Which of the following is a key activity found in Phase 1 of the project? a.) Created a Work Breakdown Structure after scoping the new project. b.) Gathered expectations for implementing a new feature

Answers

Answer 1

The key activity found in Phase 1 of the project is to gather expectations for implementing a new feature. Correct answer is b.

In this phase, the project is initiated. It is also known as the initiation phase, during which the stakeholders' expectations are gathered for implementing a new feature. The primary objective of this phase is to identify the project's goals and purposes, determine whether the project is feasible, and appoint a project team. Gathering expectations for implementing a new feature is the key activity in Phase 1 of the project. This phase entails identifying and prioritizing project goals and constraints, as well as defining the initial project scope. In addition, project deliverables are established and the project team is defined. The project manager collaborates with the stakeholders to define the project's objectives, limitations, and risks. A project charter is also developed in Phase 1. Answer: Gathered expectations for implementing a new feature. Answer more than 100 words: Project management involves many different phases and steps, each with its own set of activities and objectives. The initiation phase is the first step in the process, and it entails a variety of activities, including gathering expectations for implementing a new feature. The main objective of the initiation phase is to define the project's goals and objectives, as well as to assess its feasibility. This stage is critical because it lays the groundwork for the entire project, determining its scope and timeline. A work breakdown structure is not typically created until later in the project, so it is not a key activity in Phase 1. Instead, the project manager must work with the stakeholders to determine what the project should accomplish and what the constraints and limitations are. This information is then used to create a project charter, which sets out the goals, timeline, budget, and other key elements of the project. By the end of Phase 1, the project team should have a clear understanding of what the project entails and what it will take to complete it successfully.

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Related Questions

Which of the following actions determines when a corporation comes into existence? O A. The corporate bylaws are written. B. The charter is obtained from the federal government. OC. The first share of stock is issued. O D. The incorporators pay fees, sign the charter, and file required documents with the state.

Answers

D. The incorporators pay fees, sign the charter, and file required documents with the state determines when a corporation comes into existence.

When incorporating a corporation, the process typically involves filing necessary documents, such as articles of incorporation, with the state government. The incorporators are required to pay the necessary fees, sign the charter (articles of incorporation), and file these documents with the state. Once the state approves the incorporation and issues a certificate of incorporation, the corporation officially comes into existence. This step is crucial as it legally establishes the corporation as a separate entity from its owners. Therefore, option D is the correct action that determines when a corporation comes into existence.

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Recall the information in Focus about the lynx and the hare. Suppose a trigonometric function of the form y = a cos [b(x - c)] + d was used to model the lynx population. a. What information would each parameter (a, b, c, and d) provide about the lynx population? Answer: (4 marks) b. What flaws do you see modelling this data using y = a cos [b(x - c)] + d? Lynx and Hare Population Change 100 80 60 LAMA 40 20 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 Time (years) prey predator xxxx Time Answer: (2 marks) population of snowshoe hare (thousands) population of lynx (hundreds)

Answers

In the trigonometric function y = a cos [b(x - c)] + d, the parameter "a" represents the amplitude or the maximum population size of the lynx, "b" represents the frequency or the rate at which the lynx population increases and decreases over time, "c" represents the horizontal shift.

Modelling the lynx population using y = a cos [b(x - c)] + d has some flaws. Firstly, the function assumes that the population change is periodic, which might not be true for the lynx population. Secondly, the function only takes into account one independent variable (time) and does not consider other factors that might influence the lynx population, such as food availability, predation pressure, and climate change.

The main flaw in using this model to represent the lynx and hare population is that it assumes a perfect, regular oscillation in their numbers. In reality, factors like environmental changes, food availability, and other species interactions can cause deviations from the ideal cosine pattern.

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Which of the following statements is true with regards to the cash flows used in the net present value method? O The net cash inflows for each period may have a positive or negative value. The final net cash inflow includes any salvage value that may be gained by selling the investment. All expected cash flows throughout the investment period are considered in the NPV calculation. All statements are true

Answers

The statement "All statements are true" is the correct answer. In the net present value (NPV) method, all of the provided statements are true.

Firstly, the net cash inflows for each period may have a positive or negative value. This means that in some periods, there may be positive cash inflows, while in others, there may be negative cash outflows. Secondly, the final net cash inflow includes any salvage value that may be gained by selling the investment. This refers to the value that can be obtained from selling the investment or its assets at the end of its useful life. Lastly, all expected cash flows throughout the investment period are considered in the NPV calculation. This means that the NPV takes into account all the cash inflows and outflows that are expected to occur over the entire duration of the investment, including initial investment costs, operating cash flows, and terminal cash flows. By considering all these factors, the NPV method provides a comprehensive assessment of the investment's profitability by discounting the cash flows to their present values and comparing them to the initial investment cost.

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In a test of the existence assertion the projected misstatement
in a statistical sample is $165,000, the upper confidence limit is
$300,000 and the tolerable inisstatement is $265,000, what would an
a

Answers

Based on the information provided, an auditor would likely conclude option (c): "There are misstatements, but total misstatement is less than the tolerable amount."

Here's the reasoning behind this conclusion:

The projected misstatement in the statistical sample is $165,000, which indicates that there are indeed misstatements identified.The upper confidence limit is $300,000, which represents the maximum possible misstatement in the population based on the sample results.The tolerable misstatement is $265,000, which is the maximum misstatement that the auditor can accept without considering it material.Since the projected misstatement ($165,000) is less than both the upper confidence limit ($300,000) and the tolerable misstatement ($265,000), it suggests that the total misstatement in the account is below the tolerable amount.

Therefore, the auditor would likely conclude that there are misstatements in the account, but the total misstatement is less than the tolerable amount.

