OD is partly a reflection of
a. the result of its current engagement with organizations.
b. its past.
c. an outcome of emergent research.
d. All of these are correct.

Answers

Answer 1

According to the question all of these are correct.

Organization Development (OD) is influenced by various factors, making it a reflection of its current engagement with organizations, its past experiences and learnings, and the outcomes of emergent research in the field.OD is shaped by its current engagement with organizations as it involves actively working with clients to diagnose organizational issues, design interventions, and facilitate change processes. The strategies and practices employed by OD practitioners are influenced by the specific context, challenges, and goals of the organizations they work with.

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currently, oscar sells otter food for $6. he is considering decreasing his price from $6 to $5, and wants to determine the impact this price decrease

Answers

The impact of decreasing the price of otter food from $6 to $5 depends on various factors such as market demand, competition, cost structure, and customer behavior.

The impact of decreasing the price of otter food from $6 to $5 can be analyzed from different perspectives. Let's explore the potential effects:

1. Increased demand: Lowering the price of a product often leads to an increase in demand. This is because a lower price makes the product more affordable and attractive to potential buyers. As a result, Oscar may experience an increase in the number of customers purchasing his otter food.

2. Competitive advantage: If other sellers in the market are offering otter food at a higher price, Oscar's price decrease may give him a competitive advantage. Customers may choose to buy from Oscar due to the lower price, allowing him to attract new customers and potentially gain a larger market share.

3. Decreased profit margin: Although lower prices may attract more customers, the decrease in price may also result in a decreased profit margin per unit sold. It is important for Oscar to carefully consider the cost of production and any other expenses associated with selling otter food. If the decrease in price results in a significant decrease in profit, it may not be a sustainable strategy.

4. Increased sales volume: While the profit margin per unit may decrease, the overall sales volume may increase due to the lower price. Oscar may sell a larger quantity of otter food at $5 compared to when it was priced at $6. This could potentially lead to an increase in revenue, even with a lower profit margin.

5. Customer loyalty and perception: Lowering the price of otter food may positively impact customer loyalty and perception. Customers may appreciate the lower price and feel more inclined to continue purchasing from Oscar in the long run. Additionally, the perception of otter food being affordable may attract new customers who were hesitant to buy at the higher price.

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16. We want money because money is: a. a valuable resource b. a valuable good c. valuable for making exchanges for goods and resources d. All of the above 17. M2 consists of: a. M1 b. small-denomination time deposits c. savings deposits and money market accounts d. All of the above combined 18. In our fractional reserve banking system: a. banks hold reserves equal to only a fraction of their deposits b. the fraction of deposits that must be held is determined by the discount rate c. the discount rate is set by the Secretary of Commerce d. All of the above 19. If the required reserve ratio is 9%, and 4 th Bank receives a deposit of $50,000, how much may 4 th Bank loan out? a. $50,000 b. $45,500 c. $45,000 d. $4,500 20. If Sara Saver earns a 7% interest rate on her savings when the rate of inflation is 3%, her real interest rate is: a. 10% b. 7% c. 4% d. 3%

Answers

16. The correct option is D. All of the above: The statement "We want money because money is valuable for making exchanges for goods and resources" is correct.

Money is a valuable resource, and it is a valuable good. 17. The correct option is D.

All of the above combined: M2 is a monetary aggregate that includes M1 as well as small-denomination time deposits, savings deposits, and money market accounts. 18.

The correct option is A.

banks hold reserves equal to only a fraction of their deposits:

The fractional reserve banking system is a banking system in which banks hold reserves equal to only a fraction of their deposits.

19. The correct option is B. $45,500:

The maximum amount that can be loaned out by 4th Bank is determined by the formula:

Maximum amount loaned out = (1 - Required reserve ratio) × Deposit

Maximum amount loaned out = (1 - 0.09) × $50,000

Maximum amount loaned out = 0.91 × $50,000

Maximum amount loaned out = $45,500

Therefore, the amount that 4th Bank may loan out is $45,500. 20.

The correct option is C. 4%:

The formula for calculating the real interest rate is as follows:

Real interest rate = Nominal interest rate - Inflation rate

Real interest rate = 7% - 3%

Real interest rate = 4%

Therefore, Sara Saver's real interest rate is 4%.

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New York Police Service is considering installing a new air conditioning system that will cost $700,000. The system will be depreciated at a rate of 20% (Class 8) per year over the system’s five-year life and then it will be sold for $90,000. The new system will save $250,000 per year in pre-tax operating costs. An initial investment of $70,000 will have to be made in working capital. The tax rate is 35% and the discount rate is 10%. Calculate the NPV of the new refrigeration system. What are the finance details to be presented at the next board meeting?

Answers

Finance details to be presented at the next board meeting are given below:

Initial investment = $700,000 + $70,000= $770,00Annual saving in operating cost = $250,00  Depreciation rate (Class 8) =

20%Tax rate = 35%Discount rate = 10%Salvage value =

$90,000NPV = Calculation of depreciation expense:

Annual depreciation expense = 20% × $700,000 = $140,000.

Calculation of net cash inflow:Net cash inflow =

Saving in operating cost – Depreciation expense –

Taxes on salvage value–

Working capital= $250,000 – $140,000 – ($90,000 – $90,000 × 35%) – $70,000= $250,000 – $140,000 – $24,500 – $70,000= $15,500.

Calculation of NPV:NPV = PV of net cash inflows – Initial investment PV of net cash inflows =

$15,500 [(1 – 1 / (1 + 10%)5) / 10%] = $15,500 × 3.791 =

$58,728.5NPV = $58,728.5 – $770,000 = -$711,271.5.

Therefore, the NPV of the new refrigeration system is -$711,271.5.

