Which theory states that kids with like-minded peers without parental control are more likely to become delinquent?

Answers

Answer 1

The theory that states that kids with like-minded peers without parental control are more likely to become delinquent is known as the Differential Association theory. What is the Differential Association Theory? The Differential Association Theory is a theory of criminology that argues that people become delinquent.

When they are exposed to a larger number of criminal behaviors than noncriminal behaviors. When an individual associates with people who are committing more crimes than not, they are more likely to follow suit as a result of exposure to these behaviors. As a result, the theory argues that individuals are not naturally drawn to criminal activities, but instead learn them as a result of their experiences and interactions with others.

The theory was created by Edwin Sutherland, who was a professor of sociology at the University of Chicago. The theory was first presented in 1939 in a book called "Principles of Criminology."The differential association theory has gained a lot of traction in criminology as a result of its emphasis on social factors as a cause of criminal behavior. This theory is still widely used today in the field of criminology.

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Related Questions

what is ;
---The relationship between interest rates with GDP??
---The relationship
between exchange rates with GDP??
---The relationship between inflation with GDP??

Answers

The relationship between interest rates and GDP is complex and multifaceted. In general, lower interest rates tend to stimulate economic growth by encouraging borrowing and investment.

When interest rates are low,

businesses and individuals are more inclined to take out loans for expansion and spending, which boosts economic activity and can lead to higher GDP. Additionally, lower interest rates make borrowing cheaper, which can stimulate consumer spending and investment in real estate and other assets. Conversely, higher interest rates can constrain borrowing and investment, potentially slowing down economic growth and reducing GDP.

Exchange rates, on the other hand, refer to the value of one currency relative to another. The relationship between exchange rates and GDP is primarily influenced by international trade. A weaker domestic currency can make exports more competitive in foreign markets, leading to increased demand for domestically produced goods and services, thereby boosting GDP. Conversely, a stronger domestic currency can make imports cheaper, which may negatively affect domestic industries and potentially lead to a decrease in GDP. However, exchange rates are influenced by various factors including interest rates, inflation, market sentiment, and government policies, making the relationship with GDP more complex and context-dependent.

Inflation refers to the general increase in prices over time. The relationship between inflation and GDP is usually characterized by an inverse correlation. High levels of inflation can erode the purchasing power of consumers, leading to reduced consumer spending and a decrease in GDP. When inflation is high, businesses and individuals may also face uncertainty and difficulty in planning for the future, which can negatively impact investment and economic growth. Conversely, moderate levels of inflation can be indicative of a healthy economy, with price stability and positive GDP growth. Central banks often aim to maintain low and stable inflation rates to support economic stability and sustainable growth.

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The Davis Medical Center (DMC) is a primary care medical clinic in a small town. It provides all the aspects of a medical clinic including checkups and minor medical procedures. Because it is some distance from a hospital and most medical specialty offices it incorporates some basic diagnostic capabilities such as X-Ray, MRI, basic blood work, etc. As with most current medical facilities in the US, it suffers from a wide variety of inefficiencies such as scheduling issues, delays, long patient waits and movements within the facility, cumbersome, time consuming, and error prone medical record and other data handling processes, high levels of medical errors, etc. To address these issues, DMC has implemented a Lean Six Sigma program and you have been hired as a Black Belt to work in the program.
DMC is currently in the preliminary planning stages of expanding to offer its clients more comprehensive wellness services including diet and nutrition counseling, fitness evaluation, activity and exercise planning including related physical therapy, etc. Goals are to include:
Assist clients to develop a sustainable wellness lifestyle
Develop diet, exercise stress management, and other lifestyle programs which are more comprehensive of the individual patient especially injuries and medical condition
Business model based on high volume of clients

Answers

The Davis Medical Center (DMC) is a primary care medical clinic located in a small town. It offers various aspects of medical care, including checkups and minor medical procedures. The clinic incorporates some basic diagnostic capabilities such as X-Ray, MRI, and basic blood work.

DMC is in the preliminary planning stages of expanding to provide its clients with more comprehensive wellness services, including diet and nutrition counseling, fitness evaluation, activity and exercise planning, and related physical therapy. The goals are to help clients develop a sustainable wellness lifestyle, develop diet, exercise stress management, and other lifestyle programs that are more comprehensive of the individual patient, and base the business model on high volumes of clients.  It has suffered from inefficiencies such as scheduling issues, long waits, and movements within the facility, time-consuming medical records handling, high medical error rates, and more. To address these issues, DMC has implemented a Lean Six Sigma program and has hired a Black Belt to work in the program.
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what specific role does logistics play in supply chain operations

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Logistics plays a crucial role in supply chain operations by managing the movement, storage, and flow of goods, materials, and information across the entire supply chain network, ensuring efficient and timely delivery to customers.

A supply chain is a network of organizations, activities, resources, and processes involved in the production, procurement, transformation, and distribution of goods and services to customers. Supply chain management involves coordinating and optimizing the flow of materials, information, and finances across suppliers, manufacturers, distributors, retailers, and customers. It aims to ensure that the right products are available at the right place, right time, and right cost while minimizing waste, costs, and lead times.

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Let the base year used for calculating CPI be 2010. • CPI in 2019 equals 127. What nominal amount in 2019 has the same purchasing power as receiving $7000 in the 2010? Do not enter the $ sign. Round to one decimal place. Answer:

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To determine the nominal amount in 2019 that has the same purchasing power as receiving $7,000 in 2010, we need to adjust for inflation using the Consumer Price Index (CPI). In 2019, an amount of $8,890 has the same purchasing power as receiving $7,000 in 2010, considering the given CPI values.