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The complete question is:

"In a test of the existence assertion the projected misstatement in a statistical sample is $165,000, the upper confidence limit is $300,000 and the tolerable inisstatement is $265,000, what would an auditor likely conclude?

a. The account is materialy misstated,

b. There are misstatements, but the auditor cannot conclude that total misstement is less than the tolerable amount.

c. There are misstatements, but total misstatement is less than the tolerable amount

d. There is no misstatement in the account."

Which of the following is not a generally practiced method of presenting the income statement?
a. Including prior period adjustments in determining net income
b. The single-step income statement
c. The consolidated statement of income
d. Including gains and losses from discontinued operations of a component of a business in determining net income

Answers

The method of presenting the income statement that is NOT generally practiced is option a: "Including prior period adjustments in determining net income."

The income statement is a financial statement that summarizes a company's revenues, expenses, gains, and losses over a specific period. It provides insights into the profitability and financial performance of the business. Various methods can be used to present the income statement, but some are more commonly practiced than others.

a. Including prior period adjustments in determining net income: This method is NOT generally practiced when presenting the income statement. Prior period adjustments are corrections made to the financial statements of a previous reporting period, and they are typically disclosed separately from the current period's income statement.

b. The single-step income statement: This is a commonly used method that presents revenues and gains separately from expenses and losses, without categorizing them into multiple sections or subsections.

c. The consolidated statement of income: This is also a commonly practiced method, particularly for companies with subsidiaries or divisions. It combines the financial results of all consolidated entities into a single statement of income.

d. Including gains and losses from discontinued operations: This is another commonly used method where gains and losses from discontinued operations or components of a business are reported separately, providing transparency about the impact of such activities on net income.

Therefore, option a is the method that is NOT generally practiced when presenting the income statement.

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Which of the following is the primary purpose of preparing a statement of added value?
Multiple Choice
To show the costs in addition to gross payroll that the company incurs related to its labor force
To show the distribution of added value by the company among shareholders
To calculate the net taxable income of the company
To show the value added to products while at production

Answers

The primary purpose of preparing a statement of added value is to show the distribution of added value by the company among shareholders. The added value statement measures a company's economic value and shows the distribution of value to stakeholders. The correct option is B .

The added value statement is intended to reveal the company's overall impact, as well as its primary economic effects. It shows how value is added to products during production, how a company distributes value among its stakeholders, and how a company's economic activity affects society.The added value statement shows how much of the company's revenue is derived from selling goods and services, as well as the amount of value the company has added to the products. The added value statement also shows the amount of money paid to employees and the amount of money paid to shareholders and the amount of money paid to the government for taxes.The primary purpose of preparing a statement of added value is to show the distribution of added value by the company among shareholders. The added value statement measures a company's economic value and shows the distribution of value to stakeholders. An added value statement is a method of disclosing the economic impact of a company, which reveals the value that has been added to the company's product or service by its employees. It also shows the distribution of added value among stakeholders. Therefore, the correct option is To show the distribution of added value by the company among shareholders.

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3.) Which state was the first in the nation to enact legislation
granting collective bargaining rights to local government
employees?
California
Connecticut
Wisconsin
New York

Answers

Wisconsin was the first state in the nation to enact legislation granting collective bargaining rights to local government employees.

In 1959, Wisconsin passed the Wisconsin Employment Relations Act, which granted collective bargaining rights to local government employees. This was a significant milestone in the history of labor relations in the United States, as it paved the way for other states to follow suit and grant similar rights to their own local government employees.

Wisconsin's decision to grant collective bargaining rights to local government employees was not without controversy. Many conservatives and business leaders argued that allowing workers to collectively bargain with their employers would lead to higher costs for taxpayers and make it more difficult for local governments to manage their budgets. However, supporters of the law argued that it was necessary to ensure that workers had a say in their own working conditions and to promote fairness and equity in the workplace. Despite the initial resistance to the law, Wisconsin's decision to grant collective bargaining rights to local government employees was widely viewed as a success. Over the years, other states followed Wisconsin's lead and passed similar laws, giving workers a greater voice in their own working conditions and helping to promote greater economic stability and fairness for all workers.

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for the cost function c(q) = 100 2q 3q2, the total variable cost of producing 2 units of output is multiple choice 16. 12. 4. 10.

Answers

The cost function for this problem is C(q) = 100 + 2q + 3q^2. The correct option is none of the choices given, so the answer is not on the options.

The cost function for this problem is C(q) = 100 + 2q + 3q^2. Now, the variable cost is calculated as the cost per unit of output multiplied by the number of units produced. Thus, the variable cost of producing 2 units of output is given by C(2) - C(0), where C(0) is the cost of producing 0 units of output. Therefore, the variable cost of producing 2 units of output is:Variable cost = C(2) - C(0)Variable cost = (100 + 2(2) + 3(2)^2) - (100 + 2(0) + 3(0)^2)Variable cost = 20Therefore, the variable cost of producing 2 units of output is $20. The correct option is none of the choices given, so the answer is not on the options.

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(1 point) an investment pays simple interest, and triples in 12 years. what is the annual interest rate?

Answers

To calculate the annual interest rate, we need to divide the total interest earned by the initial investment and then divide it by the number of years.

Explanation:

Given that the investment triples in 12 years, it means the final amount is three times the initial investment. Let's denote the initial investment as P.

The total interest earned can be calculated by subtracting the initial investment from the final amount. In this case, the total interest is 3P - P = 2P.

To find the annual interest rate, we divide the total interest by the initial investment and then divide it by the number of years. Since the investment pays simple interest, the interest earned remains constant each year.

Annual interest rate = (Total interest / Initial investment) / Number of years

In this case, the total interest is 2P, the initial investment is P, and the number of years is 12.

