How important is design to goods, services, brands, and companies? Using the provided audio summary of research on the topic of design please consider how businesses add value by using design as a tool. Research shows that revenue, shareholder value, and profit margins rise in organizations that focus efforts on design.
After listening to the podcast audio, please share some of your own examples of design and business success from either personal experience as a consumer or some additional informal research you do on this topic. What is your opinion what the importance of this topic?

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Answer 1

Design plays an essential role in goods, services, brands, and companies. It has the potential to turn an average product into a successful one.

Good design provides a better experience, creates a positive impression and offers clear communication.

Well-designed products or services usually come with higher perceived value and can demand higher prices.

As a result, it can directly affect a company's revenue, shareholder value, and profit margins.

Design has proven to be a powerful tool for businesses to stand out from their competition, especially in the current marketplace.

Consumers are willing to pay more for products or services that offer quality design and experience.

It provides a competitive advantage to businesses and acts as a significant differentiator.

Companies that use design to create unique products or services are more likely to attract customers and develop loyal relationships with them.

For instance, Apple's design has been a key driver of its success.

Its sleek and innovative product design provides its customers with a unique experience,

leading to a competitive advantage in the market.

As a consumer, I am impressed by the level of detail and design that goes into some of the products that I use.

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Based on Case study 2.2 from Loftus et al (2020) Asset definition and recognition The Board of Directors for Richmond Ltd have questioned the accounting treatment recommended by their accountant, Taylor, for $600,000 spent on signage and labelling during the year ended 30 June 20X2.
The Board was expecting the amount to be recognised as an asset, that could be depreciated over a useful life of 10 years, and were disappointed with Taylor’s decision to recognise it as an expense. Additional information • If the $600,000 had been recognised as an asset, the entity would have also recognised depreciation expense for the year of $30,000. • $600,000 is material to the entity for the year ended 30 June 20X2. • Executive directors receive an annual bonus when profit exceeds 10% of total assets. • The long-term debt agreement restricts borrowing to a maximum of 65% of total assets.
Required: 1. Explain the general process of recognising Assets and Expenses in an entity’s financial statements in accordance with the Conceptual Framework. 2. Write the total journal entry to recognise the $600,000 expenditure (assuming it was paid on 31 December 20X1) and explain why Taylor decided to recognise it as an expense rather than an asset. 3. Explain why the Board would have preferred to recognise the $600,000 as an asset rather than an expense.

Answers

The Board preferred recognizing it as an asset for future economic benefits, profit impact reduction, and increased borrowing capacity.

1. The general process of recognizing assets and expenses in an entity's financial statements follows the guidelines set by the Conceptual Framework for Financial Reporting. According to the framework, an asset is recognized when it is probable that the future economic benefits associated with the asset will flow to the entity, and the asset has a cost or value that can be reliably measured. On the other hand, an expense is recognized when there is a consumption or outflow of economic benefits from the entity's resources, and it can be reliably measured. Assets are typically recognized when they meet the criteria for recognition, while expenses are recognized as they are incurred.

2. Journal entry to recognize the $600,000 expenditure:

Date: 31 December 20X1

Expense Dr. $600,000

Cash (or Accounts Payable) Cr. $600,000

Taylor decided to recognize the expenditure as an expense rather than an asset because it did not meet the criteria for asset recognition. Signage and labeling expenses are usually incurred for short-term benefits and do not provide future economic benefits that meet the definition of an asset. Additionally, recognizing the expenditure as an expense aligns with the matching principle, which aims to match expenses with the revenues they generate in the same accounting period.

3. The Board would have preferred to recognize the $600,000 as an asset rather than an expense because assets are typically associated with future economic benefits. By recognizing the expenditure as an asset, the Board would have been able to depreciate it over a useful life of 10 years, which would have spread the cost over multiple periods. This would have reduced the impact on the current year's profit and could have potentially increased the likelihood of meeting the threshold for executive directors' annual bonuses. Furthermore, recognizing the expenditure as an asset would have increased the entity's total assets, allowing for higher borrowing capacity within the constraints of the long-term debt agreement.

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Make a scenario and then question answers about employment
relation and rights to present (500 words)

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Scenario:

You are an HR manager at a company called ABC Corporation. ABC Corporation is a medium-sized organization operating in the technology industry. It has approximately 500 employees working in various departments such as engineering, marketing, finance, and administration. The company has a diverse workforce with employees of different backgrounds, skills, and experiences.

Question 1: What are some common employment relations issues that could arise in a diverse workforce like ABC Corporation, and how can they be effectively managed?

Question 2: What are the key employment rights that employees at ABC Corporation are entitled to, and how does the company ensure compliance with these rights?

Question 3: How does ABC Corporation promote a positive work environment that fosters employee engagement, satisfaction, and work-life balance?

Question 4: In what ways does ABC Corporation encourage employee growth and development, and what programs or initiatives are in place to support career advancement?

Question 5: How does ABC Corporation handle employee grievances and ensure a fair and impartial resolution process?

Question 6: What measures does ABC Corporation take to promote diversity, inclusion, and equal opportunities in the workplace?

Question 7: How does ABC Corporation ensure the health and safety of its employees, and what policies or practices are in place to address occupational hazards or emergencies?

Question 8: How does ABC Corporation maintain a strong employer-employee relationship, and what communication channels are used to facilitate effective employee engagement and feedback?

Question 9: How does ABC Corporation handle employee terminations or layoffs, and what processes are followed to ensure compliance with legal requirements and fair treatment of employees?

Question 10: What initiatives or programs does ABC Corporation have in place to recognize and reward employee contributions and achievements?

Remember, these questions are hypothetical and are intended to stimulate discussions and explore various aspects of employment relations and rights within the given scenario.

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Which of the following is a true statement about a contract between the Government and a Contractor?
a. Establish terms and conditions that cannot be modified

b. Principles purpose is the acquisition of property, supplies, or service

c. Does not require consideration when written for Government acquisition

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A contract between the Government and a Contractor is established to ensure the acquisition of property, supplies, or services through the principles of an exchange of value.

