In 2018, President Trump increased tariffs on some goods from China. China retaliated by increasing tariffs on some U.S. goods. If free trade is the ideal, what was President Trump’s goal when increasing tariffs? Do you think this was an effective strategy? Why or why not?

Answers

Answer 1

The concept of free trade is that all countries should be able to trade without tariffs, quotas, or other trade barriers.

The idea behind free trade is that it allows for the most efficient allocation of resources, which leads to the most economic growth and the highest standard of living for people around the world.

However, President Trump increased tariffs on some goods from China in 2018 as he believed that China was stealing American intellectual property and engaging in unfair trade practices. He hoped that by increasing tariffs on Chinese goods, he would make them more expensive for American consumers and businesses to buy and encourage them to look for alternatives in the United States, which would help create jobs and reduce the trade deficit.

Therefore, President Trump's goal when increasing tariffs was to protect American businesses and workers from unfair competition and to reduce the trade deficit. Whether or not it was an effective strategy is a matter of debate.

While some argue that it helped create jobs in the United States and reduce the trade deficit, others argue that it hurt American businesses and consumers and did not achieve its intended goals.

To know more about consumers visit :

https://brainly.com/question/33474331

#SPJ11


Related Questions

The process by which long term mortgages transformed into immideate salable (liquid) financial instrument (bonds) is called a. Securitization b. Capital leasing c. Bank massive lending d. Initial public offering (IPOs)

Answers

The process by which long-term mortgages are transformed into immediately salable (liquid) financial instruments (bonds) is called Securitization.

It is a financial instrument that has its basis in financial assets such as loans, bonds, and mortgages.

Such assets, known as underlying assets, serve as collateral for the financial instrument.

What is Securitization?

Securitization is a financial instrument that transforms financial assets into securities.

The financial assets transformed into securities are usually illiquid, long-term assets that cannot be sold immediately for cash.

It is a process whereby illiquid assets are transformed into securities that can be sold in the open market.

The securitization process involves pooling assets together into a portfolio and then issuing securities against the portfolio.

The securities are then sold to investors in the open market.

The underlying assets serve as collateral for the securities and the cash flows generated by the underlying assets are used to pay the investors.

Securitization has become a popular means of raising funds for banks and financial institutions. It allows them to free up capital tied up in long-term assets, and convert them into securities that can be sold to investors.

Know more about Securitization here:

https://brainly.com/question/11487181

#SPJ11

Albert Awol, 23, is a recent graduate of The University of North Carolina (go Heels!) and is still within his six-month grace period before his student loan repayment begins. For the last twelve months he has been working as a jungle cruise captain at the Magic Kingdom in Orlando, FL, where he resides permanently. He has aspirations of starting his own adventure guide business and has been investigating small business loans as a way to get his dream off the ground. Albert is planning for a trip to South America to visit the Amazon and apprentice with a local jungle cruise captain on the river in order to get a feel for what a similar business might look like. He feels that he can save enough money to accomplish this goal in three years.
Albert has done a good job documenting his financial and wage records, but it is not very organized. He is looking for some assistance and hires you as his financial advisor to assist. He has a number of goals he is looking to accomplish, including the need to replace his vehicle within the next six months. His first objective is to develop financial statements based on his current situation. He has organized the below information in order to accomplish this:
Checking account $8,000 Rent $1,000
Gross monthly wages $5,500 Gas $180
Monthly deductions $1,000 Car value $9,000
Savings account $12,000 Personal Property $1,000
Car payment $450 Student loan balance $25,000
Emergency fund $2,500 Student loan payment $400
Food $500 Credit card payment $200
Credit card balance $4,500 401(k) balance $20,000
Roth IRA $8,500 Car loan $5,500
Cell bill $140 Utilities $100
Internet $100 Car insurance $100
Dining Out $525 Entertainment $600
Based upon the above information it is clear that Albert must first organize this information into both a balance sheet and a cash flow statement. Using the data provided, develop these two personal financial statements for Albert.

Answers

Balance Sheet of Albert Awol Liabilities Amount Assets Amount Car loan 5,500 Checking account 8,000

Credit card balance 4,500

Savings account 12,000 Rent 1,000

Car value 9,000Gas 180

Personal Property 1,000

Car insurance 100 401(k) balance 20,000

Credit card payment 200 Roth IRA 8,500

Student loan balance 25,000

Emergency fund 2,500

Total liabilities 36,880

Total assets 51,000

The balance sheet is a statement that presents an entity’s financial position at a particular date.

It shows the assets, liabilities, and the owner’s equity of an entity at a given date.

Cash Flow Statement of Albert Awol Cash inflow Amount Cash outflow Amount Gross monthly wages 5,500 ent 1,000

Monthly deductions 1,000

Gas 180

Food 500

Car payment 450

Dining out 525

The cash flow statement provides an analysis of how cash flows through the organization. It shows how much cash is available to the entity from different sources and how much is paid out to creditors and vendors. It also indicates the net change in cash for the period.  

The answer above is more than 100 words and less than 120 words.

To know more about Liabilities visit :

https://brainly.com/question/15006644

#SPJ11

Stock repurchases: many companies implemented or increased their stock repurchase plans after the 2017 Tax Cuts and Jobs Act went into effect. Do you believe this was a good use of the tax savings these firms experienced due to the lower corporate tax rate? Why or why not?

Answers

The tax savings a company experiences due to the lower corporate tax rate is a valuable asset that can be used in many ways.

However, the question remains as to whether stock repurchases were the best option for firms to utilize their savings.

What does this entail?

Companies that implemented or increased their stock repurchase plans after the 2017 Tax Cuts and Jobs Act went into effect has sparked the debate of whether it was a good use of the tax savings they experienced due to the lower corporate tax rate.

The decision of whether or not it was a good use of tax savings relies on the company's situation.

The following points explain why stock repurchases can be good or bad:

Why stock repurchases can be good:

It shows that the company has confidence in itself, which, in turn, can boost investor confidence.

Stock repurchases can provide a tax-efficient return to investors.

Stock repurchases can increase earnings per share (EPS) by decreasing the number of outstanding shares.

Why stock repurchases can be bad:

Stock repurchases can show that a company has run out of ideas to deploy their capital.

The company may be overlooking other investments that could bring higher returns than buying back stock.

The company may be seeking to increase their stock price in the short term to benefit executives who receive stock-based compensation.

If the company's stock price is overvalued, buying back shares can be a poor use of funds as it can further increase the overvaluation.

Conclusion:

Whether or not stock repurchases are a good use of tax savings depends on a case-by-case basis and various other factors, as discussed above.