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Joanna Gaynes was an amazing high school student and so it was no great surprise when she was accepted into Prestige Private University (PPU) To entice Joanna to attend PPU, the school offered her a reduced tuition of $13.000 per year (full-time tuition would typically be $43,000 per year). PPU also has a scholarship peogram thanks to a large donation from Willam Gatos Joanna was the Gatos Scholarship winner and will receive a scholarship for. $20.000. Joanra is required to use the scholarship first to pay her $13.000 tuition and the remainder is to cover room and board at PPU. Lasthy, P.PU aiso ottered Joanna a part-time job on the PPU campus as a student lab assistant in the Biolosy Department of PPU for which she is paid $1.500. Required, Go to the IRS website (wwwirs gov) and locate Publication 970 . Review the section on Scholarships. Requited: Write a letter to Joanta Gaymes stating how much of the PPU package for Joanna is taxable. Submit your letter uink the Turrvin link below.

Answers

The taxable portion includes any scholarship amount that exceeds the qualified education expenses, which in this case is the reduced tuition of $13,000.

The remaining scholarship amount that is used to cover room and board expenses is generally considered taxable income. Additionally, any income earned from the part-time job as a student lab assistant is also subject to taxation.

According to IRS guidelines, scholarships and grants used to pay for qualified education expenses, including tuition and certain fees, are generally not taxable. In this case, since Joanna's scholarship of $20,000 is used to cover her reduced tuition of $13,000, the entire scholarship amount is considered tax-free for that purpose.

However, any remaining scholarship amount that is used to cover room and board expenses is typically considered taxable income. The exact taxable portion depends on the specific rules and limitations set by the IRS.

Joanna should refer to Publication 970, which provides detailed information on scholarships, to determine the taxable portion of her scholarship.

Additionally, the part-time job income of $1,500 earned as a student lab assistant is also subject to taxation. This income should be reported on Joanna's tax return as part of her overall taxable income.

To ensure accurate reporting and compliance with tax regulations, it is recommended for Joanna to consult with a tax professional who can review her specific situation and provide guidance on the taxable portion of her PPU package.

Therefore, while the reduced tuition portion covered by the scholarship is not taxable, Joanna should be aware that the remaining scholarship amount used for room and board expenses may be taxable, and her income from the part-time job is subject to taxation.

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Explain the differences between horizontal sharding and vertical sharding. What are good applications for both types of sharding, and what are the strengths and weaknesses of each?

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Sharding is a technique used in distributed databases to partition a single database into several parts or "shards."

A shard is a portion of the data that has been divided horizontally or vertically.

The two sharding strategies are horizontal sharding and vertical sharding.

Horizontal sharding:

Horizontal sharding divides data into multiple databases, with each database containing a subset of the data.

Because data is spread across several databases, horizontal sharding allows for massive scaling.

The advantages of horizontal sharding are:

Good performance

Fault tolerance

Supports huge data volumes

However, horizontal sharding has a number of drawbacks, including:

Complex and expensive to implement

Difficult to maintain

May have data skewing issues

Vertical sharding:

Vertical sharding, on the other hand, partitions the data at the table level, such that each partition contains a different set of columns.

The main advantages of vertical sharding are:

Lower storage requirements

Reduced I/O load

Simpler architecture

The drawbacks of vertical sharding are:

Difficult to add new attributes

Requires a sophisticated query engine

Less fault-tolerant

Here are some examples of applications that use horizontal sharding:

Applications with high volumes of data (e.g., social networks, e-commerce websites)Applications with many concurrent users

Applications with large amounts of transactions

Here are some examples of applications that use vertical sharding:

Applications that have sparse columns

Applications that require data separation

Applications that do not require horizontal scaling

In summary, horizontal sharding partitions data into multiple databases, while vertical sharding partitions data at the table level.

Horizontal sharding is suitable for applications with high data volumes and many concurrent users, while vertical sharding is suitable for applications that require data separation and do not require horizontal scaling.

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Pitt Company uses standard costs to control materials costs. The standards call for 6 pounds of materials for each finished unit produced. The standard cost per pound of materials is $2.00. During May, 5,000 finished units were manufactured, 20,000 pounds of materials were used. The price paid for materials was $2.25 per pound. There were no beginning or ending materials inventories.

Required:

a. Determine the flexible budget materials cost for the manufacture of 5,000 finished units.

b. Determine the actual materials cost incurred for the manufacture of 5,000 finished units, and compute the total materials variance.

c. How much of the difference between the answers to requirements (a) and (b) was related to the price paid for the purchase of materials?

d. How much of the difference between the answers to requirements (a) and (b) was related to the quantity of materials used?

Answers

a. The flexible budget materials cost for the manufacture of 5,000 finished units is $60,000.
b. The actual materials cost incurred for the manufacture of 5,000 finished units is $45,000, and the total materials variance is -$15,000.
c. $5,000 of the difference between the answers to requirements (a) and (b) was related to the price paid for the purchase of materials.
d. $28,000 of the difference between the answers to requirements (a) and (b) was related to the quantity of materials used.

a. The flexible budget materials cost for the manufacture of 5,000 finished units can be calculated by multiplying the standard materials cost per unit by the number of units produced. In this case, the standard materials cost per unit is determined by multiplying the standard quantity of materials (6 pounds) by the standard cost per pound ($2.00):

Standard materials cost per unit = 6 pounds/unit * $2.00/pound = $12.00/unit

To determine the flexible budget materials cost, we multiply the standard materials cost per unit by the number of units produced:

Flexible budget materials cost = $12.00/unit * 5,000 units = $60,000

b. The actual materials cost incurred for the manufacture of 5,000 finished units can be calculated by multiplying the actual quantity of materials used by the actual cost per pound. In this case, the actual quantity of materials used is given as 20,000 pounds and the actual cost per pound is $2.25:

Actual materials cost = 20,000 pounds * $2.25/pound = $45,000

To compute the total materials variance, we subtract the flexible budget materials cost from the actual materials cost:

