X company currently has $610,000 in total assets and a sales of
$1.4 million. Half of the companies total assets come from net
fixed assets, and the rest are current assets. The firm expects
sales to

Answers

Answer 1

The amount of net fixed assets currently held by X Company is $305,000.

Given,

Total assets = $610,000

Sales = $1.4 million  i.e., $1,400,000

Now,Total assets = Net fixed assets + Current assets

Given,

Net fixed assets = 1/2 × Total assets

Hence,

Net fixed assets = 1/2 × $610,000

= $305,000

Total current assets = Total assets - Net fixed assets

Total current assets = $610,000 - $305,000

Total current assets = $305,000

Next, we are to find the sales of the next year.

The firm expects sales to increase by 20 percent next year.

Now,Expected sales for the next year = $1.4 million + (20% of $1.4 million)

Expected sales for the next year = $1.4 million + $280,000

Expected sales for the next year = $1,680,000

Now, the total assets of the company in the next year can be found as follows:

Total assets = Net fixed assets + Current assets

Total assets = 1/2 × Total assets + Current assets

Now,

Total assets - 1/2 × Total assets = Current assets

1/2 × Total assets = Current assets

Total assets = 2 × Current assets

Total assets = 2 × $305,000

Total assets = $610,000

Net fixed assets = 1/2 × Total assets

Net fixed assets = 1/2 × $610,000

Net fixed assets = $305,000

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Related Questions

Suppose Stock Price(S) = SAR 60, Exercise Price(X) = SAR 60, Su= SAR 69, Sd
=SAR 51. What would be the price/ value of European call at expiration, if the stock
goes up? Assume one period binomial model.
SAR 0
SAR 8
SAR 9
SAR 6
Please show the calculation using keyboard

Answers

The price/value of the European call at expiration, if the stock goes up, would be SAR 18.

To calculate the price/value of the European call at expiration, we can use the one-period binomial model.
Given:
Stock Price (S) = SAR 60
Exercise Price (X) = SAR 60
Su (stock price if it goes up) = SAR 69
Sd (stock price if it goes down) = SAR 51
We need to calculate the risk-neutral probability (p) using the formula:
p = (Su - Sd) / (S - Sd)
p = (69 - 51) / (60 - 51)
p = 18 / 9
p = 2
Now, we can calculate the price/value of the European call at expiration using the formula:
Call price at expiration = (p * Call price if stock goes up) + ((1 - p) * Call price if stock goes down)
Call price at expiration = (2 * SAR 9) + ((1 - 2) * SAR 0)
Call price at expiration = SAR 18 + (-1 * SAR 0)
Call price at expiration = SAR 18 - SAR 0
Call price at expiration = SAR 18
Therefore, the price/value of the European call at expiration, if the stock goes up, would be SAR 18.

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John decides to raise the grade level of the product of his project. He is affecting: Group of answer choices C The project quality The project scope C The project benchmarks The quality baseline 2. The quality management team has escalated a quality management issues and recommended corrective action for the project, based on findings from a quality audit. This is what output of Manage Quality? Group of answer choices Requested changes Recommended corrective actions Quality reports Project management plan updates

Answers

John decides to raise the grade level of the product of his project by improving the product and quality management issues.

1. By raising the grade level of the product in his project, John is affecting the project quality. Increasing the grade level implies improving the quality standards and characteristics of the product to a higher level than initially planned.

2. The output of Manage Quality in this scenario is Recommended corrective actions The quality management team, based on their findings from a quality audit, has identified issues that need to be addressed to ensure adherence to quality standards. These recommended corrective actions serve as a response to the quality management issues identified during the audit and are aimed at resolving or improving those issues.

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Six Sigma is a business process for improving quality. It is favorable for reducing costs and increasing customer satisfaction. DMAIC (pronounced Dah-may-ic) is a problem-solving process of Six Sigma. Define the 5 steps of DMAIC and discuss their importance.

Answers

DMAIC is a problem-solving process used in Six Sigma methodology. It stands for Define, Measure, Analyze, Improve, and Control.

1. Define:

The Define phase involves clearly defining the problem, project goals, and customer requirements. It is essential to establish a well-defined project scope, identify key stakeholders, and set measurable objectives.

2. Measure:

In the Measure phase, the focus is on gathering data and quantitatively measuring the current process performance. This involves identifying relevant process metrics, collecting data, and establishing a baseline. .

3. Analyze:

The Analyze phase involves analyzing the collected data to identify the root causes of the problem and potential opportunities for improvement. Various tools and techniques, such as process mapping, statistical analysis, and cause-and-effect diagrams, are utilized to identify patterns, trends, and potential sources of variation.

4. Improve:

In the Improve phase, potential solutions are generated, evaluated, and implemented to address the identified root causes. This step involves brainstorming ideas, selecting the most promising solutions, and conducting small-scale experiments or pilots to validate their effectiveness.

5. Control:

The Control phase focuses on establishing controls and systems to sustain the improvements achieved. It involves developing and implementing monitoring mechanisms, documenting standard operating procedures, and establishing control plans.

The importance of following the DMAIC steps lies in their systematic approach to problem-solving. By defining the problem clearly, measuring the current state, analyzing data, implementing improvements, and establishing control measures, organizations can effectively identify and address process-related issues. DMAIC provides a structured framework for continuous improvement, enabling organizations to reduce costs, increase customer satisfaction, and enhance overall process performance.

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If it took 2000 hours to produce the first unit of a product, and the learning curve is 75%, how long will it take to produce units 36 through 50? O 6316 O 7806 O 0
O 16808

Answers

Option a is the correct answer. Learning curve refers to the graphical representation of the concept that a new task or skill becomes easier to master after having previously mastered a related task or skill.