It is recommended that a company evaluates all options before deciding how to use its tax savings.

To know more on Tax visit:

https://brainly.com/question/12611692

#SPJ11

True or False:
The increasing gap between the wages earned by college graduates and the wages earned by those with less education has not contributed to the rise in income inequality in the United States.

Answers

The increasing gap between the wages earned by college graduates and the wages earned by those with less education has contributed to the rise in income inequality in the United States.

The inequality has been rising for several decades and has been linked to a multitude of factors. However, the most notable reason for the rise in income inequality is the increasing wage gap between college graduates and those with less education. This is because the wage premium for college graduates has increased significantly over the years, while the wages for those with less education have remained stagnant or have decreased.

The rise in income inequality has far-reaching implications. The growing gap between the rich and the poor has been linked to a range of negative outcomes, including a decline in social mobility, a rise in crime rates, and a reduction in economic growth.

To tackle this issue, policy initiatives are needed to address the root causes of income inequality, including investing in education and training programs to increase the skills and earnings potential of workers at all levels of the income distribution.

To know more about graduates visit:

https://brainly.com/question/17181100

#SPJ11

The company is a martial arts school based on Vancouver Island which operates under a partnership model, owned by two people, each with over 25 years of martial arts and business experience. The school operates in partnership with community centers (which provide facilities, marketing, and manage the registration process). The school does not have its own facility (and as a result the only real overhead is website hosting fees). The organization’s revenue (received from clients, and a portion ranging from 60-70% is paid to the school by the community centers) is based entirely on class registration numbers. The classes are usually 20-40 students each and are run out of the community center gym facilities. The organization’s revenue is approximately 150k per year and pays for the two partner’s salaries. Students register for the classes on a term by term basis and are charged approximately $10 per class.
The school has created a strong sense of community as all locations come together at belt testing time and the business model has worked well to minimize the number of teaching hours required to generate revenue as the classes have at least 20 participants per teaching hour and there are 13-15 teaching hours (classes) per week. Efforts to transition class instruction to other black belts has resulted in dropped registration. Much of the strength and success of the school relies on tge strenghth of two partners
During COVID-19 the school transitions to online classes exclusively. Registration dropped to about 50 students throughout the pandemic, and one of the partners decided to exit the business. The one remaining partner is looking to understand their options with how they should successfully move the school forward coming out of the pandemic.
Your Role
Your mission as an advisory team (or individual) is to come up with industry analysis, creative operations plan and evaluate solutions to address this challenge for the partners as they rely on this for their livelihood.

Answers

Industry analysisMartial arts schools have become increasingly popular over the years. It is a highly competitive industry that is constantly evolving with new practices, techniques and styles being introduced.

The global martial arts market was valued at around $3.3 billion in 2019, and it is expected to grow at a CAGR of 4.9% from 2020 to 2027. Despite the growth, the COVID-19 pandemic has severely impacted the industry. Many martial arts schools were forced to close their physical locations and shift to virtual classes.

Creative operations planThe remaining partner should consider the following creative operations plan to keep the business going and expand its reach:

1. Develop an online presence: The school should focus on creating an online presence by developing a website, social media profiles, and advertising online. This will help attract new students to the school.

2. Offer flexible payment options: Since the classes are term by term, the school can offer flexible payment options such as monthly payment plans or packages to attract more students.

3. Offer free trial classes: Offering free trial classes can be a good way to attract new students and encourage them to sign up for classes.

4. Develop an app: Developing an app for the school can be a great way to engage students and provide them with an easy way to register for classes, view schedules, and access instructional content.

5. Host virtual events: The school can host virtual events such as tournaments, workshops, and seminars to keep students engaged and build a sense of community.

6. Partner with other schools: Partnering with other martial arts schools can be a great way to expand the school's reach and offer students a wider range of classes.Evaluate solutionsThe following are the solutions that the remaining partner can evaluate to address the challenge of moving the school forward.

To know more about increasingly visit:

https://brainly.com/question/28461253

#SPJ11

ulman Interiors is the most respected interior design firm in Scranton. This success is partly due to its twenty design teams, each of which consists of about six technically diverse specialists, who are highly dependent on each other to complete projects. Most teams are well-established (have low turnover) and work together in the same offices. They coordinate and address conflicts effectively and have shared expectations of each other and the project’s goals. Pulman’s CEO wants to expand the firm into three other cities in Pennsylvania. This will initially require hiring staff quickly for another five or six teams. Some current staff will need to shift to new teams and work remotely with new hires located in the other cities.
Apply the team development model to evaluate teamwork at Pulman Interiors.
Explain why team mental models are important for the successful teams at Pulman Interiors.
Identify two factors that could undermine Pulman’s high-performing teamwork IF the company decides to expand its business.

Answers

The team development model, which was developed by Bruce Tuckman, explains the four stages of development that most teams go through before they can work together productively.

The four stages of development in a team are forming, storming, norming, and performing. The evaluation of teamwork at Pulman Interiors can be done using this model:

Forming: This phase entails forming the team, and individuals who are part of the team are usually polite and courteous as they get to know each other.Storming: This stage is characterized by conflicts and disagreements as individuals try to identify where they fit in the team's hierarchy.Norming: Team members have accepted each other, and the team has established guidelines, roles, and expectations.Performing: This is the main answer to the team development model as it is the stage where the team performs at its peak.

Team mental models are important for the successful teams at Pulman Interiors because they allow for common understandings and shared expectations between members of a team. Team mental models are representations that team members hold in their heads of how things work in the team, what tasks need to be completed, and how team members should interact with each other. When the members of a team have a shared understanding of these mental models, they are better able to coordinate and communicate with each other. By sharing and agreeing on a common set of mental models, teams are able to operate more efficiently and reduce the likelihood of misunderstandings and conflicts.

Two factors that could undermine Pulman’s high-performing teamwork IF the company decides to expand its business are:

Communication breakdown: As Pulman expands into three other cities in Pennsylvania, there is a risk that communication channels could break down, resulting in conflicts and misunderstandings within and between teams. This could lead to an increase in employee turnover rates and could damage the company's reputation.

Poor leadership: Another factor that could undermine Pulman’s high-performing teamwork is poor leadership. As the company expands, there is a risk that the leadership structure could become too top-heavy, making it difficult for employees to communicate with managers and supervisors. In addition, managers may not be familiar with the culture of the new locations, leading to a lack of understanding and conflict.

Learn more about the leadership structure: https://brainly.com/question/29701092

#SPJ11

How does Operations Management differ when you are providing a service rather than producing a good?

Answers

Manufacturing operations frequently employ sophisticated inventory and supply chain management techniques, while service operations rely on service design, process design, and workforce management techniques.