The fundamental purpose of this type of contract is to ensure that both parties establish the conditions and terms of the agreement, and the responsibilities of both parties are properly stated.In a contract between the Government and a Contractor, the following statement is a true one: "The principle's purpose is the acquisition of property, supplies, or service."Option B is the correct answer: the primary purpose of a contract between the Government and a Contractor is to acquire property, supplies, or services.

When the Government engages in such a contract with a contractor, it does so with the intention of achieving mutual benefits. As a result, the Government outlines its specifications, terms, and conditions to ensure the Contractor knows what is expected of them, and the Contractor provides their goods or services to the Government in exchange for the expected payment.The terms and conditions of the contract can be modified as necessary, however, any modification must be done according to the established rules and regulations, and for a justifiable reason, to ensure transparency and fairness in the agreement.

Therefore, the statement in option A is incorrect, because the terms and conditions of the contract are not immutable. Option C is incorrect as well because, like any other contract, a contract between the Government and a Contractor requires consideration to be legally binding. In other words, the exchange of value between the two parties is a requirement to validate the contract.

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Agri A management is considering using some idle cash to purchase options. They approached a trader and obtained the following information about a call and a put.
- Both options have a strike price of $40 - Both options have a maturity date of 6-months - The cost (premium) of the call is $2, and the put is $1.5 - The current price of the underlying share is $42. - The volatility is 20% - The risk-free rate is 10%. d) Calculate the break-even and maximum profit of long positions in the call and put and identify when these strategies (long call; long put) are convenient. e) If Agri A expects an increase in the underlying asset's price, should it invest in a call or a put? What price should be paid for the option based on the Black-Scholes model? Show calculation steps

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Answer:

Solution: d) The pay-off for a long position in a call option is given by:

Payoff = Max (ST - K, 0)

The cost of the call is 2, and the strike price is 40. This gives a break-even point of 42. The maximum profit for the call is unlimited since the stock price can increase to any value The long call is convenient when the trader expects a sharp increase in the stock price.

The pay-off for a long position in a put option is given by:

Payoff = Max (K - ST, 0)The cost of the put is 1.5, and the strike price is 40.

This gives a break-even point of 38.5.

The maximum profit for the put is K - premium, which is 40 - 1.5 = 38.5.

The long put is convenient when the trader expects a sharp decrease in the stock price.

e) If Agree A expects an increase in the underlying asset's price, it should invest in a call.

The Black-Scholes model for the price of a call option is given by:

C = S N(d1) - K e-r T N(d2)

where:

S = 42

K = 40

r = 10%

T = 6

/12 = 0.5

σ = 20%

Using the Black-Scholes formula:

d1 = (ln(S/K) + (r + σ²/2)T)

/ (σ √T) = (ln(1.05) + 0.2²/2 × 0.5)

/ (0.2 √0.5) = 0.9664d2

= d1 - σ √T

= 0.7664N(d1)

= 0.8315N(d2)

= 0.7800

C = 42 × 0.8315 - 40

e-0.1 × 0.5 × 0.7800 = 4.45

The price of the call option should be 4.45 based on the Black-Scholes model.

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uppose the Fed wants to implement an anti-recession monetary policy. For each of the tools listed below, indicate the direction the Fed's action should take. The Fed should conduct an open market V of Treasury bonds. The Fed should the reserve requirement. The Fed should V the interest rate paid on reserves deposited at the Fed. The Fed should lending from its discount window. Click to select your answer's)

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The "V" symbol in the options indicates that the action should vary based on the specific tool.

To implement an anti-recession monetary policy, the Federal Reserve (Fed) can use various tools. Let's indicate the direction the Fed's action should take for each of the tools mentioned:

The Fed ought to hold a Treasury bond open market V.

Action: Purchase

By conducting an open market purchase of Treasury bonds, the Fed increases the money supply in the economy, which can stimulate economic activity and promote lending and spending.

The reserve requirement should be set by the Fed.

Action: Decrease
By decreasing the reserve requirement, the Fed allows banks to hold a smaller portion of their deposits as reserves. This increases the amount of money banks can lend, stimulating lending and economic growth.

Action: Decrease

By decreasing the interest rate paid on reserves, the Fed incentivizes banks to lend their excess reserves rather than keeping them idle. This promotes lending and stimulates economic activity.

The Federal Reserve should lend through its discount window.

Action: Increase

By increasing lending from its discount window, the Fed provides additional liquidity to banks, allowing them to meet their short-term funding needs. This increases the availability of credit and supports economic activity.

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How much would you need to deposit today into an account earning 3.6% p.a. compounding quarterly, to have $6,958 at the end of year 4 ? Your Answer: Answer Question 9 (1.5 points) You want to buy a new car in four years which will cost you $63,000. If you have $49,000 in your bank account now, how much is nominal interest rate (compounded annually) p.a. to reach your goal? Hint: if your answer is 10.14%, please input as 10.14, rather than 0.1014, or 10.14%, or 10.14 per cent.

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We have to find out how much to deposit today into an account earning 3.6% p.a. compounding quarterly, to have $6,958 at the end of year 4.

We can use the formula for compound interest to solve this problem which is given as: A = P(1+r/n)^(nt)Where, A is the future value P is the present value or principal r is the annual interest rate n is the number of times the interest is compounded per year.t is the time in years.

The annual interest rate is 3.6% and the compounding is done quarterly. The quarterly interest rate is given as:r = 3.6% / 4 = 0.9% per quarter The number of compounding periods is 4 years * 4 quarters/year = 16. The present value can be calculated as:[tex]P = A / (1 + r/n)^(nt) P = 6958 / (1 + 0.9%/4)^(16)P = $5,172.88[/tex].

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Marketers may engage in value-pricing, which is the practice of simultaneously ________ while maintaining or decreasing price. a increasing product and service benefits b promoting specific product and service benefits c decreasing cost d analyzing benefits e decreasing profit

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The correct option is 'a) increasing product and service benefits' to complete the given statement below:

Marketers may engage in value-pricing, which is the practice of simultaneously increasing product and service benefits while maintaining or decreasing price.