It is utilized in business and manufacturing settings to illustrate the amount of time required to complete a task or produce a unit of output when the task is being done for the first time versus when the task has been done multiple times. The learning curve can be used to estimate how much time is required to produce a particular quantity of goods after an initial production run has been completed by establishing a percentage by which production time decreases with each production doubling. Learning curves are used to represent the changes in productivity that occur as a result of learning over time. This is done by plotting the logarithm of unit production time on the y-axis and the logarithm of cumulative output on the x-axis. With the use of these data, we can predict how long it will take to produce subsequent units of a product.

According to the learning curve, the time it takes to produce an item decreases as more units are produced. The learning curve is defined as a reduction in the time required to produce a new unit of output as cumulative production increases. If it took 2000 hours to produce the first unit of a product, and the learning curve is 75%, then the time required to produce the 50th unit will be

2000 * (0.75)^(log2(50/1)) = 322 hours.

Thus, it will take 36-50 units: 322(0.75^log2(50/36)-0.75^log2(36/1)) = 6316 hours.

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uppose the current value of a popular stock index is 651.50 and the dividend yield on the index is 2.8%. Also, the yield curve is flat at a continuously compounded rate of 5.5%.
If you estimate the volatility factor for the index to be 20%, use the Black-Scholes model to calculate the value of an index call option with an exercise price of 666 and an expiration date in exactly three months. You may use Appendix D to answer the question. Do not round intermediate calculations. Round your answer to the nearest cent.
$
If the actual market price of this option is $23.10, calculate the implied volatility coefficient. Do not round intermediate calculations. Round your answer to two decimal places.
%

Answers

Given the following: The current value of a popular stock index is $651.50The dividend yield on the index is 2.8%The yield curve is flat at a continuously compounded rate of 5.5%The volatility factor for the index is 20%The Black-Scholes model is used to calculate the value of an index call option with an exercise price of $666 and an expiration date in exactly three months.

According to the Black-Scholes model, the value of an index call option with an exercise price of $666 and an expiration date in exactly three months is given by the formula $$C = SN(d_1) - Ke^{-rt}N(d_2)$$Where:S = 651.50 is the current value of the stock index.K = 666 is the exercise price of the option. t = 0.25 years is the time to expiration of the option.r = 5.5% is the continuously compounded risk-free rate of return.σ = 20% is the standard deviation of the stock index's rate of return.d1 = [ln(651.50/666) + (0.055 + 0.202/2)(0.25)]/0.2 = -0.0343d2 = d1 + 0.2√0.25 = -0.0343 + 0.2(0.5) = 0.0321$$C = 651.50N(0.0321) - 666e^{-0.055*0.25}N(-0.0343)$$$$C = 651.50N(0.0321) - 666(0.9754)N(-0.0343)$$$$C = 651.50(0.5154) - 649.81(0.4877)$$$$C = 335.77$$.

Therefore, the value of the index call option with an exercise price of $666 and an expiration date in exactly three months is $335.77. If the actual market price of this option is $23.10, the implied volatility coefficient is calculated using the Black-Scholes formula as follows:$$C = SN(d_1) - Ke^{-rt}N(d_2)$$$$23.10 = 651.50N(d_1) - 666e^{-0.055*0.25}N(d_2)$$Solving for σ using the Black-Scholes formula gives:$$σ = \frac{1}{\sqrt{t}} \sqrt{\frac{2\pi}{t}[\ln(\frac{S}{Ke^{-rt}}) + \frac{1}{2}\sigma^2t][\frac{C}{S} + Ke^{-rt} - S]}$$$$σ = \frac{1}{\sqrt{0.25}} \sqrt{\frac{2\pi}{0.25}[\ln(\frac{651.50}{666e^{-0.055*0.25}}) + \frac{1}{2}(0.20)^20.25][\frac{23.10}{651.50} + 666e^{-0.055*0.25} - 651.50]}$$$$σ = 0.3119$$Therefore, the implied volatility coefficient for this option is 31.19%. Answer: 31.19%.

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Go to the company investor relations websites for Starbucks (investor.starbucks.com), Pfizer (www.pfizer.com/investors), Salesforce (investor.salesforce.com), or a large company in your country that shares investor information on their website to find examples of strategic and financial objectives. Use a graphic organizer of your choice to create a visual graphic to list four (4) objectives for each company, and indicate which of these are strategic and which are financial.

Answers

Starbucks Strategic and Financial Objectives has some of the following objectives.

What are they?

Objective Strategic/Financial Objective 1

Financial

To maximize its long-term financial performance

Objective 2

Strategic

To be the leading retailer and brand of coffee in each of its target markets

Objective 3

Financial

To achieve a high rate of return on its invested capital

Objective 4

Strategic

To maintain its social and environmental responsibility

Pfizer Strategic and Financial Objectives (Graphic Organizer):

Objective Strategic / Financial Objective 1

Financial

To increase its revenue and earnings growth

Objective 2

Strategic

To be a premier innovative biopharmaceutical company

Objective 3

Financial

To improve its return on invested capital

Objective 4StrategicTo enhance its reputation for social responsibility

Salesforce Strategic and Financial Objectives (Graphic Organizer):

Objective

Strategic/Financial Objective 1

Financial

To grow its market share and revenue

Objective 2

Strategic

To be the leader in providing customer relationship management services

Objective 3

Financial

To maintain high profitability

Objective 4

Strategic

To maintain its position as a socially responsible company.

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What is the rationale for budget deficits in the truck driving
industry?
subject is macroeconomics

Answers

•Infrastructure Investments: Budget deficits may be used to finance transportation infrastructure projects in the truck driving industry, improving efficiency and reducing costs.
•Economic Stimulus: Deficits can be employed as part of expansionary fiscal policies to stimulate economic growth, including increased government spending on transportation projects.
•Subsidies and Incentives: Governments may allocate budget deficits to provide subsidies and incentives for the adoption of cleaner and more fuel-efficient trucks, aligning with environmental goals.
•Social Safety Nets: Budget deficits can fund social safety net programs for truck drivers, offering support during economic hardships such as unemployment or income instability.

