has the marrying age of a man changed over the years? the united states bureau of the census takes a formal count of everyone in the u.s. every 10 years and has provided the following data that gives the median age of an american man at the time of his first marriage.

Answers

Answer 1

The average rate of change in median age per year from 1950 to 1990 is approximately 0.0825 years of age per year. Hence the correct answer is option a).

Average rate of change = (Change in median age) / (Change in years)

The change in median age from 1950 to 1990 is:

Change in median age = Median age in 1990 - Median age in 1950

Change in median age = 26.1 - 22.8

Change in median age = 3.3 years

The change in years from 1950 to 1990 is:

Change in years = 1990 - 1950

= 40 years

Now we can calculate the average rate of change:

Average rate of change = (Change in median age) / (Change in years)

Average rate of change = 3.3 / 40

Average rate of change = 0.0825 years of age per year

To know more about median age, refer here:

https://brainly.com/question/33914862

#SPJ4

The complete question is:

Has the marrying age of a man changed over the years? The United States Bureau of the Census takes a formal count of everyone in the U.S. every 10 years and has provided the following data that gives the median age of an American man at the time of his first marriage.

Year / Median Age

1910 / 25.1

1920 / 24.6

1930 / 24.3

1940 / 24.3

1950 / 22.8

1960 / 22.8

1970 / 23.2

1980 / 24.7

1990 / 26.1

2000 / 26.8

Determine the average rate of change in median age per year from 1950 to 1990.

a.) 0.0825 years of age per year

b.) 0.825 years of age per year

c.) 1.21 years of age per year

d.) -1.21 years of age per year


Related Questions

19. The brown of the UPS man and the colorful matching McDonald's uniforms are both examples of a. Trade dress b. Certification mark c. Custom design d. Poor taste in fashion.

Answers

a. Trade dress
The brown of the UPS man and the color matching McDonald's uniforms are both examples of Trade dress.

Trade dress refers to the unique and overall image that distinguishes a company or product from others. Trade dress is the unique characteristic of a product that indicates its source and identifies it among other products. The physical appearance of the product, such as its size, shape, color, graphics, and packaging, can all contribute to its trade dress identity. Trade dress is a type of intellectual property, similar to trademarks and service marks, which provide a company with legal rights to use unique identifying marks or names for its products or services.
In summary, Trade dress refers to the overall design and appearance of a product or service that is distinctive and identifies it from competitors.

Learn more about legal rights from the given link
https://brainly.com/question/30092721

#SPJ11

. Warehousing refers to the activities involving storage of goods on a large-scale in a systematic and orderly manner and making them available conveniently when needed. In other words, warehousing means holding or preserving goods in huge
quantities from the time of their purchase or production till their actual use or sale.
a) List down FIVE (5) types of Warehouse
b) According to notes given, what is the function of warehouse?
warehouse management subject please can you help to answer faster

Answers

a) Five types of warehouses are as follows:Public Ware house Private Ware house Distribution Center Bonded Warehouse Climate-controlled Ware house.

b) The function of a warehouse includes storage of goods, protection of goods, and supplying a regular supply of goods. Additionally, it facilitates the transportation of goods to various destinations, provides employment opportunities, and helps in balancing supply and demand. Therefore, warehousing is an important aspect of commerce that helps in the smooth functioning of businesses.

To know more about warehouses visit:

https://brainly.com/question/29429291

#SPJ11

A local tire wholesale distributor sells on average $6,500 of inventory daily to retail tire shops. The distributor generally carries about $250,000 in inventory. How many days-of-supply does the distributor have? How many times a year does the distributor turn over their inventory?
The parent company to the tire distributor above owns a national chain of distributors on the west coast of the United States. Last year, they posted the following numbers in their financial filings.
Inventory = $182 Million (cost to acquire)
Revenue = $9,543 Million
COGS = $5,389 Million
Calculate days-of-supply and annual inventory turns for the parent company.

Answers

To calculate the days-of-supply and annual inventory turnover for the parent company, we need to use the following formulas:Days-of-Supply = (Average Inventory / Average Daily Sales)

Inventory Turnover = (COGS / Average Inventory)For the local tire wholesale distributor:Average Daily Sales = $6,500Average Inventory = $250,000Days-of-Supply = ($250,000 / $6,500) ≈ 38.46 days

Inventory Turnover = ($5,389 Million / $182 Million) ≈ 29.61 times

For the parent company:COGS = $5,389 MillionAverage Inventory = $182 MillionDays-of-Supply = ($182 Million / ($9,543 Million / 365 days)) ≈ 7.01 daysInventory Turnover = ($5,389 Million / $182 Million) ≈ 29.61 times

Therefore, the parent company has approximately 7.01 days-of-supply and an annual inventory turnover of around 29.61 times.

learn more about company here :

https://brainly.com/question/30532251

#SPJ11

Please draw and explain the life cycle path of hours worked for a person who, at age 40, suddenly wins 73 million dollar in the lottery.
What would be that life cycle path of hours worked if he always knew that he would win the lottery?

Answers

The life cycle path of hours worked for a person who, at age 40, suddenly wins 73 million dollars in the lottery could take a variety of paths depending on their financial goals, lifestyle, and other personal factors.

Initially, the person may choose to take a break from work and enjoy their newfound wealth.

However, after a period of relaxation and enjoyment, they may begin to seek new challenges and opportunities. They could start a new business venture, invest their money in the stock market or other investments, or pursue a new career.

The person's life cycle path may also depend on whether or not they always knew that they would win the lottery. If they did know that they would win, they may have already planned out their financial goals and retirement plans. They may have already established a financial portfolio and a plan for how they would use their winnings to meet their long-term financial needs.

Overall, the life cycle path of hours worked for a lottery winner is highly dependent on their personal goals and priorities. Some may choose to work less or retire early, while others may seek new challenges and opportunities. Ultimately, the goal is to achieve financial security and stability while also finding personal fulfillment and happiness.

To know more about venture visit:

https://brainly.com/question/28288667

#SPJ11

About Teck Resources Limited company.
With information taken from the corporation’s financial report in bnnbloomberg.ca (last 2 years). Discuss the reasons for changes in the stock price for the last 12 months.

Answers

Teck Resources Limited is a diversified Canadian resource company that produces coal, zinc, copper, molybdenum, silver, and gold. The following are the reasons for the changes in Teck Resources based on information taken from the corporation's financial report on.

ca for the last 2 years: Market Forces: Teck Resources Limited's share price is also influenced by market forces such as investor sentiment, demand and supply dynamics, macroeconomic trends, global commodity prices, political and regulatory shifts, and market competition.