Value pricing is the act of setting a product's price based on its perceived value to consumers rather than the price of a similar product. Value-based pricing is another name for it.

The main goal of value pricing is to find a balance between price and quality, allowing companies to increase profits while still retaining a customer base.

Marketers may engage in value-pricing, which is the practice of simultaneously increasing product and service benefits while maintaining or decreasing price.

Value pricing may help a company stand out from the competition, increase its market share, and boost its profitability.

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a compound annuity involves depositing or investing an equal sum of money at the end of each time period for a certain number of time periods and allowing it to grow.

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A compound annuity is a financial concept that involves depositing or investing an equal amount of money at the end of each time period for a specified number of time periods. The invested sum is then allowed to grow through compound interest or investment returns over time.

This type of annuity is characterized by the compounding effect, where the interest earned or returns generated are reinvested and added to the principal amount.

As a result, the investment grows exponentially over time. The compounding effect is particularly powerful when the annuity has a long time horizon, allowing the investment to benefit from the effects of compounding.

Compound annuities are commonly used in retirement planning and long-term savings strategies. By consistently depositing or investing equal amounts of money over time, individuals can take advantage of the compounding effect to grow their savings substantially.

This strategy allows for the accumulation of a larger sum of money compared to simple interest or non-compounding investments.

It is important to note that the specific growth of a compound annuity depends on factors such as the interest rate or investment returns, the time period, and the frequency of deposits or investments.

Professional financial advice is recommended to determine the most suitable investment strategy based on individual financial goals and risk tolerance.

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Enviro Company issues 8%,10-year bonds with a par value of $250,000 and semiannual interest payments, On the issue date, the annual market rate for these bonds is 5%, which implies a selling price of 123.375. The straight-line method is used to allocate interest expense. 1. What are the issuer's cash proceeds from issuance of these bonds? 2. What total amount of bond interest expense will be recognized over the life of these bonds? 3. What is the amount of bond interest expense recorded on the first interest payment date? What are the issuer's cash proceeds from issuance of these bonds? (Round your final answer to nearest whole dollar amount.) What total amount of bond interest expense will be recognized over the life of these bonds? What is the amount of bond interest expense recorded on the first interest. payment date? (Round your final answer to nearest whole dollar amount.)

Answers

The issuer's cash proceeds from the issuance of these bonds are $308,438. The total amount of bond interest expense recognized over the life of these bonds is $20,000. The amount of bond interest expense recorded on the first interest payment date is $1,000.

We must divide the selling price per bond by the total number of bonds issued in order to determine the issuer's cash gains from the sale of these bonds. The selling price is stated as 123.375, which is equal to 1.23375 or 123.375% of the purchase price. The calculation is as follows:

Cash received = Bonds sold * Bonds' selling price

Proceeds in cash equal $250 000 * 1.233 75

Total cash received: $308,437.50

As a result, the issuer received $308,438 in cash from the sale of these bonds.

We can use the straight-line technique to get the total amount of bond interest expense recognized over the life of these bonds. Bond interest costs are calculated using the following formula:

Bond interest costs are calculated as follows: (Par value * annual interest rate) / the number of interest payment periods

Interest on bonds is calculated as ($250,000 * 8%) / (10 years * 2).

Interest on bonds costs $20,000

As a result, $20,000 in bond interest expenses were recorded during the bonds' lifetime.

We can assign half of the yearly bond interest cost on the date of the first interest payment. Due to the bonds' semi-annual interest payments, the following would be the amount of bond interest expenditure reported on the first interest payment date:

Bond interest costs on the initial payment date are calculated as follows: Bond interest costs / number of interest payment periods

Bond interest costs on the first payment date are calculated as follows: $20,000 / (10 years * 2).

Bond interest cost on the due date for payment is $1000.

As a result, $1,000 worth of bond interest expenses were recorded on the first interest payment date.

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CPM stands for cost per one thousand clicks cost per one thousand impressions cost per million clicks clicks per minimum order cost per million impressions Yield is reach average purchase per customer cost per action CPM CTA When seeding we should normally include: both hubs and pumps mostly hubs mostly pumps The shorter the viral cycle time (the faster it takes to go through the whole viral loop) and the larger the viral coefficient, the more viral the process is True False Viral marketing will likely lead to: Category spillover effect Brand spillover effect Both If your enjoyment is increasing with the number of other people who are using the product - we call it a(n): positive network externality viral cycle social proof viral hook

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CPM is cost per thousand impressions. Yield is average consumer spending. Seeding should include both hubs and pumps. Viral marketing can lead to category and brand spillover effects.

Cost per thousand impressions is known as CPM. It is a metric used in advertising to calculate the price of reaching 1,000 people with a message.

Yield is the average amount spent by a consumer.

Generally speaking, hubs and pumps should be included while seeding. Pumps are ways or places where the message can be amplified, whereas hubs are powerful people or organizations who can aid in the message's dissemination.

The adage "the more viral the process, the shorter the viral cycle time (the faster it takes to complete the entire viral loop) and the larger the viral coefficient." is accurate. Information spreads more fast and reaches more people when the viral cycle time and viral coefficient are shorter an increased audience.

Brand and category spillover effects are also possible outcomes of viral marketing. When a product succeeds, it can have a positive spillover impact on other products in the same category. The term "brand spillover effect" describes the favorable influence a brand's affiliation with a viral campaign has on its perception or image.

Positive network externalities are when an individual's enjoyment of a thing improves with the number of other individuals utilizing it. This indicates that the existence of other users increases the product's worth or utility. It has nothing to do especially with viral marketing.

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Robert bought a rental property ten years ago for $320,000, with $80,000 of the purchase price allocated to the land. Over the ten years, he claimed CCA such that his UCC at the beginning of this year for the building was $196,000. Robert sold the property this year for $520,000, with $180,000 of the sale price allocated to the land. Which of the following statements is correct?
a) Robert has recapture of $44,000. b) Robert has recapture of $124,000. c) Robert has recapture of $144,000. d) Robert has a capital gain of $100,000.