Han’s Supplies’s bank statement contained a $290 NSF check that one of its customers had written to pay for supplies purchased.
Required:
a. & c. Show the effects of the following transactions on the financial statements in the horizontal statements model. (a) Recognize the NSF check, (c) Customer redeems the check by giving Hans $310 cash in exchange for the bad check. The additional $20 was a service fee charged by Hans.
Note: Enter any decreases to account balances with a minus sign. For changes on the Statement of Cash Flows, indicate whether the item is an operating activity (OA), investing activity (IA), financing activity (FA), or leave the cell blank if there is no effect.
b. Is the recognition of the NSF check on Han’s books an asset source, use, or exchange transaction?
multiple choice 1
Asset source
Asset use
Asset exchange
d. Select which of the following is the correct answer.
multiple choice 2
Asset exchange is $310.
Asset source is $310.
Asset use is $310.
Asset exchange is $290 and Asset source is $20.
Asset source is $290 and Asset use is $20.
Asset exchange is $310 and Asset use is $20.

Answers

a. I prefer the bank account that pays 5.9% per year (EAR) for three years.

To compare the different bank accounts, we need to calculate the effective annual rate (EAR) for each option.

a. Bank account with 2.4% every six months:

The EAR can be calculated using the formula: EAR = (1 + periodic interest rate)^n - 1, where n is the number of compounding periods in a year.

In this case, the periodic interest rate is 2.4% and there are two compounding periods per year (every six months). Therefore, the EAR is:

EAR = (1 + 0.024)^2 - 1 = 4.88%

b. Bank account with 8.4% every 18 months:

The periodic interest rate is 8.4% and there are 1.5 compounding periods per year (every 18 months). Therefore, the EAR is:

EAR = (1 + 0.084)^1.5 - 1 = 12.82%

c. Bank account with 0.74% per month:

The periodic interest rate is 0.74% and there are 12 compounding periods per year (monthly). Therefore, the EAR is:

EAR = (1 + 0.0074)^12 - 1 = 9.01%

Comparing the calculated EARs, the bank account with an EAR of 5.9% per year is the most favorable option among the three.

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Answer each question True or False and explain your answer. Each answer can be explained with a short sentence or two and/or a graph.
1. Over the past century, the productivity of farmers has risen substantially due to technological progress. According to our theory, this technological progress should result in higher real wages paid to labor.

Answers

Over the past century, the productivity of farmers has increased substantially due to technological progress. Due to this, it's reasonable to predict that higher real wages will be paid to labor as a result of this technological progress.True.

The productivity of farmers has risen substantially over the past century due to technological advancements. According to a theory, the technological progress should result in higher real wages paid to labor. Thus, the answer is true.

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An Individual Retirement Account (IRA) has $20,000 in it, and the owner decides not to add any more money to the account other than interest earned at 8% compounded daily. How much will be in the account 30 years from now when the owner reaches retirement age? There will be $ in the account. (Round to the nearest cent. Use a 365-day year.)

Answers

The account will have approximately $174,494.06 in it when the owner reaches retirement age.

To calculate the future value of the IRA, we can use the compound interest formula:

FV = P * [tex](1 + r/n)^(^n^*^t^)[/tex]

Where FV represents the future value, P is the initial principal amount ($20,000), r is the annual interest rate (8%), n is the number of compounding periods per year (365 for daily compounding), and t is the number of years (30).

Substituting the values into the formula, we get:

FV = $20,000 * [tex](1 + 0.08/365)^(^3^6^5^*^3^0^)[/tex]

Calculating the expression, we find:

FV ≈ $174,494.06

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A prominent issue in the international staffing literature is expatriate failure - the premature return
of an expatriate manager to his or her home country. Suppose you are a management consultant for
a U.S. company who plans to send an employee to Malaysia to oversee the production, explain
the potential factors that could lead to the expatriate failure, and propose the types of training
program that should be provided in pre-departure stage to reduce the occurrence of such problem.
Justify your answers with relevant examples

Answers

Expatriate failure is one of the biggest concerns in international staffing. There are several factors that can lead to expatriate failure. They include personal factors, such as the expatriate's inability to adjust to the new environment, and organizational factors, such as inadequate support from the company.

The following are some of the potential factors that could lead to the expatriate failure: Culture shock: It occurs when an individual moves to a new country with a different culture, and the individual feels disoriented, frustrated, or anxious because of the unfamiliar environment. Culture shock can lead to negative feelings about the host country, difficulty in adjusting to the new culture, and an unwillingness to complete the assignment. Language barriers: When an expatriate manager is sent to a foreign country, the manager may have difficulty communicating with others because of language barriers. This can lead to misunderstandings, misinterpretations, and communication breakdowns, which can, in turn, lead to conflicts with colleagues and subordinates.

Isolation: When an expatriate manager is sent to a foreign country, the manager may feel isolated because of the lack of support from the home company, colleagues, and family. Isolation can lead to emotional problems, such as depression, anxiety, and homesickness. Isolation can also lead to poor job performance and premature return to the home country. The types of training program that should be provided in pre-departure stage to reduce the occurrence of such problems are as follows: Cross-cultural training: It is essential to provide cross-cultural training to the expatriate before leaving for the foreign assignment. Cross-cultural training should include information about the host country's culture, values, norms, and customs. The expatriate should also be trained on how to communicate with people from different cultural backgrounds.

Language training: The company should provide language training to the expatriate before the assignment. Language training should include the host country's language, as well as the local dialects used in the area where the expatriate will be working. Language training should also include information about nonverbal communication, such as gestures, facial expressions, and body language.Support programs: The company should provide support programs to the expatriate and family members before and after the assignment. Support programs should include assistance with visas, housing, medical care, and education for the expatriate's children. Support programs should also include social events to help the expatriate and family members adjust to the new environment. In conclusion, providing the above-mentioned training programs will significantly reduce the likelihood of expatriate failure.

