Gross investment minus depreciation is equal to:
a. the change in capital stock.
b. the value of durable goods.
c. gross national product.
d. non-residential investment

Answers

Answer 1

Gross investment minus depreciation is equal to the change in capital stock. Option a is correct.

Gross investment refers to the total amount of investment in an economy, including both the purchase of new capital goods and the replacement of depreciated capital goods. Depreciation, on the other hand, represents the decline in the value of existing capital goods over time. When we subtract depreciation from gross investment, we are essentially accounting for the reduction in the value of capital due to wear and tear or obsolescence.

The result of subtracting depreciation from gross investment gives us the net investment, which represents the change in the capital stock of an economy. The capital stock refers to the total amount of physical capital, such as machinery, equipment, and buildings, available in an economy at a given point in time. Therefore, the change in capital stock reflects the net addition or subtraction of capital goods from the existing stock due to investment and depreciation.

Options b, c, and d are not accurate in this context. The value of durable goods refers to the worth of long-lasting consumer goods, while gross national product (GNP) is a measure of the total economic output of a country, including consumption, investment, government spending, and net exports. Non-residential investment specifically refers to investment in capital goods by businesses, but it does not capture the concept of net investment or the change in capital stock. Therefore, the correct answer is option a: the change in capital stock.

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Related Questions

The shareholders' equity section of Sandhill Corporation's balance sheet consists of 303,000 common shares for $2.25 million, and retained earnings of $760,000. A 10% stock dividend is declared when the fair value per share is $13. Show the before-and-after effects of the dividend on (a) share capital, (b) retained earnings, (c) total shareholders' equity, and (d) the number of shares. Before After (a) Share capital (b) Retained earnings (c) Total shareholders' equity (d) Number of shares

Answers

The effects of a 10% stock dividend, when the fair value per share is $13, on Sandhill Corporation's balance sheet are as follows: (a) Share capital increases due to the issuance of additional shares, (b) Retained earnings decrease as a portion is transferred to share capital, (c) Total shareholders' equity remains the same, and (d) The number of shares increases by 30,300.

A stock dividend represents the distribution of additional shares to existing shareholders based on their current holdings. In this case, Sandhill Corporation has 303,000 common shares with a total value of $2.25 million and retained earnings of $760,000.

(a) Share capital: With a 10% stock dividend, additional shares will be issued to shareholders. The number of shares increases by 10% of the existing shares, which is 30,300 shares. The value of the shares remains the same since it is a stock dividend, so there is no change in the share capital amount.

(b) Retained earnings: A portion of retained earnings is transferred to share capital to account for the issuance of additional shares. The amount transferred is based on the fair value per share, which is $13 in this case. The transferred amount would be 10% of the total value of the additional shares issued, which is 30,300 shares multiplied by $13, resulting in a decrease in retained earnings.

(c) Total shareholders' equity: The total shareholders' equity remains the same after the stock dividend, as the increase in share capital is offset by the decrease in retained earnings. The value of the additional shares issued is equal to the decrease in retained earnings.

(d) Number of shares: The number of shares increases by 10% due to the stock dividend. Initially, Sandhill Corporation had 303,000 shares, and with the issuance of an additional 30,300 shares, the total number of shares becomes 333,300.

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A company has three sources of borrowing:
Average loan in the year Interest expense incurred in the year
GHS GHS
7 year loan 8,000,000 800,000
10 year loan 10,000,000 900,000
Bank overdraft 5,000,000 900,000
The 7-year loan has been specifically raised to fund the building of a qualifying asset.
The company has incurred the following expenditure on a project funded from general borrowings for the year ended 31 December 2021.
Date incurred: Amount (GHS)
31 March 1,000,000
31 July 1,200,000
30 October 800,000
Required:
Calculate the amount to be capitalised in respect of capital work in progress during 2021.

Answers

The amount to be capitalized in respect of capital work in progress during 2021 is GHS 923,100.

To calculate the amount to be capitalized in respect of capital work in progress during 2021, we need to determine the portion of the project expenditure that qualifies for capitalization.

In this case, the 7-year loan was specifically raised to fund the building of a qualifying asset. Therefore, we can assume that the interest expense incurred on this loan is directly attributable to the project.

First, we calculate the total interest expense incurred in the year for all borrowing sources:

Total Interest Expense = Interest expense on 7-year loan + Interest expense on 10-year loan + Interest expense on bank overdraft

Total Interest Expense = GHS 800,000 + GHS 900,000 + GHS 900,000

Total Interest Expense = GHS 2,600,000

Next, we determine the portion of the interest expense that can be capitalized based on the project expenditure incurred during the year.

The capitalization rate can be calculated as:

Capitalization Rate = Interest expense on 7-year loan / Total Interest Expense

Capitalization Rate = GHS 800,000 / GHS 2,600,000

Capitalization Rate = 0.3077 (rounded to four decimal places)

Finally, we calculate the amount to be capitalized in respect of capital work in progress during 2021 by multiplying the capitalization rate by the project expenditure incurred during the year:

Amount to be Capitalized = Capitalization Rate × Project Expenditure

Amount to be Capitalized = 0.3077 × (GHS 1,000,000 + GHS 1,200,000 + GHS 800,000)

Amount to be Capitalized = 0.3077 × GHS 3,000,000

Amount to be Capitalized = GHS 923,100 (rounded to the nearest Ghanaian Cedi)

