Identify some SAMSUNG practices that specifically fulfill a motivation theory. Be sure to explain which theory and how SAMSUNG'S practices fulfill it.
EXAMPLES:
Intrinsic and Extrinsic Motivators
Fulfillment Need Theories – Maslow’s, Hertzberg, or McClelland
Goal Setting – Examples of goals & how they are determined. Are they SMART?
Expectancy Theory – Are choices & motivators offered to enhance effort and outcomes?

Answers

Answer 1

Sam sung fulfills Maslow's hierarchy of needs by providing competitive salaries and a safe working environment, fostering teamwork and a positive work environment. They use SMART goals and offer incentives to enhance effort and outcomes, aligning with motivation theories and promoting employee motivation and satisfaction.

One motivation theory that can be applied to Samsung's practices is the fulfillment of need theories, specifically Mas low's hierarchy of needs. Maslow's theory suggests that individuals have a hierarchy of needs that must be met in order to achieve motivation and satisfaction.

Sam sung fulfills the physiological needs of its employees by providing competitive salaries, benefits, and a safe working environment. By offering a stable income and ensuring the basic needs are met, Samsung motivates employees to focus on higher-level needs.

Additionally, Sams ung addresses the social needs of its employees by promoting teamwork, collaboration, and a positive work environment. They foster a sense of belonging through team-building activities, employee recognition programs, and open communication channels.

Moreover, Sams ung incorporates elements of goal setting theory. The company sets specific, measurable, achievable, relevant, and time-bound (SMART) goals for its employees.  

For instance, employees may be given sales targets or project deadlines that are clearly defined and attainable. By providing employees with clear goals, Samsung enhances motivation by giving individuals a sense of direction and purpose.

Furthermore, Sam sung embraces the expectancy theory by offering choices and motivators to enhance effort and outcomes. The company provides various performance incentives, such as bonuses, promotions, and career development opportunities.

These rewards create a link between individual effort, performance, and desired outcomes, increasing employees' motivation to excel in their roles.

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Related Questions

as markets become more turbulent and unpredictable, quick-response capability depends primarily upon:

Answers

As markets become more turbulent and unpredictable, quick-response capability depends primarily upon flexibility, agility, and responsiveness. These characteristics will enable a company to make quick adjustments to their strategies and to respond appropriately to emerging challenges.

Companies that are agile and flexible will be better equipped to handle changes in market demand and consumer preferences than companies that are slow and rigid in their operations.The ability to adjust to changes quickly and efficiently is essential for organizations to stay competitive in today's business environment. This is where flexibility, agility, and responsiveness come into play.

Flexible companies can adapt to changes in the market by quickly modifying their product offerings or altering their marketing strategies. Agility is the ability to quickly and effectively respond to new opportunities or threats. Responsiveness is the ability to anticipate and meet the needs of customers, even before they realize they have them. These three characteristics work together to create a quick-response capability that is essential for success in today's business world.

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Produce a clear and concise diagram of the circular flow of
income relating to the UK housing market.

Answers

The circular flow of income relating to the UK housing market can be explained with the help of a diagram. The diagram is shown below:The diagram shows the relationship between different sectors of the economy in terms of the flow of goods and services, factors of production, and income. It consists of two main sectors - the household sector and the business sector.

The household sector includes households and individuals who are the consumers of goods and services. They receive income in the form of wages, salaries, rent, and interest. They use this income to purchase goods and services from the businesses.The business sector includes firms that produce goods and services. They receive income in the form of revenue from the sale of goods and services.

They use this income to pay for factors of production such as labor, capital, land, and raw materials. They also pay taxes and interest to the government and financial institutions respectively.The government sector includes government agencies that collect taxes and provide services such as health, education, and infrastructure. They receive income in the form of taxes and use it to provide services to the households and businesses.

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Effective use of Supply Chain Management software is generally expected to provide all of the following benefits except:
a. Reduced inventory carrying costs.
b. Lower production costs.
c. Reduced gross margins.
d. Better communications with suppliers

Answers

c. Reduced gross margins.  reduced gross margins are not an expected benefit of SCM software. SCM aims to enhance operational efficiency and streamline processes to maximize profitability

Supply Chain Management (SCM) software is designed to optimize various aspects of the supply chain, including inventory management, production processes, and communication with suppliers. The implementation of SCM software typically leads to benefits such as reduced inventory carrying costs, lower production costs, and improved communications with suppliers. However, reduced gross margins are not an expected benefit of SCM software. SCM aims to enhance operational efficiency and streamline processes to maximize profitability. While it may indirectly contribute to cost savings, its primary focus is on improving overall supply chain performance rather than reducing gross margins, which represent the difference between sales revenue and the cost of goods sold.

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Subliminal advertisement has been found to be an effective way of embedding images and messages into an advertisement that influences the unconscious minds of people
False

Answers

The statement "Subliminal advertisement has been found to be an effective way of embedding images and messages into an advertisement that influences the unconscious minds of people" is not false. This statement is true.

What is a subliminal advertisement?

Subliminal advertisement is an advertisement in which images and messages are placed into it so that it influences the unconscious mind of people.

Subliminal advertisement is frequently used to change a person's behavior or influence their thought process.

It is a type of advertising that is used by businesses to persuade people to buy their products or services without them realizing it.

How do subliminal advertisements work?

Subliminal advertisements work by using messages and images that are too quick for the conscious mind to recognize.

This means that the brain cannot see or hear the message, but it still influences the mind.