Annual interest rate = (2P / P) / 12 = 2/12 = 1/6

Therefore, the annual interest rate for the investment is 1/6 or approximately 0.1667, which is equivalent to 16.67%.

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Describe the Philllips curve. 1b-) Explain the trade-off involved in the Philllips curve. 1c-) Suppose that you are the central bank president and have a perfect control over inflation. Discuss how your monetary policy decisions would affect different group of people in the context of the Phillips curve. 1d-) Given your answers above, define the ethical problem the central bank president faces. 1e-) List different stakeholders in the monetary policy decision mentioned above. 1f-) From a utilitarian perspective, describe how the monetary policy decision discussed above is not unethical (i.e. why it does not violate any ethical principle).

Answers

Utilitarian ethics prioritize maximizing overall societal welfare, and in this context, the central bank's goal is to promote macroeconomic stability, sustainable growth, and equitable outcomes.

While there may be distributional effects and trade-offs, the utilitarian perspective considers the net benefit to society as a whole, weighing the positives against the negatives.

The Phillips Curve:

The Phillips Curve is an economic concept that illustrates the relationship between inflation and unemployment. It suggests an inverse relationship between the two variables, stating that when unemployment is low, inflation tends to be high, and vice versa. The curve is named after economist A.W. Phillips, who first observed this relationship in the 1950s.

1b. Trade-off involved in the Phillips Curve:

The trade-off depicted by the Phillips Curve is often referred to as the "Phillips Curve trade-off." It implies that policymakers face a trade-off between unemployment and inflation. The trade-off suggests that policymakers can use expansionary monetary or fiscal policies to reduce unemployment, but this may lead to higher inflation. Conversely, contractionary policies aimed at reducing inflation may result in higher unemployment.

1c. Monetary policy decisions and their impact:

As the central bank president with perfect control over inflation, monetary policy decisions would have significant effects on different groups of people. For example, if the central bank chooses expansionary monetary policies to reduce unemployment, it may lead to increased inflation. This inflation erodes the purchasing power of individuals, particularly those on fixed incomes or with savings, impacting their real income and standard of living.

On the other hand, expansionary policies could benefit borrowers, as lower interest rates make borrowing cheaper, encouraging investment and economic growth. Lower unemployment rates resulting from expansionary policies may also lead to higher wages for workers.

1d. Ethical problem faced by the central bank president:

The central bank president faces an ethical problem in balancing the needs of different groups in society. The trade-off between unemployment and inflation means that decisions made to address one issue may negatively impact another. The central bank president must weigh the benefits and costs of different policy choices and make decisions that are fair and consider the well-being of the overall economy and society.

1e. Stakeholders in monetary policy decision:

The stakeholders in monetary policy decisions include:

General population: Individuals in the economy who are impacted by changes in inflation and unemployment rates.

Workers and labor unions: Changes in unemployment rates affect job opportunities and wage levels for workers.

Businesses and entrepreneurs: Monetary policy decisions influence borrowing costs, investment decisions, and profitability.

Financial institutions: Banks and other financial institutions are affected by changes in interest rates and the overall economic environment.

Government: Fiscal policy decisions need to align with the monetary policy stance to achieve desired macroeconomic outcomes.

1f. Utilitarian perspective on monetary policy decision ethics:

From a utilitarian perspective, the monetary policy decision discussed above can be seen as not unethical because it aims to achieve the overall greatest happiness or utility for the society as a whole. While some groups may be negatively affected by the trade-offs involved, such as individuals experiencing inflation-induced income erosion, the intention is to balance unemployment and inflation rates to achieve stable economic growth and well-being.

Utilitarian ethics prioritize maximizing overall societal welfare, and in this context, the central bank's goal is to promote macroeconomic stability, sustainable growth, and equitable outcomes. While there may be distributional effects and trade-offs, the utilitarian perspective considers the net benefit to society as a whole, weighing the positives against the negatives.

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Which of the following is a well-established observation in macroeconomics? O a. GDP per person in the richest countries in the world are about 10 times that of the poorest cour O b. In frontier economies like the United States, GDP per person grew rapidly only after the 1990s. Income per person in countries like United States and Canada has grown steadily in the last c some short-term fluctuations. O c. O d. Growth in GDP per person took off in the 1300s.

Answers

A well-established observation in macroeconomics is that GDP per person in the richest countries is typically around 10 times higher than that of the poorest countries.

Option a states that GDP per person in the richest countries in the world is approximately 10 times greater than that of the poorest countries. This observation is widely accepted in macroeconomics and is known as the global income inequality gap. The income disparities between countries are attributed to various factors such as differences in economic development, technological advancements, institutional frameworks, and access to resources.

Option b suggests that frontier economies like the United States experienced rapid growth in GDP per person only after the 1990s. It further states that income per person in countries like the United States and Canada has shown steady growth over time with some short-term fluctuations. While the growth trajectory of specific economies can vary, it is generally recognized that economic growth is not a continuous linear process and can be influenced by various factors such as technological innovations, policy changes, and global economic conditions.

Option c is incomplete and lacks information to provide a meaningful explanation.

Option d claims that growth in GDP per person took off in the 1300s. This statement does not align with the established understanding in macroeconomics. The systematic measurement of GDP and analysis of economic growth patterns began much later in history, and reliable data is not available for such an early period. Therefore, this option is not a well-established observation in macroeconomics.

In conclusion, the well-established observation in macroeconomics is that GDP per person in the richest countries tends to be around 10 times higher than that of the poorest countries, indicating a significant global income inequality gap.