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Comparative financial statement data of Canfield, Inc. follow: (Click the icon to view the income statement.) (Click the icon to view the balance sheet.) Begin by selecting the formula to compute the debt to equity ratio. Debt to equity ratio = Total liabilities - Total equity Now, compute the debt to equity ratios for 2024 and 2023. (Round your answers to two decimal places, X.XX.) Debt to equity ratio 2024 1.56 2023 1.58 Requirement 1g. Compute the rate of return on common stockholders' equity for 2024 and 2023. Begin by selecting the formula to compute the rate of return on common stockholders' equity. Rate of return on common stockholders' equity (Net income-Preferred dividends) + Average common stockholder's equity Now, compute the rate of return on common stockholders' equity for 2024 and 2023. (Round your answers to one tenth of a percent, X.X. Do not enter Rate of return on common stockholders' equity % 2024 % 2023 % Help me solve this Demodocs example 0-1 D (Click Read the TS for hold ge co d 20 help- ▲ Income Statement Canfield, Inc. Comparative Income Statement Years Ended December 31, 2024 and 2023 2024 2023 $ 466,000 $ 422,000 237,000 218,000 229,000 204,000 137,000 135,000 92,000 69,000 9,000 10,000 83,000 59,000 22,000 24,000 $ 61,000 $ 35,000 Done Net Sales Revenue Cost of Goods Sold Gross Profit Operating Expenses Income From Operations Interest Expense Income Before Income Tax Income Tax Expense Net Income Print - X - kample, Balance Sheet Assets Current Assets: Cash Accounts Receivables, Net Merchandise Inventory Prepaid Expenses Total Current Assets Property, Plant, and Equipment, Net Total Assets Liabilities Total Current Liabilities Long-term Liabilities Tatal Liabilition Get more neip Canfield, Inc. Comparative Balance Sheet December 31, 2024 and 2023 2024 Print $ 2023 2022* 90,000 $ 89,000 111,000 115,000 $103,000 143,000 161,000 211,000 19,000 10,000 363,000 375,000 217,000 179,000 580,000 $ 554,000 $601,000 230,000 $ 240,000 123,000 99,000 252.000 230.000 Done - X 0.2% E Balance Sheet Accounts Receivables, Net Merchandise Inventory Prepaid Expenses Total Current Assets Property, Plant, and Equipment, Net Total Assets Liabilities Total Current Liabilities Long-term Liabilities Total Liabilities Stockholders' Equity Preferred Stock, 5% Common Stockholders' Equity, no par Total Liabilities and Stockholders' Equity * Selected 2022 amounts Print Get more help 111,000 115,000 $ 103,000 143,000 161,000 211,000 19,000 10,000 363,000 375,000 217,000 179,000 580,000 $ 554,000 $601,000 230,000 $ 240,000 123,000 99,000 353,000 339,90 110,000 110,000 117,000 105,000 $ 580,000 $ 554,000 Done $ 89,000 - X 0.2

Answers

The rate of return on common stockholders' equity is 14.1% and 11.4% for 2024 and 2023 respectively.

Debt to equity ratio is a financial ratio that is used to evaluate a company's ability to pay off its debts by comparing its total liabilities to shareholders' equity. Here, we will compute the debt-to-equity ratio for 2024 and 2023. The formula to compute the debt to equity ratio is as follows:

Debt to equity ratio = Total liabilities / Shareholders' equity

Thus, the debt to equity ratios for 2024 and 2023 are computed as follows:

Debt to equity ratio for 2024 = Total liabilities / Shareholders' equity
= $353,000 / $226,000
= 1.56

Debt to equity ratio for 2023 = Total liabilities / Shareholders' equity
= $339,900 / $214,900
= 1.58

Rate of return on common stockholders' equity is the return on investment that common stockholders receive on their shares. It is calculated by dividing net income minus preferred dividends by the average common stockholder's equity. The formula to compute the rate of return on common stockholders' equity is as follows:

Rate of return on common stockholders' equity = (Net income - Preferred dividends) / Average common stockholder's equity

Thus, the rate of return on common stockholders' equity for 2024 and 2023 are computed as follows:

Rate of return on common stockholders' equity for 2024 = (Net income - Preferred dividends) / Average common stockholder's equity
= ($61,000 - $9,000) / ($226,000 + $214,900) / 2
= 14.1%

Rate of return on common stockholders' equity for 2023 = (Net income - Preferred dividends) / Average common stockholder's equity
= ($35,000 - $10,000) / ($214,900 + $179,000) / 2
= 11.4%

Thus, the rate of return on common stockholders' equity is 14.1% and 11.4% for 2024 and 2023 respectively.

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Describe the main features of how the GB electricity market operates across different timescales

Answers

The Great Britain (GB) electricity market operates across various timescales, ensuring efficient generation, distribution, and consumption of electricity.

The main features of its operation can be summarized as follows:

1. Long-term Planning: The GB electricity market involves long-term planning to ensure a secure and sustainable energy supply. This includes setting capacity targets, assessing future demand, and facilitating investment in new generation infrastructure.

2. Wholesale Market: The wholesale market operates on a day-ahead and intraday basis. Suppliers, generators, and traders participate in auctions and bilateral contracts to buy and sell electricity. Prices are determined based on supply and demand dynamics, with balancing mechanisms to ensure grid stability.

3. Balancing Mechanism: The balancing mechanism helps manage real-time imbalances between electricity supply and demand. Market participants can adjust their positions or offer flexibility services to the system operator (National Grid) to maintain grid stability. Imbalance prices are set every half-hour based on the cost of balancing the system.

4. Ancillary Services: The GB market offers ancillary services to support grid stability. These services include frequency response, reserve capacity, and reactive power. Providers of these services are contracted to ensure the grid operates within acceptable limits.