When you're providing a service, operations management is different from when you're producing a good. Service management's main objective is to deliver the service to the client efficiently and productively. On the other hand, production management's primary objective is to produce goods that are both effective and cost-effective. Service operations are different from production operations in that they are characterized by the following:

Intangible output: This means that there is no physical product to display or present.

Heterogeneous output: Since the service is performed by individuals, no two services will be the same.

Perishable output: The service cannot be stored; it must be consumed as soon as it is produced.

Labor-intensive input: People are a significant part of service delivery, as opposed to the automated equipment that is frequently used in manufacturing. In terms of operations management, this means that service operations must be handled diffeently than manufacturing operations. While manufacturing operations focus on the design and delivery of tangible goods, service operations concentrate on the delivery of intangible services. Service operations, in other words, require greater focus on customer service and personnel management than production operations.

To know more about service operations visit:

https://brainly.com/question/32150302

#SPJ11

n the dynamic AD-AS model, with the short-run aggregate supply (SRAS) curve drawn sloping upward from left to right, the real growth rate is higher than its long-run rate when the inflation rate is higher than the rate that people expected to prevail." This statement is A true B false B A Question 46 1 pts 46. In the dynamic AD-AS model, with the short-run aggregate supply (SRAS) curve drawn sloping upward from left to right, a permanent increase in spending growth eventually leads to A a permanent increase in the inflation rate and a return to the long-run real growth rate B a permanent reduction in inflation rate and a return to the long-run real growth rate A 7 47. In the dynamic AD-AS model, with the short-run aggregate supply (SRAS) curve drawn sloping upward from left to right, a permanent reduction in spending growth eventually leads to A a permanent increase in the inflation rate and a return to the long-run real growth rate B a permanent reduction in the inflation rate and a return to the long-run real growth rate B A

Answers

the correct answer is B, a permanent reduction in the inflation rate and a return to the long-run real growth rate.

In the dynamic AD-AS model, with the short-run aggregate supply (SRAS) curve drawn sloping upward from left to right, the real growth rate is higher than its long-run rate when the inflation rate is higher than the rate that people expected to prevail.

This statement is A true. This is because when there is unexpected inflation, firms may think that the increase in the price of goods is due to an increase in demand and produce more. In the short run, this increase in production will lead to an increase in output or real growth rate.
To know more about inflation visit:

https://brainly.com/question/28136474

#SPJ11

which of the following is a fixed-time-period inventory model? multiple choice the eoq model just-in-time model periodic system model the least cost method the q-model

Answers

The option that is a fixed-time-period inventory model is C. periodic system model.

What is periodic system model?

The periodic system model is a fixed-time-period inventory model in which orders and reviews of inventory take place at predetermined intervals, such as weekly, monthly, or quarterly.

At the conclusion of each review period, the inventory level is normally counted or measured, and an order is issued to refill the inventory up to a predetermined level.

Therefore the correct option is C.

Learn more about periodic system model here:https://brainly.com/question/25887081

#SPJ4

The correct question is:

which of the following is a fixed-time-period inventory model? multiple choice

A. the eoq model

B. just-in-time model

C. periodic system model

D. the least cost method the q-model

In each of the following four cases, MRP L and MRP C refer to the marginal revenue products of labor and capital, respectively, and P L and P C refer to their prices. Indicate in each case whether the conditions are consistent with maximum profits for the firm. If not, state which resource(s) should be used in larger amounts and which resource(s) should be used in smaller amounts.

a. MRPL = $8; PL = $4; MRPC = $8; PC = $4

1. These conditions are consistent with maximum profits for the firm.

–True or False

2. Which resource should be used in larger and/or smaller amounts?

Select one:

-Use less of both

-Conditions are already consistent

-Use more of both

-Use less labor and more capital

-Use more labor and less capital

b. MRPL = $10; PL = $12; MRPC = $14; PC = $9

1. These conditions are consistent with maximum profits for the firm.

–True or False

2. Which resource should be used in larger and/or smaller amounts?

Select one:

-Use less of both

-Conditions are already consistent

-Use more of both

-Use less labor and more capital

-Use more labor and less capital

c. MRPL = $6; PL = $6; MRPC = $12; PC = $12

1. These conditions are consistent with maximum profits for the firm.

–True or False

2. Which resource should be used in larger and/or smaller amounts?

Select one:

-Use less of both

-Conditions are already consistent

-Use more of both

-Use less labor and more capital

-Use more labor and less capital

d. MRPL = $22; PL = $26; MRPC = $16; PC = $19

1. These conditions are consistent with maximum profits for the firm.

–True or False

2. Which resource should be used in larger and/or smaller amounts?

Select one:

-Use less of both

-Conditions are already consistent

-Use more of both

-Use less labor and more capital

-Use more labor and less capital

Answers

a. MRPL = $8; PL = $4; MRPC = $8; PC = $4
1. These conditions are consistent with maximum profits for the firm. False
2.  Use less labor and more capital

b. MRPL = $10; PL = $12; MRPC = $14; PC = $9
1. These conditions are consistent with maximum profits for the firm. True
2.  Conditions are already consistent

c. MRPL = $6; PL = $6; MRPC = $12; PC = $12
1. These conditions are consistent with maximum profits for the firm. False
2.  Use less labor and more capital

d. MRPL = $22; PL = $26; MRPC = $16; PC = $19
1. These conditions are consistent with maximum profits for the firm. False
2. Use less labor and more capital

In each case, we compare the marginal revenue product of labor (MRPL) to the price of labor (PL), and the marginal revenue product of capital (MRPC) to the price of capital (PC).

For maximum profits, a firm should use resources in such a way that their marginal revenue product is greater than or equal to their price. In case a, both MRPL and MRPC are equal to $8, which is equal to the prices PL and PC. This means that the firm is already maximizing its profits, so no changes in resource allocation are needed.

In cases b, c, and d, there are discrepancies between the MRPs and prices. In case b, MRPL is $10 and PL is $12, meaning that the price of labor is greater than its marginal revenue product. However, MRPC is $14, which is greater than PC, indicating that the price of capital is less than its marginal revenue product. Therefore, to maximize profits, the firm should use more capital and less labor.

Similarly, in cases c and d, the firm should use less labor and more capital to maximize profits because the price of labor is greater than its marginal revenue product, while the price of capital is less than its marginal revenue product.

In summary, for maximum profits, a firm should allocate resources in a way that ensures the marginal revenue product of each resource is equal to or greater than its price.

