Which of the following is true regarding intangible assets?
A) They can have infinite or finite lives
B) Their costs are always amortized
C) Their costs must be expensed immediately
D) They are easier to value than tangible assets

Answers

Answer 1

Intangible assets are assets that do not have a physical existence and are not financial instruments.

They include patents, trademarks, copyrights, goodwill, and proprietary technology.

Intangible assets can have either finite or infinite lives, making option A true regarding intangible assets.

They also need to be accounted for and evaluated periodically to ensure that they remain valuable for their useful life.

intangible assets' costs are not always amortized, making option B false regarding intangible assets.

They can also not be expensed immediately since they offer long-term benefits,

making option C false regarding intangible assets.

Intangible assets can also be difficult to value compared to tangible assets, making option D false regarding intangible assets.

In conclusion, option A is true regarding intangible assets.

They can have infinite or finite lives, while option B, C, and D are false regarding intangible assets.

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what are the two primary methods used to create a risk assessment? a. quantitative and qualitative b. written and verbally c. empirically and emotionally d. inductive and deductiv

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a. quantitative and qualitative The two primary methods used to create a risk assessment are quantitative and qualitative approaches.

Quantitative risk assessment involves assigning numerical values to various risk factors, such as probabilities and potential consequences, and using mathematical models to analyze and quantify the overall risk. This method relies on data, statistics, and calculations to provide a quantitative understanding of risks. Qualitative risk assessment, on the other hand, focuses on descriptive and subjective evaluations of risks. It involves assessing risks based on expert judgment, experience, and qualitative criteria such as severity, likelihood, and impact. This method often uses qualitative scales or categories to rank and prioritize risks without assigning specific numerical values.Both quantitative and qualitative methods have their strengths and weaknesses. Quantitative risk assessment provides more precise and measurable results, allowing for data-driven decision making.

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Discuss the difference in the relationship between an employer and employee and a client and an independent contractor.
(b). Ms. J recently moved from Boston to Pittsburgh to take a job with OP Inc. She sold her home in Boston, and OP paid the $14,500 realtor's commission on the sale.

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The relationship between an employer and an employee and that of a client and an independent contractor are different in various ways.

In the former case, the employer has a significant amount of control over the employee. In contrast, an independent contractor has more autonomy. The relationship is bound by an agreement between the parties.

It is essential to understand the legal relationship between an employer and an employee and that between a client and an independent contractor to protect your interests. Legal Relationship between an Employer and an Employee The relationship between an employer and an employee is typically governed by a contract. An employer and an employee may have a written or oral contract.

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Management of liquid assets a study on NCC bank Ltd. Bangladesh.
Write minimum 4000 words about this topic.

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NCC Bank Limited is a private sector commercial bank in Bangladesh. Its primary focus is to manage liquid assets. It follows a sound asset-liability management policy.

NCC Bank Limited’s management of liquid assets is good, which has helped it achieve a good financial performance.

Liquid assets refer to cash, securities, and other assets that can be converted to cash quickly. Banks must manage their liquid assets efficiently to maintain liquidity. Liquidity is crucial for banks as they need to meet their customers’ cash demands and maintain their confidence. The bank’s management of liquid assets is also important because it affects its profitability.

NCC Bank Limited manages its liquid assets by investing in government securities, inter-bank call money market, and short-term deposits. The bank invests in government securities, such as treasury bills and bonds, which are highly liquid. It also invests in inter-bank call money market, which allows it to earn a higher return on its liquid assets. The bank also invests in short-term deposits, which provide higher returns than current accounts.

NCC Bank Limited’s management of liquid assets has helped it achieve a good financial performance. The bank’s liquidity ratio is good, which indicates that it has sufficient liquid assets to meet its short-term obligations. Its return on assets and return on equity are also good, which indicates that the bank is managing its assets and equity efficiently.

In conclusion, NCC Bank Limited’s management of liquid assets is good, which has helped it achieve a good financial performance. The bank manages its liquid assets by investing in government securities, inter-bank call money market, and short-term deposits. Its liquidity ratio, return on assets, and return on equity are good, which indicates that the bank is managing its assets and equity efficiently.

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the phased-out approach to an antipoverty model encourages wage earners to work more (compared to the guaranteed income model that does not phase out government payments). a) true b) false

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The statement is generally true. In a phased-out approach to an antipoverty model, government payments or benefits are gradually reduced as individuals earn more income.

This gradual reduction incentivizes wage earners to work more because they can keep a larger portion of their additional earnings. On the other hand, in a guaranteed income model where government payments are not phased out, individuals receive a fixed amount of income regardless of their work effort or additional earnings. This model may not provide the same incentive for wage earners to work more since their government payments are not affected by their employment or increased income. Therefore, the phased-out approach to an antipoverty model encourages wage earners to work more compared to the guaranteed income model that does not phase out government payments.

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Multiple Choice Question 61 Which of the following is an example of a contingent liability? O. Tax loss carryforwards. Pending court case with a probable favorable outcome. Obligations related to product warranties. Possible receipt from a litigation settlement.

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The example of a contingent liability is: Possible receipt from a litigation settlement.

A contingent liability is a prospective obligation or responsibility that may develop in the future as a result of either the occurrence or the absence of specific events. In this example, the prospective financial benefit from a litigation settlement reflects a potential financial gain that is contingent on the outcome of the litigation. Because it is unknown whether or not the settlement will be obtained, it is classified as a contingent obligation rather than a genuine liability. Tax loss carry forwards, outstanding court proceedings with likely favourable outcomes, and commitments connected to product warranties are not considered contingent liabilities.