Overall, the GB electricity market operates across multiple timescales, incorporating long-term planning, wholesale trading, balancing mechanisms, retail competition, and support for renewable energy. This comprehensive framework ensures reliable, affordable, and sustainable electricity supply for consumers while maintaining grid stability.

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1. Describe the Tenaga Nasional Berhad (TNB) place strategy problem and provide solution.
2. Describe the TNB promotion strategy problem and provide one solution.
identify the problem faced by the TNB to market its service in term of the place strategy and promotion strategy. Provide solution for that problem.

Answers

1. The place strategy problem faced by Tenaga Nasional Berhad (TNB) is the difficulty in reaching customers in remote areas with limited access to electricity.

2. This campaign should focus on highlighting TNB's services and their benefits to potential customers. By increasing awareness about its services, TNB can attract more customers and grow its market share.

1. TNB's distribution network is not well established in rural areas, which limits its ability to reach potential customers in those regions. The solution to this problem is to invest in building a more extensive distribution network in remote areas. This will help TNB reach potential customers and increase its market share in these regions.

2. The promotion strategy problem faced by TNB is the lack of awareness about its services among potential customers. Despite being the leading electricity provider in Malaysia, many potential customers are not aware of TNB's services. One solution to this problem is to launch a comprehensive advertising campaign across multiple media channels, including television, radio, print, and social media. This campaign should focus on highlighting TNB's services and their benefits to potential customers. By increasing awareness about its services, TNB can attract more customers and grow its market share.

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A very new answer please, thank you.
What are the five types of powers? Can a leader exercise all the powers?

Answers

The five types of power are 1. Legitimate power, 2. Coercive power, 3. Reward power, 4. Expert power and 5. Referent power.

The five types of power are; legitimate power, coercive power, reward power, expert power and referent power. Yes, a leader can exercise all the powers. The following are the five types of power: 1. Legitimate power - It is the power that comes with the position or title that one holds in an organization. 2. Coercive power - This type of power is used to force others to comply with the orders given by the one holding the power. 3. Reward power - The ability to give someone what they want or to reward them is known as reward power. 4. Expert power - Expert power comes from a person's knowledge, skill, or expertise in a particular area. 5. Referent power - It is based on the charisma, personality, or likability of an individual.A leader can exercise all the powers. In some cases, leaders may have power because of their position in the organization, while in others, they may have power due to their personal qualities, such as their expertise or their ability to inspire others.

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A manufacturer of skis produces two types: downhill and cross-country. The times required for manufacturing and finishing each ski are given in the following table.

Downhill Cross-country
Manufacturing time per ski 2 hours 1.5 hours
Finishing time per ski 1 hour 1.5 hours

The maximum total weekly hours available for manufacturing and finishing the skis are 84 hours and 60 hours, respectively. The profits per ski are $40 for downhill and $90 for cross-country. Determine how many of each kind of ski should be produced to achieve a maximum profit.

Answers

To achieve maximum profit, the manufacturer should produce 24 downhill and 16 cross-country skis. The maximum profit would be $3040.

Let's assume that x represents the number of downhill skis produced and y represents the number of cross-country skis produced. Based on this information, the manufacturer must satisfy the following constraints:

2x + 1.5y ≤ 84 and x + 1.5y ≤ 60.

Since we are dealing with profit, we will need to maximize z = 40x + 90y.

We will then use the Simplex method to solve the problem. By finding the dual of the given problem, we will have

x + 2y ≤ 40 and 1.5x + y ≤ 60,

with a maximum z = 40x + 90y.

By performing the Simplex method on the dual,

we have x = 24 and y = 16. The maximum profit is then $3040.

Therefore, to achieve maximum profit, the manufacturer should produce 24 downhill and 16 cross-country skis.

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37. At a lump-sum cost of $69,000, Pratt Company recently purchased the following items for resale: Item No. of Items Purchased Resale Price Per Unit $3.75 M 4,000 12.00 N 2,000 6.00 O 6,000 The appro

Answers

The appropriate cost per unit of inventory is: M: $3.38, N: $10.80, O: $5.52

To determine the appropriate cost per unit of inventory, we need to calculate the weighted average cost based on the lump-sum cost and the quantity of each item purchased.

Total cost of items purchased = $69,000

Total quantity of items purchased:

M: 4,000

N: 2,000

O: 6,000

Percentage of total cost for each item:

M: (4,000 x $3.75) / $69,000 ≈ 0.2174

N: (2,000 x $12.00) / $69,000 ≈ 0.3478

O: (6,000 x $6.00) / $69,000 ≈ 0.4348

Weighted average cost per unit:

M: $69,000 x 0.2174 / 4,000 ≈ $3.38

N: $69,000 x 0.3478 / 2,000 ≈ $10.80

O: $69,000 x 0.4348 / 6,000 ≈ $5.52

Therefore, the appropriate cost per unit of inventory is:

M: $3.38

N: $10.80

O: $5.52

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The complete question is: At a lump-sum cost of $69,000, Pratt Company recently purchased the following items for resale

Item     No. of Items Purchased     Resale Price Per Unit

   M                4,000                                $3.75

   N                2,000                                 $12.00    

   O                6,000                                 $6.00  

The appropriate cost per unit of inventory is:

M              N             O

$3.75     $12.00     $6.00

$3.38     $10.80     $5.40

$3.45     $11.04      $5.52

$5.75     $5.75      $5.75

please show solution and how you come up with percentages

"Which of the following statements is correct regarding accounts payable and the auditor's procedures?
A. Unrecorded payables are often discovered through examining vouchers payable entered into the voucher register prior to the balance sheet date.
B. Because it can be difficult to discover a transaction that has not been recorded, the audit objective of completeness drives many of the substantive procedures applied to these balances.
C. The confirmation of accounts payable selected from the year-end trial balance of such accounts is most effective in discovering unrecorded liabilities.
D. A judgment whether an unrecorded payable should be recorded before the financial statements are prepared depends entirely upon the source of the payable."

