at the beginning of the period, the assembly department budgeted direct labor of $60,000 and supervisor salaries of $40,000 for 10,000 hours of production. the department actually completed 12,000 hours of production. what is the budget for the department, assuming that it uses flexible budgeting? a.$112,000 b.$70,000 c.$100,000 d.$78,000

Answers

Answer 1

The budget for the assembly department, using flexible budgeting, is $112,000. This is calculated by multiplying the actual hours of production (12,000) by the budgeted direct labor cost per hour ($6), and then adding the supervisor salaries ($40,000).

To determine the budget for the assembly department using flexible budgeting, we need to calculate the flexible budget based on the actual hours of production.

The budgeted direct labor cost per hour can be calculated as $60,000 / 10,000 hours = $6 per hour.

For the actual production of 12,000 hours, the flexible budget for direct labor would be 12,000 hours * $6 per hour = $72,000.

Adding the supervisor salaries of $40,000, the total flexible budget for the department would be $72,000 + $40,000 = $112,000.

Therefore, the correct answer is option a. $112,000.

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Related Questions

1-Which of the following is an advantage of exporting? a. It helps companies increase their unit costs. b. It provides large revenue and profit opportunities. c. It reduces paperwork and complex formalities. d. It reduces the administrative costs incurred by a company. e. It helps in easy currency conversion. 2-Which of the following institutions within the U.S. Department of Commerce is dedicated to providing businesses with intelligence and assistance for attacking foreign markets? a. The Federal Trade Commission b. The Bureau of Competition c. The Bank of New York d. The International Trade Administration e. The Small Business Administration 3-Representatives of the U.S. Department of Commerce accompany groups of U.S. businesspeople abroad to meet with qualified agents, distributors, and customers, as part of the a. export-import program. b. "comparison shopping service." c. matchmaker program. d. SCORE program. e. "best prospects" listing. 4-Which of the following organizations runs the Service Corps of Retired Executives (SCORE) program? a. International Trade Administration b. U.S. Department of Commerce c. Small Business Administration d. Foreign Credit Insurance Association e. U.S. Commercial Service 5-In terms of using a third party in international trade, title to the products is given to a bank by the exporter in the form of a document known as a a. draft. b. letter of credit. c. bill of exchange. d. merchandise bill. e. bill of lading. 6-In international commerce, an order written by an exporter instructing an importer to pay a specified amount of money at a specified time is known as a a. draft. b. buyback. c. bill of lading. d. counterpurchase. e. letter of credit. 7-Countertrade is most likely to be used when: a. the foreign currency is easily convertible. b. an export management company is used. c. the exporter has a letter of credit. d. there is mutual trust between the exporter and the importer. e. the conventional means of international trade transactions are difficult. 8-Which of the following is a distinct type of countertrade arrangement? Select one: a. Arbitrage b. Deregulation c. Barter d. Merger e. Dirty float 9-A buying agreement where the exporting country can fulfill the agreement with any firm in the country to which the sale is being made is called a a. arbitrage. b. switch trade. c. barter. d. buyback. e. offset. 10-A firm builds a plant in a country and agrees to take a certain percentage of the plant's output as partial payment for the contract. This type of countertrade is called a a. counterpurchase. b. offset. c. switch trade. d. buyback. e. barter.

Answers

1-The advantage of exporting is that it provides large revenue and profit opportunities. Thus, option B is correct.

2- The International Trade Administration within the U.S. Department of Commerce is dedicated to providing businesses with intelligence and assistance for attacking foreign markets. Thus, option D is correct.

3- Representatives of the U.S. Department of Commerce accompany groups of U.S. businesspeople abroad to meet with qualified agents, distributors, and customers, as part of the matchmaker program. Thus, option C is correct.

4-  Small Business Administration runs the Service Corps of Retired Executives (SCORE) program. Thus, option C is correct.

5- In terms of using a third party in international trade, the title to the products is given to a bank by the exporter in the form of a document known as a bill of lading. Thus, option E is correct.

6- In international commerce, an order written by an exporter instructing an importer to pay a specified amount of money at a specified time is known as a draft.

7- Countertrade is most likely to be used when: a. the foreign currency is easily convertible. b. an export management company is used the conventional means of international trade transactions are difficult. Thus, option E is correct.

8- Barter is a distinct type of countertrade arrangement. Thus, option C is correct.

9- A buying agreement where the exporting country can fulfill the agreement with any firm in the country to which the sale is being made is called offset. Thus, option E is correct.

10- This type of countertrade is called a  buyback. Thus, option D is correct.

A reciprocal kind of international trade known as countertrade involves exchanging one item or service for another in place of hard cash. In underdeveloped nations with few credit or foreign exchange options, this kind of international trade is more prevalent. Barter, counter purchase, and offset are the three basic categories into which countertrade may be divided.

Countertrade, in all of its forms, offers a way for states without easy access to liquid resources to exchange commodities and services with other countries. Countertrade guarantees that a nation with few local resources has access to the goods and raw materials it needs as part of a comprehensive import and export plan. Additionally, it gives the exporting country the chance to sell goods and services in a bigger worldwide market, encouraging the development.

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When may a company include interest costs as part of the cost of the asset? A. When they buy a piece of equipment and finance its acquisition by a bank loan. B. When they must borrow money to finance the manufacture of their inventory items. C. When they are self-constructing a piece of equipment they will use to manufacture their products, but only during the period of construction. D. Interest is never allowed to be capitalized.

Answers

The correct answer is A. When a company buys a piece of equipment and finances its acquisition by a bank loan, they may include interest costs as part of the cost of the asset.

The correct answer is A. When they buy a piece of equipment and finance its acquisition by a bank loan.

Interest costs can be included as part of the cost of an asset when they are directly attributable to the acquisition, construction, or production of that asset. This is known as capitalization of interest costs. According to the International Financial Reporting Standards (IFRS) and Generally Accepted Accounting Principles (GAAP), interest costs can be capitalized under certain conditions.

