"Which of the following is not an example of an
internal factor in SWOT analysis?
Group of answer choices
Employee skills
Physical assets
Customer demographics
Reputation and Brand"

Answers

Answer 1

Among the options provided, "Customer demographics" is not an example of an internal factor in SWOT analysis. SWOT analysis is a strategic planning tool that assesses internal strengths and weaknesses, and external opportunities and threats.

SWOT analysis is a strategic planning tool that assesses a company's internal strengths and weaknesses (internal factors) as well as external opportunities and threats (external factors). Internal factors are characteristics and resources that are within the control of the organization. They include aspects such as employee skills, physical assets, and reputation and brand. Customer demographics, on the other hand, are external factors that belong to the realm of market analysis. They refer to the characteristics and traits of the target customer base, such as age, gender, income level, and geographic location. Understanding customer demographics is crucial for market segmentation and targeting.

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Related Questions

The figure shows the demand for DVD rentals. 3 2 1 D L L 0 25 50 75 100 125 150 DVD rentals per day a. Calculate the elasticity of demand when the price of a DVD rental rises from $3 to $5. b. At what price is the elasticity of demand for DVD rentals equal to 1? Price (dollars per DVD)

Answers

the elasticity of demand when the price of a DVD rental rises from $3 to $5 is -0.5, indicating an inelastic demand. The price at which the elasticity of demand for DVD rentals is equal to 1 is $2, representing unitary elasticity of demand.

a) To calculate the elasticity of demand when the price of a DVD rental rises from $3 to $5, we first need to determine the percentage change in quantity demanded and the percentage change in price.

The initial quantity demanded at a price of $3 is 75 DVD rentals per day, and the quantity demanded at a price of $5 is 50 DVD rentals per day. Therefore, the percentage change in quantity demanded is:

Percentage Change in Quantity Demanded = ((50 - 75) / 75) * 100% = -33.33%

The percentage change in price is:

Percentage Change in Price = ((5 - 3) / 3) * 100% = 66.67%

Using these values, we can calculate the elasticity of demand:

Elasticity of Demand = (-33.33% / 66.67%) = -0.5

The elasticity of demand is -0.5, indicating an inelastic demand as the magnitude is less than 1. This means that a 1% increase in price leads to a less than 1% decrease in quantity demanded.

(b) To find the price at which the elasticity of demand for DVD rentals is equal to 1, we need to identify the price level where the percentage change in quantity demanded is equal to the percentage change in price. At this price, the demand is unitary elastic.

By observing the figure, we can see that at a price of $2, the quantity demanded is 100 DVD rentals per day. If the price decreases by 50% to $1, the quantity demanded increases to 125 DVD rentals per day. Therefore, at a price of $2, the percentage change in quantity demanded is:

Percentage Change in Quantity Demanded = ((125 - 100) / 100) * 100% = 25%

The percentage change in price is:

Percentage Change in Price = ((2 - 1) / 1) * 100% = 100%

At a price of $2, the percentage change in quantity demanded (25%) is equal to the percentage change in price (100%), indicating unitary elasticity of demand.

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Prepare journal entries to record each of these transactions.
Prepare a statement of retained earnings for the current year ended December 31.
Prepare the stockholders’ equity section of the balance sheet as of December 31 of the current year.

Answers

In order to record each of these transactions, the following journal entries should be prepared: On January 1, 2021, issued 100,000 shares of $10 par common stock for cash at $15 per share.

To record the issue of 100,000 shares of $10 par common stock for cash at $15 per share, the following journal entry should be prepared: Cash $1,500,000

Common Stock ($10 par x 100,000 shares) $1,000,000Paid-in Capital in Excess of Par $500,000On May 1, 2021, purchased 20,000 shares of treasury stock for $17 per share.

Retained Earnings $100,000To prepare a statement of retained earnings for the current year ended December 31, the following steps should be taken: Retained Earnings (January 1, 2021) $0Add: Net Income (December 31, 2021) $300,000Less: Dividends Declared ($0.50 x 200,000 shares) $100,000

Retained Earnings (December 31, 2021) $200,000To prepare the stockholders' equity section of the balance sheet as of December 31 of the current year, the following information should be considered: Common Stock ($5 par x 200,000 shares) $1,000,000

Paid-in Capital in Excess of Par $500,000Treasury Stock ($17 per share x 20,000 shares) $340,000

Retained Earnings $200,000

Total Stockholders' Equity $1,360,000The stockholders' equity section of the balance sheet as of December 31 of the current year is $1,360,000.

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Mohamed Bakkar, an entrepreneur running a business called Besma ("joyful" in Arabic), fled to Turkey in 2016. Bakkar had been an electrical engineer in Syria, but he was unable to find a job in his field upon arrival in Turkey due to the Arabic-Turkish language barrier. He decided to pursue a cheese business instead, making the cheese the same way his mother did when he was a child. He produced the cheese in bulk and prepared it for distribution to local Syrian-owned dairy stores.
After about five years, Bakkar had built a customer base of 10 Syrian-owned stores in Istanbul, but the Syrian-style cheese market had become increasingly crowded. He needed a strategic plan for growth, and was considering selling directly to individual customers and creating an e-commerce website to expand his reach to include Turks.
a) Given Bakkar’s choices and approach to entrepreneurship what personal traits make him fit for an entrepreneurial career? (10 marks)
b) Different people are driven into entrepreneurial ventures for different reasons, and what are these reasons for Bakkar and many others like him? (15 marks)

Answers

Bakkar's entrepreneurial career is well-suited due to various personal traits he possesses. These include perseverance and determination, as evidenced by his ability to overcome challenges and adapt to a new business venture despite the language barrier. His willingness to take calculated risks and seize opportunities, such as expanding his reach through direct sales and e-commerce, further demonstrates his entrepreneurial aptitude.