Subliminal advertisements can be used to plant a suggestion in a person's mind, or to influence their mood or behavior without them realizing it.

In conclusion, the statement "

Subliminal advertisement has been found to be an effective way of embedding images and messages into an advertisement that influences the unconscious minds of people" is true.

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According to the news report, the growth rates of M1 and M2
reached a "golden cross" (i.e., M1>M2) yesterday. Please explain
the possible reasons.

Answers

According to the news report, the growth rates of M1 and M2 reached a "golden cross" (i.e., M1>M2) yesterday. This phenomenon is considered an important indicator of monetary policy in economics.

The "golden cross" is an indication of the acceleration of economic activity. There are many reasons for the "golden cross," including changes in monetary policy, interest rates, economic growth, and other factors. The following are some possible reasons that might have led to the "golden cross":

1. Monetary Policy Changes: Monetary policy changes can have a significant impact on M1 and M2. For example, if the central bank decides to increase interest rates, M2 may increase faster than M1. Conversely, if the central bank lowers interest rates, M1 may increase faster than M2.

2. Economic Growth: Economic growth is another factor that can impact M1 and M2. If economic growth is strong, it can lead to an increase in M1 and M2. This is because people and businesses have more money to spend and invest.3. Government Spending: Government spending can also impact M1 and M2.

If the government increases spending, it can lead to an increase in M1 and M2. This is because the government is putting more money into the economy, which can lead to increased economic activity.Overall, the "golden cross" between M1 and M2 is a positive sign for the economy.

It suggests that economic activity is accelerating and that people and businesses have more money to spend and invest. However, it is important to keep in mind that there are many factors that can impact M1 and M2, and it is essential to monitor these factors carefully to understand how the economy is performing.

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consider a binomial economy with a stock with starting price of $50. each period the stock can go up 5% or drop 3%. an investment bank sells a european put option on the stock that matures after four periods and has a strike price of $45. interest rate per period is 2%. describe the steps to be taken by the investment bank in order to hedge the position (only at the moment the option is sold).

Answers

The steps to be taken by investment bank in order to hedge position are Calculate number of options to be sold, Calculate option's delta, Determine number of shares to be held and Rebalance hedge

To hedge the position, the investment bank needs to take certain steps to manage the risk associated with the sold European put option. Here are the steps to be taken:

Calculate the number of options to be sold: Determine the number of European put options to be sold based on the desired level of exposure and risk management.

Calculate the option's delta: Delta measures the sensitivity of the option's price to changes in the underlying stock price. Calculate the delta of the put option to determine the number of shares required for a delta-neutral hedge.

Determine the number of shares to be held: Multiply the delta of the put option by the number of options sold to calculate the number of shares required for the hedge. The delta of a put option is negative, so the investment bank needs to hold a positive number of shares.

Invest in risk-free assets: To offset the risk, the investment bank invests in risk-free assets, such as government bonds or Treasury bills, to earn a guaranteed return over the option's life. The amount invested in risk-free assets should be sufficient to cover the potential payoff of the put option.

Rebalance the hedge: Periodically monitor the stock price and adjust the hedge accordingly by buying or selling additional shares or risk-free assets to maintain a delta-neutral position.

By following these steps, the investment bank can hedge its position by neutralizing the potential losses from the sold put option, reducing its exposure to stock price fluctuations, and managing the overall risk of the portfolio.

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On March 1, 2020, ExCo's board of directors declared a cash dividend of $0.75 per common share to shareholders of record on March 10. payable March 31. There were 131,000 shares issued and outstanding on March 1 and no additional shares had been issued during the month. Record the entries for March 1, 10, and 31. The cash dividends account is used. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.) 1 Record the declaration of cash dividend on common shares of $0.75 per share. Record the declaration of cash dividend of $0.75 per share holders on record. Record the payment of dividends declared on March 1.

Answers

The ExCo's board of directors declared a cash dividend of $0.75 per common share to shareholders of record on March 10 and payable on March 31.

There were 131,000 shares issued and outstanding on March 1 and no additional shares had been issued during the month.

The following journal entries should be recorded on March 1, 10, and 31 for the cash dividend declared:

March 1, 2020On March 1, 2020, the following journal entry will be recorded:

ParticularsDebitCreditCash Dividends$98,250 ($0.75 x 131,000 shares)

Dividends Payable$98,250 [To record the declaration of a cash dividend on common shares of $0.75 per share]

March 10, 2020On March 10, 2020, the following journal entry will be recorded:

ParticularsDebitCreditNo journal entry required[To record the declaration of cash dividend of $0.75 per share holders on record]March 31, 2020On March 31, 2020, the following journal entry will be recorded:

ParticularsDebitCreditDividends Payable$98,250Cash Dividends$98,250[To record the payment of dividends declared on March 1]

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Alison has worked continuously over several years for her London-based employer. She lives in London and travels a short bus journey to work each day. Her employer advises her that she is being transferred from an office in Holborn to one in Regent Street, pointing out that Regent Street is only a five-minute tube-train ride away from Holborn. However, Alison is terrified of trains and of being underground. She wants to stay at the Holborn office. She points out that there is no mobility clause in her employment contract and refuses the transfer. Her employer subsequently dismisses her. She feels that she should have been made redundant in the circumstances. What is the likely legal position here?
Alison can claim redundancy because her employer has ceased to carry on business at the location where she worked.
Alison can claim redundancy because her employer has restructured so that her job no longer exists.
Alison has been constructively dismissed in circumstances that make her redundant because of the upheaval caused by the transfer.
Alison cannot claim for redundancy in these circumstances.