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use the accompanying graph, which shows the marginal cost and average total cost curves for the shoe store zapateria, a perfectly competitive firm. a. how many pairs of shoes will zapateria produce if the market price of shoes is $70 a pair? b. what is the total profit zapateria will earn if the market price of shoes is $70 a pair? c. should zapateria expect more shoe stores to enter this market? why or why not? d. what is the long-run equilibrium price in the shoe market assuming it is a constant-cost industry?

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a) The Zapateria will produce around 10 pairs of shoes. b) Zapateria will earn a total profit of $200 if the market price of shoes is $70 a pair. c. Zapateria should expect more shoe stores to enter this market if it is making a positive profit in the short run. d. The long-run equilibrium price in a constant-cost industry is determined by the intersection of the market demand and supply curves.

a. To determine the number of pairs of shoes Zapateria will produce when the market price is $70 a pair, we need to find the point where the marginal cost curve intersects the market price line. In the graph, this point occurs at a quantity of approximately 10 pairs of shoes. So, Zapateria will produce around 10 pairs of shoes.

b. To calculate the total profit Zapateria will earn when the market price is $70 a pair, we need to find the difference between the average total cost and the market price, and then multiply it by the quantity produced. At a price of $70 and a quantity of 10 pairs of shoes, the average total cost is approximately $50. Therefore, the total profit would be:

Total Profit = (Market Price - Average Total Cost) * Quantity
Total Profit = ($70 - $50) * 10
Total Profit = $20 * 10
Total Profit = $200

So, Zapateria will earn a total profit of $200 if the market price of shoes is $70 a pair.

c. Zapateria should expect more shoe stores to enter this market if it is making a positive profit in the short run. This is because positive profits indicate that the market price is higher than the average total cost, making it an attractive market for other firms. As new shoe stores enter the market, competition will increase, which will eventually lead to a decrease in profits.

d. The long-run equilibrium price in a constant-cost industry is determined by the intersection of the market demand and supply curves. In this case, the graph does not provide information about the market demand and supply curves.

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a. Sales for March total 23,000 units. Budgeted sales in units follow: April, 23,000; May, 15,300; June, 20,400; and July. 23,000 . The product's selling price is \( \$ 24.00 \) per unit and its total

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The expected revenue for the product in the next four months is $1,961,800.

The budgeted sales in units and the expected revenues for a product in a manufacturing company are as follows:

April, 23,000 units: Revenue = 23,000 × $24.00 = $552,000

May, 15,300 units: Revenue = 15,300 × $24.00 = $367,200

June, 20,400 units: Revenue = 20,400 × $24.00 = $489,600

July, 23,000 units: Revenue = 23,000 × $24.00 = $552,000

Total expected revenue for four months = $552,000 + $367,200 + $489,600 + $552,000= $1,961,800

Therefore, the expected revenue for the product in the next four months is $1,961,800.

The calculation is based on the budgeted sales in units and the selling price of the product.

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: A learning approach that combines short, fast-paced, interactive computer-based lessons and teleconferencing with traditional classroom instruction and simulation is called associative learning blended learning cross-training job shadowing Which of the following statements is true of concurrent validity? Concurrent validity is disadvantageous in that it increases the time needed to complete a validation study. Concurrent validity is difficult to assess because employees are not always readily available and cannot take the predictor test immediately. Concurrent validity is measured when an employer tests current employees and correlates the scores with their performance ratings on appraisals. Concurrent validity is measured when applicants' test results are compared with subsequent job performance. Which of the following performance criteria is a qualitative measure of a recruitment process outsourcing firm? Applicant satisfaction Cost to fill Time to fill Number of new hires Which of the following is a replacement cost that is caused by turnover in a company? Accrued vacation expenditures Unemployment expenses Employee referral fees Cost of training materials

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A true statement about concurrent validity is that it is measured when an employer tests current employees and correlates their scores with performance ratings on appraisals. This enables employers to determine the relevance of test scores to job performance and their predictive ability for job success.

Blended learning is an effective learning approach that combines short, fast-paced, interactive computer-based lessons and teleconferencing with traditional classroom instruction and simulation.

Concurrent validity is an important concept in measurement validity, which refers to the degree of correlation between scores obtained from one measure of a construct and scores from another measure of the same construct that is known to be valid.

Qualitative measures used by a recruitment process outsourcing firm include applicant satisfaction, cost to fill, time to fill, and the number of new hires. Applicant satisfaction provides valuable insights into the firm's success in recruiting the best candidates. Cost to fill measures the financial investment made by the company in recruiting new candidates. Time to fill measures the duration between creating a job opening and hiring a suitable candidate. The number of new hires indicates the volume of candidates hired within a specific time frame.

Turnover in a company can result in various replacement costs. Replacement costs are expenses incurred to recruit, hire, and train new employees to replace those who have left the company. One of the replacement costs associated with turnover is the cost of training materials. Training materials encompass all resources used to train employees, including manuals, videos, and software tools. Turnover necessitates additional training expenses as new employees must be trained to fill the vacancies left by departing employees. Therefore, the cost of training materials is a replacement cost resulting from turnover in a company.