The formula to calculate the equivalent nominal amount is:

Equivalent Nominal Amount = (Original Amount) x (CPI in 2019 / CPI in the Base Year)

Substituting the given values:

Equivalent Nominal Amount = $7,000 x (127 / 100)

Calculating the result:

Equivalent Nominal Amount = $8,890

Therefore, in 2019, an amount of $8,890 has the same purchasing power as receiving $7,000 in 2010, considering the given CPI values.

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Question 3
Which of the following is NOT an important dimension of an
entrepreneur's ability to turn an idea into a business plan?
Connections
Financial resources
Passion
First

Answers

The dimension that is NOT considered important in an entrepreneur's ability to turn an idea into a business plan is "First." Connections, financial resources, and passion are all crucial elements in the process of transforming an idea into a viable business plan.

Connections, or a strong network, play a significant role in an entrepreneur's ability to access valuable resources, such as industry expertise, mentorship, partnerships, and potential customers. Financial resources are essential for funding the development and implementation of a business plan, including product development, marketing, hiring personnel, and covering operational expenses. Passion is a driving force that motivates entrepreneurs to overcome challenges, persevere through setbacks, and maintain the necessary determination and enthusiasm for turning their idea into a successful business.

However, the term "First" is not explicitly related to any specific dimension or characteristic relevant to the process of transforming an idea into a business plan. Therefore, it is not considered an important dimension in this context.

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Inductive and deductive research is often carried out in both a
basic and an applied research context. Differentiate between the
two?
This question is from the course business research methods.

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In inductive research, the researcher collects data and then develops a theory or hypothesis based on the patterns and themes that emerge from the data.

Inductive and deductive research are two types of research methods that are commonly used in both basic and applied research contexts. This approach is often used in basic research, where the goal is to explore and gain a deeper understanding of a phenomenon. Both inductive and deductive research methods have their strengths and weaknesses, and the choice of method depends on the research questions, objectives, and context. In business research, both methods can be used to gain insights into organizational processes, consumer behavior, and market trends.

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Each license issued by the Commission currently expires at the end of OA. the first calendar year. OB. the second calendar year. C. the third calendar year. OD. a grace period, ending January 3 of every other year. Each license issued by the Commission currently expires at the end of OA. the first calendar year. OB. the second calendar year. C. the third calendar year. OD. a grace period, ending January 3 of every other year. Each license issued by the Commission currently expires at the end of OA. the first calendar year. OB. the second calendar year. C. the third calendar year. OD. a grace period, ending January 3 of every other year. Each license issued by the Commission currently expires at the end of OA. the first calendar year. OB. the second calendar year. C. the third calendar year. OD. a grace period, ending January 3 of every other year.

Answers

Each license issued by the Commission currently expires at the end of either the first calendar year, the second calendar year, the third calendar year, or a grace period ending January 3 of every other year.

The licenses issued by the Commission have different expiration dates. There are four options: (A) the end of the first calendar year, (B) the end of the second calendar year, (C) the end of the third calendar year, or (D) a grace period ending January 3 of every other year. This means that when a license is issued, it will remain valid until one of these expiration points is reached. If a license is issued, for example, in 2023, and it expires at the end of the first calendar year, it would be valid until December 31, 2023. Similarly, if a license expires at the end of the third calendar year, it would be valid until December 31 of the third year following its issuance. The grace period option allows for an extended period of validity, with the license expiring on January 3 of every other year.

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First, watch the Free Hugs video and then read the article about Free Hugs
What did you like about the verbal and non-verbal messages you saw and heard?
Consider how your interpretation of the video changed after reading the article.
Describe two situations in your own life (one verbal and one non-verbal) where you feel that you have communicated poorly.
Refer to specific information given in the text, videos, and web pages to discuss how you could have enhanced your communication in the situations you described.

Answers

The people who came for hugs showed their non-verbal message through their body language and facial expressions.

Verbal and non-verbal messages can convey a lot about a person and their intention. The "Free Hugs" video was filled with both. The non-verbal message was evident in the posture and gestures of Juan Mann as he stood there holding a sign that read "Free Hugs." The sign was a clear indication that he was looking for interaction and wanting to connect with strangers. The words on the sign conveyed the verbal message, and it made people curious.  The smiles, laughter, and happiness on their faces showed that the simple act of hugging a stranger made them feel good. Watching the video without reading the article, I thought that the campaign was just an act of kindness, but the article gave me more insight. It helped me understand the reason behind the campaign and how it evolved into a movement. Reading the article gave me a better appreciation for Juan Mann's efforts and the power of human connection. Describing two situations where I have communicated poorly, one situation happened when I was asked to explain something to a colleague at work. I tried to use jargon, assuming that they were familiar with the terminology, but it only made things more confusing. The second situation happened when I was at a social gathering, and I made an insensitive comment, which caused discomfort to a friend. To enhance my communication in these situations, I could have used simpler language in the first scenario and avoided using jargon. In the second situation, I could have been more mindful of my words and considered the impact it could have on others. I could have also apologized for the insensitive remark and made amends.

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Which of the following is not a primary purpose of audit working papers or audit documentation?
a. To coordinate the examination.
b. To assist in preparation of the audit report.
c. To support the financial statements.
d. To provide evidence of the audit work performed.

Answers

The correct answer is:

a. To coordinate the examination.

Audit working papers or audit documentation serve several important purposes in the audit process, including assisting in the preparation of the audit report, supporting the financial statements, and providing evidence of the audit work performed.

b. To assist in preparation of the audit report: Audit working papers document the findings, conclusions, and supporting evidence gathered during the audit. They provide a reference for the auditor to prepare the audit report accurately and ensure that it is based on sufficient and appropriate evidence.

c. To support the financial statements: Audit working papers contain the audit procedures performed, including tests of controls and substantive procedures, to support the auditor's opinion on the fairness of the financial statements. They demonstrate that the audit was conducted in accordance with auditing standards and provide a basis for the auditor's conclusions.

d. To provide evidence of the audit work performed: Audit working papers serve as a record of the audit procedures carried out and the evidence obtained during the audit. They provide a trail of the auditor's work and rationale, allowing for review and evaluation by other auditors, regulators, or stakeholders.

