On a map whose scale is 1 in. =50ft, how far apart (in inches) would 2−ft contours be on a uniform slope (grade) of 2% ?

Answers

Answer 1

In summary, the 2-ft contours would be 12 inches apart on this slope.

On a map with a scale of 1 inch = 50 feet, we can calculate the distance between 2-ft contours on a uniform slope (grade) of 2%.

To find the distance between the 2-ft contours, we first need to determine the vertical rise for every 50 feet horizontally.

Since the slope is 2%, it means that for every 100 feet horizontally, there is a rise of 2 feet vertically.

To calculate the rise for every 50 feet, we divide 2 by 2 (since 100 divided by 2 is 50).

This gives us a rise of 1 foot for every 50 feet horizontally.

Now, we need to convert this rise into inches, since we want the answer in inches.

Since there are 12 inches in a foot, we multiply the rise of 1 foot by 12 to get the rise in inches.

Therefore, the distance between the 2-ft contours on a uniform slope of 2% would be 12 inches.

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Related Questions

Cameron Industries is purchasing a new chemical vapor depositor in order to make silicon chips. It will cost $ 7,000,000 to buy the machine and $ 20,000 to have it delivered and installed. Building a clean room in the plant for the machine will cost an additional​ $3 million. The machine is expected to raise gross profits by $ 4,000,000 per​ year, starting at the end of the first​ year, with associated costs of​ $1 million for each of those years. The machine is expected to have a working life of six years and will be depreciated over those six years. The marginal tax rate is​ 40%. What are the incremental free cash flows associated with the new machine in year​ 2?

Answers

The incremental free cash flow associated with the new machine in year 2 is $3,200,000.

To calculate the incremental free cash flow in year 2, we need to consider the additional cash flows generated by the machine in that specific year. The gross profit generated by the machine in year 2 is $4,000,000, and the associated costs are $1,000,000. Therefore, the net cash flow from the machine in year 2 is $3,000,000 ($4,000,000 - $1,000,000).

However, we also need to consider the tax implications. The marginal tax rate is 40%, so the tax expense on the net cash flow is $1,200,000 ($3,000,000 x 40%). Thus, the after-tax incremental free cash flow in year 2 is $1,800,000 ($3,000,000 - $1,200,000).

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what is the motivation for the equal credit opportunity act

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The motivation for the Equal Credit Opportunity Act (ECOA) was to address the widespread discrimination in the lending industry, particularly against women and minority groups. It aimed to promote fair lending practices and ensure equal access to credit opportunities for all individuals.

The Equal Credit Opportunity Act (ECOA) is a federal law in the United States that prohibits credit discrimination based on factors such as race, color, religion, national origin, sex, marital status, age, or receipt of public assistance.

The motivation behind the ECOA was to address the widespread discrimination that existed in the lending industry, particularly against women and minority groups.

Prior to the enactment of the ECOA in 1974, lenders could deny credit or charge higher interest rates based on discriminatory practices.

This created significant barriers for individuals and communities seeking access to credit for various purposes, such as purchasing a home or starting a business.

The ECOA aimed to promote fair lending practices and ensure equal access to credit opportunities for all individuals, regardless of their personal characteristics.

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can
you answer the following questions

Quickly and be true
5. A company has the following products in its ending imentory. Compute the total LCM cont flower of A. 520,000 B. \( \$ 25,000 \) \( 6 \quad \$ 22,000 \) D. 531,250 F. None of the above 6. When purch

Answers

The total LCM of the ending inventory is $1,200,000, computed by finding the smallest number divisible by all given inventory values using prime factorization.

To compute the total LCM (Lowest Common Multiple) of the given inventory values, we need to find the smallest number that is divisible by all the given values.

The inventory values are as follows:

A. 520,000

B. $25,000

C. 6 ($22,000 is not specified, so we'll assume it's 6)

D. 531,250

To find the LCM, we can start by finding the prime factorization of each number:

A. 520,000 = 2^6 * 5^4

B. $25,000 = 2^4 * 5^4

C. 6 = 2 * 3

D. 531,250 = 2^5 * 5^6

Now, we can find the highest power of each prime factor that appears in any of the numbers:

2^6 * 3 * 5^6

Finally, we multiply these factors together to find the LCM:

2^6 * 3 * 5^6 = 64 * 3 * 15,625 = 1,200,000

Therefore, the total LCM of the ending inventory is $1,200,000.

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During the past year, a company had cash flow to stockholders, an operating cash flow, and net capital spending of $14,802, $34,106, and $13,720, respectively. The net working capital at the beginning of the year was $5,778 and it was $6,680 at the end of the year. What was the company's cash flow to creditors during the year?

Answers

During the past year, a company had cash flow to stockholders, an operating cash flow, and net capital spending of $14,802, $34,106, and $13,720, respectively. The net working capital at the beginning of the year was $5,778 and it was $6,680 at the end of the year. The company's cash flow to creditors during the year was -$12,818.

To calculate the cash flow to creditors, we need to consider the change in net working capital (NWC) and net capital spending (NCS) during the year. Cash flow to creditors represents the amount of cash paid to debt holders, which includes interest payments and repayment of debt.

We can use the following formula to calculate cash flow to creditors:

Cash flow to creditors = NCS - Change in NWC

Given:

NCS = $13,720

Change in NWC = Ending NWC - Beginning NWC = $6,680 - $5,778 = $902

Substituting the values into the formula:

Cash flow to creditors = $13,720 - $902 = $12,818

Therefore, the company's cash flow to creditors during the year was -$12,818.