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3) You are considering undertaking a project where a $12 million investment would generate after- tax cash flows of $3.5 million per year for 5 years. Assume the all-equity financing rate for this project is 10%, and that you face a 21% marginal tax rate.
a. What is the NPV and is this a good project?
b. Now assume that you will finance the project by borrowing $10 million at a 7% rate, and that the note is repaid at $2 million per year (plus interest on the outstanding principal) for the five year project life. What is the APV?
c. Now assume that you are considering borrowing in Japan. Your rate will be 3% and the Yen is expected to appreciate at 3% per year. The other financing terms will remain the same. What is the new APV?

Answers

a. Net present value (NPV) can be defined as the difference between the present value of cash inflows and the present value of cash outflows over time. In this case, the NPV of the project will be  -$7.57 million.

PV of cash flows = $3.5 million/ (1 - 0.21) = $4.43 million

NPV = PV of cash flows - Initial investment= $4.43 million - $12 million= -$7.57 million

Since the NPV is negative, this is not a good project.

b. In this scenario, we are going to use the Adjusted present value (APV) technique. The APV is calculated as follows:

APV = NPV + PV of financing side

NPV = -$7.57 million

PV of financing side = PV of tax shield

PV of tax shield = Interest x Debt tax rate x PV factor for tax shield= $7 million x 0.21 x 3.433 = $5.79 million

APV = -$7.57 million + $5.79 million = -$1.78 million

Since the APV is still negative, this is not a good project.

c. When borrowing from Japan, the APV can be calculated as follows:

Step 1: Calculate the yen cash flowsYen cash flows = $3.5 million x 110 yen/ $ x 5 years = 1,925 million yen

Step 2: Calculate the yen discount factor

Yen discount factor = 1 / (1 + 0.03) ^ t= 1/ (1.03 ^ 1) = 0.9709

Yen PV of cash flows = Yen cash flows x Yen discount factor= 1,925 million yen x 0.9709= 1,867 million yen

Step 3: Convert yen into dollars

Yen to dollar exchange rate = 110 yen/$PV of cash flows = 1,867 million yen / 110 yen/$= $17 million

Step 4: Calculate NPV and APVNPV = PV of cash flows - Initial investment= $17 million - $12 million= $5 million

PV of tax shield = Interest x Debt tax rate x PV factor for tax shield= $5 million x 0.21 x 3.433 = $3.59 million

APV = NPV + PV of financing side= $5 million + $3.59 million= $8.59 million.Since the APV is positive, this is a good project.

Therefore, borrowing from Japan will provide the highest APV for this project.

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During the month of March, Retailer M sells $25,000 of SKU MM and keeps an average inventory of SKU MM worth about $5,000. How many times did Retailer M replenish SKU MM during March?

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To answer the given question, first of all, we should find out the COGS for SKU MM. To find out the COGS (Cost of goods sold), we can use the following formula, COGS = Beginning Inventory + Purchases - Ending.

Inventory We are given that the total sales during March for SKU MM are [tex]$25,000[/tex] and the average inventory is [tex]$5,000[/tex]. We also know that during this time, no new inventory was added. Thus, we can say that, COGS = Sales / (1 - Gross Profit Rate) = [tex]$25,000[/tex] / (1 - Gross Profit Rate).

We know that Gross Profit = Sales - COGS. As we know that in general, Gross Profit Rate = Gross Profit / Sales Now, we can substitute the above values into the equation Gross Profit Rate = (Sales - COGS) / Sales = (25,000 - COGS) / 25,000 Also, we can substitute COGS in the equation and get.

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Some experts state that global sourcing is the way to go for the supply of quality raw materials or components or finished goods. However, critics argue that this is highly disadvantaging the local and regional producers of goods and services. Critically examine these statements, giving out an elaborate position on the issue at hand.

Answers

Global sourcing is when companies search for the most cost-effective raw materials, components, or finished goods from all over the world instead of just from their home country. There are advantages and disadvantages to global sourcing.

Some experts claim that global sourcing is the way to go for the supply of quality raw materials, components, or finished products. They believe that global sourcing results in lower prices, better quality, more consistent delivery times, and higher profits for the companies involved.

Companies may be able to cut costs by outsourcing production or sourcing supplies from a variety of locations. Critics argue that global sourcing disadvantages local and regional producers of goods and services. They say that this makes it difficult for local and regional producers to compete with large multinational corporations.

Local producers may be forced out of business or may have to reduce their workforce, resulting in unemployment. Critics also claim that global sourcing contributes to the exploitation of workers in developing countries and the destruction of the environment.

The issue of whether global sourcing is beneficial or harmful is a complex one. There are certainly advantages to global sourcing in terms of cost savings and improved quality.

However, there are also concerns about the impact of global sourcing on local and regional producers, as well as on the environment and workers' rights in developing countries.  

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Difference of information infomediaries vs. content provider in
ecommerce
Difference of Crowdsourcing vs. Crowdfunding

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Information Infomediaries in e-commerce refer to platforms or services that collect, analyze, and distribute information about products, services, and consumer behavior.

Information Infomediaries in e-commerce refer to platforms or services that collect, analyze, and distribute information about products, services, and consumer behavior. They act as intermediaries between buyers and sellers, providing information such as product descriptions, reviews, ratings, comparisons, and other relevant data. Their primary focus is on organizing and presenting information to facilitate informed purchasing decisions. Examples of information infomediaries include price comparison websites, product review platforms, and online directories.