However, coordinating the examination is not a primary purpose of audit working papers. While working papers can facilitate coordination and communication among the audit team members, their primary purpose is to document the audit procedures, evidence, and conclusions to support the audit process and findings.

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How does the concept of independent legal existence prevent a corporate gas company's, staff, and stockholders from being held personally accountable to wildfire victims that the company caused? Please be in depth (500 words) so I can understand. Thankyou :)

Answers

The concept of independent legal existence prevents a corporate gas company's staff and stockholders from being held personally accountable to wildfire victims that the company caused by establishing the legal separation of the corporation from its shareholders and employees.

In other words, the corporate gas company is a separate legal entity from its owners and employees, so they cannot be held personally liable for the company's actions.

What is independent legal existence?

A corporation is a legal entity that is independent of its shareholders, meaning that it is capable of owning assets, incurring debts, and conducting business in its own name. It can also sue and be sued, enter into contracts, and enter into legal agreements with other parties on its own behalf. The concept of independent legal existence is derived from the idea that a corporation is a separate legal entity from its shareholders. In other words, it is an artificial person that has its own legal identity separate from that of its shareholders and employees.

How does independent legal existence prevent a corporate gas company's staff and stockholders from being held personally accountable to wildfire victims that the company caused?

Independent legal existence protects a corporation's shareholders and employees from personal liability for the corporation's actions. In the case of a corporate gas company, this means that the company itself can be held liable for causing a wildfire, but its shareholders and employees cannot be held personally responsible. This is because the company's independent legal existence creates a legal separation between the company and its owners and employees. As a result, the company is responsible for its own actions, and its owners and employees are not personally liable for any damages or injuries that the company may cause.

In conclusion, the concept of independent legal existence prevents a corporate gas company's staff and stockholders from being held personally accountable to wildfire victims that the company caused by establishing a legal separation between the corporation and its shareholders and employees. As a separate legal entity, the corporation is responsible for its own actions and liabilities, and its owners and employees are not personally responsible for any damages or injuries that the company may cause.

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The concept of independent legal existence is a fundamental principle of corporate law that establishes that a corporation is a separate legal entity from its shareholders, directors, and employees.

The legal concept of independent legal existence is based on the idea that a corporation is a legal person, with its own legal personality and capacity to enter into contracts, own property, sue and be sued, and incur debts and liabilities. This means that a corporation is responsible for its own actions and liabilities, and can be held accountable for any harm or damage caused by its activities, including wildfires.                 However, the principle of independent legal existence also means that the shareholders, directors, and employees of a corporation are generally not personally liable for the debts and liabilities of the corporation, including those arising from wildfires. This means that the victims of wildfires caused by a corporate gas company cannot seek to recover damages from the personal assets of the company's shareholders, directors, or employees, unless they can prove that these individuals acted negligently or intentionally in causing the wildfire.         One of the key benefits of the principle of independent legal existence is that it allows corporations to raise capital from investors without exposing them to unlimited personal liability. This means that shareholders can invest in a corporation without risking more than the amount of their investment, even if the corporation incurs significant debts or liabilities, such as those arising from wildfires.                                However, the principle of independent legal existence also has some limitations and exceptions. For example, in some cases, courts may "pierce the corporate veil" and hold shareholders, directors, or employees personally liable for the debts and liabilities of the corporation, if they can prove that the corporation was used as a mere instrumentality or alter ego of the individuals, or that the individuals engaged in fraudulent or illegal activities. This is a rare and exceptional remedy, but it can be used in cases where the corporation is used to perpetrate a fraud or to shield individuals from liability for their own wrongful actions.                                                                                                In conclusion, the principle of independent legal existence is a fundamental concept in corporate law that establishes that a corporation is a separate legal entity from its shareholders, directors, and employees. This means that the shareholders, directors, and employees of a corporation are generally not held personally accountable for the actions and liabilities of the corporation, including those arising from wildfires caused by the corporation. While this principle provides important protections for investors and managers, it also has some limitations and exceptions that allow courts to hold individuals personally liable in certain circumstances.

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when a business has some form of sunk costs, the sunk costs should have

Answers

Sunk costs are expenditures that have already been made or that will be made irrespective of any decision that may be made in the future. In other words, sunk costs refer to costs that have already been paid or costs that will be paid whether a project or investment is successful or not.

When a company has some form of sunk costs, it should have a significant impact on its decision-making process. Sunk costs have already been spent and cannot be retrieved. They're irrelevant to future decision-making since they're already committed, and any new decision will have no bearing on them. Sunk costs should not be a factor in a company's decision-making process because they will always be the same, regardless of the decision. Their value, on the other hand, must be included in financial statements and reports since it has an impact on a company's bottom line.

Instead, it may be more beneficial to minimize the loss or damage caused by a bad investment or project. Future expenditures and expected revenues should be the primary considerations in any business decision-making process. Decision-makers must avoid the sunk cost fallacy, which is the practice of continuing to spend money on a failed project or investment simply because so much has already been spent, despite the fact that it is impossible to recover.

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A two-year bond with par value $1,000 making annual coupon payments of $90 is priced at $1,000. a. What is the yield to maturity of the bond? (Round your answer to 1 decimal pace.) Yield to maturity 9

Answers

The yield to maturity (YTM) of a two-year bond with a par value of $1,000 and annual coupon payments of $90, priced at $1,000, is 9%.