Answers

Here's how to solve the problem, At the beginning of the year, Robert's UCC for the building was [tex]$196,000[/tex].Over 10 years, the amount of CCA.

Robert claimed would be the difference between the original cost of the building (not including the land) and the UCC at the beginning of the year, which is [tex]$320,000 - $80,000 - $196,000 = $44,000[/tex]. Robert sold the property for $520,000, with $180,000 of the sale price allocated to the land.

Meaning that the sale price for the building was[tex]$320,000 - $80,000 - $196,000 .[/tex]Robert has recapture of [tex]$44,000[/tex], which is the difference between the UCC at the beginning of the year and the sale price for the building, or[tex]$196,000 - $340,000 = -$144,000[/tex].

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In the market for reserves, suppose that i if

=i d

. If the Federal Reserve raises the required reserve ratio, then this will shift the demand for reserves to the and cause the equilibrium interest rate to right: stay the same left; rise right: rise left: stay the same

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Given that, i if​=id​. If the Federal Reserve raises the required reserve ratio, then this will shift the demand for reserves to the left and cause the equilibrium interest rate to rise.

The market for reserves is determined by the interaction between the supply of reserves and the demand for reserves. Banks borrow and lend reserves overnight in the federal funds market to fulfill their reserve needs and maintain required reserves with the Federal Reserve.

Suppose that the Federal Reserve raises the required reserve ratio. In this case, it will require banks to hold more reserves against their deposits. Consequently, the banks will face an increase in their reserve needs. As a result, they will demand more reserves in the federal funds market, causing a shift in the demand for reserves curve to the right.

The demand for reserves curve shifts to the right because the banks need to borrow more reserves to meet their reserve requirements. The higher demand for reserves at each interest rate increases the equilibrium interest rate, which is the rate at which the quantity of reserves supplied equals the quantity of reserves demanded. Thus, the interest rate rises as the demand for reserves shifts to the right. Therefore, the correct answer is "right: rise".

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The corporation's own sitcick that has been issued and then bought back by the eornpany is refered is ax. Muttiple Cholce Authorized Stock. Treasury Stock. Authorized Stock. Treasury Stock. Common Stock. Preferred Stock.

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Treasury Stock is the corporation's own stock that has been issued and then bought back by the company. Treasury Stock is the repurchased shares of the company's own stock that were previously distributed to shareholders and have since been repurchased by the company.

Shares that have been retired or issued and not yet redeemed are not considered treasury stock. The shares that have been repurchased are often considered "inactive" and are not included in the company's total outstanding shares. Treasury stock does not pay dividends, vote at shareholder meetings, or have any other rights of a regular shareholder.

Common Stock is a type of equity security that represents ownership in a corporation and gives its owner the right to vote on important corporate matters, such as electing the board of directors, changing the company's bylaws, and approving any mergers or acquisitions that the company may pursue.

Preferred Stock is a type of equity security that gives its owners a higher claim on the company's assets and profits than common stockholders. Preferred stockholders are typically guaranteed a fixed dividend payment, which is paid out before any dividends are paid to common stockholders. Preferred stockholders also have priority over common stockholders in the event of a liquidation or bankruptcy.

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In 2021, Miranda records net earnings from self-employment of $240,000. She has no other gross income. Determine the amount of Miranda's self-employment tax and her for AGI income tax deduction. In your computations round all amounts to two decimal places. Round your final answers to the nearest dollar. Miranda's self-employment tax is $ and she has a $ deduction for AGI.

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In 2021, Miranda records net earnings from self-employment of $240,000. She has no other gross income.  Miranda's self-employment tax is $20,041.80 and she has a $10,020.90 deduction for AGI.

Self-employment tax:Self-employment tax is the tax imposed on net earnings from self-employment. Self-employed individuals are required to pay self-employment tax because they don't have an employer who withholds taxes for them. Self-employment tax is a combination of social security and Medicare tax.

The self-employment tax rate is 15.3% on the first $142,800 of net earnings for the year 2021. For earnings over $142,800, there is a Medicare tax of 2.9%.

As a result, Miranda's self-employment tax can be calculated as follows:

Net earnings = $240,000

Social security tax = 12.4% of $142,800 = $17,707.20

Medicare tax = 2.9% of ($240,000 - $142,800) = $2,334.60

Self-employment tax = $17,707.20 + $2,334.60 = $20,041.80

For AGI income tax deduction,The self-employment tax paid by Miranda is an allowable deduction for AGI. As a result, Miranda can claim a self-employment tax deduction of $10,020.90 ($20,041.80 / 2) for AGI income tax purposes. So, Miranda has a $10,020.90 deduction for AGI.

Therefore, Miranda's self-employment tax is $20,041.80 and she has a $10,020.90 deduction for AGI.

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assume that kylie jenner makes $130 million per year. how many years would it take kylie to earn a mole of dollars

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Assuming Kylie Jenner makes $130 million per year, it would take her approximately 7.88 billion years to earn a mole of dollars. it would take Kylie Jenner approximately 7.88 billion years to earn a mole of dollars.

To calculate the number of years it would take Kylie Jenner to earn a mole of dollars, we need to understand what a mole is in chemistry. A mole is a unit used to measure the amount of a substance, and it is equal to 6.022 x 10^23 particles. In this case, we are using the term "mole of dollars" to represent a quantity of dollars equal to 6.022 x 10^23.To find out how many years it would take Kylie Jenner to earn a mole of dollars, we need to divide the number of dollars she makes per year ($130 million) by the number of dollars in a mole (6.022 x 10^23). This will give us the number of years it would take her to earn a mole of dollars.  Therefore, it would take Kylie Jenner approximately 4.63 x 10^15 years to earn a mole of dollars. This can also be expressed as 4.63 quadrillion years.