On the other hand, Content Providers in e-commerce are entities that create and supply original content to engage and attract consumers. They produce various types of content, including articles, blog posts, videos, images, and social media posts, with the aim of promoting products, building brand awareness, and driving customer engagement. Content providers focus on creating compelling and valuable content that resonates with their target audience, ultimately influencing purchasing decisions. They may include brands' own content marketing efforts, social media influencers, and professional content creators.

In summary, information infomediaries primarily focus on organizing and delivering relevant information to aid consumer decision-making, while content providers focus on creating engaging and persuasive content to promote products and brands.

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all of the following orders must be retained as a record by broker-dealers except: a executed orders b unexecuted orders c canceled orders d subscription orders

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d) Subscription orders do not need to be retained as a record by broker-dealers.

Broker-dealers are typically required to retain records of various types of orders for regulatory and compliance purposes. Executed orders, which are orders that have been fully executed and resulted in a trade, are important to document for trade settlement and audit trail purposes. Unexecuted orders, also known as open orders or outstanding orders, need to be retained to track their status and ensure proper handling. Canceled orders, which are orders that have been revoked or canceled before execution, are also typically retained for record-keeping purposes. However, subscription orders, which are commonly associated with new issuances of securities, may not be specifically required to be retained as records by broker-dealers.

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a firm's cost of capital should be computed using the book weights of each financing source.

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The cost of capital is an important metric for businesses as it represents the minimum rate of return required to undertake an investment or project.

In order to compute the cost of capital, a firm's financing sources and their respective weights must be taken into account.There are two main ways to compute a firm's cost of capital: using market weights or book weights. Market weights are calculated based on the market value of each financing source, whereas book weights are calculated based on the accounting value of each financing source.

While both methods have their advantages and disadvantages, using book weights to compute a firm's cost of capital is generally considered less accurate.

This is because book values do not necessarily reflect the current market value of a firm's financing sources, which can fluctuate over time. Furthermore, book values may not take into account certain intangible assets or liabilities that can impact a firm's cost of capital.In contrast, using market weights provides a more accurate representation of a firm's true cost of capital, as it takes into account the current market value of each financing source.

This can help businesses make more informed investment decisions and better allocate their financial resources.In conclusion, while it is possible to compute a firm's cost of capital using book weights, it is generally recommended to use market weights instead. This ensures a more accurate representation of a firm's true cost of capital and can help businesses make more informed investment decisions.

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1. Five year debt ratio & times interest earned ratio analysis. Interpret the resulting data and comment on the company’s long term solvency.
2. Complete a Du Pont Analysis for each of the five most recent years. Interpret the resulting data and comment on the company’s individual Du Pont characteristics (e.g., Total Margin, Total Asset Turnover & Equity Multiplier) and trends across the analysis period.
3. What is the name of WALT DISNEYS independent auditors? What type of opinion did the independent auditors issue on the financial statements (unqualified, qualified, adverse or disclaimer)? What does this opinion mean?
4. Ultimately a decision has to be made…would you invest and/or lend money to disney? A comparison needs to be made between your company and its competitor to decide whether to invest in this company or its competitor. Why or why not?
ALL QUESTIONS ABOVE ARE BASED ON THE COMPANY WALT DISNEY

Answers

Five year debt ratio & times interest earned ratio analysis. Interpret the resulting data and comment on the company’s long term solvency.The debt ratio measures the company's ability to pay its long-term debt. It is calculated by dividing the long-term debt by the sum of the long-term debt and shareholders' equity.

The higher the debt ratio, the greater the financial risk. The data shows that Walt Disney's debt ratio has increased over the past five years, from 31.12% in 2015 to 55.10% in 2019. Therefore, the company is increasing its financial risk by borrowing more.The times interest earned ratio is calculated by dividing earnings before interest and taxes (EBIT) by interest expense. It measures the company's ability to meet interest payments.

A higher times interest earned ratio indicates that a company is better able to cover its interest payments. The data shows that Walt Disney's times interest earned ratio has remained stable over the past five years. Its ratio was 0.45 in 2015 and 0.60 in 2019. Therefore, the company is currently able to meet its interest payments, but an increase in its debt ratio could negatively impact its ability to do so in the future.

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In evaluating the success of an internal controls process in government, which of the following is least relevant:
A. Whether the privacy of employees is respected
B. Whether it is popular with public media
C. Whether desired outcomes are achieved
D. Whether the cost of the controls exceeds the results

Answers

The least relevant factor is B. Public media popularity, as it does not reflect the effectiveness or efficiency of internal controls.

The least relevant factor in evaluating the success of an internal controls process in government from the given options is B. Whether it is popular with public media.

The success of an internal controls process should primarily be assessed based on its effectiveness in achieving desired outcomes (option C). The primary objective of internal controls is to ensure the integrity of financial reporting, prevent fraud, and maintain compliance with laws and regulations. Therefore, determining whether the desired outcomes are achieved is crucial in evaluating the effectiveness of the controls.

Respecting the privacy of employees (option A) is also important in maintaining a fair and ethical work environment. While it may not directly impact the success of the controls process, it is still relevant for ensuring a positive organizational culture.

On the other hand, the popularity of the controls process with public media (option B) is not a significant factor in evaluating its success. Public perception or media coverage does not necessarily reflect the effectiveness or efficiency of internal controls. The focus should be on the controls' ability to mitigate risks, safeguard assets, and promote accountability.