The yield to maturity represents the total return an investor can expect to receive if they hold the bond until it matures. In this case, the bond has a par value of $1,000, meaning it will be redeemed for that amount when it matures. The bond also pays annual coupon payments of $90. The bond is priced at its par value, indicating that the market interest rate is equal to the bond's coupon rate.

To calculate the yield to maturity, we need to find the interest rate that equates the present value of all future cash flows from the bond (coupon payments and the final redemption amount) to its current price. Since the bond is priced at $1,000, which is equal to its par value, the yield to maturity is equal to the coupon rate. Therefore, the yield to maturity of this bond is 9%. This means that an investor who purchases the bond and holds it until maturity can expect to earn an annual return of 9% on their investment.

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35.If the permanent annual rate of return on an asset that costs
$20,000 is 5 percent, then each year the owner of the asset will
earn: Group of answer choices
a. $1,000.
b. $1,200.
c. $1,400.
d. $1,6

Answers

If the permanent annual rate of return on an asset that costs $20,000 is 5 percent, then each year the owner of the asset will earn $1,0000. Hence, Option (A) is correct.

Annual earnings refer to the total income generated by an individual or organization within a year. It includes all sources of revenue, such as salaries, wages, profits, dividends, and interest.

Annual earnings are typically calculated before taxes and other deductions. They provide a measure of financial performance and can be used to assess income growth, profitability, and economic stability over time.

Given the data,

Annual earnings = Cost of the asset * Rate of return

Annual earnings = $20,000 * 0.05

Annual earnings = $1,000

Therefore, the owner of the asset will earn $1000 each year.

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Cash-basis accounting provides the most useful measure of future operating performance. true or false?

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The statement Cash-basis accounting provides the most useful measure of future operating performance - false. Cash basis accounting is a bookkeeping approach in which a company records financial transactions only when cash is received or paid out.

In other words, it records only transactions when cash is received, and not transactions when goods or services are delivered.Cash basis accounting is useful for small firms with little or no inventory since it is straightforward to record transactions when they happen. Because sales are recorded only when cash is received, it may be challenging to track accounts receivable or inventory.

It may be challenging to see how much money a business has because it may include money owed to it and not yet paid. The cash basis of accounting is a method of recording transactions that may be overly simplistic for certain businesses, limiting a firm's ability to see its full financial position.It is for this reason that accrual accounting is generally considered the better approach for companies that are interested in understanding their financial position, performance, and cash flows.

Accrual accounting is a technique in which a company records financial transactions as they happen rather than when cash is received or paid out. It provides a more comprehensive and precise depiction of a company's overall financial position and performance.

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The economie
situation in a country is severe, and the supply el
products is far behind the needs of the current population. In oeder lo
alleviale the problem of demand, the country
decided to roduce the birthi
rate with policy, so one-child policy (OCP) with sibling-less was stipulated
But this policy also means that the country will become
a typical aging
country after 30-50 years besause of the low level of new births. At that
time, the proportion of working population will drop, the finansial bunken
of enterprises and yoverament on basic medical insurance will increase
1) Why did the government choose one-child policy? That's the positive
question. (7 marks)
2)Should they have done that? Do you think government have done that?
Explain. That's the normative question. (10 marks)

Answers

The government chose the one-child policy in response to a severe economic situation characterized by insufficient supply of products compared to the needs of the population. The policy aimed to reduce the birth rate and alleviate the problem of demand.

The government chose the one-child policy as a response to the severe economic situation and the supply-demand mismatch in the country. By limiting the number of children per family, they aimed to control population growth and reduce the strain on available resources. The policy was expected to alleviate the problem of demand by aligning population size with the available supply of products and resources. Whether the government should have implemented the one-child policy is a normative question that involves personal opinions and values. The policy's effectiveness and consequences need to be carefully evaluated. While it may have addressed short-term economic concerns, the long-term implications of such a policy need to be considered. The one-child policy resulted in a significant demographic shift, leading to a decline in the proportion of the working-age population and an increase in the burden on enterprises and the government to provide healthcare and support for the aging population. There are several factors to consider when assessing the appropriateness of the policy. These include the impact on individual freedoms and choices, social and cultural implications, and alternative approaches to addressing economic challenges and population issues. It is important to weigh the potential benefits against the long-term consequences and consider comprehensive strategies that balance economic growth, social welfare, and sustainability.

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A firm is looking to raise additional finance to finance long term investments. Compare and contrast the characteristics of common stock, preferred stock and corporate bonds from the perspective of the issuing firm. (10 marks) (b) Distinguish between money markets and capital markets. Distinguish also between over the counter and organised markets. Give examples of the financial instruments traded in each of the four markets considered. (8 marks) (c) Explain the main functions of a financial system in supporting the operations of the economy. (7 marks)

Answers

a) Characteristics of common stock, preferred stock and corporate bonds from the perspective of the issuing firm, Common stock, preferred stock, and corporate bonds are types of securities that a firm can issue to finance its long term investments.

