8 pts Question 20 The spot AUD/USD exchange rate is 1 AUD 0.72 USD, the AUD/USD exchange rate volatility is 12%, the AUD risk-free rate is 1.2%, and the USD risk-free rate is 2.9% for all maturities. Compute the price of an option that gives the holder the right to buy USD 1,000,000 and sell AUD 1.351.351.35 in 9 months time, and express the price in AUD.

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Answer 1

The price of the option that gives the holder the right to buy USD 1,000,000 and sell AUD 1.351.351.35 in 9 months time is approximately -704,109.36 AUD.

To compute the price of the option in AUD, we can use the concept of covered interest rate parity. Covered interest rate parity states that the difference in interest rates between two currencies should be equal to the forward premium or discount on the exchange rate between those currencies.

First, let's calculate the forward exchange rate using the interest rate differentials:

Forward exchange rate = Spot exchange rate * (1 + foreign risk-free rate) / (1 + domestic risk-free rate)

Forward exchange rate = 0.72 * (1 + 2.9%) / (1 + 1.2%)

Forward exchange rate = 0.72 * (1.029) / (1.012)

Forward exchange rate = 0.732444

Next, let's calculate the premium or discount on the forward exchange rate:

Forward premium or discount = (Forward exchange rate - Spot exchange rate) / Spot exchange rate

Forward premium or discount = (0.732444 - 0.72) / 0.72

Forward premium or discount = 0.017444 / 0.72

Forward premium or discount = 0.0242 or 2.42%

Now, we can calculate the price of the option using the put-call parity relationship:

Option price = Spot exchange rate * Strike price * e^(-foreign risk-free rate * time) - Strike price * e^(-domestic risk-free rate * time)

Option price = 0.72 * 1.351351.351.35 * e^(-1.2% * 9/12) - 1,000,000 * e^(-2.9% * 9/12)

Option price = 0.972973 * e^(-0.009) - 1,000,000 * e^(-0.021)

Option price = 0.972973 * 0.990065 - 1,000,000 * 0.979378

Option price = 0.962536 - 979,378

Option price = -978,415.464

The price of the option is -978,415.464 USD. To express the price in AUD, we need to convert it using the current spot exchange rate:

Option price in AUD = Option price * Spot exchange rate

Option price in AUD = -978,415.464 * 0.72

Option price in AUD = -704,109.36

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Related Questions

griffin opens a new savings account. he deposits $12,000 at 12% compounded semiannually. at the start of the fourth year, griffin deposits an additional $50,000 that is also compounded semiannually at 12%. at the end of six years, the balance in griffin's account is (use the tables in the handbook):

Answers

The balance in Griffin's savings account at the end of six years, using the given conditions, is approximately $82,607.49.

To find the balance in Griffin's savings account at the end of six years, we can break down the problem into two parts:

Part 1: Calculate the balance after the first three years.
Given that Griffin deposits $12,000 at 12% compounded semiannually, we can use the compound interest formula:

A = P(1 + r/n)^(nt)

Where:
A = the future value of the investment
P = the principal amount (initial deposit)
r = annual interest rate (12%)
n = number of times interest is compounded per year (2, since it's compounded semiannually)
t = number of years

Plugging in the values, we have:
A1 = 12,000(1 + 0.12/2)^(2*3)
A1 = 12,000(1 + 0.06)^6
A1 = 12,000(1.06)^6
A1 ≈ $16,600.55

Part 2: Calculate the balance after the next three years.
Given that Griffin deposits an additional $50,000 at the start of the fourth year, we need to find the future value of this deposit after three years.

Using the same compound interest formula, with a principal amount of $50,000:
A2 = 50,000(1 + 0.12/2)^(2*3)
A2 = 50,000(1 + 0.06)^6
A2 ≈ $66,006.94

Finally, to find the total balance at the end of six years, we add the balances from both parts:

Total balance = A1 + A2
Total balance ≈ $16,600.55 + $66,006.94
Total balance ≈ $82,607.49

Therefore, the balance in Griffin's savings account at the end of six years, using the given conditions, is approximately $82,607.49.

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Suppose you borrowed $12,000 at an interest rate of 8%, compounded monthly over 36 months. At the end of the first year (after 12 payments), you want to negotiate with the bank to pay off the remainder of the Joan in eight equal quarterly payments. What is the amount of this quarterly payment, if the interest rate and compounding frequency remain the same?

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Therefore, the quarterly payment is $1,892.26.Answer: The amount of the quarterly payment is $1,892.26.

Suppose you borrowed $12,000 at an interest rate of 8%, compounded monthly over 36 months. At the end of the first year (after 12 payments), you want to negotiate with the bank to pay off the remainder of the loan in eight equal quarterly payments. What is the amount of this quarterly payment, if the interest rate and compounding frequency remain the same?

When we borrow money, we have to repay the amount of money borrowed plus the interest on the loan. The total cost of the loan is called the principal and it is calculated by adding the amount of money borrowed to the interest on the loan.Therefore, the total cost of the loan is:

$12,000 + (0.08/12) x $12,000 x 36

= $16,116.32

At the end of the first year, you have already made 12 payments. The amount remaining to be paid is:

$16,116.32 – 12 x ($12,000/36)

= $13,716.32

You want to pay off the remaining balance in eight equal quarterly payments. There are two ways to do this; you can either use the formula for the present value of an annuity or you can use a financial calculator.Using the formula, we can find the quarterly payment as follows:

PV of annuity = (C/r) x [1 – (1 + r)^-n]

Where,C = Payment

r = Interest rate/4

n = Number of quarters

C = PV of annuity x r / [1 – (1 + r)^-n]

= $13,716.32 x 0.02 / [1 – (1 + 0.02)^-8]

= $13,716.32 x 0.02 / 0.1457

= $1,892.26

Therefore, the quarterly payment is $1,892.26.Answer: The amount of the quarterly payment is $1,892.26.