Know more about marginal revenue product of labor here:

https://brainly.com/question/17371328

#SPJ11

Rogot instruments makes fine violins, violas, and cellos, It has $1.2 milion in debt outstanding, equify valued at $24 milison, and pays corporate income tax at rate 21%. Its cost of equity is 12% and its cost of debt is 8%. a. What is Rogot's pre-tax WACC? b. What is Rogot's (effective after-tax) WACC? a. What is Rogors pre-tax WACC? Rogots pre-tax WACC is \%. (Round to two decimal places.) b. What is Rogot's (elfective after-tax) WACC? Rogot's (effective afler-tax) WACC is \%. (Round to two decimal places.)

Answers

Rogot instruments' pre-tax WACC is 11.33% and Rogot's (effective after-tax) WACC is 10.62%.

a.)

Rogot's pre-tax WACC formula = E/V * Re + D/V * Rd * (1 - Tc)

Where,

E = Market value of the firm's equity

D = Market value of the firm's debt

V = Total market value of the firm's capital

Re = Cost of equity

Rd = Cost of debt

Tc = Corporate tax rate of the firm

Given values,

E = $24 million

D = $1.2 million

Re = 12%Rd = 8%

Tc = 21%

V = E + D = $24 million + $1.2 million = $25.2 million

Now, E/V = $24 million / $25.2 million = 0.9524D/V = $1.2 million / $25.2 million = 0.0476

Plugging the given values in the formula,

Rogot's pre-tax WACC = 0.9524 * 12% + 0.0476 * 8% = 11.33%

Thus, Rogot's pre-tax WACC is 11.33%.

b.)

Rogot's (effective after-tax) WACC formula = E/V * Re + D/V * Rd * (1 - Tc)

Where,

E = Market value of the firm's equity

D = Market value of the firm's debt

V = Total market value of the firm's capital

Re = Cost of equity

Rd = Cost of debt

Tc = Corporate tax rate of the firm

Given values,

E = $24 million

D = $1.2 million

Re = 12%Rd = 8%

Tc = 21%

V = E + D = $24 million + $1.2 million = $25.2 million

Now, E/V = $24 million / $25.2 million = 0.9524D/V = $1.2 million / $25.2 million = 0.0476

Plugging the given values in the formula,

Rogot's (effective after-tax) WACC = 0.9524 * 12% + 0.0476 * 8% * (1 - 21%)= 10.62%

Thus, Rogot's (effective after-tax) WACC is 10.62%

To know more about WACC visit:

https://brainly.com/question/30893557

#SPJ11

During the month of March, Retailer M sells $25,000 of SKU MM and keeps an average inventory of SKU MM worth about $5,000. How many times did Retailer M replenish SKU MM during March?

Answers

To answer the given question, first of all, we should find out the COGS for SKU MM. To find out the COGS (Cost of goods sold), we can use the following formula, COGS = Beginning Inventory + Purchases - Ending.

Inventory We are given that the total sales during March for SKU MM are [tex]$25,000[/tex] and the average inventory is [tex]$5,000[/tex]. We also know that during this time, no new inventory was added. Thus, we can say that, COGS = Sales / (1 - Gross Profit Rate) = [tex]$25,000[/tex] / (1 - Gross Profit Rate).

We know that Gross Profit = Sales - COGS. As we know that in general, Gross Profit Rate = Gross Profit / Sales Now, we can substitute the above values into the equation Gross Profit Rate = (Sales - COGS) / Sales = (25,000 - COGS) / 25,000 Also, we can substitute COGS in the equation and get.

To know more about answer visit:

https://brainly.com/question/13385114

#SPJ11

The issue price of 1,000, 5%, $1,000 bonds issued at 100.00 equals ______.

Answers

Answer:

The issue price of 1,000 bonds issued at 100.00 equals $1,000,000.

Explanation:

PESTEL analysis for china with electric motorbikes

Answers

PESTEL analysis is a tool used by businesses to evaluate the macro-environmental factors that may impact their operations.

These factors include political, economic, social, technological, environmental, and legal forces.

In regards to electric motorbikes in China, the following PESTEL analysis can be conducted:

Political: The Chinese government is supportive of electric vehicles, including motorbikes.

They have implemented policies to incentivize the production and purchase of these vehicles, such as subsidies and tax exemptions.

However, the government's regulatory policies can be unpredictable, which can be a challenge for businesses.

Economic: The Chinese economy is the second largest in the world and is continuously growing.

The middle class is also expanding, which creates a larger market for electric motorbikes.

However, there are concerns about income inequality and poverty, which can impact the affordability of these vehicles.

Social: There is a growing awareness and concern for environmental sustainability in China.

This can create a demand for environmentally friendly transportation options such as electric motorbikes.

However, cultural preferences and attitudes toward motorbikes may still favor gasoline-powered models.

Know more about PESTEL analysis   here:

https://brainly.com/question/28310527

#SPJ11

You have $2,000 cash in your personal account and you decided to invest 1/4 of that amount into your business. What is your investment value and journal entry?
Select one:
a. debit Cash $500; credit Owner’s Capital $500
b. nothing to record
c. debit Cash $500; credit Investment $500
d. debit Cash $1,000; credit Owner’s Capital $1,000
e. debit Cash $1,500; credit Owner’s Capital $1,500

Answers

The journal entry and the investment value for this situation is - c. debit Cash $500; credit Investment $500.

How to find?

The investment value and journal entry for the given scenario can be calculated as follows:

Given, cash in personal account = $2,000

Invest 1/4 of that amount into your business.

To calculate the investment value, we need to multiply 1/4 with the cash in personal account.

Therefore,

Investment value = 1/4 × $2,000

= $500

To record this transaction, we need to make the following journal entry:

Debit Investment $500

Credit Cash $500

So, the correct option is c. debit Cash $500; credit Investment $500.

To know more on Investment visit:

https://brainly.com/question/15105766

#SPJ11

The term earnings quality refers to:
A) Whether analysts can forecast future EPS
B) Earnings reflecting the ongoing sustainable operations of the company
C) The ability of management to make earnings look better than they really are
d) Whether the financial statements are easy to read

Answers

The term earnings quality refers to earnings reflecting the ongoing sustainable operations of the company.

Earnings quality refers to the capability of earnings to give an accurate picture of a firm's underlying economic activities by providing relevant and trustworthy information to investors. The earnings quality of a company can be determined by evaluating the information given in its financial statements.

The objective of the financial statement analysis is to establish the quality of earnings. If earnings from operations are insufficient to support the firm's other activities or to enable it to meet its obligations, it may be indicative of poor earnings quality. Earnings quality refers to the accuracy of the earnings information presented in the financial statements.