Answers

Based on the given information, the likely legal position in this scenario is that Alison cannot claim for redundancy in these circumstances.

Redundancy typically occurs when an employee's job no longer exists due to the employer ceasing to carry on business at the location where the employee worked or due to restructuring. However, in this case, Alison's employer has not ceased to carry on business or restructured in a way that eliminates her job.

Alison's refusal to transfer and her subsequent dismissal may be considered a constructive dismissal, which occurs when an employer fundamentally breaches the employment contract, and the employee feels forced to resign as a result. However, constructive dismissal does not automatically make an employee redundant. Redundancy is a specific concept related to the elimination of a particular job role or a reduction in the need for employees in that role.

In this scenario, Alison's refusal to transfer and subsequent dismissal may be evaluated in terms of unfair dismissal or breach of contract rather than redundancy. The legal position regarding those aspects would depend on the specific employment laws and regulations in the relevant jurisdiction.

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your organization has recognized your technical expertise to
lead in a training program of a new production floor staff in a
processing company. deign a training program for management
approval.

Answers

As your organization has acknowledged your technical expertise to lead a training program of a new production floor staff in a processing company, a training program can be designed for management approval using the following steps: Step 1: Identify the Needs of the New Production Floor Staff.

The first step is to identify the needs of the new production floor staff.

This step can be accomplished by reviewing job descriptions, tasks and duties, performance metrics, and previous training programs.

This information will be useful to identify gaps in knowledge and skills and to design a training program that addresses these gaps.

Step 2: Establish Goals and Objectives: The second step is to establish goals and objectives for the training program. Goals define the overall purpose of the program, while objectives specify what the trainees will learn or be able to do after completing the program.

These goals and objectives should be aligned with the needs identified in step 1.

Step 3: Choose a Training Method: Once the goals and objectives have been established, choose the appropriate training methods. Some of the training methods are lectures, demonstrations, case studies, simulations, group discussions, and on-the-job training.

These methods should be selected based on the learning styles and preferences of the trainees.

Step 4: Develop Training Materials: Next, develop training materials that align with the selected training methods.

The training materials should be easy to understand and relevant to the needs of the trainees.

These materials should be developed in a way that facilitates learning and retention of information.

Step 5: Deliver the Training Program: Now that the training materials have been developed, the next step is to deliver the training program.

This can be done by selecting qualified trainers or conducting the training yourself. It is essential to ensure that the training program is delivered in a manner that is engaging, and interactive, and promotes learning and retention.

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81. You complete a test of autocorrelation on daily data for a thinly traded stock and the Durbin Watson statistic is 3.73. If the stock has a return of +0.21% late in the trading day and you are convinced that other investors are not aware of the results of your study, based on the test results and probabilities, an investor would:
Buy or long the stock in late trading.
Sell or short the stock in late trading.
Wait an additional day to buy the stock.
Wait an additional day to short the stock.
Take neither a long or short position in the stock.
None of the above answers is correct.

Answers

The Durbin Watson statistic is a test for autocorrelation. It examines if there is a linear association between the lagged variables of a particular stock's returns.

The test results have the following interpretations:

If the Durbin Watson statistic is between zero and 2, there is a positive autocorrelation present. If the Durbin Watson statistic is around 2, there is no autocorrelation present. If the Durbin Watson statistic is around 4, there is no autocorrelation present.

If the Durbin Watson statistic is between 2 and 4, there is negative autocorrelation present. The Durbin Watson statistic is 3.73 in this case. It is more than 2 and less than 4.

Hence, there is negative autocorrelation present. The return of the stock in the late trading day is +0.21%. If the other investors are not aware of the results of the study, an investor would choose to sell or short the stock in late trading because there is negative autocorrelation present.

Thus, there is a greater chance of the stock price declining in the future. So, based on the test results and probabilities, an investor would sell or short the stock in late trading. An investor would not choose to buy or long the stock because there is negative autocorrelation present.

There are higher chances of the stock price declining in the future. So, waiting for an additional day to buy the stock would also not be profitable. Similarly, waiting an additional day to short the stock is not advisable. Hence, the answer is Sell or short the stock in late trading.

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Filer Manufacturing has 4,684,625 shares of common stock outstanding. The current share price is $38.99, and the book value per share is $9.67. Filer Manufacturing also has two bond issues outstanding. The first bond issue has a face value of $74,829,023, has a 0.08 coupon, matures in 16 years and sells for 85 percent of par. The second issue has a face value of $46,216,376, has a 0.07 coupon, matures in 15 years, and sells for 88 percent of par. What is Filer's weight of equity on a market value basis? Enter the answer with 4 decimals (e.g. 0.2345)

Answers

Weight of equity on a market value basis:Filer Manufacturing has 4,684,625 shares of common stock outstanding and the current share price is $38.99 and the book value per share is $9.67.

Therefore, the market value of equity is:Market value of equity = 4,684,625 × $38.99= $182,436,218.75The book value of equity is the equity of the company recorded in the books. In this case, the book value per share is $9.67. So, the book value of equity will be:Book value of equity = 4,684,625 × $9.67= $45,327,796.875Now, we can calculate the weight of equity on a market value basis.