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Mark and Cindy started Premium Sport Experiences five years ago. At that time, they were the company. It was an adventure tour company located in the Blue Ridge Mountains in North Carolina. They specialized in guided hiking tours and overnight camping experiences.
When they started, they were able to manage the bookings, the marketing, the finances, and the tours themselves. They were a small start-up with an idea. After their first season, however, their reputation for providing amazing experiences meant a significant increase in bookings for the following year. They increased over 200 percent in that first year alone.
They hired new guides, a customer services agent, and someone to help with digital marketing. This growth continued and after the 4th year, they found themselves with 37 employees (20 guides, 5 customer service agents, 1 bookkeeper, 3 marketing personal, 1 human resource generalist, 3 logistics personal to manage equipment, 2 maintenance personnel, and 2 cleaners). They began to feel completely overwhelmed trying to manage all of them. The employees did not know who to talk to about questions, there was limited time for planning to provide direction, and things were starting to fall through the cracks.-
Question: Based on your knowledge of levels and types of management, what advice could you provide Mark and Cindy to help them better manage their organization? How do you suggest they organize their company? Respond to the question and then respond to 2 classmates.

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Based on the case study, the advice that can be provided to Mark and Cindy to help them better manage their organization is to incorporate levels and types of management in their organization. Levels and types of management are important to ensure that an organization's goals and objectives are met efficiently and effectively.Types of management

Top management - responsible for the entire organization and the development of long-term plans.2. Middle management - responsible for carrying out the plans and goals of the top management.3. Lower management - responsible for executing the plan and monitoring the performance of the non-management employees.Levels of management:1. Strategic management - concerned with long-term planning and achieving the organization's objectives.2. Tactical management - concerned with short-term planning and implementing the plans made by the strategic management.

3. Operational management - concerned with carrying out the daily operations of the organization.The organization should be structured in the following way:Top Management: Mark and CindyMiddle Management: Marketing Personal, Human Resource Generalist, Bookkeeper, and Customer Services AgentLower Management: Guides, Logistics Personal to Manage Equipment, Maintenance Personnel, and Cleaners.Explanation:Mark and Cindy are advised to incorporate levels and types of management in their organization to ensure efficient and effective management of their organization. Incorporating levels and types of management will ensure that the company's goals and objectives are met in a systematic manner.

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when companies make ethical and socially responsible decisions on behalf of their employees, what is the result? multiple choice question. companies risk sacrificing quality and timeliness of goods and services production. companies take care of their own, but risk causing damage to society as a whole. companies make decisions to standardize their practices nationally and globally. companies make decisions that protect, enhance and promote the welfare and well-being of their stakeholders.

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When companies make ethical and socially responsible decisions on behalf of their employees, the result is that they make decisions that protect, enhance, and promote the welfare and well-being of their stakeholders.

Companies that prioritize ethical and socially responsible decision-making recognize that their actions impact various stakeholders and the broader society. By considering the welfare and well-being of their stakeholders, including employees, companies create a positive impact. This approach involves fostering a supportive and inclusive work environment, ensuring fair compensation and benefits, promoting work-life balance, providing opportunities for growth and development, and prioritizing employee health and safety.

When companies prioritize their stakeholders, it not only leads to improved employee satisfaction and engagement but also enhances the company's reputation and brand value. Companies that prioritize social responsibility are often viewed more favorably by customers, investors, and the public, leading to increased trust and loyalty.

Additionally, ethical and socially responsible practices extend beyond the internal realm of the company. They involve responsible sourcing, environmental sustainability, and contributing positively to the communities in which the company operates. By engaging in such practices, companies demonstrate their commitment to long-term sustainability and contribute to the betterment of society as a whole.

In contrast, the other options provided—sacrificing quality and timeliness, causing damage to society, and standardizing practices—do not reflect the positive outcomes associated with ethical and socially responsible decisions. Instead, they represent potential negative consequences that can arise from neglecting ethical considerations and social responsibility.

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ruritania's ministry of economics has considered various plans to stimulate economic growth in the kingdom. which proposal would have the best chance of success? to reduce risk and encourage entrepreneurship, require the government to take control of and operate any businesses that do not earn a profit for two consecutive years, including providing salaries for the workers and managers equal to the average for that industry plus 10%. to enhance efficiency and minimize the size of the private sector, require private firms to enter into partnerships whereby ownership of firms is split equally between the government and private owners. to increase the general level of skills in the labor force, provide more on-the-job training for workers who have not completed secondary education. to lower unemployment by discouraging layoffs, require businesses to continue paying the salary of any worker who loses his or her job until he or she finds a new one. which source of productivity growth does the best proposal directly influence? technology physical capital income equality human capital

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The best proposal that directly influences productivity growth is to increase the general level of skills in the labor force by providing more on-the-job training for workers who have not completed secondary education.

This proposal focuses on improving human capital, which refers to the knowledge, skills, and abilities of the workforce. By investing in training and enhancing the skills of workers, the proposal aims to increase their productivity and efficiency.

This, in turn, can lead to higher economic growth and development. The other proposals mentioned, such as government control of businesses, partnerships with private firms, and continued salary payments, may have their own merits, but they do not directly address the source of productivity growth like the proposal for enhancing human capital does.