As a result, the stock price may rise or fall based on these factors, and in certain cases, it may be disconnected from the company's underlying fundamentals. These metrics may indicate bullish or bearish signals, which could affect the share price. Fundamental Analysis: Financial metrics such as earnings, revenue, profit margins, cash flow, debt levels, and other key financial ratios can be used to evaluate the company's financial performance and determine its intrinsic value. These metrics can assist in predicting whether the stock is overvalued or undervalued, which can have a significant impact on the stock price. Overall, the stock price of Teck Resources Limited over the last 12 months has been influenced by a variety of market forces, technical indicators, and fundamental financial metrics.

To know more about molybdenum visit:

https://brainly.com/question/8307224

#SPJ11

Please provide an in depth answer to the following questions:
What motivated Congress to pass the Sarbanes Oxley Act (SOX) of 2002?
What is the difference between accounts receivable and notes receivable?

Answers

What motivated Congress to pass the Sarbanes-Oxley Act (SOX) of 2002?

The Sarbanes-Oxley Act of 2002 was passed by the United States Congress in response to a series of high-profile accounting scandals that shook public confidence in the integrity of financial reporting. The primary motivation behind the enactment of SOX was to restore trust and confidence in the financial markets and ensure the accuracy and reliability of financial statements. Some key factors that motivated Congress to pass SOX include:

a) Enron and WorldCom Scandals: The collapse of energy company Enron and telecommunications company WorldCom revealed widespread accounting fraud and corporate misconduct. These scandals involved accounting manipulations, off-balance-sheet transactions, and misleading financial statements that resulted in significant financial losses for investors and employees.

b) Investor Confidence and Market Stability: The scandals eroded investor confidence, leading to a loss of trust in corporate America. Congress recognized the need to restore investor confidence and maintain the stability of financial markets by implementing stronger regulations and oversight.

Learn more about  Market  here:

https://brainly.com/question/33204230

#SPJ11

Which TWO of the following are direct expenses?
(i) The cost of special designs, drawings or layouts for a specific job.
(ii) The hire of tools or equipment for a particular job.
(iii) Salesmen’s wages.
(iv) Rent, wages and insurance of a factory.
a.
(ii) and (iv)
b.
(iii) and (iv)
c.
(i) and (iii)
d.
(i) and (ii)

Answers

Direct expenses: Direct expenses refer to expenses that are directly linked to the production of products or services. They are incurred to produce goods and services that generate revenue.

These expenses are commonly known as variable expenses. Examples include raw materials, labor costs, and factory overheads such as electricity and gas. Direct expenses are debited to the trading account. The cost of special designs, drawings or layouts for a specific job and hire of tools or equipment for a particular job are direct expenses .Two direct expenses are: Option (I) The cost of special designs, drawings, or layouts for a specific job .Option (II) The hire of tools or equipment for a particular job. The correct answer is (i) and (ii).

learn more about production here:

https://brainly.com/question/30333196

#SPJ11

A monopolist has fixed costs of $132, a constant marginal cost of $8, and faces a demand curve given by P =44−2Q. The monopolist was engaging in first-degree price discrimination, however the Government has outlawed all forms of price discrimination. By how much does the monopoly's profit fall?

Answers

The monopoly's profit falls by $60 as a result of outlawing price discrimination.

The monopolist maximizes their profit by equating marginal cost with marginal revenue. Marginal revenue is the change in total revenue as a result of an additional unit of output.

The marginal revenue, in this case, is MR = 44 - 4Q.

The monopolist sets MR=MC, which is equivalent to

44 - 4Q = 8.

Solving this yields Q = 9. The corresponding price is P = 26.

Therefore, the monopoly's profit is

(26 - 8) × 9 - $132 = $90.

Following the ban on first-degree price discrimination, the monopolist must now charge a uniform price of $26.

From the demand curve, this implies a quantity of Q = 9.

At this output level, the monopolist's cost is

8 × 9 + $132 = $204.

Their total revenue is

(26) × 9 = $234.

Therefore, the profit after price discrimination is banned is

$234 - $204 = $30.

The difference between the profits under the two conditions is

$90 - $30 = $60.

Know more about the price discrimination

https://brainly.com/question/25565797

#SPJ11

Saturn Tech has a convertible bond outstanding, trading in the marketplace at 5835 . The par value is $1,000, the coupon rate is 7 percent, and the bond matures in 25 years. The convereion price is 52 , and the company's comman stock is selling for 51 per share. Interest is paid annually. Assume interest rates in the market (yeld ta maturity) are 7 percent. a. What is the conversion value? $ Round your ariswer to the nearest cent b. What is the pure bond component of this convertible bond? s Round your answer to the nearest cent Warrants. Delta Ltd. has warrants outstanding, which are selling at a $12 premium above intrinsic (or minimum) volue. Each warrant allows its owner to purchase 1 shares of common stock at $38. If the common stock currantly selis for s25. What is the warrant price? Round your answer to the nearest dollur Portfolio of two anssets (inverse). An investment portfolio has 36% invested in stock A and 64% invested in stock B. The standard deviotions of A end 8 are 14% and 18%, respectively, and the portfolio's standard deviation is 12%, What is the correiation coefficient between the two stocks? Round yoed answer to two decimats

Answers

a. Calculation of the conversion value of the bond is as follows:Conversion value = conversion ratio * market price per shareConversion ratio is given as the ratio of the par value to the conversion price. So,Conversion ratio = par value / conversion price = $1000 / $52 = 19.23

Market price per share is given as $51.So, Conversion value = 19.23 * $51 = $981.73 (approximately)Therefore, the conversion value is $981.73 (rounded to the nearest cent).b. Calculation of the pure bond component of the bond is as follows:First, calculate the annual interest payment as Coupon rate * Par value = 7% * $1000 = $70.Now, calculate the present value of the bond using the given interest rate, maturity period, and interest payment

Present value = (Annual interest payment / YTM) * [1 - 1 / (1 + YTM)^(number of years to maturity)] + Par value / (1 + YTM)^(number of years to maturity)where YTM is the yield to maturity.

Given portfolio standard deviation: Portfolio standard deviation = 12% = 0.12

Let's assume the correlation coefficient between stocks A and B is denoted by 'r'.The equation to be solved is: r = (0.36 * 0.14)^2 + (0.64 * 0.18)^2 + 2 * 0.36 * 0.64 * r

where we substitute the given values:

r = (0.02016 + 0.066048 + 0.0813072 - 0.018432r) / 0.078336r * 0.078336

= 0.1694812

r = 0.1694812 / 0.078336

= 2.16 (rounded to two decimal places)

Therefore, the correlation coefficient between the two stocks is 2.16 (rounded to two decimal places).

To know more about Conversion visit :

https://brainly.com/question/9414705

#SPJ11

Once the entire submission has been completed, the user must be informed that the product details have been successfully saved.

Answers

Your product details have been saved. After completing the submission process, it is important to inform the user about the successful saving of product details.

