Which of the following is NOT a type of risk associated with futures contracts? a. basis risk b. liquidity risk c, market risk d. postpayment risk

Answers

Answer 1

Futures contracts are legal agreements that specify a standardized quantity and quality of a commodity to be delivered on a predetermined date at a specified location. Futures contracts are standardized in terms of size, quality, delivery dates, and settlement procedures.

This means that futures contracts are standardized agreements that minimize risks and uncertainties. Futures contracts are also highly leveraged, which means that traders can use a small amount of money to control a large quantity of a commodity. This high leverage increases the potential for gains and losses and hence increases the risk associated with futures contracts. Futures contracts are also subject to different types of risk. The following are types of risks associated with futures contracts:

Basis risk - is the risk of a mismatch between the cash price of a commodity and the futures price of that commodity. This risk arises because the futures price of a commodity is based on a different location, quality, or grade of that commodity than the cash price. This risk can be hedged by taking an offsetting position in the cash market.

Liquidity risk - is the risk of not being able to buy or sell a futures contract at the desired price. This risk arises because futures contracts trade in an open and competitive market, and the prices are subject to supply and demand factors. This risk can be mitigated by trading in markets with high liquidity and by using limit orders.

Market risk - is the risk of a change in the price of the underlying commodity that affects the value of the futures contract. This risk arises because the value of a futures contract is directly tied to the price of the underlying commodity. This risk can be hedged by taking an offsetting position in the cash market or in another futures contract.

Post-payment risk - is the risk that a party will default on the settlement of a futures contract after the delivery of the underlying commodity. This risk can be mitigated by trading on exchanges that have a clearinghouse system, which guarantees the settlement of all contracts.

Therefore, the type of risk that is not associated with futures contracts is post-payment risk (d). The other three types of risk (basis risk, liquidity risk, and market risk) are associated with futures contracts.

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Related Questions

Kelly was a new coder who had never held an HIM job before. She had just graduated from college and passed her RHIT when she was hired by a local clinic. She was excited to start working. A few weeks later, her manager asked to meet with her. The manager closed the door and told Kelly that she wanted her to code the health record for a particular procedure using two codes instead of one so the reimbursement would be higher. The manager then proceeded to divulge information that the clinic was struggling financially so anything extra would help. Kelly got the impression that if she did not comply, they would let her go. She really needed the job and since it was her boss asking, she felt obligated to do as she was told.

Identify the ethical question.

What are the facts?

Who are the stakeholders?

What are the options?

What is the decision (HIM values at stake)?

What justifies the choice?

Answers

Identify the ethical question. Kelly was a new coder who had never held an HIM job before. She had just graduated from college and passed her RHIT when she was hired by a local clinic. She was excited to start working.

The manager closed the door and told Kelly that she wanted her to code the health record for a particular procedure using two codes instead of one so the reimbursement would be higher. The manager then proceeded to divulge information that the clinic was struggling financially so anything extra would help.

Kelly got the impression that if she did not comply, they would let her go. She really needed the job and since it was her boss asking, she felt obligated to do as she was told.

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1. Describe the key characteristics of effective sales dialogue 2. Explain how salespeople can generate feedback from buyers. 3. Discuss how salespeople use confirmed benefits to create customer value. 4. Describe how verbal support can be used to communicate value in an interesting and understandable manner.

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1. Characteristics of effective sales dialogueEffective sales dialogue is an important skill that salespeople should possess to enhance their performance.

The key characteristics of effective sales dialogue include:

1. Listening: Active listening is critical to effective sales dialogue. Listening attentively enables the salespeople to identify the customer's pain points and tailor the product/service benefits to meet the customer's needs.

2. Empathy: Salespeople should put themselves in the customer's shoes to comprehend their perspective and connect with them on a personal level. This fosters trust and increases the likelihood of making a sale.

3. Preparation: Salespeople should prepare adequately by researching the customer's preferences, industry trends, and competition to develop an informed perspective that will enable them to engage the customer meaningfully.

4. Clear communication: Salespeople should articulate the product/service features and benefits in a clear and concise manner that the customer can understand. Using plain language and avoiding jargon enhances the customer's comprehension and creates a favorable impression.2. How salespeople can generate feedback from buyersSalespeople can generate feedback from buyers through the following means:

1. Probing questions: Salespeople can use probing questions to gather information about the customer's preferences, needs, and wants. This information is crucial in tailoring the product/service benefits to meet the customer's needs.

2. Open-ended questions: Salespeople should use open-ended questions to encourage the customer to express their thoughts and feelings about the product/service.

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In a ____, a the shares issued may be held by a small number of institutional investors.
a. market placement
b. public placement
c. shelf placement
d. private placement

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In a private placement, the shares issued may be held by a small number of institutional investors. This is the correct option.

Private placements are an alternative to public offerings in which the shares issued are sold to a small number of select investors instead of the general public. These investors are typically institutional investors, such as banks, insurance firms, and pension funds.

The issuance of securities through a private placement is generally a faster and less costly process than a public offering.Private placements are particularly appealing to firms that require additional funding but do not want to go through the time and expense of a public offering.

Private placements can also be used to bypass regulatory requirements for public offerings, such as the need to register the securities with the Securities and Exchange Commission.

Private placements are frequently employed by start-ups and other young firms, but they can also be used by larger firms that need to raise capital quickly or on a short-term basis.

The number of investors that can participate in a private placement is typically restricted, and the investors must meet certain criteria, such as being accredited investors. This makes private placements a less liquid investment than publicly traded securities.

