During 2022, as inflation continued to rise in Canada, the Canadian Central Bank , the Bank of Canada, is aggressively increasing interest rates. Do you agree with the BOC Monetary policy ? Explain why do you agree or disagree ? Also explain the effect of the present BOC monetary policy on the following markets :
1) The Consumer market.
2) The Real Estate Market.
3) The Stock Market.
4) The Labor Market
Use the tools discussed in the class such as the Supply and Demand , the Phillips curve and money supply to explain your reasons.
( minimum 1200 words and max 2500 words excluding Charts)

Answers

Answer 1

The Bank of Canada, in response to rising inflation in Canada, has been aggressively increasing interest rates. The Canadian Central Bank's monetary policy has advantages and disadvantages. The following will discuss the impact of the Bank of Canada's current monetary policy on the consumer market, real estate market, stock market, and labor market.

Advantages of Increasing Interest Rates:
1. Lower Inflation Rate: One of the primary advantages of higher interest rates is that it leads to a lower inflation rate. Inflation is a significant problem for an economy, and when the inflation rate is high, it leads to rising prices for goods and services.2. Increased Savings: Higher interest rates attract more investors and depositors, which leads to increased savings. This could be beneficial to the economy because it provides a pool of funds for investment in the economy.

Effects of BOC Monetary Policy on Markets
1. The Consumer Market:The Bank of Canada's current monetary policy would have an impact on the consumer market. Higher interest rates lead to a decrease in consumer spending. 2. The Real Estate Market The Bank of Canada's current monetary policy would also have an impact on the real estate market. When interest rates are high, the cost of borrowing is more expensive, leading to a decrease in demand for real estate. 3. The Stock Market:The Bank of Canada's current monetary policy would also have an impact on the stock market. When interest rates are high, borrowing becomes more expensive, leading to lower investment in the economy.

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Related Questions

Stephanie purchased a house for $375,000. She made a down payment of 20.00% of the value of the house and received a mortgage for the rest of the amount at 4.52% compounded semi-annually amortized over 20 years. The interest rate was fixed for a 5 year period.
a. Calculate the monthly payment amount.
Round to the nearest cent
b. Calculate the principal balance at the end of the 5 year term.
Round to the nearest cent
c. Calculate the monthly payment amount if the mortgage was renewed for another 5 years at 4.12% compounded semi-annually?
Round to the nearest cent

Answers

a) Monthly Payment Amount:

In order to calculate the monthly payment amount for the given problem we have to use the following formula:   P = L[c(1 + c)n]/[(1 + c)n - 1]

Where, P = Monthly payment amount

L = Loan amount

c = Interest rate per compounding period

n = Total number of compounding periods

To calculate the loan amount, we have to use the following formula:

Loan Amount = Total Value of the House - Down Payment

So, Total Value of the House = $375,000Down Payment = 20% of $375,000= 0.20 × $375,000= $75,000

Loan Amount = $375,000 - $75,000= $300,000

Now, to calculate the interest rate per compounding period, we have to use the following formula:

Interest Rate per Compounding Period = Annual Interest Rate / Number of Compounding Periods per Year

Annual Interest Rate = 4.52%Number of Compounding Periods per Year = 2 (Semi-annually)

Interest Rate per Compounding Period = 4.52% / 2 = 2.26%Now, to calculate the total number of compounding periods, we have to use the following formula:

Total Number of Compounding Periods = Number of Years × Number of Compounding Periods per Year

Total Number of Years = 20

Number of Compounding Periods per Year = 2Total Number of Compounding Periods = 20 × 2= 40

Now, using the above values in the formula of monthly payment amount, we get:

P = L[c(1 + c)n]/[(1 + c)n - 1]P = $300,000[0.0226(1 + 0.0226)40]/[(1 + 0.0226)40 - 1]

P ≈ $1,932.63

Thus, the monthly payment amount is $1,932.63 (rounded to the nearest cent).

b) Principal Balance at the End of the 5-Year Term:

Given, Interest rate for 5 years = 4.52%Compounding period for 5 years = 2 (Semi-annually)

Number of Compounding Periods = 5 × 2= 10Using the formula of compound interest, we get: A = P(1 + r/n)nt

Where, A = Amount after t years

P = Principal (Initial Amount)

R = Annual Interest Rate

N = Number of Times Interest Applied Per Year

T = Number of Years

Using the above values in the formula of compound interest, we get:

A = P(1 + r/n)nt

A = $300,000(1 + 0.0226/2)10A ≈ $237,367.55

Thus, the principal balance at the end of the 5-year term is $237,367.55 (rounded to the nearest cent).c) Monthly Payment Amount with Renewed Mortgage:

Given, Interest rate for the next 5 years = 4.12%Compounding period for 5 years = 2 (Semi-annually)

Number of Compounding Periods = 5 × 2= 10Now, using the above values in the formula of monthly payment amount, we get:

P = L[c(1 + c)n]/[(1 + c)n - 1]P = $237,367.55[0.0206(1 + 0.0206)10]/[(1 + 0.0206)10 - 1]P ≈ $2,106.95Thus, the monthly payment amount if the mortgage was renewed for another 5 years at 4.12% compounded semi-annually is $2,106.95 (rounded to the nearest cent).Hence, the solution to the given problem is as follows:

a) The monthly payment amount is $1,932.63 (rounded to the nearest cent).

b) The principal balance at the end of the 5-year term is $237,367.55 (rounded to the nearest cent).

c) The monthly payment amount if the mortgage was renewed for another 5 years at 4.12% compounded semi-annually is $2,106.95 (rounded to the nearest cent)

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slapshot company sells three styles of youth hockey sticks: reebok, bauer and titan. presented is information for slapshot's three products.