Answers

The correct statement regarding accounts payable and the auditor's procedures is:

C. The confirmation of accounts payable selected from the year-end trial balance of such accounts is most effective in discovering unrecorded liabilities.

Statement A is incorrect: Unrecorded payables are not typically discovered through examining vouchers payable entered into the voucher register prior to the balance sheet date. While examining vouchers can provide some evidence of payables, it is not the primary method for detecting unrecorded payables.

Statement B is partially incorrect: While the audit objective of completeness does drive many of the substantive procedures applied to accounts payable, it does not specifically refer to the difficulty of discovering unrecorded transactions. The objective of completeness is to ensure that all payables have been recorded.

Statement D is incorrect: The judgment of whether an unrecorded payable should be recorded before the financial statements are prepared does not depend entirely upon the source of the payable. The decision to record unrecorded payables should be based on proper accounting principles and the materiality of the amounts involved.

Therefore, the correct statement is C. The confirmation of accounts payable selected from the year-end trial balance of such accounts is most effective in discovering unrecorded liabilities. This is because confirmation provides direct communication with the suppliers to verify the existence and amounts of outstanding payables.

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9. Competency based-systems outcomes include:
Enhanced employee understanding of the ‘big picture’
Greater employee self-management capabilities
Improved employee satisfaction
Greater employee co

Answers

Competency-based systems outcomes include enhanced employee understanding of the 'big picture,' greater employee self-management capabilities, improved employee satisfaction, and greater employee collaboration and teamwork.

Competency-based systems are designed to focus on developing and assessing specific skills, knowledge, and behaviors that are essential for successful job performance. These systems prioritize outcomes that go beyond mere task completion and aim to cultivate a holistic understanding of the organization and its goals.

By emphasizing the 'big picture,' employees gain a broader perspective of their role and how their work contributes to the overall objectives of the organization. This enhanced understanding allows them to align their efforts with organizational priorities and make informed decisions that support the larger goals.

In addition to understanding the 'big picture,' competency-based systems also aim to enhance employee self-management capabilities. These systems encourage individuals to take ownership of their work, set goals, prioritize tasks, and manage their time effectively.

Lastly, competency-based systems promote greater employee collaboration and teamwork. By defining the competencies required for effective teamwork and fostering a culture that values collaboration, these systems encourage employees to work together, share knowledge, and leverage each other's strengths. This collaborative environment enhances communication, innovation, and problem-solving capabilities, leading to improved team performance and overall organizational success.

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The Fulmar Division of Jayne Manufacturing had an ROI of 25% when sales were £3 million and controllable margin was £600,000. What were the average operating assets? O £150,000 O £750,000 O £2,400,000 O £12,000

Answers

To determine the average operating assets of the Fulmar Division of Jayne Manufacturing, we are given the ROI (Return on Investment) and the controllable margin.

The formula for ROI is:

ROI = (Controllable Margin / Average Operating Assets) * 100

We are given that the ROI is 25% and the controllable margin is £600,000. Plugging these values into the formula, we can solve for the average operating assets:

25% = (£600,000 / Average Operating Assets) * 100

To isolate the average operating assets, we can rearrange the equation:

Average Operating Assets = (£600,000 / 25%) * 100

Simplifying the equation, we get:

Average Operating Assets = (£600,000 / 0.25)

Calculating the result, we find that the average operating assets of the Fulmar Division of Jayne Manufacturing are £2,400,000.

Therefore, the correct answer is option C: £2,400,000.

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Mark the following question as true or false, if false explain
why
3. A startup cannot raise capital without a lead investor
4. As discussed in class and in the Venture Deals book, cost and
potential

Answers

False. A startup can raise capital without a lead investor. While having a lead investor can provide credibility and attract other investors, it is not a requirement for raising capital.

Startups have various options for raising funds, such as crowdfunding, angel investors, venture capitalists, government grants, loans, and bootstrapping. Each of these methods has its own advantages and disadvantages, and the choice depends on the startup's specific circumstances and goals. While a lead investor can play a significant role in providing guidance and connections, it is not the sole determinant of a startup's ability to raise capital.

Incomplete(4) The statement is incomplete and does not provide enough information to determine its truth or falsehood. Without the complete sentence or context, it is unclear what cost and potential are being referred to. It is essential to have complete information or additional context to evaluate the accuracy of the statement.

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If a manager has an expectation of ongoing inflation, this means she believes that: a. inflation has been negative but will soon turn positive. b. wages will rise. c. deflation will occur. d. cost of inputs will rise.

Answers

If a manager has an expectation of ongoing inflation, it means that she believes that: d. cost of inputs will rise.

Inflation refers to a general increase in prices over time, resulting in a decrease in the purchasing power of money. when there is ongoing inflation, it implies that the cost of inputs, such as raw materials, labor, and other resources required for production, is expected to rise. as a result, businesses may experience higher production costs, which can impact their profitability and pricing strategies.

option a, "inflation has been negative but will soon turn positive," describes a situation of deflation rather than ongoing inflation. deflation refers to a sustained decrease in the general price level.

option b, "wages will rise," is not necessarily indicative of ongoing inflation. wage increases can occur due to various factors such as productivity growth, labor market conditions, or government policies, but they do not necessarily imply ongoing inflation.

option c, "deflation will occur," is the opposite of ongoing inflation. deflation refers to a sustained decrease in the general price level, indicating falling prices rather than rising prices.