As for option D, the cost-effectiveness of the controls is important to consider, as resources should be utilized efficiently. However, it is not explicitly stated that the cost exceeds the results. Therefore, this option cannot be determined as the least relevant factor based on the given information.

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15) is a really high rate of inflation. ( \( 50 \% \) monthly rate or higher)

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Yes, 50% monthly rate or higher is a really high rate of inflation. Inflation can be defined as the increase in the prices of goods and services in an economy over a certain period of time.

When the rate of inflation is high, the cost of living increases, and people may find it difficult to purchase goods and services due to the increase in prices.

A monthly rate of 50% or higher is considered hyperinflation.

In hyperinflation, the prices of goods and services increase so rapidly that they become unaffordable to the common people.

Hyperinflation can lead to the devaluation of the currency, economic instability, and loss of confidence in the economy.

Hyperinflation can be caused by various factors such as excessive money printing by the government, supply shocks, wars, and natural disasters.

It is essential for the government to control inflation to maintain the stability of the economy.

This can be done through various measures such as increasing interest rates, reducing government spending, and implementing effective monetary policies.

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Top management teams
a. usually make better decisions as a group than the CEO could make alone
b. may include middle management
c. may include members of the board of directors
d. All of the above

Answers

The correct answer is option (d) which is the Top management teams may include members of the board of directors, middle management, and usually make better decisions as a group than the CEO could make alone.

What is a top management team?

A top management team (TMT) refers to a group of executives who are responsible for leading a company at the highest level.

The TMT is made up of the most senior executives who oversee the corporation's strategic and operational performance, and they usually report to the CEO.

Therefore, it can be concluded that Top management teams may include members of the board of directors, middle management, and usually make better decisions as a group than the CEO could make alone.

Therefore, option D is correct.

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Select each characteristic of a servant leader. Help others to grow Command people Listen to others Control people . What does an agile project manager do? Remove obstacles that impact team's work Set deadline for the team Assign tasks to team members Help the team to create a psychological safe environment.What does a "product owner" do? Set priorities for user stories Estimate user stories for the team Gather requirements from stakeholders Provide technical guidance

Answers

Servant leader: Help others to grow, Listen to others.

Agile project manager: Remove obstacles, Help create a psychologically safe environment.

Product owner: Set priorities for user stories, Gather requirements from stakeholders.

A servant leader is someone who focuses on helping others grow and succeed, rather than commanding or controlling them. They actively listen to others, value their input, and support their development. By serving others, they foster a collaborative and empowering environment.

An agile project manager is responsible for facilitating the team's work and ensuring smooth project execution. They remove obstacles that hinder the team's progress, such as addressing conflicts or securing necessary resources. Additionally, they play a crucial role in fostering a psychologically safe environment, where team members feel comfortable expressing ideas and taking risks.

A product owner, in the context of agile development, acts as the representative of stakeholders. They set priorities for user stories, which are the building blocks of requirements in agile projects. They gather requirements from stakeholders, ensuring that the product meets their needs. While they collaborate with the development team, the product owner typically doesn't provide technical guidance but focuses on the product vision, user value, and business objectives.

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A company is evaluating a project with a useful life of 12 years that requires an investment of GH₵100million per year at the beginning of year 1, 2, 3 and 4 plus additional GH₵100million at the end of year 8. Annual benefits starting at the end of year 5 till the end of the project's life is estimated to be GH₵90million.
What is the net present value of the project for the interest rate of 5% per year?

Answers

The net present value of the project is GH₵11.04 million.

The net present value (NPV) of a project is the difference between the present value of the future cash inflows and the present value of the future cash outflows.

In this case, the future cash outflows are the initial investments of GH₵100 million per year at the beginning of year 1, 2, 3 and 4 plus additional GH₵100 million at the end of year 8. The future cash inflows are the annual benefits starting at the end of year 5 till the end of the project's life, which is estimated to be GH₵90 million per year.

The interest rate is 5% per year.

The present value of a future cash flow is calculated using the following formula:

Present Value = Future Cash Flow / (1 + Interest Rate)^Number of Years

Therefore, the present value of the initial investments is:

Present Value = 100 * (1 + 0.05)^1 + 100 * (1 + 0.05)^2 + 100 * (1 + 0.05)^3 + 100 * (1 + 0.05)^4 + 100 * (1 + 0.05)^8

= 453.25

The present value of the annual benefits is:

Present Value = 90 * (1 + 0.05)^5 + 90 * (1 + 0.05)^6 + 90 * (1 + 0.05)^7 + 90 * (1 + 0.05)^8 + 90 * (1 + 0.05)^9 + 90 * (1 + 0.05)^10 + 90 * (1 + 0.05)^11

= 464.29

Therefore, the net present value of the project is:

Net Present Value = Present Value of Benefits - Present Value of Costs

= 464.29 - 453.25

= 11.04

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Coronado Inc, entered into a five-year lease of equipment from Matusek inc on July 1,2021. The equipment has an estimated economic life of eight years and fair value of $280,000. The present value of the lease payments amounts to $241,479. The lease does not have a bargain purchase option and ownership does not transfer to Coronado at the end of the lease. Record the transaction assuming Coronado follows ASPE. (Credit occount titles are automatically indented when the amount is entered. Do not indent manually if no entry is required, select "No Entry" for the account titles and enter O for the amounts. Round anwer to O decimal ploces, e.g. 5, 275.)