Total materials variance = Actual materials cost - Flexible budget materials cost
                     = $45,000 - $60,000
                     = -$15,000

c. The difference between the answers to requirements (a) and (b) can be analyzed to determine how much was related to the price paid for the purchase of materials. To calculate this, we need to isolate the price variance, which is the difference between the standard cost per pound and the actual cost per pound, multiplied by the actual quantity of materials used:

Price variance = (Standard cost per pound - Actual cost per pound) * Actual quantity of materials used
             = ($2.00/pound - $2.25/pound) * 20,000 pounds
             = -$5,000

Therefore, $5,000 of the difference between the answers to requirements (a) and (b) was related to the price paid for the purchase of materials.

d. To determine how much of the difference between the answers to requirements (a) and (b) was related to the quantity of materials used, we need to isolate the quantity variance. The quantity variance is the difference between the standard quantity of materials and the actual quantity of materials used, multiplied by the standard cost per pound:

Quantity variance = (Standard quantity of materials - Actual quantity of materials used) * Standard cost per pound
                = (6 pounds/unit - 20,000 pounds) * $2.00/pound
                = -$28,000

Therefore, $28,000 of the difference between the answers to requirements (a) and (b) was related to the quantity of materials used.

In summary:
a. The flexible budget materials cost for the manufacture of 5,000 finished units is $60,000.
b. The actual materials cost incurred for the manufacture of 5,000 finished units is $45,000, and the total materials variance is -$15,000.
c. $5,000 of the difference between the answers to requirements (a) and (b) was related to the price paid for the purchase of materials.
d. $28,000 of the difference between the answers to requirements (a) and (b) was related to the quantity of materials used.

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A computer based accounting information system can best be defined as a. the application of technology to the capturing storing sorting and reporting of data. b. the application of technology to the capturing storing sorting and reporting of information. c. the application of technology to the capturing, verifying, storing, sorting and reporting of financial data relating to an organisation's activities. d. the application of technology to the capturing, verifying, storing, sorting and reporting of information relating to an organisation's activities

Answers

A computer-based accounting information system can best be defined as the application of technology to the capturing, verifying, storing, sorting, and reporting of financial data relating to an organization's activities. It is used to process financial transactions and generate financial reports for the organization.

The system is designed to meet the accounting needs of the organization and help the management in decision-making by providing accurate and timely financial information. It involves the use of computers, software, and communication networks to process, store, and retrieve financial data.The accounting information system consists of several modules that work together to provide a seamless flow of information. The modules include the general ledger, accounts payable, accounts receivable, inventory management, and payroll.

All of these modules work together to provide a complete accounting system that meets the organization's accounting needs. The accounting information system has several benefits for the organization. It provides accurate and timely financial information to the management, which helps in decision-making. It also helps in streamlining the accounting process and reducing the time and cost associated with it.

The system also helps in improving the accuracy and reliability of financial information. In conclusion, the accounting information system is an essential tool for organizations to manage their financial information efficiently.

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On January 1 of the current year, Andy and Barney form a Partnership to invest in property. Andy contributes investment land that he acquired two years ago, and that has a fair market value of $100. Barney contributes $100 in cash. Each partner receives a 50% interest in the partnership's capital, profits and losses.
Assets Liabilities & Capital
Book FMV
Cash $100 $100
Land $50 $100
Capital Accounts
Tax Book
Andy $50 $100
Barney $100 $100

Answers

The partnership's assets, liabilities, and capital accounts can be summed up as follows based on the information provided:

Assets: Cash: $100 is in the partnership's cash account. Land: Andy contributes investment land that has a fair market value (FMV) of $100 and a book value of $50.Capital Accounts: The partnership has two capital accounts. Liabilities: The partnership has liabilities.  Andy's capital account has a book value of $100 and a tax base of $50.  - Barney: Barney's capital account has a $100 book value and a tax basis.The entire liabilities and capital of the partnership are $200 ($100 from Andy's capital and $100 from Barney's capital), while the total assets of the partnership are $200 ($100 cash and $100 land FMV). Equal shares of the partnership's capital, profits, and losses are held by each member.

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A fund whose goal is to invest in economic development and job creation in impoverished areas is a/an ______.

A)impact-investment fund
B)community fund
C)microlending fund
D)inward-focused fund

Answers

An impact-investment fund is a type of fund that aims to generate positive social and environmental impacts alongside financial returns.

It focuses on investing in projects and initiatives that address social and environmental challenges, including economic development and job creation in impoverished areas. Impact-investment funds consider both the financial profitability of their investments and the measurable positive outcomes they can generate. These funds actively seek opportunities to make a meaningful difference by directing capital towards projects that have the potential to create social value and bring about positive change in disadvantaged communities. By investing in economic development and job creation in impoverished areas, an impact-investment fund aligns its financial goals with the objective of making a positive social impact. It seeks to address the root causes of poverty and inequality by supporting initiatives that drive economic growth, create employment opportunities, and uplift communities.

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jasper company has 59% of its sales on credit and 41% for cash. all credit sales are collected in full in the first month following the sale. the company budgets sales of $518,000 for april, $528,000 for may, and $553,000 for june. total sales for march are $302,100. prepare a schedule of cash receipts from sales for april, may, and june. rev: 05 31 2021 qc cdr-376, 08 06 2021 qc cdr-376, 09 15 2021 qc cdr-376

Answers

The schedule of cash receipts from sales for April, May and June are:

April: $518,000May: $526,800June: $551,600How to prepare a schedule of cash receipts from sales?

The credit sales for each month:

April: $518,000 * 0.59

= $305,620

May: $528,000 * 0.59

= $310,320

June: $553,000 * 0.59

= $325,270

The cash sales for each month:

April: $518,000 * 0.41

= $212,380

May: $528,000 * 0.41

= $216,480

June: $553,000 * 0.41

= $226,330

The total cash receipts for each month by adding credit and cash sales:

April: $305,620 + $212,380

= $518,000

May: $310,320 + $216,480

= $526,800

June: $325,270 + $226,330

= $551,600.