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Icebreaker Company (a U.S.-based company) purchases materials from a foreign supplier on December 1, 2020, with payment of 14,000 dinars to be made on March 1, 2021. The materials are consumed immediately and recognized as cost of goods sold at the date of purchase. On December 1, 2020, Icebreaker enters into a forward contract to purchase 14,000 dinars on March 1, 2021. Relevant exchange rates for the dinar on various dates are as follows: Date Spot Rate Forward Rate (to March 1, 2021) December 1, 2020 $ 3.20 $ 3.275 December 31, 2020 3.30 3.400 March 1, 2021 3.45 N/A a-1. Assuming that Icebreaker designates the forward contract as a cash flow hedge of a foreign currency payable, prepare journal entries for the import purchase and foreign currency forward contract in U.S. dollars. a-2. What is the impact on 2020 net income? a-3. What is the impact on 2021 net income? a-4. What is the impact on net income over the two accounting periods? b-1. Assuming that Icebreaker designates the forward contract as a fair value hedge of a foreign currency payable, prepare journal entries for the import purchase and foreign currency forward contract in U.S. dollars. b-2. What is the impact on net income in 2020 and in 2021? b-3. What is the impact on net income over the two accounting periods?

Answers

Net income is not affected. The impact on net income in 2021 is $0. The impact on net income in 2020 is $175.

(a) (1) The journal entry to record the purchase of materials is as follows: Date Account : Dec. 1, 2020 Inventory (cost of goods sold) $14,000 Accounts Payable (foreign) $14,000(2) On December 1, 2020, Icebreaker enters into a forward contract to purchase 14,000 dinars on March 1, 2021. The forward contract is recorded at fair value, with no impact on net income. The fair value of the forward contract on December 1, 2020, is zero. On December 31, 2020, the fair value of the forward contract is $2,100, computed as follows: $14,000 / $3.4 = $4,117.65 - $4,000 = $117.65 / .0568 (91/365) = $2,065.22, rounded to $2,10.

(b) (2) The impact on net income in 2020 is $175. This amount is recognized in OCI instead of net income. Therefore, net income is not affected. (b) (3) The impact on net income in 2021 is $0. No amounts are included in net income. The cash outflow for the foreign currency forward contract equals the cash inflow from accounts payable. (b) (4) The impact on net income over the two accounting periods is $175 less tax impact (if any).

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In trend and ratio analysis, which most affects accurate projections of past figures into the future? Answers 1) Length of time it takes to complete the analysis. 2)Relationship between two consistent variables. 3)Acceptance of the analysis by the entire organization. 4)Support of senior management for the analysis findings.

Answers

In trend and ratio analysis, the relationship between two consistent variables most affects accurate projections of past figures into the future. Trend analysis is the analysis of trends and patterns in financial statements over time, while ratio analysis is a method of assessing financial ratios.

These are important tools for predicting future business performance. Ratio analysis calculates ratios based on financial statement data to assess a company's financial condition, while trend analysis evaluates a company's financial performance over time.To create a trend, analysts look at two or more years of financial statement data, such as balance sheets, income statements, and cash flow statements, to assess business performance. On the other hand, ratio analysis involves a comprehensive study of financial ratios, including liquidity, solvency, profitability, and efficiency ratios, among others.In order to develop accurate projections of past figures into the future, the relationship between two consistent variables is the most important factor.

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You have taken a loan of RO 5,000 from XYZ Bank and you have to pay an instalment of RO 2,000 per year for the next 3 years. Find the annual interest rate.

Answers

The annual interest rate on the loan is 6.67%.

To find the annual interest rate, we need to use the formula for calculating the interest rate on a loan. The formula is: Interest Rate = (Total Interest / Principal) * (1 / Number of Years) * 100

In this case, the principal is RO 5,000 and the number of years is 3. We need to calculate the total interest paid over the 3 years.

Total Interest = Total Payments - Principal

Total Payments = RO 2,000 * Number of Years = RO 2,000 * 3 = RO 6,000. Total Interest = RO 6,000 - RO 5,000 = RO 1,000

Now we can calculate the annual interest rate using the formula:

Interest Rate = (RO 1,000 / RO 5,000) * (1 / 3) * 100

Simplifying the equation: Interest Rate = (1/5) * (1/3) * 100

Interest Rate = 0.0667 * 100

Interest Rate = 6.67%. Therefore, the annual interest rate on the loan is 6.67%.

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You plan to purchase a house for $175,000 using a 10 -year mortgage obtained from your local bank. You will make a down payment of 20 percent of the purchase price. You will not pay off the mortgage early. Assume the homeowner will remain in the house for the full term and ignore taxes in your analysis. a. Your bank offers you the following two options for payment. Which option should you choose? b. Your bank offers you the following two options for payment. Which option should you choose?

Answers

The variable interest rate in Option 2 is likely to increase over time, resulting in higher monthly payments compared to Option 1 and Option 1 with the fixed interest rate of 4% would be the better choice.

a. To determine which option you should choose, let's calculate the total cost of each option.

Option 1: The bank offers a fixed interest rate of 4% on a 10-year mortgage. With a 20% down payment, the loan amount would be $140,000 ($175,000 - 20%).

Using the formula for the monthly mortgage payment, we can calculate the monthly payment for Option 1. The formula is:

M = P [ i(1 + i)^n ] / [ (1 + i)^n - 1 ]

Where:
M = Monthly payment
P = Loan amount
i = Monthly interest rate
n = Total number of payments

For Option 1, plugging in the values:
P = $140,000
i = 4% / 12 = 0.00333 (monthly interest rate)
n = 10 years * 12 months/year = 120 (total number of payments)

Now, calculate M for Option 1.

Option 2: The bank offers a variable interest rate that starts at 3% for the first 5 years and then adjusts every year.

Since we don't have information about the subsequent interest rates, it's difficult to calculate the exact monthly payment for Option 2. However, it is likely that the variable interest rate will increase over time, leading to higher monthly payments compared to Option 1.

