FILL THE BLANK. "Answer this multiple question?1. Risk ___________ is the measure
of the degree of acceptable variation around a program objective
that reflects the risk appetite of the organization and program
stakeh"

Answers

Answer 1

.The risk tolerance level will depend on the organization's overall risk appetite, the type and scope of the program or project being implemented, and the program or project stakeholders' risk appetite and tolerance.

Given statement is,“Risk ___________ is the measure of the degree of acceptable variation around a program objective that reflects the risk appetite of the organization and program stakeh”.The blank space is to be filled, and the answer is "tolerance".Risk tolerance is the measure of the degree of acceptable variation around a program objective that reflects the risk appetite of the organization and program stakeholders. The term “risk tolerance” is used to describe the degree of uncertainty that an organization is willing to tolerate when pursuing an objective or implementing a program or project.The risk tolerance level will depend on the organization's overall risk appetite, the type and scope of the program or project being implemented, and the program or project stakeholders' risk appetite and tolerance.

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Related Questions

For the following, please answer "True" or "False" and explain
why.
Firms price discriminate to maximize total revenue.

Answers

Firms price discriminate to maximize total revenue because it helps them to extract the maximum amount of surplus from their consumers. Therefore the given statement "Firms price discriminate to maximize total revenue" is True.

It's a common practice that involves charging different prices for the same good or service depending on the customer's willingness to pay (WTP). In price discrimination, firms charge higher prices to consumers who have a higher WTP and lower prices to consumers who have a lower WTP. The goal of price discrimination is to sell more units of a product to capture more of the consumer surplus that would have otherwise been lost if all consumers had been charged a single price.

Price discrimination can take different forms. The most common ones include first-degree, second-degree, and third-degree price discrimination.

In first-degree price discrimination, also known as perfect price discrimination, firms charge each consumer the exact price they're willing to pay, which maximizes their revenue.

Second-degree price discrimination involves offering different prices based on quantity purchased.

Third-degree price discrimination occurs when firms charge different prices to different groups of consumers based on their characteristics such as age, income, and location.To sum up, firms practice price discrimination to maximize their revenue by charging different prices to different consumers based on their willingness to pay.

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QUESTION 22 If the private value to a firm from using a smoke chimney is $20 per hour and the external cost to nearby residents is $5 per hour, what is the social value from the firm using a smoke chimney $5 $15 $20 $25

Answers

The social value from the firm using a smoke chimney is $15 per hour.

To determine the social value, we need to consider both the private value to the firm and the external cost to nearby residents. The private value to the firm is $20 per hour, representing the benefit or value the firm derives from using the smoke chimney.

However, there is also an external cost associated with the smoke chimney use, which is the harm or cost imposed on nearby residents. In this case, the external cost is $5 per hour.

To calculate the social value, we subtract the external cost from the private value. In this scenario, the social value is $20 (private value) minus $5 (external cost), which equals $15 per hour.

The social value represents the net benefit to society, taking into account both the benefits to the firm and the costs imposed on others. In this case, the social value reflects the positive impact of the firm's use of the smoke chimney while considering the negative effects on nearby residents.

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Adopting Lean Six Sigma (LSS) methodologies can help employees
manage their time better, resulting in a more productive and
efficient end-product. Explain how Lean Six Sigma (LSS) deployment
has helpe

Answers

The deployment of Lean Six Sigma (LSS) methodologies has proven to help employees manage their time better, leading to increased productivity and efficiency.

Lean Six Sigma (LSS) is a powerful methodology that combines Lean principles and Six Sigma tools to drive process improvement and enhance organizational performance. One of the key benefits of LSS deployment is the improvement in time management for employees.LSS focuses on identifying and eliminating waste in processes, such as unnecessary tasks, rework, waiting time, and excessive movement. By streamlining workflows and eliminating non-value-added activities, employees can utilize their time more efficiently and effectively. This leads to improved productivity as they can concentrate on value-adding tasks that contribute directly to the end-product or service.

Additionally, LSS emphasizes process optimization and reducing process variation. By identifying and addressing root causes of inefficiencies, LSS helps employees work smarter rather than harder. Through data-driven analysis and the use of statistical tools, LSS allows for better understanding and control of processes, enabling employees to make informed decisions and allocate their time wisely.

Furthermore, LSS encourages the use of standardized work procedures and visual management techniques. This promotes consistency, clarity, and transparency in task management. Employees can follow standardized processes, reducing ambiguity and confusion, and improving overall efficiency. Visual management tools such as Kanban boards and visual cues help employees prioritize tasks, track progress, and manage their time effectively.

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workers who organize themselves along industry lines are represented by:____

Answers

Workers who organize themselves along industry lines are represented by labor unions, professional associations, and trade unions.

These organizations serve as collective bodies to protect and advocate for the rights and interests of workers within specific industries. Labor unions are formed by workers in a particular industry or occupation, coming together to negotiate better wages, working conditions, benefits, and other employment-related issues with employers. They aim to ensure fair treatment, secure job stability, and provide a platform for workers to voice their concerns collectively.

Professional associations, on the other hand, focus on representing and supporting professionals within specific fields, such as doctors, engineers, or teachers, offering resources, networking opportunities, and advocating for professional standards. Trade unions typically represent workers in skilled trades or crafts and work to protect their rights, safety, and training requirements.