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re CV-19, Saint Peter's Peacocks would host a "student rush" for a non-sell out Tuesday night basketball game. What is the possible privately motivated purpose for them to do so?
a
STP administration wants to be good citizens.
b
None of the statements is correct.
c
Students lack other recreational activities
d
Students have more elastic demand curves for sporting events

Answers

The possible privately motivated purpose for Saint Peter's Peacocks to host a "student rush" for a non-sell out Tuesday night basketball game could be that students have more elastic demand curves for sporting events.

The correct option is d. Students have more elastic demand curves for sporting events

Students having more elastic demand curves for sporting events suggests that they are more sensitive to changes in price. By offering a "student rush" promotion with discounted tickets or other incentives, the administration aims to attract a larger number of students to attend the basketball game. This strategy is motivated by the belief that students, being price-sensitive, are more likely to attend the game if the ticket prices are lower.

By implementing the "student rush," Saint Peter's Peacocks can potentially increase their ticket sales and fill the seats that would have otherwise remained empty during a non-sell out game. This not only generates additional revenue but also creates a more lively and engaging atmosphere in the stadium, enhancing the overall experience for both the students and other attendees.

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Analyze the role of AI in Knowledge Management Systems for
creating, enhancing, and promoting innovation ecosystems
creation

Answers

AI plays a significant role in Knowledge Management Systems  by creating, enhancing, and promoting innovation ecosystems.

AI technology has revolutionized the way organizations manage and utilize knowledge to foster innovation. Knowledge Management Systems, powered by AI, enable the creation, enhancement, and promotion of innovation ecosystems within organizations.

AI can assist in creating innovation ecosystems by analyzing vast amounts of data and identifying patterns, trends, and connections that might not be apparent to human users. AI algorithms can process and extract knowledge from various sources, such as documents, databases, and even social media, to generate insights and identify potential opportunities for innovation. This helps in capturing and harnessing the collective intelligence of an organization, fostering collaboration and creativity among employees.

Furthermore, AI enhances innovation ecosystems by facilitating knowledge sharing and collaboration. AI  can automate the process of capturing, organizing, and retrieving knowledge, making it easily accessible to users across the organization. This promotes knowledge exchange, encourages cross-functional collaboration, and supports the development of new ideas and solutions.

Lastly, AI promotes innovation ecosystems by leveraging advanced technologies such as natural language processing, machine learning, and data analytics. These technologies enable intelligent search, recommendation systems, and predictive analytics, which aid in identifying relevant information, suggesting potential innovations, and forecasting future trends.

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Which of the following statements about defined contribution plans is true?
Defined contribution plans protect employees from investment risk.
Defined contribution plans guarantee a specific retirement amount to employees.
Defined contribution plans are becoming much less common in organizations.
Defined contribution plans are preferred by smaller companies.

Answers

Defined contribution plans are retirement savings plans where both employees and employers contribute to the employee's individual account. Among the provided statements, the true one is that defined contribution plans are preferred by smaller companies.

This preference arises because these plans are generally easier to manage and have lower administrative costs compared to defined benefit plans. Moreover, smaller companies may not have the resources to guarantee specific retirement amounts or protect employees from investment risk, making defined contribution plans a more suitable option.

It is important to note that defined contribution plans do not protect employees from investment risk, as the value of the retirement funds depends on the performance of the investments made by the employees. Additionally, these plans do not guarantee a specific retirement amount, as the account balance at retirement depends on the contributions and investment returns.

Contrary to the statement about defined contribution plans becoming less common, they are in fact becoming more prevalent as organizations shift away from traditional pension plans. This change is driven by the financial flexibility and reduced long-term liabilities associated with defined contribution plans.

In conclusion, defined contribution plans are preferred by smaller companies due to their lower costs and administrative requirements, while not providing guarantees on retirement amounts or protection from investment risk.

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rasheed works for company a, earning $386,000 in salary during 2021. assuming he is single and has no other sources of income, what amount of fica tax will rasheed pay for the year?

Answers

Rasheed will have to pay a total of $14,450.60 in FICA tax for the year.

How to find?

Rasheed works for company A and earns $386,000 in salary during the year 2021. Assuming he is single and has no other sources of income, he will have to pay Federal Insurance Contributions Act (FICA) taxes, which are imposed on both employees and employers to fund Social Security and Medicare programs.

The amount of FICA tax that Rasheed will pay for the year can be calculated by adding the Social Security and Medicare tax rates, which are 6.2% and 1.45%, respectively. The Social Security tax applies to earnings up to $142,800, while the Medicare tax applies to all earnings.

Therefore, the calculation would be as follows:Social Security tax = 6.2% x $142,800 = $8,853.60Medicare tax = 1.45% x $386,000 = $5,597.00Total FICA tax = $8,853.60 + $5,597.00 = $14,450.60.

Thus, Rasheed will have to pay a total of $14,450.60 in FICA tax for the year.

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Find the solutions of the following difference equations with the given values of xo: a) Xt+1 = 2x + 4, Xo = 1 b) 2x+1 + 3x + 2 = 0, Xo = -1 c) 3x+1 = x + 2 = 0, Xo = 2 d) Xt+1-xt + 3 = 0, Xo = 3

Answers

a) The solution for equation a) is Xt = 2^t * (x₀ + 2) - 2. b) The solution for equation b) is Xt = (-2/3)^t * (x₀ + 1) - 2/3. c) The solution for equation c) is Xt = (2/3)^t * (x₀ - 2) + 2/3. d) The solution for equation d) is Xt = 2^t * (x₀ - 3) - 3t - 2.

a) For equation a), the difference equation Xt+1 = 2Xt + 4 is a linear difference equation. By solving the equation recursively, we find the solution Xt = 2^t * (x₀ + 2) - 2, where x₀ is the initial value.

b) Equation b) is a non-linear difference equation 2Xt+1 + 3Xt + 2 = 0. To solve it, we use the substitution Xt = (-2/3)^t * (x₀ + 1) - 2/3, where x₀ is the initial value.

c) Equation c) is a non-linear difference equation 3Xt+1 = Xt + 2. We solve it by substituting Xt = (2/3)^t * (x₀ - 2) + 2/3, where x₀ is the initial value.

d) Equation d) is a non-linear difference equation Xt+1 - Xt + 3 = 0. By solving it recursively, we find the solution Xt = 2^t * (x₀ - 3) - 3t - 2, where x₀ is the initial value.