Therefore, based on the information provided, Option 1 with the fixed interest rate of 4% would be the better choice.

b. Option 1 with the fixed interest rate of 4% would still be the better choice, as explained in part a.

Therefore, the variable interest rate in Option 2 is likely to increase over time, resulting in higher monthly payments compared to Option 1.

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6. The aggregated demand in the GDP equation means... A. The sum private consumption and government spending B. The total investments of firms in an economy C. AD C+G+I D. None of the above 7. It is usually used by governments and firms to finance deficit without getting into debt A. Wealth B. Savings C. Loans D. None of the above 8. It is usually used by governments and firms to finance investment without getting into debt A. Wealth B. Savings C. Loans D. None of the above 9. Although created to rebuild Europe after the Second World War, it has dedicated effort to fight against poverty A. International Monetary Fund (IMF) B. World Trade Organization (WTO) C. World Bank (WB) D. All of the above 10. It promotes the development of poor countries through the private sector... A. International Bank for Reconstruction and Development (IBRD) B. International Development Association (IDA) C. International Finance Corporation (IFC) D. Multilateral Investment Guarantee Agency (MIGA) E. International Center for Settlement of Investment Disputes (ICSID) 11. The International Monetary Fund might intervene in a country's macroeconomics whenever A. X = I B. X-I>0 C. X-I <0

Answers

After analyzing the question, the answers are 6. C. AD C+G+I D, 7. C. Loans, 8. Loans, 9. International Monetary Fund (IMF), 10. Multilateral Investment Guarantee Agency (MIGA), 11. C. X-I <0.

The International Monetary Fund (IMF) is a significant United Nations financial agency and an international financial organization with 190 member nations and a headquarters in Washington, D.C.

Its declared goals include "working to foster global monetary cooperation, secure financial stability, facilitate international trade, promote high employment and sustainable economic growth, and reduce poverty around the world."

It was established in 1944 and officially began on December 27, 1945, at the Bretton Woods Conference, largely as a result of the theories of Harry Dexter White and John Maynard Keynes. Its aim was to rebuild the global monetary system, and it had 29 member nations at the time. The handling of balance of payments issues and global financial crises now heavily relies on it.

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The following data was extracted from the records of DT Ltd on 28 February 2021, the end of their financial year:
R Share capital (900 000 shares at R2 par value) 1 800 000 Retained income 160 000 Non-Current Assets 1 750 000 Inventories 220 000
Receivables 600 000
Cash/Bank 300 000
Payables 730 000
Loans at 15% p.a. 180 000 Net profit after tax 765 000
Market price of share 270c Dividends per share 65c Required:
1.1. Calculate and comment on each of the following ratios:
1.1.1. Current ratio (last year 2.33 : 1) (4)
1.1.2. Acid test ratio (last year 1.58 : 1) (4)
1.2. Calculate the Price Earnings (PE) ratio and explain what a low PE ratio could mean. (4)
1.3. Calculate the earnings per share. Will shareholders be happy with this? Why? (4)
1.4. Calculate the market to book ratio and explain the significance of this ratio. (4)
1.5. Calculate and comment on the debt equity ratio. (3)
1.6. Calculate the retained for the year'

Answers

The data provided is shown below:Current Assets: Invetories + Receivables + Cash/Bank = R220,000 + R600,000 + R300,000 = R1,120,000Current Liabilities: Payables = R730,0001.1.1 Current Ratio = Current Assets / Current Liabilities= R1,120,000 / R730,000 = 1.53:1

The company’s current ratio for 2021 is 1.53:1, a decrease from last year's ratio of 2.33:1. The decrease in the ratio indicates that the company's liquidity position has deteriorated, indicating a higher risk of insolvency. 1.1.2 Acid Test Ratio = (Current Assets - Inventories) / Current Liabilities= (R1,120,000 - R220,000) / R730,000 = 1.29:1The acid-test ratio in 2021 is 1.29:1, a decrease from the previous year's ratio of 1.58:1. This indicates that the company is less capable of meeting its short-term liabilities using its most liquid assets.1.2

Price Earnings Ratio = Market Price per Share / Earnings per Share= 270c / (765,000 / 900,000) = 3.2 times.A low P/E ratio could indicate that the company's shares are undervalued, or that the market has low expectations for the company's future growth prospects.1.3 Earnings per Share = Net Profit After Tax / Number of Shares= R765,000 / 900,000 shares = 85c.The shareholders will be pleased with the company's earnings per share because it is higher than the dividend of 65c per share.1.4 Market to Book Ratio = Market Price per Share / Book Value per Share= 270c / [(1,800,000 shares x R2) + R160,000] / 1,800,000 shares= 1.28 times.

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Suppose that country A, a relatively capital-abundant country, experiences further expansion in its endowment of capital. Explain how this might affect its volume (amount) of trade and its terms of trade with the rest of the world. Under what conditions (if any) would the economic well-being of country A decline after the increase in its capital endowment?

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Increased capital endowment in country A would likely increase trade volume, but its impact on terms of trade depends on demand elasticity and responses of other countries.

The increase in capital endowment in country A would enhance its productivity and competitiveness in industries that heavily rely on capital. This could lead to increased production and exports of capital-intensive goods, resulting in a larger volume of trade with other countries.

Regarding the terms of trade, if the demand for country A's exports is relatively elastic (responsive to changes in price) while the demand for its imports is relatively inelastic (less responsive to price changes), the terms of trade may improve. This means that country A could obtain a higher relative price for its exports compared to the price it pays for imports, benefiting its economic well-being.

However, there are scenarios where the economic well-being of country A may decline after the increase in its capital endowment. If the increase in capital leads to overproduction of certain goods, resulting in a global supply glut, prices may decline, negatively affecting country A's terms of trade. Additionally, if other countries respond to country A's capital expansion by increasing their own capital endowment or implementing protectionist measures, it could further impact country A's trade and economic well-being.