In summary, workers who organize themselves along industry lines can be represented by labor unions, professional associations, and trade unions, depending on their occupation and specific needs. These organizations play a crucial role in safeguarding the interests and well-being of workers within their respective industries.

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In Year 1, Lee Inc. billed its customers $62,000 for services performed. The company collected $51,000 of the amount billed. Lee incurred $39,000 of other operating expenses on account. Lee paid $31,000 of the accounts payable. Lee acquired $40,000 cash from the issue of common stock. The company invested $21,000 cash in the purchase of land.
Required
(Hint: Identify the six events described in the paragraph and record them in general ledger accounts under an accounting equation before attempting to answer the questions.) Use the preceding information to answer the following questions:
What amount of revenue will Lee report on the Year 1 income statement?
What amount of cash flow from revenue will be reported on the statement of cash flows?
What is the net income for the period?
What is the net cash flow from operating activities for the period?
What is the amount of net cash flow from investing activities?
What is the amount of net cash flow from financing activities?
What amounts of total assets, liabilities, and equity will be reported on the year-end balance sheet?

Answers

The cash flow from revenue reported on the statement of cash flows will be $51,000. The net income for the period is $23,000. The net cash flow from operating activities is $12,000. The net cash flow from investing activities is -$21,000. The net cash flow from financing activities is $40,000. The total assets, liabilities, and equity reported on the year-end balance sheet will depend on additional information not provided.

According to the information provided, Lee Inc. billed its customers $62,000 for services performed, which will be reported as revenue on the Year 1 income statement.

The cash flow from revenue reported on the statement of cash flows will be the amount collected from customers, which is $51,000. This represents the cash inflow resulting from the revenue earned.

To calculate the net income for the period, we need to consider the revenue and subtract the other operating expenses incurred. In this case, the net income is $62,000 - $39,000 = $23,000.

The net cash flow from operating activities is determined by considering the cash inflows and outflows related to operating activities. In this case, the cash collected from customers is an inflow, and the payment of accounts payable is an outflow. Thus, the net cash flow from operating activities is $51,000 - $31,000 = $20,000.

The net cash flow from investing activities represents the cash flow resulting from the acquisition or sale of assets. In this case, Lee Inc. invested $21,000 in the purchase of land, resulting in a cash outflow of $21,000.

The net cash flow from financing activities reflects the cash flow resulting from activities related to financing the company. Here, Lee Inc. acquired $40,000 cash from the issue of common stock, resulting in a cash inflow of $40,000.

The amounts of total assets, liabilities, and equity reported on the year-end balance sheet cannot be determined solely based on the given information. Additional data about the company's transactions, including assets acquired, liabilities incurred, and equity changes, is needed to calculate the balances reported on the balance sheet.

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Because of the difference in non-market activities, per capita
GDP can be a poor measure or standard of living for people living
in a specific country.

Answers

Per capita GDP can indeed be a poor measure or standard of living for people living in a specific country due to the difference in non-market activities.

Per capita, GDP is a commonly used indicator to measure the average economic well-being of individuals in a country. It is calculated by dividing the total GDP of a country by its population.

However, per capita GDP fails to capture certain non-market activities that significantly contribute to people's overall standard of living.

Non-market activities are economic activities that occur outside of the formal market sector, such as unpaid household work, caregiving, volunteer work, and subsistence farming.

These activities are often not monetized or accounted for in traditional GDP calculations. As a result, relying solely on per capita GDP can lead to an incomplete understanding of the standard of living in a country.

For example, consider a country where a large portion of the population engages in subsistence farming to meet their basic needs.

Although this agricultural activity contributes to the well-being and sustenance of individuals, it may not be reflected in the country's GDP figures, as it is not part of the formal market economy.

In such cases, per capita GDP would not accurately reflect the living conditions and quality of life experienced by the people in that country.

In conclusion, per capita GDP can be a poor measure or standard of living for people living in a specific country because it fails to account for non-market activities.

To obtain a more comprehensive understanding of people's well-being, it is essential to consider additional indicators that capture non-market activities, such as measures of human development, inequality, and access to basic services like healthcare and education.

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how should texas deal with increasing rates of incarceration

Answers

Texas can take several steps to deal with the increasing rates of incarceration:

Reforming mandatory minimum sentencing laws: One way to reduce incarceration rates is by reforming mandatory minimum sentencing laws, which often result in unnecessarily long sentences for non-violent offenses.

Expanding diversion programs: Texas can expand diversion programs that divert offenders away from the criminal justice system and provide them with alternative forms of rehabilitation, such as drug treatment or mental health services.

Investing in community-based alternatives: Texas can invest in community-based alternatives to incarceration, such as probation, parole, and electronic monitoring, which are often less expensive than imprisonment and can be equally effective at reducing recidivism rates.

Addressing racial disparities: Texas can take measures to address racial disparities in the criminal justice system, such as implementing bias training for law enforcement officers and prosecutors, and reviewing policies and practices that lead to racial inequities in arrests, charging, and sentencing.

Reimagining policing: Texas can also explore alternative models of policing that prioritize community engagement, mental health and social service provision, and de-escalation tactics instead of relying on punitive approaches to crime control.

These are just a few possible strategies that Texas can pursue to address the issue of mass incarceration. By taking a comprehensive and evidence-based approach to criminal justice reform, Texas can reduce its prison population while maintaining public safety and promoting fairness and equity in the criminal justice system.

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the+interest+on+a+$25000,+6%,+30-day+note+receivable+is+(use+360+days+for+calculation.)