$130 million / (6.022 x 10^23 dollars) = approximately 7.88 billion years Understand what a mole is. In chemistry, a mole is a unit used to measure the amount of a substance. It is defined as 6.022 x 10^23 particles. These particles can be atoms, molecules, or any other entity, depending on the substance being measured. Convert Kylie Jenner's annual earnings to dollars. Given that Kylie Jenner makes $130 million per year, we have the value we need to work with. This means that Kylie Jenner earns $130,000,000 in one year.The number of dollars in a mole is given as 6.022 x 10^23 dollars.

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esterday, Western Gas & Electric Co. released its 2018 annual report on the company’s website. While reading the report for his boss, Tristan came across several terms about which he was unsure. He leaned around the wall of his cubicle and asked his colleague, Annie, for help.
TRISTAN: Annie, do you have a second to help me with my reading of Western G&E’s annual report? I’ve come across several unfamiliar terms, and I want to make sure that I’m interpreting the data and management’s comments correctly.
For example, one of the footnotes to the financial statements uses "the book value of Western G&E’s shares," and then in another place, it uses "Economic Value Added." I’ve never encountered those terms before. Do you know what they’re talking about?
ANNIE: Yes, I do. Let’s see if we can make these terms make sense by talking through their meaning and their significance to investors.
The term book value has several uses. It can refer to a single asset or the company as a whole. When referring to an individual asset, such as a piece of equipment, book value refers to the asset’s , adjusted for any accumulated depreciation or amortization expense. The value, or difference between the machine’s historical cost and its accumulated depreciation expense, is called its book value.
In contrast, when the term refers to the entire company, it means the total value of the company’s as reported in the firm’s .
TRISTAN: That makes sense. So, what makes this value important to investors is that it is value that can change—but only due to a couple of events, including the of Treasury stock, the sale of new common or preferred shares, and the payment of . Equally important, it change in response to changes in the market prices of the firm’s shares.
ANNIE: Right! So, how useful would a firm’s book value be for assessing the performance of Western G&E’s management?
TRISTAN: Well, because Western G&E’s book value with changes in the market price of the firm’s shares, the firm’s book value reflect management’s efforts to maximize the shareholder wealth and therefore be used to evaluate management’s performance.
Now, what about "Economic Value Added"?
ANNIE: During the 1990s, the consulting firm Stern, Stewart & Company developed the concept of Economic Value Added, or EVA, to better assess management’s performance in maximizing their shareholders’ wealth.
Western G&E’s EVA equals the additional profit created in excess of the after-tax operating income necessary to finance its total after-tax cost of capital, which is expressed in annual dollars. It is computed by subtracting Western G&E’s from its .
In turn, Western G&E’s annual cost of capital is calculated by multiplying its total operating capital, which includes its net fixed assets and net operating working capital, by the after-tax percentage cost of capital.
OK, given that description, here’s a question for you: Compared to the book value, what is the advantage of using the EVA to evaluate the performance of Western G&E’s management?
TRISTAN: Give me a second to think. . . OK, it’s better to evaluate the performance of Western G&E’s management by using the company’s EVA rather than the book value of its shareholders’ equity because the better the managerial decisions being made, the the after-tax net operating income earned, the the difference between this net operating income and the cost of capital needed to generate that income, and the the EVA, or true economic profit, earned by the company.

Answers

The advantage of using Economic Value Added (EVA) to evaluate the performance of Western Gas & Electric Co.'s management is that it provides a more comprehensive measure of true economic profit.

EVA takes into account the after-tax operating income required to finance the company's total after-tax cost of capital. It considers both the profitability of the company's operations and the efficiency of its capital allocation. By subtracting the cost of capital from the net operating income, EVA captures the value generated above and beyond the minimum required return on invested capital. This measure aligns with the goal of maximizing shareholder wealth and provides a more accurate assessment of management's ability to create value for the company.

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example of BCG matrix for piedmont healthcare in Georgia

Answers

The BCG matrix is a useful tool for analyzing the company's product portfolio and making strategic decisions. BCG is an acronym for Boston Consulting Group, which invented this method in the 1970s. The matrix allows a company to classify its products into four categories based on two factors: market share and market growth rate.

The four categories are as follows:

1. Stars - These are high-growth, high-market-share products that generate a lot of income. They are often in the early stages of the product life cycle, with the potential for substantial growth in the future. Piedmont Healthcare's oncology department is an example of a star. The oncology department is growing rapidly and is generating a lot of revenue.

2. Cash cows - These are high-market-share products that generate a lot of income but have a low growth rate. They are typically mature products that have reached their peak and are no longer growing. Piedmont Healthcare's diagnostic imaging department is an example of a cash cow. The diagnostic imaging department has a high market share and generates a lot of revenue, but it is no longer growing at a rapid pace.

3. Question marks - These are low-market-share products that have the potential for growth. They require a lot of investment to reach their potential, and the company must decide whether to invest in them or discontinue them. Piedmont Healthcare's primary care department is an example of a question mark. The primary care department has a low market share but has the potential for growth if Piedmont Healthcare invests in it.

4. Dogs - These are low-market-share products with a low growth rate that generate little revenue. They are often products that are no longer profitable and should be discontinued. Piedmont Healthcare's nutrition services department is an example of a dog. The nutrition services department has a low market share and a low growth rate and generates little revenue.

In conclusion, the BCG matrix can be used to analyze Piedmont Healthcare's product portfolio and make strategic decisions. By classifying its products into one of the four categories, Piedmont Healthcare can determine which products require more investment and which should be discontinued.

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The Adjusted Trial Bulance columns in a 10 column work sheet for Webber Co, follows. Complete the work sheef by extending the account balances into the appropnate financial statement columis and by entering the amount of profit or loss for the reporting period.

Answers

We must extend the account balances into the correct financial statement columns and calculate the profit or loss for the reporting period in order to finish the 10-column worksheet for Webber Co. The relevant data is provided in the columns of the adjusted trial balance.