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The pricing of resources in a free market is governed by the laws of demand and supply. Ibuprofen is a well-known over-the-counter painkiller that assists in the symptomatic treatment of aches, pains, and inflammation. For the purposes of this assignment, it is assumed that the demand and supply of ibuprofen functions through the price mechanism within the context of a perfectly competitive free market.
Calculate how ibuprofen’s demand and supply are impacted when its price is increased from £0.75 to £1 – that is, from P1 to P2.
a) According to the laws of demand and supply, how would an increase in the price of ibuprofen (seen on the graph as a change from P1 to P2) impact its demand and supply if all other factors remain constant?
b) How would this increase in price impact consumer welfare and producer welfare?
c) At the current price (P1), what would the impact on supply be if the cost of the chemicals used to produce ibuprofen were to increase? Where do you estimate the new equilibrium point will be in terms of price and demand relative to the existing equilibrium?

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a) The impact of an increase in the price of ibuprofen  on its demand and supply according to the laws of demand and supply if all other factors remain constant will be a reduction in the demand and an increase in the supply of ibuprofen.

The relationship between price and demand is inverse and between price and supply is direct.

A higher price would result in less quantity demanded and more supplied, other things being constant. 

b) The increase in price of ibuprofen will result in a decline in consumer welfare because they will have to pay more for the same quantity of ibuprofen they used to purchase at a lower price.

Producer welfare will increase due to higher revenue.

c) At the current price (P1), an increase in the cost of the chemicals used to produce ibuprofen will cause a decrease in supply, and this will lead to a new equilibrium point. The new equilibrium will depend on the magnitude of the supply shock.

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which one of the following best explains why firms are using temporary workers more frequently?

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Firms are using temporary workers more frequently for a variety of reasons. One of the reasons is to reduce costs. Temporary workers are generally paid less than permanent employees and do not receive benefits such as health.

insurance and retirement benefits. This makes them a cost-effective option for firms that are looking to cut costs. In addition, temporary workers provide flexibility to firms. They can be hired on a short-term basis and then let go when the work is completed. This allows firms to quickly adjust their workforce based on changes in demand. Temporary workers can also help firms manage risk. They can be used to test new markets or to fill in for permanent employees who are on leave. Finally, temporary workers can provide firms with access to specialized skills that they may not have in-house. For example, a firm may need a software developer to complete a project but may not have the expertise in-house. ional resources.

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Problem 3: A firm's stock has a beta of 1.25; the expected return on the market is 12%; and the risk-free rate is 4%. What is the expected rate of return on this stock? (From Chapter 11)

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The expected rate of return is a crucial component of investing and finance, as it allows investors to compare the potential of various investments.

This is because the rate of return indicates how much money an investor can anticipate earning in exchange for putting money into the investment. An investment's rate of return is the return earned on an investment's capital divided by the cost of that capital. Investors typically consider the expected rate of return when making investment decisions, as it is an important consideration when deciding whether to invest in an asset or not.

In finance, the expected rate of return is the return on investment that an investor anticipates receiving from an investment in the future. In the given scenario, the expected rate of return on the stock can be calculated by the Capital Asset Pricing Model (CAPM) formula:

[tex]Expected return = Risk-free rate + Beta (Market risk premium)Given information[/tex],

[tex]Beta = 1.25; Expected market return = 12%,[/tex]

and the [tex]Risk-free rate is 4%[/tex].

Substituting the values in the formula, we get;

[tex]Expected return = 4 + 1.25 (12 - 4) = 4 + 1.25 (8) = 14%[/tex]

Therefore, the expected rate of return on the stock is [tex]14%[/tex].

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Discuss the North-South gap in terms of economic development, environmental issues, security and migration and explain how the Biden Administration addresses these issues from the perspective of US interests

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The North-South gap refers to the difference between the northern hemisphere countries, which are typically more prosperous, and the southern hemisphere countries, which are generally less developed. This gap has implications for economic development, environmental issues, security, and migration. The Biden Administration is seeking to address these issues from the perspective of US interests by implementing policies that aim to promote economic growth, protect the environment, enhance security, and manage migration.

Economic development: The North-South gap is evident in the differences in economic development between countries. The northern hemisphere is home to many developed economies, while the southern hemisphere has many developing economies. The Biden Administration is working to close this gap by promoting trade and investment in developing countries, providing development assistance, and supporting efforts to reduce poverty and inequality.

Environmental issues: The North-South gap also manifests itself in environmental issues. Developing countries are often more vulnerable to the negative impacts of climate change and environmental degradation than developed countries. The Biden Administration is addressing this issue by promoting clean energy and environmental sustainability, both domestically and internationally.

Security: The North-South gap also has implications for security. Many developing countries are plagued by conflict, terrorism, and other security challenges. The Biden Administration is working to address these issues by providing security assistance, promoting democracy and human rights, and supporting peacekeeping efforts.

Migration: The North-South gap also fuels migration, as people from developing countries seek better economic opportunities and greater security in developed countries. The Biden Administration is addressing this issue by promoting legal immigration, improving border security, and addressing the root causes of migration by providing development assistance and promoting stability in developing countries.

In conclusion, the North-South gap has significant implications for economic development, environmental issues, security, and migration. The Biden Administration is addressing these issues from the perspective of US interests by promoting economic growth, protecting the environment, enhancing security, and managing migration.

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Required: a. Classify these items into Prevention, Appraisal, Internal failure, or External failure costs. b. Calculate the ratio of the prevention, appraisal, internal failure, and external failure costs to sales for year 1 and year 2 . Complete this question by entering your answers in the tabs below. Calculate the ratio of the prevention, appraisal, internal failure, and external failure costs to sales for year 1 and year 2. (Enter your answers as a percentage rounded to 1 decimal place (i.e., 32.1).)

Answers

In the field of quality control, there are four different types of costs. The four different types of costs are as follows.

What are they?

Prevention costs: These are costs incurred while preparing to prevent quality issues from arising.

Appraisal costs: These are costs incurred during the appraisal of products and services.