Answers

To calculate the interest on a $25,000, 6%, 30-day note receivable using a 360-day calculation, we can use the formula: Interest = Principal x Rate x Time. In this case, the principal is $25,000, the rate is 6%, and the time is 30 days.

First, we need to convert the time from days to years since the interest rate is an annual rate. We divide 30 days by 360 days to get 0.0833 years.

Next, we plug in the values into the formula: Interest = $25,000 x 0.06 x 0.0833.

Calculating this, we find that the interest on the note receivable is approximately $124.98.

Therefore, the interest on the $25,000, 6%, 30-day note receivable using a 360-day calculation is approximately $124.98. This represents the cost of borrowing the principal amount for the given time period at the specified interest rate.

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Interpret the benefits of communicating Key Audit Matters (KAM) and how it adds value to various stakeholders.

Answers

Communicating Key Audit Matters (KAM) in audit reports provides several benefits to various stakeholders. Firstly, it enhances transparency and accountability by highlighting the most significant areas of the audit. This helps shareholders, investors, and financial analysts gain a deeper understanding of the audit process and the specific risks and challenges faced by the audited entity.

Secondly, KAM improves the relevance and usefulness of audit reports by focusing on matters that are most important to stakeholders. It provides valuable insights into the financial health, internal controls, and overall performance of the audited entity.Additionally, KAM adds value by promoting better corporate governance. It encourages management to address and rectify key audit issues, thereby improving the reliability and accuracy of financial statements.Overall, communicating KAM fosters trust and confidence among stakeholders, facilitates informed decision-making, and ultimately contributes to the overall effectiveness and credibility of the audit process.

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An activity, A, has two succeeding activities, B and C. Given the following information, determine the latest starting time for activity A. EF B =40, EF C = 42, LF B =46, LF C = 57; activity times are

Answers

The latest starting time for activity A is 46 if activity, A, has two succeeding activities, B and C.

What do you mean by the activity?

An activity is something you do, or just the state of doing. You might plan some indoor activities for a rainy day, or you might just rely on watching your gerbils' activity in their cage. Usually, when you use an article like an or the in front of activity, you are referring to a specific event.

To determine the latest starting time for activity A, we need to find the latest finish time for both activities B and C. The latest finish time (LF) for an activity is the latest time at which the activity can be completed without delaying the project.

Given the following information:

EF B = 40

EF C = 42

LF B = 46

LF C = 57

To find the latest starting time for activity A, we need to find the minimum of the latest finish times for activities B and C.

Latest Finish Time for A (LF A) = min(LF B, LF C)

LF A = min(46, 57) = 46

Therefore, the latest starting time for activity A is 46.

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The following data show the number of hours per day 12 adults spent in front of screens watching television-related content. Complete parts a and b below. 1.4 4.7 3.8 5.3 7.9 6.6 5.5 3.2 5.6 1.1 2.6 8

Answers

a) To find the mean (average) number of hours per day that the adults spent in front of screens watching television-related content, we add up all the values and divide by the total number of values.

Adding up the values: 1.4 + 4.7 + 3.8 + 5.3 + 7.9 + 6.6 + 5.5 + 3.2 + 5.6 + 1.1 + 2.6 + 8 = 55.7

Total number of values: 12

Mean = Sum of values / Total number of values = 55.7 / 12 = 4.6417 (rounded to four decimal places)

The mean number of hours per day spent in front of screens watching television-related content is approximately 4.6417 hours.

b) To find the median, we arrange the values in ascending order and find the middle value. If there are an odd number of values, the median is the middle value. If there are an even number of values, the median is the average of the two middle values.

Arranging the values in ascending order: 1.1, 1.4, 2.6, 3.2, 3.8, 4.7, 5.3, 5.5, 5.6, 6.6, 7.9, 8

Since there are 12 values, which is an even number, we take the average of the two middle values.

Middle values: 3.8 and 4.7

Median = (3.8 + 4.7) / 2 = 8.5 / 2 = 4.25

The median number of hours per day spent in front of screens watching television-related content is 4.25 hours.

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Question 1
A manufacturing company, VMTC PLC, makes the product, blitz. Monthly sales for the first five months of 2022 have been estimated as:
Month Units
January 210 000
February 180 000
March 210 000
April 220 000
May 200 000
Additional Information:
i. Actual units sold in 2021 November and December were 190 000 and 220 000, respectively.
ii. One unit of blitz requires 2 kg of material at $3.50 per kg.
iii. One unit of blitz requires half an hour of direct labour at a rate of $12 per hour.
iv. Based on past experience, 60% of cash is received in the month of sale, 25% the following month, 10% two months after and 5% is usually irrecoverable.
v. Selling price is $18 per unit.
vi. The company intends to have finished stock at the end of each month equivalent to 15% of the following month’s budgeted sales. The policy regarding stock of raw materials is to have 25% of the following month’s production requirements.
vii. Stocks at 2022 January 01 are estimated to be 22 000 units of finished goods and 104 000 kg of raw materials.

Answers

The first step is to determine the production of each month. To get the production, we have to subtract the opening finished goods from sales and then add the closing stock.

The above table shows the production of each month. Therefore, we require 2 x 243 000 = 486 000 kg of raw materials in January. The cost of raw materials would be $3.50 x 486 000 = $1 701 000.We require half an hour of direct labor at a rate of $12 per hour to produce one unit of blitz.