Additionally, Bakkar's passion for cheese-making, coupled with his creativity in finding unique distribution channels, highlights his innovative mindset and ability to think outside the box.

Individuals are driven towards entrepreneurship for diverse reasons, and Bakkar's motivations align with some common factors.

Job dissatisfaction led him to pursue entrepreneurship when he couldn't find suitable employment in his field due to language barriers.

Identifying an untapped market opportunity for Syrian-style cheese served as a catalyst for Bakkar's entrepreneurial journey.

Moreover, his passion for cheese-making and the desire for personal fulfillment and autonomy also played a role in his decision to become an entrepreneur.

These factors highlight the multifaceted nature of entrepreneurial motivations, ranging from dissatisfaction with traditional employment to personal passion and self-realization.

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As a GHRM professional, develop an plan for an international assignment for an employee who will be working out in field and in office for a period of 2 years with a posiblity of extension. You are based anywhere but this assignment is in Canada. It will a word file, APA, Well foramted and no more than 6 pages. b

Answers

The professional development plan should be comprehensive, guidance for the employee, while ensuring the achievement of the organization's strategic goals and objectives. International assignment for an employee who will be working out in the field and in the office for a period of 2 years with the possibility of an extension in Canada.

The first step is to identify the goals of the assignment. The goals should align with the organization's strategic objectives. The assignment should be designed to help the employee gain new skills, develop expertise, and enhance their competencies. The employee should be given a clear understanding of what is expected of them during the assignment. The goals should be achievable and measurable.

The second step is to identify the skills and competencies required for the assignment. The employee should be assessed to determine their strengths and weaknesses. The skills required should be aligned with the goals of the assignment. The employee should be provided with the necessary training and support to develop the required skills and competencies.

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Why is awareness alone is not sufficient to combat cognitive
biases? How can we combat cognitive biases in our decision
making?

Answers

Awareness alone is not sufficient to combat cognitive biases because cognitive biases are rooted deep in the subconscious mind. Cognitive biases are common errors or flaws in our judgment that lead us to make decisions that are not entirely rational or logical.

Awareness is the first step towards overcoming cognitive biases, but it is not enough. To combat cognitive biases in our decision making, we need to follow these steps:Identify and label the cognitive biases: To combat cognitive biases, we must first identify them. Once we can identify them, we must label them so that we can recognize them when they arise.

Question assumptions: Our biases are often based on untested assumptions. We should ask ourselves what assumptions we are making and challenge them

Take a step back: Sometimes, our biases are so deeply ingrained that we cannot recognize them. In such cases, we should take a step back and seek input from others.

In conclusion, awareness is not sufficient to combat cognitive biases, but it is an essential first step. By identifying and labeling our biases, questioning assumptions, looking for alternative explanations, relying on data instead of memory, and taking a step back, we can combat cognitive biases in our decision making.

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Find or write an example of a poorly written business
communication and revise it. Focus on improving it for clarity,
word choice, sentence structure, paragraph structure, audience
need, and clarity a

Answers

Just a quick update on the project. We're making good progress, but there are some issues we need to address. We need to figure out how to fix the bugs and improve the user interface. Let's meet tomorrow at 2 p.m. to discuss these problems. Also, don't forget to bring your laptops. See you then.

Best,

John"

Revised Example:

"Dear Team,

I wanted to provide you with an update on the project's status. While we have made significant progress, there are several critical issues that require our attention. Specifically, we need to address the bugs affecting the system's functionality and enhance the user interface to ensure optimal user experience. To discuss these challenges in detail and develop a plan of action, I request your presence at a meeting scheduled for tomorrow at 2 p.m. Please bring your laptops to facilitate the discussion.Thank you for your commitment and cooperation.Best regardsJohn"

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How can a two period demand shock lead to inflation output
loops

Answers

A two-period demand shock can lead to inflation-output loops through a combination of short-term price adjustments and feedback effects between inflation and output.

In the first period, if there is a positive demand shock, it leads to an increase in aggregate demand, resulting in higher output levels. As output increases, firms may experience upward pressure on prices due to increased demand for goods and services. This initial increase in prices is often referred to as demand-pull inflation.

However, in the second period, the higher prices from the previous period can affect inflation expectations and wage negotiations. Workers may demand higher wages to keep up with rising prices, leading to increased production costs for firms. As a result, firms may pass on these higher costs to consumers in the form of even higher prices, resulting in a wage-price spiral.

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The 8/31 Cash in Bank account in the Arizona Company’s ledger was $20,000.
The following 8/31 reconciling items existed:

Answers

The Cash in Bank account in the Arizona Company’s ledger was $20,000 as of August 31. There were several reconciling items that existed on the same date.

The reconciling items are described as - Check outstanding: $5,000Deposit in transit: $2,000Bank service charge: $50Interest earned: $75NSF check: $1,500The bank statement must be reconciled with the company’s ledger to ensure that the balances are accurate. To do this, the reconciling items must be added or subtracted from the Cash in Bank account balance in the ledger. The calculation is as follows: Cash in Bank account balance in ledger + Deposits in Transit - Checks Outstanding = Adjusted Balance in the ledger$20,000 + $2,000 - $5,000 = $17,000The bank statement should also be adjusted to reflect the company’s ledger balance.