In option A, when a company buys a piece of equipment and finances its acquisition through a bank loan, the interest costs incurred on the loan can be capitalized as part of the cost of the equipment. This is because the interest costs are directly attributable to the acquisition of the asset.

Option B refers to borrowing money to finance the manufacture of inventory items. In this case, the interest costs incurred during the manufacturing process are typically expensed as part of the cost of goods sold (COGS) rather than being capitalized as part of the asset cost.

Option C mentions self-construction of a piece of equipment. In this scenario, interest costs can be capitalized during the period of construction when they are directly attributable to the construction process. Once the construction is complete, the capitalization of interest ceases, and the asset is accounted for separately.

Option D states that interest is never allowed to be capitalized, which is incorrect. Interest costs can be capitalized in specific circumstances as mentioned above.

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Utilizing a CLV approach to managing customer dynamics offers several advantages. Which of the following is NOT an advantage? Group of answer choices
-CLV takes care of interrelations between the AER stages.
-CLV accounts for a firm's profits as a sum of each customer's overall value.
-CLV helps with trade-offs in resource allocation decisions among different AER stages at the customer level.
-CLV helps in maximizing product line length by assessing the effectiveness of each line extension.

Answers

Customer lifetime value (CLV) is the expected monetary value that a customer brings to a company during his/her lifetime. A company's CLV is used in many ways. It can assist a company in making decisions about marketing campaigns, pricing policies, product development, and customer service policies.

CLV also helps companies build long-term relationships with their customers by giving them a clear understanding of each customer's lifetime value. Utilizing a CLV approach to managing customer dynamics offers several advantages.

These benefits include:-CLV accounts for a company's profits as a sum of each customer's overall value.-CLV helps with trade-offs in resource allocation decisions among different AER stages at the customer level.-CLV takes care of interrelations between the AER stages.-

CLV helps in maximizing product line length by assessing the effectiveness of each line extension. The given options above represents the advantages of the CLV approach. Thus, it can be inferred that none of the given options is NOT an advantage. Hence, the answer is none of the above options.

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Conflict theorists say that capitalists use the _____ to expand production during economic booms, and then lay off people during economic contractions.

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Conflict theorists say that capitalists use the reserve army of labor to expand production during economic booms and then lay off people during economic contractions.

Conflict theory describes the reserve army of labor as a group of jobless or underemployed employees who are easily hired or fired depending on the demands of capitalists or the state of the economy. When the economy is expanding or experiencing a boom, business owners could hire more reserve army personnel to help satisfy the increased demand. However, during economic downturns or contractions, business owners may curtail production and fire employees, adding them to the labor reserve.

This procedure is thought to be a way for capitalists to keep control over the labor force, assuring a workforce that is adaptable and can be quickly tailored to their profit-seeking goals. Conflict theorists contend that capitalists abuse the labor reserve army by utilizing it as a tool to manipulate employment levels and suppress wages.

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elect the best investment proposal using the payback period, the accounting rate of return on initial investment, and the net present value criteria. assume that the organization's cost of capital is 12 percent.. note: follow rounding instructions noted for each computation. use a negative sign with your answers, when appropriate.

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To select the best investment proposal, you can use three criteria: the payback period, the accounting rate of return on initial investment, and the net present value. Let's go through each criterion and explain how to use them. Payback Period The payback period measures the time it takes to recover the initial investment.

In this example, the payback period is 4 years. If there are multiple investment proposals, compare their payback periods and select the one with the shortest period. Accounting Rate of Return on Initial Investment: The accounting rate of return measures the profitability of an investment. It is calculated by dividing the average annual profit by the initial investment. The higher the accounting rate of return, the better. Here's an example: Average Annual Profit: $3,000 Initial Investment: $15,000


In this example, the accounting rate of return is 20%. Compare the accounting rates of return for different proposals and select the one with the highest rate. Net Present Value (NPV) The net present value takes into account the time value of money and measures the profitability of an investment in today's dollars. A positive NPV indicates that the investment is profitable, while a negative NPV suggests that the investment may not be worthwhile. To calculate the NPV, subtract the initial investment from the present value of the cash inflows. Remember to consider all three criteria when selecting the best investment proposal.

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Which of the following is the best simple definition for supply chain​ management?

A.The synchronization of processes across firms.

B.Management of the firms that provide supplies.

C.Making sure that internal and external customers are satisified.

D.An interrelated series of processes within and across firms.

Answers

The best simple definition for supply chain management is the correct option: D. An interrelated series of processes within firms and across firms.

Supply Chain Management (SCM) is the supervision and coordination of the activities and operations involved in the creation and distribution of a product. SCM assists firms in coordinating and optimizing their resources to meet consumer demands and increase profits.

The processes of supply chain management ensure that a product is generated and delivered to the customer, and that it is cost-effective.

The important objectives of SCM are as follows:

To achieve maximum customer satisfaction.To boost productivity and profitability.To streamline the complete flow of information and resources.To coordinate all phases of production and supply.

Therefore, the best simple definition for supply chain management is: D. An interrelated series of processes within firms and across firms.

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Mario purchased a whole life insurance policy that has a face value of $400,000 when he was 30 years old. Over the years he had paid a total of $260,000 premiums. Mario died recently and there was an accumulated cash value of $180,000 inside the policy. His policy had paid-up addition rider and received a total of $230,000 in dividends. Mario used his policy as a collateral for a bank loan that had a balance of $50,000 at the time of death. He designated his son as the beneficiary of the policy. What is the amount of death benefit that will be paid to Mario's son?

$530,000

$350,000

$580,000

$760,000

Answers

The amount of death benefit that will be paid to Mario's son is $760,000.

To calculate the amount of death benefit that will be paid to Mario's son, we need to consider the different components involved in the policy.

Face Value of the Policy: The face value of the whole life insurance policy is $400,000.

Accumulated Cash Value: The accumulated cash value inside the policy is $180,000.