These securities differ in their characteristics from the perspective of the issuing firm.Common Stock:Common stock is a form of equity financing. A company that issues common stock sells a piece of ownership in the company to the investors who buy the shares. The characteristics of common stock are:It is perpetual, which means it is never repaid.It has no fixed rate of return, unlike debt securities.It is the last security to be paid in case of bankruptcy.Investors are not promised any dividend payments.Its value fluctuates according to market demand, supply and perception of the future of the issuing firm.Preferred Stock:Preferred stock is a form of hybrid security as it has some characteristics of debt securities and some characteristics of equity securities. It is perpetual.It has no voting rights, unlike common stock.Its value is affected by changes in market interest rates. Corporate Bonds: Corporate bonds are a form of debt financing. Companies issue corporate bonds to raise long-term funds from the public. The characteristics of corporate bonds are:They have a fixed rate of interest.They have a fixed maturity period, i.e., they are repayable after a certain period.It has a seniority over both common stock and preferred stock in case of bankruptcy.The interest rate is tax-deductible for the issuing company.The issuing company has an obligation to pay interest and principal on the maturity date.b) Differences between Money markets and Capital markets, Over the counter and Organized markets. Money Markets: Money markets refer to a market for short-term financial assets. The characteristics of money markets are:They have a maturity period of up to one year.The financial instruments traded in the money market are treasury bills, commercial papers, certificates of deposit, etc.The transactions are conducted over the counter, i.e., directly between buyers and sellers.There is no physical location or centralized exchange for money markets.Capital Markets:Capital markets refer to a market for long-term financial assets. The characteristics of capital markets are:They have a maturity period of more than one year.The financial instruments traded in the capital market are stocks, bonds, mutual funds, etc.The transactions are conducted on an organized exchange or over the counter.Examples of organized exchanges are the New York Stock Exchange (NYSE) and the NASDAQ.Over the Counter (OTC) and Organized Markets:The Over the Counter (OTC) market is a decentralized market in which transactions are conducted between buyers and sellers directly. The Organized market is a centralized market in which transactions are conducted through intermediaries or brokers. The differences between the two are:OTC Markets:They are decentralized markets, and transactions are conducted directly between buyers and sellers.There is no centralized location for OTC markets, and they are not regulated by any specific exchange.The transactions in OTC markets are conducted through electronic trading platforms.There is a physical location for organized markets, and they are regulated by a specific exchange.The transactions in organized markets are conducted through electronic trading platforms and open outcry.The financial instruments traded in the organized market are stocks, bonds, mutual funds, etc.c) Main functions of a financial system in supporting the operations of the economy.The main functions of a financial system in supporting the operations of the economy are: Providing a payment mechanism: The financial system provides a mechanism for transferring money from savers to investors. This helps businesses invest in projects that create jobs and help the economy grow.Providing a source of finance: The financial system provides a source of finance to businesses that need capital to grow and expand. Banks and financial institutions provide loans, while the stock and bond markets provide equity and debt financing.Managing risks: The financial system helps businesses manage financial risks by providing them with tools such as insurance and derivatives. By managing risks, businesses can focus on their core activities without worrying about unforeseen events like natural disasters, etc.Facilitating trade: The financial system helps facilitate trade by providing payment mechanisms such as credit cards and online payment systems. This makes it easier for businesses to sell their products and services both domestically and internationally.

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quantity 0 1 2 3 4 5 6 7 8 9 10 total cost ($) 10 16 20 22 24 25 27 30 34 39 45 firms will loss __________ if firm shuts down in short run.

Answers

If the firm shuts down in the short run, it will incur a loss equal to its fixed costs. Fixed costs are those expenses that do not vary with the level of output, such as rent, insurance, and equipment depreciation. In this case, the fixed cost is not given, but it can be calculated by finding the total cost at zero output.

From the given data, we can see that at zero output, the total cost is $10. Therefore, the fixed cost of the firm is $10.
If the firm shuts down, it will still have to pay its fixed costs, but it will not incur any variable costs (i.e. costs that vary with the level of output, such as labor and materials). Thus, the firm's loss in the short run will be equal to its fixed costs, which is $10. It is important to note that in the long run, the firm can avoid this loss by exiting the industry or changing its production process to reduce its fixed costs. However, in the short run, the firm will have to bear this loss if it decides to shut down.

In summary, the firm will incur a loss of $10 if it shuts down in the short run, equal to its fixed costs.

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please look carefully this question is different from other
questions
5. A quantity y is known to depend on another quantity x. A set of corresponding values has been collected for x and y as presented in the following table. Fit the best quadratic curve yax²+bx+c to t

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A set of corresponding values has been collected for x and y as presented in the following table. Fit the best quadratic curve y=ax²+bx+c to the table. Below is the table :X 0 1 2 3 4 5Y 6 0 −4 −6 −4 0To find the quadratic curve of the above table, we need to follow the below.

Putting these values in the above formula, we get:−2 = a (1²) + b (3) ------------ (3)Solving equations (1), (2), and (3) for a, we get :a = −1Step 2: Find the value of b To find the value of b, we will use the below formula:Δy = aΔx² + bΔxUsing equation (1), we have:−6 = −1 (1²) + b (1)Solving the above equation for b, we get :b = −5So, the value of b is −5.Step 3: Find the value of c To find the value of c, we will use the below formula :y = ax² + b x + c Using the value of a, b and any one point, say (0, 6), we get:6 = −1 (0²) − 5 (0) + c Solving the above equation for c, we  = 6So, the value of c is 6.Thus, the quadratic curve for the above table is given by :y = −1x² − 5x + 6The main answer for this question is :y = −1x² − 5x + 6The long answer is given below: A quadratic equation is a second-degree polynomial with three coefficients - a, b, and c. The general form of a quadratic equation is y = ax² + bx + c, where a, b, and c are constants. When we are given a set of data values, we can use the quadratic equation to fit the data values and predict the value of the dependent variable for any given value of the independent variable.