Weight of equity on a market value basis = Market value of equity / (Market value of equity + Market value of debt)We have already calculated the market value of equity and the market value of debt can be calculated as:Market value of debt = Face value of bond issue × Bond price= ($74,829,023 × 0.85) + ($46,216,376 × 0.88) = $100,398,394.96Therefore,Weight of equity on a market value basis = $182,436,218.75 / ($182,436,218.75 + $100,398,394.96)= 0.6452 (approx.)Hence, the weight of equity on a market value basis is 0.6452.

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Kingbird Supply does not segregate sales and sales taxes at the time of sale. The register total for March 16 is $11,128. All sales are subject to a 7\% sales tax. (a1) Compute sales taxes payable. Sales taxes payable $

Answers

The sales taxes payable for Kingbird Supply for March 16 amount to $778.96.

To compute the sales taxes payable, we need to calculate 7% of the total sales for March 16.

Sales total for March 16: $11,128

Sales taxes payable = 7% of sales total

= 0.07 * $11,128

= $778.96

Therefore, the sales taxes payable for Kingbird Supply for March 16 amount to $778.96.

Sales taxes are taxes imposed by the government on the sale of goods and services. They are typically calculated as a percentage of the purchase price and collected by the seller at the time of sale. The collected sales taxes are then remitted to the appropriate government authority.

The specific sales tax rate can vary depending on the jurisdiction. Different states, provinces, or countries may have their own sales tax rates and regulations. For example, in the United States, sales tax rates vary from state to state and can also include additional local sales taxes.

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Describe two process inefficiencies that contribute to
information/cybersecurity threats posed by hacking and ransomware
attacks. And what improvements could be made to reduce these
inefficiencies?

Answers

Hackers and ransomware attackers tend to exploit process inefficiencies, which put the information or cybersecurity of organizations at risk. Therefore, it is crucial to identify these inefficiencies to prevent these threats. Two process inefficiencies that contribute to information/cybersecurity threats.

Outdated Software: Many organizations still use outdated software, which exposes them to information and cybersecurity threats. Hackers and ransomware attackers exploit vulnerabilities in outdated software to gain unauthorized access to computer systems. Attackers use this access to steal sensitive data, corrupt files, and install malware or ransomware. To reduce the inefficiencies that result from outdated software, companies should update their software regularly. Companies should also implement software patches to prevent hackers and ransomware attackers from exploiting vulnerabilities.

Ineffective Employee Training: Another process inefficiency that contributes to information/cybersecurity threats posed by hacking and ransomware attacks is ineffective employee training. Employees are often the weakest link in an organization's information/cybersecurity defenses. Attackers target employees through phishing scams and social engineering tactics. Employees who lack training may fall prey to these attacks and accidentally disclose sensitive information.

In conclusion, the use of outdated software and ineffective employee training are two process inefficiencies that contribute to information/cybersecurity threats posed by hacking and ransomware attacks. Organizations can reduce these inefficiencies by updating their software regularly and training employees regularly. Regular training ensures that employees are up-to-date with the latest cybersecurity practices and can identify potential cybersecurity threats.

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Transcribed image text:
To purchaye a heuse valued at 5350.000 with a 204 down payment and a 30 -year (e 3.350 months) at a fixed rate morteage at 4 what is the amount of your moethly soyment starting next month? Bound your answer to the nearest whole dollar. Write your answer as a whole number without deamais or the gotar iymbol.

Answers

To purchase a house valued at [tex]$535,000[/tex]with a [tex]$204,000[/tex]down payment and a 30-year (360 months) fixed-rate mortgage at 4%, we need to calculate the monthly payment.

Let P be the principal amount, r be the monthly interest rate, and n be the number of monthly payments.

[tex]n = 30 years * 12 months/year = 360r = 4%/12 = 0.00333P = $535,000 - $204,000 = $331,000[/tex]

Using the formula for a fixed-rate mortgage, we have:

[tex]Monthly payment = (P * r) / (1 - (1 + r)^(-n))= ($331,000 * 0.00333) / (1 - (1 + 0.00333)^(-360))= $1,575.53[/tex]

Thus, the amount of your monthly payment starting next month is $1,576 (rounded to the nearest dollar).

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the distinction between moral development and moral competence is the description of what theory?

Answers

The distinction between moral development and moral competence is described by Lawrence Kohlberg's theory of moral development. Kohlberg proposed that moral development occurs in stages, progressing from lower levels of moral reasoning to higher levels.

Moral development refers to the cognitive and psychological growth that individuals undergo as they acquire a more sophisticated understanding of moral principles and values.

On the other hand, moral competence refers to the practical application of moral reasoning in real-life situations. It involves the ability to make ethical judgments, take moral actions, and navigate moral dilemmas effectively. While moral development focuses on the internal cognitive processes of moral reasoning, moral competence emphasizes the external manifestation of moral behavior.

Kohlberg's theory suggests that moral development and moral competence are closely related, as individuals' moral competence is influenced by their level of moral reasoning. As individuals progress through the stages of moral development, they become more capable of making principled ethical decisions and demonstrating morally competent behavior.