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According to the "animal spirits" described by Keynes, when optimism reigns, ​households and firms

A. ​increase spending which results in inflationary pressures.

B. ​decrease spending which results in deflationary pressures.

C. ​increase spending which results in deflationary pressures.

D. ​decrease spending which results in inflationary pressures.

Answers

According to the concept of "animal spirits" described by Keynes, when optimism reigns, households and firms increase spending, which results in inflationary pressures. Therefore, option A is the correct answer.

"Animal spirits" refers to the psychological factors that influence economic decision-making, such as confidence, optimism, and pessimism. According to Keynes, when optimism is prevalent among households and firms, it leads to increased spending and investment.

When households and firms are optimistic about the future, they are more willing to consume and invest, which stimulates demand in the economy.

The increased spending creates upward pressure on prices, leading to inflationary pressures. Inflation can occur when demand outpaces the available supply of goods and services, causing prices to rise.

Therefore, when optimism reigns, it results in increased spending by households and firms, which in turn leads to inflationary pressures. This aligns with option A, making it the correct answer.

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You buy 110 shares of Tidepool Co. for $36 each and 200 shares of Madfish, Inc., for $17 each. What are the weights in your portfolio? The weight of Tidepool Co. stock in the portfolio is ___%. (Round to one decimal place.) The weight of Madfish, Inc. stock in the portfolio is __%.

Answers

The weight of Tidepool Co. stock in your portfolio is approximately 53.7%, and the weight of Madfish, Inc. stock is approximately 46.3%

To calculate the weights of each stock in your portfolio, you need to determine the total value of your portfolio and the value of each individual stock.

The total value of your portfolio can be calculated by multiplying the number of shares of each stock by their respective prices:

Total value = (Number of shares of Tidepool Co. × Price per share of Tidepool Co.) + (Number of shares of Madfish, Inc. × Price per share of Madfish, Inc.)

Total value = (110 × $36) + (200 × $17)

Total value = $3,960 + $3,400

Total value = $7,360

Next, you can calculate the weight of each stock by dividing the value of each stock by the total value of the portfolio:

Weight of Tidepool Co. stock = (Value of Tidepool Co. stock ÷ Total value) × 100

Weight of Tidepool Co. stock = ($3,960 ÷ $7,360) × 100

Weight of Tidepool Co. stock ≈ 0.537 × 100

Weight of Tidepool Co. stock ≈ 53.7%

Weight of Madfish, Inc. stock = (Value of Madfish, Inc. stock ÷ Total value) × 100

Weight of Madfish, Inc. stock = ($3,400 ÷ $7,360) × 100

Weight of Madfish, Inc. stock ≈ 0.463 × 100

Weight of Madfish, Inc. stock ≈ 46.3%

Therefore, the weight of Tidepool Co. stock in your portfolio is approximately 53.7%, and the weight of Madfish, Inc. stock is approximately 46.3%.

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Universal Services Inc. stocks a certain adapter at its central warehouse for supplying field service offices. The yearly demand for this adapter is 15,000 units. The company estimates its holding cost for this item to be $20 per unit per year. The cost to place and process an order from the supplier is $15. The company operates 260 days per year, and the lead time to receive an order from the supplier is 2 working days. The company wants to use the economic order quantity (EOQ) inventory management approach. (c) How many orders would be expected in a year? (f) What is the expected time between orders? (g) What is the reorder point (level)?

Answers

Therefore, the reorder point is approximately 115.4 units.

(c) To calculate the number of orders expected in a year, we need to divide the annual demand by the economic order quantity (EOQ).

The EOQ can be calculated using the formula:

EOQ = √((2 * demand * order cost) / holding cost)

Given that the demand is 15,000 units, the order cost is $15, and the holding cost is $20 per unit per year, we can substitute these values into the formula:

EOQ = √((2 * 15000 * 15) / 20)

EOQ ≈ √(450000 / 20)

EOQ ≈ √22500

EOQ ≈ 150 units

Now, to find the number of orders expected in a year, we divide the annual demand by the EOQ:

Number of orders = demand / EOQ

Number of orders = 15000 / 150

Number of orders = 100

Therefore, we can expect 100 orders in a year.

(f) The expected time between orders can be calculated by dividing the number of working days in a year by the number of orders:

Expected time between orders = number of working days / number of orders

Given that the company operates 260 days per year, we can substitute these values into the formula:

Expected time between orders = 260 / 100

Expected time between orders = 2.6 days

Therefore, the expected time between orders is approximately 2.6 days.

(g) The reorder point (level) represents the inventory level at which a new order should be placed.

It can be calculated by multiplying the average daily demand by the lead time:

Reorder point = average daily demand * lead time

Given that the demand is 15,000 units per year and the lead time is 2 working days, we need to convert the yearly demand to the average daily demand:

Average daily demand = demand / number of working days

Average daily demand = 15000 / 260

Average daily demand ≈ 57.7 units per day

Now we can calculate the reorder point:

Reorder point = 57.7 * 2

Reorder point ≈ 115.4 units

Therefore, the reorder point is approximately 115.4 units.

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Vibrant Company had $960,000 of sales in each of Year 1, Year 2, and Year 3, and it purchased merchandise costing $530,000 in each of those years. It also maintained a $260,000 physical inventory from the beginning to the end of that three-year period. In accounting for inventory, it made an error at the end of Year 1 that caused its Year 1 ending inventory to appear on its statements as $240,000
rather than the correct $260,000.
Required:
1. Determine the correct amount of the company's gross profit in each of Year 1, Year 2, and Year 3. 2. Prepare comparative income statements to show the effect of this error on the company's cost of goods sold and gross profit for
each of Year 1. Year 2. and Year 3.

Answers

The inventory error made in Year 1 did not impact the company's gross profit in subsequent years, as the correct ending inventory amount was used for Year 2 and Year 3 calculations.

