A firm evaluates all of its projects by applying the IRR rule. Year Cash Flow 0 –$ 160,000 1 56,000 2 83,000 3 67,000 What is the project's IRR? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) Internal rate of return

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Answer 1

To calculate the project's IRR, we need to find the discount rate that equates the present value of the cash inflows to the initial investment.

In other words, we need to solve for the rate that makes the net present value (NPV) of the project equal to zero.Using the given cash flows, we can calculate the NPV of the project at different discount rates. For example, if we use a discount rate of 10%, the NPV of the project is:
NPV = -160,000 + 56,000/(1+0.1)^1 + 83,000/(1+0.1)^2 + 67,000/(1+0.1)^3
NPV = -160,000 + 50,909.09 + 68,181.82 + 49,667.78
NPV = 8,758.69
We can continue this process for different discount rates until we find the rate that makes the NPV equal to zero. Using Excel or a financial calculator, we can use the IRR function to solve for the rate directly. Alternatively, we can use trial and error to find the rate that makes the NPV closest to zero.
In this case, the project's IRR is approximately 18.43%. This means that the project's expected rate of return is 18.43%, which is higher than the firm's required rate of return. Therefore, the project would be considered acceptable under the IRR rule.

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Related Questions

3. This question considers how the FX market will respond to changes in monetary policy. For these questions, define the exchange rate as South Korean won per Japanese yen, Ewon/x. Use the FX and money market diagrams to answer the following questions. On all graphs label the initial point A

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An increase in the Bank of Korea's money supply leads to a short-run depreciation and long-run appreciation of the South Korean won.

When the Bank of Korea increases the money supply, it shifts the supply of South Korean won in the FX market to the right. In the short run, this leads to an excess supply of won, causing its value to depreciate relative to the Japanese yen (labelled as point B). However, in the long run, the increased money supply creates inflationary pressures, causing the demand for money to rise.

As a result, the money demand curve shifts to the right, increasing the interest rate. This higher interest rate attracts foreign capital, leading to an increased demand for South Korean won and an appreciation of its value (labelled as point C). Therefore, the initial depreciation in the short run is eventually offset by the appreciation in the long run due to the impact of inflation and interest rates.

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The question is inappropriate, the complete question is:

This question considers how the FX market will respond to changes in monetary policy. For these questions, define the exchange rate as South Korean won per Japanese yen, Ewon/*. Use the FX and money market diagrams to answer the following questions. On all graphs, label the initial equilibrium point A.

a. Suppose the Bank of Korea permanently increases its money supply. Illustrate the short-run (label the equilibrium point B) and long-run effects (label the equilibrium point C) of this policy.

Lacie Plc will require various additional machinery and equipment once the new factory has been acquired. For part of its manufacturing operations a specific machine is necessary and two such machines have been identified for possible investment: Machine 1 Machine 2 £ £ 1,240,000 1,200,000 Original investment required Estimated future cash flows: Year 1 216,400 412,800 Year 2 360,000 412,800 Year 3 504,000 316,800 Year 4 648,000 292,800 Year 5 235,200 340,800 Estimated residual value 144,000 96,000 The company requires a return of 14% on their investment. The present value of £1 received at the end of 'n' years, given a 14% and 24% rates of interest is as follows: 14% 24% Year 1 0.877 0.806 Year 2 0.769 0.650 Year 3 0.675 0.524 Year 4 0.592 0.423 Year 5 0.519 0.341 Required: a. Calculate for both machines: I. The Payback Period. II. The Net Present Value at 14% discount rate. The Internal Rate of Return, using the method of interpolation (30 marks) b. From your calculations which machine should Joey Plc select and why? (10 marks) C. Discuss the advantages and disadvantages of the three investment techniques you have used in your appraisal of the two machines. (10 marks)

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Based on the calculations, a recommendation can be made regarding which machine Joey Plc should select. Furthermore, the advantages and disadvantages of the three investment techniques are discussed.

To calculate the payback period, the cumulative cash flows are determined until the point when the initial investment is recovered. The machine with the shorter payback period is generally considered more favorable as it recovers the investment faster.

The net present value is computed by discounting the future cash flows using a 14% discount rate and subtracting the initial investment. A positive NPV indicates profitability, while a negative NPV suggests a potential loss.

The internal rate of return is found by determining the discount rate that makes the NPV zero. Interpolation is used to estimate this rate.

After performing these calculations for both machines, a comparison is made to determine the more favorable option based on the payback period, NPV, and IRR.

In the discussion of the advantages and disadvantages of the three investment techniques, the strengths and limitations of each method are evaluated. This includes considering factors such as simplicity, time value of money, risk assessment, and decision-making criteria.

By considering the results of the calculations and weighing the advantages and disadvantages, a recommendation can be made regarding which machine Joey Plc should select for investment.

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From 2009 to 2010, nominal gross domestic product (GDP) in the United States grew by 4 percent. Given that the population grew by 1 percent and price level grew by 1.8 percent, calculate the growth rate of real GDP per capita. Answer: The growth rate of real GDP per capita = %

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To calculate the growth rate of real GDP per capita, we need to consider the changes in nominal GDP, population, and the price level.

The growth rate of real GDP per capita can be calculated using the following formula:

Growth rate of real GDP per capita = Growth rate of nominal GDP - Growth rate of population

Given that the nominal GDP grew by 4 percent and the population grew by 1 percent, we can substitute these values into the formula:

Growth rate of real GDP per capita = 4% - 1% = 3%

However, we also need to consider the change in the price level. As the price level grew by 1.8 percent, we need to adjust the calculation accordingly:

Growth rate of real GDP per capita = Growth rate of nominal GDP - Growth rate of population - Inflation rate

Growth rate of real GDP per capita = 4% - 1% - 1.8% = 1.2%

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Write a page beginning with the following statements:

"Although before this class I believed . . . . , in fact . . . . "

1. Explain why you or others could believe the idea was correct
2. Explain carefully why the idea is incorrect
3. Explain why it is important that we understand the idea correctly
4. Finally, explain why misunderstanding the concept leads to a problem that is resolved if we understand the concept correctly.