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Harris Inc.'s preferred stock was issued five years ago to yield 9%. Investors buying those shares on the secondary market today are getting a 13.5% return. Harris generally pays flotation costs of 13% on new securities issues. What is Harris's cost of preferred financing? Round the answer to two decimal .
---------------- %

Answers

The cost of Harris Inc.'s preferred financing can be found using the cost of preferred financing formula which is:Cost of preferred financing = Dividend/Net proceedsWhere,Dividend = the preferred stock dividend per yearNet proceeds = the issue price minus the flotation costsIn this problem, the dividend is 9% of the issue price.

However, investors buying the stock on the secondary market are getting a 13.5% return. This means that the market price of the stock is less than the issue price.Let P be the market price of the preferred stock today. Then the dividend per year is 0.09P and the net proceeds is 0.87P (since flotation costs are 13%).Therefore,Cost of preferred financing = Dividend/Net proceeds= 0.09P / 0.87P= 0.1034 or 10.34% (rounded to two decimal places).Hence, the cost of Harris Inc.'s preferred financing is 10.34%.

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You pay $10,000 per acre for a tract of land, and your opportunity cost (rate) is 6 percent. You hold the land 12 years and pay $1,000 in taxes each year. What price per acre must you sell the land for to break even with your opportunity cost (rate)?

Answers

Opportunity cost is the benefits one sacrifices by choosing an alternative course of action. To break even with your opportunity cost, you should know how much to sell the land for.

Opportunity cost is calculated using an interest rate. In this scenario, your opportunity cost rate is 6%.

You purchased an acre of land for 10,000, held it for 12 years, and paid 1,000 in taxes each year.

To determine the price at which you must sell the land to break even with your opportunity cost, use the following formula:

Price to sell = price paid x (1 + opportunity cost rate) ^ time held + sum of annual taxes

For your land, the calculations are as follows:

Price to sell = 10,000 x (1 + 6%) ^ 12 + 1,000 x 12

Price to sell = 10,000 x 2.012 ^ 12 + 12,000

Price to sell = 10,000 x 5.734 + 12,000

Price to sell = 57,340 + 12,000

Price to sell = 69,340

You must sell the land for 69,340 per acre to break even with your opportunity cost.

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Explain 1 Risk Management strategy regarding regular threat assessment?

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Risk Management Strategy: Regular Threat Assessment. Regular threat assessment involves conducting ongoing evaluations of potential risks to identify emerging threats and vulnerabilities.

It consists of a systematic process that helps organizations stay proactive in their risk management approach. Regular threat assessment is crucial for effective risk management. By consistently evaluating potential threats, organizations can identify new risks, vulnerabilities, and changes in the risk landscape. This strategy involves analyzing internal and external factors that may pose a risk to the organization, such as cybersecurity threats, natural disasters, regulatory changes, or economic fluctuations. The key benefits of regular threat assessment include early detection of emerging risks, enabling proactive risk mitigation strategies. It helps organizations prioritize and allocate resources appropriately to address potential threats. Furthermore, continuous assessment enhances organizational resilience by facilitating timely adaptation to evolving risks and enables the implementation of robust risk response plans.

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12.1 ECONOMICS [100] QUESTION ONE [55] Read the extract belowand answer the questions that follow: New-energy vehicle production set to increase in SA; Ford could add to hybrid line-up NAAMSA While new-energy vehicle (NEV) production numbers arecurrently low in South Africa, NAAMSA, the Automotive BusinessCouncil is hopeful that the numbers will soon increase.Naamsa CEO Mikel Mabasa says the start of production oftheCorolla Cross hybrid at Toyota’s Durban plant this year adds to theexisting assembly of the Mercedes-Benz C-Class plug-in hybrid(PHEV) at the German car maker’s East London plant. Fordthenalso looks set to become yet another producer of hybridvehiclesin South Africa, with the proposed production of a plugin hybrid model inthe new Ranger pickup line-up, he notes. The UScarmaker has already unveiled the F-150 Lightning full electricbakkiein the US, set for launch in 2022. NEVs refers to hybridvehicles, PHEVsand battery electric vehicles (BEVs).Mabasasaysthe SouthAfrican automotive industry does notcurrently produce anyBEVs,with PHEV production at two units in2020, down from a peakof 1 180 units in 2018. The decline is largely owing to the run-outof the previous C-Class line-up, with the new modelintroduced thisyear. Mabasa says it is imperative the local automotive industrmoves swiftly towards NEV production, as SouthAfrica’sprimaryvehicle export market – the European Unionhasindicated that it will not allow internal combustion enginesonitsroads "in the next five to ten years".1.1 Taking the abovearticleandlimited resource availability into consideration, use arelevantdiagram to explain how Ford canuseaproductionpossibilitiesfrontier to illustrate the various combinationsof output ofnew energy vehicles and non-new energy vehicles.

Answers

A production possibility frontier (PPF) diagram would be an effective means for Ford to show the trade-offs in producing NEVs and non-NEVs in the South African automotive industry. The PPF is a graphical representation of the possible production outcomes for two commodities utilizing a given set of resources and technology with the assumption that all resources are used efficiently.

A PPF for Ford could illustrate the following points: 1. The maximum possible production of NEVs and non-NEVs with the given resources and technology2. The opportunity cost of producing additional units of NEVs over non-NEVs, and vice versa3. The trade-offs between NEVs and non-NEVs production

The slope of the PPF shows the opportunity cost of producing one commodity over the other. Thus, if Ford wishes to increase production of NEVs, it would have to reduce production of non-NEVs, and vice versa. The PPF illustrates the combinations of NEVs and non-NEVs production that are attainable and not attainable with the available resources and technology. The production of NEVs has become increasingly important given the demand from the European Union market. In this light, it is vital that the South African automotive industry moves towards NEV production.