Therefore, the cash receipts for the five months are as follows: Month Cash Receipts January 210 000 x 60% x $18 = $2 268 000 February 190 000 x 60% x $18 + 210 000 x 25% x $18 = $3 276 000 March 180 000 x 60% x $18 + 190 000 x 25% x $18 + 210 000 x 10% x $18 = $4 338 000 April 210 000 x 60% x $18 + 180 000 x 25% x $18 + 190 000 x 10% x $18 = $4 338 000 May 200 000 x 60% x $18 + 210 000 x 25% x $18 + 180 000 x 10% x $18 = $4 338 000.

Therefore, the budgeted sales for June are 230 000 x 1.15 = 264 500. Therefore, the finished goods stock for May would be 264 500 x 15% = 39 675 units.The policy regarding stock of raw materials is to have 25% of the following month’s production requirements. Therefore, the budgeted production for June is 264 500.

We can now conclude that the company has estimated monthly sales of Blitz from January to May. It has been found that the raw materials purchased is $1,701,000, and the direct labor cost is $1,458,000. The budgeted profit for January, February, March, April and May is $621,000, $1,242,000, $1,598,500, $1,599,750 and $735,000 respectively.

The company has also found the cash receipts of the five months, and the value of the closing stock of raw materials is $364,000, while the value of the closing stock of finished goods is $396,000. Finally, the company intends to have finished stock at the end of each month equivalent to 15% of the following month’s budgeted sales, and the policy regarding stock of raw materials is to have 25% of the following month’s production requirements.

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[25 MARKS] Two individuals are the only participants in an auction. The rules of the auction are the following. The winner is the one who makes a higher bid than the other (if each individual makes the same offer the winner is chosen at random). The one who wins the good pays a price which is equal to the other individual's offer plus 10 dollars. Suppose that for individual 1 the asset is worth $100 and he only knows that for the other individual the value is positive and less than $200, but does not know the exact value. Argue which offer is worth making for individual 1. Explain your reasoning in detail.

Answers

It is important to consider the potential outcomes and expected payoff of each offer in order to determine the best strategy.

1. Individual 1 makes a high bid: If individual 1 makes a bid significantly higher than the expected value of the asset (e.g., $150 or more), the chances of winning the auction are high. In this case, individual 1 would pay the other individual's bid (which is less than $200) plus $10. Thus, individual 1's payoff would be a substantial profit, as the asset is worth $100 to them.

2. Individual 1 makes a low bid: If individual 1 makes a bid close to or below the expected value of the asset (e.g., $100 or less), there is a higher chance of losing the auction. In the event of losing, individual 1 would have no payoff. However, if individual 1 wins the auction with a low bid, they would still have to pay the other individual's bid plus $10, resulting in a negative payoff.

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(16.05)+the+critical+value+z*+for+confidence+level+c+=+75%+is+not+in+table+c

Answers

The critical value for a 75 percent confidence level is not included in the standard normal distribution table. Because of this, an alternate approach for calculating the critical value is required . The critical value of z for a 75% confidence level is not found in the standard normal distribution table.

To calculate the critical value for a confidence interval when the confidence level is less than 90 percent and the standard normal distribution table cannot be used, you can use the following formula : Zc = ± (ZA/2) × (σ /√n)Where , Zc is the critical value for the confidence interval.ZA/2 is the area in the standard normal distribution table that corresponds to the confidence level divided by 2.σ is the population standard deviation, or the standard error of the sample mean.√n is the square root of the sample size .Sample Problem: A concussion study of a football team revealed that the concussion rate per 100 games was 16.05. A confidence interval was developed with a 75% level of confidence. The critical value is not included in the table. How can you obtain the critical value?  Solution : First, convert the percentage of the confidence level into a decimal : 75% = 0.75 Then, calculate the value of α by subtracting the confidence level from 1:α = 1 - 0.75 = 0.25 Divide the value of α by 2 to determine the area in one tail of the distribution:α/2 = 0.25/2 = 0.125The area in the tail is now 0.125.  The intersection of these two values gives a z-value of 1.15. However, when the confidence level is less than 90 percent, the critical values cannot be found in the standard normal distribution table, and alternate approaches are required to calculate the critical value . For a 75 percent confidence level, the critical value of z is not included in the standard normal distribution table. Because of this, an alternate approach for calculating the critical value is required.

A concussion study of a football team revealed that the concussion rate per 100 games was 16.05. A confidence interval was developed with a 75% level of confidence.

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Given: $c = 75$%, level of confidence in percentage form. We are to find if (16.05)The critical value $z_c$ for a given level of confidence, $c$, represents the number of standard deviations from the mean that the confidence interval for a desired level of confidence should be.

It is not in the table if the confidence level is not a standard level of confidence (i.e., not 90%, 95%, or 99%). The z-score for 75% is 0.67. It is not in the z-table for standard normal distribution as the value for the confidence level 75% is not given as a standard level of confidence. Hence the detailed answer is that 0.67 is the $z_c$ value for the given level of confidence $c$ = 75%. It is not in the table because the confidence level 75% is not a standard level of confidence.

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The inventory of XYZ Company on November 30, 2020 shows 2000 units at 10 € per unit. Revenue from sales for December totals € 64,000 (= 3,200 units at € 20 per unit). The following purchases were made during December 2020: Dec. 10: 1,100 units at 20 € per unit Dec. 18 1,000 units at 8 € per unit, Dec 23 900 units at 10 € per unit Requirement: 1. Calculate the cost of goods sold and the inventory cost as of December 31, 2020, using the LIFO method. 2. Compute the gross profit for December 2020.