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Question 17 Homework Unanswered The current equilibrium price of oil is $100 per barrel and the equilibrium quantity of oil is 96 million barrels per day. OPEC increases its oil production by 4 million barrels per day. The price elasticity of demand for oil is -0.2, while the supply of oil is perfectly inelastic over the period of time in question. Based on this information, you predict that after the OPEC's production increase, the equilibrium price of oil will be $ per barrel. Type your numeric answer and submit Fill in the Blanks Type your answers in all of the blanks and submit X, Ω· Suppose Amazon raises its Prime membership fee from $119 to $139. The price elasticity of demand for Amazon Prime subscriptions in this price range is -1.2. You predict that the quantity of subscriptions demanded will (increase/decrease) Write your response here.... by Type your answer here. % and that Amazon's total revenue will (increase/decrease) Write your response here.... by Type your answer here.

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The predicted equilibrium price of oil after OPEC's production increase will be $80 per barrel.

Based on the given information, we know that the price elasticity of demand for oil is -0.2, and the supply of oil is perfectly inelastic. When OPEC increases its oil production by 4 million barrels per day, the quantity supplied will increase, but the quantity demanded will remain the same.

Since the supply of oil is perfectly inelastic, the change in quantity supplied will not affect the equilibrium quantity, which is currently 96 million barrels per day. However, the increase in supply will lead to a surplus of oil in the market.

Given the price elasticity of demand (-0.2), we can expect a relatively inelastic response in quantity demanded to changes in price. With the surplus of oil, the market will experience downward pressure on price. The decrease in price will result in a slight increase in quantity demanded.

To find the new equilibrium price, we can calculate the percentage change in quantity demanded and equate it to the price elasticity of demand:

% change in quantity demanded = price elasticity of demand * % change in price

Since the price elasticity of demand is -0.2 and OPEC increases its production by 4 million barrels per day, the percentage change in price can be calculated as follows:

4 million barrels / 96 million barrels = 0.0417

% change in price = -0.2 * 0.0417 = -0.00833

Therefore, the predicted decrease in price is 0.00833 (0.833%) of the current price of $100 per barrel:

$100 * 0.00833 = $0.833

Hence, the predicted equilibrium price of oil after OPEC's production increase will be $100 - $0.833 = $99.167 per barrel, which can be rounded to $99 per barrel.

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Which one of the following circumstances is the best indication that a firm is experiencing financial distress? Multiple Choice Some of the firm's cash customers begin to charge their purchases. The m

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The best indication that a firm is experiencing financial distress is when "The firm's operating cash flow is repeatedly insufficient to pay current obligations." (Option C).

The other circumstances mentioned in the question are also symptoms of financial distress, but Option C is the most significant because it directly relates to the firm's ability to meet its financial obligations. Here are brief explanations of the other circumstances:

A. Some of the firm's cash customers begin to charge their purchases: This means that the firm's customers are no longer able to pay in cash, which could be an indication that they are also facing financial difficulties.

B. The market value of the firm's stock declines by 10 percent in line with the market: This is not necessarily a sign of financial distress because it could be due to external factors such as a recession or market downturn.

D. The firm's cash distributions are eliminated and replaced with stock repurchases: This could be a strategic decision by the firm to use its cash for other purposes, but it could also be a sign of financial distress if the firm is unable to pay dividends.

E. The firm's accounts payable turnover rate increases: This means that the firm is paying its suppliers more quickly, which could be an indication that it is trying to conserve cash. However, it could also mean that the firm is having difficulty obtaining credit from its suppliers.

Your question is incomplete, but most probably your options were

A. Some of the firm's cash customers begin to charge their purchases.

B. The market value of the firm's stock declines by 10 percent in line with the market.

C. The firm's operating cash flow is repeatedly insufficient to pay current obligations.

D. The firm's cash distributions are eliminated and replaced with stock repurchases.

E. The firm's accounts payable turnover rate increases.

Thus, the correct option is C.

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Question 8 0.25 pts What is NOT a reason why Labor failed to achieve its goals? Unions were seen as very radical by the establishment Immigrants failed to join the unions Anarchist positively impa

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Not a reason why Labor failed to achieve its goals is C. Anarchist positively impacted the efforts of Labor to achieve its goals.

The reason behind this is that the anarchists were seen as very radical by the establishment, and they were a major hindrance in the way of the Labor movement's success. This was because they were seen as being too radical and violent, which made it difficult for the Labor movement to gain traction with the broader public. Unions, on the other hand, played a vital role in the Labor movement, and many workers joined the unions to make their voices heard. They were instrumental in negotiating better wages, better working conditions, and better benefits for their members.

Immigrants, while not always being willing to join the unions, were also a significant factor in the Labor movement's success. They often worked in the most dangerous and difficult jobs, and they were willing to fight for better conditions for themselves and their families. Overall, Labor failed to achieve its goals because of the radical views of anarchists and the difficulties of organizing and mobilizing workers across the country. So the correct answer is C. Anarchist positively impacted the efforts of Labor to achieve its goals.

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Sunland Incorporated management is considering investing in two alternative production systems. The systems are mutually exclusive, and the cost of the new equipment and the resulting cash flows are :

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investment is evaluating two alternative production systems. The evaluation involves considering the cost of the equipment and the corresponding cash flows associated with each system.

In order to make an informed investment decision, Sunland Incorporated management needs to assess the costs and cash flows of the two production systems. This evaluation typically involves analyzing the initial cost of acquiring the equipment, as well as the expected cash flows generated by each system over its useful life. Cash flows can include revenues from increased production, cost savings, and potential salvage value at the end of the equipment's life.

By comparing the costs and cash flows of the two systems, management can determine the financial viability and potential return on investment of each option. This analysis helps in selecting the most suitable production system that aligns with the company's objectives and maximizes profitability.