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a developer owned a 30-acre tract of farmland. as required by law, the developer filed a plat with the county planning board, but did not record it.

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Filing a plat with the county planning board, as required by law, is an important step for a developer when it comes to documenting and obtaining approval for the subdivision of land. However, it's worth noting that failing to record the plat could have certain implications.

Recording a plat refers to the act of officially documenting the plat with the appropriate government office, typically the county recorder's office or registrar of deeds. The purpose of recording is to establish a public record of the plat, providing notice to interested parties and ensuring the legal validity and enforceability of the subdivision.

By not recording the plat, the developer may encounter several potential issues:

Lack of Legal Recognition: Without recording the plat, the subdivision of the farmland may not be legally recognized. This means that the developer's intended division of the 30-acre tract into smaller lots or parcels may not have legal standing or be considered valid.

Inability to Transfer Titles: Failure to record the plat may hinder the developer's ability to transfer titles or ownership of the subdivided lots. When a property is not recorded, it may create difficulties in establishing clear ownership rights and transferring those rights to subsequent buyers or owners.

Lack of Notice to Third Parties: Recording the plat serves as public notice of the subdivision. It allows interested parties, such as potential buyers, lenders, or neighboring property owners, to be aware of the division of the land. Not recording the plat could result in limited or no notice to these parties, potentially leading to disputes, confusion, or challenges related to the subdivision.

Legal and Financial Consequences: The failure to record the plat may have legal and financial consequences for the developer. It could result in violations of local regulations or laws, which may lead to penalties, fines, or legal actions. Additionally, it may impact the marketability and value of the subdivided lots, as potential buyers or investors may be hesitant to engage in transactions involving unrecorded properties.

It's important for developers to understand and comply with the legal requirements for subdividing land, which typically include both filing the plat with the planning board and recording it with the appropriate government office. By following the necessary steps, developers can ensure the legal validity, enforceability, and marketability of the subdivided properties.

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Explain data inventory workflow and how data inventory system consolidates data before the tagging process.

Answers

The data inventory workflow refers to the process of collecting, organizing, and managing data assets within an organization.

A data inventory system plays a crucial role in this workflow by consolidating data before the tagging process. Here's an overview of how it works:

Data Collection: The data inventory system collects data from various sources within the organization, including databases, file systems, applications, and external data providers.

Data Profiling: Once the data is collected, the inventory system performs data profiling to understand its structure, quality, and content.

Data Classification: The inventory system categorizes the data based on predefined criteria, such as data type, format, sensitivity, and usage.

Data Consolidation: Before the tagging process, the data inventory system consolidates the collected data into a centralized repository or data catalog.

Data Tagging: Once the data is consolidated, the inventory system assigns relevant metadata tags to the data assets.

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REMCO DISTRIBUTORS INC. Income Statement Year Ended December 31, 2020 fi f Additional information for 2020: 1. Cash dividends of $45,000 were declared and paid. Additional information for 2020: 1. Cash dividends of 545,000 were declared and paid. 2. Average number of common shares was 60,000 shares. 3. Market value of common shares on December 31 was $20 per share. 4. All sales and purchases are on account. Required: Using the financial statements and the additional information, calculate the following ratios for 20 Use averages in relevant formuas and show supporting calculations in the workspace below for par

Answers

REMCO DISTRIBUTORS INC. Income Statement Year Ended December 31, 2020 Additional information for 2020:1. Cash dividends of 545,000 were declared and paid.

2. Average number of common shares was 60,000 shares.3. Market value of common shares on December 31 was $20 per share.4. All sales and purchases are on account. Calculation of ratios for 2020:

1. Earnings per Share:

Earnings Per Share (EPS) = Net Income / Average Number of Shares Outstanding

Earnings Per Share = $165,000 / 60,000

Earnings Per Share = $2.75 per share

2. Dividend Yield:

Dividend Yield = Cash Dividend Per Share / Market Price Per Share

Dividend Yield = $9.08 / $20

Dividend Yield = 0.454 or 45.4%

3. Price-Earnings Ratio:

Price-Earnings Ratio (P/E Ratio) = Market Price Per Share / Earnings Per Share

P/E Ratio = $20 / $2.75

P/E Ratio = 7.27

These are the required ratios for the given case of REMCO DISTRIBUTORS INC. for 2020.

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the mass of a substance, which follows a continuous exponential growth model, is being studied in a lab. the doubling time for this substance was observed to be hours. there were of the substance present at the beginning of the study.

Answers

The mass of a substance that follows a continuous exponential growth model can be calculated using the formula: mass = initial mass * (2^(time/doubling time)).

Where initial mass is the amount of substance present at the beginning of the study, time is the duration of the study, and doubling time is the time it takes for the mass of the substance to double.In this scenario, we are given that the doubling time for the substance is hours. This means that it takes hours for the mass of the substance to double. Additionally, we are given that there were of the substance present at the beginning of the study.



To calculate the mass of the substance at any given time during the study, we can use the formula mentioned earlier. Let's say the duration of the study is t hours.Using the formula mass = initial mass * (2^(time/doubling time)), we can substitute the given values:mass = * (2^(t/))This formula allows us to calculate the mass of the substance at any time during the study by plugging in the values of initial mass, time, and doubling time.

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2. Dr. Michael Mills, a surgeon employed to the Mandeville General Hospital, carelessly failed to remove part of a suture which had previously been inserted into the plaintiff Mabel Jones in an operation referred to as 'cervical encirclement', thereby exposing the patient Jones to considerable danger in her subsequent pregnancy and labour. Explain what, if any claims may be made against the hospital in this instance and the likelihood of success. (4 Marks)

Answers

The hospital can be held accountable for any harm caused to the patient due to the negligence of its employee.

