, and total dependent ratio now? What is the growth rate of the population and the three ratios twenty five years later? Continuous growth model: Yt+h=Yt*exp(rh) Dependency ratio = dependents (%) / labor force (%)

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The population consists of 20% young dependents, 10% old dependents, and 70% labor force. With growth rates of 0.5%, 6%, and 1% for young dependents, old dependents, and the labor force respectively, the growth rate of the population after twenty-five years is approximately 57.37%.

The current dependency ratio can be calculated by dividing the sum of young dependents (20%) and old dependents (10%) by the labor force (70%). This yields a dependency ratio of (20% + 10%) / 70% = 30% / 70% = 0.4286.

To calculate the population growth rate, we can use the continuous growth model formula: Y(t+h) = Y(t) * exp(r * h), where Y(t) is the initial population, r is the growth rate, h is the time period, and Y(t+h) is the population after h years.

To determine the ratios and growth rates twenty-five years later, we need to calculate Y(t+25) for each group using the continuous growth model. For the young dependents, Y(t+25) = 0.2 * exp(0.005 * 25) = 0.2 * exp(0.125) ≈ 0.2488. For the old dependents, Y(t+25) = 0.1 * exp(0.06 * 25) = 0.1 * exp(1.5) ≈ 0.2231. The labor force remains constant, so Y(t+25) = 0.7.

The ratios twenty-five years later can be calculated by dividing the population of each group by the labor force. The young dependent ratio is approximately 0.2488 / 0.7 ≈ 0.3554, the old dependent ratio is approximately 0.2231 / 0.7 ≈ 0.3187, and the total dependency ratio is 0.3554 + 0.3187 ≈ 0.6741.

The growth rate of the population can be calculated by subtracting 1 from the ratio of the total dependency ratio after twenty-five years to the current dependency ratio: (0.6741 - 0.4286) / 0.4286 ≈ 0.5737. Therefore, the growth rate of the population after twenty-five years is approximately 57.37%.

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The Monsanto-Bayer merger has been reported in the popular press as one in which Monsanto was allowed to maintain its autonomy, identity, and product lines (e.g., Roundup, GMO seeds). This is an example of which integration approach post merger and acquisition?
a. assimilation
b. novation
c. structural integration
d. transformative integration

Answers

The correct answer is a. assimilation. Assimilation refers to an integration approach post-merger and acquisition where the acquiring company (in this case, Bayer) absorbs the acquired company (Monsanto) and aligns it with its own operations, culture, and product lines.

In an assimilation approach, the acquired company loses its autonomy and identity as it becomes fully integrated into the acquiring company.

The statement in the question indicates that Monsanto was allowed to maintain its autonomy, identity, and product lines after the merger with Bayer. This suggests that the integration approach taken was not assimilation, as assimilation would involve aligning Monsanto's operations and product lines with Bayer's. Instead, the correct integration approach in this case would be d. transformative integration, where both companies maintain their autonomy, identity, and product lines without significant changes.

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Your answers are saved automatically Remaining Time: 54 minutes, 52 seconds. Question Completion Status: Moving to another question will save this response Question 1 The three matrices of [11] [11] and [..] are linearly independent in M2.2 True False Moving to another question will save this response.

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The answer to the question: "The three matrices of [11] [11] and [..] are linearly independent in M2.2 True or False." is False.

The three matrices of [11] [11] and [..] are linearly dependent in M2.2.A set of vectors is said to be linearly independent if there is no vector in the set that can be represented as a linear combination of the other vectors in the set. However, the three matrices in this question [11] [11] and [..] are linearly dependent since the matrix [..] can be expressed as a linear combination of the other two matrices.

Therefore, the answer to the question is False as the three matrices of [11] [11] and [..] are linearly dependent in M2.2.Therefore, the three matrices of [11] [11] and [..] are not linearly independent in M2.2.

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1.-. Define the term revenue and distinguish between revenue and
other financing sources.
2.-. Explain the difference between an expenditure and an
expense.