To determine the correct amount of the company's gross profit in each of Year 1, Year 2, and Year 3, we need to adjust for the inventory error made at the end of Year 1.

Corrected Gross Profit Calculation:

Year 1:

Sales: $960,000

Cost of Goods Sold: $530,000

Corrected Ending Inventory: $260,000

Corrected Gross Profit = Sales - Cost of Goods Sold

= $960,000 - $530,000

= $430,000

Year 2:

Sales: $960,000

Cost of Goods Sold: $530,000

Ending Inventory: $260,000

Gross Profit = Sales - Cost of Goods Sold

= $960,000 - $530,000

= $430,000

Year 3:

Sales: $960,000

Cost of Goods Sold: $530,000

Ending Inventory: $260,000

Gross Profit = Sales - Cost of Goods Sold

= $960,000 - $530,000

= $430,000

Comparative Income Statements:

Year 1:

Sales: $960,000

Cost of Goods Sold: $530,000

Gross Profit: $430,000

Year 2:

Sales: $960,000

Cost of Goods Sold: $530,000

Gross Profit: $430,000

Year 3:

Sales: $960,000

Cost of Goods Sold: $530,000

Gross Profit: $430,000

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You can see that the more frequently your interest is compounded, the more money you will make. Surprisingly though, there is a limit to how much you can make at 100% interest, no matter how fast the account compounds. What do you think is the limiting value for the balance for imvesting $1000 for 1 year at 100% interest, as the speed of compounding tends to infinity? Look at the last value in the chart you filled out and you may be able to guess. (A hint that only makes sense if you went to lecture: Who was the seventh president of the United States?)

Answers

The limiting value for the balance when investing $1000 for 1 year at 100% interest, as the speed of compounding tends to infinity, is $e^2 \times 1000$.


When interest is compounded more frequently, the balance grows faster. In this case, as the compounding speed tends to infinity, the formula for compound interest becomes A = P * (1 + r/n)^(n*t), where A is the final balance, P is the principal amount ($1000), r is the interest rate (100% or 1), n is the number of times the interest is compounded per year, and t is the time period in years.

By taking the limit as n tends to infinity, we get A = P * e^(r*t), where e is the mathematical constant approximately equal to 2.71828.

Plugging in the values, we have A = 1000 * e^(1*1) = $e^2 * 1000.

The hint about the seventh president of the United States, Andrew Jackson, is irrelevant to the calculation of the limiting value. The formula for compound interest is what determines the final balance.

In conclusion, the limiting value for the balance when investing $1000 for 1 year at 100% interest, as the speed of compounding tends to infinity, is $e^2 * 1000.

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PLEASE ANSWER THE ABOVE
WILL GUARANTEE A MINIMUM OF 3 UPVOTES
DO NOT COPY OTHER ANSWERS AS THEY ARE WRONG
ASAP please.
Introduction to Problem 1 The Master said, 'What is necessary is to rectify names .... If names are not rectified, then words are not appropriate. If words are not appropriate, then deeds are not acco

Answers

Rectifying names ensures appropriate words, enabling effective communication. This leads to accomplished deeds aligned with intentions and goals.

The quote you provided is from Confucius and emphasizes the importance of using accurate and appropriate language. It suggests that when names (terms or concepts) are not correctly defined or understood, the words we use may not effectively convey our intentions. Consequently, when our words are not appropriate or clear, our actions and deeds may fail to achieve their intended purpose.

This concept highlights the significance of precise and meaningful communication in ensuring that our actions align with our intentions and goals. By rectifying names and using appropriate words, we enhance our ability to effectively communicate and accomplish our desired outcomes.

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Rex, age 47, an employee at Water Waste, is considering contributing to a 401(k) plan during 2022 . Which of the following statements are true? Rex can contribute $20,500 to a 401(k) plan and an additional $20.500 to a 401(k) Roth account in the current year. If Rex does make an elective deferral contribution, the amount is not currently subject to income or payroll taxes. Rex can make a $27.000 elective deferral contribution to a 401(k) plan for 2022. Water Waste must deposit Rex's elective deferral contribution to the plan as soon as reasonably possible

Answers

The correct statement regarding Rex's 401(k) contributions is that he can make a $27,000 elective deferral contribution to a 401(k) plan for 2022.


- Rex is eligible to contribute up to $27,000 to his 401(k) plan in 2022 as an elective deferral.
- However, the statement about contributing $20,500 to a 401(k) plan and an additional $20,500 to a 401(k) Roth account in the current year is incorrect. The combined contribution limit for both accounts is $27,000, not $41,000.
- If Rex does choose to make an elective deferral contribution to his 401(k) plan, the amount is not currently subject to income or payroll taxes. This means that Rex can lower his taxable income by the amount of his contribution.
- Lastly, it is important for Water Waste, Rex's employer, to deposit his elective deferral contribution to the 401(k) plan as soon as reasonably possible.

To summarize, Rex can make a $27,000 elective deferral contribution to his 401(k) plan for 2022, which can help reduce his taxable income.

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THIS QUESTION HAS BEEN PREVIOUSLY ASKED ON CHEGG AND ANSWERED
INCORRECTLY. DO NOT COPY IT AND WORK FROM SCRATCH
Question 2
We live in an age of semi-autonomous cars: The driver is in control
most of t

Answers

The average total time taken for both communication and computation to be performed in the cloud is approximately 253 milliseconds.

In this scenario, the datacenter upload speed is 1 Mbps, which means that it takes 42 milliseconds to upload 5 seconds worth of brain data (5 seconds * 500 Hz * 32 bits / 1 Mbps).

The computation speed of the datacenter is 750 kbps, so it takes 6.67 milliseconds to process 5 seconds worth of brain data (5 seconds * 500 Hz * 32 bits / 750 kbps).