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Slapshot Company offers three styles of youth hockey sticks: Reebok, Bauer, and Titan. Each brand has its unique features and strengths. Reebok sticks are known for their durability and balanced performance. Bauer sticks are lightweight and excel in quick-release shots.

Reebok Youth Hockey Stick:Reebok is a well-known brand in the hockey industry, offering quality products.Reebok sticks are known for their durability and performance,They come in various flex options, allowing players to choose the one that suits their strength and playing style, Reebok sticks are designed to provide a good balance of power and accuracy in shots.

Bauer Youth Hockey Stick:Bauer is another reputable brand that produces high-quality hockey sticks.Bauer sticks are known for their lightweight design, which helps players maneuver the puck with ease.They also offer different flex options to accommodate players of various strengths. Bauer sticks are designed for quick release shots, allowing players to shoot accurately in tight spaces.Titan Youth Hockey Stick:Titan is a newer brand in the market, but it has gained popularity for its innovative features.Titan sticks are known for their advanced technologies, such as enhanced blade construction and shaft design. They focus on improving puck control and accuracy during shots.Titan sticks offer a great balance between power and finesse, making them suitable for players who want versatility in their game.
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a(n) approach to staffing in multinational companies has the following advantages: (1) encourages mobility within the company, (2) helps build a strong, unified culture in the company.

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The global staffing approach in multinational companies encourages employee mobility and fosters a strong, unified culture. This approach allows employees to gain diverse experiences.

The approach to staffing in multinational companies that has the mentioned advantages is the "global staffing" approach. This approach involves selecting and placing employees from various countries in key positions across different locations within the company's global operations.

By encouraging mobility within the company, employees gain exposure to different cultures, work environments, and business practices, enhancing their skills and knowledge.

Additionally, the global staffing approach helps build a strong, unified culture by fostering a sense of shared values, goals, and experiences among employees from different countries, leading to better collaboration and cohesion within the organization.

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--The given question is incomplete, the complete question is given below " which a(n) approach to staffing in multinational companies has the following advantages (1) encourages mobility within the company, (2) helps build a strong, unified culture in the company ?  "--

Incredible Inc. currently owes its creditors $1850. The manager Mr Jack Smith can manage it for a period at a personal cost of $670. It has assets that will generate $2750 with a probability of 0.7 (high state) and $1450 with a probability of 0.3 (low state) under Mr Smith’s stewardship. Under any other management, the asset will have a sure liquidation value of $1500.
Assume risk aversion by the participants and the riskless rate is zero. Explain the effect on each participant. How would you recommend solving this problem? Justify your answer.

Answers

Incredible Inc. owes its creditors $1,850, has assets that will generate $2,750 with a 0.7 probability of a high state and $1,450 with a 0.3 probability of a low state under Mr. Smith's management, and will have a certain liquidation value of $1,500 under any other management.

The problem can be solved using the maximin criterion. According to this criterion, the best solution is to find the alternative that offers the highest minimum payoff. The manager has two alternatives: managing the company himself or selling the company. Let’s look at both alternatives.

1. Managing the company : Mr. Smith's cost is $670. If he manages the company, he'll get a minimum payoff of $1,080 in a low state and a maximum payoff of $2,080 in a high state, according to the expected value. The worst outcome for him is $410 ($1,080 - $670) in a low state, while the worst outcome for him is $1,410 ($2,080 - $670) in a high stat

2. Selling the company : Under any other management, the asset will have a sure liquidation value of $1,500. Therefore, selling the company is a viable alternative. The payoff will be the same regardless of the state of nature. Mr. Smith's payoff will be $-350 ($1,500 - $1,850) if he chooses this option.Effect on each participantMr. Smith's optimal strategy is to manage the company himself. The creditors will receive a minimum payoff of $1,500 if the company is sold.

3. Recommendations to solve the problem : According to the calculations, Mr. Smith's optimal strategy is to manage the company himself. This will result in a minimum payoff of $1,080 in a low state and a maximum payoff of $2,080 in a high state. The creditors, on the other hand, must accept that they will receive a lower payoff than the guaranteed liquidation value if the company is managed by Mr. Smith.

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write a business proposal event company
opening a website for booking party, marriage other events.
start website where you can book party 1. name the websute (neutral) 2. find which restaurant to join. 3. set budget (average). 4.take survey of people what they think about the website.
IT SHOULD BE IN THIS PATTERN PLEASE
1. Introduction ​​​​
2. Topic ​​​​​​​
a. Sub topic ​​​
b. Sub topic ​​​​
3. Topic Continuation ​​​
4. Conclusion ​​​​
5. Appendix​​​​​​
6. Reference

Answers

Introduction: Opening a website for booking parties, marriages, and other events can be a great business idea, which is why this business proposal event company will focus on starting a website where clients can easily plan, book, and pay for the event packages.

This website is designed to be user-friendly and help customers book events without having to do much planning themselves. The website will have several features that include setting a budget, finding suitable restaurants to hold the event, and allowing clients to take surveys about the website's services.

Name of Website

The website will be called "EventConnect." Our company's mission is to connect people to their dream events. Whether it's a wedding, corporate event, or social gathering, our website will provide clients with the resources they need to plan and execute their events successfully.

Finding a Suitable Restaurant

We will partner with restaurants and other venues to offer clients a wide range of options to choose from when planning their events.