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Hatter Co. is expected to generate pre-tax profit of $4,683,500 this year. The board of directors have also announced that they will invest in an expansion project with a cost of $5,492,000. The project will be partially funded by a new $3,200,000 bank loan and the rest via retained profit. At the moment, the business has 675,000 shares outstanding and a market share price of $16.20. In addition, the corporate tax rate is 20%. (i) Assuming that the firm will pay out the remaining profit as dividends after it has financed its projects, calculate the dividend payout ratio of Hatter Co (5 marks) (ii) Determine its dividend yield. (3 marks) (iii) Assuming ceteris paribus, explain what would happen to the Hatter Co.'s share price after the ex-dividend date (relevant calculation is required here). (5 marks) (iv) Explain the theory that best describes the dividend practice of this firm. (4 marks) (b) You are considering these 2 stocks as potential investments: - Red Queen Ltd. is currently priced at $35. It will pay a dividend of $2.75 p.a. for two years, but no dividend in the 3 rd year. You plan to sell the stock at the end of 3 rd year for $45. - Cheshire Inc. is currently priced at \$35. It does not pay any dividends. You expect it can be sold at the end of 3 rd year for $50.50. You are in the 37% personal tax bracket. Dividends are taxed at the personal rate, but capital gains are taxed at a flat rate of 12%. Assuming a Ke of 9%, which stock is the better choice? (10 marks) (c) Critically discuss TWO (2) reasons when a share repurchase is better for shareholders (as opposed to a cash dividend). (Total: 33 marks)

Answers

(i) Dividend payout ratio is calculated as the amount of dividends paid to shareholders relative to the total net income of the company. The dividend payout ratio of Hatter Co. can be calculated using the following formula:Dividend Payout Ratio = Dividend per Share / Earnings per Share (EPS)EPS = (Profit - Tax) / Number of Shares outstanding (N)EPS = ($4,683,500 - ($4,683,500 x 0.2)) / 675,000 = $3.3475DPS = (Total Investment - Loan) / N = ($5,492,000 - $3,200,000) / 675,000 = $3.32148.

Dividend Payout Ratio = $3.32148 / $3.3475 = 0.0078 or 0.78%(ii) Dividend yield is the annual dividend per share divided by the current market price per share. Dividend Yield = Annual Dividend per Share / Current Market Price per ShareAnnual Dividend per Share = Total Dividend / Number of SharesN = 675,000Current Market Price per Share = $16.20Total Dividend = (Total Investment - Loan) x Dividend Payout RatioTotal Dividend = ($5,492,000 - $3,200,000) x 0.0078 = $12,429.60Annual Dividend per Share = $12,429.60 / 675,000 = $0.0184Dividend Yield = $0.0184 / $16.20 = 0.00114 or 1.14%(iii) After the ex-dividend date, Hatter Co.'s share price will decline by the amount of the dividend per share. In this case, the dividend per share is $0.0184, so the share price will drop by $0.0184 to $16.1816 = ($16.20 - $0.0184)(iv) Hatter Co.'s dividend practice can be described by the bird-in-hand theory. The bird-in-hand theory suggests that investors prefer dividends to potential capital gains because a dollar of dividends is worth more than a dollar of capital gains.

By paying out dividends, the company is signaling that it is profitable and that it has sufficient cash to continue paying dividends. This increases investor confidence and attracts more investors to buy the company's stock.(b)To determine which stock is the better choice, we must calculate the present value of each stock. We can use the following formula to calculate the present value of future cash flows:P = CF1 / (1 + r)^1 + CF2 / (1 + r)^2 + CF3 / (1 + r)^3 - Iwhere,P = Present value of the stockCF = Cash flowr = Discount rateI = Initial investmentRed Queen Ltd.:CF1 = $2.75CF2 = $2.75CF3 = $47.75I = $35P = $2.75 / (1 + 0.09)^1 + $2.75 / (1 + 0.09)^2 + $47.75 / (1 + 0.09)^3 - $35 = $36.53Cheshire Inc.:CF1 = $0CF2 = $0CF3 = $50.50I = $35P = $50.50 / (1 + 0.09)^3 - $35 = $7.24Since the present value of Red Queen Ltd. is greater than the present value of Cheshire Inc., Red Queen Ltd. is the better choice.(c)Two reasons why share repurchase is better for shareholders as opposed to a cash dividend are as follows

:1. Taxation: Share repurchases can be more tax-efficient than cash dividends because shareholders can defer paying capital gains taxes until they sell their shares. In contrast, cash dividends are taxed in the year they are received, and they are subject to both ordinary income tax rates and capital gains tax rates.

2. Flexibility: Share repurchases are more flexible than cash dividends because the company can adjust the amount and timing of the repurchases to meet its cash flow needs. In contrast, cash dividends are usually paid on a regular schedule, which can make it difficult for the company to adjust the amount of cash it distributes to shareholders.

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How does American poor shape Port infrastructure impact Intermodal transportation in the country? What are some challenges are ports like the Port Los Angeles and New York ,etc. How can we improve our infrastructure like Asian ports?

Answers

The poor shape of Port infrastructure can have a significant impact on Intermodal transportation in the country. There are several challenges associated with ports like Port Los Angeles and New York. However, improving infrastructure like Asian ports can help overcome these challenges.

In the United States, the poor condition of ports' infrastructure can result in transportation delays, which can cost billions of dollars in lost productivity and revenue. Furthermore, congestion at ports like the Port Los Angeles and New York can cause long wait times, impacting shippers and carriers' delivery schedules. This problem can result in higher costs for businesses and consumers alike.

Therefore, it is essential to address these issues to ensure efficient and cost-effective intermodal transportation.To improve infrastructure like Asian ports, several steps can be taken.

For example, investments can be made in technologies such as automation and the use of data analytics. Also, infrastructure expansion projects can be undertaken, such as dredging and channel deepening, to accommodate larger ships.

Additionally, improvements can be made to rail and road networks that connect to the ports.

These steps can help to reduce congestion and wait times, improving efficiency and reducing costs.