This value is obtained by considering the time taken for communication and the time required for computation, including the potential re-computation due to failure.

Now, taking into account the failure rate of the cloud server, which is 0.1, there is a 10% chance that a failure message will be sent back to the driver assist system. The time taken to communicate this failure is 210 milliseconds.

Therefore, the average time for communication and computation in the cloud is calculated as follows:

(0.9 * (42 + 6.67)) + (0.1 * (42 + 6.67 + 210)) ≈ 252.67 milliseconds

Rounding up to the nearest integer, the average total time taken for both communication and computation in the cloud is approximately 253 milliseconds.

Complete Question:

We live in an age of semi-autonomous cars: The driver is in control most of the time, but during critical scenarios when the system understands that the driver is incapable of taking action, the car takes over the decision-making.

Consider a brain mobile interface application that assists drivers on a freeway by monitoring their drowsiness. The driver wears a Neurosky headset that senses brain signals (EEG) at  500 Hz. Each brain data point is a 32-bit floating point number. The brain signal is collected by a smartphone and sent to a server, where complex machine-learning algorithms are used to determine the drowsiness level of the driver.

Additionally, the car is equipped with a 360° camera and sensors on the steering wheel, which are all interfaced with the driver's smartphone. The data rate of the wheel sensors is  2 kbps, and the data rate of the camera is  200 kbps.

Using data from all of these sources, the driver-assist system attempts to predict impending accidents. If the system detects that the driver is drowsy and predicts an impending accident, the system should react with some actuation, either automatic braking or steering. After collecting 5 seconds worth of data, the driver assist system has only 3 seconds to decide.

There are two options for performing all of the related computation: (a) use a data center, or (b) use a fog server (such as a laptop with internet connectivity that is traveling with the driver). The data center upload speed is  1 Mbps, whereas the fog server upload speed is  3 Mbps. The datacenter computation speed is  750 kbps (i.e., the data center can finish the computation on 750 kb of data in 1 second), while the fog server computational speed is  400 kbps.

Suppose the failure rate of the cloud server is 0.1. This means that 10% of the time the cloud will send a failure message back to the driver assist system. When this occurs, the system must transfer all of the information to the cloud again and redo the computation. The time taken to communicate that a failure has occurred is 210 milliseconds. What is the average total time taken for both communication and computation to be performed in the cloud, in milliseconds?  (Write your answer as one number, rounded up to the nearest integer.)

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The concept of time is money is having the following concept, except:
A. Compound Interest
B. Simple Interest C Discounting Method d. Ordinary annuity due"

Answers

The concept of time is money encompasses all of the given options except for D. Ordinary annuity due.

Compound interest, simple interest, and discounting method are all financial concepts that relate to the idea that the value of money changes over time. The concept of compound interest recognizes that the interest earned on an investment or loan is added to the principal, and future interest is calculated based on the new total.

Simple interest, on the other hand, applies a fixed interest rate to the original principal. The discounting method involves calculating the present value of future cash flows by applying a discount rate to account for the time value of money.

However, the concept of ordinary annuity due does not directly relate to the notion of time is money. An ordinary annuity due refers to a series of equal cash flows that occur at the end of each period, whereas the concept of time is money emphasizes the importance of considering the value of money over time. Hence, option D. Ordinary annuity is the correct answer.

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To encourage the use of sustainable energy sources, including biofuel, the government of Fimorania wishes to impose a maximum price on biofuel. It has decided on a maximum price which is below the equilibrium market price for biofuel.

Which of the following is likely to be the effect of imposing this maximum price on biofuel?

OA. Illegal price-cutting

OB. An increase in inventory levels of the biofuel

OC. Economic activity outside of government-sanctioned channels

OD. An excess in supply of the biofuel

Answers

The imposition of a maximum price on biofuel by the government of Fimorania is likely to have the following effect:

An excess in supply of the biofuel (OD).

When the government sets a maximum price below the equilibrium market price for biofuel, it means that the price at which the government allows biofuel to be sold cannot exceed this maximum price. This creates a price ceiling.

Since the maximum price is set below the equilibrium market price, it becomes unprofitable for suppliers to produce and sell biofuel at that price. As a result, some suppliers may choose not to produce or supply biofuel, leading to a decrease in the quantity supplied.

However, consumers still demand biofuel at the market price, resulting in excess demand or a shortage. This is because the maximum price does not reflect the market equilibrium price, where the quantity demanded and supplied are in balance.

In this situation, the excess demand for biofuel can lead to long waiting times, rationing, or even black markets where biofuel is sold at prices above the maximum price. Therefore, the likely effect of imposing a maximum price on biofuel is an excess in supply of the biofuel.

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How do you show the net payoff function of a long strap and a
short strip

Answers

The net payoff function of a long strap and a short strip can be shown using a combination of payoff diagrams for the individual options involved.

Payoff diagrams are graphical representations of the potential profit or loss from an options position at expiration, based on different stock price levels.

A long strap position involves buying a call option and selling two put options with the same expiration date and strike price. The net payoff function for a long strap position can be represented as:

Net Payoff = (Max[Stock Price - Strike Price, 0] - 2 * Max[Strike Price - Stock Price, 0]) - Net Premium Paid

The first part of the equation represents the payoff from the long call option, which is the maximum of either the difference between the stock price and the strike price or zero. The second part represents the payoff from the short put options, which is the maximum of either the difference between the strike price and the stock price or zero, multiplied by two (since two put options are sold). The net premium paid is subtracted to account for the initial cost of establishing the position.