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Although before this class I believed that success was solely determined by innate talent and abilities, in fact, I have come to understand that hard work and perseverance play a crucial role in achieving success.

1. Many people, including myself, could believe in the idea that success is determined by innate talent and abilities due to societal narratives and cultural beliefs. We often hear stories of individuals who seem to possess exceptional skills from a young age or are born into talented families, which reinforces the notion that success is predetermined.

2. However, the idea that success is solely determined by innate talent is incorrect. Research has shown that hard work, determination, and deliberate practice are significant factors in achieving expertise and success in various fields. Natural abilities may provide a foundation, but without consistent effort and dedication, talent alone is not sufficient to excel.

3. It is important that we understand the idea correctly because it affects our mindset and approach toward personal and professional growth. Believing in the myth of innate talent can lead to a fixed mindset, where individuals feel limited by their perceived lack of inherent abilities. Recognizing the importance of hard work and perseverance encourages a growth mindset, empowering individuals to develop their skills and reach their full potential.

4. Misunderstanding the concept of success based on innate talent can lead to a problem of limiting oneself or others based on predetermined notions. It can discourage individuals from pursuing their passions or exploring new opportunities, assuming they do not possess the inherent talent required. However, understanding that success is attainable through hard work and dedication opens up possibilities and motivates individuals to strive for excellence. Embracing this perspective fosters a culture of resilience, learning, and continuous improvement, ultimately leading to personal growth, innovation, and societal progress.

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In the analysis of the optimal level of a public good, suppose that each person's utility function is quasilinear: Ui(G) + Pi. Show that the optimal G is unique and independent of P1 and P2 if society has adequate resources. (Hint: See Solved Problem 17.3.)

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In the analysis of the optimal level of a public good, if society has adequate resources and each person's utility function is quasilinear, the optimal G is unique and independent of P1 and P2. Therefore the optimal level of G is G* = C/(b1 + b2), which is independent of P1 and P2.

Quasilinear utility functions are defined as utility functions in which income appears linearly in the equation. In other words, the more a consumer makes, the more they are willing to pay for the public good. A public good is a good that is available to everyone and cannot be denied to anyone who is willing to pay for it.

The optimal G is independent of P1 and P2 if each person's utility function is quasilinear and society has sufficient resources. As a result, the optimal G is determined solely by the total utility function U = U1 + U2 +...+ Un, where n is the total number of people in society.

In other words, the optimal level of G can be found by setting the marginal cost of G equal to the marginal benefit of G. The marginal cost of G is equal to the total cost of G divided by the number of people in society. The marginal benefit of G is equal to the sum of each person's marginal benefit.For example, suppose that there are only two people in society, and each has a quasilinear utility function of the form U1(G) = a1 + b1G and U2(G) = a2 + b2G.

The total utility function is then U(G) = a1 + b1G + a2 + b2G.The marginal benefit of G for each person is given by the first derivative of their utility function with respect to G. Therefore, the marginal benefit for person 1 is b1, and the marginal benefit for person 2 is b2.The marginal cost of G is the total cost of G divided by the number of people in society. The total cost of G is simply the cost of producing G. If G is a public good, however, the cost of producing it is shared by everyone in society.

Therefore, the marginal cost of G is equal to the total cost of G divided by the number of people in society, which is equal to the total cost of G.Since the marginal cost of G is equal to the marginal benefit of G, we can set them equal to each other and solve for G. We obtain the following: b1 + b2 = C/G, where C is the total cost of producing G. Therefore, the optimal level of G is G* = C/(b1 + b2), which is independent of P1 and P2.

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Sheffield Corp. is planning to sell 600 boxes of ceramic tile with production estimated at 770 boxes during May. Each box of tile requires 44 pounds of day mix and a 0.25 hour of direct labor. Clay mix costs $0,40 per pound and employees of the company are paid 516 per hour. Manufacturing overhead is applied at a rate of 110% of direct labor costs. Sheffield hos 4600 pounds of clay mix in beginning inventory and wants to have 4100 poundsin ending inventory What is the total amount to be budgeted for manufacturing overhead for the month O $10560 O $13552 $2640 O $3388 < Question 15 of 30 > -12 E View Policies Current Attempt in Progress Waterway Industries is planning to sell 1300 boxes of ceramic tile, with production estimated at 1270 boxes during May. Each box of tile requires 40 pounds of clay mix and a 0.25 hour of direct labor. Clay mix costs $0.30 per pound and employees of the company are paid $11 per hour Manufacturing overhead is applied at a rate of 110% of direct labor costs. Waterway has 3600 pounds of clay mix in beginning inventory and wants to have 4900 poundsin ending inventory What is the total amount to be budgeted for direct labor for the month? $3493 O $13972 O $55888 $3575

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To calculate the total amount to be budgeted for direct labor for the month, we need to determine the direct labor cost per box of ceramic tile and then multiply it by the estimated production.

Given information:

Production estimated: 1270 boxes

Each box requires 0.25 hours of direct labor

Employees are paid $11 per hour

Calculate the total direct labor cost per box:

Direct labor cost per box = Direct labor rate per hour × Direct labor hours per box

Direct labor cost per box = $11 × 0.25 = $2.75

Calculate the total direct labor cost for the estimated production:

Total direct labor cost = Direct labor cost per box × Estimated production

Total direct labor cost = $2.75 × 1270 = $3,492.50

Therefore, the total amount to be budgeted for direct labor for the month is $3,492.50.