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In 1992, South Central Los Angeles exploded into riots...again. Why? What had improved for black Americans in the city since the 1960s, and what problems remained? Or what new problems emerged? And what did these portend for the future of race and American cities?

Answers

The 1992 riots in South Central Los Angeles, also known as the Los Angeles uprising, were sparked by the acquittal of four white police officers involved in the beating of Rodney King, a black motorist. However, the riots were not solely a response to this incident but were a result of deeper-rooted issues in the city. To understand why the riots occurred, it is important to consider the context of racial tensions, socioeconomic conditions, and systemic inequalities prevalent at the time.

Since the 1960s, there were both improvements and persisting problems for black Americans in Los Angeles. Some improvements included advancements in civil rights legislation, increased access to educational opportunities, and the rise of black political representation. These changes provided avenues for empowerment and social mobility for some black residents.

However, significant problems remained, particularly in marginalized communities like South Central Los Angeles. Economic disparities persisted, with limited job opportunities and high unemployment rates among black residents. Racial discrimination and police brutality continued to plague the community, leading to a strained relationship between law enforcement and black residents.

New problems also emerged over the years. The influx of drugs, particularly crack cocaine, into inner-city communities exacerbated social and economic challenges. Drug-related violence, gang activity, and the associated destabilization of neighborhoods further compounded the problems faced by black Americans in Los Angeles.

The riots served as a powerful expression of frustration and anger over these longstanding issues. They highlighted the deep-seated inequalities, racial tensions, and systemic injustices that were not adequately addressed. The riots exposed the underlying social, economic, and political dynamics that contributed to the marginalization of black communities.

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on the payment calculator sheet the payment per month in cell d7 is

Answers

On the payment calculator sheet, the payment per month in cell D7 is calculated using the following formula: `=PMT(D5/12,D6*12,-D4)`. This formula is based on the present value of the loan, the interest rate, and the number of payments that will be made to repay the loan.


In this formula, `D5/12` represents the interest rate per month (since the formula requires a monthly interest rate but the input field takes an annual interest rate, the yearly interest rate is divided by 12), `D6*12` represents the number of payments that will be made (since the formula requires a total number of payments but the input field takes the number of years, the number of years is multiplied by 12), and `-D4` represents the present value of the loan (since the formula requires a negative value for the present value because it is a debt).
The result of this formula is the payment that must be made each month to repay the loan over the specified period of time. The payment per month is displayed in cell D7 and can be adjusted by changing the values in cells D4, D5, and D6. The payment calculator sheet is a useful tool for calculating loan payments and understanding the factors that affect them.

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1-Why is it important for a manager to appraise a subordinate's performance?
2-Discuss what managers can do to support employees' career development needs.
3-Briefly explain the four steps involved in the
training process.
4-Discuss the HR challenges of conducting business on a global scale?

Answers

In the company various activity conducting like appraise, Managers, HR activity etc.

1. It is important for a manager to appraise a subordinate's performance because it helps in identifying their strengths and weaknesses, which can be used to develop their skills and abilities. It also helps in setting performance goals and expectations, providing feedback and coaching, and making decisions about promotions, bonuses, and other rewards. Appraisals also help in identifying training and development needs, and provide an opportunity for employees to discuss their career aspirations and goals.

2. Managers can support employees' career development needs by providing them with opportunities for learning and development, such as training, coaching, mentoring, and job rotation. They can also help employees identify their strengths and interests, and align their goals with the organization's objectives. Managers can also provide feedback and recognition for their achievements, and help them explore career paths within the organization.

3. The four steps involved in the training process are: (1) needs assessment, which involves identifying the skills and knowledge required for a particular job or task; (2) design, which involves developing the training program, including the objectives, content, methods, and evaluation criteria; (3) implementation, which involves delivering the training program to the participants; and (4) evaluation, which involves assessing the effectiveness of the training program and making improvements.

4. The HR challenges of conducting business on a global scale include managing cultural differences, language barriers, legal and regulatory requirements, and recruiting and retaining talent in different countries. HR managers must also ensure compliance with local labor laws and regulations, and develop policies and procedures that are consistent with the organization's global strategy. They must also address issues related to compensation, benefits, and performance management across different locations and cultures.

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duke company's unadjusted bank balance at march 31 is $2,300. the bank reconciliation revealed outstanding checks amounting to $500 and deposits in transit of $400. what is the true cash balance?

Answers

The true cash balance for Duke Company is $2,200 This is the actual amount of cash that the company has available, as some checks have not yet cleared the bank and some deposits have not yet been credited to the account.

By reconciling the bank statement, Duke Company can ensure that their financial records accurately reflect their true cash position.

Therefore, the calculation would be:
Unadjusted Bank Balance = $2,300
Add: Deposits in Transit = $400
Subtract the outstanding checks ($500) from the unadjusted bank balance ($2,300).
$2,300 - $500 = $1,800
Add the deposits in transit ($400) to the balance calculated in Step 1.
$1,800 + $400 = $2,200

True Cash Balance = $2,200


The true cash balance for Duke Company is $2,200.

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Explain what the aggregate demand curve represents and why it is
downward-sloping. Please provide an example

Answers

The aggregate demand curve represents the relationship between the overall level of goods and services demanded in an economy and the price level.

The aggregate demand curve illustrates the total demand for goods and services in an economy at different price levels. It shows the inverse relationship between the overall price level and the level of real output demanded. The downward slope of the aggregate demand curve can be explained by three key factors.