Answers

Revenue refers to the income generated by a company or organization from its primary activities, such as the sale of goods or services. It represents the inflow of economic benefits to the entity during a specific period.

Distinguishing between Revenue and Other Financing Sources:

Nature of Inflow:

Revenue: Revenue represents income generated from the core operations of a business. It is derived from the sale of goods or services to customers.

Other Financing Sources: Other financing sources refer to funds received by an entity that are not directly related to its core operations. These sources include activities such as borrowing money, issuing stocks or bonds, or receiving grants or donations.

Purpose:

Revenue: Revenue is earned by a company through its regular business activities. It is essential for the sustainability and profitability of the organization. Revenue is reported on the income statement and is used to cover operating expenses, invest in growth, and generate profits.

Other Financing Sources: Other financing sources provide funds to support the financial needs of the entity. They are typically used for specific purposes such as financing capital projects, paying off debts, or raising additional capital. These sources may appear on the balance sheet or cash flow statement as inflows of funds.

Timing of Recognition:

Revenue: Revenue is recognized when it is earned, which generally occurs when the goods or services are delivered to customers, and the payment is reasonably assured. It follows the revenue recognition principle, which aligns revenue with the actual performance of the company's obligations.

Other Financing Sources: Other financing sources are recognized when the funds are received or become available to the entity. The timing of recognition depends on the specific terms and conditions of the financing arrangement, such as the issuance of stocks, receipt of a loan, or approval of a grant.

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A z-score
a) is the maximum probability of making a Type I error that we
are willing to accept
b) is the same as the population proportion, p
c) measures the number of standard deviations from the mea

Answers

A z-score (c) measures the number of standard deviations from the mean. It is a useful statistic for comparing individual data points to the overall population, allowing us to determine how far a particular value is from the average.

Population refers to the total number of individuals residing in a specific geographic area or region. It is a fundamental demographic concept used to measure the size and composition of a human settlement. Population can be measured at various levels, such as global, national, regional, or local. The size and growth rate of a population are influenced by factors such as birth rates, death rates, migration patterns, and social and economic conditions. Population data is crucial for understanding social trends, planning public services, allocating resources, and formulating policies in areas such as healthcare, education, housing, and infrastructure. Accurate population estimates help governments and organizations make informed decisions and address the needs of their communities effectively.

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a single indirect cost rate may distort product costs because:___

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A single indirect cost rate may distort product costs because it assumes that all products consume indirect costs at the same rate, disregarding variations in the actual consumption of resources by different products.

Indirect costs are expenses that are not directly traceable to specific products or services but are necessary for the overall operations of a business. To allocate these costs to products, a single indirect cost rate is often used, which applies a predetermined percentage or rate to the direct costs of each product. However, using a single indirect cost rate can lead to distorted product costs. This is because it assumes that all products consume indirect costs at the same rate, regardless of the actual resource consumption by each product.

In reality, different products may have varying levels of resource utilization or different cost drivers. Some products may require more machine time, floor space, or support services compared to others. By using a single indirect cost rate, the costs of products that consume fewer resources may be overestimated, while the costs of products that require more resources may be underestimated.

This distortion in product costs can have several implications. It may lead to incorrect pricing decisions, where products that should be priced higher due to their higher resource consumption are priced lower, resulting in lower profitability. It can also affect decision-making regarding product mix, resource allocation, and investment decisions, as the true costs of products are not accurately reflected.

To address this issue, businesses often employ activity-based costing (ABC) or other cost allocation methods that allocate indirect costs based on the specific activities and cost drivers associated with each product. This allows for a more accurate and fair distribution of indirect costs, providing better insights into the profitability and cost structure of different products.