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Question 3
(a) Following through from Question 2. As a result of the supply chain disruption caused by the Covid-19 pandemic, the organisation may need to re-examine the current supplier performance measurement system.
Compose an argument for the importance of a well design Supplier Performance Measurement system for the organisation.
Note that Question 3(b) does not refer to the organisation for Questions 1(b), 2 and 3(a), but it refers to the general application of the concept of Supplier Development.
Imagine that a company found that several of their long-term suppliers were not meeting the agreed performance targets. Those have been historically key suppliers which had been in the supplier base since the inception of the company. These suppliers have literally grown their business in tandem with the company’s own growth. Now, the management wants to embark on a supplier development programme to raise these key suppliers’ performance to the next level.
Propose how the ‘supplier willingness’ should be assessed to implement supplier development programme for these long-time suppliers

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(a) A well-designed supplier performance measurement system is crucial for any organization that aims to remain competitive. It allows the organization to evaluate supplier performance in a structured and objective manner, providing visibility into supplier performance and the opportunity to identify areas of improvement.

Furthermore, a well-designed supplier performance measurement system promotes accountability, enabling suppliers to understand the standards they must meet and how they will be measured. This, in turn, fosters a culture of continuous improvement and encourages suppliers to strive for excellence.

(b) The supplier willingness should be assessed in the following ways to implement a supplier development programme for these long-time suppliers:

Assessing the supplier's financial stability, as suppliers that are financially sound are more likely to be willing to invest in improving their performance. Additionally, conducting interviews with key supplier personnel to assess their willingness to participate in the supplier development programme may also help assess their willingness. Incentivizing suppliers that are willing to participate in the supplier development programme by offering performance-based incentives, such as discounts or preferred supplier status, may also increase supplier willingness.

Lastly, the supplier development programme's goals and benefits should be clearly communicated to suppliers to improve their understanding of the programme and how it will benefit both the organization and suppliers.

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If your external reinvestment rate is 4.50%, determine the external rate of return for the investment opportunity summarized below. Time Amount 0 You pay 10,000 pesos Year CHEGGSTYY THIS of each year ESTION You received 63,000 pesos at the end End of Year 9 You pay 225,000 pesos Years 11-19 You receive 85,000 pesos at the end of each year End of Year 21 You pay 50,000 pesos End of Year 24 You receive 175,000 pesos.

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To determine the external rate of return for the investment opportunity, we need to calculate the present value of cash inflows and outflows at a discount rate of 4.50%.

To calculate the external rate of return, we need to discount the cash flows to their present values and equate the sum of present values to the initial payment. The discount rate is given as 4.50%.

The cash flows can be summarized as follows:

Time 0: You pay 10,000 pesos (outflow)

End of Year 9: You receive 63,000 pesos (inflow)

End of Year 11-19: You receive 85,000 pesos each year (inflow)

End of Year 21: You pay 50,000 pesos (outflow)

End of Year 24: You receive 175,000 pesos (inflow)

To calculate the present value of each cash flow, we use the discount rate of 4.50%. Once we have the present value of each cash flow, we sum them up.

By comparing the sum of the present values with the initial payment of 10,000 pesos, we can determine if the investment opportunity provides a positive or negative external rate of return. If the sum is higher than the initial payment, the external rate of return is positive, indicating a profitable investment. If the sum is lower, the external rate of return is negative, indicating a loss.

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Bucher Credit Bank is offering 6.8 percent compounded daily on its savings accounts. Assume that you deposit $6,500 today.
How much will you have in the account in 3 years? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16. Use 365 days in a year.)
Future value $
How much will you have in the account in 6 years? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16. Use 365 days in a year.)
Future value $
How much will you have in the account in 12 years? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16. Use 365 days in a year.)
Future value $

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Bucher Credit Bank is offering 6.8 percent compounded daily on its savings accounts and assume that you deposit $6,500 today. The future value of the deposited amount in the account after 3 years is $8017.41, after 6 years is $9827.03 and after 12 years is $15510.49.

Using the compound interest formula = PV * (1 + r/n)^(n*t)

Where, FV is the future value PV is the present value, which is $6,500r is the interest rate in decimal formn is the number of times the interest is compounded per year, which is 365t is the time in years (1 + r/n) = (1 + 0.068/365) = 1.00018630.

1. FV in 3 years; FV = PV * (1 + r/n)^ (n*t) FV = 6500 * (1.000186301) ^(365*3)FV = 6500 * (1.000186301) ^1095FV = 6500 * 1.232686954 FV = $8017.41 (rounded to two decimal places)

2. FV in 6 years;FV = PV * (1 + r/n)^(n*t)FV = 6500 * (1.000186301)^(365*6)FV = 6500 * (1.000186301)^2190FV = 6500 * 1.510850159FV = $9827.03 (rounded to two decimal places)

3. FV in 12 years;FV = PV * (1 + r/n)^(n*t)FV = 6500 * (1.000186301)^(365*12)FV = 6500 * (1.000186301)^4380FV = 6500 * 2.384691495FV = $15510.49 (rounded to two decimal places).

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Check My Work eBook Problem 7-06 A widow currently has a $89,000 investment that yields 7 percent annually. Can she withdraw $11,000 for the next fifteen years? Use Appendix D to answer the question.

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The future value of the investment after fifteen years is approximately $264,052.95.

To determine if the widow can withdraw $11,000 for the next fifteen years from her $89,000 investment .

yielding 7 percent annually, we need to calculate the future value of the investment and see if it is greater than or equal to $11,000 per year for fifteen years.

First, let's calculate the future value of the investment after fifteen years using the compound interest formula:

Future Value = Present Value * (1 + Interest Rate)^Number of Years

Present Value = $89,000

Interest Rate = 7% = 0.07

Number of Years = 15

Future Value = $89,000 * (1 + 0.07)¹⁵

Using Appendix D, which provides the future value of $1 for various interest rates and time periods, we can find the factor for (1 + 0.07)¹⁵.

Looking up the factor for 7% for 15 years in Appendix D, we find the value to be 2.9655.

Now, let's calculate the future value:

Future Value = $89,000 * 2.9655

Future Value = $264,052

Since the future value is greater than $11,000 per year for fifteen years, the widow can withdraw $11,000 annually from her investment.