On the other hand, a short strip position involves selling a call option and buying two put options with the same expiration date and strike price. The net payoff function for a short strip position can be represented as:

Net Payoff = (-Max[Stock Price - Strike Price, 0] + 2 * Max[Strike Price - Stock Price, 0]) + Net Premium Received

In this case, the first part of the equation represents the payoff from the short call option, which is the negative of the maximum of either the difference between the stock price and the strike price or zero. The second part represents the payoff from the long put options, which is the maximum of either the difference between the strike price and the stock price or zero, multiplied by two. The net premium received is added to account for the initial premium received from selling the options.

By plotting these net payoff functions on a graph with the stock price on the x-axis and the net payoff on the y-axis, one can visually analyze the profit or loss potential of the long strap and short strip positions at different stock prices.

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Wishaw plc is a large advertising agency It has been approached by Crimble plc , which wants to undertake all copywriting and design activities for wishaw plc . This would involve making a large number of Wishaw pics staff redundant , but it would greatly reduce Wilshaw pics overhead costs

On which of Wilshaw plc's functions would acceptance of Crimble plc's offer have the greatest effect ?

OA The operations function

OB The marketing function

OC The finance function

OD . The IT function

Answers

The acceptance of Crimble plc's offer would have the greatest effect on Wilshaw plc's operations function.

The operations function refers to the activities involved in producing goods or delivering services. Accepting Crimble plc's offer would involve outsourcing the copywriting and design activities to Crimble plc, which means that Wilshaw plc would no longer handle these tasks internally. As a result, a large number of Wilshaw plc's staff involved in copywriting and design would become redundant. This would significantly impact the operations function of Wilshaw plc.

Outsourcing these activities to Crimble plc would greatly reduce Wilshaw plc's overhead costs. By relying on Crimble plc for copywriting and design, Wilshaw plc would no longer need to allocate resources, such as office space, equipment, and salaries, towards these functions. This would allow Wilshaw plc to streamline its operations and focus on other core activities.

In summary, accepting Crimble plc's offer would have the greatest effect on Wilshaw plc's operations function, as it would result in the redundancy of a large number of staff and a significant reduction in overhead costs.

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When the Federal Reserve Board sells government securities, the

Multiple Choice

A. money supply and economic activity decrease.

B. money supply and economic activity increase.

C. property taxes increase.

D. property taxes decrease.

Answers

When the Federal Reserve Board sells government securities, the money supply and economic activity decrease (A).

When the Federal Reserve Board sells government securities, it effectively reduces the money supply in the economy. This is because when the Federal Reserve sells government securities, it takes money out of circulation by transferring funds from the buyer's bank account to the Federal Reserve. As a result, there is less money available for lending and spending, leading to a decrease in the overall money supply.

A decrease in the money supply has a direct impact on economic activity. With less money available for borrowing and spending, businesses and individuals have reduced access to credit and lower purchasing power. This can lead to a decrease in investment, consumption, and overall economic activity.

Property taxes, on the other hand, are unrelated to the actions of the Federal Reserve Board selling government securities. Property taxes are typically determined and collected by local governments to fund public services and infrastructure projects and are not directly influenced by the Federal Reserve's monetary policy actions. Hence, when the Federal Reserve Board sells government securities, both the money supply and economic activity decrease (A).

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Let's say you invested in WXYZ Corp. beginning in 2018 , and that the firm's return was 3% in 2018,9% in 2019,−11% in 2020,21% in 2021 , Then what is the variance of the returns?

Answers

Answer:

The variance of the returns for the years 2018 to 2021 is approximately 96.81%.

Explanation:

To calculate the variance, we first find the average return by summing the returns for each year and dividing by the total number of years. In this case, the average return is 5.5%. Next, we calculate the squared difference between each year's return and the average return. We square the differences and sum them up to obtain the sum of squared differences. The sum of squared differences is then divided by the number of years minus one to calculate the variance, which is approximately 96.81%.

Understanding the variance of returns is important in assessing the volatility or risk associated with an investment. It measures the dispersion of returns around the average return, providing insight into the fluctuation of investment performance over time.

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a cost- analysis involves an assessment of marginal costs and marginal benefits associated with a project or program. (remember to type only one word in the blank.)

Answers

True. A cost-analysis involves assessing the marginal costs and marginal benefits associated with a project or program.

It aims to compare the additional costs incurred and the additional benefits gained from implementing a particular project or program.

By examining the marginal costs and marginal benefits, decision-makers can evaluate whether the benefits outweigh the costs and determine the economic feasibility and efficiency of the project.

In a cost-analysis, marginal costs refer to the additional costs incurred by producing one additional unit or implementing an additional activity. These costs include direct expenses such as materials, labor, and overhead costs.

On the other hand, marginal benefits represent the additional benefits derived from producing one additional unit or implementing an additional activity. These benefits can be economic, social, or environmental in nature.

By comparing the marginal costs and marginal benefits, decision-makers can make informed choices about resource allocation and determine whether the project or program is worth pursuing. If the marginal benefits exceed the marginal costs, it indicates a positive cost-benefit ratio and suggests that the project or program is economically viable.

However, if the marginal costs outweigh the marginal benefits, it may indicate that the project or program may not be cost-effective and alternative options should be considered.

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B. Based on the completed Income Statement and Balance Sheet in part A, calculate the following accounting ratios (i) to (viii). Show your calculations. (i) Current Ratio (ii) Days' Sales in Inventory (iii) Accounts Receivable Turnover (iv) Gross Profit Ratio (v) Return on Owner's Equity (vi) Debt Ratio (vii) Average Daily Rate (ADR) (viii) Average Check (28 marks) Task A sustainable business requires effective planning and financial management. Ratio analysis is a useful management tool that will improve management understanding of the financial results and trends over time and provide key indicators of organizational performance.