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Explain using economic theory why or why not China’s use of a fixed exchange rate system will be a good/bad exchange rate regime policy. Based on your answer compare and/or contrast with the German economy. Why should the German economy or why shouldn’t the German economy pursue a fixed exchange rate regime?

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China's use of a fixed exchange rate system can be viewed as both a good and a bad exchange rate regime policy, depending on the economic perspective.

One argument in favor of China's fixed exchange rate system is that it provides stability and predictability for businesses and investors. A fixed exchange rate helps reduce uncertainty in international trade and encourages foreign direct investment, as it ensures that the value of the Chinese currency remains relatively stable.

This stability can be particularly advantageous for an emerging economy like China, as it promotes economic growth and attracts foreign capital.

However, there are also drawbacks to a fixed exchange rate system. One of the main concerns is that it limits the ability to adjust the exchange rate in response to market forces, such as changes in supply and demand or economic fundamentals.

This lack of flexibility can lead to imbalances, such as overvaluation or undervaluation of the currency, which can negatively impact competitiveness and trade dynamics.

Additionally, maintaining a fixed exchange rate often requires interventions by the central bank, which can deplete foreign exchange reserves and limit monetary policy independence.

In contrast, the German economy, being one of the largest and most developed economies in the world, has traditionally pursued a floating exchange rate regime. This allows the value of the German currency, the euro, to fluctuate based on market forces.

The advantages of a floating exchange rate for Germany include the ability to adjust the currency's value to maintain competitiveness, flexibility in responding to economic shocks, and independence in conducting monetary policy.

Germany's strong export-oriented economy benefits from a floating exchange rate, as it enables the currency to adjust to changes in international competitiveness.

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XYZ Corporation, located in the United States, has an accounts payable obligation of ₹750 million payable in one year to a bank in Tokyo. The current spot rate is ¥116/$1.00 and the one year forward rate is ¥109/$1.00. The anmual interest rate is 3 percent in Japan and 6 percent in the United States. XYZ can also buy a one-year call option on yen at the strike price of $0.0086 per yen for a premium of 0.012 cent per yen. The future dollar cost of meeting this obligation using the money market hedge is $6,450,000
$6,545,400
$6,653,833
$6,880,734

Answers

As we need JPY 750 Million Payable in Japan after one year, so we should invest an amount that will become JPY 750 million after 1 year from now. Amount need to repay in US after one year (As per money Market Hedge) = $6,653,833.28.Hence option C is correct.

Amount need to invest in Japan = Amount payable/(1+Japan interest rate)

                                                      = 750,000,000/1+3%

                                                      = 728,155,339.81

Amount to be borrowed from US = Amount required to invest in Japan/Spot rate

                                                   = 728155339.81/116

                                                    = 6,277,201.21

Amount need to repay  after in US= Amount borrowed from US * (1+US interest rate )

6277201.21(1+6%)

=6653833.28

Step: 2

Amount need to repay in US after one year (As per money Market Hedge) = $6,653,833.28

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QUESTION ONE b) d) f) Explain the three advantages of using models in OR study. (6 marks) State Four advantages of OR study approach in decision making. (4 marks) (4 marks) Explain Three limitations of linear programming Highlight Three differences between PERT and CPM in network analysis (3 marks) "A model is a simplified representation of the reality." Highlight three qualities of a good model. (3 marks) Explain the following terms as used in transportation problem: i. Basic solution ii. Feasible solution Optimal solution i11. Explain the following terms as used in a Markov process: i) Transient state ii) Absorbing state (2 marks) (2 marks) (2 marks) (2 marks) (2 marks)

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Advantages of using models in OR study:

1. Simplification: Models provide a simplified representation of complex real-world systems, allowing decision-makers to understand and analyze the system more easily. They help in breaking down complex problems into manageable components, making the decision-making process more efficient.

2. Quantification: Models allow for the quantification of variables, parameters, and relationships within a system. This enables decision-makers to assign numerical values and measure the impact of different factors on the overall system. Quantification provides a more objective and systematic approach to decision-making.

3. Scenario Analysis: Models facilitate scenario analysis by allowing decision-makers to simulate different scenarios and evaluate the potential outcomes of alternative actions. This helps in assessing the risks and benefits associated with different decision options and identifying the best course of action.

Advantages of OR study approach in decision making:

1. Optimization: The OR study approach utilizes mathematical techniques to optimize decisions. It helps in identifying the best possible solution by considering various constraints, objectives, and available resources. This results in improved efficiency, cost savings, and resource utilization.

2. Structured Approach: OR study provides a structured framework for decision-making, involving problem formulation, data collection, model development, analysis, and solution implementation. This systematic approach ensures a comprehensive and well-informed decision-making process.

3. Holistic Perspective: OR study takes into account the interdependencies and interactions among different elements of a system. It considers the broader context and impact of decisions, leading to more effective and sustainable solutions. It helps in avoiding suboptimal decisions that may arise from a narrow focus on isolated factors.

4. Evidence-Based Decision-Making: OR study relies on data-driven analysis and objective evaluation of alternatives. It promotes evidence-based decision-making by considering empirical evidence, statistical analysis, and mathematical modeling. This enhances the reliability and credibility of the decision-making process.

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The board of registration May revoke a real estate broker's license upon the verified complaint of an aggrieved person for which of the following practice
A) paying a finder's fee to an unlicensed person
B) charging both the buyer and seller a fee in the same transaction provided both parties know about and give consent to this agreement
C) charging an excessive Commission
D) advertising a property infrequently

Answers

The board of registration has the authority to revoke a real estate broker's license based on verified complaints from an aggrieved person.  The correct option is c) charging an excessive Commission.

Let's examine each option to understand which practice could lead to license revocation.

A) Paying a finder's fee to an unlicensed person: This practice may be a violation of licensing regulations because it involves compensating someone who does not hold a valid real estate license for finding a buyer or seller. Engaging in such activities can undermine consumer protection and the integrity of the real estate industry. Therefore, the board may consider this practice as a basis for revoking the broker's license.