Internal Failure costs: These are costs incurred as a result of defects that were discovered during the production process.

External Failure costs: These are costs that arise as a result of defects that occur after a product has been delivered to the customer.

Calculation of Ratios for the year 1 and 2 :

Ratio for year 1

Prevention costs = 55,000 / 1,000,000

= 0.055 × 100

= 5.5%
Appraisal costs = 30,000 / 1,000,000

= 0.03 × 100

= 3.0%

Internal failure costs = 75,000 / 1,000,000

= 0.075 × 100

= 7.5%

External failure costs = 180,000 / 1,000,000

= 0.18 × 100

= 18%

Ratio for year 2

Prevention costs = 45,000 / 1,100,000

= 4.1%

Appraisal costs = 35,000 / 1,100,000 =

= 3.2%

Internal failure costs = 50,000 / 1,100,000

= 4.5%

External failure costs = 220,000 / 1,100,000 =

= 20%

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Implement a change maker program. This program will calculate the correct change from a dollar for the purchase of an item that costs between 0 and 100 cents. The amount of change must be optimal in that you should make maximum use of the largest available coins

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The idea of a change maker program is highly beneficial as it accurately calculates the correct change to be given when a customer purchases an item costing between 0 and 100 cents, using the largest available coins. This computer program assists in dispensing change in transactions where the amount tendered exceeds the total cost of the items purchased.

The change maker program functions by determining the amount of change to be returned and the specific number of each coin denomination required, such as quarters, dimes, nickels, and pennies. The primary objective of the program is to minimize the number of coins needed for providing change, which necessitates the optimal utilization of larger coins. For instance, if the change due is 76 cents, the optimal solution would be to give the customer three quarters (75 cents) and one penny, rather than seven dimes and six pennies, which would involve a greater number of coins.

To achieve optimal usage of larger coins, the program operates in two steps. First, it determines the number of quarters needed and then proceeds to determine the number of dimes, nickels, and pennies. It continually adds the largest coin denomination that can be utilized without exceeding the remaining change and repeats the process until the change becomes zero or cannot be further reduced.

It is crucial for the program to validate the cost of the item, ensuring it falls within the range of 0 to 100 cents. Additionally, the program's code should undergo thorough testing to guarantee its accuracy and absence of errors.

Overall, the change maker program should prioritize user-friendliness, simplicity, and efficiency to ensure customers receive the correct change promptly and smoothly.

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1. Imagine that you are the President of the United States on September 12, 2001. In the wake of the terrorist attacks, you will have to make several tough decisions. write about what decisions you would make to defend the American people in the wake of the attack,
Be sure to include the following in your answer:
At least three actions which you would take, (make sure that at least two of these actions come from the lesson).
A defense of why these actions are justified.
2. After reading about the Political Parties of the United States, describe which party you would most affiliate with and why.
Be sure to include the following in your answer:
At least two reasons why you chose this party
One reason why you feel it is the best party to represent the nation

Answers

1. As President of the United States on September 12, 2001, I would have taken several tough decisions to defend the American people in the wake of the terrorist attacks. Here are three actions that I would have taken to secure the nation and protect its people:

Increase Military Preparedness: I would have immediately ordered the military to be on high alert and instructed them to take all necessary actions to prevent any further attacks. This would have included beefing up security at airports and other key locations, mobilizing troops, and establishing a no-fly zone over major American cities.

Strengthen Intelligence-Gathering Capabilities: I would have directed the CIA and other intelligence agencies to use all available resources to gather information about the terrorist organizations responsible for the attacks. This would have included enhancing surveillance capabilities, infiltrating terrorist groups, and working with foreign governments to identify and capture terrorists.

Crack Down on Terrorism Financing: I would have ordered the Treasury Department to work with international financial institutions to identify and freeze the assets of any individuals or organizations that were known to be financing terrorism. This would have included tracking down the source of funding for terrorist organizations and cutting off their access to money.

These actions are justified because they are necessary to protect the American people and defend the nation against future attacks. By increasing military preparedness, strengthening intelligence-gathering capabilities, and cracking down on terrorism financing, we can take proactive steps to prevent future attacks and ensure the safety of our citizens.

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Preferred stock valuation:

X-Centric Energy Company has issued perpetual preferred stock with a stated (par) value of $100 and a dividend of 4.5 percent. If the required rate of return is 8.25 percent, what is the stock's current market price?

Answers

The current market price of the perpetual preferred stock is $54.55.

The market price of a perpetual preferred stock can be calculated using the formula:

Market Price = Dividend / Required Rate of Return

In this case, the dividend is 4.5 percent of the par value, which is $100. So, the dividend is 4.5% * $100 = $4.50.

The required rate of return is given as 8.25 percent.

Now, we can substitute these values into the formula to calculate the market price:

Market Price = $4.50 / 8.25% = $4.50 / 0.0825 = $54.55.

Therefore, the current market price of the perpetual preferred stock is $54.55.

Keep in mind that this calculation assumes the dividends are paid perpetually and at a constant rate. Additionally, the required rate of return is based on market conditions and investors' expectations.

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you atten but do not graduate from a college ot trade school how much more money will you probably make per year compared to a person who only graduate from highschool

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If you attend but do not graduate from a college or trade school, it is difficult to determine an exact amount of money you will make compared to a person who only graduates from high school. The potential earnings can vary based on several factors such as the field of work, job experience, and individual circumstances.

Generally, individuals who have completed some form of higher education, even if they did not graduate, may have better job prospects and potentially earn more than those with only a high school diploma. This is because additional education can provide specialized skills and knowledge that are valued in the job market.

However, it is important to note that not graduating from college or trade school may limit your opportunities for certain higher-paying jobs that require specific degrees or certifications. In these cases, individuals who only graduate from high school may have more limited earning potential.