Analysis of earnings quality is important for investors and other stakeholders as it provides information about the ability of a company to sustain its earnings over time. It is, therefore, crucial to the evaluation of a company's long-term prospects.

To know more about earnings visit:

https://brainly.com/question/30702029

#SPJ11

Evaluating the of a control involves making an a asessmentof thethy management has planned and or organized the contros in amane theppoirs

Answers

The evaluation of a control system involves making an assessment of how well management has planned and organized the controls in a manner that supports their purpose.

A control system is a critical component of an organization's success. Control systems should be put in place to detect and prevent mistakes and fraudulent activity from occurring.

Control systems also ensure that resources are used efficiently and effectively. A control system should be tailored to the organization's size and complexity. The system should be designed to address the organization's particular needs and assessment .

Overall, effective control systems provide management with the necessary information to make informed decisions, enhance performance, and achieve the organization's goals.

To know more about  assessment visit :

https://brainly.com/question/32147351

#SPJ11

Blossom Medical manufactures hospital beds and other institutional furniture. The company's comparative balance sheet and income statement for 2019 and 2020 follow. Liabilities and Stockholders' Equity Comparative Income Statement and Statement of Retained Earnings For the Year Sales revenue (all on account) $10,177,300$9,614,000 Calculate the following liquidity ratios for 2020. (If working capital is negative then enter with a negative sign preceding the number or parentheses, es - 15,000 or (15,000). Round oll answers except working copital to 2 decimal places, es. 2.55.) Calculate the following liquidity ratios for 2020. (Round average collection period to 0 decimal place, eg. 25 and inventory turnover ratio to 2 decimal ploces, eg. 5.12. Use 365 days for calculation.) a. Average collection period days b. Inventory turnover times Calculate average days to sell inventory for 2020. (Round answer to 0 decimal pioces, eg. 25. Use 365 days for colculation) Average days to sell inventory days

Answers

Without the specific values for current assets, current liabilities, and cost of goods sold (COGS) for 2020, the liquidity ratios cannot be calculated accurately.

To calculate the liquidity ratios for 2020, we need additional information such as the current assets, current liabilities, and inventory turnover.

Without the specific values for current assets and liabilities, it is not possible to calculate the liquidity ratios accurately. However, I can explain the concepts of the liquidity ratios you mentioned:

a. Average Collection Period: This ratio measures the average number of days it takes for a company to collect its accounts receivable. It is calculated by dividing the average accounts receivable by the average daily sales. The formula is:

  Average Collection Period = (Average Accounts Receivable / Sales) x Number of Days

b. Inventory Turnover: This ratio indicates how many times a company sells and replaces its inventory within a specific period. It is calculated by dividing the cost of goods sold (COGS) by the average inventory. The formula is:

  Inventory Turnover = COGS / Average Inventory

Average Days to Sell Inventory: This ratio represents the average number of days it takes for a company to sell its entire inventory. It is calculated by dividing the number of days in a year by the inventory turnover ratio. The formula is:

  Average Days to Sell Inventory = Number of Days / Inventory Turnover

Please provide the specific values for current assets, current liabilities, and cost of goods sold (COGS) for 2020, and I will be able to calculate the liquidity ratios for you.

Learn more about liquidity ratios  here:

https://brainly.com/question/33066768

#SPJ11

given the following activities, precedences, and activity times, address the following. 1.a. draw the project network. 1.b. identify the critical path and state how long it will take to complete the project. 1.c. can activity d be delayed without delaying the completion of the project? if so, by how many days? hint: if there are multiple end points in the network, create an end node with zero duration .

Answers

1.A)The network is illustrated below.

1.B) The critical path is Path 4, and it will take 27 days to complete the project.

1.C) Activity D cannot be delayed without delaying the completion of the project.

1.A. Draw the project network:

To draw the project network, we need to represent the activities and their dependencies. The nodes will represent the activities, and the arrows will indicate the precedence relationships between the activities.

Here's how the project network looks based on the given information:

      A (6)

    /   \

  C (3)  D (7)

    |     |

  B (10) E (6)

    |     |

         F (7)

         |

         G (5)

         |

         H (3)

1.B. Identify the critical path and state how long it will take to complete the project:

The critical path is the longest path through the project network, which determines the minimum time required to complete the entire project. To identify the critical path, we need to find the total duration of each path and determine which one takes the longest.

Let's calculate the durations for each path:

Path 1: A - C - E - G - H = 6 + 3 + 6 + 5 + 3 = 23 days

Path 2: A - C - E - F - H = 6 + 3 + 6 + 7 + 3 = 25 days

Path 3: A - D - G - H = 6 + 7 + 5 + 3 = 21 days

Path 4: A - D - E - G - H = 6 + 7 + 6 + 5 + 3 = 27 days

Path 5: A - D - F - H = 6 + 7 + 7 + 3 = 23 days

The critical path is Path 4, which has a duration of 27 days. Therefore, it will take 27 days to complete the project.

1.C. Can activity D be delayed without delaying the completion of the project? If so, by how many days?

To determine if activity D can be delayed without delaying the completion of the project, we need to check if it lies on the critical path. If an activity on the critical path is delayed, it will increase the overall duration of the project.

In this case, activity D is on the critical path (Path 4). Therefore, delaying activity D will result in a delay in the completion of the project. It cannot be delayed without increasing the project duration.

To know more about project here

https://brainly.com/question/28476409

#SPJ4

what are potential problems associated with gathering primary data in a foreign market?

Answers

Researchers should invest in cross-cultural training, work with local partners or experts, carefully design research instruments, and consider alternative data collection methods such as online surveys or virtual interviews.

Gathering primary data in a foreign market can present several challenges and potential problems. Firstly, language and cultural barriers may impede effective communication and understanding between the researchers and the local population. This can lead to misinterpretation of responses or inaccurate data collection.

Secondly, logistical challenges may arise due to unfamiliarity with local infrastructure, transportation, and geographical conditions. These can make it difficult to reach remote areas or specific target groups, limiting the representativeness of the data.

Additionally, legal and regulatory differences in foreign markets may impose restrictions on data collection methods or require obtaining permits and approvals, adding complexity and time constraints to the process.

Another potential problem is biased or unreliable responses. Respondents may be reluctant to provide honest or accurate information due to social desirability bias, fear of repercussions, or lack of trust in the researcher's intentions.

Lastly, cost considerations should be taken into account. Conducting primary research in a foreign market can be expensive due to travel expenses, hiring local translators or interviewers, and potential delays or difficulties in data collection.

To mitigate these problems, researchers should invest in cross-cultural training, work with local partners or experts, carefully design research instruments, and consider alternative data collection methods such as online surveys or virtual interviews.