The calculation is as follows: Bank Statement balance + Deposits in Transit - Checks Outstanding - Bank Service Charge + Interest Earned - NSF Check = Adjusted Balance on the Bank Statement$xx + $2,000 - $5,000 - $50 + $75 - $1,500 = $xxSince the amount on the bank statement is not known, it cannot be determined what the adjusted balance is. However, the difference between the adjusted balances on the ledger and the bank statement will reflect any errors that need to be corrected. Therefore, the cash balance in the Arizona Company's ledger as of August 31 is $17,000. However, the adjusted bank balance cannot be determined without knowing the bank statement balance.

The Cash in Bank account in the Arizona Company’s ledger was $20,000 as of August 31. The reconciling items that existed as of August 31 were a Check outstanding of $5,000, Deposit in transit of $2,000, Bank service charge of $50, Interest earned of $75, and NSF check of $1,500. To determine if the balance in the company's ledger is accurate, the bank statement must be reconciled with the ledger. This is done by adding or subtracting the reconciling items from the Cash in Bank account balance in the ledger.

The calculated balance in the ledger is $17,000 ($20,000 + $2,000 - $5,000 = $17,000). Similarly, the bank statement balance must also be adjusted to reflect the company’s ledger balance. This can be calculated by adding or subtracting the reconciling items from the bank statement balance. The adjusted bank statement balance cannot be calculated as the bank statement balance is not provided. The difference between the adjusted balances on the ledger and the bank statement will reveal any errors that need to be corrected. In conclusion, the cash balance in the Arizona Company's ledger as of August 31 is $17,000. However, the adjusted bank balance cannot be determined without knowing the bank statement balance.

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companies that sell products whose prices are set by market forces are called

Answers

Companies that sell products whose prices are set by market forces are called price takers.

A price taker is a company that has little control over the price of the goods or services it sells because the market determines the price based on supply and demand. In other words, a price taker must accept the prevailing market price for its products and cannot influence it significantly.

This is in contrast to a price maker, which has more control over the price of its products and can set prices based on its production costs, marketing strategy, and other factors. Examples of companies that are typically considered price takers include agricultural producers, commodity traders, and small businesses that operate in highly competitive markets.

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Newtown Airport is the location of the annual air-show and AFS is a key participant in the air-show's program. Tracey and Jenny view the expense as a marketing exercise aimed to attract new prospective students.The flying school employs three Grade 1 Instructors and five Grade 2 Instructors, in addition to five administrative staff who manage the accounts receivables and payable functions, and student licensing confirmations with the CAA. The instructors receive company benefits of "free" independent (non-instruction) flying time of 200 hours per year to any location in Australia; however, this flying time is the minimum required by the CAA to maintain the Instructor rating licence.AFS is generally a highly profitable business, however in the 2019/20 financial year student enrolments were at an all-time low due to the Covid-19 pandemic and a tax loss of $250,000 was reported.
1) For the effective training of commercial pilots for in-the-air "emergency"
scenarios, AFSleased a special flight simulator from Australian Aire Services Ltd.
The lease agreement contracted AFS for the period of eight years for a cost of
$200,000 per annum.
Question: what is the Treatment under Assesable Income according to ATO?

Answers

According to the Australian Taxation Office (ATO), the treatment of the lease fee for the flight simulator as assessable income would depend on the particular tax laws and regulations that apply to the leasing arrangement.

Lease payments are typically regarded as operating expenditures and are thus tax deductible. As a result, it is anticipated that the $200,000 yearly lease payment for the flight simulator will be considered an allowed deduction from AFS's taxable income. This deduction would diminish AFS's taxable income, lowering its tax obligation. To ensure compliance with the specific tax legislation and any pertinent provisions linked to lease expenses, it is crucial for AFS to speak with a tax expert or check the ATO guidelines.

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will someone also please check these answers, thanks.
If a stock-market crash lowers people's wealth, what would be the effect on the market for minivans? A Demand increases Demand decreases Supply increases Supply decreases Question 10 8 Points Two driv

Answers

If a stock-market crash lowers people's wealth, the effect on the market for minivans would most likely be a decrease in demand. A stock-market crash typically leads to a decrease in overall consumer wealth and confidence.

When people experience a decline in their financial well-being, they tend to become more cautious with their spending and prioritize essential purchases over discretionary items.

Minivans are considered a non-essential and relatively expensive consumer good. Therefore, in the aftermath of a stock-market crash, consumers are likely to reduce their discretionary spending and postpone non-essential purchases, such as minivans. As a result, the demand for minivans would decrease.

It is important to note that other factors, such as interest rates, consumer sentiment, and economic conditions, can also influence the market for minivans. However, in the specific scenario described, where a stock-market crash leads to a decrease in people's wealth, the most plausible effect on the market for minivans would be a decrease in demand.

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TRUE / FALSE. Question 1
After the valid performance of a contract by both sides, the contract is said to be discharged.
Group of answer choices
True
False

Answers

The following statement "After the valid performance of a contract by both sides, the contract is said to be discharged" is True.

After both parties have fulfilled their obligations as outlined in the contract, the contract is considered discharged. This means that both parties have completed their obligations under the agreement and there are no remaining obligations or duties to be fulfilled. The contract has essentially been completed, and both parties are released from any further obligations or responsibilities outlined in the agreement.