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Your firm: Lucky Charms Breakfast Lover, Inc. has the following information displayed on their balance sheet and income statement. The 2019 balance sheet showed net fixed assets of $6.1 million while the firm's 2018 balance sheet showed net fixed assets of $5.5 million. The company's 2019 income statement showed a depreciation expense of $360,000 What was net capital spending for 2019 ?

Answers

Net capital spending for 2019 can be calculated by using the formula given below: Net capital spending = (ending net fixed assets − beginning net fixed assets) + Depreciation expense.

Net capital spending can be defined as the difference between net fixed assets of the current year and the previous year along with the depreciation expenses incurred during the current year.

By using the formula given above, we can find the net capital spending of Lucky Charms Breakfast Lover, Inc. in 2019.The net fixed assets of Lucky Charms Breakfast Lover, Inc. in 2019 were 6.1 million and net fixed assets of the firm in 2018 were 5.5 million. Therefore, the change in net fixed assets for the year 2019 is:6.

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Company X paid Company Y$1.85 million for a new plant. During the same accounting period, Company X experienced the following changes in its balance heet: Cash decreased by $353,000, Accounts Receivable increased by $321,800, Inventory increased by $276,300, Property, Plant, and Equipment increased by 5753,400, and Bonds Payable increased by $2 million. The net cash flow provided by financing activities is: Multiple Choice An inflow of $1.85 million. An outflow of $353,000 An inflow of $753,400. An inflow of $2 million.

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The net cash flow provided by financing activities is an inflow of $2 million.Why? Because Company X paid Company Y $1.85 million for a new plant which implies that there was an outflow of cash, but their Bonds Payable increased by $2 million.

It means that they got more money from their financing activities than they had to pay for their investments. The increase in Property, Plant, and Equipment is a result of their investment activity. Changes in Accounts Receivable and Inventory are part of their operational activity. The decrease in Cash is not a part of any of these activities, but a result of their activities,

making the option "An outflow of $353,000" wrong.The net cash flow provided by financing activities is calculated as the difference between cash inflows and outflows resulting from financing activities. The inflow of cash from the increase in Bonds Payable is the only financing activity mentioned in the question, making the option "An inflow of $1.85 million" wrong. The increase in Property, Plant, and Equipment is not part of the calculation of net cash flow provided by financing activities, making the option "An inflow of $753,400" wrong.Therefore, the correct answer is: An inflow of $2 million.

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Panco Holdings has purchased a piece of property for $109,000 and agreed to make monthly payments at the beginning of each month. If the interest rate is 12.6825%, compounded annually, what will be the size of each monthly payment to repay the debt in 10 years?
. If Panco Holdings makes payments of $1,200 at the beginning of each month, how long will it take to repay the loan?

Answers

It would take approximately 89 months (or about 7 years and 5 months) to repay the loan if Panco Holdings makes payments of $1,200 at the beginning of each month.

To calculate the size of each monthly payment required to repay the debt in 10 years, we can use the formula for the monthly payment on a loan:

Monthly Payment = (Loan Amount * Monthly Interest Rate) / (1 - (1 + Monthly Interest Rate)^(-Number of Payments))

Given information:

Loan Amount = $109,000

Interest Rate = 12.6825% compounded annually

Number of Payments = 10 years * 12 months per year = 120 months

First, let's calculate the monthly interest rate:

Monthly Interest Rate = (1 + Annual Interest Rate)^(1/12) - 1

Monthly Interest Rate = (1 + 0.126825)^(1/12) - 1

Monthly Interest Rate = 0.0104595

Now, let's calculate the size of each monthly payment:

Monthly Payment = ($109,000 * 0.0104595) / (1 - (1 + 0.0104595)^(-120))

Monthly Payment = $1,224.65

Therefore, the size of each monthly payment required to repay the debt in 10 years would be approximately $1,224.65.

To determine how long it would take to repay the loan if Panco Holdings makes payments of $1,200 at the beginning of each month, we need to rearrange the formula and solve for the number of payments:

Number of Payments = -log(1 - (Loan Amount * Monthly Interest Rate) / Monthly Payment) / log(1 + Monthly Interest Rate)

Number of Payments = -log(1 - ($109,000 * 0.0104595) / $1,200) / log(1 + 0.0104595)

Number of Payments = 89.08 months

Therefore, it would take approximately 89 months (or about 7 years and 5 months) to repay the loan if Panco Holdings makes payments of $1,200 at the beginning of each month.

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the bottom line for public relations professionals is to counsel and do what is in the long-term best interest of an organization.

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The main bottom line for public relations professionals is to counsel and act in the long-term best interest of an organization, ensuring its reputation, relationships, and overall success.

The primary objective of public relations professionals is to protect and enhance the reputation and image of the organization they represent. This involves providing strategic counsel and guidance to the organization's leadership regarding communication and public perception. By focusing on the long-term best interest of the organization, public relations professionals consider factors such as maintaining trust and credibility with stakeholders, fostering positive relationships with the public, and aligning communication efforts with the organization's values and goals. In practice, this may include activities such as developing and implementing effective communication strategies, managing crises and issues, conducting media relations, engaging with stakeholders, monitoring and analyzing public sentiment, and advising on ethical considerations.

By prioritizing the long-term interests of the organization, public relations professionals contribute to its sustainability, competitiveness, and overall success. Their efforts aim to build and maintain a positive reputation, establish strong relationships, and effectively communicate the organization's values, initiatives, and achievements to various audiences.