Firstly, the wealth effect suggests that as the price level decreases, the real value of wealth increases, leading to higher consumer spending. When prices fall, people feel wealthier because they can purchase more goods and services with their existing income and savings, stimulating aggregate demand.

Secondly, the interest rate effect comes into play. When the price level decreases, interest rates tend to decline. Lower interest rates encourage borrowing and investment, which in turn boosts consumer and business spending, leading to an increase in aggregate demand.

Lastly, the international trade effect suggests that as the domestic price level decreases relative to foreign prices, exports become more competitive, and imports become more expensive. This leads to an increase in net exports, which raises aggregate demand.

For example, consider a hypothetical economy where the aggregate demand curve is downward-sloping. If the price level decreases, individuals and businesses may feel wealthier, leading to increased spending on consumption and investment. Additionally, lower interest rates may encourage borrowing for large purchases such as homes or cars. Moreover, if the country's goods become relatively cheaper compared to foreign goods due to lower prices, exports may rise while imports decrease, further stimulating aggregate demand. These factors combined result in a downward-sloping aggregate demand curve.

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Bring out the seven executives of goldman sachs and their
profiles

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Goldman Sachs is a multinational investment bank and financial services company.

While I cannot provide real-time information about the current executives at Goldman Sachs as my knowledge cutoff is in September 2021, I can provide a general overview of the types of executives typically found at such institutions.

The second paragraph will provide an explanation of the different executive roles commonly seen at Goldman Sachs.

Goldman Sachs, like many large financial institutions, typically has a team of executives overseeing various aspects of the business. Some key executive roles that might be found at Goldman Sachs include:

Chief Executive Officer (CEO): The CEO is the highest-ranking executive responsible for the overall strategy, performance, and direction of the company.

Chief Financial Officer (CFO): The CFO is in charge of managing the financial operations of the company, including financial planning, budgeting, and reporting.

Chief Operating Officer (COO): The COO oversees the day-to-day operations of the company and ensures smooth functioning across different departments.

Chief Investment Officer (CIO): The CIO is responsible for managing the company's investment portfolios and making strategic investment decisions.

Chief Risk Officer (CRO): The CRO is responsible for identifying and managing potential risks to the company, including market risks, credit risks, and operational risks.

Chief Compliance Officer (CCO): The CCO ensures that the company operates in compliance with relevant laws, regulations, and internal policies.

Head of Human Resources (HR): The HR executive oversees the company's human resources functions, including recruitment, training, performance management, and employee relations.

These are some of the executive roles commonly seen at financial institutions like Goldman Sachs.

However, please note that the specific individuals currently holding these positions may have changed since my knowledge cutoff in September 2021.

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FORCo, a subsidiary of a U.S. corporation, is incorporated in Brazil. FORCo manufactures widgets in Brazil and sells them to its 100% owned subsidiary in Hungary. FORCo’s income from the sale of its widgets is not Subpart F foreign base company sales income. true or false

Answers

False. The statement is false. Subpart F rules are provisions in the U.S. tax law that aim to prevent U.S.

taxpayers from deferring taxes on certain types of passive income earned by controlled foreign corporations (CFCs). The determination of whether income is considered Subpart F foreign base company sales income depends on specific criteria outlined in the tax law.

In this scenario, FORCo is a subsidiary of a U.S. corporation and is incorporated in Brazil. It manufactures widgets in Brazil and sells them to its subsidiary in Hungary. Whether FORCo's income from the sale of widgets qualifies as Subpart F foreign base company sales income would depend on factors such as the nature of the income, the activities of FORCo in Brazil, and the application of Subpart F rules to the specific situation.

Without additional information regarding the specific characteristics of FORCo's income and its activities, it is not possible to definitively determine whether its income from the sale of widgets qualifies as Subpart F foreign base company sales income.

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A firm has the following data: average operating assets: $20 m net operating income: $2 m sales: 10 m minimum required rate of return: 6% A new project requires an investment of $2 m with net operating income of $0.16 m. If the manager is evaluated on ROI, will the manager invest in this project?

Answers

Yes, the manager will invest in this project.

To determine whether the manager should invest in the project based on ROI (Return on Investment), we need to compare the ROI of the new project with the minimum required rate of return.

ROI (Return on Investment) is calculated as:

ROI = Net Operating Income / Average Operating Assets

Given data:

Average Operating Assets = $20 millionNet Operating Income = $2 millionMinimum Required Rate of Return = 6%

Let's calculate the ROI for the new project:

ROI for the new project = Net Operating Income of the project / Investment of the project

ROI for the new project = $0.16 million / $2 million

ROI for the new project = 0.08 or 8%

Since the ROI of the new project (8%) is higher than the minimum required rate of return (6%), the manager should invest in this project. A higher ROI indicates that the project is generating a return greater than the minimum required rate of return, which is favorable for the firm.

Therefore, based on the ROI evaluation criteria, the manager should invest in this project.

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Riverbed Corp. issues 690 shares of $2 par value common stock and 330 shares of $100 par value preferred stock for a lump sum of $135,800.

(a)

Prepare the journal entry for the issuance when the market price of the common shares is $140 each and market price of the preferred is $140 each. (Round intermediate calculations to 6 decimal places, e.g. 1.284379 and final answers to 0 decimal places, e.g. 5,125. Cre

Answers

The journal entry for the issuance of 690 shares of $2 par value common stock and 330 shares of $100 par value preferred stock for a lump sum of $135,800 when the market price of the common shares and preferred shares is $140 each can be prepared.

The issuance of stock for a lump sum involves allocating the total lump sum amount to the respective stock classes based on their par value and market value.