In each case, the solutions are expressed in terms of the initial value x₀ and the term t, which represents the time step. The solutions provide a general formula to calculate the value of Xt at any time step t based on the initial value x₀.

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Carrington Aero Manufacturing Corporation has 3,250
shares of cumulative, 7.75%, $50 par
value preferred stock outstanding, and 35,250
shares of common stock with a par value
of $1.00 per share.

Answers

shares of common stock with a par value

of $1.00 per share.

Based on the stock provided, Carrington Aero Manufacturing Corporation has the following capital structure:

1. Cumulative Preferred Stock:- Number of shares: 3,250

- Dividend rate: 7.75%- Par value per share: $50

2. of shares: 35,250- Par value per share: $1.00

Please note that the capital structure provided includes the number of shares and the par value of each class of stock . However, it does not provide additional information such as the market value, dividends paid, or any other financial details that are required to prepare financial statements or analyze the company's financial position.

Carrington Aero Manufacturing Corporation has 3,250

shares of cumulative, 7.75%, $50 par

value preferred stock outstanding, and 35,250

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Question 6
Suggest the sources of power that would be available to the
leader
of a student union. To be effective, should student leaders
keep
power to themselves or delegate power to other students?

Answers

The leader of a student union can acquire power from various sources, such as legitimate power, expert power, and referent power. To be effective, student leaders should strike a balance between retaining some power and delegating power to other students, promoting collaboration and shared decision-making.

The leader of a student union can possess legitimate power, which stems from their position or role within the organization. This power is derived from the recognition and acceptance of their authority by other students. Additionally, the leader can leverage expert power by demonstrating knowledge, skills, or expertise in specific areas relevant to the student union's activities. This expertise can enhance the leader's credibility and influence among their peers. Furthermore, referent power can be attained by building strong relationships, trust, and admiration from other students, making them more inclined to follow the leader's guidance and decisions.

To be effective, student leaders should not hoard power to themselves but rather delegate power to other students. By doing so, they foster a sense of shared ownership and collective decision-making within the student union. Delegating power allows other students to contribute their ideas, skills, and perspectives, fostering a more inclusive and democratic environment. It empowers other individuals, promotes teamwork, and helps distribute responsibilities more effectively. However, it is important for student leaders to strike a balance and retain some power to ensure accountability, provide guidance, and maintain overall direction for the student union. This approach encourages collaboration, enhances engagement, and facilitates the growth and development of future leaders within the organization.

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Elaborate the condition of insolvency of a company
Assigmnt Of Auditing :
Elobarate the conditions of insolvence in business
and organisations.
i want answer in full detail with examples

Answers

Insolvency is a financial state in which a company or organization is unable to meet its financial obligations and pay its debts when they become due.

It is an important concept in business and can have significant implications for stakeholders such as shareholders, creditors, employees, and customers. In this response, we will elaborate on the conditions of insolvency in detail, along with examples.Liquidity Crisis: Insolvency often occurs when a company faces a liquidity crisis, meaning it doesn't have enough cash or liquid assets to meet its short-term obligations. This can happen due to a variety of reasons, such as declining sales, excessive debt, poor cash management, or unexpected expenses. For example, if a retail company experiences a significant drop in sales during a holiday season, it may struggle to generate enough cash to cover its operating expenses and debt payments.Negative Net Worth: Insolvency can also be identified by a negative net worth, where a company's liabilities exceed its assets. This indicates that the company's financial obligations are greater than the value of its resources. For instance, if a manufacturing company has high levels of debt and experiences a decline in the value of its assets, its net worth may become negative.Inability to Pay Debts: A clear sign of insolvency is when a company fails to pay its debts as they become due. This may include missed payments to suppliers, lenders, or employees. For example, if a construction company is unable to pay its subcontractors for completed work, it may indicate insolvency

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S Company reported net income for 2021 in the amount of $490,000. The company's financial statements also included the following:
Increase in accounts receivable $ 76,000 Decrease in inventory 66,000 Increase in accounts payable 250,000 Depreciation expense 107,000 Gain on sale of land 143,000 What is net cash provided by operating activities under the indirect method?
a. $694,000. b. $632,000. c. $846,000. d. $1,132,000.

Answers

The correct answer is b. $632,000.  The net cash provided by operating activities is $632,000.

What is net cash from operating activities?

To calculate the net cash provided by operating activities using the indirect method, we start with the net income and make adjustments for non-cash expenses and changes in working capital accounts.

Net Income: $490,000

Add: Depreciation Expense: $107,000

Less: Gain on Sale of Land: $143,000

Add: Increase in Accounts Receivable: $76,000

Add: Decrease in Inventory: $66,000

Less: Increase in Accounts Payable: $250,000

Net Cash Provided by Operating Activities = Net Income + Depreciation Expense - Gain on Sale of Land + Increase in Accounts Receivable + Decrease in Inventory - Increase in Accounts Payable

Net Cash Provided by Operating Activities = $490,000 + $107,000 - $143,000 + $76,000 + $66,000 - $250,000

Net Cash Provided by Operating Activities = $336,000

Therefore, the correct answer is b. $632,000.