B) Charging both the buyer and seller a fee in the same transaction with their knowledge and consent: As long as both parties are aware of and consent to the arrangement, charging fees to both the buyer and seller in the same transaction is generally permissible. This practice does not typically warrant license revocation since it is conducted with transparency and the informed consent of all parties involved.

C) Charging an excessive commission: Real estate brokers are typically allowed to set their commission rates, but charging an excessive commission may be deemed unethical or against industry standards.

However, the determination of what constitutes an excessive commission may vary depending on local regulations and market practices. While charging an excessive commission might not directly lead to license revocation, it could result in disciplinary actions or investigations by the board.

D) Advertising a property infrequently: While it is important for brokers to actively promote properties to attract potential buyers or tenants, the infrequency of property advertising alone may not be sufficient grounds for license revocation. However, consistent failure to advertise properties as required by regulations or engaging in deceptive advertising practices could lead to disciplinary actions.

In summary, paying a finder's fee to an unlicensed person and possibly charging an excessive commission are practices that could lead to license revocation.

However, charging both the buyer and seller a fee in the same transaction with their knowledge and consent, as well as advertising a property infrequently, are less likely to result in license revocation but may still have other consequences.

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8. Exercise 7.8. The Market Effects of a Carbon Tax. Consider the market for gasoline. In the initial equilibrium, the price is $2.00 per gallon and the quantity is 100 million gallons. The price elasticity of supply is 1.0. Suppose a carbon tax shifts the supply curve upward by $0.34 and to the left by 17 percent. a. Use a graph to show the effects of the tax on the equilibrium price and quantity of gasoline. b. After reviewing the price-change formula in the earlier chapter on elasticity, compute the new price and quantity. The new price is $ per gallon and the new quantity is million gallons. c. Consumer pays of the $0.34 tax and producers pay the remaining $0.34 of the tax.

Answers

The carbon tax will result in a higher equilibrium price for gasoline and a lower quantity demanded.

When a carbon tax is imposed on gasoline, it causes the supply curve to shift upward and to the left. This means that the price of gasoline will increase, and the quantity demanded will decrease. The extent of these changes can be determined by examining the price elasticity of supply.

The price elasticity of supply is a measure of how responsive the quantity supplied is to changes in price. In this case, a price elasticity of supply of 1.0 indicates that a 1% increase in price will result in a 1% increase in quantity supplied. Therefore, with a tax-induced increase in price of $0.34 (17% of the initial price), the quantity supplied will decrease by 17 million gallons (17% of the initial quantity).

To compute the new equilibrium price and quantity, we subtract the tax-induced increase in price ($0.34) from the initial price ($2.00), resulting in a new price of $1.66 per gallon. The new equilibrium quantity is obtained by subtracting the tax-induced decrease in quantity (17 million gallons) from the initial quantity (100 million gallons), giving a new quantity of 83 million gallons.

The burden of the tax is shared between consumers and producers. In this case, consumers pay $0.17 (half of the tax) as the price of gasoline increases by $0.34, while producers bear the remaining $0.17 as their profit margin is reduced due to lower quantities sold.

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If you deposit $2,000 in a bank account that pays 6% interest annually, how much will be in your account after 5 years?

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After 5 years, with an initial deposit of $2,000 in a bank account that pays 6% interest annually, the total amount in the account will be $2,790.84.

The calculation can be done using the formula for compound interest:

[tex]A = P(1 + r/n)^{(nt)}[/tex]

Where:

A = Final amount in the account

P = Principal amount (initial deposit)

r = Annual interest rate (as a decimal)

n = Number of times the interest is compounded per year

t = Number of years

In this case, the principal amount (P) is $2,000, the annual interest rate (r) is 6% or 0.06, the interest is compounded annually (n = 1), and the duration is 5 years (t = 5).

Plugging in these values into the formula, we get:

A = $2,000(1 + 0.06/1)^(1*5)

A = $2,790.84

Therefore, after 5 years, the account will have a total of $2,790.84.

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when a job is completed in a service organization that uses job order costing, the job costs are transferred to the

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When a job is completed in a service organization that uses job order costing, the job costs are transferred to the appropriate cost accounts.

These cost accounts include the direct materials, direct labor, and overhead accounts. The total of these costs represents the cost of the job.

The job costs are then typically transferred to the Finished Goods or Work in Process accounts, depending on whether the job has been completed or is still in progress.

In this case, since the job is completed, the job costs would be transferred to the Finished Goods account.

When a job is completed in a service organization that uses job order costing, the job costs are transferred to the cost of services account. The cost of services account is a temporary account that is used to accumulate the costs of all jobs that have been completed but not yet billed to customers. Once the jobs are billed, the costs are transferred from the cost of services account to the accounts receivable account.

Gather the job costs. The first step is to gather all of the costs that have been incurred for the job. This includes direct materials, direct labor, and overhead.

Calculate the total job cost. Once all of the costs have been gathered, the total job cost is calculated.

Transfer the job cost to the cost of services account. The total job cost is then transferred to the cost of services account.

Update the job cost sheet. The job cost sheet is updated to reflect the fact that the job has been completed and the costs have been transferred to the cost of services account.

Bill the customer. Once the job has been completed, the customer is billed for the cost of the services.

Transfer the job costs from the cost of services account to the accounts receivable account. Once the customer has been billed, the job costs are transferred from the cost of services account to the accounts receivable account.

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despite investing thousands of dollars into higher education, numerous individuals graduate from university without a clear direction for their lives. urging learners to consider life aims at a young age with frequent reevaluation could help to avoid this situation (reigeluth et al., 2008).

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Despite investing significant amounts in higher education, many university graduates lack clarity about their life direction. Encouraging individuals to contemplate life aims from a young age and regularly reassess them can help prevent this situation (Reigeluth et al., 2008).