This confirmation message provides reassurance to the user that their data has been securely stored and eliminates any uncertainty or doubt. By clearly stating that the product details have been successfully saved, the user can proceed with confidence, knowing that their input has been recorded and can be accessed as needed. This feedback enhances the user experience and ensures transparency in the system, fostering trust and satisfaction.

Learn more about product here:

https://brainly.com/question/31812224

#SPJ11

You are loaned $100,000 and pay this back by making constant payments at the end of each year for 40 years. If effective annual interest is i=3% then find when the outstanding balance first falls below $50,000

Answers

The given problem is about the repayment of a loan of $100,000 by making constant payments at the end of each year for 40 years with an effective annual interest of 3%.

We have to find out when the outstanding balance first falls below $50,000.Let's find out the constant payment, C:

[tex]PV = C {(1 - (1 + i)⁻ⁿ)/i}[/tex]

Where, PV = present value of the loan

i = effective annual interest

n = number of payments required

C = constant payment

We have, PV = $100,000i [tex]= 3% = 0.03n = 40C = PV/ {(1 - (1 + i)⁻ⁿ)/i}= $100,000/ {(1 - (1 + 0.03)⁻⁴⁰)/0.03}= $100,000/22.191= $4,507.81[/tex]

Therefore, constant payment, C = $4,507.81

Now, let's find out the outstanding balance when the number of payments made = 30 (after 30 years):Annuity due formula:

we will use n = 30 and multiply the result by (1 + i) to find out the outstanding balance just after the 30th payment.

[tex]C {(1 + i)ⁿ - 1/i} x (1 + i)= $4,507.81 {(1 + 0.03)³⁰ - 1/0.03} x (1 + 0.03)= $4,507.81 {(2.208 - 1)/0.03} x 1.03= $4,507.81 {1.208/0.03} x 1.03= $4,507.81 x 40.268= $181,965.16[/tex]

Outstanding balance after 30th payment = $181,965.16

To know more about repayment visit:

https://brainly.com/question/31483682

#SPJ11

Three friends = 1, 2, 3 get together for a few drinks and decide to share the total bill equally. Friend 's preferences are represented by the utility function
(x, y) = 2 √x – y .
where x is the number of drinks that consumes and y is the amount of money that pays. Each drink costs $1.
(a) Describe the strategic game generated by this situation.
(b) How many drinks will these friends have at the Nash equilibrium of the game generated by this situation? Is the Nash equilibrium a dominant-strategy equilibrium? Explain.
(c) Is this Nash equilibrium efficient? Explain.
Please solve this by calculating this equation

Answers

(a) The strategic game generated by this situation is called a cooperative game as all the three friends agreed to share the total bill equally. It is a non-cooperative game where each friend has to choose a strategy without knowing what strategies are chosen by the other friends.

(b) The Nash equilibrium of the game generated by this situation is (4, $4).At this Nash equilibrium, each friend will consume four drinks, and pay $4 each. Therefore, the total cost will be $12, and each person will consume 4 drinks. This Nash equilibrium is a dominant strategy equilibrium.

The reason being, if one friend deviates from this strategy, then they will have to pay more to maintain the Nash equilibrium, which they will not want to do.(c) This Nash equilibrium is not efficient. This is because the total utility that the friends derive from this equilibrium is less than the maximum utility they could get from this situation.Suppose, if friend 1 increases their drink consumption from 4 to 5, then their utility will be (5, $3), and the utility of the other friends will be (3, $5). The total utility of all the friends will be 10.1 + 7.7 + 5.7 = 23.5, this situation has a maximum total utility of 23.5 which is greater than the total utility of the Nash equilibrium which is 18.6.

To know more about strategies visit:

https://brainly.com/question/31930552

#SPJ11

Tarana Burke an activist started the "#metoo" movement to combat sexual harassment in 2006. Here is a news story from NBC news that discusses the "metoo" movement from 2019 and includes an integrated video that you may find interesting NBC news story on sexual harassment.
https://www.nbcnews.com/health/womens-health/sexual-harassment-losing-its-effect-women-workplace-possibly-thanks-metoo-n1030871
Answer the following questions:
1. What law prohibits sexual harassment in the workplace?
2. What are the classifications of sexual harassment, and how are they proven?
3. What Policies and Procedures should be in place in the workplace to avoid sexual harassment?
4. Have you noticed any change where you work since the beginning of the "metoo" movement? If so, tell us what has changed.

Answers

The laws that prohibit sexual harassment in the workplace are Title VII of the Civil Rights Act of 1964, which is enforced by the Equal Employment Opportunity Commission (EEOC) and its state-level counterparts. Sexual harassment has two classifications, quid pro quo and hostile environment, which must be proven by the victim. To prevent sexual harassment, policies and procedures should be in place in the workplace.

1. The laws that prohibit sexual harassment in the workplace are Title VII of the Civil Rights Act of 1964, which is enforced by the Equal Employment Opportunity Commission (EEOC) and its state-level counterparts. Title VII applies to businesses with 15 or more employees, prohibiting employers from discriminating against an employee based on race, color, national origin, sex, or religion.

2. Sexual harassment has two classifications, quid pro quo and hostile environment, which must be proven by the victim. Quid pro quo occurs when an employer or supervisor requests sexual favors in exchange for a promotion, a raise, or the right to keep a job. On the other hand, hostile environment sexual harassment occurs when sexual behavior creates an intimidating, offensive, or hostile work environment. Proving that such behavior has taken place requires the victim to have documented evidence.

3. To prevent sexual harassment, policies and procedures should be in place in the workplace. Policies and procedures should include the following:
• Providing training and guidance to supervisors and employees on the legal definition of sexual harassment and how to recognize it.
• Establishing a grievance procedure to address complaints, with multiple reporting options, such as anonymous reporting, and a clear policy of no retaliation.
• Encouraging open communication between supervisors and employees and promoting a respectful and positive work environment.

4. In response to the #MeToo movement, many companies have re-evaluated their policies and procedures to prevent and address sexual harassment. These companies are now providing more training to their employees on sexual harassment. In addition, they have updated their reporting processes to make it easier and safer for victims to come forward. They have also committed to the principles of the movement, and the focus on awareness and prevention of sexual harassment.

To learn more about sexual harassment

https://brainly.com/question/30835501

#SPJ11

Monetarists usually hold [ ? ] expectations that people will form their expectations on the basis of the present realities and only gradually change their expectations as their experience unfolds.

Answers

Monetarists usually hold adaptive expectations that people will form their expectations based on present realities and gradually update them as their experience unfolds.

Monetarists generally adhere to the concept of adaptive expectations, which suggests that individuals form their expectations by observing current economic conditions and gradually adjust them over time as new information becomes available.
This approach contrasts with the idea of rational expectations, where individuals have perfect knowledge and make predictions based on an accurate understanding of the economic environment.
The concept of adaptive expectations in economics, particularly within the framework of monetarism, suggests that people base their future expectations on past experiences and present realities. According to monetarists, individuals do not possess complete or perfect information about the economy, and their expectations are influenced by recent events and observations.
Monetarists argue that individuals do not have access to all the relevant information or possess the ability to accurately forecast future economic conditions. Instead, they update their expectations gradually over time as they gain new experiences and information.
So, monetarists typically hold the view that people form their expectations based on present realities and gradually update them over time as their experiences unfold.