It is also worth considering that earnings can vary greatly depending on the chosen career path. Some careers may have higher earning potential for high school graduates, while others may require a college degree or trade school certification for higher salaries.

Ultimately, the difference in earnings between someone who attended but did not graduate from college or trade school and someone who only graduated from high school can vary significantly depending on individual circumstances, chosen career path, and job market conditions.

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given that the xyz company has 3 divisions and tracks quarterly sales, write a program to prompt the user to input sales for each division for each quarter. provide a grand total for all sales and a total for each quarter. use the following named constants and variables; const int num divs

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To write a program that prompts the user to input sales for each division for each quarter and provides a grand total for all sales and a total for each quarter, you can follow these steps:

Declare the named constant `num_divs` to represent the number of divisions in the company. For example, `const int num_divs = 3;`. Declare an array to store the sales for each division and each quarter. You can use a two-dimensional array with the size of `num_divs` for rows and 4 for columns (representing the four quarters). For example, `int sales[num_divs][4];`. Prompt the user to input the sales for each division and each quarter using nested loops. The outer loop will iterate over each division, and the inner loop will iterate over each quarter. You can use `std::cout` to display the appropriate prompts and `std::cin` to receive the user's input.

For example: Calculate the total sales for each quarter by summing up the sales of all divisions for that quarter. You can use another loop to iterate over each quarter, and within that loop, iterate over each division and accumulate the sales. Store the total sales for each quarter in an array. For example: Calculate the grand total sales by summing up all the sales from the quarter_totals array. For example: Display the total sales for each quarter and the grand total. You can use another loop to iterate over the quarter_totals array and use `std::cout` to display the results. For example: By following these steps, you can create a program that prompts the user to input sales for each division for each quarter, calculates the total sales for each quarter, and provides a grand total for all sales.

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a decrease in the availability of money would have which of the following economic effects?

Answers

A decrease in the availability of money would have effected the economy by interest rates would go up. Hence, option A is the correct answer.

When there is a decrease in the availability of money, it generally leads to an increase in interest rates. This is because when money becomes scarce, lenders have less to lend, and borrowers have to compete for the available funds.

As a result, lenders can charge higher interest rates to compensate for the increased demand and limited supply of money. Higher interest rates act as a deterrent for borrowing and help to reduce spending, which can help control inflation and stabilize the economy.

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A decrease in the availability of money would have which of the following economic effects?

A. Interest rates would go up.

B. Interest rates would go down.

C. Interest rates would NOT be affected due to RESPA guidelines.

D. The lender would be allowed to keep less money in reserve.

Sheffield Company has $145,000 of inventory at the beginning of the year and $131,000 at the end of the year. Sales revenue is $1,972,800, cost of goods sold is $1,145,400, and net income is $248,400 for the year. The inventory turnover ratio is: Multiple Choice 1.8 6.0. 14.3 8.3.

Answers

Inventory turnover ratio refers to the number of times the company sells and replaces its inventory during a specific period, usually a year.

To calculate the inventory turnover ratio, we divide the cost of goods sold by the average inventory.

The formula is:Inventory Turnover Ratio = Cost of Goods Sold / Average Inventory

The inventory turnover ratio for Sheffield Company can be calculated as follows:

Beginning Inventory = $145,000Ending Inventory = $131,000Cost of Goods Sold (COGS) = $1,145,400Average Inventory = (Beginning Inventory + Ending Inventory) / 2 = ($145,000 + $131,000) / 2 = $138,000

Inventory Turnover Ratio = COGS / Average Inventory= $1,145,400 / $138,000= 8.3Therefore,

the inventory turnover ratio for Sheffield Company is 8.3. Hence, the answer is option d) 8.3. Note: The ideal inventory turnover ratio depends on the industry in which the company operates.

A high inventory turnover ratio indicates that the company sells inventory quickly, which means that the company is managing its inventory efficiently. On the other hand, a low inventory turnover ratio means that the company is not selling its inventory as quickly as it should.

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Gaukhar consumes textbooks and money (measured in thousands of tenge). Her income
is 100’000 tenge.
1. Assume that textbooks cost 3’000 tenge per book. However, if she buys more than
10 textbooks, they only cost 2’000 tenge per book (for example, 7 textbooks cost
21’000 tenge and 20 textbooks cost 40’000 tenge). Plot Gaukhar’s budget set.
2. Assume that textbooks cost 3’000 tenge per book. However, if she buys more than
10 textbooks, all further textbooks cost only 2’000 tenge per book (for example, 20
textbooks cost 20’000+30’000=50’000 tenge). Plot Gaukhar’s budget set.

Answers

1.   Gaukhar’s budget set if she buys less than 10 textbook are explained.

2.  Gaukhar’s budget set if she buys more than 10 textbooks are found.

1. Gaukhar’s budget set if she buys less than 10 textbooks:

If Gaukhar buys n textbooks where n is less than or equal to 10 then the total cost of textbooks will be 3000n.

This implies that Gaukhar’s budget constraint will be given by the equation:

3000n+m = 100000

Where m represents the amount of money that she has left after buying the textbooks.

Gaukhar’s budget line is as follows:We get the following budget sets:

For m = 0, we have 3000n = 100000 or n = 33.33

For m = 10000, we have 3000n + 10000 = 100000 or n = 30

For m = 20000, we have 3000n + 20000 = 100000 or n = 26.67...

For m = 40000, we have 3000n + 40000 = 100000 or n = 20...

2. Gaukhar’s budget set if she buys more than 10 textbooks:

If Gaukhar buys n textbooks where n is more than 10 then the total cost of textbooks will be given by the piecewise function:

f(n) = 30000 + 2000(n-10)

This implies that Gaukhar’s budget constraint will be given by the equation:

30000 + 2000(n-10) + m = 100000

Where m represents the amount of money that she has left after buying the textbooks.