The case of Dr. Michael Mills is of critical importance as it highlights the risks and liabilities that medical professionals and institutions are exposed to. This paper discusses the claims that can be made against the Mandeville General Hospital as well as the probability of success. Based on the facts presented, it is evident that Dr. Michael Mills is responsible for the harm caused to Mabel Jones. However, it is also essential to examine the hospital's liability in this instance.Claims against the HospitalThe hospital's liability is contingent on the premise of vicarious liability. This means that the hospital is responsible for the actions of its employees, including Dr. Michael Mills. The hospital can be held accountable for any negligent actions of its employees committed in the course of their work. Negligence refers to the breach of duty of care owed to the patient, leading to injury or harm. In this instance, Dr. Michael Mills was negligent in his actions by failing to remove part of a suture. This negligence resulted in considerable danger to the patient Mabel Jones, especially during pregnancy and labour.

Therefore, the hospital can be held accountable for any harm caused to the patient due to the negligence of its employee.

The likelihood of Success based on the information provided, the likelihood of success in this case is relatively high. The hospital can be held liable for the harm caused to the patient by Dr. Michael Mills's negligence. This is because the hospital has a duty of care owed to the patient, and this duty of care was breached. The breach of duty of care led to the harm caused to the patient, which was foreseeable. Therefore, the hospital can be held liable for the harm caused to the patient. However, the probability of success depends on the evidence presented and the strength of the arguments made in court. If the evidence is substantial, and the argument is persuasive, then the probability of success is high. However, if the evidence is weak, and the argument is not compelling, then the probability of success is low.

In conclusion, the Mandeville General Hospital can be held liable for the harm caused to the patient Mabel Jones. The hospital's liability is based on the premise of vicarious liability, where the hospital is responsible for the actions of its employees. The likelihood of success in this case is relatively high, based on the information presented. However, the probability of success depends on the evidence presented and the strength of the arguments made in court.

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In Irving Fisher's quantity theory of money, velocity was determined by A) interest rates. B) real GDP. C) the institutions in an economy that affect individuals' transactions. D) the price level.

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In Irving Fisher's quantity theory of money, the velocity of money was determined by the institutions in an economy that affect individuals' transactions.

Irving Fisher's quantity theory of money is a classical economic theory. It is based on the idea that the general price level of goods and services is directly proportional to the amount of money in circulation.

This theory has a famous equation of exchange, which is M * V = P * T, where M represents the money supply, V represents the velocity of money, P represents the price level, and T represents the total quantity of goods and services bought and sold in an economy.

In this theory, the velocity of money is the number of times that a dollar is spent in a year. It is determined by the institutions in an economy that affect individuals' transactions.

Irving Fisher's quantity theory of money was developed in the early twentieth century. It is a classical economic theory that is based on the idea that the general price level of goods and services is directly proportional to the amount of money in circulation.

This theory has a famous equation of exchange, which is M * V = P * T, where M represents the money supply, V represents the velocity of money, P represents the price level, and T represents the total quantity of goods and services bought and sold in an economy.

According to this theory, the velocity of money is the number of times that a dollar is spent in a year. It is a measure of the rate at which money circulates in an economy. The higher the velocity of money, the more quickly money is changing hands, and the faster the economy is growing.

The velocity of money is determined by the institutions in an economy that affect individuals' transactions. These institutions include the banking system, financial markets, and other financial intermediaries. They affect how quickly money is transferred between buyers and sellers, and how easily transactions can be made.

Overall, Irving Fisher's quantity theory of money is an important contribution to the field of economics. It provides a framework for understanding the relationship between money and prices, and the role that institutions play in determining the velocity of money.

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Suppose that you are an investor with a risk aversion coefficient of A = 5. You are deciding about portfolio allocation between the stock market index portfolio and a riskless asset. To come up with the expected market return, you regress one-year market returns on the P/D ratio and you obtain an intercept of 0.26 and a slope of -0.004, both of which are statistically significant. The current value of P/D is 40. Assume that the risk-free rate is 1% and your best estimate of conditional market volatility over the next year is 15%. What is the optimal weight of the market index in your portfolio allocation?
Group of answer choices
25.0%
20.0%
80.0%
75.0%

Answers

Optimal weight of market index in the portfolio allocation is 75%. A solution to the problem is below. Investment with risk-aversion coefficient of

A = 5 can be considered a risk-averse investor.

In this case, the investor would want to maximize the utility function given by

U=E(R)-0.5Aσ², where E(R) is the expected return on the portfolio, σ is the volatility of the portfolio, and A is the risk-aversion coefficient.

= 0.26 - 0.004 × 40 = 0.12 or 12%Given that the risk-free rate is 1% and the best estimate of conditional market volatility over the next year is 15%, the expected return on the market portfolio is:Sharpe Ratio (SR)

= (0.12 - 0.01)/0.15 = 0.67To maximize the Sharpe ratio, the optimal weight of the market index in the portfolio allocation is:Optimal weight of the market index

= (0.67)/(0.67 + 0.005)

= 0.992 or 99.2%This is an extremely high allocation to the market, which indicates that the risk-aversion coefficient of A = 5 is relatively low for this investor.

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What percentage is discretionary income?.

Answers

The percentage of discretionary income varies based on individual circumstances, and there is no fixed percentage that applies universally.

Discretionary income refers to the portion of a person's income that is available for spending or saving after essential expenses, such as taxes, housing, food, and other necessities, have been deducted.

It represents the disposable income that individuals have control over and can allocate towards various non-essential or optional expenditures, such as entertainment, vacations, luxury goods, and savings.

The percentage of discretionary income can vary widely among individuals and is influenced by various factors, including income level, personal financial obligations, and lifestyle choices. There is no fixed percentage for discretionary income, as it depends on individual circumstances.

For example, individuals with higher incomes may have a larger percentage of discretionary income compared to those with lower incomes, as their essential expenses may constitute a smaller proportion of their overall income. Similarly, individuals with minimal financial obligations or debt may have a higher percentage of discretionary income compared to those with significant financial responsibilities.