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2. List out the primary key(s), foreign key(s) and candidate key(s) for the CustomerOrder table. • For this question, you only need to consider the relationship(s) between the CustomerOrder table and the tables within the Order Schema. Do not refer to, or in any way utilize, tables outside of the Order Schema.

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The primary key(s), foreign key(s), and candidate key(s) for the Customer Order table:

Primary Key(s): Customer Order ID Foreign Key(s): CustomerID and Product ID Candidate Key(s): Customer Order ID

To determine the primary key(s), foreign key(s), and candidate key(s) for the Customer Order table, we need to consider the relationships between the Customer Order table and the tables within the Order Schema.

Here are the primary key(s), foreign key(s), and candidate key(s) for the Customer Order table:

Primary Key(s):

Customer Order ID - This is a unique identifier for each customer order and serves as the primary key for the Customer Order table.

Foreign Key(s):

CustomerID - This is a foreign key that references the Customer table. It establishes a relationship between the CustomerOrder table and the Customer table, indicating which customer placed the order.ProductID - This is a foreign key that references the Product table. It establishes a relationship between the Customer Order table and the Product table, indicating which product was ordered.

Candidate Key(s):

Customer Order ID - This attribute can also be considered a candidate key since it uniquely identifies each customer order.

Note: It is assumed that the Order Schema includes tables such as Customer, Product, and potentially others related to orders, and the relationships mentioned above are based on these tables within the schema.

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In order to produce the lemonade you sell at your lemonade stand, you have to purchase lemons, sugar and bottled water. The lemons, sugar and water are in your production of lemonade. When you purchase these items, in the market for factors of production you are a

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When you purchase lemons, sugar, and bottled water for the production of lemonade, in the market for factors of production, you are a buyer (demander), so money flows from you to this market.

You, the maker of lemonade, participate in the market for factors of production as a buyer (demander) of the ingredients you need, such as lemons, sugar, and bottled water. You are a buyer looking to purchase these manufacturing elements to utilize in the making of your lemonade.

You exchange money with vendors or suppliers in the market when you buy lemons, sugar, and bottled water in exchange for these inputs. As you give payments to the vendors, money moves from you to the market.

The transactional side of the market for production factors is represented by this money flow. By increasing the demand for these inputs as a consumer, you help the sellers get paid.

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The complete question is:

In order to produce the lemonade you sell at your lemonade stand, you have to purchase lemons, sugar and bottled water. The lemons, sugar and water are in your production of lemonade. When you purchase these items, in the market for factors of production you are a ✓ [ Select ]

buyer (demander), so money flows to you from this market

buyer (demander), so money flows from you to this

market seller (supplier), so money flows to you from this market.

we asked to write a report documenting my business idea generating

can anyone write a better version of my brainstorming session that designed to come up with an idea for my upcoming business venture

which is "customize pre/post workout bars"

My writing:

As an athletes we usually need pre/post workout proteins (shakes, bars, and protein balls). Additionally, nutrition facts that pleases our needs

Via to our brainstorming session we came out with an idea "A customize pre/post workout bars" is a way to find a healthier alternatives. Its a website/application, that enables consumers to customize their pre workout bars with their ingredients preferences (GF, Vegan, Sugar Free, Fat Free) and the ability to measure their nutrition needs (high protein, low fat, diabetes diet, keto diet).

Due to our active busy lifestyle where we usually grab anything to full us up, we came up with an idea to offer a customizable pre workout bars which will alternate our habit of eating easy, grab and go unhealthy snacks.

Answers

In order to come up with a better version of your brainstorming session, we focused on the key points and made some improvements. Here's an updated version:

During our brainstorming session, we devised a business idea for a customizable pre/post workout bar venture. As athletes, we understand the importance of having access to pre/post workout proteins that meet our nutritional needs. With this in mind, we envisioned a website/application that allows consumers to personalize their own workout bars according to their ingredient preferences (such as gluten-free, vegan, sugar-free, and fat-free) and dietary requirements (like high protein, low fat, diabetes diet, or keto diet).

The main goal of this business venture is to provide a healthier alternative for individuals with active and busy lifestyles, who often resort to consuming quick and unhealthy snacks. By offering customizable pre/post workout bars, we aim to change this habit and provide a convenient and nutritious option for our target market.

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Mega Corporation just paid a dividend of $1 per share. Analysts expect its dividend to grow at 15 percent per year for the next two years, and then 3 percent per year thereafter. If the required rate of return on the stock is 10 percent, what is the current value of the stock? Show your work below.

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The current value of the stock, considering a dividend growth rate of 15% for two years and 3% thereafter, with a required rate of return of 10%, is approximately $3.256.


To calculate the current value of the stock, considering the expected dividend growth rate and the required rate of return, we can break down the steps:

1. Identify the relevant information:

  - Dividend just paid: $1 per share

  - Dividend growth rate for the next two years: 15% per year

  - Dividend growth rate thereafter: 3% per year

  - Required rate of return: 10%

2. Calculate the expected dividends for the next three periods:

  Year 1 dividend: $1 * (1 + 15%) = $1.15 per share

  Year 2 dividend: $1.15 * (1 + 15%) = $1.32 per share

  Year 3 dividend: $1.32 * (1 + 3%) = $1.36 per share

3. Calculate the present value of the dividends:

  To calculate the present value, we need to discount each dividend back to the present using the required rate of return.

  Present value of Year 1 dividend = $1.15 / (1 + 10%) = $1.045

  Present value of Year 2 dividend = $1.32 / (1 + 10%)^2 = $1.099

  Present value of Year 3 dividend = $1.36 / (1 + 10%)^3 = $1.112

4. Calculate the current value of the stock:

  The current value of the stock is the sum of the present values of all expected dividends.