It is important to note that a contract can also be discharged through other means, such as mutual agreement, breach of contract, or frustration of purpose. When both parties have validly performed their obligations under a contract, the contract is considered to be discharged. Discharge of a contract signifies that all duties and responsibilities outlined in the agreement have been fulfilled, and the parties are no longer bound by the contract terms.

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True or False: The owners and managers have an ethical responsibility to record and report revenue and expenses in a way that best represents economic reality, except for when doing so means the company reports an unfavorable result. Select one: True False

Answers

False. The owners and managers have an ethical responsibility to record and report revenue and expenses in a way that best represents economic reality, except for when doing so means the company reports an unfavorable result" is False.

Here's the explanation:Owners and managers have an ethical responsibility to record and report revenue and expenses in a way that best represents economic reality, even if doing so means that the company reports an unfavorable result. It is unethical to manipulate financial information in order to present a more favorable picture of the company’s financial situation. It's important to note that financial information must be recorded accurately and in accordance with Generally Accepted Accounting Principles (GAAP).Therefore, we can conclude that the statement given in the question is false.

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An individual has a utility function, U(q1,q2) = √q2.q1). (Mathematical assistance: √x = x 1/2). = (a) Derive the individual's demand curve for q1 q2 Hint: solve for the utility maximising values of q1 and q2 for any set of prices (p1 and p2) and income (i). (b) Suppose p1 = £10 and pz = £25 and total income is £100. Calculate the optimal consumption choices and the maximised utility value. (c) Compute the value for the Lagrange multiplier for the individual's budget constraint and explain its meaning.

Answers

(a) The demand function for y (i.e., q2):y = I(p1 + p2) / 4p1p2.

(b)  The maximum utility value can be found by substituting these values in the utility function, which is: 59.16.

(c) The Lagrange multiplier can be interpreted as the amount by which the consumer’s maximum utility would change if their income was to increase by one unit.

(a) Derive the individual's demand curve for q1, q2:To derive the individual's demand curve for q1 and q2, we have to first find the maximum value of the utility function, U(q1, q2) = √q2.q1.

Let, p1, p2, and I be the price and income of the consumer. Let x = q1 and y = q2. Now, the consumer’s problem can be written as:

Max U(x, y) = √xysubject to px.x + py.y = I.The Lagrangean of the problem is:L(x, y, λ) = √xy + λ(I − px.x − py.y).

The first-order conditions for a maximum are:∂L/∂x = 0 ⇒ λ.p1 = 1/2√y/x.∂L/∂y = 0 ⇒ λ.p2 = 1/2√x/y.px.x + py.y = I

.On solving the first two equations, we get the following:√y/x = λ.p1/2 √x/y = λ.p2/2.

By dividing the first equation by the second, we get:y/x = (p1/p2)2.

Now, substituting this back in the budget constraint, we get the demand function for x (i.e., q1):x = I(p1 + p2) / 4p1p2.

Substituting the demand function for x (q1) in the budget constraint, we can find the demand function for y (i.e., q2):y = I(p1 + p2) / 4p1p2.

(b) For p1 = £10, p2 = £25, and I = £100, the optimal consumption choices can be found by substituting these values in the derived demand functions.

Thus, we get:x = (100 * 35) / 4 * 10 * 25 = 17.5and y = (100 * 35) / 4 * 10 * 25 = 70.

Finally, the maximum utility value can be found by substituting these values in the utility function, which is:U(x, y) = √xy = √(17.5 * 70) = 59.16.

(c) The Lagrange multiplier (λ) can be found by substituting the values of x and y in the budget constraint and then differentiating the Lagrangean w.r.t λ, as follows:

L(x, y, λ) = √xy + λ(I − px.x − py.y)⇒ I = px.x + py.y + λ[ I − px.x − py.y ]The Lagrange multiplier (λ) is the marginal utility of income.

It measures the additional utility generated by spending one more unit of money on the two goods, assuming that the utility is maximized.

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The _______ form helps avoid limited agency if the agent already has a buyer contract.

Answers

The "exclusive right-to-sell" form helps avoid limited agency if the agent already has a buyer is an "exclusive right-to-to-sell agreement is a contract between a real estate agent and a property owner that authorizes the agent to sell the owner's property during a specified period.

In most cases, this type of agreement is structured so that the agent receives a commission when the property is sold, regardless of who actually purchases it. An exclusive right-to-sell agreement can help agents avoid limited agency if they already have a buy limited agency arrangement, the agent only represents the seller or the buyer, but not both. When the same agent represents both the seller and the buye.

it can be difficult to remain impartial and work in the best interests of both parties. However, by using an exclusive right-to-sell agreement, the agent is able to represent the seller and the buyer while avoiding a limited agency situation. An exclusive right-to-sell agreement can help agents avoid limited agency if they already have a buyer n a limited agency arrangement, the agent only represents the seller or the buyer, but not both. When the same agent .

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You have just purchased a new car. To finance the purchase, you've arranged for an 18-month for 90 percent of the $20,000 purchase price. The monthly payment on this loan will be $1,200.64. What is the effective annual rate on this loan?

Answers

To calculate the effective annual rate on the loan, we can use the formula for calculating the annual percentage rate (APR) when the loan has monthly payments. And it is approximately 8.27%.