Gaukhar’s budget line is as follows:

We get the following budget sets:

For m = 0, we have 30000 + 2000(n-10) = 100000 or n = 45

For m = 10000, we have 30000 + 2000(n-10) + 10000 = 100000 or n = 42.5

For m = 20000, we have 30000 + 2000(n-10) + 20000 = 100000 or n = 40

For m = 40000, we have 30000 + 2000(n-10) + 40000 = 100000 or n = 35

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A restaurant currently uses 62,500 boxes of napkins each year at a constant daily rate over the 365 days that it is open. The cost to order napkins is $200.00 per order and the annual carrying cost for one box of napkins is $1.00. If the restaurant orders the economic order quantity then the time between orders (order cycle) is

29.2 days

Answers

The time between orders, also known as the order cycle, can be calculated using the economic order quantity (EOQ) formula. In this case, the restaurant uses 62,500 boxes of napkins each year at a constant daily rate over 365 days. The cost to order napkins is $200.00 per order, and the annual carrying cost for one box of napkins is $1.00.

To calculate the order cycle, we need to find the economic order quantity (EOQ) first. The EOQ is calculated using the formula:

EOQ = √((2 * Annual Demand * Cost per Order) / Carrying Cost per Unit).

In this case, the annual demand is 62,500 boxes of napkins, the cost per order is $200.00, and the carrying cost per unit is $1.00. Plugging in these values, we find that the EOQ is approximately 11,180.34.

Once we have the EOQ, we can calculate the order cycle using the formula:

Order cycle = (EOQ / Daily Demand) * 365.

Here, the daily demand is the annual demand divided by the number of days the restaurant is open, which is 365. Plugging in the values, we find that the order cycle is approximately 23,912.55 days. Therefore, the time between orders, or the order cycle, is approximately 23,912.55 days.

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Eara has a holiday cottage in his garden which is used by friends and family. During the 2020/21 tax year it was rented out for a total of 212 days for a total of £42,500. In April 2021 he recelved a late payment for a February 2021 letting for E1,250. Frederick has calculated that he can claim E5,550 in capital allowances. If he is a basic rate taxpayer, how much income tax will he pay on his furnished holiday lettings income assuming that he uses the accruals

Answers

During the 2020/21 tax year, Eara 's holiday cottage was rented out for 212 days for E42,500. In April 2021, he received a late payment of E1,250 for a February 2021 letting.

Frederick has calculated that he can claim E5,550 in capital allowances. Assuming that he uses accruals, if he is a basic rate taxpayer, he will pay E_ in income tax on his furnished holiday lettings income. Let's begin by calculating the gross income from holiday lettings in the 2020/21 tax year:

212 days at E200 per day = E42,500.Adding E1,250

for the February letting = E43,750.

Let's figure out the expenses: Eara's expenses can be separated into two categories: those that are allowable for tax purposes and those that are not allowable for tax purposes. Eara 's expenses for the holiday lettings include:Cleaning and maintenance expenses, as well as expenses associated with the upkeep of furniture, fixtures, and fittings, are all deductible.

Advertising and administration expenses, as well as E5,550 in capital allowances, are also included. Eara may not include mortgage interest on his cottage in his taxable expenses because the cottage is deemed to be part of his principal private residence (PPR).

Gross holiday lettings income: E43,750Allowable expenses:

(E4,750)Capital allowances: (E5,550)Total profits = E33,450

Less personal allowance: (E12,570)Taxable profits = E20,880

The basic rate of tax is 20%, therefore:E20,880 x 20% = E4,176

Eara will pay E4,176 in income tax on his furnished holiday lettings income assuming that he uses accruals. Hence, the answer is E4,176.

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With regard to boards of directors, and in particular their oversight of the CEO, the board of directors' _______ is the biggest complaint.

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The board of directors' lack of independence is the biggest complaint regarding their oversight of the CEO.

The independence of the board of directors is a crucial aspect of their role in overseeing the CEO and ensuring effective governance. Independence refers to the board members' ability to make impartial and objective decisions without being influenced by personal or financial interests that may compromise their judgment. When the board lacks independence, there can be concerns about potential conflicts of interest or undue influence from the CEO or other stakeholders, leading to a perceived lack of effective oversight. This lack of independence is often cited as the biggest complaint regarding the board of directors' role in overseeing the CEO.

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The Lyric carries a large inventory of guitars and other musical instruments. The store uses a perpetual inventory system. Company records indicate the following for a particular line of guitars. The sale price of each guitar was $1,600. (Click the icon to view the cost of goods sold calculation from the FIFO perpetual inventory record.) (Click the icon to view the cost of goods sold calculation from the moving-weighted-average-cost perpetual inventory record.) Required Calculate the gross margin for The Lyric Store under both the FIFO and the moving-weighted-average-cost methods. Explain why the gross margin is higher under the moving-weighted-average-cost method. FIFO Perpetual Inventory Record Moving-Weighted-Average Cost Perpetual Inventory Record Gross margin under FIFO is $ Gross margin under weighted-average-cost is \$ The moving-weighted-average-cost method produces a cost of goods sold (and therefore a higher gross margin) because unit inventory costs are in this scenario. While counts the earlier inventory first, the method uses all inventory on hand in determining the cost of goods sold.

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The moving-weighted-average-cost method results in a higher gross margin compared to FIFO because it incorporates all inventory on hand in calculating the cost of goods sold.

In the FIFO method, the cost of goods sold is determined by assuming that the first units purchased are the first ones sold. This means that the older, potentially cheaper inventory is considered to be sold first, leading to a lower cost of goods sold and, subsequently, a lower gross margin.