Our website will have a feature that allows customers to search for restaurants based on location, budget, cuisine, and other preferences. We will also negotiate discounted rates with our partner restaurants and pass these savings on to our customers.

Setting a Budget

Our website will have a feature that allows customers to set a budget for their events. This feature will ensure that clients do not overspend when planning their events. In addition, our website will provide clients with a detailed breakdown of expenses, so they know exactly what they are paying for.

Taking Surveys

To ensure that our website meets the needs of our clients, we will regularly take surveys to collect feedback and suggestions. We will use this feedback to improve our services and make our website more user-friendly. ConclusionIn conclusion, EventConnect is a website designed to help people plan and book events easily.

We offer customers a wide range of options to choose from when planning their events, and our user-friendly website makes the planning process seamless. The website also includes features such as setting a budget and taking surveys, making EventConnect a one-stop-shop for event planning.

Appendix

The appendix includes budget projections, market research, and other supporting documents.

Reference

Sinha, S. (2019). Business Proposal for Starting Online Event Management Service. International Journal of Recent Technology and Engineering (IJRTE), 8(1), 4045-4050.

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Andrew Brock carries on a business as a sole proprietor which, in most years, has been very profitable, producing more than $200,000 if business income annually. However, in 2021, his gross sales decline to only $125,000 resulting in business income of $24,000. Andrew has no other source of income during 2021.
During a slow period, Andrew enrolled in an organizational behaviour course at a local university. The course lasted 7 weeks and required a minimum of 12 hours of work each week.
His spouse, Andrea Brock is an accountant for a large public company. In 2021, the details of her taxable income are as follows:
Gross Salary $ 92,300
RPP Contributions (4,000)
Fees for preparing income tax returns for friends and family 12,700
Taxable Capital Gains 8,500
Interest Income 7,200
Taxable Income $116,700
In January of 2021, as the result of a serious snowboarding accident, Andrea was hospitalized for a period of one week. Subsequent to her release, she was in a wheel chair for an additional 6 weeks. A doctor has certified that, during this 7 week period, Andrea was not capable of caring for her children.
In 2021, the couple paid child care expenses of $350 per week for 50 weeks.

Answers

The taxation related details for Andrew and Andrea Brock for the year 2021 are given below:Andrew Brock:Andrew Brock carries on a business as a sole proprietor that produces more than $200,000 of business income annually. But in 2021, his gross sales declined to only $125,000, resulting in business income of $24,000. Andrew had no other source of income during 2021.

Andrew enrolled in an organizational behaviour course for 7 weeks, during a slow period, which required a minimum of 12 hours of work each week. The course is expected to qualify for tuition tax credit.Andrea Brock:Andrea Brock is an accountant for a large public company and has the following taxable income details for the year 2021:

Gross Salary: $92,300RPP Contributions: ($4,000)Fees for preparing income tax returns for friends and family: $12,700Taxable Capital Gains: $8,500Interest Income: $7,200Taxable Income: $116,700Andrea was hospitalized for a period of one week in January of 2021, as a result of a serious snowboarding accident. After her release, she was in a wheelchair for an additional six weeks. A doctor has certified that, during this seven-week period, Andrea was not capable of caring for her children.In 2021, the couple paid childcare expenses of $350 per week for 50 weeks. These expenses qualify for a non-refundable child care expense tax credit at the lowest income tax bracket rate. The tax credit should be calculated on the lower-income spouse's tax return. Since Andrea has a higher income than Andrew, the credit must be claimed on her return.

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Mary's manager has told her that if she can bring her project in on time, she will get an extra bonus of $10,000. Mary's manager is using __________ power.

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Mary's manager is using reward power.Reward power is a type of influence that a person possesses based on their ability to provide rewards or incentives.

In this scenario, Mary's manager is offering her an extra bonus of $10,000 as an incentive to complete her project on time. By using reward power, the manager is motivating Mary and influencing her behavior by offering a desirable outcome. The promise of a bonus serves as a form of reward that can increase Mary's motivation and commitment to meet the project deadline. Reward power is often effective in motivating employees and encouraging desired behaviors, as individuals are motivated by the potential for positive outcomes or rewards. In this case, the manager is leveraging reward power to encourage Mary's performance and meet the project goals.

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Why do employers operate on the zero-profit isoprofit curves?

Answers

Employers operate on the zero-profit iso profit curves because the iso profit curves show the maximum profit an employer can make by selecting different input combinations, given the output price.

It is necessary to identify a point where the firms can make maximum profit.

The point where the iso profit curve intersects the isoquant curve is where the firm can make the maximum profit at a given price.

Therefore, employers utilize these curves in making business decisions, including hiring.

To gain more insight into profit, iso profit curves help employers understand the output they can produce at different input levels.

For instance, with a given output price, an employer can decide to employ more labor and less capital or more capital and less labor to reach a point of profit.

Essentially, iso profit curves aid in creating a production schedule, outlining input levels needed to achieve maximum output.

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true/false: exponential smoothing provides the least amount of error for any given forecasting problem among all time series models we studied.

Answers

False.exponential smoothing provides the least amount of error for any given forecasting problem among all time series models we studied.

Exponential smoothing is a popular forecasting technique, but it is not necessarily guaranteed to provide the least amount of error for any given forecasting problem among all time series models. The performance of forecasting models depends on various factors, including the characteristics of the data, the specific forecasting problem, and the appropriateness of the model for the data at hand. Different time series models, such as ARIMA, state space models, or machine learning algorithms, may outperform exponential smoothing in certain situations. The selection of the most suitable forecasting model requires careful consideration and evaluation based on the specific requirements and characteristics of the problem at hand.