The statement highlights the observation that despite the substantial financial investment made in higher education, a considerable number of university graduates struggle to find a clear direction in their lives. The suggestion put forward is that by encouraging individuals to contemplate their life aims at a young age and continuously reassess them, this issue can be avoided.

By engaging in introspection and setting meaningful goals early on, individuals can gain clarity about their life direction and make informed decisions regarding their education, career, and personal development. Regular reevaluation allows for adjustments and alignment with evolving aspirations, enhancing the chances of fulfilling and purposeful lives after graduation (Reigeluth et al., 2008).

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You are asked to do a disaster plan for an adult learning centre. ‘Learn More’ evening adult school has 20 adult students and the total staff isasenior and a junior teacher, an OJT (on the job trainee), a tealadyand a security guard . The school is on the second floor of a 6 floor building and occupy the whole floor. There is a single door access. Thereisasmall basement car park for staff and a larger openparkingareaforstudents across the road. The disaster suggestedis a fire inthebuilding.(a)What are the essential components of a disaster plan(b) Indicate the players and their roles The plan must provide for all in theschool plus all who may arrive in the event of adisaster includingrelatives, police, fire and ambulance if required.

Answers

a)  The essential components of a disaster plan for a fire include emergency communication, evacuation procedures, an emergency response team, staff and student training, and a system for ongoing evaluation and improvement. b) The players involved in the disaster plan are staff, students, emergency services (police, fire, and ambulance), and relevant authorities.

a) In the event of a fire, effective emergency communication is crucial to quickly notify all individuals involved. Clear evacuation procedures should be established, including designated evacuation routes and assembly points. An emergency response team, consisting of the senior and junior teachers, security guard, and tealady, should be designated with specific roles and responsibilities. Staff and student training should be conducted to ensure everyone understands fire safety protocols and evacuation procedures. Regular evaluation of the disaster plan is important to identify areas for improvement and ensure its effectiveness. (b) The players involved in the disaster plan for a fire include staff, students, emergency services (police, fire, and ambulance), and relevant authorities. Staff members are responsible for implementing evacuation procedures, guiding students, and conducting headcounts. Students should follow instructions and cooperate during the evacuation process. Emergency services will provide assistance, ensure safety, and control the situation. Relevant authorities may coordinate the response and provide additional support. The plan should account for the inclusion of all individuals present, including staff, students, relatives, emergency services, and relevant authorities.

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Burger Doodle is a fast-food restaurant that processes an average of 670 food orders each day. The average cost of each order is $6.25. Four percent of the orders are incorrect, and only 10% of the defective orders can be corrected with additional food items at an average cost of $1.75. The remaining defective orders have to be thrown out.
(a)
New attempt is in progress. Some of the new entries may impact the last attempt grading.
Your answer is incorrect.
Compute the quality–productivity ratio (QPR) for the Burger Doodle restaurant. (Round answer to 2 decimal places, e.g. 2.75.)
Quality–productivity ratio (QPR) enter the quality-productivity ratio rounded to 2 decimal places

Answers

The answer is , the quality–productivity ratio (QPR) for the Burger Doodle restaurant is 0.95.

How to find?

It helps to determine the efficiency of a company in utilizing its resources to achieve high-quality results. The QPR is calculated using the formula:

QPR = (Total Output – Defective Output) / Total Resource Utilized .

Here, Total Output = 670 orders per day × $6.25 per order

= $4187.50 per day.

Total Resource Utilized = 670 orders per day.

Defective Output = 4% of 670 orders

= 26.8 orders per day.

Now, we can calculate the defective output that can be corrected with additional food items.

10% of 26.8 = 2.68 orders per day.

Total cost of these orders = 2.68 × $1.75

= $4.69 per day

So, remaining defective output that needs to be thrown = 26.8 – 2.68

= 24.12 orders per day.

So, the Total Output after adjusting defective output= 670 - 24.12

= 645.88 orders per day

Now, we can calculate the QPR:

QPR = (Total Output – Defective Output) / Total Resource Utilized

QPR = (645.88 - 24.12) / 670QPR = 0.9536 (rounded to 2 decimal places).

Hence, the quality–productivity ratio (QPR) for the Burger Doodle restaurant is 0.95.

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Describe what is transactional leadership and how it is best
used in a business? (use transactional leadership please)
400-500 words typed please

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Transactional leadership is best used when specific tasks require clear instructions, structured processes, and immediate results.

Transactional leadership is a leadership style that focuses on the exchange relationship between the leader and followers, emphasizing clear expectations and the use of rewards and punishments for motivation. In a business context, transactional leadership is best used when specific tasks require clear instructions, structured processes, and immediate results. Transactional leadership ensures accountability, clear communication, and efficient task execution. Leaders in this style monitor performance, provide feedback, and offer rewards for achieving goals. However, it may not be suitable for fostering creativity and long-term growth. Transformational leadership may be more effective in inspiring and empowering employees for innovation and long-term success.

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A company has announced that it will pay a dividend of $2.54 per share next year, and thereafter you expect the dividend to grow at a constant rate of 4.7% per year indefinitely into the future. If the required rate of return is 8.4% per year, what would be a fair price for the stock today? (Answer to the nearest penny.)

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Calculating the above expression, we find:

P ≈ $54.52

Therefore, the fair price for this stock today would be approximately $54.52 per share.

To calculate the fair price of the stock today, we can use the dividend discount model (DDM) formula, assuming a constant growth rate for dividends. The formula is:

P = D / (r - g)

Where:

P = Fair price of the stock today

D = Dividend payment in the next period (next year)

r = Required rate of return

g = Growth rate of dividends

Given:

Dividend payment next year (D1) = $2.54 per share

Dividend growth rate (g) = 4.7%

Required rate of return (r) = 8.4%

To find the fair price, we need to calculate the present value of future dividends:

P = D1 / (r - g)

Substituting the given values into the formula:

P = 2.54 / (0.084 - 0.047)

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