Premiums Paid: Mario paid a total of $260,000 in premiums.

Dividends Received: Mario received a total of $230,000 in dividends.

Loan Balance: The bank loan balance against the policy is $50,000.

To calculate the death benefit, we need to subtract the loan balance and any outstanding loans from the sum of the face value, accumulated cash value, and dividends received.

Death Benefit = (Face Value + Accumulated Cash Value + Dividends) - Loan Balance

Death Benefit = ($400,000 + $180,000 + $230,000) - $50,000

Death Benefit = $810,000 - $50,000

Death Benefit = $760,000

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Suppose that a risk-free investment will make three future payments of $100 in 1 year, $100 in 2 years, and $100 in 3 years. Instructions: Round your answers to 2 decimal places. a. If the Federal Reserve has set the risk-free interest rate at 8 percent, what is the proper current price of this investment? $ b. What is the price of this investment if the Federal Reserve ralses the risk-free interest rate to 10 percent? $

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Suppose that a risk-free investment will make three future payments of $100 in 1 year, $100 in 2 years, and $100 in 3 years.

If the Federal Reserve has set the risk-free interest rate at 8%, is the proper current price of this investment. In order to calculate the current price of this investment, we will use the Present Value formula. The Present Value (PV) of the investment can be calculated as:

The proper current price of this investment is $257.70. b. What is the price of this investment if the Federal Reserve raises the risk-free interest rate to 10%?If the Federal Reserve raises the risk-free interest rate to 10%, we can use the same formula as above to calculate the new present value of the investment.

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I. Dangling, Misplaced, and Squinting Modifiers: REALLY NEED THIS ----> PLEASE MAKE SURE TO IDENTIFY WHAT IS IT (DM for Dangling Modifier, MM for Misplaced Modifier, and SM for Squinting Modifier)
The following sentences contain dangling, misplaced and squinting modifiers. First, underline the problem in the sentence and, in the space below it, identify the mistake (you may use the abbreviation DM for Dangling Modifier, MM for Misplaced Modifier, and SM for Squinting Modifier). Next, correct the sentence.
1. After sitting at the table for nearly an hour, the harried waiter finally served us.
2. Students who miss class frequently fail the course.
3. He stared surreptitiously at the pretty girl by the vending machine wearing dark glasses.
4. While pouring the eggnog, her dog bounded into the room and smashed into her, causing her to splatter it all over the guests.

Answers

I. Dangling, Misplaced, and Squinting Modifiers:A modifier is a word or a phrase that modifies or gives meaning to another word in a sentence. Modifiers have to be placed in the correct position to modify the correct noun or verb. Otherwise, it can cause a misplaced modifier, squinting modifier, or dangling modifier. DM refers to Dangling Modifier, MM refers to Misplaced Modifier, and SM refers to Squinting Modifier.

1. After sitting at the table for nearly an hour, the harried waiter finally served us.The modifier "After sitting at the table for nearly an hour" is dangling because it does not have a noun to modify. The sentence can be corrected as "After we sat at the table for nearly an hour, the harried waiter finally served us.

"2. Students who miss class frequently fail the course.The modifier "who miss class frequently" is misplaced in the sentence because it is unclear whether it is referring to "Students" or "course." The sentence can be corrected as "Frequently, students who miss class fail the course.

"3. He stared surreptitiously at the pretty girl by the vending machine wearing dark glasses.The modifier "wearing dark glasses" is misplaced because it is unclear whether it is referring to "the pretty girl" or "vending machine." The sentence can be corrected as "He stared surreptitiously at the pretty girl wearing dark glasses by the vending machine.

"4. While pouring the eggnog, her dog bounded into the room and smashed into her, causing her to splatter it all over the guests.The modifier "While pouring the eggnog" is a dangling modifier because it is unclear who was pouring the eggnog. The sentence can be corrected as "While she was pouring the eggnog, her dog bounded into the room and smashed into her, causing her to splatter it all over the guests."

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1) Critically discuss by using example how the remote
environment can affect the performance of a firm. (10 marks)

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The remote environment can have a significant impact on a firm's performance. The remote environment refers to factors that are beyond the control of the company but can still affect its operations. These factors include economic, social, technological, legal, and political conditions.

The following are some ways in which the remote environment can affect a firm's performance:

Economic conditions: Economic conditions can have a significant impact on a firm's performance. For example, during an economic recession, consumers may be less willing to spend money, resulting in lower sales for the firm. This can result in lower profits and cash flow. Furthermore, during a recession, banks may be less willing to lend money to firms, making it difficult for the company to secure funding to invest in new projects.

Social conditions: Social conditions such as changes in consumer preferences can also affect a firm's performance. For example, if there is a shift towards more sustainable products, firms that fail to adapt to this trend may lose market share. On the other hand, firms that are able to anticipate changes in consumer preferences and adapt their products accordingly can gain a competitive advantage.

Technological conditions: Technological advancements can also have a significant impact on a firm's performance. For example, firms that are slow to adopt new technologies may fall behind their competitors. Furthermore, new technologies can create new opportunities for firms to expand into new markets or develop new products.

Legal conditions: Legal conditions such as changes in tax laws can also affect a firm's performance. For example, if the government introduces new taxes on certain products, firms that produce these products may face higher costs, which can impact their profitability.

Political conditions: Political conditions such as changes in government policies can also affect a firm's performance. For example, if the government introduces new regulations that restrict the firm's operations, it may be difficult for the company to continue operating profitably.

Overall, the remote environment can have a significant impact on a firm's performance. Firms that are able to adapt to changes in the remote environment are more likely to be successful than those that fail to do so.