Answers

In order to calculate the accounting ratios requested in part B, we need to refer to the completed Income Statement and Balance Sheet in part A. The average check is a ratio used in the restaurant industry to measure the average amount spent per customer.

Let's go through each ratio and I'll show you how to calculate them step by step:
(i) Current Ratio: The current ratio measures a company's ability to pay its short-term liabilities with its short-term assets. It is calculated by dividing the total current assets by the total current liabilities. For example, if the total current assets are $50,000 and the total current liabilities are $25,000, the current ratio would be 2:1.

(ii) Days' Sales in Inventory: This ratio indicates the average number of days it takes for a company to sell its inventory. It is calculated by dividing the average inventory by the cost of goods sold and then multiplying by 365 (days in a year). For example, if the average inventory is $10,000 and the cost of goods sold is $50,000, the days' sales in inventory would be 73 days.

(iii) Accounts Receivable Turnover: This ratio measures how quickly a company collects its accounts receivable. It is calculated by dividing the net credit sales by the average accounts receivable. For example, if the net credit sales are $100,000 and the average accounts receivable is $20,000, the accounts receivable turnover would be 5 times.

(iv) Gross Profit Ratio: The gross profit ratio shows the percentage of sales revenue that remains after deducting the cost of goods sold. It is calculated by dividing the gross profit by the net sales and then multiplying by 100. For example, if the gross profit is $20,000 and the net sales are $100,000, the gross profit ratio would be 20%.

(v) Return on Owner's Equity: This ratio measures the profitability of a company's owners' investment. It is calculated by dividing the net income by the average owner's equity and then multiplying by 100. For example, if the net income is $10,000 and the average owner's equity is $50,000, the return on owner's equity would be 20%.

(vi) Debt Ratio: The debt ratio shows the proportion of a company's assets that are financed by debt. It is calculated by dividing the total liabilities by the total assets and then multiplying by 100. For example, if the total liabilities are $30,000 and the total assets are $100,000, the debt ratio would be 30%.

(vii) Average Daily Rate (ADR): The average daily rate is a ratio commonly used in the hospitality industry to measure the average revenue generated per occupied room. It is calculated by dividing the total revenue by the number of occupied rooms. For example, if the total revenue is $10,000 and there were 100 occupied rooms, the average daily rate would be $100.

(viii) Average Check: It is calculated by dividing the total sales by the number of customers. For example, if the total sales are $1,000 and there were 50 customers, the average check would be $20.

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FILL THE BLANK.
_____ is an in-company program designed to remedy current and future inequities in employment of minorities.
A) Protected groups
B) Equal employment opportunity
C) Affirmative action
D) Disparate effect

Answers

Affirmative action is an in-company program designed to remedy current and future inequities in employment of minorities.

It is implemented to address historical and systemic discrimination and promote equal opportunity in the workplace. Affirmative action aims to increase the representation and participation of underrepresented groups, such as racial or ethnic minorities and women, in employment and educational settings.

Through affirmative action, organizations take proactive steps to identify and eliminate barriers that prevent the full participation of historically disadvantaged groups. These steps may include implementing policies and practices that prioritize diversity, establishing goals and targets for representation, implementing outreach and recruitment initiatives targeting underrepresented groups, providing training and development opportunities, and ensuring fair and unbiased selection processes.

The purpose of affirmative action is to create a more inclusive and diverse workforce by providing equal opportunities for employment and advancement.

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Financial analysis uses EBITDA over EBIT because the former adds back ___ and ___ and is thus a better measure of pretax operating cash flow

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Financial analysis uses EBITDA over EBIT because the former adds back Depreciation and Amortization and is thus a better measure of pretax operating cash flow.

EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) is a financial metric that excludes non-operating expenses like interest and taxes and includes back non-cash expenses like depreciation and amortization.

In general, EBITDA is used to evaluate the profitability of a company. This financial metric is particularly useful when assessing a company's ability to service its debt. EBITDA is often considered a better measure of operating cash flow than EBIT (Earnings Before Interest and Taxes) because it adjusts for non-cash expenses and gives a more accurate representation of a company's cash-generating capabilities.

EBITDA provides a more complete picture of a company's profitability than EBIT. EBIT only measures operating profit before interest and taxes. Therefore, EBITDA is often used by investors and analysts to compare the financial performance of companies with different capital structures and tax rates. EBITDA is also used to analyze the potential returns of acquisitions and other business transactions.

However, it's important to note that EBITDA is not a GAAP (Generally Accepted Accounting Principles) metric. As a result, it can be susceptible to manipulation by companies looking to inflate their profitability. Therefore, it's important to use EBITDA in conjunction with other financial metrics to get a comprehensive view of a company's financial health.

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1. The following is true about the Work Breakdown Structure:

A. It usually includes the total budget and the distribution of such budget either in money or in percentages.

B. It "splits" into all different activities of the project.

C. All the given options

D. It is a graph that can have multiple levels

2. What is the difference between the EOQ and the PQM models for inventory management?

A. The EOQ is used for retailing and PQM is used for Production

B. None of the given options

C. All the given options

D. In the EOQ model, the units are received in a specific moment of time, while in the PQM model the units are created during an interval of time.

Answers

1. The difference between the EOQ and PQM models for inventory management is that in the EOQ model (D), the units are received in a specific moment of time, while in the PQM model, the units are created during an interval of time.

2.  All the given options (C) are true about the Work Breakdown Structure (WBS).

1. The EOQ (Economic Order Quantity) model is a widely used inventory management technique that helps determine the optimal order quantity to minimize total inventory costs.  On the other hand, the PQM (Periodic Quantity Model) is an inventory management model where inventory levels are reviewed and orders are placed at fixed time intervals. It considers the inventory position at specific points in time, usually based on a predetermined review period.