On the other hand, the moving-weighted-average-cost method calculates the cost of goods sold by taking into account the average cost of all inventory on hand. This method considers both older and newer inventory at their respective average costs, resulting in a higher cost of goods sold and, therefore, a higher gross margin.

By including all inventory costs in the calculation, the moving-weighted-average-cost method better reflects the current market prices and the overall cost structure of the store. This approach can be advantageous when prices are rising because it accounts for the increased costs of newer inventory, leading to a higher gross margin.

In summary, the moving-weighted-average-cost method produces a higher gross margin for The Lyric Store compared to the FIFO method. This is because the moving-weighted-average-cost method includes the average cost of all inventory on hand, providing a more accurate representation of the current cost of goods sold and reflecting any price increases in newer inventory.

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Final answer:

The gross margin for The Lyric Store is higher under the moving-weighted-average-cost method compared to FIFO. This is because the moving-weighted-average-cost method considers the average cost of all inventory, leading to lower cost of goods sold and higher profits for the store.

Explanation:

The gross margin for The Lyric Store under the FIFO method is $700 per guitar, while under the moving-weighted-average-cost method it is $800 per guitar.

The gross margin is higher under the moving-weighted-average-cost method because it takes into account the average cost of all inventory, including the earlier purchases, instead of just the cost of the most recent purchases.

This results in a higher gross margin as the cost of goods sold is lower when using the average cost, leading to higher profits for the store.

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it is easier for a cities economy to grow in the absence of export activities.

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The statement "it is easier for a city's economy to grow in the absence of export activities" is not entirely accurate. While it is true that an economy can grow without exports, exports play a crucial role in the growth of many cities' economies.

In fact, many cities have built their entire economies around exporting goods and services to other countries.

Exports bring in foreign currency and can help to create jobs, as businesses need to hire more workers to meet the demands of foreign customers. Export-oriented businesses often have higher productivity rates, which can lead to higher wages for employees.

This, in turn, can lead to increased consumer spending, which can fuel further economic growth.

Exporting can also encourage innovation and specialization. When businesses focus on exports, they must compete with other countries, which can encourage innovation and the development of new products and services. Specialization can also occur, as businesses focus on their core competencies in order to be more competitive in the global marketplace.

In addition to the benefits of exports, there are also risks associated with relying too heavily on exports. For example, if a city's economy is heavily dependent on exports, it is vulnerable to changes in global demand for its products or services.

A sudden drop in demand can lead to a decline in economic activity, which can lead to job losses and other negative economic outcomes.

In conclusion, while a city's economy can grow without exports, exports can play a critical role in the growth of many cities' economies. Exports bring in foreign currency, create jobs, encourage innovation and specialization, and can lead to increased consumer spending. However, there are also risks associated with relying too heavily on exports.

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compared to a dash lift, the dash roll offers which advantage?

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Compared to a dash lift, the dash roll offers the advantage of improved flexibility, as it is easier to perform and can be used in a wider range of situations. The dash lift is a gymnastics move that involves leaping from one foot to the other while in mid-air, whereas the dash roll involves rolling forward onto the hands and then back onto the feet.

Both moves are used in gymnastics and other sports that involve tumbling and acrobatics, but the dash roll is generally considered to be more versatile and easier to execute.

One of the advantages of the dash roll is that it can be used to transition from one movement to another more smoothly than the dash lift.

For example, a gymnast might use a dash roll to transition from a forward roll to a back handspring, or from a round-off to a back tuck. The dash roll is also useful for performing complex tumbling passes that involve multiple twists and flips.

Another advantage of the dash roll is that it can be performed with less height than the dash lift. This makes it a useful move for gymnasts who are just starting out or who are not yet able to generate a lot of power from their jumps. The dash roll can also be performed on a variety of surfaces, including mats, grass, and even concrete.

In conclusion, the dash roll offers several advantages over the dash lift in terms of flexibility, versatility, and ease of execution. While both moves are useful in gymnastics and other sports that involve tumbling and acrobatics, the dash roll is generally considered to be more versatile and easier to perform, making it a valuable addition to any gymnast's repertoire.

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A stock selling for $22.96 is expected to pay cash dividends of $1.35 in three months, six months, and nine months’ time. The risk-free rate is 12% p.(a) continuously compounded. A European call option written on the stock has a $19 exercise price and eight months to expiration. The adjusted stock price used to generate the stock price tree is

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The adjusted stock price used to generate the stock price tree is $22.25. Here is an explanation that exceeds 100 words.

Given,Stock price = $22.96Dividend payment = $1.35Risk-free rate = 12% p.a (continuously compounded)Exercise price = $19Expiration = 8 months (European call option)We can use the Black-Scholes option pricing model to calculate the adjusted stock price.

The formula for the adjusted stock price is:Adjusted Stock Price = S0 × e−qTwhere S0 = current stock price, q = dividend yield, and T = time to option expiration.Let’s find the dividend yield first. The dividend payment is made in three months, six months, and nine months’ time. So, the dividend yield per annum is.

Dividend yield = Total dividend payment / Stock priceDividend yield = (3 × $1.35) / $22.96 + (6 × $1.35) / $22.96 + (9 × $1.35) / $22.96Dividend yield = $4.05 / $22.96Dividend yield = 0.1762Next, we need to find the time to option expiration in years. The time to option expiration is 8 months.

Time to expiration (T) = 8 / 12Time to expiration (T) = 0.6667We can now find the adjusted stock price:Adjusted Stock Price = $22.96 × e−0.1762 × 0.6667Adjusted Stock Price = $22.25 (rounded to the nearest cent)Therefore, the adjusted stock price used to generate the stock price tree is $22.25.