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"Suppose you borrow $1000000 when financing a coffee shop which is valued at $1850000. You expect to generate a cash flow of $750000 at the end of the year. The cost of debt is 8%. What is the cost of equity? Note: Express your answers in strictly numerical terms. For example, if the answer is 5%, write 0.05"

Answers

The cost of equity is 12%. The formula for calculating the cost of equity is:

Cost of equity = (Expected annual return on equity / market value of equity) * 100

The expected annual return on equity is calculated using the capital asset pricing model (CAPM) as follows:

Expected annual return on equity = Risk-free rate + beta (Expected market return - Risk-free rate)

Given that:

Market value of the coffee shop = $1850000

The cost of debt = 8%

Expected annual cash flow = $750000

First, let's calculate the interest payment on the loan:

Interest payment = Cost of debt * Loan amount= 8% * $1000000= $80000

Now, let's calculate the annual net income:

Annual net income = Expected annual cash flow - Interest payment

= $750000 - $80000

= $670000

Next, let's calculate the market value of equity:

Market value of equity = Market value of the coffee shop - Loan amount

= $1850000 - $1000000

= $850000

Now, we can use the CAPM to calculate the expected annual return on equity:

Risk-free rate = 3% (assumed)

Beta = 1.2 (assumed)

Expected market return = 10% (assumed)

Expected annual return on equity = Risk-free rate + beta (Expected market return - Risk-free rate)

= 3% + 1.2(10% - 3%)

= 10.2%

Finally, we can use the cost of equity formula to calculate the cost of equity:

Cost of equity = (Expected annual return on equity / market value of equity) * 100

= (10.2% / $850000) * 100

= 0.0012 * 100

= 0.12 or 12%

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Debt finance does not affect the operating risk but it does add financial risk. True False

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Debt finance does not affect the operating risk but it does add financial risk. This statement is true and here is an explanation why.

Debt finance refers to the money raised by an organization from external sources, typically through bank loans or the issuance of bonds. The money obtained through debt finance must be paid back with interest, which creates a financial risk for the company.

The financial risk of an organization increases as its debt level increases. The organization will have to pay higher interest rates on its loans, which will decrease its profitability.

Additionally, the organization may have difficulty raising additional funds in the future if it has a high debt-to-equity ratio.However, debt finance does not affect the operating risk of an organization. Operating risk refers to the risk of losses due to operating activities.

This type of risk is inherent in the business operations of the organization and cannot be eliminated by financial decisions.Operating risk may arise from several factors, including changes in market demand, competition, technological advancements, and regulatory changes.

Debt financing cannot mitigate these risks as they are not related to the company's financial decisions. Therefore, while debt finance increases financial risk, it does not affect the operating risk of the organization.

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10) Describe the difference between a nominal wage and a real wage.

Answers

Nominal wages are the amount of money paid to an employee on an hourly, weekly, or monthly basis. Nominal wages, on the other hand, don't consider inflation.  Therefore, governments often implement policies to increase real wages, such as increasing the minimum wage or implementing cost-of-living adjustments.

In economics, a real wage is the amount of money an employee earns after adjusting for inflation. It's a measure of the purchasing power of an employee's wage, taking into account changes in the price of goods and services over time. Real wages are calculated by dividing nominal wages by the consumer price index (CPI).

The CPI is a measure of inflation that tracks the changes in prices for goods and services. The difference between nominal wages and real wages is that nominal wages are the amount of money paid to an employee, whereas real wages reflect the actual purchasing power of the employee's wages.

When inflation is taken into account, real wages are often lower than nominal wages, which means that employees' purchasing power has decreased. A decrease in real wages can have a negative impact on employees' standard of living and can lead to economic inequality.

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Summit Systems will pay a dividend of $1.50 next year. Its dividend is expected to grow by 6% per year forever. Assume the required return is 11%. Under which of the following scenarios would its stock price go higher than $30? All else being equal, the required return is greater than 11%. All else being equal, its dividend growth rate is 8% per year. All else being equal, the dividend will be $1.20 next year. All else being equal, its first dividend will be paid in two years:

Answers

The stock price of Summit Systems will go higher than $30 under the scenario 2 where all else is equal, and its dividend growth rate is 8% per year. The current price of the stock is $54.00.

Scenario 1:

All else being equal, the required return is greater than 11%.

Required return: Let's assume it's 12%.

Dividend growth rate: Given as 6%.

Calculate the current price of the stock using the Gordon Growth Model:

P = $1.50 * (1 + 6%) / (12% - 6%)

P = $1.59 / 6%

P = $31.80

The current price of the stock is $31.80, which is higher than $30.

Therefore, this scenario is not valid.

Scenario 2:

All else being equal, its dividend growth rate is 8% per year.

Required return: Given as 11%.

Dividend growth rate: Let's assume it's 8%.

Calculate the current price of the stock:

P = $1.50 * (1 + 8%) / (11% - 8%)

P = $1.62 / 3%

P = $54.00

The current price of the stock is $54.00, which is higher than $30.

Therefore, this scenario is valid.

Scenario 3:

All else being equal, the dividend will be $1.20 next year.

Required return: Given as 11%.

Dividend growth rate: Given as 6%.

Calculate the current price of the stock:

P = $1.20 / (11% - 6%)

P = $1.20 / 5%

P = $24.00

The current price of the stock is $24.00, which is lower than $30.

Therefore, this scenario is not valid.

Scenario 4:

All else being equal, its first dividend will be paid in two years.

Required return: Given as 11%.

Dividend growth rate: Given as 6%.

Calculate the current price of the stock:

P = $1.50 * (1 + 6%) / (11% - 6%) / (1 + 11%)

P = $1.59 / (5% * 1.11)

P = $14.63

The current price of the stock is $14.63, which is lower than $30.

Therefore, this scenario is not valid.

The stock price of Summit Systems will go higher than $30 under the scenario where all else is equal, and its dividend growth rate is 8% per year. The current price of the stock is $54.00.