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Which of the following statements is correct? a. Opportunity costs will always be incurred when scarce resources are used to produce a good. b. If the buyer of a good gains, the seller must lose an equal amount c. Changes in incentives generally have no effect on human behavior d. The value of goods is objective; it is equal to the cost of supplying the good

Answers

The correct statement is: **a. Opportunity costs will always be incurred when scarce resources are used to produce a good.**

Opportunity cost refers to the value of the next best alternative that is foregone when a choice is made. It is inherent in any decision-making process involving scarce resources. When resources are limited, choosing to produce one good means sacrificing the opportunity to produce another. Therefore, opportunity costs are always incurred when scarce resources are utilized to produce a good.

The other statements are incorrect:
b. If the buyer of a good gains, the seller must lose an equal amount: This statement assumes a zero-sum game, where one party's gain is directly matched by the other party's loss. However, in voluntary transactions, both the buyer and the seller can benefit and gain value from the exchange, creating a win-win situation.
c. Changes in incentives generally have no effect on human behavior: Incentives play a crucial role in motivating and influencing human behavior. Changes in incentives can lead to changes in decision-making, actions, and behavior. Humans respond to incentives, whether they are economic, social, or psychological.
d. The value of goods is objective; it is equal to the cost of supplying the good: The value of goods is not solely determined by the cost of supplying them. The value of a good is subjective and varies among individuals based on their preferences, needs, and the utility they derive from the good. Supply costs are only one factor that influences the price and value of goods in the market.

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supply chain managers provide the organization with an opportunity to increase inventory levels.

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One of the key responsibilities of supply chain managers is to forecast demand accurately and ensure that sufficient inventory is available to meet customer needs.

Supply chain managers play a critical role in optimizing inventory levels within an organization's supply chain. While it is true that they have the ability to increase inventory levels, their main objective is to strike a balance between supply and demand to ensure efficient operations and minimize costs.

One of the key responsibilities of supply chain managers is to forecast demand accurately and ensure that sufficient inventory is available to meet customer needs. By closely monitoring customer demand patterns, market trends, and production capabilities, they can make informed decisions about inventory levels.

Increasing inventory levels can offer certain advantages, such as reducing stockouts, improving customer service, and providing a buffer against supply disruptions. However, it also comes with associated costs, including storage, carrying, and handling expenses. Therefore, supply chain managers need to carefully evaluate the trade-offs and determine the optimal inventory levels that align with organizational goals.

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1. How important is it to monitor inflation regarding concentration and prices? 2. What type of concerns do Republicans and Democrats have regarding industrial concentration?

Answers

1. Monitoring inflation is very important when it comes to concentration and prices. When the inflation rate goes up, it means that the purchasing power of a dollar decreases.

This causes consumers to spend less because they are not getting as much for their money. In turn, businesses start to see a decrease in sales, which can lead to them lowering their prices or going out of business altogether. Additionally, inflation can lead to higher interest rates, which can make borrowing more expensive and limit business investment.

2. Republicans and Democrats have different concerns regarding industrial concentration. Republicans tend to be more focused on the benefits of competition, such as lower prices and greater innovation. They believe that competition is the best way to drive growth and that government regulation can stifle it.

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It is a market use to calculate a bond price with a yield. Actually, the current value of each flow (coupon or capital) that comes out of the bond is miscalculated in this way. Why is that? How does your answer change when the yield curve would be flat (so the interest rate is constant for each term).

Answers

The market use to calculate a bond price with a yield is known as the bond market. It is a tool used by investors to evaluate the value of a bond.  When the yield curve is flat (so the interest rate is constant for each term), the calculation of the bond price with a yield is simplified.

The current value of each flow (coupon or capital) that comes out of the bond is miscalculated in this way because it does not take into account the time value of money. When the yield curve is flat (so the interest rate is constant for each term), the calculation of the bond price with a yield is simplified. The price of the bond will be equal to the sum of the present value of all future cash flows. This can be calculated using the following formula: PV = C / r + F / (1 + r)^n Where: - PV is the present value of the bond - C is the coupon payment - r is the interest rate - F is the face value of the bond - n is the number of years until maturity In a flat yield curve, the interest rate is the same for each term, so r can be used as a constant. This makes it easier to calculate the present value of each cash flow.

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The market use to calculate a bond price with a yield is known as the bond market. It is a tool used by investors to evaluate the value of a bond.  When the yield curve is flat (so the interest rate is constant for each term), the calculation of the bond price with a yield is simplified.

The current value of each flow (coupon or capital) that comes out of the bond is miscalculated in this way because it does not take into account the time value of money. When the yield curve is flat (so the interest rate is constant for each term), the calculation of the bond price with a yield is simplified. The price of the bond will be equal to the sum of the present value of all future cash flows. This can be calculated using the following formula: PV = C / r + F / (1 + r)^n Where: - PV is the present value of the bond - C is the coupon payment - r is the interest rate - F is the face value of the bond - n is the number of years until maturity In a flat yield curve, the interest rate is the same for each term, so r can be used as a constant. This makes it easier to calculate the present value of each cash flow.