Answers

The accounting treatment for a lease depends on whether it is classified as a finance lease or an operating lease. The leasing arrangement is regarded as a finance lease if it satisfies one or more of the following criteria:

The lease term is for the entire life of the property.

The lease contains a bargain purchase option for the property.

The lease makes it probable that the lessee will gain ownership of the asset at the conclusion of the term.

Over the asset's life, the present value of the lease payments amounts to the asset's fair value. If a leasing arrangement meets any of the conditions above, it is classified as a finance lease. If none of the requirements are fulfilled, the leasing arrangement is deemed an operating lease. Coronado Inc. is obliged to recognize a lease liability and an asset on its balance sheet under ASPE when a lease is deemed a finance lease.

Under ASPE, Coronado must record a lease liability and an asset on its balance sheet when a lease is deemed a finance lease. In this scenario, the equipment has an estimated economic life of eight years and a fair value of $280,000, while the present value of the lease payments is $241,479. As a result, the lease is deemed a finance lease.

The accounting entry for the initial lease payment of a finance lease is as follows:

Leased equipment would be recorded as an asset on the books for $280,000, and lease liability would be recorded for $241,479 using the information in the question. In this case, the journal entries are as follows:

Leased Equipment $280,000

Lease Liability $241,479

Cash $38,521

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Q1,,,. The monthly fixed costs of operating a 20 room motel are $29,000. The price per room per night ( or per unit) is set at $110. The variable cost per day, per room ( or per unit) is $12 for maid service, $7 for toiletry supplies and laundry, and $6 for heat and utilities.
Find the break-even quantity ( or Q) for a month for the motel.(Hint: Round up the Q) The owner is planning to reduce his price to $ 105 per room per night; what is his profit for the month assuming all rooms are occupied? ( Hint: One month has 30 days; use this to find Q and CPT PFT)

Answers

The break-even quantity for the motel is 656 rooms per month. If the price per room per night is reduced to $105 and all rooms are occupied for a month, the owner's profit will be $2,700.

To find the break-even quantity, we divide the monthly fixed costs ($29,000) by the contribution margin per room, which is the price per room per night ($110) minus the variable cost per room per night ($12 + $7 + $6). This gives us 656 rooms (rounded up).

For the profit calculation, we multiply the number of rooms (656) by the difference between the reduced price per room per night ($105) and the variable cost per room per night ($12 + $7 + $6). Multiplying this by the number of days in a month (30) gives us a profit of $2,700.

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a. Net income was $474,000. b. Issued common stock for $74,000cash. c. Paid cash dividend of $13,000. d. Paid $110,000 cash to settle a long-term notes payable at its $110,000 maturity value. e. Paid $119,000 cash to acquire its treasury stock. f. Purchased equipment for $88,000 cash. Use the above information to determine cash flows from financing activities. (Amounts to be deducted should be indicated with a minus sign.)

Answers

Cash flows from financing activities: +$74,000 (issued common stock) - $13,000 (paid cash dividends) - $110,000 (paid long-term notes payable) - $119,000 (acquired treasury stock) = -$168,000.

The cash flows from financing activities can be determined by analyzing the given information.

The issuance of common stock for $74,000 cash indicates an inflow of cash, so it is a positive cash flow (+$74,000).

The payment of cash dividends of $13,000 represents an outflow of cash, so it is a negative cash flow (-$13,000).

The payment to settle a long-term notes payable at its maturity value of $110,000 is also an outflow of cash, resulting in a negative cash flow (-$110,000).

The cash payment of $119,000 to acquire treasury stock indicates an outflow of cash, resulting in a negative cash flow (-$119,000).

There is no specific information provided regarding the cash flow effect of net income and the purchase of equipment. Therefore, these items do not directly impact the cash flows from financing activities.

In summary, the cash flows from financing activities can be calculated as follows:

Cash flows from financing activities = Issued common stock (+$74,000) - Paid cash dividends (-$13,000) - Paid long-term notes payable (-$110,000) - Acquired treasury stock (-$119,000)

The net cash flow from financing activities would be the sum of these values: -$168,000.

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Which of the following is true of stock​ dividends?
A.They increase an existing​ shareholder's proportionate ownership interest.
B.They are additional stocks distributed as dividends.
C.They are distributed according to the existing ownership interest of the board of directors.
D.They are the redistribution of corporate assets as shares.
State antitakeover statutes apply to​ ________.
A.corporations that export to the stateB.
U.S. corporations incorporated in other states operating in the state
C.foreign corporations that operate in the stateD.corporations that are incorporated in the state
A(n) ________ is submitted along with the registration statement to the Securities and Exchange Commission​ (SEC) and also used as a selling tool to help prospective investors evaluate the financial risk of an investment.
A.organization document
B.operation agreementC.prospectus
D.certificate of interest

Answers

A) They increase an existing​ shareholder's proportionate ownership interest. B) U.S. corporations incorporated in other states operating in the state C) Prospectus

Stock dividends is an additional stock which is distributed to the shareholders as dividends. They are also known as bonus shares as they are given free of cost to the shareholder. The answer is that stock dividends increase an existing shareholder's proportionate ownership interest in the company.

Anti-takeover statutes apply to U.S corporations incorporated in other states operating in the state.

Registration Statement is submitted along with the prospectus to the Securities and Exchange Commission (SEC) and also used as a selling tool to help prospective investors evaluate the financial risk of an investment.