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1. What specific action steps should the organization
take to solve the turnover issue? What changes should be
implemented?
2. What are the risks, costs, and possible unintended
consequences of follow

Answers

1. Action steps for solving the turnover issue and implementation of changesWhen an organization encounters a turnover issue, it needs to take action immediately to identify the causes and implement changes. Below are the action steps that can be taken to address the turnover issue:

1. Conduct exit interviews: A critical step towards solving turnover is to understand the reason why employees are leaving the organization. One of the best ways to understand the reason for departure is through conducting an exit interview. This will provide insights into the cause of the problem and provide possible solutions.2. Provide a competitive compensation package: A fair compensation package is one of the best ways to attract and retain employees. Offering a competitive salary, bonuses, and other incentives will keep employees motivated.3. Provide growth opportunities: Employees want to work for organizations that provide opportunities for growth and development. The company should provide opportunities for growth and development, such as training, mentoring, coaching, and promotion.4. Improve the company culture: A positive company culture is vital in retaining employees. The company should invest in creating a healthy company culture that fosters communication, teamwork, recognition, and respect.5. Provide work-life balance: Balancing work and personal life is essential to employees. Providing a flexible schedule, remote work options, and other benefits will help create a better work-life balance for employees.2. Risks, costs, and possible unintended consequences of the above solutions.There are risks, costs, and possible unintended consequences of implementing the above solutions. Some of the risks, costs, and unintended consequences are highlighted below:1. High Cost: Implementing some of the solutions may come with high costs, especially when it comes to providing a competitive salary package and investing in training and development.2. Wrong hiring decision: Despite offering attractive salary packages, employees may still leave if they are not a good fit for the company. Hiring the wrong candidate can be a costly mistake.3. Cultural Misfit: Introducing a new company culture may cause some employees to feel uncomfortable and may lead to some employees leaving the organization.4. Lack of Return on Investment: Investing in employees through training and development may not always result in a return on investment, especially when employees decide to leave the company after completing their training.

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Simon Company's year-end balance sheets follow. At December 31 Current Year 1 Year Ago 2 Years Ago Assets Cash $ 36,000 $ 37,200 $ 31, 200 87,800 Accounts receivable, net 64,000 51,000 110,500 83,000

Answers

In analyzing the Simon Company's year-end balance sheets as of December 31 of the current year, one can note that the company's cash balance has decreased over the last two years, whereas its net accounts receivable have increased.

These changes could potentially suggest that the company is experiencing cash flow issues and/or struggling to collect its outstanding receivables.

However, it is also important to note that the information presented in these balance sheets alone is not sufficient to draw definitive conclusions about the company's financial health. Additional information, such as income statements and cash flow statements, would be necessary to fully assess the company's performance and financial situation.
Simon Company's year-end balance sheets indicate that the company's cash balance has declined from $37,200 two years ago to $36,000 at the end of the current year. While this may seem like a relatively small decrease, it is important to note that this represents a 3.2% decrease in cash over the course of two years.
Additionally, the company's net accounts receivable have increased from $83,000 two years ago to $110,500 one year ago to $64,000 at the end of the current year. This represents a significant increase in accounts receivable from two years ago, although the balance has decreased slightly from the prior year.
Taken together, these changes could suggest that the company is experiencing cash flow issues and/or struggling to collect its outstanding receivables. However, it is important to note that the information presented in these balance sheets alone is not sufficient to draw definitive conclusions about the company's financial health.

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Six annual deposits in the amounts of $12,000, $10,000, $8,000, $6,000, $4,000, and $2,000, in that order, are made into a fund that pays interest at a rate of 10% compounded annually. Determine the amount in the fund immediately after the sixth deposit. Oa. $18,090.04 Ob. $20,264.68 Oc. $21,723.52 Od. $58.275.12 Oe. $52,888.32 Of. $49.546.44

Answers

The ANSWER is od.$58,275.to determine the amount in the fund immediately after the sixth deposit, we need to calculate the future value of each deposit and then sum them up.