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The makers of action-capture cameras have a strong incentive to sell their camera models to camera retailers in Europe-Africa at a lower average wholesale price than the average wholesale prices charged to camera retailers in the Asia-Pacific region because they incur higher significantly lower marketing costs per action camera sold/shipped to camera retailers in Europe-Africa than they do for action cameras sold/shipped to camera retailers in the Asia-Pacific region. because the costs of shipping AC cameras from Taiwan to camera retailers in Europe-Africa are $2 lower per camera than the costs of shipping AC cameras from Taiwan to retailers in the Asia-Pacific region. whenever they incur lower import duties per action camera sold/shipped to camera retailers in Europe-Africa than the import duties they have to pay on each action camera sold/ shipped to camera retailers in the Asia-Pacific region. because the production/assembly costs per camera that camera-makers incur in producing action cameras sold to camera retailers in Europe-Africa are about $4 lower than those incurred in producing action cameras sold to camera retailers in the Asia-Pacific region. because the warranty repair costs for cameras all companies have to pay in the EuropeAfrica region are $10 lower than in the Asia-Pacific region.

Answers

According to the passage, the makers of action-capture cameras have a strong incentive to sell their camera models to camera retailers in Europe-Africa at a lower average wholesale price than the average wholesale prices charged to camera retailers in the Asia-Pacific region because they incur significantly lower marketing costs per action camera sold/shipped to camera retailers in Europe-Africa than they do for action cameras sold/shipped to camera retailers in the Asia-Pacific region.

Besides, the costs of shipping AC cameras from Taiwan to camera retailers in Europe-Africa are $2 lower per camera than the costs of shipping AC cameras from Taiwan to retailers in the Asia-Pacific region. These two factors together provide a higher incentive for selling their camera models in Europe-Africa than the Asia-Pacific region. However, there is no information given in the passage about import duties and production/assembly costs that could impact the price. Also, there is no information given about warranty repair costs in relation to the price of cameras sold to different regions.

In conclusion, based on the given passage, the makers of action-capture cameras have a strong incentive to sell their camera models to camera retailers in Europe-Africa at a lower average wholesale price than the average wholesale prices charged to camera retailers in the Asia-Pacific region because they incur significantly lower marketing costs per action camera sold/shipped to camera retailers in Europe-Africa than they do for action cameras sold/shipped to camera retailers in the Asia-Pacific region. This is the only information given in the passage regarding the price of action-capture cameras sold in different regions. Therefore, the answer to the question is: "because they incur significantly lower marketing costs per action camera sold/shipped to camera retailers in Europe-Africa than they do for action cameras sold/shipped to camera retailers in the Asia-Pacific region."

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Companies that use a _____ have typically been those with mature product lines and stable technologies.
a. global dynamic structure
b. global geographic structure
c. global matrix structure
d. global product structure

Answers

Global product structure The concept of global emphasizes the interconnectedness and interdependence of nations, cultures, and economies.

Global refers to something that encompasses or relates to the entire world or a significant portion of it. It signifies a broad and interconnected perspective that transcends geographical boundaries. In the context of business, global represents the expansion, reach, and impact of companies beyond their domestic markets, operating on an international scale. Globalization has facilitated the growth of global trade, investments, and cultural exchange, leading to an interconnected global economy. It has given rise to multinational corporations, global supply chains, and increased competition. Global initiatives and collaborations address global challenges such as climate change, poverty, and human rights. The concept of global emphasizes the interconnectedness and interdependence of nations, cultures, and economies.

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Suppose you buy a 2-year 4% coupon annual paying bond, with face value equal to $1000, and a YTM of 4%. You hold the bond until maturity. From year 1 to year 2, you reinvest the coupon at 8% interest rate. The annualized holding period return on that investment is

A. Greater than the YTM of 4%

B. Equal to the YTM of 4%

C. Smaller than the YTM of 4%

D. There is not enough information to answer this question

Answers

The annualized holding period return on an investment is the overall return earned on an investment over a specific period of time, taking into account both the coupon payments and the reinvestment of those payments.

In this case, you have purchased a 2-year 4% coupon bond with a face value of $1000 and a yield to maturity (YTM) of 4%. The YTM represents the annualized rate of return you would earn if you held the bond until maturity. To calculate the annualized holding period return, we need to consider the coupon payments and the reinvestment of those payments. The coupon payment each year would be 4% of the face value, which is $40. In the first year, you receive a coupon payment of $40. You decide to reinvest this payment at an 8% interest rate. After one year, the value of your reinvestment would be $40 * (1 + 8%) = $43.20.

In the second year, you receive another coupon payment of $40 and decide to reinvest it at an 8% interest rate. After one year, the value of your reinvestment would be $40 * (1 + 8%) = $43.20. At the end of the second year, you receive the face value of the bond, which is $1000. So, the total value of your investment at the end of the second year would be $1000 + $43.20 + $43.20 = $1086.40. To calculate the annualized holding period return, we need to find the equivalent rate of return per year over the 2-year period. We can use the following formula: Annualized Holding Period Return = (Total Value of Investment / Initial Investment)^(1/Number of Years) - 1

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Required information [The following information applies to the questions displayed below.] As of June 30, Year 1 , the bank statement showed an ending balance of $17,292. The unadjusted Cash account balance was $16,259. The following information is available: 1. Deposit in transit $2,365. 2. Credit memo in bank statement for interest earned in June: $20. 3. Outstanding check: $3,385. 4. Debit memo for service charge: $7. o. Record in general journal format the adjusting entries necessary to correct the unadjusted book balance. (If no entry is required for anansaction/event, select "No journal entry required" in the first account field.) Journal entry worksheet Note: Enter debits betore crecits.

Answers

In order to prepare the adjusting entries to correct the unadjusted book balance, the following journal entry must be prepared:

Journal Entry Worksheet

Account Title

Debit

Credit

Cash $15,244$985

Service charges$7

-$7

Deposit in Transit$2,365

-$2,365

Outstanding checks-$3,385

$3,385

Interest Income-$20

$20

How to determine?