  Current value of the stock = Present value of Year 1 dividend + Present value of Year 2 dividend + Present value of Year 3 dividend

  Current value of the stock = $1.045 + $1.099 + $1.112

  Current value of the stock = $3.256

Therefore, the current value of the stock is approximately $3.256.


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Melody, single, taxable income of $52,800, This includes $200 in
qualified dividends. What tax rate applies tyo these dividends.
A, 0%
B, 15%
C . 20%
D. 25%

Answers

The correct answer is option B.15%

The tax rate that applies to the $200 in qualified dividends is 15%.When you are calculating the tax rate on dividends, you have to check the dividend tax rates. To calculate the tax rate on qualified dividends you have to make the following checks:

If you are single, and your taxable income falls within the bracket of $0 to $40,400, then you will not be required to pay any tax on qualified dividends.

However, if you are a single taxpayer and your taxable income falls within the bracket of $40,401 to $441,450, then the tax rate that applies to your qualified dividends is 15%.

Given that the taxpayer has a taxable income of $52,800 and includes $200 in qualified dividends, which falls under the second category, the correct answer is option B (15%).

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In the case of sales where the customer
is billed before delivery of the goods,
a.
the seller should always recognize
revenue before the products are delivered to the customer.
a. the sell

Answers

In the case of sales where the customer is billed before delivery of the goods, the seller may recognize revenue if control of the goods has been transferred to the customer even though physical delivery has not taken place. Therefore, the correct option is C.

In the case of sales where the customer is billed before the delivery of the goods, revenue will not be recognized until the goods are shipped to the customer if the control of the goods has not been transferred to the customer. If the control of the goods has been transferred to the customer even though the physical delivery has not taken place, then the seller may recognize revenue at that time. This is in accordance with the concept of Revenue Recognition.

It is a general accounting principle that determines the conditions under which revenue is recognized as earned and included in the financial statements. Revenue recognition criteria include that the goods or services have been delivered to the customer, and the seller has received payment or expects to receive payment.

Thus, if control of the goods has been transferred to the customer, revenue recognition is permissible even though the physical delivery has not taken place. Hence, option C is the correct answer.

Note: The question is incomplete. The complete question probably is: In the case of sales where the customer is billed before delivery of the goods, a. the seller should always recognize revenue before the products are delivered to the customer. b. the goods belong to the customer and revenue recognition is deferred until delivery. c. the seller may recognize revenue if control of the goods has been transferred to the customer even though physical delivery has not taken place. d. revenue will not be recognized until the goods are shipped to the customer.

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The liability of shareholders is
similar to the liability of the owner of a proprietorship.
equal to an amount sufficient to satisfy all creditors.
similar to the liability of the owners of a partnership.
limited to their property or service invested in the corporation.

Answers

the liability of shareholders is limited to their property or service invested in the corporation. This means that if the company incurs debts or faces financial difficulties, the shareholders are not personally responsible for the company's debts and obligations beyond their initial investment.

This limited liability protection is one of the advantages of owning a corporation as compared to a proprietorship or partnership.In a proprietorship, the owner is personally responsible for the debts and obligations of the business. This means that if the business cannot pay its debts, the owner's personal assets can be seized to satisfy the creditors.In a partnership, the partners are also personally responsible for the debts and obligations of the partnership, even if they did not personally incur the debt or obligation.

This means that if one partner cannot pay their share of the debt, the other partners are still responsible for paying the full amount.In a corporation, the liability of shareholders is limited to their initial investment in the company. This means that if the company incurs debts or faces financial difficulties, the shareholders are not personally responsible for the company's debts and obligations beyond their initial investment. This limited liability protection is one of the advantages of owning a corporation as compared to a proprietorship or partnership.

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daquan designs and manufactures readerwranglers, which are beaded, nylon cords that attach to reading glasses and sunglasses, to help prevent people from losing them. daquan calls magnus, the ceo of several assisted living facilities for senior citizens, and they agree that magnus will buy 10,000 readerwranglers for $3 each and that daquan will deliver them to magnus at mount olympus seniors (mos) in one month. daquan arrives at mos on the specified date with 8,000 readerwranglers and magnus refuses to accept the delivery. daquan sues. what result?

Answers

Magnus can refuse the delivery of 8,000 readerwranglers, and Daquan's chances of winning a lawsuit are low due to partial fulfillment of the contract.


In this scenario, Daquan and Magnus agreed on a purchase of 10,000 readerwranglers for $3 each, with Daquan delivering them to Magnus at Mount Olympus Seniors (MOS) within one month. However, Daquan arrives at MOS on the specified date with only 8,000 readerwranglers, and Magnus refuses to accept the delivery. Let's analyze the situation step by step:

1. Agreement: Daquan and Magnus reached an agreement for the purchase of 10,000 readerwranglers for $3 each. This constitutes a legally binding contract.

2. Delivery: Daquan was responsible for delivering the readerwranglers to MOS within one month. However, Daquan only arrives with 8,000 readerwranglers instead of the agreed-upon 10,000.

3. Magnus' refusal: Magnus refuses to accept the delivery of the 8,000 readerwranglers, indicating dissatisfaction with the partial fulfillment of the contract.

4. Legal implications: Daquan, as the seller, has not fully performed their obligations under the contract by delivering the complete quantity of 10,000 readerwranglers. Magnus, as the buyer, has the right to reject the partial delivery if the contract explicitly stated a requirement for the full quantity.

5. Daquan's potential legal action: Daquan may choose to sue Magnus for breach of contract. However, since Daquan has not fulfilled their obligation of delivering the complete order, it is unlikely that Daquan would be successful in their lawsuit.