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Your company is in the process of adding a new line for making a new product. The fixed cost for this new line is $21,000 and the variable cost is $50 for each unit. The unit sales price is expected to decrease with an increase in the number sold so that if you sell x units, each unit will sell for a price of p= (- $0.50)(x)+$300. For example if we make and sell only ten part it will cost $21,500 and will sell for a total of $2950 and the company loses $18,550. Showing all your work, determine: a. The minimum and maximum number of parts to break even: Total Revenue = Total Cost. I b. The number of parts the company should make to gain the maximum possible possible profit, and the amount of this maximum profit. c. The profit to be made if your company plans to maximize the revenue received from the sales of this product.

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a. Determine minimum and maximum break-even units.

b. Find optimal production for maximum profit.

c. Calculate profit from revenue maximization.

To determine the minimum and maximum break-even units, we need to equate the total revenue with the total cost. The total cost includes both fixed cost and variable cost per unit. Let's denote the number of units as x. The total revenue is given by the equation p(x) * x, where p(x) represents the unit sales price as a function of x. The total cost is equal to the fixed cost plus the variable cost per unit multiplied by the number of units. By setting the total revenue equal to the total cost, we can solve for the values of x that make the equation true. The minimum break-even units will be the smallest positive integer solution, while the maximum break-even units will be the largest positive integer solution.

To find the number of parts the company should make to maximize profit, we need to consider the relationship between profit and production quantity. Profit is calculated by subtracting the total cost from the total revenue. By analyzing the profit function, we can identify the production level that yields the maximum profit. The amount of this maximum profit can be determined by substituting the optimal production quantity into the profit function.

If the company plans to maximize revenue from the sales of this product, the profit can be calculated by subtracting the total cost from the total revenue at the revenue-maximizing production level. The revenue-maximizing production level can be determined by analyzing the relationship between production quantity and unit sales price. By identifying the production quantity that corresponds to the highest unit sales price, we can calculate the revenue and subtract the total cost to obtain the profit.

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What is the interest earned in a savings account after 12 months on the balance of $1000 if the interest rate is 1% APY compounded yearly

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The the interest earned in a savings account after 12 months on a balance of $1000, with a 1% APY compounded yearly, is $10.

How to calculate the interest earned in a savings account

Using the formula for compound interest:

A = P(1 + r/n)^(n*t)

Given:

P = $1000

r = 0.01 (1% in decimal form)

n = 1 (compounded yearly)

t = 1 year

Substituting the values into the formula:

A = 1000(1 + 0.01/1)^(1*1)

A = 1000(1.01)^1

A = 1000(1.01)

A = 1010

The final amount after 12 months is $1010.

To find the interest earned, we subtract the initial balance from the final amount:

Interest earned = A - P

Interest earned = $1010 - $1000

Interest earned = $10

Therefore, the interest earned in a savings account after 12 months on a balance of $1000, with a 1% APY compounded yearly, is $10.

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1. Review the following game below. Offer Offer Lo-Profile Tires Sunroof Moto Corp. Offer CD Changer 40, 400 100, 200 Offer Free Maintenance 0,300 160, 120 (a) When Moto Corp. offers Free Maintenance,

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When Moto Corp. offers Free Maintenance, the long answer is that it is a tempting offer that could potentially sway customers towards choosing Moto Corp. over competitors. However, it is important to weigh the value of the free maintenance against the value of the other offers.

if a customer values a sunroof or CD changer more than free maintenance, they may choose a different option. Additionally, the long answer involves considering the potential cost savings for the customer in the long run if they choose the free maintenance offer. Overall, the decision ultimately depends on the individual customer's priorities and needs. Based on the provided game, when Moto Corp. offers Free Maintenance, Lo-Profile Tires, and Sunroof, the possible outcomes for both parties can be found in the matrix. Here's a step-by-step explanation:

Identify the Moto Corp. offer: Free Maintenance Locate the row corresponding to Free Maintenance in the matrix, which is the second row.  In that row, there are two outcomes: (0, 300) and (160, 120).  The first outcome (0, 300) corresponds to Lo-Profile Tires offer, and the second outcome (160, 120) corresponds to Sunroof offer.So, when Moto Corp. offers Free Maintenance, the outcomes are (0, 300) for Lo-Profile Tires offer and (160, 120) for Sunroof offer.

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State the potential effects of AIS on the cost of goods sold of the company with any two examples.kindly Mention all references used in this question Answer.

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The implementation of an Accounting Information System (AIS) can have several potential effects on the cost of goods sold (COGS) of a company. Two examples of these effects include improved inventory management and more accurate cost allocation.

Improved Inventory Management: An AIS can enhance inventory management practices, leading to a more efficient control over inventory levels and reducing the risk of stockouts or overstocking. By integrating inventory data with sales and production information, an AIS can provide real-time updates on inventory levels, reorder points, and lead times. This enables the company to optimize inventory levels, avoid unnecessary carrying costs, and minimize the risk of stock obsolescence. As a result, the cost of goods sold can be reduced by avoiding excessive inventory carrying costs and potential losses from obsolete or expired inventory.More Accurate Cost Allocation: An AIS can improve the accuracy of cost allocation methods used in determining the cost of goods sold. By capturing and processing data related to various cost components such as direct materials, direct labor, and manufacturing overhead, an AIS can provide a more precise calculation of the cost of each unit produced. This allows for more accurate allocation of costs to individual products or inventory items based on their actual usage of resources. As a result, the cost of goods sold can be calculated more accurately, reflecting the true cost incurred in the production of each item.

The implementation of an AIS can have a positive impact on the cost of goods sold of a company. Improved inventory management and more accurate cost allocation are two examples of how an AIS can contribute to reducing the cost of goods sold. By optimizing inventory levels and accurately allocating costs, a company can enhance its profitability and operational efficiency.

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The Federal Budget 2022-23 has halved the excise tax for the next six months on petroleum from 44 cents per litre to reduce the cost of living. Using an appropriate diagram, explain the effect of the cut in excise tax on output, employment, and price level

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The cut in excise tax on petroleum is likely to increase output and employment in the petroleum industry, while reducing the price level for consumer.