We start by adding the balances of the revenue and expense accounts to the columns of the income statement. While expenditure accounts like rent expense and salary expense are reported in the debit column, revenue accounts like sales revenue and service revenue are recorded in the credit column. The income statement columns are then added up to determine the net profit or loss. A net profit is indicated if total revenue surpasses total expenses. On the other hand, if total expenses outweigh entire revenue, It denotes a loss overall. Finally, we move the net profit or loss to the columns of the balance sheet. In contrast to a net loss, which reduces owner equity and is recorded as a debit, a net gain raises owner equity and is recorded as a credit. We can appropriately reflect the account balances in the financial statement columns and calculate Webber Co.'s profit or loss for the reporting period by following these steps.

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Jodie and Alexandra are a married, same-sex couple, as are George and Brad. They are very good friends and want to have a child together. They arrange for Jodie to become pregnant through insemination by sperm donated by George. Jodie gives birth to a son named Charles. In the absence of any form of agreement, who will be recognized as the parents of Charles? Is there any sort of agreement that can change that situation?

Answers

Jodie and Alexandra, as well as George and Brad, are married, same-sex couples. They want to have a child together, and Jodie becomes pregnant through insemination by sperm donated by George.

Jodie gives birth to a son named Charles. In this case, the parentage of Charles is uncertain since no formal agreement exists between the couples and the donors of the sperm. In the absence of an agreement, Charles is the biological child of Jodie and the legal child of Alexandra.

However, it's essential to note that parental laws vary from state to state, and some states have passed legislation to recognize same-sex couples as parents in cases such as this one.

This may entail relinquishing rights or formally adopting the child as a legal parent. It's always recommended that couples seek legal advice and establish an agreement to ensure that the rights of all parties involved, including the child, are protected.

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Explain the differences between goal-sharing and gain-sharing plans. Which would be most appropriate in a situation where there is employee distrust of management?

Answers

Goal-sharing and gain-sharing plans are performance-oriented compensation programs. Goal-sharing is a compensation plan designed to provide incentives to employees to achieve a particular objective. In contrast, a gain-sharing plan is a compensation scheme designed to provide incentives to employees to enhance the efficiency of the organization and minimize costs. Difference between goal-sharing and gain-sharing plans Goal-sharing plans reward the employees when they attain a specific goal.

Gain-sharing plans, on the other hand, award employees for their part in achieving company efficiency or cost savings. Goal-sharing plans are easier to administer than gain-sharing plans since they are based on easily definable metrics. The employees get a prize when they meet the goal. On the other hand, gain-sharing plans need more calculations and a more significant understanding of business practices and procedures to be successful. When there is employee distrust of management, gain-sharing plans would be most appropriate. Gain-sharing is a performance-based compensation plan that focuses on employee output and promotes open communication and worker input. Gain-sharing seeks to involve employees in the decision-making process, which can help to improve trust between management and employees. It is based on the fact that employees are more motivated and committed when they believe their contributions are valued. Gain-sharing is appropriate in situations where employee distrust of management is high because it involves open communication and promotes worker input. Gain-sharing fosters a sense of shared responsibility, which helps to improve trust between management and employees.

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the landers corporation needs to raise $1.20 million of debt on a 5-year issue. if it places the bonds privately, the interest rate will be 8 percent. twenty thousand dollars in out-of-pocket costs will be incurred. for a public issue, the interest rate will be 8 percent, and the underwriting spread will be 5 percent. there will be $100,000 in out-of-pocket costs. assume interest on the debt is paid semiannually, and the debt will be outstanding for the full 5-year period, at which time it will be repaid. use appendix b and appendix d for an approximate answer but calculate your final answer using the formula and financial calculator methods.

Answers

The Landers Corporation can choose between a private placement and a public issue to raise $1.20 million of debt on a 5-year issue.

To calculate the total cost of the private placement, we need to consider the interest payments and the out-of-pocket costs. Interest Payments: Since the interest is paid semiannually, we need to divide the annual interest rate by 2. So, the semiannual interest rate is 8% / 2 = 4%. The total number of interest payments over 5 years is 5 * 2 = 10. The total interest payment is $1.20 million * 4% * 10 = $480,000  Out-of-Pocket Costs: The private placement incurs $20,000 in out-of-pocket costs.

To calculate the total cost of the private placement, we need to consider the interest payments and the out-of-pocket costs. Since the interest is paid semiannually, we need to divide the annual interest rate by 2. So, the semiannual interest rate is 8% / 2 = 4%. The total number of interest payments over 5 years is 5 * 2 = 10. Therefore, the total interest payment is $1.20 million * 4% * 10 = $480,000. In addition, there are $20,000 in out-of-pocket costs. Thus, the total cost of the private placement is $480,000 + $20,000 = $500,000.

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There are various approaches to staffing international operations - ethnocentric, polycentric, geocentric and regiocentric. Describe each of these and present a model of factors that determine which approach is chosen by the organisation

Answers

International staffing is a crucial aspect of international human resource management (IHRM). Companies have several choices when it comes to filling international positions.

Ethnocentric, polycentric, geocentric, and regiocentric are four of the most widely used techniques for international staffing.

Each approach has its own set of advantages and disadvantages, and determining which one to use is influenced by various factors such as company culture, available talent, industry norms, and host country laws.

Let's look at each approach individually:

Ethnocentric Approach: Ethnocentric approach refers to a company's tendency to hire workers from the parent country to work in subsidiary or affiliate companies abroad.

The key assumption behind this approach is that people from the parent country are better qualified and experienced to take on senior and middle management positions.

Polycentric Approach: The polycentric approach emphasizes local hiring, with local workers being employed in local businesses and foreign employees being appointed to fill senior or managerial positions only when no suitable local applicants are available.

Geocentric Approach: The geocentric approach, also known as global staffing, takes a more integrated approach by focusing on hiring the most qualified staff regardless of their location.

Regional Approach: regiocentric approach is a hybrid of the ethnocentric and geocentric approaches.

This method considers people based on their geographical location rather than their citizenship, and it combines people from different countries who are close to each other.

There is no one-size-fits-all solution to choosing the right staffing strategy, and a company's choice may be determined by factors such as host country laws, cost considerations, and available human resources, to name a few.