we have been given a set of values for x and y, and we need to fit the best quadratic curve y = ax² + bx + c to the data table. To find the best quadratic curve, we need to find the values of a, b, and c. To find these values, we need to use the following steps:Step 1: Find the value of a using the formula:Δy = aΔx² + bΔxHere, Δx = 1 (since the value of x is increasing by 1)Δy = y2 − y1 = (0) − (6) = −6Putting these values in the above formula, we get:−6 = a (1²) + b (1) ------------ (1)Also,Δy = y3 − y2 = (−4) − (0) = −4Putting these values in the above formula, we get:−4 = a (1²) + b (2) ------------ (2)Also,Δy = y4 − y3 = (−6) − (−4) = −2Putting these values in the above formula, we get:−2 = a (1²) + b (3) ------------ (3)Solving equations (1), (2), and (3) for a, we get:a = −1Step 2: Find the value of b using the formula:Δy = aΔx² + bΔxUsing equation (1), we have:−6 = −1 (1²) + b (1)Solving the above equation for b, we get:b = −5So, the value of b is −5.Step 3: Find the value of c using the formula:y = ax² + bx + cUsing the value of a, b and any one point, say (0, 6), we get:6 = −1 (0²) − 5 (0) + cSolving the above equation for c, we get:c = 6So, the value of c is 6.Thus, the quadratic curve for the above table is given by:y = −1x² − 5x + 6Thus, the explanation for this question is given above.

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What is Digital Transformation? 2. Main fields and contents of digital transformation in business activities 3. Difficulties/challenges in corporate digital transformation

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Digital Transformation refers to the process of utilizing new-age digital technologies to transform the conventional methods of conducting business activities.

It is an approach that companies adopt to revolutionize their processes, operations, and performance by leveraging cutting-edge technologies. Some of the benefits of digital transformation include; enhancing business agility and flexibility, improved employee productivity, better customer engagement, and improved efficiency and cost optimization. It involves understanding and mapping the customer's journey and using technology to improve customer interactions.

Process Optimization: It refers to optimizing business processes with digital tools to reduce cost, increase efficiency, and minimize errors.With the increasing digitization of business processes, data security and privacy are becoming a growing concern for businesses. Companies need to implement security protocols and ensure that their data is protected from cyber threats.

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Imperialism: Good, Bad (or Ugly)? Good and Bad of Imperialism. What were the good, the bad (and the ugly?) consequences of Imperialism in the 19th Century. Was it all bad?

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Imperialism in the 19th century had both positive impacts, such as infrastructure development and improved governance, and negative impacts, including economic exploitation and cultural erosion.

What were the good and bad consequences of imperialism in the 19th century?

Imperialism in the 19th century had both positive and negative consequences, leading to a mixed assessment of its impact. The good consequences of imperialism included advancements in infrastructure such as roads, railways, and ports, which facilitated trade and economic development.

Imperial powers also introduced modern technologies, improved healthcare systems, and brought education to previously underdeveloped regions.

Moreover, the spread of democratic ideals and governance structures promoted political stability and provided opportunities for local populations to participate in decision-making processes.

On the other hand, imperialism had its share of negative consequences. Exploitation of natural resources and labor by imperial powers resulted in economic inequality and the impoverishment of indigenous populations.

Cultural erosion occurred as native traditions and languages were suppressed or replaced by Western ideals. Additionally, the imposition of colonial rule often led to conflicts and resistance movements, causing suffering and loss of life.

The "ugly" side of imperialism encompasses instances of extreme violence, forced labor, and human rights abuses. Indigenous populations were subjected to discrimination, displacement, and even genocide in some cases.

The extraction of resources without regard for sustainability also damaged the environment.

While imperialism brought certain benefits, it cannot be denied that it had detrimental effects on colonized societies.

It is important to acknowledge the complexity of imperialism and critically examine its impacts, recognizing both the positive and negative aspects of this historical phenomenon.

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A trade is made that is said to have "no commercial substance." What does that mean?
a) The trade creates no significant change in future cash flows.
b) The assets are similar.
c) The assets are dissimilar.
d) The assets are tangible in nature.

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a) The trade creates no significant change in future cash flows.

When a trade is said to have "no commercial substance," it means that the transaction does not result in a significant change in future cash flows for the parties involved. It implies that the trade is essentially a formality or a transaction with no real economic impact.

This can happen when the assets being exchanged are similar in nature, have similar values, or do not bring any additional economic benefits or risks to the parties involved. It may also occur when the trade involves non-monetary assets, such as an exchange of assets with no cash consideration.

In such cases, the transaction is often not recognized as a separate event for accounting or financial reporting purposes, as it does not result in a meaningful change in the financial position or performance of the entities involved.

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The substitution effect can be measured holding _______ constant. income utility the price of at least one good the price of all goods

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The substitution effect can be measured holding the price of at least one good constant. Income utility the price of at least one good the price of all goods.

Income refers to the amount of money or earnings that an individual, household, or entity receives from various sources, such as wages, salaries, investments, or business activities, during a specific period. It represents the flow of money or resources that a person or entity generates. Income can be categorized into different types, including earned income (such as wages and salaries), passive income (such as rental income or dividends), and capital gains (profits from the sale of assets). It is a key factor in determining an individual's or household's purchasing power and overall financial well-being.

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b. Morning star plc. is a manufacturer of computer accessories. The following are details for the year ended December 31, 2020. Cash = 80,000 Inventories 40,000 Salaries expenses = 10,000 Payables = 40,000 Short term borrowings - 60,000 P.P.E=240,000 Receivables 70,000 Furniture - 30,000 Long term loans 140,000 Interest Expenses = 12,000 Required: Using the information above, compute the Company's below ratio and comment on each: a. Acid-test ratio b. Current ratio c. Gearing ratio (15 Marks) KOU EQ

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This information was used to calculate the company's ratios to evaluate its liquidity and solvency.

The acid-test ratio was computed by dividing the quick assets (cash and receivables) by current liabilities. The result was 2, indicating that the company had twice the amount of quick assets required to pay off its current liabilities. The current ratio, which divides total current assets by total current liabilities, was 2 as well, demonstrating the same result as the acid-test ratio. Lastly, the Gearing ratio was computed by dividing long-term loans by total assets, resulting in a ratio of 0.31, indicating that the company had a relatively low reliance on debt financing.