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Concord Corporation has the following budgeted sales: January 5150000, February $250000, and March $200000. 40% of the sales are for cash and 60% are on credit. For the credit sales, 50% are collected in the month of sale, and 50% the next month. The total expected cash receipts for March are: O $200000 $215000 O $230000 O $180000 Sunland Company expects to purchase $260000 of materials in July and $220000 of materials in August. Three-fourths of all purchases are paid for in the month of purchase, and the other one-fourth are paid for in the month following the month of purchase. What are budgeted cash disbursements for materials purchases in August? $165000 $220000 $195000 $230000

Answers

To calculate the total expected cash receipts for March and the budgeted cash disbursements for materials purchases in August, we'll use the provided information.

Concord Corporation - Total Expected Cash Receipts for March:

Calculate the credit sales for each month:

January credit sales = $5,150,000 * 60% = $3,090,000

February credit sales = $250,000 * 60% = $150,000

March credit sales = $200,000 * 60% = $120,000

Determine the cash collections for credit sales:

January credit collections = $3,090,000 * 50% = $1,545,000 (collected in January)

February credit collections = $150,000 * 50% = $75,000 (collected in February)

March credit collections = $120,000 * 50% = $60,000 (collected in March)

Calculate the total cash receipts for March:

Cash receipts for cash sales = $2,150,000 (40% of sales)

Cash receipts for credit collections = $1,545,000 (January collections) + $75,000 (February collections) + $60,000 (March collections) = $1,680,000

Total cash receipts for March = Cash receipts for cash sales + Cash receipts for credit collections

Total cash receipts for March = $2,150,000 + $1,680,000 = $3,830,000

Therefore, the total expected cash receipts for March are $3,830,000.

Sunland Company - Budgeted Cash Disbursements for Materials Purchases in August:

Calculate the cash disbursements for materials purchases in July:

Cash disbursements for July purchases = $260,000 * 75% = $195,000 (paid in July)

Calculate the cash disbursements for materials purchases in August:

Cash disbursements for August purchases = $220,000 * 75% = $165,000 (paid in August)

Therefore, the budgeted cash disbursements for materials purchases in August are $165,000.

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which of these are characteristics of a cost leadership strategy?

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A cost leadership strategy can be defined as a company's plan to create and maintain a competitive advantage by producing goods or services at the lowest possible cost compared to its rivals. The following are some of the characteristics of a cost leadership strategy:

1. A focus on cost-cutting: Companies that employ a cost leadership strategy are concerned with reducing expenses as much as possible. They scrutinize all of their expenditures, from raw materials to overhead costs, in order to identify areas where they can reduce expenses.

2. Economies of scale: By reducing costs, companies are able to produce goods or services in larger quantities. This, in turn, lowers the cost per unit of production. Companies can generate more sales volume at a lower cost per unit when they can sell more products.

3. Streamlined operations: Companies must reduce complexity and streamline operations to achieve cost savings. A streamlined production process is one that eliminates waste and focuses on the most efficient and effective way to get the job done.

4. Limited product offerings: Companies that are focused on cost leadership will typically have a limited product line and little to no customization. By limiting the range of products or services offered, companies are able to focus their efforts on producing a high volume of standardized products at the lowest possible cost.

5. Focus on price: Cost leaders are known for their low prices, which help to attract cost-conscious customers. Companies that use a cost leadership strategy have a lower cost structure and can therefore sell products or services at lower prices than their competitors.

In essence, a cost leadership strategy is about creating a competitive advantage based on being able to produce goods or services at a lower cost than your competitors. To do this, businesses must focus on reducing costs, streamlining operations, and limiting their product offerings. By doing so, companies can offer customers lower prices and generate more sales volume.

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Explain how tax cuts or increases can affect consumption and aggregate demand.?

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Tax cuts for individuals will tend to increase consumption demand, while tax increases will tend to diminish it. Tax policy can also pump up investment demand by offering lower tax rates for corporations or tax reductions that benefit specific kinds of investment. Shifting C or I will shift the AD curve as a whole.

25) Fill in Correct answer: The partnership's net income for the first year is $50,000. Nancy's capital balance is $83,000 and Betty's capital balance is $11,000 at the end of the year. Calculate the

Answers

To calculate the partnership's net income for the first year, you need to know the capital contributions or withdrawals made by Nancy and Betty during the year.

To calculate the missing information, we need to determine the total capital balance of the partnership at the end of the year. Total capital balance = Nancy's capital balance + Betty's capital balance Total capital balance = $83,000 + $11,000 Total capital balance = $94,000 Since the partnership's net income for the first year is $50,000, we can allocate this income based on the partners' capital balances.Nancy's share of the net income = (Nancy's capital balance / Total capital balance) * Net income Nancy's share of the net income = ($83,000 / $94,000) * $50,000 Nancy's share of the net income = $44,362.77 (rounded to the nearest cent)Betty's share of the net income = (Betty's capital balance / Total capital balance) * Net income Betty's share of the net income = ($11,000 / $94,000) * $50,000Betty's share of the net income = $5,319.15 (rounded to the nearest cent)

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There are various trading strategies using moving averages. First. study articles and understand the moving average strategy for trading stocks. What trading strategy is used in the moving averages for the STOCK? (any stock or crypto can be used for answer)

Answers

The moving average strategy is used to trade stocks.

What is the trading strategies using moving averages for stocks?

Moving averages are widely used in stock trading strategies as a technical analysis tool. This strategy involves calculating the average price of a stock over a specific time period, such as 50 days or 200 days. Traders utilize different types of moving averages, including simple moving averages (SMA) and exponential moving averages (EMA), to identify trends and generate trading signals.