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a ________ is a separate, independent company created and owned by two or more parent firms. A) wholly owned subsidiary
B) joint venture
C) strategic alliance
D) turnkey project

Answers

B) Joint venture. A is a separate, independent company created and owned by two or more parent firms. It involves the collaboration and pooling of resources.

expertise, and capital by the parent companies to pursue a specific business opportunity or project. The joint venture operates as a distinct legal entity, separate from its parent firms, and the ownership and management responsibilities are typically shared between the partners according to their agreed-upon terms. Joint ventures are commonly formed when companies seek to enter new markets, share risks and costs, access specialized knowledge or technology, or leverage complementary capabilities. This business arrangement allows the parent firms to combine their strengths and gain competitive advantages in a mutually beneficial manner, while still maintaining some level of independence and control over their respective interests within the joint venture.

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Your trust fund will pay you $56,000 a year for 11 years beginning
now. You can invest it in a bank account that will pay 9.3 per cent
annually. What is the present value of your trust fund ?

Answers

Given,

Trust fund will pay 56,000 per annum for 11 years

Beginning now.

Interest rate offered by the bank = 9.3%

We need to find the present value of the trust fund.

To find the present value of the trust fund, we need to calculate the sum of the present value of all the payments.

We will use the formula to find out the present value of annuity.

Present value of annuity formula = R[(1-(1+i)^-n)/i]

Where R is the payment made per annum, i is the interest rate per annum and n is the total number of years.

R = 56,000

i = 9.3%

= 0.093

n = 11 years

Putting these values in the formula, Present value of annuity = [tex]56,000[(1-(1+0.093)^-11)/0.093][/tex]

Present value of annuity =[tex]56,000[(1-(1.093)^-11)/0.093][/tex]

Present value of annuity = [tex]56,000[(1-(0.3250)/0.093][/tex]

Present value of annuity = 56,000[10.3900]

Present value of annuity = 582,640

So, the present value of the trust fund is 582,640.

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1) What is the role of the Federal Reserve in controlling inflation? How does it perform this function? And do you believe that the United States could be facing an inflation problem in the foreseeable future? Why or why not?
2) How does the Federal Reserve control the "Money Supply" and what is it? What has the Federal Reserve DONE WELL and what do you believe the Federal Reserve could have done better since the 2008 financial crisis?

Answers

The role of the Federal Reserve in controlling inflation is crucial. The Federal Reserve performs this function by controlling the money supply, particularly the money supply in circulation. It does this by adjusting interest rates, buying and selling government bonds, and using other monetary policy tools. Whether the United States could be facing an inflation problem in the foreseeable future or not is a matter of debate, but the Federal Reserve is committed to keeping inflation in check.


The Federal Reserve has a primary role in controlling inflation. It performs this function by controlling the money supply. When the money supply increases, inflation can increase. Therefore, the Federal Reserve controls the money supply, particularly the money supply in circulation.

It does this by adjusting interest rates, buying and selling government bonds, and using other monetary policy tools. Whether the United States could be facing an inflation problem in the foreseeable future or not is a matter of debate, but the Federal Reserve is committed to keeping inflation in check.


The Federal Reserve is responsible for controlling inflation in the United States. One of the main ways it does this is by controlling the money supply. When the money supply increases, inflation can increase. Therefore, the Federal Reserve has an important role in controlling inflation. It does this by adjusting interest rates, buying and selling government bonds, and using other monetary policy tools.

Whether the United States could be facing an inflation problem in the foreseeable future or not is a matter of debate. Some economists believe that the recent fiscal and monetary stimulus will lead to inflation in the near future, while others believe that any inflationary pressures will be temporary. The Federal Reserve has stated that it will keep interest rates low until the economy fully recovers, but it will also act if inflation becomes a problem.

The Federal Reserve controls the money supply through various methods such as open market operations, reserve requirements, and discount rate changes. The money supply is the total amount of money that is in circulation in an economy.

The Federal Reserve has done well in controlling inflation and stabilizing the economy since the 2008 financial crisis. However, there are areas where it could have done better, such as providing more support to small businesses and preventing the growth of income inequality.

The Federal Reserve controls the money supply by changing the reserve requirements of banks, adjusting the discount rate, and through open market operations. The money supply is the total amount of money in circulation in an economy. The Federal Reserve has done well in controlling inflation and stabilizing the economy since the 2008 financial crisis. However, there are areas where it could have done better.

The Federal Reserve has played a crucial role in stabilizing the economy since the 2008 financial crisis. It has used various tools to control the money supply and keep inflation in check. However, there are areas where it could have done better. For example, it could have provided more support to small businesses during the crisis.

Additionally, some critics argue that the Federal Reserve's policies have contributed to the growth of income inequality in the United States. Despite these criticisms, the Federal Reserve remains a key institution in the US economy and plays a crucial role in stabilizing the economy and controlling inflation.

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11. Which effort will cause a firm to lower its sustainable growth rate? A. Plowing back a high proportion of its earnings B. Achieving a high return on equity C. Increasing the current dividend per share by 50% D. Maintaining a high sales-to-total assets ratio
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The effort that will cause a firm to lower its sustainable growth rate is C. Increasing the current dividend per share by 50%.

What is it?

Sustainable Growth Rate:

Sustainable growth rate is the highest growth rate that a company can sustain without having to increase debt or equity financing.

It shows the maximum rate of growth that can be maintained without leading to the financial instability of the company.

Increasing the dividend per share by 50% will cause a firm to lower its sustainable growth rate. This is because when a company increases its dividend payout ratio, it is distributing a larger proportion of earnings to shareholders and reinvesting a smaller proportion of earnings.

As a result, the retained earnings available for reinvestment in the business decreases.

This will lead to a decrease in the sustainable growth rate of the company.

Hence, option c. is correct.

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Select all that are correct. Under Sarbanes-Oxley, the audit committee of the Board of Directors Is chaired by the Firm's Chief Executive Officer Is chaired by the firm's Chief Financial Officer Is limited to outside Board members Must include a Board member well versed in finance or accounting Must include only Board members who are independent of the Company and its Management (no related party transactions)

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Under Sarbanes-Oxley, the audit committee of the Board of Directors must include a Board member well versed in finance or accounting and only Board members who are independent of the Company and its Management (no related party transactions).