Learn more about adaptive expectations here:

https://brainly.com/question/32811474

#SPJ11

Income statements under absorption costing and variable costing
Gallatin County Motors Inc. assembles and sells snowmobile engines. The company began operations on July 1 and operated at 100% of capacity during the first month. The following data summarize the results for July:
Sales (3,500 units) $2,135,000 Production costs (4,000 units): Direct materials $1,049,200 Direct labor 451,200 Variable factory overhead 73,600 Fixed factory overhead 115,600 1,689,600 Selling and administrative expenses: Variable selling and administrative expenses $52,400 Fixed selling and administrative expenses 22,000 74,400 This information has been collected in the Microsoft Excel Online file. Open the spreadsheet, perform the required analysis, and input your answers in the questions below.
Open spreadsheet
a. Prepare an income statement according to the absorption costing concept.
Gallatin County Motors Inc.
Absorption Costing Income Statement
For the Month Ended July 31
Sales $
Cost of goods sold Gross profit $
Selling and administrative expenses Operating income $
b. Prepare an income statement according to the variable costing concept.
Gallatin County Motors Inc.
Variable Costing Income Statement
For the Month Ended July 31
Sales $
Variable cost of goods sold Manufacturing margin $
Variable selling and administrative expenses Contribution margin $
Fixed costs:
Fixed factory overhead costs $
Fixed selling and administrative expenses Total fixed costs Operating income $
c. What is the reason for the difference in the amount of Operating income reported in (a) and (b)?
Under the absorption costing method, the fixed manufacturing cost included in the cost of goods sold is matched with the revenues. Under variable costing , all of the fixed manufacturing cost is deducted in the period in which it is incurred, regardless of the amount of inventory change. Thus, when inventory increases, the absorption costing income statement will have a higher Operating income than will the variable costing income statement.

Answers

Because of how fixed manufacturing costs are handled, the amount of operating income reported using the absorption costing approach (statement a) and the variable costing method (statement b) differs.

Fixed manufacturing expenses are divided among units of production and accounted for in the cost of products sold in absorption costing. This means that some of the fixed manufacturing expenses are postponed to later periods and are not expensed in the current period as inventory increases. Because certain fixed manufacturing costs are carried forward in inventories, the absorption costing income statement will display higher operating income. Variable costing, on the other hand, views fixed production costs as period expenses and fully deducts them during the period in which they are paid for. The entire amount of fixed production expenses is expensed in the current quarter, regardless of changes in inventory levels. As a result, the income statement for variable costing will show a smaller operating income because no fixed manufacturing expenses are deferred to later periods. In conclusion, the way fixed manufacturing costs are accounted for and allocated between periods depending on inventory levels is what causes the difference in operating income between the absorption costing and variable costing approaches.

Learn more about income here:

https://brainly.com/question/14732695

#SPJ11

ANSWER ALL QUESTIONS Use the following production function and parameters in the Solow growth model to answer questions 1-2 for a hypothetical economy: Y=4K 1/4
(AL) 3/4
; population growth rate is 2.1%; saving rate is 20%; depreciation rate is 7%, and technological progress is 1.1%. 1. There is an over-accumulation of capital in the economy so the saving rate should be reduced. 2. The saving rate needed to reach the golden rule level of capital per effective labour is 0.25 Use the following parameters in the IS-LM model to answer questions 3−5 : λ 1

=8/3,λ 2

=8/9,β 1

=1/50,β 2

=1/40, interest elasticity of investment =50, marginal propensity to consume =3/4, marginal tax rate =1/5 and P=1.1 : 3. Equilibrium values of income and interest rates are 1856 and 7.65 units respectively if autonomous aggregate demand and nominal money supply are 630 and 198 units respectively. 4. Fiscal policy is twice as effective as monetary policy. 5. If government increases it spending by 160 units, investment will be crowded out by 200 units.

Answers

1. False. There is under-accumulation of capital in the economy. The saving rate is not enough to achieve the steady-state level of capital per effective labor, which is why it should be increased. If there were an over-accumulation of capital, capital stock per worker would already be too high.

2. True. The golden rule level of capital per effective labor (k*) is given by

[tex]k* = (s/(n+δ+g))^(1/θ-1),[/tex]

where s is the saving rate, n is the population growth rate, δ is the depreciation rate, g is the technological progress rate, and θ is the output elasticity of capital. Plugging in the given values, we get

[tex]k* = (0.2/(0.021+0.07+0.011))^(1/(3/4)-1) = 0.25.[/tex]
3. True. The IS equation is Y = C(Y-T)+I(r)+G and the LM equation is M/P = L(r,Y), where Y is income, C is consumption, T is taxes, I is investment, G is government spending, M is the nominal money supply, P is the price level, L is money demand, and r is the interest rate. Solving the equations, we get Y = 1856 and r = 7.65.

4. True. Fiscal policy is more effective than monetary policy in the IS-LM model because it directly affects aggregate demand. If the government increases spending, it shifts the IS curve to the right, leading to an increase in income and interest rates. If the central bank increases the money supply, it shifts the LM curve to the right, leading to a decrease in interest rates and an increase in income.

5. False. An increase in government spending will shift the IS curve to the right, leading to an increase in income and interest rates. This will increase investment, not crowd it out. The crowding out effect occurs when the increase in government spending leads to an increase in interest rates, which reduces investment.

To know more about depreciation visit :

https://brainly.com/question/17827672

#SPJ11

The manufacturer of Brand X floor polish is developing a new polish that they hope will dry faster than the competition’s polish. The competition’s polish is advertised to have an average (median) drying time of 7 minutes. In a random sample of 1300 polishes with the new polish, 900 of the polishes dried in less than 7 minutes. Without making any assumptions about the distribution, can the manufacturer conclude that the median drying time for Brand X is faster than the competition's brand? Use the sign test to analyze the results. Step 1 of 2 : Find the value of the test statistic to test that the new polish dries faster than the competition's polish. Round your answer to two decimal places if necessary.

Answers

The test statistic to test whether the new polish dries faster than the competition's polish is 4.64.