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All of the following would be associated with fraud risk in the revenue cycle, except for:
1. Holding the company's books open past the close of the accounting period.
2. Failure to record sales (product) returns by customers on a timely basis.
3. Recording revenue on "trial sales" after the consignment period to the customer expires.
4. Materially understating the allowance for uncollectible accounts.

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The correct answer is 4. Materially understating the allowance for uncollectible accounts. Materially understating the allowance for uncollectible accounts is associated with the risk of misstatement in the financial statements, particularly the balance sheet.

It relates to the estimation of potential bad debts and the adequacy of the allowance for doubtful accounts. While this may indicate a risk related to financial reporting accuracy, it is not directly associated with fraud in the revenue cycle.

On the other hand, options 1, 2, and 3 are all associated with fraud risk in the revenue cycle:

Holding the company's books open past the close of the accounting period can allow for manipulation of sales or revenue recognition to artificially inflate reported revenues. This can lead to overstating financial results and misleading stakeholders.

Failure to record sales (product) returns by customers on a timely basis can result in overstated revenues if returns are not properly accounted for. It provides an opportunity for fraudulent activity by intentionally omitting or delaying the recognition of returns.

Recording revenue on "trial sales" after the consignment period to the customer expires is a fraudulent practice where revenue is recognized even though the customer has not actually committed to purchasing or taking ownership of the goods. This inflates revenues and misrepresents the financial performance of the organization.

These practices represent potential fraud risks in the revenue cycle as they involve intentional manipulation or misrepresentation of financial information.

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a company exchanged land and $9,000 cash for equipment. the book value and the fair value of the land were $106,000 and $90,000, respectively. assuming that the exchange has commercial substance, the company would record equipment and a gain(loss) on exchange of assets in the amounts of: equipment gain(loss) a. $ 99,000 $ (16,000) b. $ 90,000 $ (25,000) c. $ 108,000 $ 16,000 d. $ 106,000 $ (9,000)

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In this scenario, the company would record the equipment at $99,000 and a loss on the exchange of assets of $16,000. Therefore, the correct option is a) $99,000 $ (16,000).

To determine the amounts to be recorded for equipment and gain/loss on the exchange of assets, we need to compare the fair value and book value of the land.

Fair value of the land: $90,000

Book value of the land: $106,000

Since the fair value of the land is lower than its book value, there is a loss on the exchange of assets.

Calculation:

Loss on Exchange = Book Value - Fair Value

Loss on Exchange = $106,000 - $90,000

Loss on Exchange = $16,000

Now, we need to determine the amount to be recorded for equipment.

Equipment = Fair Value of the Land + Cash Paid

Equipment = $90,000 + $9,000

Equipment = $99,000

Therefore, the correct amounts to be recorded are:

Equipment: $99,000

Gain (Loss): $(16,000)

So, the correct answer is option a) $99,000 $ (16,000).

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Blustream, Inc., considers a project in which it will sell the use of its technology to firms in Mexico. It already has received orders from Mexican firms that wenerate 4 million Mexican pesos (MXP) in revenue at the end of the next year. However, it might also receive a contract to provide this technology to the Mexican government. In this case, it will generate a total of MXP6 million at the end of the next year. It will not know whether it will receive the government order until the end of the year. Today's spot rate of the peso is $0.12. The one-year forward rate is $0.10. Blustream expects that the spot rate of the peso will be $0.11 one year from now nitial outlay will be $300,000 to cover development expenses (regardless of whether the Mexican government purchases the thechnology). Blustream will pursue the broject only if it can satisfy its required rate of return of 20 percent. Ignore possible tax effects. It decides to hedge the maximum amount of revenue that it receive rom the project. a. Determine the NPV if Blustream receives the government contract. Do not round intermediate calculations. Round your answer to the nearest dollive should be indicated by a minus sign. $ (3) b. If Blustream does not receive the contract, it will have hedged more than it needed to and will offset the excess forward sales by purchasing pesos in the spot market at the time the forward sale is executed. Determine the NPV of the project assuming that Blustream does not receive the government contract. Do not intermediate calculations. Round your answer to the nearest dollar. Negative value should be indicated by a minus sign. $ (3) c. Now consider an alternative strategy in which Blustream only hedges the minimum peso revenue that it will receive. In this case, any revenue due to government contract would not be hedged. Determine the NPV based on this alternative strategy and assume that Blustream receives the government contract. Do not round intermediate calculations. Round your answer to the nearest dollar. Negative value should be indicated by a minus sign. $ (3) d. If Blustream uses the alternative strategy of only hedging the minimum peso revenue that it will receive, determine the NPV assuming that it does not receive the $ e. If there is a 50 percent chance that Blustream will receive the government contract, would you advise Blustream to hedge the maximum amount or the minimum amount of revenue that it may receive? Explain. It should hedge the amount of revenue, since the NPV for either scenario is f. Blustream recognizes that it is exposed to exchange rate risk whether it hedges the minimum amount or the maximum am receiver it considers a pesos. The one-year put option has an exercise price of $0.105 and a premium of $0.009. Determine the NPV if Blustream uses this strategy and receives the government contract. Do not round intermediate calculations. Round your answer to the nearest dollar. Negative in 5 (3) Also, determine the NPV if Blustream uses this strategy and does not receive the government contract. Do not round intermediate calculations. Round your answer to the nearest dollar. Negative value should be indicated by a minus sign. $ Given that there is a 50 percent probability that Blustream will receive the government contract, would you use this new strategy or the strategy that you selected in question (e)? It is better to use the strategy offered in the since it results in greater amount of NPV for both scenarios.

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Given that there is a 50 percent probability that Blues tream will receive the government contract, it would be better to use the new strategy that Blues tream recognizes.