The formula is as follows:

Effective Annual Rate = (1 + Monthly Interest Rate)^12 - 1

Where:

Monthly Interest Rate = Monthly Payment / (Loan Amount * Number of Months)

Using the given values in the formula, we can calculate the effective annual rate:

Monthly Interest Rate = 1,200.64 / (20,000 * 18)

Simplifying the expression:

Monthly Interest Rate = 0.00667

Plugging this value into the formula for the effective annual rate:

Effective Annual Rate = (1 + 0.00667)^12 - 1

Using a calculator, the value inside the parentheses, (1 + 0.00667)^12, is approximately 1.0827. Plugging this value into the formula:

Effective Annual Rate = 1.0827 - 1

Calculating the expression:

Effective Annual Rate = 0.0827 or 8.27%

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Explain the impact of each monetary policy measure by the State Bank of Pakistan on (i) regulatory reserves (ii) money supply
Buys government securities in Open Market Operations
Increases reserves requirement from 8% to 10% with current account deposits amounting to Rs10 billion. Calculate the money supply.
Decreases Discount rate by 2%
Increases interest rate paid on Statutory reserves held by commercial banks
How does the monetary policy measure in part (a) influence the actual KIBOR

Answers

Monetary policy measures have specific impacts on regulatory reserves and money supply. Buying government securities increases regulatory reserves. Increasing reserve requirements reduces money supply. The influence of the monetary policy measure on KIBOR depends on market conditions and participants' response.

When the State Bank of Pakistan buys government securities in Open Market Operations, it increases regulatory reserves held by commercial banks. This has an indirect impact on money supply as it affects banks' lending capacity, but the direct effect on money supply depends on other factors. Increasing reserve requirements from 8% to 10% with current account deposits of Rs10 billion reduces money supply. Higher reserve requirements immobilize more funds as reserves, reducing lending capacity and contracting the money supply. Decreasing the discount rate by 2% has the potential to increase money supply. A lower discount rate encourages borrowing, leading to increased lending by banks and expanding the money supply. Increasing the interest rate paid on statutory reserves held by commercial banks can influence the money supply. This measure provides an incentive for banks to hold more reserves, potentially reducing their lending capacity and contracting the money supply.

The impact of the monetary policy measure in part (a) on the Karachi Interbank Offered Rate (KIBOR) depends on market conditions and participants' response. Changes in monetary policy can affect market liquidity, investor behavior, and risk perceptions, thereby influencing the actual KIBOR rate.

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What are the effects on the equilibrium price and quantity of chips if information becomes available that eating chips makes people unhealthy and at the same time the price of salt (which is needed to produce chips) decreases? Fully explain your answer.

Answers

The effects of information about chips being unhealthy and a decrease in the price of salt would likely result in a lower equilibrium price for chips and a potential decrease in the equilibrium quantity.

How does information and a decrease in the price of salt affect the equilibrium price and quantity of chips?

It would have several effects on the equilibrium price and quantity of chips if information becomes available that eating chips makes people unhealthy and, at the same time, the price of salt decreases (which is needed to produce chips).

Decreased Demand: The information that eating chips is unhealthy would likely result in a decrease in demand for chips. Consumers may reduce their consumption of chips or switch to healthier alternatives. This would shift the demand curve for chips to the left, leading to a lower equilibrium quantity and price.

Decreased Production Costs: The decrease in the price of salt, a key input in chip production, would lower the production costs for chips. This reduction in production costs would shift the supply curve for chips to the right, leading to an increase in the equilibrium quantity and potentially a decrease in the equilibrium price.

Overall, the simultaneous effects of decreased demand and decreased production costs would result in a decrease in the equilibrium price of chips. However, the impact on the equilibrium quantity would depend on the relative magnitude of the shifts in demand and supply.

If the decrease in demand outweighs the decrease in production costs, the equilibrium quantity of chips would decrease. Conversely, if the decrease in production costs outweighs the decrease in demand, the equilibrium quantity could increase or remain relatively stable.

It is important to note that the actual magnitude of the effects on price and quantity would depend on the specific elasticities of demand and supply for chips, as well as other market factors and consumer behavior.

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According to our lecture, how many new immigrants in Canada every year? 300000 100000 C 400000 Od 200000 Question 3 (1 point) According to Canadian immigration laws, how many "types" of new Canadians

Answers

According to the lecture, the number of new immigrants in Canada every year is approximately 300,000. Regarding the "types" of new Canadians as per Canadian immigration laws.

There are several categories under which individuals can immigrate to Canada:

Economic Immigrants: This category includes skilled workers, professionals, entrepreneurs, and investors who have the skills, education, and work experience to contribute to the Canadian economy.

Family Class Immigrants: This category allows Canadian citizens and permanent residents to sponsor their family members, such as spouses, children, parents, and grandparents, to immigrate to Canada.

Refugees and Asylum Seekers: Canada has a commitment to accepting refugees and providing protection to individuals who are fleeing persecution, war, or other forms of hardship in their home countries. This category includes government-assisted refugees, privately sponsored refugees, and refugees resettled through the blended visa office-referred program.

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Write the detail introduction on Privitization of about 400-500
words

Answers

Privatization is the process of transferring ownership, control, and management of public sector enterprises or assets to the private sector.

It involves the sale or lease of state-owned companies, infrastructure, or services to private entities. Privatization has been a significant economic policy adopted by governments around the world since the 1980s, driven by the belief that private ownership and market competition can lead to greater efficiency, innovation, and economic growth.

The goals of privatization vary depending on the specific context and objectives of each country. Some common objectives include improving operational efficiency, reducing government debt, promoting competition, attracting private investment, and fostering economic liberalization. By transferring ownership to the private sector, governments aim to enhance productivity, introduce market-based incentives, and create a more competitive business environment.