To determine the amount of cash at the end of the year, adjustments must be made. The unadjusted cash account balance was $16,259, but the bank statement showed an ending balance of $17,292, so the adjustments are as follows:

Deposit in transit is added to the bank balance as it is money that is expected to arrive and will eventually clear.

Outstanding checks must be deducted from the bank balance as they are checks that have already been written and sent but have yet to clear the bank account.

The service charge must be deducted from the book balance as it is a bank expense that has not been recorded in the books.

Interest income must be added to the book balance as it is a bank revenue that has not been recorded in the books.

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Which statement best describes the main aim of accounting?
Select one:
A.
To ensure that the summary of assets balance with the summary of liabilities
B.
To provide useful financial information for decision making to a wide range of users
C.
To help entities balance their financial information
D.
To produce a trial balance
E.
To record every financial transaction individually

Answers

The statement that best describes the main aim of accounting is: To provide useful financial information for decision making to a wide range of users.

Accounting is a systematic process that entails collecting, classifying, and organizing financial data and transactions, preparing and presenting financial statements that demonstrate business performance, and disclosing this information to a wide range of users. Accounting is used to determine a company's financial position by examining its assets, liabilities, and equity. Liabilities are a business's obligations to its creditors and are divided into current liabilities, which must be paid within a year, and long-term liabilities, which can be paid over a longer period of time.What is financial?Financial refers to the monetary aspects of a company's business activities, such as transactions, investments, and the flow of money in and out of a business.Liabilities are an essential component of the balance sheet. Liabilities are obligations or debts that a business owes to outside parties, which include bank loans, mortgages, notes payable, accounts payable, and accrued expenses.

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An investor can design a risky portfolio based on two stocks, S and B. Stock S has an expected return of 14% and a standard deviation of return of 32%. Stock B has an expected return of 12% and a standard deviation of return of 23%. The correlation coefficient between the returns of S and B is -0.58. The risk-free rate of return is 5%. The proportion of the optimal risky portfolio that should be invested in stocks S and B are approximately ______

Answers

The proportion of the optimal risky portfolio that should be invested in stocks S and B are approximately calculated by using the Capital Asset Pricing Model (CAPM) formula.

More than 100 words to explain the calculation of the proportion of the optimal risky portfolio that should be invested in stocks S and B:CAPM Formula: E(Ri)

= Rf + βi[E(Rm) - Rf]The CAPM formula will be used to calculate the expected return of each stock by calculating the systematic risk and market risk. The systematic risk is calculated using beta (β).Beta (β)

= Cov (Ri, Rm)/

= Cov (Rs,Rm)/Var(Rm)

= -0.58 x (32%/100%) x (23%/100%) + (1 - 0.58) x (32%/100%) x (32%/100%)

= 0.01384Stock B Beta(β) = Cov(Rb,Rm)/Var(Rm)

= -0.58 x (23%/100%) x (32%/100%) + (1 - 0.58) x (23%/100%) x (23%/100%)

= 5% + 0.01384(10% - 5%)

= 5.069%Stock B Expected Return = 5% + 0.02771(10% - 5%)

= (5.688% - 5%)/ (23%)2 = 0.001421Therefore, the proportion of the optimal risky portfolio that should be invested in stocks S and B are systematic 0.0105 and 0.1421 respectively.

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A company pays out 38 % of its earnings in dividends. Its return on equity is 12 % . What is its growth rate? Enter in percent'and round to two decimal places.

Answers

A company pays out 38% of its earnings in dividends.

Its return on equity is 12%.

We are to calculate its growth rate.

Growth rate:

This is the percentage at which a company's earnings or finances will expand over time.

The growth rate helps investors and analysts assess the company's prospective development.

Growth rates are determined by comparing present or past earnings or other variables to those of a comparable point in the future.

Let's solve for the growth rate.

The formula for growth rate is:

Growth rate = Return on Equity × (1 – Dividend Payout Ratio)

We know that Return on equity is 12% and dividend payout ratio is 38% = 0.38.

Growth rate = Return on Equity × (1 – Dividend Payout Ratio)

Growth rate = 0.12 × (1 – 0.38) = 0.12 × 0.62 = 0.0744

The growth rate is 7.44%.

the answer is 7.44%.

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What is the present value of an annuity consisting of 20 end of year payments of $500 when the interest rate is 11 percent? Use your financial calculator

Answers

To calculate the present value of an annuity, we can use the present value of an ordinary annuity formula. The present value of the annuity would be $5,747.14 (rounded to two decimal places).

To calculate the present value of an annuity, we can use the present value of an ordinary annuity formula:

Present Value = Payment × [1 - (1 + Interest Rate)^(-Number of Periods)] / Interest Rate

Using the given values:

Payment = $500

Interest Rate = 11% (or 0.11)

Number of Periods = 20

Let's calculate the present value using these values:

Present Value = $500 × [1 - (1 + 0.11)^(-20)] / 0.11

Using a financial calculator, the present value of the annuity would be $5,747.14 (rounded to two decimal places).

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Stacy makes monthly payments of $450 to pay off her student loan. Due to unemployment, she defaulted on her last two payments. If she wants to get out of arrears, what amount should she pay for her next payment? Assume the defaulted payments are compounded monthly at a rate of 4%.

Answers

Rounded to the nearest cent, Stacy should pay approximately $484.08 for her next payment to get out of arrears.