To analyze the results using the sign test, we compare the observed number of polishes that dried in less than 7 minutes (900) with the expected number of polishes that would dry in less than 7 minutes if the drying time was the same as the competition's polish (650, which is half of the total sample size). Next, we calculate the test statistic using the formula: test statistic = (observed number of successes - expected number of successes) / sqrt(expected number of successes * (1 - expected number of successes) / sample size) Plugging in the values, we have: test statistic = (900 - 650) / sqrt(650 * (1 - 650/1300) / 1300) = 4.64 The test statistic represents the number of standard deviations away from the expected value. In this case, the test statistic of 4.64 suggests that the observed number of polishes drying in less than 7 minutes is significantly greater than the expected number under the assumption that the drying time is the same as the competition's polish.

learn more about statistic here :

https://brainly.com/question/31538429

#SPJ11

7a. If an investment of $10,000 today earns 9% in each of the next two years, and then earns 5% per year for three years after that, how much will the investment be worth at the end of the five years? a. $13,300 b. $13,754 c. $13,794 d. $14,402 7b. You have just been notified that you won the lottery. You will be paid 10 annual payments of $1,000,000, with the first one starting today. Using an interest rate of 7% (annual compounding), how much did you really win (in terms of present value)? a. $6,345,879.98
b. b. $7,246,887,91 c. c. $7,515,232.25 d. d. $10,000,000.00 7c. Quincy Enterprises issued a bond having a par value of $1,000, a 5 year life and a 7.6% coupon rate. If interest is paid semiannually and the discount rate is 6.4% rate of return, what is the current value of the bond? a. $878.06 b. $964.11 c. $1,050.66 d. $1,303.98

Answers

If an investment of $10,000 today earns 9% in each of the next two years, and then earns 5% per year for three years after that, how much will the investment be worth at the end of the five years?

After one year, the investment is worth $10,000 × 1.09 = $10,900.

After two years, the investment is worth $10,900 × 1.09 = $11,881.

After three years, the investment is worth $11,881 × 1.05 = $12,475.05.

After four years, the investment is worth $12,475.05 × 1.05 = $13,099.80.

After five years, the investment is worth $13,099.80 × 1.05 = $13,754.

the correct option is b. $13,754.7

You have just been notified that you won the lottery.

You will be paid 10 annual payments of $1,000,000,

with the first one starting today.

Using an interest rate of 7% (annual compounding), how much did you really win (in terms of present value)?

The present value (PV) of the lottery winnings can be calculated using the following formula:

PV = C × [(1 - (1 + r)^(-n)) / r],

where C = cash flow per year,

r = interest rate, and n = number of years.

The cash flow per year is $1,000,000,

the interest rate is 7%, and the number of years is 10.

the correct option is not given. None of the options is correct.

To know more about investment visit:

https://brainly.com/question/14921083

#SPJ11

4.2 Describe the shortcomings of holding inventory within the
supply chain

Answers

Inventory within the supply chain is the amount of stock that a business or company keeps available to meet demand. This helps them ensure that they are able to meet demand in the shortest amount of time.

However, there are several shortcomings of holding inventory within the supply chain:

Cost of holding inventory: The cost of holding inventory is very high. This is because inventory takes up a lot of space and requires resources to manage. This means that the longer a company holds inventory, the more money it has to spend on managing it.

Obsolete inventory: Inventory can become obsolete if it is not sold within a certain period of time. This can lead to significant losses for the company as the inventory will need to be disposed of or sold at a loss. This can have a major impact on the company's bottom line.

Lead times: Lead times can be a major challenge for companies that hold inventory. This is because it takes time to receive inventory from suppliers and to deliver it to customers.

This can lead to delays in meeting customer demand and can also lead to stockouts. This can be a major issue for companies that rely on their inventory to meet customer demand.

Overstocking: Overstocking can be a major issue for companies that hold inventory. This is because it can lead to increased costs and can also lead to stockouts. This can be a major issue for companies that rely on their inventory to meet customer demand.

To know more about Inventory visit:
https://brainly.com/question/31146932

#SPJ11

Suppose that a firm is producing the profit-maximizing output under conditions of diminishing returns. its output price is $25, and its marginal cost of production at its current output level is $25. based on this information, it can be concluded that this firm must

Answers

Based on the given information, we can conclude that the firm must be operating at the point of minimum average variable cost (AVC). Here's why:

1. Diminishing returns: Diminishing returns occur when each additional unit of input yields progressively smaller increases in output. In this case, the firm is operating under conditions of diminishing returns, which means that as the firm increases its output level, the marginal cost of production increases.

2. Profit-maximizing output: The firm is producing the profit-maximizing output, which means that it is producing the level of output where marginal cost (MC) equals marginal revenue (MR). However, since the marginal cost at the current output level is equal to the output price ($25), it indicates that the firm has reached the minimum point of its average variable cost (AVC) curve.

3. Minimum AVC: The average variable cost (AVC) represents the variable cost per unit of output. The firm must be producing at the point where AVC is at its minimum because the marginal cost (MC) is equal to the output price ($25). At this point, the firm is minimizing its cost per unit of output.

In conclusion, based on the given information, we can infer that the firm must be operating at the point of minimum average variable cost (AVC).

Know more about  average variable cost here:

https://brainly.com/question/26413746

#SPJ11

according to the modern marketing concept, what is required for an organization to provide superior customer value to customers?

Answers

A company needs to concentrate on providing higher customer value to its clients, per the modern marketing idea. There are a few essential components needed to accomplish this.

First and foremost, the business must fully comprehend the demands, desires, and preferences of its target market. This necessitates in-depth market analysis and customer insights. Second, the company must create and provide goods and services that, in terms of features, quality, and advantages, meet or surpass client expectations. Thirdly, the value proposition should be communicated to the target audience through efficient communication and advertising tactics. Last but not least, continual customer relationship management and improvement initiatives are required to guarantee that the company consistently provides value and upholds customer pleasure and loyalty.

learn more about company here:

https://brainly.com/question/30532251

#SPJ11

Pierce College contracts with Specialized Face Masks to purchase 10,000 cloth face masks with Pierce College's name, logo with the material being maroon in color with black lettering. Before the face masks can be delivered to Pierce College, Specialized Face Masks has a fire and the whole plant is destroyed. All masks were destroyed. Does Pierce College owe Specialized Face Masks or is Specialized Face Masks liable to the shipment to Pierce College. Explain.

Answers

Pierce College's contract with Specialized Face Masks to purchase 10,000 cloth face masks with Pierce College's name, logo with the material being maroon in color with black lettering got destroyed after the manufacturer's whole plant got burned down by fire.

In such a situation, the liability of the shipment would depend on the type of agreement the two parties entered into.