The committee is not required to be chaired by the firm's Chief Executive Officer or the Chief Financial Officer.

Under the provisions of Sarbanes-Oxley, the audit committee of the Board of Directors plays a crucial role in overseeing the financial reporting process and ensuring the integrity of the company's financial statements.

While the committee is not required to be chaired by the firm's Chief Executive Officer or the Chief Financial Officer, it must include a Board member who has expertise in finance or accounting. This member provides financial expertise and knowledge to effectively fulfill the committee's responsibilities.

Additionally, the audit committee is required to consist of only Board members who are independent of the Company and its Management. Independence is crucial to ensure objectivity and impartiality in the oversight of financial reporting and auditing processes.

It helps prevent conflicts of interest and ensures that the committee members act in the best interests of the company and its shareholders.

Therefore, under Sarbanes-Oxley, the audit committee of the Board of Directors must include a Board member well versed in finance or accounting and only Board members who are independent of the Company and its Management, while there are no requirements for the committee to be chaired by the firm's Chief Executive Officer or the Chief Financial Officer.

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What is the public policy exception to the employment at-will doctrine?
What law(s) protect a union employee who is discharged because of his or her active union support?
What benefits are provided to an employee who is injured in the course and scope of his or her work? What law(s) provide these benefits?

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The Public Policy Exception to the Employment at-will DoctrineThe public policy exception to the employment at-will doctrine is an exception in which an employee is not at will. This exception states that an employer cannot fire an employee for reasons that are contrary to public policy and a clear violation of the law. It means that the employer can only discharge employees for reasons that are acceptable to society.

Laws Protecting a Union Employee Who is Discharged Because of His or Her Active Union SupportSeveral laws protect a union employee who is discharged because of his or her active union support. One of the laws is the National Labor Relations Act (NLRA) which protects employees’ rights to organize and join unions, engage in collective bargaining, and engage in concerted activities for mutual aid and protection.

Another law is the Labor Management Relations Act (LMRA) which prohibits employers from discriminating against employees for their union activities. These laws protect employees who are part of a union from being fired for their union activities.Benefits Provided to an Employee Who is Injured in the Course and Scope of His or Her WorkIf an employee is injured while on the job, they are eligible for certain benefits.

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Open the 10C10−1 Magazines file. 3) Record January 31 month-end adjustments for Rama Magazines, a company that supplies various magazines, candy and small toys to businesses. Rama Magazines is using the COMPANY. PAYABLES, RECEIVABLES, and INVENTORY \& SERVICES modules and does not use the Account Reconciliation journal. Rama Magazines has the following adjustments for the January month-end: a) Bank service charges for the month are estimated to be $43.50. b) The Prepaid insurance account balance represents 4 months' insurance that has not been used as of January 1. Adjust the account accordingly. c) A part-time employee (use YOUR ACTUAL NAME as the part-time employee's name in the comment line) did not submit his time sheet and was not paid $158.00, the regular wages for the pay period ending January 28. (Magazine Sales charges all salaries and wages to Salaries Staff Account # 5290.) Accrue the wages for the period (ignore CPP and EI). d) The value of the Store Supplies on hand was counted, and is $358.00. e) Depreciation of Store Equipment is $1,500.00 for the year (\$125.00 per month). f) The long-term bank loan arranged on December 31, 2023, with the Canadian Bank, is for a 5 year period at an interest rate at 9% (per annum effective monthly rate of 0.7207% ). Monthly payments of $998.26 are due at the end of each month. The January 31 , automatic bank payment of $998.26 (including interest of \$291.07) has not been made or recorded. g) A new vendor, Snowgone Services, submitted a January snow removal invoice (A5631) dated today, for $140.00 phus HST, net 30 days (Maintenance Expense). h) The inventory count found that 10 Puzzle magazines are missing. Adjust inventory. (Hint: Chapter 8, Exercise 8-20.) 4) Print All Journal Entries for the entries above. 5) Print a Trial Balance as at January 31. 6 - Back up your data before moving on. Your instructor may require you to: i) advance the date to February 1. j) reverse the appropriate accruals on February 1 . 7) If required, print All Journal Entries for the February reversing entries above.
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The requested task involves making various month-end adjustments for Rama Magazines, such as recording bank service charges, adjusting prepaid insurance.

Accruing wages, counting store supplies and adjusting inventory, recording depreciation, and addressing a missed bank payment and a new vendor invoice. The instructions also mention printing all journal entries for these adjustments, generating a trial balance as of January 31, and potentially advancing the date to February 1 and printing journal entries for any reversing entries made then.

The task requires performing several adjustments for Rama Magazines at the end of January. These adjustments include recording bank service charges, adjusting the prepaid insurance account, accruing wages for an unpaid employee, counting store supplies, adjusting inventory for missing items, recording depreciation for store equipment, addressing a missed bank payment with interest, and processing a new vendor invoice for snow removal services. Additionally, the instructions state that all journal entries for these adjustments should be printed, followed by generating a trial balance as of January 31. There is a possibility of advancing the date to February 1 and printing journal entries for any reversing entries made at that time.

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Which one of the following forms of business organization issues stock to identify ownership? Sole Proprictorship Partncrship Partnership and Corporation Conporation Question 11 Balance Sheet accounts for Year 1 of ABC Company: Calculate ABC's Current Ratio. Round your answer to IWO decimal places. Your answer may fall within one of the following ranges: tin ​
3.0 or greater 1.00−1.99 2.00−2.99 less than1.00

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The form of business organization that issues stock to identify ownership is a corporation. The current ratio of ABC Company cannot be determined without additional information about its balance sheet accounts.

The form of business organization that issues stock to identify ownership is a corporation. A corporation is a legal entity separate from its owners, and ownership is represented by shares of stock. Stockholders are the owners of the corporation and their ownership is determined by the number of shares they hold.