Consumer refer to individuals or households who purchase goods and services for personal consumption. In the context of the Federal Budget, "consumers" are the general population who buy petroleum products, such as gasoline or diesel fuel, for their personal use. The reduction in excise tax on petroleum aims to benefit these consumers by lowering the price level of petroleum products, thereby reducing their expenses and potentially improving their overall cost of living.

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Why might both management and a union agree to the last chance
agreement?
Explain the typical grievance process.
What are the advantages and disadvantages of grievance
mediation?
Why is the progressiv

Answers

Both management and a union might agree to the last chance agreement for different reasons. Management might do so because it could help them avoid expensive and time-consuming lawsuits.

On the other hand, a union might agree to it to save the job of an employee who would otherwise lose it. It is common for a last chance agreement to be used to settle disciplinary disputes where the employee's behavior is considered serious enough to warrant termination, but the union believes that the employee should be given a second chance.The typical grievance process is as follows: Employee presents the complaint to the supervisor in the workplace. Supervisor answers within a specified time, usually within a week.If not resolved, the complaint is passed on to higher management levels with responses given at each level. A meeting is arranged between the union and management to discuss the grievance. If not resolved, an arbitrator or mediation services may be used to assist in resolving the dispute.The advantages of grievance mediation include resolving issues quickly and efficiently, saving time and resources, and ensuring that both parties get to air their grievances in a neutral and fair setting. The disadvantage is that the mediator is not a decision-maker, and the solution might not be satisfactory to either party. Progressive discipline is a process of increasing the severity of disciplinary action against an employee who continues to violate company policies or perform poorly despite being warned. The goal of progressive discipline is to help employees improve their performance and behavior rather than to punish them. The employer must first issue verbal warnings, then written warnings, then suspension, and finally termination if the behavior is not corrected.

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Bill Clinton reportedly was paid $15.0 million to write his book My Life. The book took three years to write. In the time he spent writing, Clinton could have been paid to make speeches. Given his popularity, assume that he could earn $8.7 million per year (paid at the end of the year) speaking instead of writing. Assume his cost of capital is 10.5% per year. a. What is the NPV of agreeing to write the book (ignoring any royalty payments)? b. Assume that, once the book is finished, it is expected to generate royalties of $5.4 million in the first year (paid at the end of the year) and these royalties are expected to decrease at a rate of 30% per year in perpetuity. What is the NPV of the book with the royalty payments? a. What is the NPV of agreeing to write the book (ignoring any royalty payments)? The NPV of agreeing to write the book (ignoring any royalty payments) is $ (Round to the nearest dollar.)

Answers

The NPV of agreeing to write the book (without considering royalty payments) is -$4.222 million. To calculate the NPV (Net Present Value) of agreeing to write the book without considering royalty payments, we need to compare the present value of the cash flows associated with writing the book to the cost of capital.

Given information:

- Book advance: $15.0 million

- Time spent writing: 3 years

- Opportunity cost (earnings from speaking): $8.7 million per year

- Cost of capital: 10.5% per year

First, let's calculate the earnings from speaking over the three years:

Earnings from speaking = $8.7 million/year * 3 years = $26.1 million

Next, let's calculate the present value of the earnings from speaking:

PV of earnings from speaking = $26.1 million / (1 + 0.105)^3 = $19.222 million

Now, let's calculate the NPV of agreeing to write the book:

NPV = Book advance - PV of earnings from speaking

NPV = $15.0 million - $19.222 million = -$4.222 million

Therefore, the NPV of agreeing to write the book (without considering royalty payments) is -$4.222 million.

Note: A negative NPV indicates that the investment (writing the book) is not financially favorable when compared to the opportunity cost (earnings from speaking).

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Palvest Company's ledger shows the following balances on December 31, 2020. 6% Preferred stock, $100 par value, outstanding 20,000 shares Common stock, $10 par value, Issued 300,000 shares Retained earnings $2,000,000 3,000,000 1,000,000 Required Assuming that the directors decide to declare total cash dividends in the amount of $810,000, use the following table to determine how much each class of stock should receive under each of the assumptions stated below. Three years' dividends are in arrears on the preferred stock.

Answers

$20,625 for preferred stockholders and $309,375 for common stockholders.

Palvest Company's ledger shows the following balances on December 31, 2020:Common stock, $10 par value, Issued 300,000 shares6% Preferred stock, $100 par value, outstanding 20,000 shares

Retained earnings

$2,000,000

3,000,000

1,000,000

Assuming that the directors decide to declare total cash dividends in the amount of $810,000 and the three years' dividends are in arrears on the preferred stock, how much each class of stock should receive under each of the assumptions stated below.

The first assumption is to pay the preferred dividend in full and distribute the balance of the dividends on a pro-rata basis. The second assumption is to pay the preferred dividend in full and then pay $1 per share on the common stock.Preferred dividend in full $20,000 x $100 x 6% = $120,000.Dividends in arrears 20,000 x $100 x 6% x 3 = $360,000.Total preferred dividends = $480,000.Balance for common stockholders $810,000 - $480,000 = $330,000.Total shares outstanding are 300,000 + 20,000 = 320,000 shares.(i) Under the first assumption, Preferred stock will receive $480,000 as follows:$120,000 (current year's preferred dividend) + $360,000 (dividends in arrears).The remaining amount of $330,000 is shared between preferred and common stocks according to the pro-rata basis.Pro-rata distribution:$330,000 x 20,000/320,000 = $20,625 for the preferred stockholders.$330,000 x 300,000/320,000 = $309,375 for common stockholders.(ii) Under the second assumption, Preferred stock will receive $480,000 as follows:$120,000 (current year's preferred dividend) + $360,000 (dividends in arrears).The remaining balance is $330,000, which will be distributed to common stockholders only.$330,000 / 300,000 common shares = $1.10 per share.

Hence, under the given assumptions, each class of stock should receive:$20,625 for preferred stockholders and $309,375 for common stockholders.