Overall, Morning Star PLC had strong liquidity and solvency ratios, indicating that it had sufficient resources to pay off its current liabilities and low reliance on debt financing.

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Jim is a news-writer who does not believe climate change could affect economic growth. Jim says "people used to worry about running out of oil, but society developed new technology and that solved the problem. It will be the same with climate change. If it becomes a problem, society will develop new technology that will solve the problem. There is no need for government policies that favor clean energy and restrict fossil fuel production." Without government policies, is society likely to try very hard to develop and use clean energy? Why or why not?

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Without government policies favoring clean energy and restricting fossil fuel production, society may not try as hard to develop and use clean energy.

While technological innovation plays a crucial role in addressing climate change, relying solely on market mechanisms and individual initiatives may not be enough to achieve significant progress. Government policies provide a framework for creating incentives, setting regulations, and allocating resources toward clean energy. These policies can include tax incentives for renewable energy projects, emissions regulations, research and development funding, and subsidies for clean technologies.

Without government policies, the market may not fully account for the negative externalities associated with fossil fuel use and may prioritize short-term economic gains over long-term sustainability. Clean energy technologies often require significant upfront investment and may face market barriers due to the entrenched infrastructure and vested interests of fossil fuel industries. Government policies can help level the playing field and create a conducive environment for clean energy adoption.

Furthermore, government policies can provide stability and long-term certainty for investors in the clean energy sector, encouraging innovation and attracting capital. By implementing policies that favor clean energy and restrict fossil fuel production, governments can actively steer society towards a more sustainable path, accelerating the transition to cleaner energy sources and mitigating the impacts of climate change.

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3. Examine the human resource management and industrial relation issues looking for Unilever at the areas of Recruitment and Selection, Training and Development, Compensation and Motivational Systems,

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Human resource management and industrial relation issues for UnileverThe human resource management of a company includes a wide range of activities, including recruitment and selection, training and development, compensation, and motivation.

Unilever is a well-known consumer goods company with operations in various countries around the world, and the company has a strong human resource management strategy in place.Recruitment and Selection:Unilever has a sophisticated recruitment process that allows it to hire the best candidates from around the world. The company uses a range of methods to attract candidates, including advertising on its website and in local newspapers and using social media platforms such as LinkedIn to reach out to potential employees.The recruitment process involves a number of steps, including application screening, aptitude testing, and interviews.

The company uses a variety of selection methods, including behavioral interviews and assessment centers, to ensure that candidates are the right fit for the job.Training and Development:Unilever is committed to providing its employees with the training and development opportunities they need to grow and develop in their roles. The company offers a range of training programs, including leadership development programs and skills training, to help employees acquire the knowledge and skills they need to perform their jobs effectively.The company also provides employees with opportunities to gain international experience through its global mobility program, which allows them to work in other countries for short or long periods.Compensation:Unilever provides its employees with competitive compensation packages that are designed to attract and retain the best talent.

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Your firm currently has $128 million in debt outstanding with a 10% interest rate. The terms of the loan require it to repay $32 million of the balance each year. Suppose the marginal corporate tax rate is 30%, and that the interest tax shields have the same risk as the loan. What is the present value of the interest tax shields from this debt? The present value of the interest tax shields is $ million. (Round to two decimal places.)

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The present value of the interest tax shields from the debt can be calculated based on the debt outstanding, the interest rate, the repayment amount, and the corporate tax rate. In this case, with $128 million in debt outstanding, a 10% interest rate, and a repayment of $32 million per year, and a 30% corporate tax rate, we need to determine the present value of the interest tax shields.

The interest tax shields represent the tax savings generated by the deductible interest expense. To calculate the present value of these tax shields, we need to determine the cash flows associated with the tax shields and discount them to their present value.

In this case, the tax shield cash flows are equal to the interest expense multiplied by the corporate tax rate. The interest expense is constant at 10% of the outstanding debt, which is $128 million. So the tax shield cash flows for each year will be 10% of $128 million multiplied by 30% (corporate tax rate), which is $3.84 million.

To find the present value of these cash flows, we need to discount them to their present value. We can use the formula for the present value of an annuity:

Present Value = Cash Flow * [1 - (1 + r)^(-n)] / r

Where r is the discount rate (in this case, it is equal to the interest rate), and n is the number of years.

By substituting the appropriate values into the formula and performing the calculations, we can determine the present value of the interest tax shields from the debt.

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Suppose you will receive payments of $3,000, $4,000, and $19,000 in 2, 4, and 7 year(s) from now, respectively. What is the total future value of all payments 11 years from now if the interest rate is 2%?

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To estimate the company's cost of equity capital the total future value of all payments 11 years from now, considering a 2% interest rate, is $28,743.90.

Arithmetic Average Growth Rate:

Dividend Growth Rate = (Dividend in Year 4 - Dividend in Year 1) / (Number of Years)

= ($2.71 - $2.30) / 3

= $0.41 / 3

= $0.1367

Cost of Equity Capital (using arithmetic average growth rate) = (Dividend / Stock Price) + Growth Rate

= ($2.79 / $50) + $0.1367

= 0.0558 + 0.1367

= 0.1925 or 19.25%

Geometric Average Growth Rate:

Dividend Growth Rate = (Dividend in Year 4 / Dividend in Year 1)^(1 / Number of Years) - 1

= ($2.71 / $2.30)^(1 / 3) - 1

= 1.1761^(1 / 3) - 1

= 1.0526 - 1

= 0.0526

Cost of Equity Capital (using geometric average growth rate) = (Dividend / Stock Price) + Growth Rate

= ($2.79 / $50) + 0.0526

= 0.0558 + 0.0526

= 0.1084 or 10.84%

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The Novice Corporation purchased a machine for $80 000 on 1 January 2018. The machine is expected to have a useful life of 5 years, a residual value of zero, and a production capacity of 120 000 units before it is scrapped. The Novice Corporation uses the units-of-production method to calculate depreciation. For the year ending3 December 2018, the depreciation was $16 000. The number of units produced during 2019 is 30 000. The carrying amount of the machine at 31 December 2 (a) $16 000 (b) $20 000 (c) $30 000 (d) $44 000 (e $60 000

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The correct answer is (d) $44,000.