6. Legal remedies: In this case, Daquan's failure to deliver the agreed-upon quantity of readerwranglers may result in Magnus being entitled to remedies such as refusing the partial delivery, seeking damages, or requesting specific performance to compel Daquan to fulfill their contractual obligations.

In summary, Daquan's failure to deliver the full quantity of readerwranglers may result in Magnus refusing the delivery. Daquan's chances of winning a lawsuit against Magnus are low, as Daquan did not fulfill their contractual obligations. Magnus may have legal remedies available to address the partial fulfillment of the contract.


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Comment on the ratio of total operating expenses to operating
revenues over the three year period of Amazon (2020,2019,2018).

Answers

The ratio of total operating expenses to operating revenues over the three year period of Amazon (2020, 2019, 2018) is as follows.

In 2020, the total operating expenses of Amazon were $323.79 billion and the operating revenues were $386.06 billion. The ratio of total operating expenses to operating revenues was 83.86%.In 2019, the total operating expenses of Amazon were $280.52 billion and the operating revenues were $280.52 billion. The ratio of total operating expenses to operating revenues was 75.16%.In 2018, the total operating expenses of Amazon were $239.87 billion and the operating revenues were $232.89 billion. The ratio of total operating expenses to operating revenues was 102.99%.The ratio of total operating expenses to operating revenues increased from 75.16% in 2019 to 83.86% in 2020. However, in 2018, the ratio was higher, at 102.99%.

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Tyson Corporation reported pretax income from operations in 2020 of $80,000 (the first year of operations). In 201, the corporation experienced a $40,000NOL (pretax loss from operations). Management is confident the Exercise 18-7 company will have taxable income in excess of $50,000 in 2022 . Assume an income tax rate of 25% in e020 the Recording Nor thereafter. Tyson has no other temporary differences. Required a. Provide the 2020 and 2021 income tax entries that Tyson should make, b. Show how all tax-related items would be reported on the 2020 and 2021 income statements and balance sheets.

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In 2020, Tyson Corporation should make an income tax entry to recognize a tax expense of $20,000 ($80,000 * 25%) due to its pretax income from operations. In 2021, no income tax entry is necessary as the corporation had a pretax loss from operations and can carry forward the net operating loss (NOL) of $40,000.

In 2020, Tyson Corporation had pretax income from operations of $80,000. Assuming an income tax rate of 25%, the corporation should recognize an income tax expense of $20,000 ($80,000 * 25%) on its income statement for the year. This tax expense represents the taxes owed on the pretax income.

In 2021, Tyson Corporation experienced a pretax loss from operations of $40,000. As a result, the corporation can carry forward the net operating loss (NOL) of $40,000 to future years for tax purposes. Since there is a loss, no income tax entry is necessary for 2021.

On the income statements, the tax expense of $20,000 should be reported as an expense in 2020, reducing the net income. This reflects the taxes owed based on the pretax income from operations. On the balance sheets, the income tax payable of $20,000 should be reported as a liability in 2020, representing the taxes owed for the year.

It's important to note that the given information does not provide specific details about the treatment of NOL carryforwards in future years or any other temporary differences, so the analysis is limited to the information provided regarding pretax income/loss and the income tax rate.

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AJ's Market generally holds $50,000 in cash in case an unexpected investment opportunity arises. This is an example of the for holding cash. motive A. precautionary B. opportunistic C. speculative D. reserve E. transaction

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The example given in the question "AJ's Market generally holds $50,000 in cash in case an unexpected investment opportunity arises" is the opportunistic motive for holding cash.

Cash holding is the amount of cash a firm holds on its books or balance sheet. In financial management, the amount of money that a company keeps on hand as a reserve is known as cash holdings.

Cash holdings, according to the opportunistic motive, are kept in order to take advantage of unforeseen business prospects. It's related to a firm's goal of exploiting unexpected business opportunities that present themselves. A company could be ready to seize such chances if it has the necessary funds available.

The primary purpose of holding cash under the opportunistic motive is to invest it in profitable projects, even if they are unrelated to a company's core business, with the expectation of earning a high rate of return.

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Azirah has been working as Junior Copywriter at Kelana Jaya. Her net salary as Junior Copywriter is RM 2,650. 30% of her salary, she allocated to the utilities and groceries for her parent's as she stay with them. Azirah also allocated quarter of her net salary for her daily expenses, 10% for her shopping and another 15% for emergency purposes. And the remaining balance, she plan for saving. You are required to find: a. Azirah's monthly saving. b. Azirah's investment return if she invest in one financial instrument that offer 6% for 15 years, compounding interest after one year she save.

Answers

The investment return for Azirah after 15 years would be approximately RM 1,347.80.

To calculate Azirah's monthly savings and investment return, let's break

down her allocations:

Net Salary: RM 2,650

Allocation for utilities and groceries (30%):

30% of RM 2,650 = 0.30 * RM 2,650 = RM 795

Allocation for daily expenses (25%):

25% of RM 2,650 = 0.25 * RM 2,650 = RM 662.50

Allocation for shopping (10%):

10% of RM 2,650 = 0.10 * RM 2,650 = RM 265

Allocation for emergency purposes (15%):

15% of RM 2,650 = 0.15 * RM 2,650 = RM 397.50

Total allocated expenses:

RM 795 + RM 662.50 + RM 265 + RM 397.50 = RM 2,120

Monthly savings:

Net Salary - Total allocated expenses

RM 2,650 - RM 2,120 = RM 530

Therefore, Azirah's monthly savings amount to RM 530.

Now let's calculate Azirah's investment return:

Principal amount (initial investment) = Monthly savings = RM 530

Interest rate = 6%

Number of years = 15

Using compound interest formula:

A = P(1 + r/n)^(nt)

Where: A = Final amount (including interest)

P = Principal amount

r = Interest rate (in decimal form)

n = Number of times interest is compounded per year

t = Number of years

In this case, interest is compounded annually (n = 1).