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Describe international issues that the private military security
industry encounters and identify some of the global agencies that
help regulate the international private security industry

Answers

The private military security industry, which consists of companies providing military and security services, encounters a number of international challenges. Private military companies (PMCs) have often been accused of human rights abuses and contributing to the conflict. In addition, PMCs have been known to operate in a legal grey zone, as their activities can be viewed as a challenge to state sovereignty and a risk to global peace. As a result, a number of global organizations and initiatives have been established to regulate the international private security industry.

Global agencies that regulate international private security industry. 1. International Code of Conduct for Private Security Service Providers Association (ICoCA). The ICoCA was established in Switzerland in 2010 to promote responsible business conduct, transparency, and compliance in the private security industry.  ICoCA sets out a set of human rights-based principles that private security companies must adhere to. These principles aim to protect human rights, prevent human rights violations, and provide accountability and remedy for victims of abuse.2. Montreux Document. The Montreux Document is an international agreement signed by governments and private security companies in 2008 to regulate the private security industry. The document outlines best practices for the use of force, detention, and the protection of human rights. It also outlines the responsibilities of private security companies to provide training and ensure that their employees abide by international law.3. UN Working Group on the Use of Mercenaries. The United Nations Working Group on the Use of Mercenaries was established in 2005 to address the challenges posed by the use of private security companies in armed conflicts. The working group aims to raise awareness of the dangers of mercenary activity, encourage states to regulate the industry, and provide guidance to the private security industry on best practices. The group also monitors the implementation of the Montreux Document and other international agreements related to private security.

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Discuss the reasons for 2008 Global Mortgage Crisis.
Please limit your report to no more than 300 words in
total.

Answers

The global mortgage crisis of 2008 occurred due to various factors. It was a result of a combination of an array of factors such as financial, political, and economic reasons. The event resulted in a worldwide recession, and it took years for the world's economy to recover.

Below are some of the reasons for the 2008 Global Mortgage Crisis:

1.Subprime Mortgage: A subprime mortgage is a loan offered to borrowers with low credit scores or a high risk of default. It offered loans to individuals who could not repay them back due to low creditworthiness.

2. Greed and Corruption: Mortgage lenders acted out of greed. They granted mortgages without checking creditworthiness. Furthermore, mortgage brokers offered subprime mortgages to borrowers, resulting in the borrowers being trapped with high-interest rates.

3. Credit Default Swaps: Credit Default Swaps (CDS) are complex financial instruments that act as insurance for the lender. It means that a borrower defaults on a loan. However, the lenders did not have enough money to compensate for the losses when the borrowers defaulted.

4. Housing Bubble: The housing bubble refers to the rise in property prices in the United States from 2000 to 2006. Lenders offered high-value mortgages to borrowers, which led to a rise in housing prices. Eventually, the housing prices grew more than the actual value of the houses. As a result, homeowners defaulted on their loans, leading to the mortgage crisis.

5. Lack of Government Regulation: The US government did not regulate the mortgage sector. It meant that the lenders acted out of greed, resulting in a lack of responsibility. Moreover, the government did not regulate the CDS market, which worsened the situation.The 2008 global mortgage crisis caused a worldwide recession that affected every sector of the economy. It shows that the greed and corruption of the market are detrimental to society and economies.

A fair system and government regulation are necessary for a stable economy. The crisis led to changes in the regulatory framework, and banks have implemented measures to prevent a repeat of the 2008 global mortgage crisis.

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compute the future value of a $180 cash flow for the following combinations of rates and times. (do not round intermediate calculations. round your answers to 2 decimal places.)

Answers

To compute the future value of a $180 cash flow for the given combination of rates and times, we get the future value as  $198.28

Here are the calculations you would need to make to compute the future value of a $180 cash flow for the following combinations of rates and times:

1. 5% annual rate, 10 years:
Future Value = $180 x (1 + 0.05)^10 = $295.85

2. 8% annual rate, 5 years:
Future Value = $180 x (1 + 0.08)^5 = $249.57

3. 6% semi-annual rate, 6 years (12 periods):
Future Value = $180 x (1 + 0.06/2)^(6*2) = $267.10

4. 4% quarterly rate, 2 years (8 periods):
Future Value = $180 x (1 + 0.04/4)^(2*4) = $198.28

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what is the outcome of this mutation with regard to the ultimate protein that will form from this sequence?

Answers

The outcome of a mutation with regard to the ultimate protein that will form from this sequence can be beneficial, harmful, or have no effect.

Mutations are changes that occur in the DNA sequence of an organism. The mutation can affect the genetic material in different ways, including by altering, deleting, or inserting a nucleotide. The ultimate protein that will form from this sequence is affected by this mutation.In molecular biology, a protein is a polymer molecule that is made up of amino acids joined by peptide bonds. Proteins are responsible for numerous functions in the body, including catalyzing metabolic reactions, transmitting signals throughout the body, and providing structural support.The mutation can have different outcomes with regard to the ultimate protein that will form from this sequence. Some mutations can be beneficial, while others can be harmful or have no effect. When a mutation occurs in the DNA sequence of a gene, it can affect the protein that the gene codes for. The effect of the mutation on the protein can depend on the type of mutation that occurs.For instance, a silent mutation has no effect on the protein because it codes for the same amino acid as the original sequence. On the other hand, a missense mutation can lead to a change in the amino acid sequence of the protein. If the amino acid is an important part of the protein's structure, the mutation can affect the protein's function. Therefore, the outcome of a mutation with regard to the ultimate protein that will form from this sequence can be beneficial, harmful, or have no effect.

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JAR-927 tour company uses two measures of activity, routes and passengers in its cost formulas used for budgeting and performance evaluation. The cost formula for tour operating costs is $56,860 per month plus $2,884 per route plus $14 per passenger. The company expected in August to perform 86 routes and serve 255 passengers, but the actual activity was 94 routes and 265 passengers. The actual tour operating costs in August was $305,100. The spending variance for tour operating costs in August would be closest to: Multiple Choice. a.$3,354 Favorable. b. $26,566 Favorable. c. $3,354 Unfavorable. d. $23,212 Favorable. e.$26.566 Unfavorable

Answers

The spending variance for tour operating costs in August would be closest to option e. $26,566 Unfavorable.