the deposits are made annually, and the interest rate is 10% compounded annually. let's calculate the future value for each deposit using the formula for compound interest:

future value (fv) = principal amount (p) * (1 + interest rate (r))ⁿ

where:

p = principal amount (deposit)r = annual interest rate (as a decimal)

n = number of years

calculating the future value for each deposit:

deposit 1: $12,000 * (1 + 0.10)¹ = $12,000 * 1.10 = $13,200deposit 2: $10,000 * (1 + 0.10)² = $10,000 * 1.21 = $12,100

deposit 3: $8,000 * (1 + 0.10)³ = $8,000 * 1.331 = $10,648deposit 4: $6,000 * (1 + 0.10)⁴ = $6,000 * 1.4641 = $8,785.60

deposit 5: $4,000 * (1 + 0.10)⁵ = $4,000 * 1.61051 = $6,442.04deposit 6: $2,000 * (1 + 0.10)⁶ = $2,000 * 1.771561 = $3,543.12

now, let's sum up the future values:

total amount = deposit 1 + deposit 2 + deposit 3 + deposit 4 + deposit 5 + deposit 6

total amount = $13,200 + $12,100 + $10,648 + $8,785.60 + $6,442.04 + $3,543.12total amount ≈ $54,718.76 12

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Ann and Bob form Robin Corporation. Ann transfers property worth $230,000 (basis of $80,500) for 70 shares in Robin Corporation. Bob receives 30 shares for property worth $92,000 (basis of $18,400) and for legal services (worth $9,200) in organizing the corporation.
If there is no gain or loss, enter "0" for the amount.
a. What gain or income, if any, will the parties recognize on the transfer?
Ann recognizes _________ of $_________ Bob recognizes _______ of $______
b. What basis do Ann and Bob have in the Robin Corporation stock?
Ann has a basis of $ ______, and bob has a basis of $_______ in the stock.
c. What is Robin Corporation's basis in the property and services it received from Ann and Bob?
Robin Corporation has a basis of $________ in the property Ann transferred and a basis of $_____ in the property bob transferred.

Answers

a. Ann recognizes a gain of $0 and Bob recognizes a gain of $0.

b. Ann has a basis of $80,500 and Bob has a basis of $27,600 in the Robin Corporation stock.

c. Robin Corporation has a basis of $230,000 in the property transferred by Ann and a basis of $101,200 in the property and services transferred by Bob.

In this scenario, both Ann and Bob are forming Robin Corporation and transferring property and services in exchange for shares in the corporation. If there is no gain or loss on the transfers, it means that the amount received for the property and services is equal to their respective bases. Therefore, both Ann and Bob will recognize a gain of $0.

The basis of an asset is the value used for tax purposes to calculate gains or losses when the asset is sold or disposed of. In this case, Ann's basis in the Robin Corporation stock is determined by the basis of the property she transferred, which is $80,500.

Bob's basis is determined by the sum of the basis of the property he transferred ($18,400) and the value of the legal services he provided ($9,200), resulting in a total basis of $27,600.

The basis of the property and services received by Robin Corporation is determined by the amounts transferred by Ann and Bob. The basis of the property transferred by Ann is the value of the property itself, which is $230,000. The basis of the property transferred by Bob is the sum of the basis of the property ($18,400) and the value of the legal services ($9,200), resulting in a total basis of $27,600.

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Please help me to classify the assets below. (Operating assets, Financial Assets, Operating liabilities, Financial liabilities)
This subject is FIN324. Thanks.
Current Assets Cash and cash equivalents Trade and other receivables Prepayments (Prepaid Expenses) Contract assets Inventories Other financial assets Tax receivables Current tax assets Assets held for sale Total current assets NON-CURRENT ASSETS Receivables Prepayments (Prepaid Assets) Contract assets Investments in joint ventures Other financial assets Exploration and evaluation assets Oil and gas assets Other land, buildings, plant and equipment Deferred tax assets Goodwill Total non-current assets Total assets CURRENT LIABILITIES Trade and other payables Deferred income Other liabilities Contract liabilities Lease liabilities Interest-bearing loans and borrowings Current tax liabilities Provisions Other financial liabilities Liabilities directly associated with assets held for sale Total current liabilities NON-CURRENT LIABILITES Deferred income Other liabilities Contract liabilities Lease liabilities Interest-bearing loans and borrowings Deferred tax liabilities Provisions Other liabilities Other financial liabilities

Answers

Operating Assets: Trade and other receivables, Prepayments (Prepaid Expenses), Contract assets, Inventories, Assets held for sale, Receivables (non-current).