To calculate the percentage of discretionary income, one would typically deduct essential expenses from the total income and express the remaining amount as a percentage of the total income. However, it is important to note that discretionary income is a dynamic concept and can fluctuate based on changes in income, expenses, and financial priorities.

In summary, the percentage of discretionary income varies based on individual circumstances, and there is no fixed percentage that applies universally. It is a measure of the disposable income that individuals have control over and can allocate towards non-essential expenses or savings after meeting essential financial obligations.

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Sally's assessable income for \( 2021 / 22 \) is \( \$ 30100 \). She has \( \$ 536 \) allowable deduction. How much is Sally's individual income tax payable? Taxable Income Tax on this income

Answers

Sally's assessable income for 2021/22 is $30100, and she has $536 allowable deduction. Her income tax payable is calculated as follows: Calculation of taxable income.

Taxable income = Assessable income - Deduction Taxable income = $30100 - $536Taxable income = $29564Calculation of income tax: Tax payable = (Taxable income × Tax rate) - Tax offset Tax rate:

Taxes payable = (Taxable income × Tax rate) - Tax offset Taxes payable = (29564 × 0.19) - 0Taxes payable = $5618.16Therefore, Sally's income tax payable is $5618.16, and her taxable income is $29564.

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Credit bureaus get their information from all of the following sources except
Stores.
References.
Finance companies.
Banks.
Credit card companies.

Answers

Credit bureaus get their information from all of the following sources except stores. Instead, they get their information from various sources such as banks, credit card companies, finance companies, and other financial institutions.

Credit bureaus are entities that collect, maintain, and update credit information on consumers and businesses.A credit bureau is a company that collects and maintains data on people's credit history, employment history, and public records such as bankruptcies and court judgments. Credit bureaus get their data from several sources, including banks, credit card companies.

They also get their data from public records such as bankruptcies and court judgments.Credit bureaus use the information they collect to create credit reports for individuals and businesses. Credit reports include a credit score, which is a numerical representation of an individual's creditworthiness. The higher the score, the more likely an individual is to receive credit at favorable terms.

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You purchased a $1,000 bond with a coupon rate of 6X 1

on 3anuary 1,2021 for $910. On the same date you also purchased a share of ABC Inc for \$35. Oaring 2021 you received a dividend of $2.35 on the ABC share. It is now lanuary 1,2022 and the bond is selling for $980 and the AnC share is worth $90. Required, round all answers to two decimal points. Show all calculations in the space provided below or submit your calculations to the Drop Bex in the Assignments area: a. What was your total dollar retum on the bond over the past year? (2 marks) b. What was your total nominal return on the bond over the past year? ( 2 marks) c. If the inflation rate last year was 4%, what was your total real rate of return on the bond? ( 2 marks) d. Compute the total percentage return on the ABC share. (2 marks) e. What was the dividend yield on the ABC share. (2 marks) f. What was the capital gain yleid on the ABC shar

Answers

a) Calculation of dollar return on the bond over the past year: Purchase price of bond = $910 Coupon rate of bond = 6%Par value of bond = $1000Coupon payment = Coupon rate * Par value = 6% * $1000 = $60Given, bond selling price = $980Total dollar return on the bond = Coupon payment + (Selling price - Purchase price)Coupon payment = $60Selling price - Purchase price = $980 - $910 = $70Total dollar return on the bond = $60 + $70 = $130

b) Calculation of nominal return on the bond over the past year:Nominal return on bond = (Total dollar return / Initial investment) * 100Total dollar return on the bond = $130Initial investment = Purchase price of bond = $910Nominal return on the bond = ($130 / $910) * 100 = 14.29%c)

Calculation of real rate of return on the bond:Inflation rate = 4%Nominal return on the bond = 14.29%Real rate of return on the bond = [(1 + Nominal return) / (1 + Inflation rate)] - 1Real rate of return on the bond = [(1 + 0.1429) / (1 + 0.04)] - 1Real rate of return on the bond = 10.91%d)

Calculation of total percentage return on the ABC share:Purchase price of ABC share = $35Current price of ABC share = $90Dividend received = $2.35Total percentage return on the ABC share = [(Current price + Dividend received - Purchase price) / Purchase price] * 100

Total percentage return on the ABC share = [(90 + 2.35 - 35) / 35] * 100

Total percentage return on the ABC share = 183.86%e) Calculation of dividend yield on the ABC share:Dividend yield on the ABC share = (Dividend / Purchase price) * 100Dividend yield on the ABC share = ($2.35 / $35) * 100Dividend yield on the ABC share = 6.71%f)

Calculation of capital gain yield on the ABC share:Capital gain yield on the ABC share = (Capital gain / Purchase price) * 100Capital gain = Current price - Purchase priceCapital gain yield on the ABC share = [(90 - 35) / 35] * 100Capital gain yield on the ABC share = 157.14%Therefore, the answers are:a) $130b) 14.29%c) 10.91%d) 183.86%e) 6.71%f) 157.14%

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When interest rates on short term bonds exceed those on long term bonds a recession is likely to occur. true or false

Answers

FALSE

The statement "When interest rates on short term bonds exceed those on long term bonds a recession is likely to occur" is FALSE.

What are bonds?

Bonds are long-term debt securities issued by governments and companies to raise funds from investors.

Bondholders get periodic interest payments from the issuer for a specified period.

Bonds have several characteristics, including the interest rate, maturity, yield, and credit quality.

Investors refer to the maturity period of bonds as either short-term or long-term.

Short-term bonds have a maturity period of fewer than five years, while long-term bonds have a maturity period exceeding ten years.

When the interest rates on short-term bonds increase beyond those of long-term bonds, the result is an inverted yield curve.

Although an inverted yield curve may not cause a recession, it has been a predictor of economic downturns in the past.

However, there are other factors that cause a recession, such as a decline in consumer spending, a decrease in business investments, and an increase in unemployment levels.