To prepare the journal entry, we need to determine the allocation of the lump sum amount to common stock and preferred stock based on their par value and market price.

The par value of the common stock is $2, and the par value of the preferred stock is $100. The market price of both the common and preferred shares is $140 each.

First, we calculate the total par value for the common stock: 690 shares * $2 par value = $1,380.

Next, we calculate the total par value for the preferred stock: 330 shares * $100 par value = $33,000.

Now, we need to allocate the remaining amount to the common and preferred stock based on their market prices.

The total lump sum amount is $135,800. We subtract the total par value of both stock classes from the lump sum amount: $135,800 - ($1,380 + $33,000) = $101,420.

To allocate the remaining amount, we need to determine the ratio between the market price of each stock class and the total market price:

Common stock market price / Total market price = $140 / ($140 + $140) = 0.5

Preferred stock market price / Total market price = $140 / ($140 + $140) = 0.5

Now, we can allocate the remaining amount to each stock class:

Common stock: 0.5 * $101,420 = $50,710

Preferred stock: 0.5 * $101,420 = $50,710

The journal entry to record the issuance would be as follows:

Cash $135,800

Common Stock $50,710

Preferred Stock $50,710

Paid-in Capital in Excess of Par - Common $650

Paid-in Capital in Excess of Par - Preferred $50,000

The cash account is debited for the total lump sum amount received. The common stock and preferred stock accounts are credited for their respective par values. The remaining amount is allocated to paid-in capital in excess of par for each stock class.

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A Moving to another question will save this response. Question 2 Economic models are most often composed of diagrams and equations. True False A Moving to another question will save this response. OO

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The statement "Economic models are most often composed of diagrams and equations" is generally true.

Economic models are typically constructed using a combination of diagrams and equations to represent and analyze economic relationships, behaviors, and outcomes. Diagrams, such as graphs or flowcharts, visually depict the relationships between variables, while equations express mathematical relationships and provide a quantitative understanding of economic phenomena. However, it's worth noting that not all economic models exclusively rely on diagrams and equations; some models may also incorporate textual descriptions or qualitative analysis.

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Kindly help
Q6. Suppose that the utility function is u(c. ) log(c)-( (a) Explain the intuition behind this utility function. Does the person likes consump- tion c? What about leisure (? (b) Find the equation of a

Answers

(a) The utility function u(c) = log(c) captures a person's preferences for consumption. In this utility function, the logarithmic function reflects a diminishing marginal utility of consumption. As consumption increases, the additional satisfaction or utility gained from each additional unit of consumption decreases. This implies that the person values higher levels of consumption, but the additional utility gained from consuming more diminishes as consumption increases.

Regarding leisure, the utility function given does not directly incorporate leisure as a variable. Therefore, we cannot determine the person's preference for leisure based on this utility function alone. The utility function only provides information about the person's preferences for consumption.

(b) To find the equation of a budget constraint, we need to incorporate the person's budget constraint into the utility maximization problem. Let's assume the person has a budget of income (I) and faces prices (p) for consumption (c) and leisure (l).

The budget constraint equation can be expressed as p * c + w * l = I, where w represents the wage rate for leisure.

To find the specific equation of the budget constraint, we need more information about the person's income, prices, and wage rate.

Please provide additional details on the person's income, prices, and wage rate, and I will be able to assist you further in finding the equation of the budget constraint.

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What is a Loss Leader and why is it beneficial for some retailers?

Answers

A loss leader is a product that is sold at a price below its cost to attract customers and stimulate sales of other profitable products. It is beneficial for some retailers because it can:

1. Attract Customers: Offering a heavily discounted or even loss-making product grabs the attention of customers, drawing them into the store or website.
2. Increase Sales: Once customers are attracted by the loss leader, they are more likely to purchase other products that have higher profit margins.
3. Generate Customer Loyalty: By providing a great deal on a popular item, retailers can build customer loyalty and encourage repeat visits.
4. Clear Inventory: Loss leaders can be used to sell excess or slow-moving inventory, helping retailers free up space and resources for new products.
5. Competitive Advantage: Offering lower prices than competitors can give retailers an edge in the market, potentially leading to increased market share.
However, it's important for retailers to carefully analyze the profitability and overall impact of using loss leaders, as they need to ensure that the increased sales from other products offset the loss incurred on the promoted item.

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A company uses an item of inventory as follows:
Purchase price €200 per unit
Demand 40 units
Ordering cost €300
Holding cost 20% of purchase price
The supplier offers 3% discount for order of 60 units and 5% discount for order of 90 units
Required
Calculate the order in units that minimize the total cost............

Answers

The order quantity that minimizes the total cost is 60 units.

How to minimize total cost with order quantity?

To calculate the order quantity that minimizes the total cost, we need to consider both the ordering cost and the holding cost.

Let's start by calculating the total cost for different order quantities:

For an order quantity of 40 units:

Ordering cost = €300

Holding cost = 20% of €200 (purchase price) × 40 units = €160

Total cost = Ordering cost + Holding cost = €300 + €160 = €460

For an order quantity of 60 units:

Ordering cost = €300

Holding cost = 20% of €200 (purchase price) × 60 units = €240

Total cost = Ordering cost + Holding cost = €300 + €240 = €540

For an order quantity of 90 units:

Ordering cost = €300

Holding cost = 20% of €200 (purchase price) × 90 units = €360

Total cost = Ordering cost + Holding cost = €300 + €360 = €660

From the given information, we know that the supplier offers a 3% discount for an order of 60 units and a 5% discount for an order of 90 units.