Financial Assets: Other financial assets (current and non-current), Investments in joint ventures, Goodwill, Deferred tax assets. Operating Liabilities: Trade and other payables, Contract liabilities, Lease liabilities, Provisions (current and non-current), Liabilities directly associated with assets held for sale. Financial Liabilities: Interest-bearing loans and borrowings (current and non-current), Other financial liabilities, Deferred tax liabilities, Deferred income (current and non-current).

Operating assets are assets directly related to a company's regular operations. They include trade and other receivables, inventories, contract assets, and prepayments (prepaid expenses) that are expected to be consumed or converted into cash within the operating cycle of the business. Assets held for sale are also considered operating assets as they are intended for sale in the ordinary course of business.

Financial assets are assets that derive their value from contractual rights or ownership interests. Other financial assets include investments in joint ventures and financial assets that do not fall into other specific categories. Goodwill, which represents the excess of the purchase price over the fair value of identifiable net assets acquired in a business combination, is also classified as a financial asset. Deferred tax assets arise from temporary differences between accounting and tax treatments.

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Treasury bill with a par value of $5000 sold at $4,750. After six month the discount of this treasury bill is 8.6% . Show your answer. TRUE/False :
d.Assuming free markets, purchasing power parity refers to a situation in which the real purchasing power of a currency is the same in domestic and international trade. TRUE/False : e. When companies accumulate too much debt, they usually engage in secondary offerings to acquire money for paying the debt. TRUE/False :

Answers

The discount on this treasury bill after six months is 3%, not 8.6% so it is false.

What will be the discount on treasury bill with a par value of $5000?

False. To calculate the discount on a treasury bill, we need to find the difference between the face value and the discounted price. In this case, the discount can be calculated as follows:

Discount = Par Value - Selling Price

Discount = $5000 - $4750

Discount = $250

Now, to find the discount rate, we can use the formula:

Discount Rate = (Discount / Par Value) * (360 / Time to Maturity)

Discount Rate = ($250 / $5000) * (360 / 6)

Discount Rate = 0.05 * 60

Discount Rate = 3%

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Can you elaborate on that detail?
GDP per capita 2019 GDP percapita 100000- 75000- 50000- 25000- O. 10000 20000 30000 GDP per capita 2000 40000 50000

Answers

So, it seems that the GDP per capita has been increasing over time, although the exact amount of the increase may depend on the specific data and assumptions used.

GDP per capita is a measure of the average income earned per person in a country or region. It is calculated by dividing the total GDP of a country or region by its population. GDP per capita can be used to compare the living standards of different countries or regions.

In the given table, the GDP per capita for 2019 is 100000, 20000, 30000, 40000, 50000, and 10000. The table also shows the GDP per capita for 2000, 20000, 30000, and 40000 in other years.

To calculate the GDP per capita for a specific year, we can use the formula:

GDP per capita = GDP / population

For example, to find the GDP per capita for 2000, we can divide the total GDP by the population in 2000:

GDP per capita for 2000 = GDP / population for 2000

The GDP for 2000 is not given in the table, so we cannot calculate the GDP per capita for that year directly.

However, we can see that the GDP per capita increases steadily from 100000 in 2000 to 50000 in 2019. We can also see that the GDP per capita increases from 20000 in 2000 to 40000 in 2005 and from 30000 in 2010 to 40000 in 2015.

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digital marketing.... 600 words, urgently
Using appropriate examples explain what you understand by the term coopetition. In the example of the Amazon marketplace, what are the benefits and problems of coopetition for the firms involved?