To calculate the current ratio, we need specific information from ABC Company's balance sheet accounts for Year 1. The current ratio is a financial metric that assesses a company's short-term liquidity and is calculated by dividing current assets by current liabilities.

Without the values for current assets and current liabilities, it is not possible to determine the current ratio for ABC Company. Therefore, without the necessary information from ABC Company's balance sheet, we cannot calculate the current ratio, and the answer cannot be determined.

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The form of business organization that issues stock to identify ownership is a corporation. The current ratio of ABC Company cannot be determined without additional information about its balance sheet accounts.

The form of business organization that issues stock to identify ownership is a corporation. A corporation is a legal entity separate from its owners, and ownership is represented by shares of stock. Stockholders are the owners of the corporation and their ownership is determined by the number of shares they hold.

To calculate the current ratio, we need specific information from ABC Company's balance sheet accounts for Year 1. The current ratio is a financial metric that assesses a company's short-term liquidity and is calculated by dividing current assets by current liabilities.

Without the values for current assets and current liabilities, it is not possible to determine the current ratio for ABC Company. Therefore, without the necessary information from ABC Company's balance sheet, we cannot calculate the current ratio, and the answer cannot be determined.

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Occam industrial machines issued 160,000 zero coupon bonds 5 years ago. The bonds originally had 30 years to maturity with a yield to maturity of 6. 3 percent. Interest rates have recently decreased, and the bonds now have a yield to maturity of 5. 4 percent. The bonds have a par value of $2,000 and semiannual compounding. If the company has a $83. 4 million market value of equity, what weight should it use for debt when calculating the cost of capital?

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The bonds have a par value of $2,000 and semiannual compounding. If the company has an $83. 4 million market value of equity, 0.163, weight should it use for debt when calculating the cost of capital.

Given information:

PV = FV / (1 + r)nWhere:PV = present valueFV = future value (par value of the bond)r = interest raten = number of periods

PV = FV / (1 + r)n

PV = $2,000 / [tex](1 + 0.054/2)^{50}[/tex]

PV = $637.79

Debt market value is equal to $160,000 divided by $102,046.40.

Debt market value as a whole is $16,327,424

Total market debt value divided by (Total market debt value plus Market value of equity) yields the weight of debt.

Debt burden equals $16,327,424 divided by ($16,327,424 plus $83,400,000).

16.3% of the debt's weight, or 0.163,

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"Jim Ratcliffe declares interest in buying Manchester United" Financial time 18 August 2022
Discuss the factors to consider by JIM Ratcliffe before buying a stake in Manchester United. Discuss and evaluate different methods that can be used by Jim Ratcliffe to determine the acquisition price. Recommend the best valuation method for this transaction, giving reason thereof.

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Jim Ratcliffe, the billionaire founder of INEOS, has reportedly expressed his interest in purchasing Manchester United football club. Before making a decision, several factors need to be considered before buying a stake in Manchester United.

First, Jim Ratcliffe must consider the financial viability of the club, including its cash flow and profitability. He must also consider the club's performance on the field, its brand, and the strength of its fan base. Additionally, he must take into account the club's assets, including its stadium, training facilities, and players. Another important factor to consider is the current market value of Manchester United.

There are several methods that can be used by Jim Ratcliffe to determine the acquisition price. One of the methods is the Discounted Cash Flow (DCF) model, which involves projecting the cash flows that the club is expected to generate in the future and discounting those cash flows back to the present. Another method is the Price-to-Earnings (P/E) ratio, which involves dividing the current market price of the club by its earnings per share. A third method is the Price-to-Book (P/B) ratio, which involves dividing the market value of the club by its book value.

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Astro investment bank offers lunar vacations the following options on its initial public sale equity: (a) a best efforts arrangement whereby Astro will keep 2.8% of the retail sales or (b) a firm commitment arrangement of $9,900,000. Lunar plans on offering 1,000,000 shares at $11.55 per share to the public. if it sells 100% of the shares, which is the better choice for lunar vacations? which is better choice for Astro investment bank ?

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Astro Investment Bank offers lunar vacations two options on its initial public sale equity. The options are a best efforts arrangement where Astro will keep [tex]2.8%[/tex] of the retail sales, and a firm commitment arrangement of [tex]$9,900,000[/tex].

Lunar plans on offering [tex]1,000,000[/tex] shares at [tex]$11.55[/tex] per share to the public. The first option is the best choice for Lunar Vacations because it allows them to keep all the money they raise and pays Astro based on a percentage of the sales. Lunar Vacations' equity will be worth 100% of the total sales,

which is[tex]$11.55 x 1,000,000 = $11,550,000[/tex],

and they will pay Astro [tex]2.8%[/tex]of their sales,

which is [tex]$323,400.[/tex]

Therefore, Lunar Vacations will get

[tex]$11,550,000 - $323,400 = $11,226,600.[/tex]

However, the second option is a better choice for Astro Investment Bank because it guarantees Astro[tex]$9,900,000[/tex] in profit even if the shares are not sold.

Therefore, Astro Investment Bank will prefer to go for the second option because they are sure of earning a profit.

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You are hired to work on a feasibility study exercise by an IT firm on two possible investment options on a new product development. If the fund for the investment is to be borrowed from any financial institutions at an interest of 12% per annum, what would be the effective interest rate you may use in your various modelling analysis with the following compounding periods (i) annually (ii) semi-annually (iii) quarterly (iv) monthly (v) daily basis

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The effective interest rate is the actual interest rate that is paid or earned on an investment, loan, or other financial product due to the effect of compounding over time. The effective interest rate formula is used to calculate the actual interest rate that is earned or paid on an investment or loan when the compounding frequency is more than once per year.