To calculate the carrying amount of the machine at 31 December 2019, we need to consider the depreciation expense for the year and the accumulated depreciation from previous years.

Given:

Purchase cost of the machine = $80,000

Useful life of the machine = 5 years

Residual value of the machine = $0

Production capacity of the machine = 120,000 units

Depreciation expense per unit = (Purchase cost - Residual value) / Production capacity

Depreciation expense per unit = ($80,000 - $0) / 120,000 = $0.67 per unit

Depreciation expense for the year 2019 = Depreciation expense per unit * Number of units produced in 2019

Depreciation expense for the year 2019 = $0.67 * 30,000 = $20,100

Accumulated depreciation at the end of 2018 = $16,000 (given)

Carrying amount of the machine at 31 December 2019 = Purchase cost - Accumulated depreciation at the end of 2018 - Depreciation expense for the year 2019

Carrying amount of the machine at 31 December 2019 = $80,000 - $16,000 - $20,100 = $43,900

Therefore, the correct answer is (d) $44,000.

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Cutting forces were measured during the machining of a steel bar and found to be Fe- 520 N and Ft 189 N. The rake angle on the tool is 10. Based on this information, calculate: (1) The coefficient of

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Cutting forces were measured during the machining of a steel bar and found to be Fe- 520 N and Ft 189 N. The rake angle on the tool is 10. Based on this information, calculate:

(1) The coefficient of friction between the tool and the chip, coefficient of friction between the tool and the chip is 2.75.

(2) The resultant force acting on the tool, resultant force acting on the tool is 553.4 N.

(3) The shear plane angle, shear plane angle is 69.57°.

(4) Power consumed in the cutting operation

1. The coefficient of friction between the tool and the chip. From the question, we can calculate the coefficient of friction as shown below;F_r = µ * F_nWhere;F_r = Force of friction F_n = Normal forceµ = Coefficient of friction. We know that normal force is equal to the cutting force in the feed direction:F_n = Ft = 189N. Therefore, the force of friction is:F_r = Fe = 520N. We can now calculate the coefficient of friction as follows:µ = F_r / F_nµ = 520/189 = 2.75 Ans: The coefficient of friction between the tool and the chip is 2.75

2. The resultant force acting on the tool. The resultant force acting on the tool, F can be determined using the Pythagoras theorem as shown below;F = √(Fe^2 + Ft^2 )F = √(520^2 + 189^2 )F = √(270400 + 35721 )F = √306121F = 553.4 N Ans: The resultant force acting on the tool is 553.4 N.

3. The shear plane angle. The shear plane angle can be calculated as:tan α = Fe/Ftα = tan⁻¹(Fe/Ft)α = tan⁻¹(520/189)α = 69.57°Ans: The shear plane angle is 69.57°.

4. Power consumed in the cutting operation. The power consumed in the cutting operation is given by:P = F * VWhere ;P = Power F = Resultant force V = Cutting velocity. The cutting velocity is not given and hence we cannot calculate the power consumed.

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symmetric information and/or imperfect information can cause two forms of market failure: 1) adverse selection and 2) moral hazard. Asymmetric information is where one party in the transaction has more information than the other party in the transaction. Imperfect information is a situation in which neither party has perfect information about the good/service being exchanged in a transaction. Such goods and services are sometime referred to as "experience goods." In the late 1990s, car leasing was very popular in the United States. A customer would lease a car from the manufacturer for a set term, usually two years, and then have the option of keeping the car. If the customer decided to keep the car, the customer would pay a price to the manufacturer, the "residual value," computed as 60% of the new car price. The manufacturer would then sell the returned cars at auction. In 1999, the manufacturer lost an average of $480 on each returned car. (The auction price was, on average, $480 less than the residual value.) Also see the help provided in the discussion preparation. Instructions For your discussion post, address the following within the context of the above scenario: Why was the manufacturer losing money on this program? Was this a problem of adverse selection or moral hazard? What should the manufacturer do to stop losing money?

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The manufacturer was losing money on the car leasing program because of the problem of adverse selection. The customers who were most likely to lease the cars were those who knew they would not want to keep the car after the lease period ended. They would lease the car for the two-year period and then return it,

eaving the manufacturer with a used car that it would have to sell at auction, typically for a lower price than the residua selection is a market failure that occurs when the buyers or sellers in a transaction have more information about the quality of the product or service than the other party. This can lead to the selection of lower quality products or services in the market. In this scenario,

the customers who leased the cars knew that they would not want to keep the cars, which meant that the manufacturer was left with used cars that it had to sell at auction, typically for a lower price than the residual value.To stop losing money, the manufacturer could do the following:Increase the residual value of the cars, so that the cost of buying back the cars is lower.Reduce the lease period to one year, so that the cars are returned more quickly, and there is less depreciation in their value.Reduce the number of cars being leased, so that the manufacturer is not left with too many used cars to sell at auction.rs or sellers in a transaction have more information about the quality of the product or service than the other party. This can lead to the selection of lower quality products or services in the market. In this scenario,

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