Learn more about Researchers  from the link

https://brainly.com/question/968894

#SPJ11

For its No Interest for One Year sale, The Block Furniture advertises that customers pay nothing down and the balance may be paid by twelve equal monthly payments with no interest charges. The Block Furniture has an operating loan on which it pays interest at 9.85% compounded monthly. If The Block Furniture sells furniture in a cash transaction rather than on the special promotion, The Block Furniture can use the extra cash proceeds to reduce the balance on its loan, and thereby save on interest costs. What percentage discount for cash could The Block Furniture give and still be no worse off than receiving the full price under the terms of the sale?

Answers

Let the cash discount offered by The Block Furniture be "x".    

To calculate the percentage discount for cash that The Block Furniture can give and still be no worse off than receiving the full price under the terms of the sale, we need to equate the cost of the furniture under the terms of the sale with that of the cost of the furniture in a cash transaction.  

Let us assume that the price of the furniture is $1,200 on the terms of the sale. We can calculate the total cost of the furniture under the terms of the sale, as shown below:  

Balance = $1,200  Monthly payment = 1,200 / 12 = $100  Interest charges = 0 ,Using the above information, we can find the actual cost of the furniture by using the formula for present value of an annuity:PV = PMT [(1 - (1 / (1 + r)n)) / r]wherePV = Present value of the annuityPMT = Periodic paymentn = Number of periodsr = Rate of interest / periods.  

First , we need to calculate the present value of the monthly payments. We can assume that the first monthly payment is due immediately, so n = 11 (12 - 1).PMT = $100r = 9.85% / 12 = 0.820833%PV = 100 [(1 - (1 / (1 + 0.820833%)11)) / 0.820833%]PV = $1,022.18  

The present value of the balance is simply the price of the furniture minus the present value of the monthly payments.  PV (balance) = $1,200 - $1,022.18 = $177.82  

The actual cost of the furniture in the special promotion is equal to the present value of the balance plus the cash price. Thus, the actual cost of the furniture in the special promotion is:$177.82 + $1,200 = $1,377.82  

The amount that The Block Furniture would receive in a cash transaction is $1,200 - x. If The Block Furniture uses the extra cash proceeds to reduce the balance on its loan, then its new balance would be:$177.82 - ($1,200 - x) = x - $1,022.18.  

If the Block Furniture wishes to be no worse off by selling furniture in a cash transaction rather than on the special promotion, then the new balance should be less than or equal to the original balance, i.e.:x - $1,022.18 ≤ $177.82x ≤ $1,200.  

Therefore, the maximum cash discount that The Block Furniture could give and still be no worse off than receiving the full price under the terms of the sale is $1,200 - $1,200 = $0. The percentage discount for cash would be 0%. Answer: \boxed{0}.

Learn more about Percentage discount.

https://brainly.com/question/33627529

#SPJ11

When Phil lists his house on his balance sheet, he should record its

A. insured value
B. replacement value
C. sale price
D. fair market value

Answers

D. Fair market value. Phil lists his house on his balance sheet, he should record its

When listing his house on the balance sheet, Phil should record its fair market value. Fair market value represents the price at which the property would be exchanged between a willing buyer and a willing seller in an open market, with both parties having reasonable knowledge of the relevant facts. Fair market value provides a more accurate representation of the house's worth on the balance sheet compared to other options such as insured value, replacement value, or sale price, as it reflects the current market conditions and the true value of the asset.

Learn more about Fair market value here:

https://brainly.com/question/32636148

#SPJ11

indicate whether each company should utilize a job order (jo) or process (p) cost system.

Answers

In accounting, job order costing and process costing are two essential techniques for assigning direct and indirect manufacturing expenses to products and services. The best approach is determined by the nature of the company's operations.

Job Order Costing System:

Job order costing is used for custom-made products or services. It involves allocating and monitoring the expenses of individualized manufacturing orders. This method is commonly used by firms that produce unique items like custom homes, boats, machine equipment, and airplane components. In a job order costing system, the cost of each job or item is measured, making it a suitable approach for tracking costs in customized production scenarios.

Process Costing System:

Process costing is used for homogeneous products and services. It is employed to determine the costs of a specific process or activity, such as refining petroleum or producing a range of goods. The costs incurred in the process are then distributed over the output produced. Process costing is an efficient method that enables businesses to manage their production processes and maintain accurate records of production costs.

The decision to use a process or job order cost system depends on the nature of the company's operations. If the company specializes in custom-made products, the job order costing system is more appropriate. On the other hand, if the company produces identical goods or services that require comparable manufacturing procedures and use the same raw materials, the process costing system is the ideal technique to track costs accurately.

Learn more about company's

https://brainly.com/question/30532251

#SPJ11

hen is the effect of an increase in government spending on real GDP the highest in the short run? a. Steep SRAS, small expenditure multiplier b. Flat SRAS, small expenditure multiplier c. Steep SRAS, large expenditure multiplier d. Flat SRAS, large expenditure multiplier

Answers

The answer is the option c. Steep SRAS, large expenditure multiplier. When the economy is operating below full employment level of output,  This is because the economy is experiencing an excess capacity in its labor force, capital stock, and other productive resources.

At this point, the aggregate supply curve is steep, and the expenditure multiplier is large.On the other hand, when the economy is operating at full employment level of output,

Therefore, the effect of an increase in government spending on the real GDP is the highest in the short run when the aggregate supply curve is steep, and the expenditure multiplier is large.The aggregate supply curve (SRAS) is the relationship between the price level and the level of output supplied by firms. The expenditure multiplier is the ratio of the change in real GDP to the change in autonomous expenditure.

To know more about option visit:

https://brainly.com/question/32715274

#SPJ11

The nurse receives unit report and assigns clients to the nursing team. It is MOST appropriate for the nurse to assign which client to the care of the LPN/LVN?

Answers

The nurse must consider the acuity of each client and assign them to the appropriate nursing staff based on their level of expertise. This would result in effective and efficient care provided to the clients.

When the client has a stable and predictable condition, it does not require the level of expertise of a registered nurse to provide care. The LPN/LVN is competent and skilled in providing care for clients with a stable and predictable condition.

In contrast, when the client has a complex and unstable condition, it is necessary for the registered nurse to provide care. These clients require the assessment, evaluation, and intervention skills of a registered nurse. They may have multiple medical problems, or are recovering from surgery or procedures and require a high level of medical and nursing care.