A yield curve inversion happens when the yield curve on US Treasury debt securities inverts, i.e., when long-term bonds have lower yields than short-term bonds.

According to the US Treasury yield curve, an inversion of the yield curve means that investors believe that there is a high likelihood of a recession in the future.

But a recession is not guaranteed to happen.

As a result, the statement "When interest rates on short term bonds exceed those on long term bonds a recession is likely to occur" is FALSE

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A person buys a share of stock in Apple from another investor through the NYSE. This is an example of a __________ market transaction.
Question 18 options:
physical asset
primary
private
secondary
money

Answers

A person buys a share of stock in Apple from another investor through the NYSE. This is an example of an Option D. secondary market transaction.

Let's discuss it in detail;

Secondary Market Transactions: Secondary market transactions are investments made in previously issued securities. It is a financial marketplace where previously issued securities, such as bonds and stocks, are purchased and sold through brokers, dealers, and other traders. The secondary market is also known as the aftermarket because shares are sold to investors by other shareholders and not by the issuing firm. Secondary markets assist with liquidity because they enable investors to sell securities to other investors, which enhances the overall market's efficiency and volume.

Primary Market Transactions: Primary market transactions are when the issuer first sells securities to investors. Companies that go public must do so by selling shares to investors in a primary market transaction. The issuing business is the issuer of the securities in a primary market transaction, which means that they are responsible for generating new stocks. New stock issuance is referred to as a public offering.

Money Market Transactions: A money market is a marketplace for short-term securities like treasury bills and commercial paper that have maturities of less than one year. The market is used by companies to acquire short-term funding in the form of debt while keeping their long-term debt at a minimum.

Physical Asset Transactions: Physical assets are tangible, including commodities, real estate, and other items. Physical assets trading is a practice that involves exchanging tangible assets with financial value. These financial value assets can be either cash or another financial instrument, such as a stock or a bond.

Private Market Transactions: Private market transactions refer to the purchase and sale of securities in a marketplace that is only open to a specific group of investors. It is an unregulated market where transactions take place between consenting parties. Examples of securities that can be sold through private market transactions include debt securities, common stock, and warrants.

In conclusion, buying a share of stock in Apple from another investor through the NYSE is an example of a secondary market transaction because the stock was previously issued and is now being resold on the secondary market to another investor. Therefore, the correct option is D.

The question was incomplete, Find the full content below:

A person buys a share of stock in Apple from another investor through the NYSE. This is an example of a __________ market transaction.

Question 18 options:

A. physical asset

B. primary

C. private

D. secondary

E. money

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At the beginning of the month , Supplies were $ 700 . During the month , the company purchased $ 400 of supplies . At month's end , November 30 , $ 300 of supplies were still on hand . a . What was the cost of supplies used during the month ? Where is this item reported ? b . Where is the ending balance of supplies reported ? c . Make the adjusting entry to update the Supplies account at the end of the month . a . What was the cost of supplies used during the month ? Where is this item reported ? What was the cost of supplies during the month ?

Answers

At the beginning of the month, supplies were $700. During the month, the company purchased $400 of supplies. At the end of November 30, $300 of supplies were still on hand.

a) What was the cost of supplies used during the month? Where is this item reported?To get the cost of supplies used during the month, we need to calculate the amount of supplies purchased and subtract the amount of supplies on hand at the end of the month from that amount.

Cost of supplies used = Supplies purchased – Supplies on hand at the end of the month

= $400 - $300= $100

The cost of supplies used during the month is $100. This item is reported in the Income Statement as an expense.

b) Where is the ending balance of supplies reported?

The ending balance of supplies is reported in the Balance Sheet as a current asset.

c) Make the adjusting entry to update the Supplies account at the end of the month. The adjusting entry is needed to update the balance of supplies account and record the cost of supplies used during the month.

The adjusting entry is as follows:

Supplies expense = Cost of supplies used during the month

= $100Supplies on hand = $300

Supplies Account Debit Credit Supplies Expense $100 Supplies $100 Supplies $300 Supplies Expense $300.

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to best balance their time and the information they obtain, how often must revenue managers analyze sales in each of their identifiable revenue centers?

Answers

To best balance their time and the information they obtain, revenue managers must **regularly** analyze sales in each of their identifiable revenue centers.

Analyzing sales in revenue centers should be done **frequently** to ensure effective revenue management. The exact frequency may vary depending on factors such as the industry, business size, and specific revenue centers involved. However, regular analysis allows revenue managers to stay informed about the performance of each revenue center, identify trends, spot potential issues, and make data-driven decisions.
By conducting regular analyses, revenue managers can assess the effectiveness of pricing strategies, monitor demand patterns, evaluate the impact of promotions or discounts, and identify opportunities for revenue optimization. This proactive approach enables revenue managers to make timely adjustments, allocate resources effectively, and maximize revenue across all identifiable revenue centers.
The frequency of analysis may range from daily, weekly, monthly, or even quarterly, depending on the nature of the business and the revenue cycles involved. It is crucial for revenue managers to strike a balance between the frequency of analysis and the time required to gather and analyze the data, ensuring they have up-to-date information to support their revenue management strategies and decision-making process.

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A letter of intent summarizes progress made during business negotiations, but moreimportantly, it creates a binding contract.a. True b. False

Answers

b. False. A letter of intent (LOI) typically serves as a preliminary agreement or expression of intent between parties involved in business negotiations.

A letter of intent (LOI) typically serves as a preliminary agreement or expression of intent between parties involved in business negotiations. While it outlines the key terms and conditions of a potential agreement, a letter of intent is generally considered non-binding. Its purpose is to establish a framework for further discussions and negotiations, outlining the intentions and understanding of the parties involved. However, a letter of intent itself does not create a legally enforceable contract. The final agreement is typically formalized in a separate contract or agreement that is mutually agreed upon and legally binding. Therefore, it is important for parties to carefully review and finalize the terms in a formal contract to ensure the creation of a binding agreement.

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