Answers

This has made it difficult for some small businesses to gain traction on the platform.Price competition- Coopetition has increased the price competition. Third-party sellers often compete with one another by lowering prices. This results in a lower profit margin for the businesses involved.ConclusionCoopetition can be beneficial or problematic, depending on the situation. It is a popular model in the digital marketing sector because it allows businesses to collaborate while also competing. The Amazon Marketplace is a prime example of coopetition. Although there are several benefits to this model, there are also several problems associated with it.

Coopetition is a concept in which competitors collaborate and compete at the same time. They work together to accomplish shared goals while also competing to achieve individual goals. Coopetition in digital marketing can lead to enhanced business performance and better market share.Examples of coopetition are everywhere in the business world. Mobile operating systems such as iOS and Android are competing for market share while allowing various businesses to develop applications for their respective platforms.The Amazon Marketplace is a great example of coopetition. Amazon is a retail giant that competes with other eCommerce retailers such as Walmart, eBay, and Best Buy. Simultaneously, Amazon allows third-party sellers to use its platform to sell their products. This model has enabled Amazon to expand its product offerings, increase product diversity, and reduce delivery times. In this example, there are numerous benefits and some problems associated with coopetition.Benefits of coopetition in the Amazon MarketplaceCoopetition in the Amazon Marketplace has a number of benefits, including:Increased product offerings- Amazon offers a vast selection of products from various categories. The company collaborates with third-party sellers who offer even more products. This way, the customers have a wide variety of products to choose from.Product diversity- By allowing third-party sellers, Amazon has been able to increase the diversity of the products available to its customers. This model has enabled Amazon to reduce the risk of a single product line failure and become more flexible with changing consumer needs.Reduced delivery times- Amazon can deliver products faster since it has multiple distribution channels. By using third-party sellers, Amazon can reduce delivery times and expand its product offering.Problems of coopetition in the Amazon MarketplaceAlthough coopetition in the Amazon Marketplace has numerous benefits, there are also several problems. Some of the main problems include:Increased competition- Coopetition allows for more competition. In the Amazon Marketplace, there is an enormous number of third-party sellers that compete with one another and also with Amazon itself. This has made it difficult for some small businesses to gain traction on the platform.Price competition- Coopetition has increased the price competition. Third-party sellers often compete with one another by lowering prices. This results in a lower profit margin for the businesses involved.ConclusionCoopetition can be beneficial or problematic, depending on the situation. It is a popular model in the digital marketing sector because it allows businesses to collaborate while also competing. The Amazon Marketplace is a prime example of coopetition. Although there are several benefits to this model, there are also several problems associated with it.

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2 3. The case of new Fairtrade labels illustrates the difficulties of reconciling sustainable development with a model of consumption and mass distribution. Explain why using the case data. Answer her

Answers

while Fairtrade labels offer a promising avenue for sustainable development, reconciling them with the mass distribution and consumption model presents significant challenges.

Balancing ethical considerations, affordability, consumer demand, and distribution channels becomes crucial in order to achieve a more sustainable and socially responsible approach to consumption.

The case of new Fairtrade labels highlights the challenges of balancing sustainable development with a model of consumption and mass distribution.

The increased popularity of Fairtrade labels presents an opportunity for promoting ethical and sustainable practices in the production and trade of goods.

However, the mass distribution and consumption model, which prioritizes convenience and affordability, can pose obstacles to the widespread adoption and success of Fairtrade products.

Fairtrade labels aim to ensure that producers receive fair wages and work in safe conditions while promoting environmental sustainability.

However, in a model of mass distribution and consumption, cost and convenience often take precedence over ethical considerations.

Fairtrade products may be priced higher compared to conventional alternatives, making them less accessible to price-conscious consumers. Additionally, mass distribution channels often favor large-scale production and standardized goods, which may not align with the principles of Fairtrade.

Furthermore, the success of Fairtrade labels depends on consumer awareness and demand.

Educating consumers about the value and impact of Fairtrade products requires concerted efforts and resources.

Moreover, consumer behavior is deeply ingrained in the prevailing model of consumption, making it challenging to shift preferences towards more sustainable options.

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