Answers

To calculate the cost of goods sold and the inventory cost as of December 31, 2020, using the LIFO (Last-In, First-Out) method, Therefore, the gross profit for December 2020 is 45,000 €. we need to follow these steps:

Determine the cost of goods sold:

The LIFO method assumes that the most recently purchased inventory is sold first. Inventory on hand on December 31, 2020:

1,000 units at 8 € per unit (from the December 18 purchase)

900 units at 10 € per unit (from the December 23 purchase)

Total: 1,900 units

Cost of goods sold:

1,900 units x 10 € per unit = 19,000 €

Calculate the inventory cost as of December 31, 2020:

The remaining inventory is valued based on the units purchased earliest (November) and the recent purchases made in December.

Inventory cost:

100 units at 10 € per unit (from the November 30 inventory)

200 units at 10 € per unit (from the December 23 purchase)

Total: 300 units

Inventory cost:

300 units x 10 € per unit = 3,000 €

Now, let's compute the gross profit for December 2020:

Revenue from sales for December: €64,000

Cost of goods sold: €19,000

Gross profit:

Revenue - Cost of goods sold

64,000 € - 19,000 € = 45,000 €

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Club and Restaurant
1) Find out the Regulatory Framework for this category
Entity
2) Cental Area in terms of their Operation
3) Special Consideration

Answers

Regulatory Framework for Club and Restaurant: The regulatory framework for clubs and restaurants can vary depending on the country and jurisdiction.

However, there are some common regulations that are often applicable in many places. Here are some key aspects of the regulatory framework for clubs and restaurants :Licensing: Clubs and restaurants typically require specific licenses and permits to operate legally. These licenses may be issued by local government authorities and may include health and safety permits, alcohol licenses, entertainment licenses, and food handling permits. Health and Safety Regulations: Clubs and restaurants are usually subject to health and safety regulations to ensure the well-being of customers and employees.

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Discussion Questions* 1. Angela is now going to evaluate a new salt process delivery system and wants to know if the upper and lower control limits at 3 standard deviations for the new system will meet the upper and lower control specifications noted earlier. The data (in percents) from the initial trial samples are: Sample 1: 1.98, 2.11, 2.15, 2.06 Sample 2: 1.99, 2.0, 2.08, 1.99 Sample 3: 2.20, 2.10. 2.20, 2.05 Sample 4: 2.18, 2.01, 2.23, 1.98 Sample 5: 2.01, 2.08, 2.14, 2.16 2. Given these data, what,kconclusion do you, as a Frito Lays quality control inspector, draw? What report do yod issue to your supervisor Angela? 3. What are the advantages and disadvantages of Frito-Lay drivers stocking their customers' shelves? 4. Why is quality a critical function at Frito-Lay? Frito-Lay's Quality-Controlled Potato Chips Frito-Lay's Quality-Controlled Potato Chips Frito-Lay, the multi-billion-dolla food giant, produces billions of pounds of product every year at its dozens of U.S. and Canadian plants. From the farming of potatoes-in Florida, North Carolina, and Michigan ack to factory and to retail stores, the ingredients and final product of Lay's chips, for example, are inspected at least 11 times: in the field, before unloading at the plant, after washing and peeling, at the sizing station, at the fryer, after seasoning, when bagged (for weight), at carton filling, in the warehouse, and as they are placed on the store shelf by Frito- Lay personnel. Similar inspections take place for its other famous products, including Cheetos, Fritos, Ruffles, and Tostitos. In addition to these employee inspections, the firm uses proprietary vision systems to look for defective potato chips. Chips are pulled off the high-speed line and checked twice if the vision system senses them to be too brown The company follows the very strict standards of the American Institute of Baking (AIB), standards that are much tougher than those of the U.S. Food

Answers

1. The data shows that all samples of the new salt process delivery system have values above the lower specification limit of 1.90%.

However, Sample 4 has a value below the upper specification limit of 2.25%, while Sample 3 has a value above the upper specification limit. Therefore, the conclusion as a Frito Lays quality control inspector is that there are some concerns about the new salt process delivery system meeting the upper specification limit, but it meets the lower specification limit. The report to be issued to supervisor Angela should include the results of the trial samples for the new salt process delivery system, including the upper and lower control limits at 3 standard deviations for the new system and their comparison with the upper and lower control specifications noted earlier.

2. The advantages of Frito-Lay drivers stocking their customers' shelves are that it enables faster product replenishment and better communication with store managers on inventory levels. The disadvantages are that it increases the workload of Frito-Lay drivers and can lead to inconsistency in how products are presented in different stores.

3. Quality is a critical function at Frito-Lay because it is essential to maintain customer satisfaction and loyalty. Consumers expect high-quality products from Frito-Lay, and any failure to meet their expectations could lead to a loss of revenue and market share. Quality control also helps Frito-Lay minimize costs associated with product recalls, rework, and waste.

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Discuss the motivations and techniques of Asset and Liability
Management.
anage interest rate risk. 8. Discuss the motivations and techniques of Asset and Liability Management.

Answers

Asset and Liability Management (ALM) is a process that involves the management of a financial institution's assets and liabilities in such a way that they maintain an adequate level of liquidity and profitability. In other words, it is a risk management technique that focuses on balancing the risks associated with a bank's assets and liabilities. There are two main motivations behind ALM, which are risk management and profitability.