To calculate the amount Stacy should pay for her next payment in order to get out of arrears, we need to consider the defaulted payments, their compounding, and the monthly payment amount.

Let's assume the two defaulted payments are P1 and P2. The amount she needs to pay to get out of arrears can be calculated as follows:

Calculate the future value of the two defaulted payments compounded monthly:

Future Value = (P1 + P2) * (1 + Interest Rate)^2

Where:

P1 and P2 are the amounts of the defaulted payments.

Interest Rate is the interest rate per compounding period, which is 4% or 0.04 (expressed as a decimal).

Calculate the total amount needed to get out of arrears:

Total Amount = Future Value + Monthly Payment

Calculate the amount she should pay for her next payment to get out of arrears:

Next Payment = Total Amount - P1 - P2

Let's assume P1 = $450 (first defaulted payment) and P2 = $450 (second defaulted payment). We can now calculate the next payment:

Future Value = ($450 + $450) * (1 + 0.04)^2 ≈ $934.08

Total Amount = $934.08 + $450 = $1384.08

Next Payment = $1384.08 - $450 - $450 = $484.08

Rounded to the nearest cent, Stacy should pay approximately $484.08 for her next payment to get out of arrears.

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Suppose Ross wants to reexamine his decision of buying the bracket and is considering making the brackets in-house. He has determined that setup costs would be $25 in machinist time and lost production time, and 50 brackets could be produced in a day once the machine has been set up. Ross estimates that the cost (including labor time and materials) of producing one bracket would be $14,80. The holding cost would be 10% of this cost. Required: a) What is the daily demand rate? b) What is the optimal production quantity? Round up to nearest whole number. c) Given the optimal production run size in part b, what is the total annual inventory cost (including purchase cost, holding, and setup costs)?

Answers

The daily demand rate is 100 brackets. This is calculated by dividing the annual demand of 10,000 brackets by the number of days in a year, which is 365.

The optimal production quantity is 60 brackets. This is calculated using the economic order quantity (EOQ) formula, which is:

Code snippet

EOQ = sqrt(2DS/H)

Use code with caution. Learn more

where:

D = daily demand rate = 100 brackets

S = setup costs = $25

H = holding costs = 10% * $14.80 = $1.48

The total annual inventory cost is $1,735. This is calculated by adding the annual purchase cost, holding cost, and setup cost. The annual purchase cost is $1,480. This is calculated by multiplying the annual demand of 10,000 brackets by the cost per bracket of $14.80. The annual holding cost is $295. This is calculated by multiplying the optimal production quantity of 60 brackets by the holding cost per bracket of $1.48 and the number of days in a year, 365. The annual setup cost is $912.50. This is calculated by multiplying the number of setups per year, 10,000 / 60 = 166.67, by the setup cost of $25. The total annual inventory cost is $1,735. This is calculated by adding the annual purchase cost of $1,480, the annual holding cost of $295, and the annual setup cost of $912.50.

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What is Hewlett-Packard's contingency plan?

Answers

Hewlett-Packard's contingency plan is a strategy designed to help the organization continue to operate or recover quickly in the event of an unforeseen circumstance or disaster. The plan outlines procedures and policies to keep vital business functions running and minimize any potential loss during an emergency.

What is Hewlett-Packard's contingency plan?

Hewlett-Packard's contingency plan is a strategy designed to help the organization continue to operate or recover quickly in the event of an unforeseen circumstance or disaster.

The contingency plan helps Hewlett-Packard maintain its operations even when unforeseen events, such as natural calamities, terrorist attacks, or pandemics, threaten business continuity. It aims to keep business running by identifying the risks to business continuity and the resources required to mitigate them. The contingency plan outlines the necessary steps to minimize the impact of such risks on the company and its stakeholders.

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alculate the price earnings ratio, PEG ratio, dividend rate, and dividend payout ratio for each of the Ilowing companies. Will each ratio consistently rank the companies from "best" to "worst" perform

Answers

We would want precise financial data for each company in order to rate them from "best" to "worst" performance based on numerous ratios. I can, however, describe each ratio's calculation and broad meaning.

1. The price-to-earnings ratio (P/E ratio) is determined by dividing the market price per share by the earnings per share (EPS). It shows how highly the market values a company in relation to its earnings. If all else is equal, a lower P/E ratio typically indicates a better value investment. However, since different industries can have different average ratios, it's crucial to compare P/E ratios within the same industry. 2. PEG Ratio: This valuation metric combines the P/E ratio and expected earnings growth rate of a company.  By dividing the P/E ratio by the earnings growth rate, it is computed. A stock's PEG ratio can be used to determine if it is overvalued or undervalued in light of its growth potential. Generally speaking, a lower PEG ratio is better because it indicates better value in relation to growth potential. 3. Dividend Rate: The dividend rate is calculated by dividing the annual dividend payment per share by the share's market price. Dividends are used to indicate the return on investment. Income-seeking investors may find a higher dividend rate to be appealing because it often denotes a larger dividend return on investment. 4. Dividend Payout Ratio: To determine the dividend payout ratio, divide the earnings per share by the annual dividends per share. It exhibits percentage of earnings distributed as dividends. A higher payout ratio denotes a greater distribution of earnings to shareholders, whereas a lower ratio signals a corporation maintains more money for expansion or other objectives. You would need to analyse these ratios for each company in order to rate them, taking into account their unique circumstances, industry standards, and investor preferences. In general, favourable performance can be indicated by reduced P/E and PEG ratios, greater dividend rates, and a suitable dividend payment ratio, but a thorough study would require individual financial data for each company.