The spending variance for tour operating costs in August can be calculated by comparing the actual costs with the expected costs based on the budgeted activity levels.

The cost formula for tour operating costs consists of a fixed cost component of $56,860 per month, a variable cost component of $2,884 per route, and another variable cost component of $14 per passenger.

Based on the expected activity levels of 86 routes and 255 passengers in August, the company estimated its tour operating costs. However, the actual activity levels for the month were 94 routes and 265 passengers.

To calculate the expected costs, we can use the cost formula:

Expected costs = Fixed cost + (Variable cost per route * Number of routes) + (Variable cost per passenger * Number of passengers)

Expected costs = $56,860 + ($2,884 * 86) + ($14 * 255)

Expected costs = $56,860 + $248,504 + $3,570

Expected costs = $308,934

The actual tour operating costs in August were $305,100. The spending variance is determined by subtracting the expected costs from the actual costs:

Spending variance = Actual costs - Expected costs

Spending variance = $305,100 - $308,934

Spending variance = -$3,834

Since the spending variance is negative (-$3,834), it is considered unfavorable. Therefore, the spending variance for tour operating costs in August would be closest to (option e.) $26,566 Unfavorable.

The question should be:

JAR-927 tour company uses two measures of activity, routes and passengers in its cost formulas used for budgeting and performance evaluation. The cost formula for tour operating costs is $56,860 per month plus $2,884 per route plus $14 per passenger. The company expected in August to perform 86 routes and serve 255 passengers, but the actual activity was 94 routes and 265 passengers. The actual tour operating costs in August was $305,100. The spending variance for tour operating costs in August would be closest to:

a. $3,354 Favorable

b. $26,566 Favorable

c. $3,354 Unfavorable

d. $23,212 Favorable

e. $26.566 Unfavorable

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consider a Bertrand competition in which there are two firms producing a homogenous product. the market DD is D(p) = 200-P firms charge price in Indian rupees in multiples of 5. MC = 25 for both the firms. identify mash equilibrium for the game.

Answers

In a Bertrand competition, there are two firms producing a homogenous product. DD Market is D(p) = 200 - P, and firms charge a price in Indian rupees in multiples of 5. MC = 25 for both the firms.In Bertrand competition, firms set prices and compete on the basis of the price.

In the Nash equilibrium, no firm can gain anything by changing its price, given the price of the other firm. Therefore, both firms should charge a price equal to the marginal cost.In the given question, the marginal cost of both the firms is 25. So the price charged by both the firms should be equal to MC = Rs. 25.Therefore, the market price will be Rs. 25, and both the firms will sell half of the total demand. In this way, both firms can maintain the profit. The Nash equilibrium in this Bertrand competition is Rs. 25. In the Nash equilibrium, firms set the same price to avoid undercutting each other and entering a price war. In summary, the Nash equilibrium price is the competitive price, which is equal to the marginal cost (MC) of production.In Bertrand competition, firms set prices and compete on the basis of the price. In the Nash equilibrium, no firm can gain anything by changing its price, given the price of the other firm. Therefore, both firms should charge a price equal to the marginal cost. In the given question, the marginal cost of both the firms is 25. So the price charged by both the firms should be equal to MC = Rs. 25. Therefore, the market price will be Rs. 25, and both the firms will sell half of the total demand. In this way, both firms can maintain the profit. The Nash equilibrium in this Bertrand competition is Rs. 25.

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Search the Internet for the websites of organization development and other management
consultants. Try to find an explicit or implicit model of organization or organizational
change that they recommend. How do these relate to the approaches presented in Chapter
4?

Answers

Few websites of organization development and other management consultants are  www.od-consultants.com

hrweb.mit.eduwww.odportal.comwww.codhyd.orgwww.helioshr.com

Model for organization development:

Phase 1: Plan: Identify the problem, define the situation, identify and describe the target audience, and define the intended outcomes.

Phase 2: Design: Create content for the topic and activities for delivery.

Phase 3: Implement: Measure participation in the program through appropriate delivery methods.

Phase 4: Measure: Conduct an evaluation of the entire program to measure its impact. Report the results to stakeholders.

Organisational development:

Hierarchical improvement is an arranged, precise change in the qualities or tasks of workers to make generally speaking development in an organization or association. Because it adheres to a specific protocol that management clearly communicates to all employees, it differs from everyday operations and workflow enhancements.

What is the course of OD?

The steps of the organizational development process are organized and based on research. Normal execution steps incorporate the accompanying: determining a need for improvement. Finding a need that is in line with business objectives is the first step in organizational change.

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Foreign exchange markets are markets in which people of one country exchange goods with people from another country.
TRUE/False? When the actual foreign exchange rate for the dollar is greater than the equilibrium rate, the dollar is undervalued, meaning that it will buy less in international trade than it will buy at home. TRUE/False ?

Answers

Foreign exchange markets are markets in which people of one country exchange goods with people from another country is a false statement. When the actual foreign exchange rate for the dollar is greater than the equilibrium rate, the dollar is undervalued, meaning that it will buy less in international trade than it will buy at home is a true statement.

Foreign exchange markets are markets in which people of one country exchange goods with people from another country is a false statement. The given statement is wrong. Foreign exchange markets are markets where people of one country exchange one currency for another currency, goods and services have no direct relation with the foreign exchange markets.

When the actual foreign exchange rate for the dollar is greater than the equilibrium rate, the dollar is undervalued, meaning that it will buy less in international trade than it will buy at home is a true statement. This is a true statement.

When the actual foreign exchange rate for the dollar is greater than the equilibrium rate, the dollar is undervalued, meaning that it will buy less in international trade than it will buy at home.