Proponents of privatization argue that private ownership encourages efficiency and innovation through competition, as private firms have stronger incentives to maximize profits, minimize costs, and respond to market demands. Privatization can lead to increased investment, technological advancements, improved service quality, and expanded consumer choice. It also reduces the financial burden on governments, allowing them to focus on core functions such as regulation and social welfare.

However, critics raise concerns about potential negative consequences of privatization. These include the risk of monopolies or oligopolies, loss of public control over essential services, job losses, unequal access to services, and potential exploitation of natural resources. Balancing the interests of efficiency, equity, and public welfare is crucial in the privatization process.

Overall, privatization is a complex and multifaceted policy approach that has shaped the economic landscape of many countries. Its outcomes depend on various factors, including the regulatory framework, market conditions, transparency, and accountability mechanisms in place. Governments must carefully assess the potential benefits and risks of privatization to ensure the optimal allocation of resources and the protection of public interest.

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Which of the following was the result in the Case Nugget in the text involving the dispute between Dr Ralph M Aungemma and New Castle Care, LLC, involving whether an oral agreement entered into on September 4 involving Dr Aurigomma serving as medical director from October 1 of that year unts October 1 of the next year was enforceable COPR Mutiple Choice That the contract was enforceable because agreements for professional services do not come within the protection of the statute of frauds That the contract was enforceable because of the partial performance exception to the statute of trauchs That the contract was not in weting and, therefore, could not be enforced That the contract could not be enforced because of the parol evidence nie That the contract could be enforced because of the paral evidence rule

Answers

The result in the Case Nugget was that the oral agreement was enforceable due to the partial performance exception.

In the given case involving Dr. Ralph M. Aungemma and New Castle Care, LLC, the dispute centered around the enforceability of an oral agreement entered into on September 4. The agreement pertained to Dr. Aungemma serving as medical director from October 1 of that year until October 1 of the next year.

Based on the information provided, the result in the case was that the contract was enforceable because of the partial performance exception to the statute of frauds. The partial performance exception recognizes that in certain situations, if one party has already performed significant actions or obligations under an oral agreement, the court may enforce the contract despite its lack of written documentation.

The court likely found that Dr. Aungemma's performance as the medical director for the specified period constituted partial performance, indicating a clear intention to fulfill the terms of the agreement. As a result, the court deemed the contract enforceable, even though it lacked a written agreement.

It's important to note that the other options provided, such as agreements for professional services not being protected by the statute of frauds or the parol evidence rule, were not the basis for the court's decision in this particular case. Instead, the partial performance exception played a key role in determining the enforceability of the oral agreement.

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blue spruce corp. uses the percentage-of-receivables basis to record bad debt expense. accounts receivable (ending balance) $438,000 (debit) allowance for doubtful accounts (unadjusted) 5,300 (debit)

Answers

the percentage-of-receivables basis method is a common way to estimate bad debt expenses based on the accounts receivable balance. By using the historical bad debt rate, the company can estimate how much bad debt expense they will have during the accounting period.

Blue Spruce Corp. has an accounts receivable balance of $438,000, and they use the percentage-of-receivables basis to record bad debt expenses. The allowance for doubtful accounts (unadjusted) is $5,300 (debit). The percentage-of-receivables basis method is a way to estimate how much bad debt expense a company will have based on the amount of accounts receivables that they have. This method takes a percentage of the accounts receivable balance, and that percentage is the estimated bad debt expense.

To calculate the percentage of the accounts receivable balance, you need to know the company's historical bad debt rate. For example, if the company's historical bad debt rate is 5%, you would multiply the accounts receivable balance of $438,000 by 5% to get an estimated bad debt expense of $21,900.

The allowance for doubtful accounts is a contra-asset account that is used to reduce the accounts receivable balance to its net realizable value. This means that the allowance account is used to account for the estimated bad debt expense that will be incurred during the accounting period.

To adjust the allowance for doubtful accounts, you would need to take the unadjusted balance of $5,300 and add the estimated bad debt expense of $21,900 to get a new balance of $27,200. This means that the allowance for doubtful accounts would need to be credited for $21,900 to bring the balance up to $27,200.
The allowance for doubtful accounts is used to account for this estimated bad debt expense, and it is adjusted at the end of the accounting period to reflect the actual amount of bad debt expense incurred.

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Stockholders' Equity Section of Balance Sheet
Specialty Auto Racing Inc. retails racing products for BMWs, Porsches, and Ferraris. The following accounts and their balances appear in the ledger of Specialty Auto Racing Inc. on July 31, the end of the current year: Common Stock, $10 par $920,000 Paid-In Capital from Sale of Treasury Stock-Common 69,400
Paid-In Capital in Excess of Par-Common Stock 276,000 Paid-In Capital in Excess of Par-Preferred Stock 69,900 Preferred 4% Stock, $50 par 1,165,000 Retained Earnings 3,050,400 Treasury Stock-Common 44,000
One hundred thousand shares of preferred and 400,000 shares of common stock are authorized. There are 4,000 shares of common stock held as treasury stock. Prepare the Stockholders' Equity section of the balance sheet as of July 31, the end of the current year using Method 1 of Exhibit 8

Answers

Stockholders' Equity Section of Balance Sheet using Method 1 of Exhibit 8 is: Common Stock: $276,000, Preferred Stock: $69,900, Paid-in capital:  $2,455,900, Retained earnings: $3,050,400, Treasury Stock: $44,000.

a section of the balance sheet that shows the amounts that are owed to the company's owners, such as retained earnings and capital contributions.