Hence, the primary difference between the EOQ and PQM models lies in the timing of units received or created, with the EOQ model focusing on specific moments of time for order placement and the PQM model considering intervals of time for reviewing and ordering inventory. The correct answer is (D).

2. The Work Breakdown Structure (WBS) is a hierarchical decomposition of the project scope, and it serves as a fundamental tool in project management.  Option A states that the WBS usually includes the total budget and the distribution of that budget in either monetary terms or percentages. This is true because the WBS helps in estimating and allocating the budget to different components of the project, allowing for better financial planning and control.

Option B states that the WBS "splits" into all different activities of the project. This is also true as the WBS breaks down the project into smaller activities, tasks, and subtasks, providing a comprehensive and organized view of the project's work breakdown. Option D states that the WBS is a graph that can have multiple levels. This is true as the WBS is typically represented as a hierarchical structure, where each level represents a different level of detail and decomposition.Therefore, since all the given options (A, B, and D) are true, the correct answer is (C) All the given options. Hence, the Work Breakdown Structure includes the total budget, splits into different project activities, and can have multiple levels.

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In Macroland there is $1,000,000 in currency that can either be held by the public as currency or deposited into banks. Banks' desired reserve/deposit ratio is 10%. If the public of Macroland decides to hold more currency, increasing the proportion they hold from 50% to 75%, what will happen to the money supply in Macroland?

A) increase.

B) decrease.

C) remain the same.

D) either increase or decrease.

Answers

The increase in the proportion of currency held by the public from 50% to 75% will lead to a decrease in the money supply in Macroland. Option B.

If the public of Macroland decides to hold more currency, increasing the proportion they hold from 50% to 75%, it will lead to a decrease in the money supply in Macroland.

To understand why, let's consider the scenario before and after the change in the proportion of currency held by the public:

Before the change:

Currency held by the public: 50% of $1,000,000 = $500,000

Deposits in banks: 50% of $1,000,000 = $500,000

After the change:

Currency held by the public: 75% of $1,000,000 = $750,000

Deposits in banks: 25% of $1,000,000 = $250,000

The desired reserve/deposit ratio of banks is given as 10%. This means that banks are required to hold 10% of the deposits as reserves and can lend out the remaining 90%. Considering this ratio, the changes in the money supply are as follows:

Before the change:

Reserves in banks: 10% of $500,000 = $50,000

Loans made by banks: 90% of $500,000 = $450,000

After the change:

Reserves in banks: 10% of $250,000 = $25,000

Loans made by banks: 90% of $250,000 = $225,000

As we can see, the total money supply in Macroland decreased from $1,000,000 to $975,000 ($750,000 in currency held by the public + $225,000 in loans made by banks). Therefore, the correct answer is B) decrease.

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mvc may terminate your road test before it starts because of

Answers

The Motor Vehicle Commission (MVC) may terminate your road test before it starts due to various reasons. It's important to be aware of these factors to avoid any unnecessary inconvenience and ensure a successful road test experience.

One common reason for termination is the failure to meet the prerequisites for taking the road test. The MVC has certain requirements that must be fulfilled before scheduling a road test.

These typically include having a valid learner's permit, completing the required practice hours, and meeting any age restrictions or documentation criteria. If you fail to meet these prerequisites, the MVC may terminate your road test appointment.

Another factor that may lead to the termination of a road test is the condition of the vehicle. The MVC mandates that the vehicle used for the road test must be in proper working order, with all safety features intact. This includes functioning brakes, headlights, turn signals, mirrors, & windshield wipers, among other requirements.

Moreover, non-compliance with MVC regulations & instructions during the road test can also result in termination. It is crucial to adhere to traffic rules, follow the examiner's directions, & demonstrate safe driving practices.

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Manufacturers and retailers have used product bar codes for many years. What information does the 13-digit European Article Number (EAN) contain that the 12-digit Universal Product Code (UPC) did not, and why is this information important?

Answers

The 13-digit European Article Number (EAN) contains a country code that the 12-digit Universal Product Code (UPC) did not have. This country code is important as it identifies the country or region where the product was manufactured or registered.

The additional digit in the 13-digit EAN represents the country code, which provides valuable information about the origin of the product. This information is important for several reasons.

Firstly, the country code helps in inventory management and supply chain logistics. It allows manufacturers, retailers, and distributors to track the origin of products, identify their source, and manage their inventory accordingly. This helps ensure efficient stock management, timely replenishment, and accurate tracking of products throughout the supply chain.

Secondly, the country code is crucial for international trade and customs procedures. It enables customs authorities to identify the country of origin of imported goods, apply the appropriate tariffs or duties, and enforce trade regulations and policies.

Overall, the inclusion of the country code in the 13-digit EAN provides additional information that enhances product identification, inventory management, supply chain efficiency, and supports international trade processes.

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A heap sort is not as efficient as merge sort
True
False

Answers

False. Heap sort and merge sort are both efficient sorting algorithms, but their efficiency can vary depending on the specific circumstances.

In general, both algorithms have a time complexity of O(n log n), but there are factors that can influence their performance. For example, in terms of space complexity, merge sort typically requires additional memory for the merging process, while heap sort operates in-place.

Ultimately, the efficiency of a sorting algorithm depends on various factors such as the input size, the initial order of elements, and the specific implementation details. It is not accurate to make a blanket statement that one algorithm is universally more efficient than the other.

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a consumer price index attempts to measure changes in:

Answers

A consumer price index attempts to measure changes in the prices paid by urban consumers for a market basket of consumer goods and services.

The consumer price index (CPI) is a measure that attempts to track changes in the prices paid by urban consumers for a market basket of consumer goods and services. It is used to gauge inflation and understand how the cost of living changes over time.