To know more about contract visit:

https://brainly.com/question/984979

#SPJ11

Kim is trying to decide whether she can afford a loan she needs in order to go to chiropractic school. Right now Kim is living at home and works in a shoe store, earning a gross income of $1,010 per month. Her employer deducts $150 for taxes from her monthly pay. Kim also pays $183 on several credit card debts each month. The loan she needs for chiropractic school will cost an additional $157 per month. Help Kim make her decision by calculating her debt payments-to-income ratio with and without the college loan. (Remember the 20 percent rule) (Enter your answers as a percent rounded to 2 decimal places.)
Ratio with college loan = debt payment to income ration (39,53%)
Ratio without college loan = debt payment to income ration (21,27%)

Answers

Debt payment to income ratio can be calculated by dividing the total monthly debt payments by the monthly gross income. For the calculation of the debt payments-to-income ratio with and without the college loan for Kim,

we can use the following steps:

Given,Gross income per month (Kim's earnings) = $1010Taxes deducted by the employer per month = $150Credit card debts per month = $183Loan for Chiropractic School = $157 a month

Without College Loan:

Total monthly debt payments = $150 + $183 = $333

Debt payment-to-income ratio =

(Total monthly debt payments / Gross monthly income) x 100= ($333 / $1010) x 100 = 33.03%

(Rounded to 2 decimal places)

Since the debt payment-to-income ratio is 33.03% which is below the 20 percent rule, Kim can afford a loan she needs in order to go to chiropractic school.

With College Loan:

Total monthly debt payments = $150 + $183 + $157 = $490

Debt payment-to-income ratio =

(Total monthly debt payments / Gross monthly income) x 100= ($490 / $1010) x 100 = 48.51%

(Rounded to 2 decimal places)Since the debt payment-to-income ratio is 48.51% which is more than the 20 percent rule, Kim should not opt for the loan that she needs for chiropractic school.

Therefore, we can conclude that the debt payment-to-income ratio with the college loan is 48.51% and without the college loan is 33.03%.

The ratio with college loan exceeds the 20 percent rule whereas the ratio without college loan lies below the 20 percent rule.

Hence, Kim should not go for a loan.

To know more about payments-to-income visit:

https://brainly.com/question/32784158

#SPJ11

Scenario: In the United Kingdom it is recommended that adults consume at least 5 portions of a variety of fruit and vegetables every day. An adult portion of fruit or vegetables is 80 g. "In 2018 , only 28% of adults were eating the recommended five portions of fruit and vegetables per day - and the average (mean) was 3.7 portions per day. Fewer men than women meet the five-a-day guideline, and young people aged 16 to 24 are also less likely than other adults to get their five-a-day. .1 −1

Answers

In the United Kingdom, it is recommended that adults should consume at least five portions of a variety of fruit and vegetables every day. An adult portion of fruit or vegetables is considered 80 g. The significance of a balanced diet with an appropriate intake of nutrients is well-established.

Vegetables and fruits are an important source of minerals and vitamins. However, the consumption of fruits and vegetables is deficient among UK adults, despite numerous campaigns promoting their intake. According to the 2018 report, only 28% of adults were eating the recommended five portions of fruit and vegetables per day. The average (mean) was 3.7 portions per day. This indicates that the majority of the population is not meeting the recommended dietary guidelines. This poor dietary habit poses a risk of obesity, type 2 diabetes, heart disease, and some cancers.

Further, fewer men than women meet the five-a-day guideline, and young people aged 16 to 24 are also less likely than other adults to get their five-a-day. One possible reason for this could be that people have difficulty incorporating a diet rich in fruits and vegetables into their busy lives or a lack of awareness about the benefits of eating fruits and vegetables. These issues must be addressed with effective initiatives and campaigns aimed at promoting fruit and vegetable consumption. Furthermore, governments and schools should take action to promote healthy eating habits, including the incorporation of fruits and vegetables into meals, to raise awareness about the importance of a balanced diet.

To know more about well-established visit:

https://brainly.com/question/32133528

#SPJ11

Equipment With A Book Value Of $78,500 And An Original Cost Of $169,000 Was Sold At A Loss Of $31,000. B. Paid $112,000 Cash For A New Truck. C.
a. Equipment with a book value of $78,500 and an original cost of $169,000 was sold at a loss of $31,000.
b. Paid $112,000 cash for a new truck.
c. Sold land costing $310,000 for $410,000 cash, yielding a gain of $100,000.
d. Long-term investments in stock were sold for $93,500 cash, yielding a gain of $17,000.

Answers

The events a-d that affect the financial statements of a business are as follows:

a. Equipment with a book value of $78,500 and an original cost of $169,000 was sold at a loss of $31,000, and the following entries were made:

To record a loss on the sale of equipment ($31,000) Equipment (cost $169,000-accumulated depreciation $78,500) $90,500Loss on sale of equipment $31,000Accumulated depreciation $78,500

b. The new truck's cost is $112,000, which was purchased using cash. The following entries were made:To record the purchase of a new truckTruck $112,000Cash $112,000c. Land costing $310,000 was sold for $410,000 cash, resulting in a $100,000 gain.

The following entries were made:

To record the sale of land Cash $410,000Land $310,000Gain on sale of land $100,000d. Long-term investments in stock were sold for $93,500 cash, resulting in a $17,000 gain.

The following entries were made:

To record the sale of stock Cash $93,500Long-term investment $76,500Gain on sale of long-term investment $17,000These are the financial transactions that will be recorded by a business.

To know more about financial visit:

https://brainly.com/question/32292990

#SPJ11

s and n bought a store building and took title as joint tenants

Answers

The s and n bought a store building and took title as joint tenants, they were granted the right of survivorship.

What is a joint tenancy?

A joint tenancy is a legal ownership structure that may be used by a property-owning couple. In joint tenancy, each tenant has an equal interest in the property.

It also means that if one of the joint tenants dies, the property passes to the remaining tenant or tenants (depending on how many remain) by right of survivorship.

A joint tenancy is frequently used for two or more individuals who own property together. It is a popular option for family members, business partners, or anyone else who wants to share the ownership of a piece of property.

What is the right of survivorship?

The right of survivorship is a legal term that refers to the way property is treated when one of the joint tenants dies. It means that if one of the joint tenants dies, his or her interest in the property is transferred to the remaining joint tenant(s) automatically.

The deceased joint tenant's heirs will have no claim to the property in the absence of a will or other legal instrument to the contrary.

The right of survivorship is a critical component of joint tenancy, as it ensures that the property remains in the hands of the surviving tenant(s) and avoids the probate process.

To learn more about joint tenancy from the given link.

https://brainly.com/question/30420028

#SPJ11

As described in Q. 2, Rachel decided to sell the land. Let's assume that Rachel had to pay $60,000 as Interest on the loan. What is the percentage gain on Rachel's investment?


39. 39%


393. 3%


93. 39%


3. 939%

Answers

The correct answer is 393.3%.

To calculate the percentage gain on Rachel's investment, we need to determine the gain in value and then express it as a percentage of the initial investment. In this case, the gain in value is the interest payment of $60,000 that Rachel received.

To calculate the percentage gain, we divide the gain by the initial investment and multiply by 100. The initial investment is not given in the question, so we cannot provide an exact percentage gain.

Learn more about investment here : brainly.com/question/14921083

#SPJ11

Topic: Factors of Online purchase intention
Discuss Three topic "a)Research methodology, b) Analysis and c)
Result".