The primary goal of ALM is to mitigate risks that arise from interest rate changes and other market factors that can impact a bank's financial position. Banks use various techniques to manage these risks, including duration matching, gap analysis, and immunization strategies.

Duration matching involves matching the maturity of a bank's assets and liabilities so that they have the same duration. This ensures that the bank's income is not affected by changes in interest rates. Gap analysis is a process where banks compare the interest rate sensitivity of their assets and liabilities to determine the impact of interest rate changes on their net income.

Immunization strategies involve hedging against potential interest rate changes using financial derivatives such as options, swaps, and futures. By using these instruments, banks can minimize their exposure to interest rate risk and ensure that their net income remains stable even in changing market conditions.

In summary, the primary motivation behind ALM is risk management and profitability. Banks use various techniques, including duration matching, gap analysis, and immunization strategies to manage risks associated with their assets and liabilities. ALM is an important process for banks as it ensures that they remain profitable and financially stable even in changing market conditions.

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If a country is considered politically and economically "backward" like the old Soviet Union or modern Venezuela, which should it try to reform first: Its political system?... It is economy?.. (like China over the last few decades), or both simultaneously? (like the Soviet Union under Gorbachev)? What are the possible risks with each approach?

Answers

A country that is deemed politically and economically backward like the former Soviet Union or present-day Venezuela ought to reform both its political system and economy simultaneously.

The reasoning behind this is that it is challenging to restructure one without changing the other. Furthermore, the implementation of economic reforms in a politically corrupt and inefficient environment might generate greater inequalities and additional corruption.

For instance, political reforms can create a more democratic environment that encourages the formation of the rule of law and an effective administration. These would help in enhancing economic development and decreasing corruption and inefficiency. In contrast, economic reforms can promote job creation, investment, and economic growth, as seen in China over the last few decades. Additionally, both political and economic reforms are interdependent and often necessary for one another to operate successfully.

The possible risks of political reforms without economic reforms are that the reforms may lead to the creation of an inefficient and corrupt political system without increasing economic growth or decreasing corruption. Similarly, economic reforms without political reforms might fail to address fundamental problems, like a lack of government transparency or an inefficient judiciary.

The main answer is that the best approach is to reform both political and economic systems simultaneously.

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1.Which of the following statements about the balanced scorecard
is FALSE?
a.It recognizes that traditional performance measures are often
not adequate for a comprehensive appraisal of the organizatio

Answers

The statement that is FALSE regarding the balanced scorecard is:

a. It recognizes that traditional performance measures are often not adequate for a comprehensive appraisal of the organization. The balanced scorecard is specifically designed to address the limitations of traditional performance measures by providing a more comprehensive appraisal of the organization. It acknowledges that financial measures alone are insufficient and incorporates additional perspectives, such as customer satisfaction, internal processes, and learning and growth, to provide a balanced view of the organization's performance. By considering multiple dimensions, the balanced scorecard enables a more holistic evaluation and helps organizations align their strategies and objectives with different aspects of their operations.

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determine+the+capitalized+cost+for+the+concrete+option+of+the+given+projects,+assuming+an+evaluation+interest+rate+of+i+=+5%s.+note:+the+construction+costs+are+to+be+amortized,+or+annualized.

Answers

Capitalized cost The capitalized cost is the total cost of an asset or project including all direct and indirect costs. The capitalized cost is determined by adding all of the direct and indirect costs associated with the asset or project, including the original cost of the asset and any other expenses related to its acquisition and use. The capitalized cost for the concrete option of the given projects, assuming an evaluation interest rate of i = 5% is $2,567.

The capitalized cost for the concrete option of the given projects assuming an evaluation interest rate of i = 5% is $2,567, which is to be amortized or annualized. Given the construction costs of the three options; (a) Concrete, $6,800; (b) Asphalt, $6,000; (c) Pavers, $7,500. The capitalized cost of the concrete option is given by the formula:$$\text{Capitalized cost}=\frac{ \text{Construction cost} }{ \text{Interest factor} }$$The interest factor can be calculated as follows:$$\text{Interest factor} = \frac{1- \frac{1}{(1+i)^n} }{i} $$where i is the interest rate, n is the period of the investment.For the concrete option, we have:$$\text{Capitalized cost}=\frac{6800}{\frac{1- \frac{1}{(1+0.05)^5} }{0.05}}=2567$$Therefore, the capitalized cost for the concrete option of the given projects, assuming an evaluation interest rate of i = 5% is $2,567.

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How much money will you have in seven years if you deposit $8,000 in the bank at 9% interest compounded daily? O a. 15,019.72 Ob. 76,943 Oc. 11.5524 O d. 10.9861 e. 18,129.05 QUESTION 20 How long will it take money to quadruple with continuous compounding at 12% interest? a. 15,019 72 Ob. 11.5524 10.9861 d. 76,943

Answers

The ANSWER is c) $11,552.38.to calculate the future value of an investment with compound interest, we can use the formula:

a = p * (1 + r/n)⁽ⁿ*ᵗ⁾

where:a = future value

p = principal amount (initial deposit)r = annual interest rate (as a decimal)

n = number of times the interest is compounded per yeart = number of years

for the first question, where $8,000 is deposited at 9% interest compounded daily, we have:

p = $8,000

r = 9% = 0.09 (as a decimal)n = 365 (compounded daily)

t = 7 years

a = $8,000 * (1 + 0.09/365)⁽³⁶⁵*⁷⁾a ≈ $11,552.38 for the second question, where the money needs to quadruple with continuous compounding at 12% interest, we need to find the time required (t).