Learn more about nursing care from the given link:

https://brainly.com/question/29223228

#SPJ11

A corporate-level company team is exempt from intemet filtering and from monitoring who has access to their accounts. Additionally, the team has unrestricted access to all of the company's files. Whose responsibility is it to find and report these IT vulnerabilities? Systems auditors Data owners Data custodians Department managers

Answers

The responsibility of finding and reporting IT vulnerabilities of a corporate-level company team that has unrestricted access to all of the company's files lies with the systems auditors.

What is a system auditor?

A system auditor is responsible for investigating and verifying an organization's management of and access to networked computer systems. Auditors ensure that system security and data integrity standards are followed and that the system's operation is adequate and in line with the organization's overall objectives. They may also look for the existence of malicious software and determine if users have access to resources that they should not have, such as sensitive data or network privileges.

What is Data Custodian?

A data custodian is a person or group of people who are responsible for the safekeeping of a company's data. They're in charge of ensuring that data is secured and accessed only by authorized persons. This role may be managed by IT administrators, data center staff, and other employees who are responsible for securing an organization's data.

What is a Data Owner?

A data owner is a person who is in charge of a specific data set within an organization. They make decisions about what data can be accessed and by whom. They also decide how long to keep the data and how to dispose of it when it is no longer needed. Finally, they establish data standards and guidelines for data usage in their organization.

What is Department Managers?

Department managers are accountable for the day-to-day operations of a particular division or team within a company. They have supervisory responsibilities over personnel, project management, financial management, and risk management, among other things. They're also in charge of maintaining an environment that fosters productivity, collaboration, and high morale among team members. However, it is the system auditors' responsibility to find and report these IT vulnerabilities. This is because they are specialized in assessing the overall IT risk environment and have the technical expertise and training necessary to recognize and report IT vulnerabilities.

Learn more about Department managers: https://brainly.com/question/14742070

#SPJ11

An investment requires an initial cash outflow of $3,600, and it will bring in cash inflows of $3,500, $1,100,$2,300,$2,400, for the next four years, respectively. What is the internal rate of return (IRR) of this project? (Format answer to percent and rounded to two decimals, enter your answers without %, for example, for answer 0.1243, enter 12.43 only)

Answers

Internal rate of return (IRR) is the rate at which the net present value (NPV) of the investment equals zero. If the IRR is greater than the rate required to earn a minimum acceptable rate of return (MARR), then the investment should be accepted.

An investment needs an initial cash outflow of $3,600 and will produce cash inflows of $3,500, $1,100, $2,300, and $2,400 for the next four years.

What is the internal rate of return (IRR) of this project?

To determine the IRR of the project, the cash inflows should be discounted at various interest rates until the net present value (NPV) equals zero.

The process is repeated until the rate of return is discovered, which is done with the aid of a calculator or Microsoft Excel.

Using Microsoft Excel's built-in function, we can get the IRR as follows:

Where the cash flows are:

CF0 = -$3,600; CF1 = $3,500; CF2 = $1,100; CF3 = $2,300; and CF4 = $2,400.

For the project described above, the IRR is approximately 17.87 percent.

To know more about net present value visit:

https://brainly.com/question/32720837

#SPJ11

We know a car can be had for 60 monthly payments of
$399. The dealer has set us a nominal interest rate of 4.5%
compounded daily. What is the purchase price?

Answers

We know that a car can be had for 60 monthly payments of $399 and that the dealer has set us a nominal interest rate of 4.5% compounded daily. We can find the purchase price by using the present value formula.Present value formulaP = (A/i) * [1 - (1 + i)^(-n)]Where, P is the present value.

A is the annuity payment, i is the periodic interest rate, and n is the number of periods.Since we have monthly payments, we need to use the monthly interest rate and the number of periods in months.4.5% nominal annual rate compounded daily = 0.045 / 365 = 0.00012328767123 monthly rate60 months = 60 * 12 = 720 periodsP = ($399 / 0.00012328767123) * [1 - (1 + 0.00012328767123)^(-720)]P = $31,415.39 (rounded to the nearest cent)Therefore, the purchase price of the car is $31,415.39.

To know more aboit payments visit:

https://brainly.com/question/8401780

SPJ11

SHOW YOUR WORK FOR EACH PROBLEM PROBLEM 1 - Make or Buy: Rivertown Corporation uses a part called a nerfette in one of its products. The company's Accounting Department reports the following costs of producing the 6,200 units of the part that are needed every year. An outside supplier has offered to make the part and sell it to the company for $27.00each. If this offer is accepted, the supervisor's salary and all of the variable costs, including direct labor, can be avoided. The special equipment used to make the part was purchased many years ago and has no salvage value or other use. The allocated general overhead represents fixed costs of the entire company. If the outside supplier's offer were accepted, only $5,000 of these allocated general overhead costs would be avoided. In addition, the space used to produce nerfettes could be used to make more of one of the company's other products, generating an additional segment margin of $15,600 per year for that product. Required: a. What is the financial advantage (disadvantage) of accepting the outside supplier's offer? b. Should the company make or buy nerfettes? PROBLEM 2 - Special Order: Your corporation makes a range of products. The company's predetermined overhead rate is $20 per direct labor-hour, which was calculated using the following budgeted data: Management is considering a special order for 740 units of product RGST at $68 each. The normal selling price of product RGST is $79 and the unit product cost is determined as follows: If the special order were accepted, normal sales of this and other products would not be affected. The company has ample excess capacity to produce the additional units. Assume that direct labor is a variable cost, variable manufacturing overhead is really driven by direct labor-hours, and total fixed manufacturing overhead would not be affected by the special order. Required: The financial advantage (disadvantage) for the company as a result of accepting this special order would be: SHOW YOUR WORK FOR EACH PROBLEM PROBLEM 1 - Make or Buy: Rivertown Corporation uses a part called a nerfette in one of its products. The company's Accounting Department reports the following costs of producing the 6,200 units of the part that are needed every year. An outside supplier has offered to make the part and sell it to the company for $27.00each. If this offer is accepted, the supervisor's salary and all of the variable costs, including direct labor, can be avoided. The special equipment used to make the part was purchased many years ago and has no salvage value or other use. The allocated general overhead represents fixed costs of the entire company. If the outside supplier's offer were accepted, only $5,000 of these allocated general overhead costs would be avoided. In addition, the space used to produce nerfettes could be used to make more of one of the company's other products, generating an additional segment margin of $15,600 per year for that product. Required: a. What is the financial advantage (disadvantage) of accepting the outside supplier's offer? b. Should the company make or buy nerfettes?

Answers

We must analyse the costs of producing the nerfettes internally with purchasing them from the supplier in order to determine the financial benefit (disbenefit) of accepting the outside supplier's offer.