Answers

The factors that influence online purchase intention have been of great interest to researchers.

Researchers have used a variety of research methods, analytical techniques, and statistical tools to investigate factors that are more relevant and robust in predicting consumers' online purchase intentions.

This paper will discuss the research methodology, analysis, and results of studies that have investigated the factors affecting consumers' online purchase intentions.

The research methodology adopted by studies in this area can be broadly classified into two categories: exploratory research and confirmatory research. Exploratory research aims to explore new ideas and concepts in an unstructured manner, without any predefined hypotheses.

In contrast, confirmatory research is hypothesis-driven and uses a preconceived set of hypotheses to be tested. The most common research methods employed in these studies are surveys, experiments, and field studies.

The analysis of the data collected in these studies involves several analytical techniques and statistical tools. The most commonly used analytical techniques are factor analysis, multiple regression analysis, and structural equation modeling.

Multiple regression analysis is used to examine the relationship between independent and dependent variables, while structural equation modeling is used to test the structural relationships between the variables under investigation. The results of studies investigating the factors affecting online purchase intentions have identified several key factors that significantly influence online purchase intentions.

To Know more about  analytical techniques,

https://brainly.com/question/28498361

#SPJ11

an mnc's cash flows are likely to be less volatile if its percentage of foreign sales is and the number of foreign countries it sells products to is . a. high; large b. high; small c. low; small

Answers

An MNC's cash flows are likely to be less volatile if its percentage of foreign sales is high and the number of foreign countries it sells products to is large. Thus, option A is the correct option.

An MNC's cash flows are likely to be less volatile if its percentage of foreign sales is high and the number of foreign countries it sells products to is large. This is because a diversified international presence can help mitigate risks associated with specific countries or regions.

When an MNC has a high percentage of foreign sales, it reduces its dependence on a single domestic market. If one market experiences economic downturns or other adverse conditions, the MNC can rely on its sales from other countries to offset the impact. This diversification spreads the risk across multiple markets and reduces the overall volatility of cash flows.

Similarly, selling products in a large number of foreign countries provides further diversification. By operating in various countries with different economic cycles, political environments, and consumer preferences, the MNC is less vulnerable to shocks in any single market.

Learn more about cash flow here:

https://brainly.com/question/27994727

#SPJ4

According to the Paradox of thrift, if everyone increases saving at the same time the equilibrium effect is more additional saving in the economy the equilibrium effect is no additional saving in the economy the equilibrium effect is less additional saving in the economy. the equilibrium effect on saving cannot be determined Not saved

Answers

The Paradox of thrift posits that if everyone increases their savings at the same time, the equilibrium effect is less additional saving in the economy.

This is because if all individuals choose to save their money, there will be less spending and therefore, less demand for goods and services.

As a result, businesses will earn less revenue and may be forced to lay off workers,

which in turn leads to decreased income for these workers and even less spending.

In this way, the increased savings of individuals ends up leading to decreased aggregate savings in the economy.

The paradox of thrift argues that an individual’s attempt to increase savings can have unintended consequences on the economy as a whole.

An increase in savings decreases consumption expenditure, and therefore, aggregate demand decreases,

which in turn leads to a decrease in national income.

The paradox of thrift also suggests that savings do not always lead to investment.

The paradox of thrift also has implications for economic policy.

A policy aimed at increasing savings may not necessarily lead to an increase in investment.

The policy will need to be balanced with other policies such as investment policies to ensure that the intended outcome is achieved.