The stockholders' equity section of a balance sheet for Specialty Auto Racing Inc. as of July 31, the end of the current year, is presented below using Method 1 of Exhibit 8:

Common Stock, $10 par ($920,000/$10,000) = 92,000 shares issued
Paid-in Capital in Excess of Par-Common Stock = $276,000
Total Paid-in Capital from Common Stock = $1,196,000 (92,000 x $10) + $276,000
Preferred 4% Stock, $50 par = $1,165,000/$50 = 23,300 shares issued
Paid-in Capital in Excess of Par-Preferred Stock = $69,900
Total Paid-in Capital from Preferred Stock = $1,259,900 (23,300 x $50) + $69,900
Total Paid-in Capital = $2,455,900 ($1,196,000 + $1,259,900)
Retained Earnings = $3,050,400
Total Stockholders' Equity = $5,506,300 ($2,455,900 + $3,050,400)
Treasury Stock-Common = (4,000 shares x $11 per share) = $44,000 has been shown in a separate line item on the balance sheet.

The common stock is $920,000, preferred stock is $1,165,000, retained earnings is $3,050,400, and paid-in capital is $2,455,900. The total of stockholders' equity is $5,506,300.

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The following table provides information about 4 different
portfolios. The risk-free rate is 0.01: Portfolio Portfolio return
Standard deviation beta A 0.14 0.18 1.2 B 0.15 0.15 0.95 C 0.17
0.25 1.4 D

Answers

The table provides information about four different portfolios, including their portfolio returns, standard deviations, and beta values.

The risk-free rate is given as 0.01.

The portfolio return represents the expected return or average annualized return of the portfolio. It indicates the potential gain or loss an investor can expect from the portfolio over a specific period. In this case, Portfolio A has a return of 0.14, Portfolio B has a return of 0.15, Portfolio C has a return of 0.17, and the return for Portfolio D is not provided.

The information provided in the table helps investors evaluate the risk and potential returns associated with each portfolio. Portfolios with higher returns and lower standard deviations may be more desirable for investors seeking higher returns with relatively lower risk. Additionally, the beta values can be used to assess how portfolios are expected to perform in relation to the overall market. Investors with different risk preferences and investment goals can consider this information to make informed decisions about portfolio allocation.

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Cryptocurrencies is a currency which is secured by using cryptographic techniques. These currencies were in news recently due to the taxes levied upon it in the Budget
announced on 1st Feb,2022. Find out how much tax has been levied upon by Indian Government on same in the Annual Budget-2022 and what are the other measures
thought of by the Government in the same regard. Also, discuss what are the risks and legal regulatory issues associated with these currencies and the factors one should take
care of while investing in these types of currencies.

Answers

In the Annual Budget 2022, the Indian Government proposed to levy taxes on cryptocurrencies. However, specific details regarding the tax rates were not mentioned in the question. Alongside taxes, the government has also considered implementing other measures to regulate cryptocurrencies.

Risks associated withs cryptocurrencies include volatility, cybersecurity threats, and potential for illegal activities. Legal regulatory issues arise due to the decentralized and anonymous nature of cryptocurrencies. Factors to consider when investing in cryptocurrencies include understanding the technology, conducting thorough research, assessing risks, and complying with legal and tax requirements.

In the Annual Budget 2022, the Indian Government announced plans to introduce taxes on cryptocurrencies. However, the exact tax rates or details were not specified in the given question. The government aims to bring cryptocurrencies under a regulatory framework to address concerns related to money laundering, fraud, and investor protection. This may include measures to track transactions, enhance transparency, and enforce compliance with tax obligations.

Cryptocurrencies carry inherent risks, including price volatility, which can lead to significant gains or losses. Additionally, the digital nature of cryptocurrencies makes them susceptible to cybersecurity threats such as hacking and theft. Moreover, the anonymous nature of transactions raises concerns regarding the potential use of cryptocurrencies for illegal activities.

Legal and regulatory issues arise due to the decentralized and global nature of cryptocurrencies. Governments around the world are grappling with developing appropriate regulations to ensure consumer protection, financial stability, and tax compliance.

When investing in cryptocurrencies, individuals should exercise caution and consider several factors. It is essential to understand the technology behind cryptocurrencies, conduct thorough research on the specific cryptocurrency and its underlying project, and assess the associated risks. Compliance with legal and tax requirements is crucial to avoid legal repercussions. Individuals should also consider diversifying their investment portfolio and not invest more than they can afford to lose.

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Suppose John has $500 in traveler's checks. He cashes a $200 traveler check, and deposit $300 traveler check into his checking account at a commercial bank. The immediate effect is Group of answer choices
a) a $500 decrease in the M1 money supply, and the M2 money supply also decreases.
b) a $500 increase in the M1 money supply, but the M2 money supply decreases.
c) a $500 increase in the M1 money supply, and the M2 money supply also increases.
d) a $500 decrease in the M1 money supply, but the M2 money supply increases.
e) no change in M1 money supply, and no change in M2 money supply

Answers

The correct answer is e) no change in M1 money supply, and no change in M2 money supply. When John cashes a $200 traveler's check, the M1 money supply remains unchanged because traveler's checks are included in M1.