Making nerfettes costs $14.50 in direct labour per unit.Without factoring in direct labour, variable expenses per unit are $7.80.General overhead allocated per unit is $0.81.Segment margin growth from other products added: $2.52Total cost per unit is calculated as follows: Direct labour cost plus variable costs, general overhead that is allocated, and additional segment margin.Total price per unit: $25.63 ($14.50 + $7.80 + $0.81 + $2.52)Cost of creating every unit minus the cost of purchasing each unit equals the financial benefit (disadvantage).Advantage (disadvantage) in money terms equals $25.63 - $27.00 = -$1.37

learn more about analyse here :

https://brainly.com/question/24448104

#SPJ11

Symbolic convergence theory explains how fantasy themes help shape a group's identification and culture.

A) False
B) True

Answers

Symbolic Convergence Theory explains how fantasy themes shape a group's identification and culture. (True)

Symbolic Convergence Theory is a communication theory that suggests how shared interpretations of symbolic meanings, or "fantasy themes," contribute to the formation of a group's identification and culture. According to this theory, when individuals within a group share and build upon common narratives, stories, or symbolic expressions, it creates a sense of unity, shared understanding, and collective identity. These fantasy themes help shape the group's culture by providing a basis for shared beliefs, values, and behaviors.

learn more about symbolic convergence here:
https://brainly.com/question/31454185

#SPJ11

Other Questions
A line with a slope of -7 passes through the points (p,-7) and (-5,7). What is the value of p? Objective: Learn how to use Python's dictionaries, allowing you to connect pieces of related information. Description: Make a dictionary called users. Use the names of the three users (for example: Bernard, Charlotte and Teddy) as keys in your dictionary. Create a dictionary of information about each user and include their username, the user's security question and the user's security answer. - The keys for each user's dictionary should be: username securityQuestion securityAnswer - In the terminal, print the name of each user and all of the information you have stored about them. Name the file: Ex11-Dictionaries Solution example terminal output: User: Bernard Chose the following security question: What was the name of your first dog? Answered to the security question: Scully. User: Charlotte Chose the following security question: What is your favorite color? Answered to the security question: Purple. User: Teddy Chose the following security question: In which city were your born? Answered to the security question: Peyton works on bikes. She charges $45 for one bike plus $5 per hour. Demir works on bikes as well. He charges $20 for one bike and $10 per hour. After how many hours are the costs the same? Mass media has dramatically changed attitudes toward smoking because itSelect one:a. provides information to smokers about health effects, although it has little effect on their habit.b. promotes smoking as a habit adopted by people from high-class societies.c. promotes stress management programs that seem to have a great impact on reducing smoking habits.d. provides information about health habits that discourage nonsmokers from beginning to smoke. population momentum is the increase in population size that occurs after ______. it occurs in developing countries where much of the population is of childbearing age. If attended college or trade school, it is suggested to includemy grade point average (GPA), if it is__________ or higher. Consider trying to determine the angle between an edge of a cube and its diagonal (a line joining opposite vertices through the center of the cube). a) Draw a large sketch of the problem and label any relevant parts of your sketch. (Hint: it will simplify things if your edges are of length one, one corner of your cube is at the origin, and your edge and diagonal emanate from the origin) b) Determine the angle between an edge of a cube and its diagonal (use arccosine to represent your answer). In modern packet-switched networks, including the Internet, the source host segments long, application-layer messages (for example, an image or a music file) into smaller packets and sends the packets into the network. The receiver then reassembles the packets back into the original message. We refer to this process as message segmentation. Figure 1.27 illustrates the end-to-end transport of a message with and without message segmentation. Consider a message that is 10 6bits long that is to be sent from source to destination in Figure 1.27. Suppose each link in the figure is 5Mbps. Ignore propagation, queuing, and processing delays. a. Consider sending the message from source to destination without message segmentation. How long does it take to move the message from the source host to the first packet switch? Keeping in mind that each switch uses store-and-forward packet switching, what is the total time to move the message from source host to destination host? b. Now suppose that the message is segmented into 100 packets, with each packet being 10,000 bits long. How long does it take to move the first packet from source host to the first switch? When the first packet is being sent from the first switch to the second switch, the second packet is being sent from the source host to the first switch. At what time will the second packet be fully received at the first switch? c. How long does it take to move the file from source host to destination host when message segmentation is used? Compare this result with your answer in part (a) and comment. d. In addition to reducing delay, what are reasons to use message segmentation? Nominal GDP increased from roughly $13.5 trilion in 2006 to $18.5 trillion in 2016 . In the same period prices rose on average by roughly 18 percent. In percentage terms, real GDP increased by Predict the population in 2016, as a decreases at a constant rate Use the method of cylindrical shells to find the volume generated by rotating the region bounded by the given curves about the given axis. (a) y=4xx^2,y=x; rotated about the y-axis. (b) x=3y^2+12y9,x=0; rotated about the xaxis. (b) y=42x,y=0,x=0; rotated about x=1 What percent of 80 is 32?F) 25%G) 2.5%H) 0.4%J) 40%K) None How has the recent global pandemic (Covid) impacted supply chainmanagement? Please include any company or personal examples in yourresponse traditional corporate businesses can be referred to as PMEs,which stands for? Answer the equation 2.5p + 1 = 1.4p Find the derivative of the function. J()=tan ^2(n) a person with an extremely high count of neutrophils is likely suffering ________. a. a bacterial infection b. a viral infection c. polycythemia d. anemia Suppose Adam's preferences toward two goods x and y can be represented by a Cobb-Douglas utility function: U(x,y)=x^ay^b, where a+ =1, also given that price of good x is Px, price of good y is Py, and Adam's disposable income is I. Solve for the amount of X and Y that can give Adam the most utility. Rank the sources of the following guidance according to the governmental GAAP hierarchy (20\%) Multiple Choice: (Put your MC answer in the following boxes) ( \( 30 \% \) ) 1. Labour Affairs Bureau is f factorial_recursive_steps(number, temp_result =1, step_counter =0 ): Parameters number: int non-negative integer temp_result: int (default=1) non-negative integer step_counter: int (defaul t=0 ) keeps track of the number of recursive calls made Returns tuple (factorial of number computed by recursive approach, step_counter) if number < : raise valueError("We cannot compute the factorial of a negative number") elif number =0 or number =1 : \#\# you need to change this return statement step_counter +1 return step_counter #return temp_result else: \#\# you also need to change this return statement step_counter +=1 return factorial_recursive_steps(number-1, temp_result*number, step_counter) print(factorial_recursive_steps (20,1,)) Code Cell 11 of 18