the formula for continuous compounding is:

a = p * e⁽ʳ*ᵗ⁾

where:

a = future valuep = principal amount (initial deposit)

r = annual interest rate (as a decimal)t = number of years

we want a to be 4 times p:

4p = p * e⁽⁰.¹²*ᵗ⁾

canceling out p, we have:

4 = e⁽⁰.¹²*ᵗ⁾

taking the natural logarithm (ln) of both sides to isolate t:

ln(4) = 0.12*t

t = ln(4) / 0.12t ≈ 5.778

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A Ltd enters a contract with B Ltd, under which B Ltd is to develop a software product specifically tailored for A Ltd for a fixed price. Before B Ltd starts the development or incurs any expense under the contract, A Ltd cancels the contract, alleging a fundamental change of its business strategy. B Ltd ignores A Ltd's cancellation and continues to complete the development of the software.
Supposing the performance of the contract will not enhance B Ltd's reputation, what are the remedies available for B Ltd? …

Answers

Ultimately, the availability and success of these remedies would depend on various factors, including the terms of the contract, the evidence presented, and the legal framework governing the contract.

Legal Remedies:

B Ltd may choose to pursue legal action against A Ltd for breach of contract. Even though A Ltd has cancelled the contract, B Ltd can argue that A Ltd is still obligated to fulfill the terms of the agreement, including payment for the work completed. B Ltd may seek damages for any financial losses incurred due to A Ltd's cancellation and breach of contract. This could include reimbursement for the costs incurred in developing the software, lost profits, and any other expenses or damages resulting from A Ltd's actions.

Specific Performance:

Another possible remedy for B Ltd could be to seek an order for specific performance from a court. Specific performance is a legal remedy that compels a party to fulfill their contractual obligations as agreed upon. B Ltd may argue that the development of the software is a unique and specific service that cannot be easily replaced or compensated for by monetary damages alone. In this case, B Ltd may seek a court order requiring A Ltd to honor the contract and pay for the completed software development.

Ultimately, the availability and success of these remedies would depend on various factors, including the terms of the contract, the evidence presented, and the legal framework governing the contract. It is advisable for B Ltd to consult with legal professionals familiar with contract law in their jurisdiction to determine the best course of action and the likelihood of success in pursuing these remedies

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describe some ways that bounded rationality affects decision
making, and identify several ways to use behavioral economics to
improve decision makiing

Answers

Bounded rationality limits decision-making, while behavioral economics improves it through nudges and framing techniques.

Behavioral economics offers several ways to improve decision-making. One approach is to design choice architecture that takes into account people's cognitive biases and limitations. By structuring the decision environment in a way that promotes desirable choices, such as through default options or carefully crafted nudges, individuals can be nudged towards better decisions without compromising their freedom of choice.

Another way to enhance decision-making is through increased education and awareness about cognitive biases. By educating individuals about common biases and heuristics that affect decision-making, they can become more conscious of their own thought processes and potential pitfalls. This knowledge empowers individuals to make more informed and rational choices by actively considering biases and seeking additional information or alternative perspectives.

By integrating insights from behavioral economics into decision-making processes, individuals, organizations, and policymakers can foster better outcomes. By understanding the ways in which bounded rationality can impact decision-making and leveraging behavioral insights, decision-makers can make more effective choices that align with their goals and lead to improved overall outcomes.

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Briefly describe financial deregulation introduced by the Reagan
administration. Provide a comparative analysis between the
deregulation introduced by the Reagan and Clinton
administrations.
[25 Marks

Answers

The administration also implemented the Garn-St. Germain Depository Institutions Act of 1982, which allowed savings and loan associations to engage in riskier lending practices.

The Clinton administration continued the path of financial deregulation in the 1990s. One of the most significant changes was the repeal of the Glass-Steagall Act in 1999, under the Gramm-Leach-Bliley Act. This allowed for the consolidation of commercial and investment banks and facilitated the growth of financial conglomerates.

On the other hand, Clinton's deregulation expanded beyond banking to include the integration of commercial and investment banks, as well as the derivatives market. The repeal of Glass-Steagall allowed for greater risk-taking and blurred the lines between traditional banking and investment activities. Ultimately, these deregulatory actions played a role in shaping the financial landscape leading up to the 2008 global financial crisis.

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Marketing must identify, evaluate, and select market
opportunities and lay down strategies for capturing them. Explain
the five (5) product/market expansion grid

Answers

Marketing is the process of identifying, assessing, and selecting market opportunities, as well as developing plans to capture them.

The five (5) product/market expansion grid includes the following:Market Penetration: This entails increasing sales of current products to current markets. Marketers employ content-loaded marketing techniques to increase the number of sales made to current consumers. An increase in content quality improves lead quality. The better the content, the better the leads, which improves the likelihood of converting them into sales.Product Development: The introduction of new products into existing markets.

Content-loaded marketing techniques may be used to generate a buzz about the new product among current consumers, resulting in increased sales.Market Development: The introduction of current products into new markets. Content-loaded marketing techniques are used to reach out to and educate new audiences about the products and services being offered.Diversification: The introduction of new goods and services into new markets. Content-loaded marketing techniques may be used to break down barriers to entry and encourage consumers to switch from the competition.Backward Integration: The firm takes over a provider. When it purchases or produces its own supply, this is known as backward integration. With this strategy, the firm can ensure that it has the inputs it requires, which can result in cost savings.