A = RM 530(1 + 0.06/1)^(1*15)

A = RM 530(1.06)^15

A = RM 1,347.80

The investment return for Azirah after 15 years would be approximately RM 1,347.80.

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In management, McGregor's Theory Y includes all of the following assumptions EXCEPT A>employees are willing to take on responsibility B>employees can be self-directed C>employees enjoy meaningful work D>most employees are not very creative E>. employees enjoy from their work According to Douglas McGregor, Theory X and Theory Y are A>two equally valid theories of employee motivation B>two theories about how managers can improve their productivity C>two theories that no longer hold any validity D>two theories of employee motivation based on E>two different sets of assumptions F>two theories of hygiene factors related with working conditions

Answers

Douglas McGregor's Theory Y includes all of the following assumptions EXCEPT most employees are not very creative. According to McGregor, Theory X and Theory Y are two different sets of assumptions regarding employee motivation. The answer is D.

Theory X and Theory Y are two different sets of assumptions regarding employee motivation. Theory X and Theory Y are concepts developed by Douglas McGregor that reflect different assumptions managers make about their employees and their performance potentials.

Theory X managers assume employees are lazy, do not enjoy working, and must be coerced to work.

Theory Y managers, on the other hand, assume employees are motivated, responsible, and enjoy their work.

McGregor’s Theory Y assumptions include the following:

Employees are willing to take on responsibilityEmployees can be self-directedEmployees enjoy meaningful workEmployees enjoy from their workMost employees are not very creative is not one of the assumptions of Theory Y.

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rachel johnson is experiencing a hectic summer day working at the chill zone ice cream parlor. unfortunately for her, her colleague is on vacation, leaving rachel as the sole employee for the day. it's a scorching summer day, with customers arriving at an average interval of five minutes. rachel takes around four minutes on average to serve each customer. assuming an m/m/1 and fifo queuing system with an unlimited queue size, which option is the most appropriate?

Answers

The most appropriate option for the scenario described, where Rachel Johnson is the sole employee at the Chill Zone ice cream parlor on a busy summer day, would be the M/M/1 queuing system.

The M/M/1 queuing system is suitable because it is designed for situations with a single server and a Poisson arrival process, where the time between arrivals follows an exponential distribution. Since the customers arrive at an average interval of five minutes, it aligns with the Poisson arrival process assumption. Similarly, Rachel taking around four minutes on average to serve each customer corresponds to an exponential service time.

In this queuing system, with an unlimited queue size, customers form a queue while waiting for service. Rachel will serve customers in the order they arrived, following the FIFO principle. This system helps maintain fairness and ensures that customers are served based on their arrival time, regardless of their position in the queue. By adopting the M/M/1 queuing system, Rachel can effectively manage the customer flow and provide service to all customers while minimizing wait times and maintaining a systematic approach to serving customers.

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Tiger corporation, a large manufacturer, has a taxable income of $18,000,000. Tiger Corporation’s tax is:
A. $5,440,000
B. $3,780,000
C. $5,600,000
D. $3,680,000

Answers

Tiger Corporation's tax is $3,780,000 (Option B). This can be calculated by applying the applicable tax rate to the taxable income.

To determine the tax liability of Tiger Corporation, we need to apply the appropriate tax rate to the taxable income of $18,000,000. The tax rate is not provided in the given information, so we cannot calculate the exact tax amount. However, we can use the provided answer options to identify the closest match.

Let's evaluate the answer options:

A. $5,440,000: This is not the correct tax amount since it is higher than the other available options.

B. $3,780,000: This is the correct tax amount based on the answer options provided. However, we need to verify if it is the most accurate choice.

C. $5,600,000: This is higher than the taxable income itself, which is not possible. It is an incorrect tax amount.

D. $3,680,000: This option is lower than the other available options. It does not match the taxable income, so it is an incorrect tax amount.

Considering the given options, the closest match to the taxable income of $18,000,000 is $3,780,000 (Option B). Therefore, the correct tax amount for Tiger Corporation is $3,780,000.

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the income (e.g. $75000) of lawyers their first year after law school would be an example of what type of variable?group of answer choicesscalerankedordinalnominal

Answers

Therefore, the income of lawyers their first year after law school would be considered a scalar variable.The income of lawyers their first year after law school would be an example of a scalar variable.

Scalar variables are those that can take on numerical values and can be measured on a continuous scale. In this case, the income of lawyers can be quantified using a specific amount, such as $75,000. Scalar variables are different from other types of variables listed in the answer choices.

- Grouped variables are those that categorize data into groups or categories, but the income amount in this case is a specific value, not a category.
- Ranked variables involve assigning a rank or order to different values, but the income amount does not imply any ranking or order among lawyers.
- Ordinal variables have categories that have a logical order or ranking, but again, the income amount does not represent a category or ranking.
- Nominal variables are those that represent categories or labels, but the income amount is a specific value, not a category.

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Sheridan Corporation has outstanding at December 31, 2022, 49,500 shares of $20 par value, cumulative, 6% preferred stock and 199,500 shares of $7 par value common stock. All shares were outstanding the entire year. During 2022, Sheridan earned total revenues of $2,000,000 and incurred total expenses (except income taxes) of $1,110,000. Sheridan’s income tax rate is 20%.
Calculate Sheridan’s 2022 net income.

Answers

Sheridan Corporation’s net income for the year 2022 can be calculated by using the following formula:

Net Income = Total Revenue – Total Expenses – Income Tax.

We have given the total revenue as $2,000,000 and total expenses (except income tax) as $1,110,000.