The most common approach is to look for crossovers between different moving averages. For example, when a shorter-term moving average (e.g., 50-day SMA) crosses above a longer-term moving average (e.g., 200-day SMA), it may signal a bullish trend, indicating a potential buying opportunity. Conversely, when the shorter-term moving average crosses below the longer-term moving average, it may indicate a bearish trend and a potential selling opportunity.

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ASSIGNMENT 4.pdf - Adobe Reader File Edit View Window Help Open 1 2 D 145% Th Tools Question 1. [20 marks] A process, projected to have a total depreciable capital, CTDC, of $90 million, with no allocated costs for off-site utilities, is to be installed over a 3-yr period (1997-1999). Just prior to start-up, $40 million of working capital is required. At 90% of production capacity (projected for the third and subsequent operating years), sales revenues, S, are projected to be $150 million/yr and the total annual production cost, excluding depreciation, is projected to be $100 million/yr. Also, the plant is projected to operate at 0.5 of 90% and 0.75 of 90% of capacity during the first and second operating years. Thus, during those years, S = $75 million/yr and $113 rnillion/yr, respectively. Take straight-line depreciation at 8%/yr. Using the third operating year as a basis, compute: a) return on investment (ROI) b) b. payback period (PBP) Fill & Sign Comment

Answers

Return on investment (ROI) is a measure of the profitability of an investment. It calculates the percentage of net earnings from an investment relative to the total cost of investment.

ROI= (Net Earnings / Total Cost of Investment) * 100The first step is to calculate the total depreciable capital, CTDC.CTDC = $90 Million

Working capital required before start-up = $40 million

The annual production cost, excluding depreciation, is projected to be $100 million/yr.

Total annual sales revenues projected = $150 million/yr

ROI can be calculated based on the following formula;ROI= (Net Earnings / Total Cost of Investment) * 100 = [($150 million - $100 million * (1 - 0.08)) * 90%] / $130 million * 100 = 38.17%

Payback period refers to the time that a project takes to generate enough returns to cover the initial investment.

The first step is to calculate the annual net earnings after tax for each year.

Annual net earnings = Sales - Production cost - Depreciation- Taxes

The total depreciable capital, CTDC = $90 million

Depreciation rate = 8% per annumAnnual depreciation = CTDC * depreciation rateAnnual depreciation = $90 million * 8% = $7.2 million

Annual net earnings after-tax are as follows;

Year 1Annual net earnings = ($75 million - $100 million - $7.2 million) * (1 - 30%) = -$35.4 million

Year 2Annual net earnings = ($113 million - $100 million - $7.2 million) * (1 - 30%) = $0.31 million

Year 3Annual net earnings = ($150 million - $100 million - $7.2 million) * (1 - 30%) = $25.34 million

The payback period (PBP) is calculated using the following formula;

PBP = Initial investment / Annual net earnings PBP1= ($90 million + $40 million) / -$35.4 million = 3.25 years

PBP2 = ($90 million + $40 million) / $0.31 million = 385.55 years

PBP3 = ($90 million + $40 million) / $25.34 million = 4.72 years

Therefore, the payback period for the investment is 4.72 years.

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Bucher Credit Bank is offering 6.8 percent compounded daily on its savings accounts. Assume that you deposit $6,500 today.
How much will you have in the account in 3 years? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16. Use 365 days in a year.)
Future value $
How much will you have in the account in 6 years? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16. Use 365 days in a year.)
Future value $
How much will you have in the account in 12 years? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16. Use 365 days in a year.)
Future value $

Answers

Bucher Credit Bank is offering 6.8 percent compounded daily on its savings accounts and assume that you deposit $6,500 today. The future value of the deposited amount in the account after 3 years is $8017.41, after 6 years is $9827.03 and after 12 years is $15510.49.

Using the compound interest formula = PV * (1 + r/n)^(n*t)

Where, FV is the future value PV is the present value, which is $6,500r is the interest rate in decimal formn is the number of times the interest is compounded per year, which is 365t is the time in years (1 + r/n) = (1 + 0.068/365) = 1.00018630.

1. FV in 3 years; FV = PV * (1 + r/n)^ (n*t) FV = 6500 * (1.000186301) ^(365*3)FV = 6500 * (1.000186301) ^1095FV = 6500 * 1.232686954 FV = $8017.41 (rounded to two decimal places)

2. FV in 6 years;FV = PV * (1 + r/n)^(n*t)FV = 6500 * (1.000186301)^(365*6)FV = 6500 * (1.000186301)^2190FV = 6500 * 1.510850159FV = $9827.03 (rounded to two decimal places)

3. FV in 12 years;FV = PV * (1 + r/n)^(n*t)FV = 6500 * (1.000186301)^(365*12)FV = 6500 * (1.000186301)^4380FV = 6500 * 2.384691495FV = $15510.49 (rounded to two decimal places).

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Please use Excel to answer these question
A borrower has secured a 30-year, $255,000 loan at 8% with monthly payments. Fifteen years later, the borrower has the opportunity to refinance with a 15-year mortgage at 7.5%. However, the new loan requiers the borrower to pay 2 points at closing. What is the NPV associated with the refinance decision?

Answers

The NPV associated with the refinance decision is -$3,387.68. The borrower would have a negative net present value, indicating that the refinance decision would not be financially beneficial.

To calculate the net present value (NPV) associated with the refinance decision, we need to compare the cash flows of the current loan with the cash flows of the new loan, taking into account the cost of points.

Let's break down the calculation into three parts:

Part 1: Calculate the remaining cash flows of the current loan after 15 years.

Since the borrower has already been paying the current loan for 15 years, there are 15 years remaining on the loan term.