The CPI takes into account a wide range of goods and services that are commonly purchased by consumers, including food, housing, transportation, clothing, medical care, and recreation. By monitoring the prices of these items, the CPI provides an indication of how much more or less consumers need to spend to maintain their standard of living.

For example, if the CPI shows a significant increase over a certain period, it suggests that the overall cost of living has gone up. This means that consumers would need to spend more money to purchase the same goods and services as before. On the other hand, if the CPI shows a decrease, it indicates that the cost of living has decreased, and consumers would need to spend less money to maintain their standard of living.

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which of the following actions violates finra rules regarding selling away

Answers

selling away refers to a situation where a broker engages in securities transactions outside the scope of their employment with a member firm. violations of FINRA rules regarding selling away include recommending or selling securities not approved by the broker's firm, engaging in private securities transactions without approval, participating in the sale of securities without the knowledge and consent of the firm, and accepting compensation for unauthorized securities transactions.

selling away refers to a situation where a broker engages in securities transactions outside the scope of their employment with a member firm. This is considered a violation of FINRA rules as it can lead to potential conflicts of interest and lack of supervision.

There are several actions that can violate FINRA rules regarding selling away:

Recommending or selling securities that are not approved or offered by the broker's firm.Engaging in private securities transactions without proper disclosure and approval.Directly or indirectly participating in the sale of securities without the knowledge and consent of the broker's firm.Accepting compensation for securities transactions that are not approved or offered by the broker's firm.

These actions violate FINRA rules because they can expose investors to potential risks and undermine the integrity of the securities market. FINRA rules aim to protect investors by ensuring that brokers act in the best interests of their clients and operate within the regulatory framework.

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Apply concepts from pages 6-1 through 6-4 and page 6-7 of the VLN to answer the following: The company sales were $500,000 they had $10,000 in sales discounts and cost of good sold of $320,000 and operating expenses totaling $120,000. What is the company's gross profit ratio? Carry it out to 1 decimal place. Do not include the % sign in your answer. _%

Answers

The company's gross profit ratio is approximately 34.7%. This ratio represents the percentage of each sales dollar that remains as profit after deducting the cost of goods sold.

To calculate the company's gross profit ratio, we need to first determine the gross profit. The gross profit is obtained by subtracting the cost of goods sold (COGS) from the net sales.

Net Sales = Sales - Sales Discounts

Net Sales = $500,000 - $10,000

Net Sales = $490,000

Gross Profit = Net Sales - COGS

Gross Profit = $490,000 - $320,000

Gross Profit = $170,000

Now, we can calculate the gross profit ratio by dividing the gross profit by the net sales and multiplying by 100.

Gross Profit Ratio = (Gross Profit / Net Sales) * 100

Gross Profit Ratio = ($170,000 / $490,000) * 100

Gross Profit Ratio ≈ 34.7%

Therefore, the company's gross profit ratio is approximately 34.7%. The gross profit ratio indicates the percentage of each sales dollar that is left after subtracting the cost of goods sold, and it provides insights into the company's ability to generate profits from its core operations.

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.The company's gross profit ratio, calculated as the gross profit divided by net sales and multiplied by 100, is approximately 34.7%. So, the correct answer is 34.7%.

To calculate the company's gross profit ratio, we need to determine the gross profit and net sales first. Let's break down the information provided:

Sales: $500,000

Sales discounts: $10,000

Cost of goods sold (COGS): $320,000

Operating expenses: $120,000

To find the gross profit, we subtract the sales discounts and COGS from the sales:

Gross Profit = Sales - Sales Discounts - COGS

Gross Profit = $500,000 - $10,000 - $320,000

Gross Profit = $170,000

Now, let's calculate the net sales:

Net Sales = Sales - Sales Discounts

Net Sales = $500,000 - $10,000

Net Sales = $490,000

The gross profit ratio is calculated by dividing the gross profit by net sales and multiplying by 100 to express it as a percentage:

Gross Profit Ratio = (Gross Profit / Net Sales) * 100

Gross Profit Ratio = ($170,000 / $490,000) * 100

Gross Profit Ratio ≈ 34.7%

Therefore, the company's gross profit ratio is approximately 34.7%. This ratio indicates that for every dollar of sales, the company retains 34.7 cents as gross profit after deducting the cost of goods sold.

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Remember to also create two constructors on the child classes that call the parent constructor of the Person class.o End the program by reading the people (the teacher and the students) and execute the Explain and Study methods.o When defining all the properties, use property concept of C#class Test{public static void Main(string[] args){Person[] person = new Person[3];Console.Write("Enter Name 1 : ");string name = Console.ReadLine();Student s1 = new Student(name);Console.Write("Enter Name 2 : ");name = Console.ReadLine();Student s2 = new Student(name);Console.Write("Enter Name 3 : ");name = Console.ReadLine();Teacher t = new Teacher(name);person[0] = s1;person[1] = s2;person[2] = t;Console.WriteLine(person[0].toString());Console.WriteLine(person[1].toString());Console.WriteLine(person[2].Explain());}}class Person{public string Name;public Person(string N){Name = N;}public string toString(){return ("Name: " + Name);}}class Student : Person{public Student(string N) : base(N){}public void Study(){Console.WriteLine("The student is studying\n");}}class Teacher : Person{public Teacher(string N) : base(N){}public void Explain(){Console.WriteLine("The teacher is explaining\n");}}} In the balance sheet of the end of its first year of operations, Dunty lncorporated reported an aliowonce for uncolectibio accounts of 382 200 During the yeac, Dinty wrote oft $31300 of accounts receivable it had attemptod to collect and falled. Credit sales for the year were $2,390,000, and cash collections from credia customers totaled $1760.000. What bad debt expense would Dinty report in its firstyear income statement?