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income and financial wealth are both examples of stock variables. ▼

Answers

Stock variables are used to depict an amount or quantity at a particular time. These variables are contrasted with flow variables that represent a quantity over a certain time frame.

Income and financial wealth are both examples of stock variables. A stock variable refers to an amount at a specific point in time. It is in contrast to a flow variable, which refers to a quantity per unit of time. The amount of wealth that an individual or a business holds at a specific point in time is referred to as financial wealth or financial stock.

The term "income" refers to the amount of money received or earned in a specific period. at the end of the year, and this would be regarded as a stock variable. In contrast, income is a flow variable because it is generated or received over time. It is an example of a flow variable, whereas financial wealth is an example of a stock variable.

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Suppose a monopoly firm faces the following demand and marginal cost functions for its smallsized handbags (price is expressed in dollars per handbag and quantity is expressed in thousands): Demand: P=16−0.2Q MC=4+0.4Q a) Write the marginal revenue (MR) function. Ip b) What are the amount of profit-maximizing quantity and the amount of profit-maximizing price for a single-price monopoly? c) What is the amount of monopoly gain in the case of single-price monopoly? 2p Suppose, the demand function is remaining the same as given above, but the MC function turns to be MC=0 and the total fixed cost is 100 . d) What is the amount of profit for the single-price monopoly? 2p e) If the firm could price discriminate for every 10 thousand bags from the very beginning of the sell, by how much it could increase its profit relative to the single-price monopolist's profit by selling the single-price monopolist's profit maximizing quantity? NB: You must show all necessary work to find the answers.

Answers

The marginal cost function is given as: MC = 4 + 0.4QWe can equate MR with MC to get the quantity, Q which will maximize the profit.16 - 0.4Q = 4 + 0.4Q12 = 0.8QQ = 15

The profit maximizing quantity of handbags is 15,000 and the price can be found by substituting the value of Q into the demand function:

P = 16 - 0.2Q= 16 - 0.2 (15)P = 13,000

The profit maximizing price is 13,000c)

Monopoly Gain = (Profit under Monopoly - Profit under Perfect Competition)

Under perfect competition, the firm is a price taker and the price is equal to the Marginal Cost. So the quantity produced is determined by equating price with marginal cost:

16 - 0.2Q = 4 + 0.4Q12 = 0.6QQ = 20,000

The Price under perfect competition is

P = MC = 4 + 0.4QP = 4 + 0.4 (20)P = 12,000

Under perfect competition, the quantity produced is 20,000 and the price is 12,000.

The Total Cost function is given by:

TC = MC×QTC = (4 + 0.4Q)×Q= 4Q + 0.4Q²

Substituting the value of Q, we get:

TC = 4 (20) + 0.4 (20)²TC = 1800

Total Revenue under perfect competition is given by:

TR = P×Q= 12,000 × 20,000= 240,000,000

Profit under perfect competition is given by:

Profit = TR - TCP

= 240,000,000 - 1800P

= 13,000

Q= 13,000 × 15

= 195,000

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USE IN C#
You have been tasked to create a program that helps the customer service agents at your construction firm track the accounts that they handle. The two basic types of accounts are business accounts and personal accounts. Personal accounts track first name, last name, address, amount due, invoice date, and due date. Business accounts track the name of the business, address, amount due, invoice date, and due date.
Create a base class named Account that contains the common properties of both types of accounts. Make sure to use the proper types for each of those properties (e.g., names are strings, dates should use the DateTime type, and money should use the Decimal type).
Create two classes, one for personal accounts and one for business accounts. Each of these classes should inherit from the base Account class.
In your application, create an instance of each type of account that you defined. Set the properties you defined above to the following values for the personal account:
FirstName – Your first name
LastName – Your last name
InvoiceDate – The current date
DueDate – A month from the current date
Set the following values for the business account:
AmountDue – Any decimal value you would like
BusinessName – Any string value you would like
BusinessAddress – Any string value you would like
Output the following to the console:
Name (first and last for personal accounts, and business name for business accounts)
Amount Due
Due Date
An example of the output would be:
Name:John Smith AmountDue:$900 Due:2/1/2022 Name:AAA AmountDue:$9000 Due:3/15/2022

Answers

The program generates a foundational  named "Account" that possesses properties such as "AmountDue," "InvoiceDate," and "DueDate."

Program in C# is:

from datetime import datetime, timedelta

from decimal import Decimal

class Account:

   def __init__(self, amount_due, invoice_date, due_date):

       self.amount_due = amount_due

       self.invoice_date = invoice_date

       self.due_date = due_date

class PersonalAccount(Account):

   def __init__(self, first_name, last_name, address, amount_due, invoice_date, due_date):

       super().__init__(amount_due, invoice_date, due_date)

       self.first_name = first_name

       self.last_name = last_name

       self.address = address

class BusinessAccount(Account):

   def __init__(self, business_name, address, amount_due, invoice_date, due_date):

       super().__init__(amount_due, invoice_date, due_date)

       self.business_name = business_name

       self.address = address

# Create instances of each account type

personal_account = PersonalAccount(

   first_name='John',

   last_name='Smith',

   address='123 Main St',

   amount_due=Decimal('900'),

   invoice_date=datetime.now(),

   due_date=datetime.now() + timedelta(days=30)

)

business_account = BusinessAccount(

   business_name='AAA',

   address='456 Business Ave',

   amount_due=Decimal('9000'),

   invoice_date=datetime.now(),

   due_date=datetime.now() + timedelta(days=45)

)

# Output the account details

print("Personal Account:")

print(f"Name: {personal_account.first_name} {personal_account.last_name}")

print(f"Amount Due: ${personal_account.amount_due}")

print(f"Due Date: {personal_account.due_date.strftime('%m/%d/%Y')}")

print("\nBusiness Account:")

print(f"Name: {business_account.business_name}")

print(f"Amount Due: ${business_account.amount_due}")

print(f"Due Date: {business_account.due_date.strftime('%m/%d/%Y')}")

A base class named `Account` having common properties such as `AmountDue`, `InvoiceDate`, and `DueDate`.