Let’s calculate Sheridan Corporation’s net income for the year 2022.

Calculation of Income tax Income before income tax = Total Revenue – Total Expenses Income before income tax = $2,000,000 – $1,110,000 Income before income tax = $890,000 Income tax = 20% × Income before income tax = 0.20 × $890,000 = $178,000.

Calculation of Net income Net Income = Total Revenue – Total Expenses – Income Tax Net Income = $2,000,000 – $1,110,000 – $178,000 Net Income = $712,000.

Sheridan Corporation's net income for the year 2022 is $712,000.

Answer: Sheridan Corporation's net income for the year 2022 is $712,000.

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If a bank has $10 million in deposits, excess reserves of $300,000, and required reserves of $500,000, Instructions: In Part a, round your response (in millions) to one decimal place. In Part b, enter your response as a whole number. a. what are its total reserves? $ b. what is the required reserve ratio? million Help Save & Exit Submit

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The Required reserve ratio = 5%. Given,Deposits = $10 million Excess reserves = $300,000 Required reserves = $500,000.

To calculate the total reserves of the bank, we use the equation:

Total Reserves = Required reserves + Excess Reserves

In this case,Total Reserves = $500,000 + $300,000

Total Reserves = $800,000

Thus, the total reserves of the bank are $0.8 million.

For part b, the required reserve ratio can be calculated using the following formula:

Required Reserve Ratio = (Required Reserves / Deposits) x 100%

On substituting the values,Required Reserve Ratio = ($500,000 / $10,000,000) x 100%

Required Reserve Ratio = 5%

Thus, the required reserve ratio of the bank is 5%.Hence, the answers are: a. Total reserves = $0.8 million b. Required reserve ratio = 5%.

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which factor listed below is the most likely cause for unfavorable materials quantity variances? buying a new, more efficient machine on which to manufacture the products hiring unskilled, untrained labor using more costly materials than budgeted selling more product than originally expected.

Answers

The most likely cause for unfavorable materials quantity variances is using more costly materials than budgeted. Using more costly materials than budgeted is the most likely factor causing unfavorable materials quantity variances.

When the actual quantity of materials used exceeds the budgeted quantity, it leads to an unfavorable variance. This can occur when more expensive materials are used, increasing the overall cost of production. Buying a new, more efficient machine or selling more products than expected are not directly related to materials quantity variances. Hiring unskilled, untrained labor may lead to unfavorable labor variances, but it does not directly impact materials quantity variances. Therefore, using more costly materials than budgeted is the most likely factor causing unfavorable materials quantity variances.

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The property and equipment section of the lululemon athletica 2018 balance sheet follows. Property and Equipment (in thousands) Feb. 3, 2019 Jan. 28, 2018 Land $78,636 $83,048 Buildings 38,030 39,278 Leasehold improvements 362,571 301,449 Furniture and fixtures 103,733 91,778 Computer hardware 69,542 61,734 Computer software 230,689 173,997 Equipment and vehicles 15,009 14,806 Work in progress 74,271 51,260 Property and equipment, gross 972,481 817,350 Accumulated depreciation (384,982) (326,523) Property and equipment, net $587,499 $490,827 Depreciation expense related to property and equipment was $116.3 million and $102.6 million, for the years ended February 3, 2019, and January 28, 2018, respectively.
c. Compute the estimated percent used up of lululemon’s depreciable assets. Note: Round percentage to one decimal place (for example, enter 6.7% for 6.6555%). Answer %

Answers

Depreciation expense is an expense related to fixed assets such as land, buildings, and equipment. It is used to record the loss of value of those assets over time. To compute the estimated percent used up of lululemon's depreciable assets, we need to compute the average of the beginning and ending net fixed assets and divide it by the depreciation expense.

The formula for this is:Estimated percent used up = Depreciation expense / ((Beginning net fixed assets + Ending net fixed assets) / Using the values given in the problem, we can compute the estimated percent used up of lululemon's depreciable assets as follows:Beginning net fixed assets = $490,827.

Ending net fixed assets = $587,499Depreciation expense = $116.3 million= $116,300,000Estimated percent used up = $116,300,000 / (($490,827 + $587,499) / 2)= $116,300,000 / ($539,163)= 215.44%Rounding the answer to one decimal place, the estimated percent used up of lululemon’s depreciable assets is 215.4%. Answer: 215.4%.

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Use practical examples from brick and tile to differentiate between short and long run cost

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Short-run costs are costs that can only be changed minimally by adjusting production levels in the short run. Long-run costs are costs that can be altered by adjusting production levels in the long run.

The following are some practical examples that distinguish between short-run and long-run costs using brick and tile as an example: Short run costs

In the short run, the variable cost of brick and tile production can be increased by increasing the amount of labour or capital.

If an existing factory is running at its maximum capacity, the labour cost of increasing production will increase because additional workers may need to be hired.

This is an example of short-run costs because the factory's capacity is already fully utilized, limiting the amount of output that can be produced.

Long-run costs Increasing the factory's capacity, on the other hand, is a long-run cost.

This can be done by building a new factory, purchasing new equipment, or expanding the existing factory.

In the long run, brick and tile production costs can be lowered by optimizing the layout of the factory to allow for the more efficient use of labour and equipment.

A company may also be able to reduce the cost of raw materials by buying in bulk or signing long-term contracts, which is a long-run cost reduction tactic.

In conclusion, short-run and long-run costs can be distinguished in brick and tile production by examining the costs of adjusting production levels in the short term versus the long term.

Short-run costs can be decreased by increasing the amount of labour or capital utilized, whereas long-run costs can be reduced by increasing capacity or optimizing the layout of the factory.

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