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the project management institute (pmi) argues that, ideally, the project charter should be authored by:

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The Project Management Institute (PMI) recommends that the project charter be ideally authored by the project sponsor or the project manager. The project charter serves as a formal document that establishes the project's existence, defines its objectives, and provides the authority to initiate the project.

Here are some reasons why the project sponsor or the project manager should be involved in authoring the project charter Authority and Responsibility: The project sponsor is typically a senior executive who has the authority and accountability for the project's success. They have the necessary organizational influence and resources to support the project. The project manager, on the other hand, is responsible for the day-to-day management and execution of the project. By involving them in the chartering process, they can ensure that the project aligns with the organization's strategic objectives and has the necessary support.

Stakeholder Involvement: The project charter defines the project's stakeholders, their roles, and their expectations. The project sponsor and project manager are key stakeholders who can provide valuable input and insights into the project's goals, scope, and requirements. By involving them in the authoring process, the project charter can accurately capture the needs and expectations of all stakeholders. Alignment with Organizational Strategy: The project charter outlines the project's alignment with the organization's strategic objectives. The project sponsor, being a senior executive, can provide insights into the organization's strategic priorities and how the project contributes to them.

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are specific measures that help marketers watch the performance of their marketing campaigns, initiatives, and channels and, when appropriate, serve as a control mechanism.

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Marketing performance measurement is a process of assessing the impact of the marketing campaign to measure the success of the campaign. The process involves examining the marketing initiatives, channels, and campaigns' performance, analyzing data, and providing reports.

Marketers use specific measures to watch the performance of their marketing campaigns, initiatives, and channels and serve as a control mechanism when appropriate. Specific measures include the following:Conversion rates: Conversion rates are measures of how effectively the marketing campaign converts leads to customers. They are determined by dividing the number of new customers who made a purchase by the number of leads who interacted with the marketing campaign.Cost per lead: It is the average cost of generating a lead through the marketing campaign.

The cost per lead is determined by dividing the total cost of the campaign by the total number of leads generated.Customer acquisition cost: It is the cost of acquiring a new customer through a marketing campaign. The customer acquisition cost is calculated by dividing the total cost of the campaign by the number of new customers generated.Return on investment (ROI): It is a metric used to measure the profitability of a marketing campaign.

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An aged care facility currently has a four-week cyclic menu in place, but feedback from the residents in a recent survey shows that some residents view the menu are bland, boring and predictable. On the other hand, many of the residents show great satisfaction with the current menu and are happy with the simple homestyle food that is currently served. There is a need to keep both types of residents happy with a new menu.
Suggest eight main course dishes that would be a bit more tasty, ethnic and a bit more modern than the mainly English style food that is currently served.
These eight dishes need to be cost effective dishes to fit in the budget, so you cannot put on very expensive restaurant type meals. The plan would be to offer these eight dishes as a choice in the next menu cycle, (two dishes per week) and to see if these new styles of food are popular or are unpopular with the residents.
Explain your choices of dishes and why you think these dishes would suit people in this age group and living circumstances.

Answers

The four-week cyclic menu in the aged care facility is currently deemed unappetizing by some of the residents. It is crucial to add more flavorful, ethnic, and modern dishes while also keeping it cost-effective.

Here are eight suggestions that would be more flavorful, ethnic, and modern:

The dish has been around since the 1950s and is a beloved dish among seniors. The ingredients are readily available, which makes the dish affordable. The spaghetti is cooked in a rich sauce made from eggs, bacon, cheese, and cream.

The dish is relatively simple, but it is filling and delicious. Greek Chicken Souvlaki Skewered and grilled chicken served with a pita bread and a side of hummus or tzatziki sauce.

Chicken Fajitas Mexican cuisine is known for its bold and flavorful dishes. The chicken fajitas are affordable, and the ingredients are readily available. The dish is made from grilled chicken, onions, peppers, and served with flour tortillas.

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Which of the following is NOT an approach to appraisal?

The value approach

The market approach

The cost approach

The income approach

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The approach that is NOT an approach to appraisal is: more than 100. The term "more than 100" is not a recognized approach to appraisal.

An appraisal is the act or process of estimating the value of a property, such as real estate, a business, or other assets. Appraisals are often conducted to determine the fair market value of a property, which is the price that a willing buyer would pay a willing seller for the property in an open and competitive market.

This helps buyers, sellers, and lenders to make informed decisions about buying, selling, or financing a property.Types of appraisal approachesThere are four commonly used approaches to appraisal, which include:1. The cost approach2. The income approach3. The value approach4.

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The taxpayer owns a sole proprietorship and sells only 1 piece of equipment during the year. The equipment was purchased 3 years ago for $90,000. The equipment was sold on September 1, 2020 for $70,000. The combination of Section 179 expense and MACRS depreciation taken on the equipment through the date of sale was $40,000. Which of the following would be a correct entry on the tax return based solely on this information?
a. $40,000 on Form 4797, Part III, Line 23 (for Property A).
b. $20,000 on Form 4797, Part II, Line 13.
c. ($3,000) on Form 1040, Line 6.
d. $20,000 on Schedule D, Part II, Line 11.

Answers

The correct entry on the tax return based solely on the information provided is option (a) $40,000 on Form 4797, Part III, Line 23 (for Property A).

The taxpayer sold a piece of equipment, which was originally purchased for $90,000, on September 1, 2020, for $70,000. The Section 179 expense and MACRS depreciation claimed on the equipment until the date of sale amounted to $40,000.