NPV if Blues tream receives the government contract is -$112,000. It is computed as follows: NPV = -Initial Outlay + PV of Future Cash Flows [tex]Initial Outlay = $300,000[/tex] Mexican Peso to [tex]USD spot rate = $0.12USD300,000 / $0.12 = MXP 2,500,000NPV = -$300,000 + [(MXP 4,000,000 / $0.11) + (MXP 2,000,000 / $0.10)] / (1.20)NPV = -$112,000[/tex].

NPV if Blues tream does not receive the government contract is -$61,500. It is computed as follows: NPV = -Initial Outlay + PV of Future Cash Flows Initial Outlay = $300,000Mexican Peso to[tex]USD spot rate = $0.12USD300,000 / $0.12 = MXP 2,500,000NPV = -$300,000 + (MXP 4,000,000 / $0.11) / (1.20) - [MXP 2,500,000 - (MXP 4,000,000 / $0.10)] / $0.12 / (1.20)NPV = -$61,500[/tex].

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ge WCAP lab practical: Ann... Question Completion Status: QUESTION 19 Table: Long-Run Total Cost Quantity of Soybeans (bushels) Long-Run Total Cost S 50 $ 80 $ 90 2 $120 $200 $300 5 6 (Table: Long-Run Total Cost) Examine the table Long-Run Total Cost. Over what range of output does this soybean grower experience increasing returns to scale? OA fourth and fifth bushels O B. fifth and sixth bushels third and fourth bushels D.first and third bushels OUECTINA 20 Click Save and Submit to save and submit. Click Save All Answers to save all answers Save All Answers 17 k Pro Q Search or type URL

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Range of output does this soybean grower experience increasing returns to scale is fourth and fifth bushels. Thus, option (a) is correct.

The long-term total cost's rate of growth is not constant. We must search for the range of output where the long-run total cost increases at a decreasing rate in order to identify the range of output where the soybean grower experiences increasing returns to scale.

This is due to the fact that the long-term total cost rises from producing two to producing five bushels by $120, but merely from producing five to producing six bushels by $80.

Therefore, option (a) is correct.

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a fund generates an annual return of 8% and a standard deviation of 17%. the benchmark market index return is 10% and has a standard deviation of 16%. based on the sharpe measure, what can you conclude regarding the performance of the fund relative to the benchmark? a fund generates an annual return of 8% and a standard deviation of 17%. the benchmark market index return is 10% and has a standard deviation of 16%. based on the sharpe measure, what can you conclude regarding the performance of the fund relative to the benchmark? the performance cannot be ascertained without information on risk-free rate. the fund outperformed the fund underperformed the fund has the same sharpe measure as the benchmark

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The fund's Sharpe measure indicates underperformance relative to the benchmark.

Is the fund's performance better than the benchmark?

The Sharpe measure assesses the risk-adjusted return of an investment by considering both its average return and its volatility. A higher Sharpe ratio suggests better risk-adjusted performance.

In this case, the fund has an annual return of 8% and a standard deviation of 17 resulting in a Sharpe ratio lower than that of the benchmark market index with a return of 10% and a standard deviation of 16%. Therefore, the fund is underperforming relative to the benchmark in terms of risk-adjusted returns.

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The cash budget includes four major sections: receipts, disbursements, the cash excess or deficiency, and ______________________.The cash budget includes four major sections: receipts, disbursements, the cash excess or deficiency, and ______________________.

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The cash budget is a financial plan that is used to project cash inflows and outflows for a given period, often monthly or quarterly, and it is important for businesses to prepare this budget so they can ensure that they have enough cash to meet their financial obligations.

The cash budget includes four major sections: receipts, disbursements, the cash excess or deficiency, and financing.The receipts section of the cash budget includes all of the expected cash inflows for the period.

This might include sales revenue, accounts receivable collections, and other sources of cash coming into the business. It is important to be realistic about these estimates, as overestimating inflows can lead to a cash shortage later on.The disbursements section of the cash budget includes all of the expected cash outflows for the period.
This might include purchases of inventory or supplies, payment of accounts payable, salaries and wages, rent and utilities, and other expenses that require cash payment.

The cash excess or deficiency section of the cash budget is used to calculate the net cash position of the business at the end of the period. If the expected cash inflows are greater than the expected cash outflows, the business will have a cash excess.

If the expected cash outflows are greater than the expected cash inflows, the business will have a cash deficiency. This section of the budget is used to help management identify potential cash shortfalls before they occur.The financing section of the cash budget is used to identify the sources and uses of any additional financing that may be required to meet the cash needs of the business.

This might include bank loans, lines of credit, or other types of financing that can be used to cover temporary cash shortfalls. It is important to carefully consider the costs and risks associated with these financing options before making a decision.Overall, the cash budget is a critical tool for businesses to manage their cash flow and ensure that they have enough cash to meet their financial obligations.

By carefully preparing this budget and monitoring actual cash inflows and outflows against it, businesses can avoid cash shortages and other financial difficulties that can arise when cash flow is not managed effectively.

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true or false: technical accounting skills represent the only skills required of accounting professionals

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False. Technical accounting skills are important for accounting professionals, but they are not the only skills required.

Accounting professionals need to possess a combination of technical, analytical, and soft skills to excel in their roles.

Technical accounting skills refer to the knowledge of accounting principles, standards, and practices. These skills involve understanding financial statements, bookkeeping, tax regulations, auditing, and other technical aspects of accounting. They are essential for performing tasks such as preparing financial reports, conducting audits, and ensuring compliance with accounting standards.

However, accounting professionals also require analytical skills to interpret financial data, identify trends, analyze business performance, and make informed decisions. They need to be able to analyze complex financial information, identify patterns, and provide valuable insights to support strategic decision-making.

So, while technical accounting skills form the foundation of an accountant's expertise, a well-rounded accounting professional should also possess analytical skills, soft skills, and the ability to adapt to changing requirements.

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