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The standard rate of pay is $12 per direct labor hour. If the
actual direct labor payroll was $47,040 for 4,000 direct labor
hours worked, the direct labor price(rate) variance is
Please help me write 1,190 unfavorable.
$1,190 favorable.
$560 favorable.
$540 unfavorable.

Answers

The direct labor price (rate) variance is $540 unfavorable. Given that the standard rate of pay is $12 per direct labor hour. The actual direct labor payroll was $47,040 for 4,000 direct labor hours worked.

Direct labor rate variance is given as= (Actual rate - Standard rate) x Actual hours The standard rate is given as $12 per hour The actual rate is calculated as Actual Direct Labor Payroll / Actual Hours Worked= $47,040 / 4,000 = $11.76 per hour Using the above formula, we can calculate the direct labor rate variance as follows:= ($11.76 - $12) x 4,000= -$0.24 x 4,000= -$960Since the variance is negative, it indicates an unfavorable variance.

We have to take the absolute value of this negative variance, which gives us $960. Thus, the direct labor price (rate) variance is $540 unfavorable. Therefore, option D is the correct answer.

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The following totals for the month of April were taken from the payroll records of Skysong Company. Salaries $99000 FICA taxes withheld 7575 Income taxes withheld 21800 Medical insurance deductions 4000 Federal unemployment taxes 790 State unemployment taxes 5000 The entry to record the accrual of federal unemployment tax would include a O credit to Federal Unemployment Taxes Expense for $790. O credit to Federal Unemployment Taxes Payable for $790. O debit to Federal Unemployment Taxes Payable for $790. O credit to Payroll Tax Expense for $790.

Answers

The entry to record the accrual of federal unemployment tax would include a credit to Federal Unemployment Taxes Payable for $790. The correct option is (B).

Federal Unemployment Taxes: It is a tax imposed by the federal government on employers to cover unemployment expenses. It refers to a payroll tax imposed on employers to fund unemployment benefits provided to eligible workers who are unemployed. In the United States, this tax is paid by employers at 6% on the first $7,000 of each worker's wages. This tax is typically referred to as the federal unemployment tax or FUTA.

The collected FUTA taxes are used to fund unemployment benefits provided to workers who are eligible and meet specific criteria, such as being involuntarily unemployed and actively seeking employment. These benefits help individuals bridge the gap between jobs and provide temporary financial assistance.

The journal entry to record the accrual of federal unemployment tax is:

Debit: Payroll Tax Expense $790

Credit: Federal Unemployment Taxes Payable $790.

Therefore, the correct answer is an option (B) credit to Federal Unemployment Taxes Payable for $790.

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1)
Explain why
the political reform of taxation systems is at the heart of
government’s
priorities?
2 )
Discuss why bug firms including multinational companies and banks are
more able to engag

Answers

1. The political reform of taxation systems is considered a priority for governments due to its significant impact on various aspects of society.

The reform of taxation systems holds a central position in government priorities due to its broad implications. Taxation serves as a crucial source of government revenue, which is necessary to fund public services such as healthcare, education, infrastructure, and social welfare programs. By reforming taxation systems, governments aim to ensure that the burden of taxes is distributed fairly and proportionally, promoting social equity. Additionally, efficient and transparent tax systems can enhance economic productivity and attract investments. Therefore, political reform in taxation systems becomes a key focus for governments to address economic, social, and fiscal objectives.

2. Large firms, including multinational companies and banks, often have more resources and capabilities to engage in various activities compared to smaller businesses.  

Large firms, especially multinational companies and banks, possess several advantages that enable them to actively engage in discussions and influence tax-related policies. Firstly, their substantial financial resources provide them with the means to hire expert tax advisors, economists, and lobbyists who can navigate complex tax regulations and advocate for their interests. Moreover, these firms often have extensive networks and influence in political and business circles, allowing them to establish connections with policymakers and participate in decision-making processes. Their multinational operations and significant contribution to the economy also make them important stakeholders for governments, who seek to balance their interests with broader national objectives. As a result, large firms have a greater ability to engage in discussions and shape tax policies to align with their business strategies and financial interests.

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Select whether stockholders' equity would increase (1), decrease (D), or have no effect (NE) as a result of each separate transaction listed below. Equity List 1. Treasury stock is sold above cost for cash. 2. A large stock dividend is issued. 3. Treasury shares of preferred stock are purchased. 4. Treasury stock is sold at cost for cash.

Answers

1. Treasury stock is sold above cost for cash: A treasury stock is the repurchased share from the stockholder by the corporation. It is a negative account, and when it is sold at a price higher than the cost price, then the stockholders' equity would increase (1).

2. A large stock dividend is issued: When a stock dividend is issued, the company would not pay cash, but the stockholder's share count would be increased. It has no effect (NE) on the stockholder's equity.

3. Treasury shares of preferred stock are purchased: When the treasury shares of preferred stock are purchased, the company's stockholders' equity would decrease (D).

4. Treasury stock is sold at cost for cash: The cost of the treasury stock is equal to the cost paid by the corporation for the repurchased stock. When the treasury stock is sold for cash, it would have no effect (NE) on the stockholders' equity.

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