This information indicates that the taxpayer is reporting the sale of the equipment on Form 4797, which is used to report the sale of business property.

The sale of the equipment would be reported as a gain or loss on Part III, Line 23 of Form 4797, with a gain of $40,000 in this case. Therefore, option (a) is the correct entry on the tax return.

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What must be established in an agency of necessity?
a,A real emergency.
b,inconvenience to obtain instructions of the principal.
c,agent acted as a matter of convenience.
d,failure of the agent to obtain instructions of the principal.

Answers

These include a real emergency, the inconvenience of obtaining instructions of the principal, the agent acting as a matter of convenience, and the failure of the agent to obtain instructions of the principal.

In a situation where a real emergency arises, an agent can act on behalf of the principal without obtaining prior instructions. An emergency situation is any situation that demands immediate action and may include life-threatening circumstances or property damage that is about to occur. Inconvenience is another factor that may necessitate the agent to act in the interest of the principal without prior instructions.

The fact that the agent acted as a matter of convenience must also be established in an agency of necessity. Sometimes, the agent may act for the principal without explicit instructions, especially in situations where the principal is inaccessible.

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13. benjamin currently pays $1,080 for his annual car insurance premium. he is in the marines and will be deployed for the next 9 months. since his car will be used much less, there is less risk for the insurance company and it offers him a 66% discount for his annual premium while on deployment. what is the amount he must save each month while on deployment to be able to pay for the discounted premium? when benjamin returns, his premium will revert to the amount prior to deployment. what will his total premium for the year be?

Answers

Benjamin must save $40.80 each month while on deployment, and his total premium for the year will be $1,447.20.

To calculate the amount Benjamin must save each month while on deployment to pay for the discounted premium, we can follow these steps:

1. Calculate the discounted premium while on deployment:

  Discounted premium = Original premium * (1 - Discount percentage)

  Discounted premium = $1,080 * (1 - 0.66)

  Discounted premium = $1,080 * 0.34

  Discounted premium = $367.20

2. Calculate the number of months Benjamin will be on deployment:

  Number of months = 9

3. Calculate the amount he must save each month while on deployment:

  Savings per month = Discounted premium / Number of months

  Savings per month = $367.20 / 9

  Savings per month = $40.80 (rounded to the nearest cent)

When Benjamin returns, his premium will revert to the amount prior to deployment, which is $1,080.

To calculate his total premium for the year, we can add the premium while on deployment and the premium after returning:

Total premium = Discounted premium + Premium after returning

Total premium = $367.20 + $1,080

Total premium = $1,447.20

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True, trade and transportation begets population
Many cities started where there were transition points in trade routes.

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Transportation and trade are critical to the success of a population, as they enable the exchange of goods and ideas across a large area, allowing cities to thrive and prosper.

Yes, true, trade and transportation beget population.

The importance of transportation and trade in the growth of cities is a historical fact that goes back to the beginning of human civilization.

Many cities started where there were transition points in trade routes.

Because people and goods need to move, transportation and trade have always played a critical role in human development.

Trade routes are paths along which goods are transported from one region to another.

Trade routes are created when people and communities come into contact with one another,

and they develop as a result of a wide range of factors, such as geography, natural resources, and cultural exchange.

These factors create the conditions necessary for the growth of cities,

as trade routes provide an economic foundation for a community to thrive on.

As a result of the importance of trade and transportation, cities have always developed around these centers.

Trade and transportation allow people to travel and exchange goods, enabling a city to grow and develop.

For example, the ancient city of Rome was built at the intersection of several major trade routes.

This allowed the city to become an economic hub,

enabling the people of Rome to trade goods and ideas with people from other regions, leading to significant economic growth.

Trade and transportation continue to be important to the growth and development of cities today.

In the modern world, cities are built around transportation hubs such as ports, airports, and railways.

This allows cities to remain connected to the rest of the world, enabling them to grow and prosper.

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In an attempt to analyze whatever economic system a country is subscribing, Economists study the interdependency of the system in the form of a tree and a forest or as a unit and as a whole. Discuss this relationship with respect to the two branches of economics.

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Economics is divided into two branches namely microeconomics and macroeconomics. Both branches have a different perspective, but they are interrelated and interdependent. The interdependency of the economic system can be studied through analyzing a country’s economy as a tree or a forest or as a unit and as a whole.

Microeconomics is a branch of economics that studies the behavior of individuals, households, and firms concerning the allocation of resources and decision-making on pricing and consumption of goods and services. The focus of microeconomics is on the supply and demand of products in the market. It deals with the factors affecting the prices of goods and services and how they impact the behavior of producers and consumers.

On the other hand, macroeconomics is the branch of economics that studies the behavior of the economy as a whole. It examines the economy’s performance and stability concerning issues like inflation, unemployment, and gross domestic product (GDP). The focus of macroeconomics is on the overall economic activity and its impact on society.

The relationship between the two branches can be analyzed through a tree and forest perspective. Microeconomics is the tree, and macroeconomics is the forest. The tree is a representation of the individual parts of the economy, and the forest represents the entire economy. The tree cannot exist without the forest, and the forest cannot exist without the tree.

The interdependency of the two branches is critical as the performance of one branch can impact the other. For instance, if the demand for goods and services is high, producers will respond by increasing production, leading to increased employment rates and reduced unemployment rates, which will improve the overall economy.

In conclusion, the relationship between microeconomics and macroeconomics is critical. They both have an impact on the economy, and they cannot exist without each other. The tree and forest analogy can be used to understand the interdependency of the two branches.

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