Considering the discount, the total cost for an order quantity of 60 units would be:

Total cost = €540 - 3% of €540 = €540 - €16.20 = €523.80

Similarly, the total cost for an order quantity of 90 units would be:

Total cost = €660 - 5% of €660 = €660 - €33 = €627

Comparing the total costs, we find that the order quantity of 60 units minimizes the total cost, with a total cost of €523.80.

Therefore, the order in units that minimizes the total cost is 60 units.

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for the cost function c(q) = 100 2q 3q2, the total variable cost of producing 2 units of output is multiple choice 16. 12. 4. 10.

Answers

The cost function for this problem is C(q) = 100 + 2q + 3q^2. The correct option is none of the choices given, so the answer is not on the options.

The cost function for this problem is C(q) = 100 + 2q + 3q^2. Now, the variable cost is calculated as the cost per unit of output multiplied by the number of units produced. Thus, the variable cost of producing 2 units of output is given by C(2) - C(0), where C(0) is the cost of producing 0 units of output. Therefore, the variable cost of producing 2 units of output is:Variable cost = C(2) - C(0)Variable cost = (100 + 2(2) + 3(2)^2) - (100 + 2(0) + 3(0)^2)Variable cost = 20Therefore, the variable cost of producing 2 units of output is $20. The correct option is none of the choices given, so the answer is not on the options.

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The cost to produce Part A was $20 per unit in 2019. During 2020, it has increased to $25 per unit. In 2020, Sheridan Company has offered to supply Part A for $18 per unit. For the make-or-buy decisio

Answers

The cost to produce Part A increased from $20 per unit in 2019 to $25 per unit in 2020. Sheridan Company has offered to supply Part A for $18 per unit in 2020.

The make-or-buy decision involves assessing whether it is more cost-effective to produce a product internally or to purchase it from an external supplier. In this case, the cost of producing Part A increased from $20 to $25 per unit between 2019 and 2020. This significant increase in production costs may indicate various factors such as rising material costs, labor expenses, or overhead expenses. On the other hand, Sheridan Company is offering to supply Part A for $18 per unit in 2020, which is lower than the company's internal production cost.

Considering the cost difference, it would be financially beneficial for Sheridan Company to buy Part A from the external supplier rather than producing it internally. By purchasing Part A from Sheridan Company, the company can save $7 per unit compared to the increased internal production cost. This cost savings can have a positive impact on the company's overall profitability and competitiveness. However, other factors such as quality, reliability, and delivery time should also be considered in the make-or-buy decision.

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long answer pls and can include graph.
Why did the growth of house and share prices create a boom only to burst soon afterward, creating the Great Recession of 2007 - 2016?

Answers

The growth of house and share prices leading up to the Great Recession of 2007-2016 can be attributed to several interconnected factors.

Let's examine some key reasons for the boom and subsequent burst:

1. Housing Bubble:

The housing bubble refers to a period when housing prices experienced rapid and unsustainable increases. This bubble was fueled by various factors:

a. Easy Credit and Lax Lending Standards:

Prior to the recession, there was a significant expansion of credit availability and a relaxation of lending standards. Financial institutions were offering subprime mortgages to borrowers with lower creditworthiness, allowing them to obtain home loans. This led to increased demand for housing and drove up prices.

b. Speculative Investment:

As housing prices continued to rise, there was a widespread belief that the trend would continue indefinitely. Speculative investors entered the market, buying properties with the expectation of selling them at higher prices in the future. This further increased demand and created a self-reinforcing cycle of rising prices.

2. Financial Innovation and Excessive Risk-Taking:

Financial practices and instruments played a significant role in exacerbating the housing boom and subsequent burst:

a. Securitization and Mortgage-Backed Securities (MBS):

Financial institutions bundled mortgages into complex securities known as mortgage-backed securities (MBS). These MBS were then sold to investors. The underlying idea was to spread the risk associated with mortgage lending. However, the complex nature of these securities made it difficult to assess their underlying quality, leading to mispricing and underestimation of risks.

b. Derivatives and Risky Financial Instruments:

Derivatives, such as collateralized debt obligations (CDOs), further amplified the risks associated with mortgage-backed securities. These complex financial instruments were based on pools of mortgages, including both prime and subprime loans. The risks associated with these instruments were not well understood, and they were often given high credit ratings, misleading investors about their actual risk levels.

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Discuss and decide what core problem your campaign seeks to address -- must choose an Indigenous issue of Canada that combines about Poorer health and Lower Income
Create own answer(s) to the following question:
What would a world without this problem look like?
Use words, diagrams, illustrations
Imagine unlimited resources (money, power, etc)
Enumerate all the benefits of the proposed world

Answers

The core problem that the campaign seeks to address is the intersection of poorer health and lower income among Indigenous communities in Canada.

In a world without the problem of poorer health and lower income among Indigenous communities in Canada, significant positive changes would occur. Firstly, there would be a significant improvement in health outcomes within these communities.

Secondly, the issue of lower income would be addressed, resulting in improved economic opportunities for Indigenous communities. Increased employment opportunities and higher wages would contribute to reducing poverty levels and closing the income gap.

In this proposed world, unlimited resources such as funding, power, and support would be available to address the systemic barriers and historical injustices that contribute to the poorer health and lower income experienced by Indigenous communities. Comprehensive government initiatives, community-driven programs, and partnerships would be established to ensure sustained progress and upliftment of Indigenous peoples.

The benefits of this proposed world would be numerous. Indigenous communities would experience improved health outcomes, leading to longer and healthier lives. With increased income and economic opportunities, Indigenous individuals would have the means to support themselves and their families, break free from the cycle of poverty, and create a better future for future generations.

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