However, If the exchange rate is less, then the dollar is overvalued, and it will purchase more in international trade than at home.

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a. Discuss THREE ways in which maritime transport makes an important contribution to economic growth in the Caribbean. (9 marks) b. Discuss FOUR probably reasons why the government of Jamaica still have an influential presence in the transportation industry. (12 marks) c Briefly explain TWO major factors that influence the demand of international transport services (4 marks)

Answers

a. Three ways in which maritime transport makes an important contribution to economic growth in the Caribbean are:1. Revenue and employment opportunities are provided by the shipping industry. It is critical to the economies of many Caribbean nations.

2. Since many islands in the Caribbean are not linked by road or rail, shipping is critical for transporting goods and individuals. This is referred to as inter-island transport. The shipping sector has played a critical role in inter-island trade in the Caribbean for many years.3. Since trade between the Caribbean and other nations is primarily carried out by sea, the shipping industry plays an essential role in the region's international trade.

b. Four probable reasons why the Jamaican government still has an influential presence in the transportation industry are:1. To ensure that transportation costs are kept to a minimum, the Jamaican government is still subsidizing public transportation.2. In order to have a reliable and efficient transport system, the Jamaican government is still responsible for the country's transportation infrastructure.3. To avoid congestion on the island's roadways, the Jamaican government is still promoting the use of public transportation.4. The Jamaican government is still encouraging the use of alternative modes of transportation in order to reduce the country's carbon footprint.c. Two major factors that influence the demand of international transport services are:1. The price of international transport services is the first factor that affects demand. When prices increase, demand decreases, and when prices decrease, demand increases.2. The level of economic development in a country is the second factor that affects demand. The more economically developed a country is, the more likely it is to have a higher demand for international transport services, and vice versa.

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Question 10
How jobs are grouped together is called
departmentalization.
Differentiate between functional departmentalization and
geographic departmentalization by providing suitable
examples

Answers

Departmentalization refers to the way jobs are grouped together within an organization. Functional departmentalization clusters jobs by functions performed, while geographic departmentalization groups jobs based on the geographical location.

In functional departmentalization, an organization is divided based on the functions that need to be performed. For instance, a large restaurant chain might have different departments for operations, marketing, finance, and human resources. This helps in streamlining processes, ensuring specialization, and facilitating coordination within functions. On the other hand, geographic departmentalization groups jobs according to the regions they cater to. For example, a multinational fast-food chain like McDonald's may have separate divisions for North America, Europe, Asia, etc. This kind of departmentalization allows companies to better cater to the unique needs and preferences of different geographical markets.

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Which of the following is an example of triangular arbitrage initiation? O Buying a currency at one bank's ask and selling at another bank's bid, which is higher than the former bank's ask. Buying Australian dollars from a bank (quoted at $0.55) that has quoted the Australian dollar/Singapore dollar exchange rate at A$3.00 when the spot rate for the South African rand is 50 20 O Buying Australian dollars from a batik (quoted at 80.55) that has quoted the Australian dollar/Singapore dollar exchange rate at A$2.50 when the spot rate for the South African and is $0.20 Converting funds to a foreign currency and investing the funds overseas

Answers

An example of triangular arbitrage initiation would be: Buying a currency at one bank's ask and selling at another bank's bid, which is higher than the former bank's ask. This involves taking advantage of discrepancies in exchange rates between different banks to make a profit.

Profit refers to the financial gain or benefit obtained by a business or individual after deducting expenses from the revenue generated. It is a key measure of success and viability in business operations. Profit can be derived from various sources, including the sale of goods or services, investments, or capital gains. It provides a return on investment and serves as a reward for entrepreneurial risk-taking and effort. Profitability is essential for businesses to sustain their operations, invest in growth, and provide returns to shareholders. It is influenced by factors such as pricing strategies, cost management, market demand, competition, and overall economic conditions.

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If you were going to leave your employer to start your own business what are some factors that you would have to consider? Do Not Just List them. Discuss Each One. What would be your fear of leaving your Employer? What will stop you from leaving your employer?

Answers

Fear of failure, fear of the unknown, fear of change, lack of funds, lack of a support system, and lack of skills can all be factors that might stop someone from leaving their employer to start their own business. These fears and challenges need to be carefully considered and addressed in order to make a well-informed decision and increase the chances of success in entrepreneurship.

If you were going to leave your employer to start your own business, there are several factors that you would have to consider. Each one of these factors will impact your decision-making process and the success of your new business. Below are some of the key factors to consider when leaving your employer to start your own business:Finances: Starting a new business requires money. You need to have a clear idea of how much money you will need to start and run your business until it becomes profitable. If you don't have enough money saved, you will need to consider raising capital through investors or loans.Legal Structure: Your business's legal structure will impact your taxes, liabilities, and governance. You will need to decide if you want to form a corporation, partnership, or LLC. Each structure has its advantages and disadvantages.Customers: You need to identify your target market and create a marketing strategy to attract them to your business. Research your competition and identify what sets you apart from them. Create a unique selling proposition that resonates with your target customers.Industry: Evaluate the industry you are planning to enter. Identify the trends, opportunities, and challenges. You need to understand the market and your competition. Your research will help you identify the risks and opportunities associated with starting your business.Entrepreneurial Fear: Fear of failure, fear of the unknown, and fear of change can hold you back from starting your own business. Entrepreneurs need to take calculated risks and be willing to fail. You need to have a growth mindset and be open to learning new things. Leverage the resources available to you to reduce the fear of entrepreneurship. Do not let fear hold you back from starting your own business. What would be your fear of leaving your Employer?Leaving a secure job to start your own business can be scary. You are leaving behind a steady paycheck, benefits, and a work routine that you are comfortable with. One of the biggest fears that people have is the fear of failure. Entrepreneurship comes with risks, and you might not succeed. You need to have the right mindset and be willing to learn from your mistakes. Other fears include the fear of the unknown, fear of losing your savings, and fear of uncertainty.

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