To know more about equilibrium visit:
https://brainly.com/question/30694482

#SPJ11

Other Questions
nicole bought a piece of property for $12,000 she sold it for $15,000 what is the percent of increase In what ways are government agencies akin tomonopolies? In what ways are government agencies unlikeprivate-sector monopolies? Create a child class of PhoneCall class as per the following description: - The class name is lncomingPhoneCall - The lncomingPhoneCall constructor receives a String argument represents the phone number, and passes it to its parent's constructor and sets the price of the call to 0.02 - A getInfo method that overrides the super class getInfo method. The method should display the phone call information as the following: The phone number and the price of the call (which is the same as the rate) The income statement for Carew Ltd shows the following for the year ended 31 Decermber 2020 . Depreciation 89000 Erutertaining and 7.420 promotional gifts (note 1) Research and developmerst 126,500 (note 2) Warehousing and 227,900 distribution Motor expenses 57,900 Miscellaneous (note 3) 12.000 Note 1: Entertaining includes 6,250 for a client Christmas party with 50 attendees Note 2: all R\&D expenditure is eligible for RDEC Note 3: includes a 5,500 QCD Note 4: included in profit before tax is an amount remitted from an overseas branch of 25,000 which has had 5,000 of local tax deducted. The finance director considers that DTR could be claimed. Carew Ltd had a tax written down value of its general pool of 164.500 at 1 January 2020 and made purchases of plant and machinery of E68,500 during the year. Included within that is an amount for 12,500 for a piece of machinery that has a lifespan of two years. Required: 1. Prepare the capital allowances for the year ended 31 December 2020 (4 marks) 2. Prepare a corporation tax computation for Carew Ltd for the year ended 31 December 2020 (6 marks) 3. Explain how a thinly capitalised company must seek to reduce its Net Income and Owner's Equity for Four BusinessesFour different proprietorships, Aries, Gemini, Leo, and Pisces, show the same balance sheet data at the beginning and end of a year. These data, exclusive of the amount of owner's equity, are summarized as follows:Total AssetsTotal LiabilitiesBeginning of the year$84,400$33,800End of the year$135,000$56,700On the basis of the above data and the following additional information for the year, determine the net income (or loss) of each company for the year.(Hint: First determine the amount of increase or decrease in owner's equity during the year.)AriesThe owner had made no additional investments in the business and had made no withdrawals from the business.GeminiThe owner had made no additional investments in the business but had withdrawn $7,500.LeoThe owner had made an additional investment of $18,000 but had made no withdrawals.PiscesThe owner had made an additional investment of $27,800 and had withdrawn $6,400. Suppose we are preparing a lovely Canard `a lOrange (roast duck with orange sauce). We first take our duck out of a 36F refrigerator and place it in a 350F oven to roast. After 10 minutes the internal temperature is 53F. If we want to roast the duck until just under well-done (about 170F internally), when will it be ready which of the following statements is (are) true for the compound (3r, 4r)-3,4-dimethylhexane? 1.1 Create a script file in R Studio. Name the script mylastname_hw_2a.R1.2. Devise a header that you will use for all your R homework assignments. The header should contain at least the following information in a format of your choice. Frame the header with appropriate demarcations.Author:Date Created:Revision/Release:Purpose:Copyright Statement / Usage Restrictions:Author Contact Information:Notes:1.3 Compose an R script that includes at least the one each of the following code structures:a conditional (if-then) using at least one elseifa for loopa while loopa functiona print statement1.4 The script can accomplish anything you choose, but all of the elements together should accomplish a single objective. (It need not be a serious objective.)2.2.1 Create a script file in R Studio. Name the script mylastname_hw_2b.R2.2 Use the header you devised for the HW 2A with appropriate information.2.3 Compose an R script that creates at least one each of the following data structures and then references an element of each structure by index:VectorListMatrixArrayData Frame2.4 Write R code that references each of these structures by index/indices and does something with the data that is selected. You can do something as simple as print the data, but if you choose you may challenge yourself to do something more interesting. Retailer K operates 1200 stores, each carrying SKU P. During July, 300 stores reported stockouts of SKU P. Calculate the stockout rate.(place answer in space below with no % sign, for example, if your answer is 50%, place 50) Current Attempt in Progress Grouper Corporation had the following 2020 income statement. The following accounts increased during 2020: Accounts Receivable $14,000, tnventory $10,000 : Accounts Payable $12,000. Prepare the cash flows from operating activities section of Grouper's 2020 statement of cash flows using the indirect method. (Show amounts that decrease cash flow with either a5ign eg. 15,000 or in parenthesis e g. (15,000).1 In 2020, Vaughn Inc. issued 700 shares of $10 par value common stock for land worth $45,700. (a) Prepare Vaughn's journal entry to record the transaction. (Credit occount titles are automatically indented when amount is entered Do not indent manually. If no entry is required, select "No entry" for the account titles and enter of or the amounts.) (b) Indicate the effect the transaction has on cash. (c) Indicate how the transaction is reported on the statement of cash flows. if senior managers set budget targets for all the organizations units so the unit managers will have to work within those limits, which of the following approaches are they using? Given the demand equation x=10+20/p , where p represents the price in dollars and x the number of units, determine the elasticity of demand when the price p is equal to $5.Elasticity of Demand = Therefore, demand is elastic unitary inelastic when price is equal to $5 and a small increase in price will result in an increase in total revenue. little to no change in total revenue.a decrease in total revenue. Generate Number List The first thing we need to do in order to play Mastermind is to generate a list of numbers that the user has to try to guess. Requirements for the list: 1. The list is 4 numbers long 2. Randomly assign the values 1-7 to the list items. 3. Each number can only appear once, so check to make sure there are four unique numbers in the list. 4. Create a function called that creates the number list. We will print the list that is being created by the function so we can make sure our list is being created correctly. The SELECT statement is formed by at least two clauses: the SELECT clause and the FROM clausu. The clauses WHERE and ORDER BY are optional Obsorve that the SELECT statement, tike any other SQL statement, ends in a semicolon. The functions of each these clauses are summarized as folons - The SELECT clause ists the columns to display. The attributes fissed in this clause are the colurnns of the fesuing rolation - The FROM clause lists the tables from which to obtan the cata The columns mentoned in the SELECT clause muat be columns of the tables listed in the FROM clause. - The where clause specifies the conditicn ce conctions that need to be satisfed by the rows of the tabes indicated in the FROM cairse - The ORDER BY clause indicates the criterion or criteria used to sart roas that satisty the WhERE clause. The ORDER BY clauso only atrects tho display of the data retrieved, not the internal ordering of the rows within the tables As a mnemonic aid to the basic struesure of the SELECT statement, some authors summarize its functionality by saying that Iyou SELECT columns FROM tables WhERE the rows sabsfy certain condition, and the result is ORDERED BY specfo columns" Based on your place of emplayment. hobby, of othec interest, create a SELECT statoment using all the ciauses shown above in addnicn to the statensent, shate for which database you created the statement Then. compate, contrast, and evaluate your statement wipl one for a ditierent eatabaso Are they similar? Are thore any syntar diferences? Submit your refection using the lnk above. Remomber, for ful points. postings must - Be a m-nimum of 250 words - Be TOTALLY free of grammar issues, and follow APY Stye - Reflect comprehension of the 10picis) - Be supported with the toxt or othor SCHOLARtY sources You and your team are setting out to build a "smart home" system. Your team's past experience is in embedded systems and so you have experience writing software that directly controls hardware. A smart home has a computer system that uses devices throughout the house to sense and control the home. The two basic smart home device types are sensors and controls. These are installed throughout the house and each has a unique name and ID, location, and description. The house has a layout (floorplan) image, but is also managed as a collection of rooms. Device locations are rooms, and per-room views and functions must be supported.Sensors are of two types: queriable and event announcer. For example, a thermostat is a queriable sensor: the computer application sends out a query and the thermostat replies with the currently measured temperature. An example of an event announcer is a motion sensor: it must immediately announce the event that motion was sensed, without waiting for a query. Controls actually control something, like the position of a window blind, the state of a ceiling fan, or whether a light is on or off. However, all controls are also queriable sensors; querying a control results in receiving the current settings of the control.Device data (received from a sensor or sent to a control) depends on the type of device, and could as simple as one boolean flag (e.g., is door open or closed, turn light on or off), or could be a tuple of data fields (e.g., the current temperature and the thermostat setting, or fan on/off and speed).The system will provide a "programming" environment using something like a scripting language for the user to customize their smart home environment. It should also allow graphical browsing of the current state of the house, and direct manipulation of controls (overriding any scripting control). The system must also provide some remote web-based access for use when the homeowner is traveling.1. Pick one software development process style (e.g., waterfall, spiral, or others) that you would prefer your team to use, and explain why. What benefits would this process give you? What assumptions are you making about your team? What would this process style be good at, and what would it be not so good at? (Note the point value of this question; a two-sentence answer probably is not going to be a complete answer to this question.)2. What are two potential risks that could jeopardize the success of your project?3. State two functional requirements for this system.4. State two non-functional requirements for this system.5. Write a user story for a "homeowner" user role.6. Explain why this project may NOT want to rely entirely on user stories to capture its functional requirements. The purchase price for a used car, including finance charges is $7242. A down payment of $450 was made. The remainder was paid in 24 equal monthly payments. Find the monthly payment. A rational security decision, such as locking your vehicle when not in use, is an example of:A. reasoned paranoiaB. the hunter's dilemmaC. integrityD. none of the above Which reflects the sequence of activation that occurs in the HPA pathway?A. The hypothalamus activates the pituitary gland to release norepinephrine and epinephrine.B. The hypothalamus activates the pituitary gland to release ACTH, which signals the adrenal cortex to release corticosteroids.C. The hypothalamus activates the SNS, which activates the adrenal cortex to release corticosteroids.D. The pituitary gland activates the hypothalamus to release norepinephrine and epinephrine. Question Simplify: ((4)/(2n))^(3). You may assume that any variables are nonzero. As the sample size increases, what happens to the critical values for t? (Assume that the alpha level and all other factors remain constant.)a. the values increaseb. the values decreasec. the values do not change when the sample size changes