Using a loan amortization formula, we can calculate the remaining monthly payment:

Remaining Payment = Loan Amount / [(1 - (1 + r)⁽⁻ⁿ⁾) / r]

where:

Loan Amount = $255,000

r = Monthly interest rate = 8% / 12 = 0.08 / 12

n = Remaining number of months = 15 years * 12 months/year

Calculate the remaining payment:

Remaining Payment = $255,000 / [(1 - (1 + 0.08/12)⁽⁻¹⁵*¹²⁾) / (0.08/12)]

                = $1,834.82

Part 2: Calculate the cash flows

Calculate the cash flows of the new loan.

The new loan is a 15-year mortgage at 7.5% interest rate. We need to calculate the monthly payment for this new loan.

Using the same loan amortization formula:

New Loan Payment = Loan Amount / [(1 - (1 + r)⁽⁻ⁿ⁾) / r]

where:

Loan Amount = $255,000 (remaining balance from the current loan)

r = Monthly interest rate = 7.5% / 12 = 0.075 / 12

n = Remaining number of months = 15 years * 12 months/year

Calculate the new loan payment:

New Loan Payment = $255,000 / [(1 - (1 + 0.075/12)⁽⁻¹⁵*¹²⁾) / (0.075/12)]

               = $2,310.36

Part 3: Calculate the NPV associated with the refinance decision.

The NPV is calculated by comparing the present value of the cash flows of the new loan with the present value of the cash flows of the current loan, including the cost of points.

Since the points cost is 2% of the loan amount, the points cost is:

Points Cost = 2% * $255,000 = $5,100

Now, let's calculate the NPV:

NPV = Present Value of New Loan Cash Flows - Present Value of Current Loan Cash Flows - Points Cost

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

PV = PMT * [(1 - (1 + r)⁽⁻ⁿ⁾) / r]

where:

PMT = Payment per period

r = Discount rate (monthly interest rate)

n = Number of periods (remaining number of months)

Calculate the present value of cash flows for the new loan:

PVNew= New Loan Payment * [(1 - (1 + r)⁽⁻ⁿ⁾) / r]

Calculate the present value of cash flows for the current loan:

PVCurrent= Remaining Payment * [(1 - (1 + r)⁽⁻ⁿ⁾) / r]

Calculate the NPV:

NPV = PVNew- PVCurrent- Points Cost

Now, let's plug in the values and calculate:

PVNew= $2,310.36 * [(1 - (1 + 0.075/12)⁽⁻¹⁵*¹²⁾) / (0.075/12)]

       = $29,082.82

PVCurrent= $1,834.82 * [(1 - (1 + 0.08/12)⁽⁻¹⁵*¹²⁾) / (0.08

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Imagine you were hired as a marketing research consultant to research the shipping/logistics industry in the United States to help an entrepreneur determine if she should launch a new company that helps businesses with her domestic shipping/logistics needs.
Describe what your plan would be to research this industry (be specific)
Do a first round of research and describe your initial findings
State what more you would need to do to come up with a recommendation for the entrepreneur

Answers

If I were hired as a marketing research consultant to research the shipping/logistics industry in the United States, my plan to research this industry would be as follows: Conduct a literature review: This is an important step in getting to understand the industry better.

If I were hired as a marketing research consultant to research the shipping/logistics industry in the United States, my plan to research this industry would be as follows: Conduct a literature review: This is an important step in getting to understand the industry better. I would read books, articles, reports, and other forms of literature on the shipping/logistics industry, including its history, evolution, current trends, and future prospects.Carry out a survey: A survey would be an effective way to understand the needs of businesses when it comes to shipping/logistics. I would contact different businesses that use shipping and logistics services and ask them questions about their experiences with shipping and logistics providers.Conduct interviews: I would conduct interviews with shipping and logistics professionals to understand the challenges and opportunities in the industry. I would ask them about the trends, challenges, and prospects in the industry.Analyze data: I would analyze the data I collect from the survey and interviews to identify the trends, challenges, and opportunities in the shipping/logistics industry. This would help me make informed recommendations to the entrepreneur.The initial findings from my first round of research indicate that the shipping/logistics industry is a critical component of the US economy. It is an industry that has experienced significant growth in recent years, with more businesses looking to outsource their shipping and logistics needs. However, the industry faces many challenges, including fierce competition, high operating costs, and increased regulation.To come up with a recommendation for the entrepreneur, I would need to carry out more research. I would need to analyze the data I collect from the literature review, survey, and interviews to identify the gaps in the market that the entrepreneur can exploit. I would also need to identify the strengths, weaknesses, opportunities, and threats of the proposed business. This information would enable me to make informed recommendations to the entrepreneur on whether or not to launch the new company that helps businesses with their domestic shipping/logistics needs.

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If a recession is caused by a fall in aggregate demand, then O it is likely to be accompanied by an increase in the inflation rate. the price level or inflation rate will probably also fall. O it will probably cause the money supply to fall. O it will cause the unemployment rate to fall also.

Answers

If a recession is caused by a fall in aggregate demand, then the price level or inflation rate will probably also fall. The correct option is B.

When aggregate demand decreases, it causes a decrease in gross domestic product (GDP). This causes firms to reduce their output, and many people may lose their jobs. This leads to lower consumer spending and therefore lower aggregate demand. It is a vicious cycle that can lead to a recession.

Inflation rate is usually expected to fall in times of economic recessions. When the aggregate demand is weak, it results in the excess supply of goods, services, and labour. The reduction in demand may force sellers to reduce the price of goods and services they are selling so that they can attract buyers. When the price of goods and services is reduced, the cost of living falls. The cost of living is measured by the rate of inflation.

Therefore, in the case of a recession that is caused by a fall in aggregate demand, the price level or inflation rate will probably fall.  The correct option is B.

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