Although the physical form of the money changes, the overall amount of money in circulation remains the same. When John deposits a $300 traveler's check into his checking account, the M1 money supply also remains unchanged. This is because the deposit merely transfers the ownership of the funds from traveler's checks to a checking account, but it does not create or destroy money. As for the M2 money supply, which includes M1 plus certain types of savings accounts and time deposits, there is no change either. The actions of cashing a traveler's check and depositing a traveler's check into a checking account do not affect the components of M2.

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Sima Ltd purchased all issued shares of Nima Ltd for $1900000 on 1 July 2020 when the equity of Nima Ltd was as follows; 1 2 Share capital 760000 3 Asset revaluation surplus 570000 Retained earnings 285000 At this date, Nima Ltd had not recorded any goodwill, and all identifiable assets and liabilities were recorded at fair value except for the followings Further Account Cost Carrying Amount Fair value life(Years) Inventories $57,000 $143,000 Land Planti $221,250 $177,000 Contingent Liability Nima Ltd identified at acquisition date a lawsuit where Nima Ltd was sued by a former supplier with the Fairvalue of: Unrecorded Asset Nima Ltd had unrecorded and internally generated Patent with the FairValue of; Nima Ltd had unrecorded and internally generated in-process research and development with the FairValue of: Unrecorded Asset Tax rate:30%. $62,700 $157,000 $212,000 $23,000 $57,000 $43,000

Answers

The goodwill resulting from the acquisition of Nima Ltd by Sima Ltd is $1,527,500.

To determine the initial recognition of assets and liabilities and calculate the goodwill resulting from the acquisition of Nima Ltd by Sima Ltd, we need to compare the fair values of the identifiable assets and liabilities with their respective carrying amounts.

Identifiable assets and liabilities:

Inventories:

Carrying amount: $57,000

Fair value: $143,000

Difference: $143,000 - $57,000 = $86,000 (increase in value)

Land:

Carrying amount: $221,250

Fair value: $177,000

Difference: $177,000 - $221,250 = -$44,250 (decrease in value)

Plant:

Carrying amount: $221,250

Fair value: $212,000

Difference: $212,000 - $221,250 = -$9,250 (decrease in value)

Contingent Liability:

Fair value: $23,000

Unrecorded Asset - Patent:

Fair value: $57,000

Unrecorded Asset - In-process Research and Development:

Fair value: $43,000

Calculation of goodwill:

Fair value of net assets acquired:

($143,000 + $23,000 + $57,000 + $212,000 + $43,000) - ($57,000 + $221,250 + $221,250)

= $436,000 - $499,500

= -$63,500

Goodwill = Purchase consideration - Fair value of net assets acquired

= $1,900,000 - ($436,000 - $63,500)

= $1,900,000 - $372,500

= $1,527,500

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In an open economy, investment can be greater than savings if there is a v (Click to select) high tariff net capital outflow net capital inflow

Answers

In an open economy, investment can be greater than savings if there is a net capital inflow.

In an open economy, the relationship between investment and savings is influenced by capital flows. Investment refers to the expenditure on capital goods, such as machinery and buildings, while savings refer to the portion of income that is not consumed and is instead set aside for future use.

If there is a net capital inflow in an open economy, it means that capital is flowing into the country from foreign investors. This can occur when foreign investors find domestic investment opportunities attractive or when the country is running a trade surplus. In this case, the inflow of capital increases the funds available for investment, which can lead to investment being greater than savings.

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Which of the following best describes the primary reason for implementing a new information system, from a business perspective?
Group of answer choices
The system enables the firm to create new products and services.
The system will create new value for the firm, beyond its costs.
The system will automate key business processes.
The system is in use by our primary competitors.
The system integrates well with the Web

Answers

The primary reason for implementing a new information system, from a business perspective, is "The system will create new value for the firm, beyond its costs." The correct answer is option b.

An organization or enterprise's decision-making, coordination, control, analysis, and visualization processes are all supported by information systems (ISS), which are groups of interconnected parts that work together to gather, process, store, and distribute information. Information systems are implemented for several reasons such as to support business strategies, improve efficiency, and effectiveness of the business processes, promote operational excellence, and gain a competitive advantage over the business rivals.

When a business decides to implement a new information system, it expects to achieve benefits that exceed the costs incurred in implementing the system. Therefore, it can be concluded that the best answer choice that describes the primary reason for implementing a new information system from a business perspective is "The system will create new value for the firm, beyond its costs."

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. How does the FTC (Federal Trade Commission ) determine if an
ad is deceptive?

Answers

The FTC examines the overall impression created by the ad and considers the context in which it is presented to determine if it is likely to mislead consumers.

The FTC employs a three-part test to assess whether an ad is deceptive. The first part focuses on the ad's representation, omission, or practice. The FTC evaluates the specific claims, statements, or visuals made in the ad to determine their truthfulness and accuracy. It considers whether the ad creates a false impression or misleads consumers about a material fact.

The second part involves assessing the likely impact of the ad on consumers. The FTC considers how a reasonable consumer would interpret and understand the ad's claims and whether it is likely to affect their purchasing decisions. The agency looks at the overall impression created by the ad, taking into account any potential misleading aspects or claims that could deceive consumers.

In the third part, the FTC examines whether the ad's representation, omission, or practice is misleading or deceptive. It considers consumer perception, expert opinions, and empirical evidence to determine if the ad is likely to mislead a significant number of reasonable consumers. The FTC also takes into account the context in which the ad is presented, including any qualifying statements or disclosures that may affect consumer understanding.

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