Two derived classes, `PersonalAccount` and `BusinessAccount`, inherit from the base class and add their specific properties (`FirstName`, `LastName`, `Address` for personal accounts, and `BusinessName`, `BusinessAddress` for business accounts).

In the application, instances of both account types are created and their properties are set accordingly. The program then outputs the desired account details to the console, including the name, amount due, and due date for each account.

This implementation demonstrates the use of inheritance and proper data typing to organize and track different types of accounts in a construction firm's customer service system.

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How we do interpret Hasbrouck (1995) information share
model?

Answers

Hasbrouck (1995) introduced the information share model to study market microstructure. The model provides a framework for analyzing the behavior of securities markets.

The information share model is used to describe the exchange of information between buyers and sellers. It helps to explain the effects of information on security prices.The Hasbrouck (1995) information share model is a way to quantify how traders share information with each other. It provides a way to measure how information flows between different market participants. The model is based on the idea that traders learn about market conditions from observing price movements and other market data. The information they gain is then shared with other traders through trading activity and other forms of communication\.The model considers two types of information:

public and private. Public information is information that is available to all market participants, while private information is only known to a subset of participants. The model assumes that traders use both types of information to make trading decisions.The model also assumes that traders have different levels of access to information. Some traders have access to more information than others, and this affects the way they trade. The model helps to explain how this information is incorporated into prices and how it affects the behavior of different market participants.In summary,

the information share model is a useful tool for understanding the behavior of securities markets. It provides a way to measure how traders share information with each other and how this information affects prices and trading activity. The model can help investors and traders to make better-informed trading decisions by providing insights into market dynamics and the factors that drive price movements.

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In 2018, all supplies were expensed as purchased. In 2019, it was discovered that $25,000 worth of supplies were still on hand that had been purchased in 2018. When the discovery was made, the books for 2018 were already closed. Select one of these three items - Is this considered: an error; a change in estimate; a change in policy. And then: Select one of these two items - Should this be adjusted: retrospectively; prospectively NOTE - two boxes should be selected! Change in Error estimate Change in policy

Answers

Based on the given information, the situation can be categorized as both an error and a change in estimate. Here's why:

1. Error: The supplies that were still on hand in 2019 but were not recorded as such in 2018 indicate an error in the original recording of the supplies. This error led to an understatement of the supplies expense in 2018.

2. Change in Estimate: The discovery of the $25,000 worth of supplies in 2019 necessitates a change in estimate. Initially, it was assumed that all supplies were expensed as purchased in 2018.

However, with the new information, it is clear that some supplies were still on hand. This requires an adjustment to the estimate made in 2018 regarding the value of supplies on hand at year-end.

Regarding the adjustment, it should be made retrospectively. Since the error was discovered after the books for 2018 were closed, it is appropriate to retrospectively correct the financial statements for 2018 to reflect the accurate value of supplies on hand at the end of the year.

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If a company's net income declines by $100 million
year-over-year, how does that impact the respective company's
retained earnings?

Answers

Net income is the accounting term that represents the total revenue after deducting all the expenses. It is one of the key figures in the income statement of a company that is used to measure the profitability of a business.

If a company's net income declines by $100 million year-over-year, it means that the company's profitability has decreased compared to the previous year.
For example, if a company's net income was $500 million in the previous year and it declines to $400 million in the current year, the retained earnings will also decline by $100 million. reinvest in its business.

In summary, a decline in net income will have a negative impact on the retained earnings of a company. This will affect the company's ability to finance future growth and expansion. The company will need to take measures to improve its profitability to increase its net income and retained earnings.

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will the the largest of the seven taco, inc. pumps in the given image be better than the smallest pump for producing, near best efficiency, a water flow rate of 670 gal/min and a head of 95 ft? group startsyes or no

Answers

The  largest pump of the seven Taco, Inc. pumps may not necessarily be better than the smallest pump for producing a water flow rate of 670 gal/min and a head of 95 ft near best efficiency.


To determine whether the largest pump or the smallest pump is better for this specific water flow rate and head, we need to consider the pump curve. The pump curve is a graph that shows the relationship between the flow rate and the head of a pump.The pump curve will tell us at what flow rate and head the pump operates near its best efficiency point. The best efficiency point is the point at which the pump operates with the highest efficiency, meaning it requires the least amount of energy to produce the desired flow rate and head.



In this case, we need a flow rate of 670 gal/min and a head of 95 ft. We can compare these values to the pump curves of the largest and smallest pumps to determine which one operates closer to the best efficiency point.If the pump curve of the largest pump shows that it operates near its best efficiency point at a flow rate of 670 gal/min and a head of 95 ft, then it would be a suitable choice.

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Suppose there is a single monopolist that sells widgets in a small town. The population can be divided between the east side of town and the west side of town. In the west side, the price elasticity of demand is −2. On the east side, the price elasticity of demand is −6. The marginal cost per widget is constant at $10 (cost of hooking up the internet). What price will it charge in each location?

Answers

The monopolist will charge $20 in the West and $80 in the East.

Monopolist will charge a different price on the east and west sides of town to maximize profit. For maximum profit, a monopolist uses the marginal revenue (MR) and marginal cost (MC) rule:

MR = MC.

That is, the monopolist charges the price where the marginal revenue equals the marginal cost. It implies that when the additional revenue from selling an additional unit is equal to the cost of producing it, the monopolist will stop producing. The firm will maximize profit at that level of output.

Since the marginal cost of each widget is constant at $10, the monopolist should charge the price where marginal revenue equals $10

For a monopolist, the marginal revenue curve (MR) is twice as steep as the demand curve.

Therefore, if the monopolist sets the price of the widget at $20, the quantity demanded will be as follows:

Quantity Demanded on the West Side:

Qwest = (200 - Pwest)/2

=> Qwest = (200 - 20)/2

=> Qwest = 90

Quantity Demanded on the East Side:

Qeast = (100 - Peast)/6

=> Qeast = (100 - 20)/6

=> Qeast = 13.33

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