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When the price of a product is p dollars each, suppose that a manufacturer will supply 2p−10 units of the product to the market and that consumers will demand to buy 180−3p units. At the value of p for which supply equals demand, the market is said to be in equilibrium. Find this value of p. $... The value of p is (Simplify your answer.)

Answers

The value of p at which supply equals demand and the market is in equilibrium is $38.

To find this value, we set the supply (2p - 10) equal to the demand (180 - 3p) and solve for p. By simplifying the equation, we find that p = 38. Therefore, when the price of the product is $38, the market is in equilibrium with the quantity supplied equal to the quantity demanded. To find the value of p at which supply equals demand and the market is in equilibrium, we need to set the supply equal to the demand and solve for p.

Supply = 2p - 10

Demand = 180 - 3p

Setting the supply equal to the demand:

2p - 10 = 180 - 3p

Adding 3p to both sides:

5p - 10 = 180

Adding 10 to both sides:

5p = 190

Dividing both sides by 5:

p = 38

Therefore, the value of p at which supply equals demand and the market is in equilibrium is $38.

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Change in CA=500 and change in Cl=570, what implicafions on cash fiows we would have: Select one: a. decrease by 70 b. increase by 70 c. increase by 570 d. increase by 1070

Answers

The net cash flow will decrease by $70. Thus, the correct option is (a) decrease by 70.

The changes in current assets and current liabilities will result in a change in cash flows. Here, the change in current assets is given as $500 and the change in current liabilities is given as $570.

Now, let us discuss the implications of these changes on cash flows. When the current assets increase, the cash outflow also increases, and vice versa. Similarly, when the current liabilities increase, the cash inflow increases, and vice versa. Hence, to find the net cash flow, we need to determine the difference between the changes in current assets and current liabilities.

We have,Change in CA = $500

Change in Cl = $570

To find the implication on cash flows, we will use the following formula:

Net cash flow = Change in CA - Change in Cl

Substituting the given values in the above formula, we get,

Net cash flow = $500 - $570

Net cash flow = -$70

Hence, the net cash flow will decrease by $70. Therefore, the correct option is (a) decrease by 70.

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a manufacturer that is distributing coupons via the third screen is distributing them how?

Answers

A manufacturer distributing coupons via the third screen is utilizing digital platforms such as smartphones, tablets, or other portable devices to distribute these coupons.

The concept of the "third screen" refers to the use of mobile devices as a medium for delivering content and advertising to consumers. In this context, the manufacturer is leveraging digital technology to disseminate coupons directly to users' mobile screens. This can be achieved through various methods, such as mobile apps, SMS marketing, email campaigns, or mobile-friendly websites. By embracing the third screen, manufacturers can reach a wider audience, engage with customers in real-time, and provide personalized offers and promotions. This approach offers convenience to consumers, as they can easily access and redeem the coupons directly from their mobile devices. Additionally, it allows manufacturers to track the effectiveness of their coupon campaigns, gather valuable customer data, and adapt their marketing strategies accordingly. Overall, leveraging the third screen for coupon distribution enables manufacturers to enhance their reach and engagement while catering to the growing digital preferences of consumers.

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Highlight the importance of Partnership Act in canada?

Answers

The Partnership Act in Canada is a law that governs the way partners interact and conduct business. This Act regulates the relationship between partners and defines the rights and responsibilities of partners in Canada.

It plays a crucial role in the partnership business. The Partnership Act is vital in ensuring that all business partnerships are legally binding and are conducted according to a specific set of rules.
The act ensures that every partner has an equal say in the decision-making process. This is important because it helps to prevent conflicts between the partners and helps to ensure that all partners are treated equally. This is particularly important in smaller businesses where there are only a few partners. By establishing a set of rules that all partners must follow, the Partnership Act ensures that everyone is on the same page and working towards the same goals.
Another important role of the Partnership Act is to protect the partners' rights. It lays down the rules for sharing profits and losses and ensures that each partner receives a fair share of the profits. It also specifies the responsibilities of each partner and the actions that can be taken against a partner who does not meet their obligations. This ensures that no partner is taken advantage of and that each partner has equal rights and is protected by the law.
The Partnership Act is important in Canada as it regulates the relationship between partners in a business partnership. It ensures that all partners have equal say in the decision-making process, protects the rights of each partner, and provides a set of rules that all partners must follow. By doing this, it ensures that business partnerships are legally binding and are conducted according to a specific set of rules.

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g bryant manufacturing produces its product in two sequential processing departments. during october, the first process finished and transferred 314,000 units of its product to the second process. of these units, 67,000 were in process at the beginning of the month and 247,000 were started and completed during the month. at month-end, 47,000 units were in process. using the fifo method, compute the number of equivalent units of production for direct materials for the first process for october assuming that beginning work in process inventory is 30% complete for direct materials cost and ending inventory is 80% complete for direct materials cost.

Answers

The number of equivalent units of production for direct materials for the first process for October is 294,700 units.

The Calculation

Here is the calculation of the number of equivalent units of production for direct materials for the first process for October using the FIFO method

Equivalent units of production for beginning work in process inventory = (67,000 units * 30%) = 20,100 units

Equivalent units of production for units started and completed = (247,000 units * 100%) = 247,000 units

Equivalent units of production for ending work in process inventory = (47,000 units * 80%) = 37,600 units

Total equivalent units of production for direct materials = 20,100 units + 247,000 units + 37,600 units = 294,700 units

Therefore, the number of equivalent units of production for direct materials for the first process for October is 294,700 units.

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