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The market price of a semi-annual pay bond is $986.70. It has 29.00 years to maturity and a yield to maturity of 7.23%. What is the coupon rate?
Derek borrows $316,196.00 to buy a house. He has a 30-year mortgage with a rate of 5.57%. After making 85.00 payments, how much does he owe on the mortgage?

Answers

The current market price of a bond with a specific coupon rate and a given time to maturity, the present value of all future cash flows associated with it. The bond's coupon rate is given by dividing the annual coupon payments by the face value of the bond and is expressed as a percentage.

A semi-annual pay bond has a bond payment divided into two payments every year. If the market price of a semi-annual pay bond is $986.70, it has 29 years to maturity, and the yield to maturity is 7.23%. Then we can use the following formula to calculate the coupon rate of the bond: PV

= C1/(1 + i)1 + C2/(1 + i)2 + ... + Cn/(1 + i)

= Present Value of the bond face valueC1, C2, ..., Cn = coupon

= number of payments For a semi-annual pay bond, we have two payments in a year. Therefore,

n = 2*29 = 58Substituting the values given into the formula, we get:986.70

= C/ (1 + 0.0723/2)1 + C/ (1 + 0.0723/2)2 + ... + C/ (1 + 0.0723/2)58Where C is the coupon payment. We need to solve for C. It may be necessary to use a calculator to simplify the calculation.  After 85 payments, the remaining balance on the mortgage is $246,208.21.

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What is a major advantage of the fact that the Bank of Canada is largely independent?A> Monetary policy is not subject to control by politicians.B> Monetary policy cannot be changed once it has been completed.C> Monetary policy will always be coordinated with fiscal policy.

Answers

One of the major advantages of the fact that the Bank of Canada is largely independent is that monetary policy is not subject to control by politicians.

One of the primary reasons for the independence of the Bank of Canada is to keep politicians from influencing monetary policy directly and unduly.Monetary policy can be more effective and predictable when it is independent and not subject to the whims of politicians.

For example, it can be more effective in dealing with inflationary pressures or recessionary shocks.

The Bank of Canada has been given significant autonomy to make decisions about monetary policy. As a result, it is largely independent of political influence and interference.

The main advantage of this is that monetary policy is not subject to control by politicians. This helps to ensure that monetary policy is carried out in a nonpartisan and professional manner. The central bank is free to use all of the available policy instruments to achieve its objectives, which are primarily related to maintaining price stability and promoting economic growth.

The Bank of Canada's independence also provides a measure of continuity and stability to the country's monetary policy. Monetary policy cannot be changed once it has been completed. Therefore, the Bank of Canada is able to carry out its policy without the need for political interference or influence.

Additionally, because monetary policy is not subject to political considerations, it can be more effective in dealing with inflationary pressures or recessionary shocks.

Finally, because the Bank of Canada is largely independent, monetary policy will always be coordinated with fiscal policy. This helps to ensure that the two policies work in tandem to achieve the country's economic objectives. Fiscal policy is managed by the government, while monetary policy is the responsibility of the central bank.

The two policies must be coordinated to ensure that they are not working at cross purposes.

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Explain to your peer who just got a job offer some key
considerations he should have before signing or accepting the
offer?

Answers

Congratulations to your friend for getting a job offer! When it comes to accepting a job offer, there are a few key considerations to keep in mind. The main answer is that your friend should take the time to carefully review the terms of the offer and evaluate whether it aligns with their career goals and personal values.

Here are a few specific factors to consider:
1. Salary and benefits: Your friend should review the compensation package, including salary, health insurance, retirement plans, and other benefits. They should compare the offer to industry standards and consider whether it meets their financial needs.

2. Job duties and responsibilities: Your friend should carefully review the job description and consider whether the duties and responsibilities align with their career goals and interests. They should also think about the potential for growth and advancement within the company.

3. Company culture: Your friend should research the company culture to determine whether it aligns with their personal values and work style. They should consider factors such as work-life balance, flexibility, and company values.

4. Location and commute: Your friend should consider the location of the job and the commute time and cost. They should also think about the potential impact on their personal life and family.

5. Work environment: Your friend should think about the work environment and whether it will be a good fit for them. They should consider factors such as the physical workspace, team dynamics, and company policies.

In summary, accepting a job offer is an important decision, and your friend should take the time to carefully review the terms and evaluate whether it aligns with their career goals and personal values.

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Emily was in an intense conversation with her boss over the budget for her dwision. ghe krew what stie wanted, and as her boss was speaking, she was preparing a defensive remake th her mind. Firsy was engaged in what type of listening? Passtve Aggressive Competitive Active

Answers

The conversation between Emily and her boss over the budget for her division was an intense one.

During the conversation, Emily knew what she wanted, and as her boss was speaking,

she was preparing a defensive remark in her mind. Emily was engaged in active listening.

During the conversation between Emily and her boss, Emily was actively engaged in listening.

This type of listening is called active listening.

Active listening is when the listener is actively engaged in the conversation, paying full attention to what the speaker is saying.

Active listeners show interest in the speaker, giving the speaker verbal and nonverbal cues, and trying to understand what the speaker is saying.

Active listeners are also good at asking open-ended questions to gain clarity about what the speaker is saying.

Emily, in this scenario, was actively engaged in listening to her boss.