It is calculated as follows:

Effective Interest Rate = (1 + (Annual Interest Rate / n))n - 1, where n is the number of compounding periods per year.

i) For annually, Effective Interest Rate = (1 + (0.12 / 1))1 - 1 = 0.12 or 12%

ii) For semi-annually, Effective Interest Rate = (1 + (0.12 / 2))2 - 1 = 0.1236 or 12.36%

iii) For quarterly, Effective Interest Rate = (1 + (0.12 / 4))4 - 1 = 0.1255 or 12.55%

iv) For monthly, Effective Interest Rate = (1 + (0.12 / 12))12 - 1 = 0.1268 or 12.68%

v) For daily basis, Effective Interest Rate = (1 + (0.12 / 365))365 - 1 = 0.1275 or 12.75%.

Therefore, the effective interest rate that may be used in the various modeling analyses with the following compounding periods are: annually - 12%, semi-annually - 12.36%, quarterly - 12.55%, monthly - 12.68%, daily basis - 12.75%.

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Which one of the following is an advantage of the dedicated project team organizational structure?
a) Cross-functional Integration
b) Easy post-project transition
c) Less expensive
d) Significant technical expertise

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The advantage of the dedicated project team organizational structure is significant technical expertise.

The dedicated project team is a management structure in which all workers are assigned to a particular project on a full-time basis, allowing for maximum concentration and continuity of work on that project.

These people are solely responsible for all aspects of the project, from its inception to its conclusion.

What are the advantages of a dedicated project team?

Some of the advantages of the dedicated project team organizational structure include:

Significant technical expertise: Teams are made up of individuals with a specific set of skills required for the project. Because they are specialists in their fields, they have a high degree of technical expertise.

Easy post-project transition: The members of a dedicated project team are typically released from their assignment when the project is completed.

This means that there are no employees on the payroll who are not assigned to an active project.

Cross-functional integration: The dedicated project team includes members from various areas of expertise.

This encourages teamwork and knowledge sharing and also facilitates a better understanding of the project among all involved members.

Less expensive: Members of a dedicated project team are not drawn from existing staff, so there are no extra labor costs, making the project cost-effective.

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Auto workers went on strike in a town heavily reliant on the auto industry. While negotiations between the union and management were ongoing, a person intercepted and recorded a phone call between the union's president and management's chief negotiator. A state statute makes it illegal to record a phone call without the consent of the parties being recorded. The statute also make is illegal to play an illegally recorded conversation on television or radio.
The person who recorded the call anonymously sent the recording to a local TV station. The TV station news anchor played the recording on air.
Can the anchor who played the recording be prosecuted under the statute?

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The anchor who played the recording can be prosecuted under the statute for playing an illegally recorded conversation on television or radio.

In the case given, auto workers went on strike in a town heavily reliant on the auto industry. The negotiations between the union and management were ongoing when a person intercepted and recorded a phone call between the union's president and management's chief negotiator.

A state statute makes it illegal to record a phone call without the consent of the parties being recorded. The statute also makes it illegal to play an illegally recorded conversation on television or radio.

The person who recorded the call anonymously sent the recording to a local TV station, and the TV station news anchor played the recording on air. Thus, the anchor who played the recording can be prosecuted under the statute for playing an illegally recorded conversation on television or radio.

It is illegal to record phone calls without the consent of the parties being recorded. Recording phone calls without the consent of the parties being recorded is an illegal act punishable by law.

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This question has two parts For this question, you will be asked to graphically capture the impact of an event on economic growth. Once you have completed the graph, you will be required to upload the image. Draw your graph using an online sketch cite (e.g. https://sketch.io/sketchpad/ ) or offline with a plan to scan and upload. Your mark will based on the graph submitted. Consider the economy at the steady state according to the Solow growth model. a. Graphically depict the steady state for the economy. Your graph should indicate the steady state values of k,y,c, and i. Be sure to label the axes, all lines, and steady state values for k,y,c, and i. (1 mark) b. Suppose that depreciation d decreases. Capture the impact this has on the steady state on your graph. Be sure the direction of change is clear using arrows and/or labels. (2 marks).

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a. Graphically depicting the steady state for the economy: Label the x-axis as "Capital per worker (k)" and the y-axis as "Output per worker (y)."

Draw a 45-degree line starting from the origin (0,0) to represent the relationship between capital and output per worker.

Indicate the steady state by drawing a vertical line from the intersection of the 45-degree line and the production function curve. Label this point as "kss" and "yss" to represent the steady state values of capital and output per worker.

Draw another line parallel to the x-axis to represent the constant consumption per worker (c) in the steady state. Label this line as "c" and indicate its value at the steady state.

Draw a line parallel to the y-axis to represent the constant investment per worker (i) in the steady state. Label this line as "i" and indicate its value at the steady state.

b. To capture the impact of a decrease in depreciation (d) on the steady state:

Adjust the production function curve upward to reflect the higher steady state output per worker due to decreased depreciation.

Draw arrows or labels to indicate the direction of change, showing that the steady state values of capital per worker (k), output per worker (y), consumption per worker (c), and investment per worker (i) have increased due to the decrease in depreciation.

Remember to use appropriate scales, label all lines and axes, and clearly indicate the changes in the steady state values and their direction.

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Which form of real property ownership includes the greatest degree of ownership?

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Real property is anything that is part of the earth and can be owned. Real estate can take several forms, but it is commonly divided into four types: fee simple, life estate, joint tenancy with the right of survivorship, and tenancy in common.

Fee simple is the type of property ownership that offers the greatest degree of ownership.What is Fee Simple?Fee simple ownership is the most prevalent and complete form of property ownership.

Fee simple is the highest form of property ownership, granting the owner absolute ownership and the most control over the property.Fee simple is an unlimited form of ownership that gives the owner the right to dispose of the property in any way they see fit, including transferring it to someone else.

When an individual holds the title to a property in fee simple, they are the only person who has the right to use, rent, and sell the property. Fee simple is the most widely recognized type of ownership, and it is the most common form of ownership among privately owned residential properties.

Condominiums and cooperatives, on the other hand, are frequently owned as a combination of fee simple and leasehold ownership.Therefore, the form of real property ownership that includes the greatest degree of ownership is fee simple.

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