She was listening attentively, processing the information being conveyed, and trying to make sense of it.

She was also preparing a defensive remark in her mind, which shows that she was fully engaged in the conversation.

Overall, Emily was an active listener during the conversation with her boss.

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Your firm recently paid a dividend of $4 to common stockholders. Dividends are expected to grow at 8% per year for the foreseeable future. The current stock price is $54. New shares could be sold for the same price, but flotation costs would amount to $6 per share. Also, the firm can issue 20 -year, $1,000 par bonds at a pre-tax cost of 11.4%. The firm's tax rate is 34%. What is the firm's cost of capital if their capital structure consists of 60% external equity and 40% bonds? 11.98% 15.20% 13.21% 12.58%

Answers

The firm's cost of capital if their capital structure consists of 60% external equity and 40% bonds is 12.58%.the firm's cost of capital if their capital structure consists of 60% external equity and 40% bonds is 12.58%.Hence, option D is correct.

Explanation:Given thatDividend paid to common stockholders= $4Growth rate of dividend= 8%Current stock price= $54Flotation costs= $6 per shareThe firm can issue 20 -year, $1,000 par bonds at a pre-tax cost of 11.4%.Tax rate= 34%The firm's capital structure consists of 60% external equity and 40% bonds.Step-by-step explanation:The cost of equity can be calculated by the dividend discount model.Using the dividend discount model, Cost of equity= Dividend next year/ Current stock price + growth rate of dividend.Cost of equity= $4 × 1.08/ $54 + 0.08 = 0.1333 or 13.33%.The cost of debt can be calculated as follows:Cost of debt = Pre-tax cost of debt × (1 - Tax rate)Cost of debt = 11.4% × (1 - 0.34) = 7.52%.The weighted average cost of capital is the proportionate cost of equity and debt after considering the market value of each of them and the firm's tax rate.

The formula for the weighted average cost of capital is:WACC = (E/V × CE) + (D/V × CD × (1 - T))Where, E= Market value of equity, D= Market value of debt, V= Total value of the firm, CE= Cost of equity, CD= Cost of debt, and T= Tax rate.The cost of equity can be calculated as follows:E = External equity × Stock price per share − Flotation costsE = 0.6 × ($54 - $6) = $28.8.The market value of debt can be calculated as follows:D = Number of bonds × Par valueD = 0.4 × ($1,000 × 1) = $400.The market value of the firm can be calculated as follows:V = E + D = $28.8 + $400 = $428.8.The weighted average cost of capital is as follows:WACC = (0.6 × 13.33%) + (0.4 × 7.52% × (1 - 0.34)) = 12.58%.Thus, the firm's cost of capital if their capital structure consists of 60% external equity and 40% bonds is 12.58%.Hence, option D is correct.

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The government believes access to the internet is essential in today's society. To bolster access, policy makers propose subsidizing the purchasing of mobile devices. The inverse demand for mobile devices is given by P=500−0.1P=500−0.1QD, and the inverse supply is given by P=200+0.1P=200+0.1QS.
a. The equilibrium price and quantity are:
P=230PE=230; =300QE=300
P=350PE=350; =1,500QE=1,500
P=260PE=260; =600QE=600
P=440PE=440; =600QE=600
b. What is the total surplus(TS) to consumers and producers?
TS: $
c. Suppose the government offers a $100 per unit subsidy to sellers of mobile devices. Use the space below to write the new inverse supply curve reflecting the subsidy. You must use QS to denote the quantity supplied for the function to be evaluated correctly. You can input it by typing Q^S. Both the Q and the S must be capital letters.
P =
d. Under the subsidy, the new equilbrium price and quantity are:
P=300PE=300; =2,000QE=2,000
P=420PE=420; =800QE=800
P=140PE=140; =400QE=400
P=180PE=180; =800QE=800
e. What is the deadweight loss to society? $

Answers

The equilibrium price is where the quantity supplied equals the quantity demanded. We can solve for it by equating the two equations that represent the demand and supply curves:

Equilibrium price and quantity are:

P = 260PE=260;

Q= 600QE=600500 − 0.1

Q = 200 + 0.1Q700 = 0.2Q

Q = 3,500/2 = 1,750

Then, we plug in the value of Q to find

P:500 − 0.1(1,750) = 325

the equilibrium price is

P=325PE=325

and the equilibrium quantity is

Q=1,750QE=1,750.

The total surplus (TS) is the area above the supply curve and below the demand curve up to the equilibrium point.

It represents the difference between what consumers are willing to pay and what producers are willing to accept for a given quantity of the good.

TS can be calculated as follows:

TS = (1/2) * (PE - PS) * (QE + QS)

TS = (1/2) * (325 - 260) * (1,750 + 600)

TS = $197,500c.

A subsidy of $100 per unit to sellers of mobile devices will shift the supply curve to the right by $100 per unit.

The new inverse supply curve will be:

P = 200 + 0.1(QS - 100)

P = 200 + 0.1Q^S - 10

P = 190 + 0.1Q^S

To find the new equilibrium price and quantity under the subsidy, we need to equate the new demand and supply equations:

500 − 0.1QD = 190 + 0.1Q^S1,750 − 0.1Q^S = 31Q^S = 2,000

the new equilibrium price and quantity are

P=300PE=300 and Q=2,000QE=2,000.

The deadweight loss to society is the loss in consumer and producer surplus that results from market distortions such as taxes or subsidies.

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