over a period of time both the price and the quantity sold of a certain product have increased. one possible explanation might be that:

Answers

Answer 1

The most possible explanation of why both the price and the quantity sold of a certain product have increased over time could be the concept of supply and demand.

Supply and demand are two fundamental principles that govern the market, and together they determine the prices of goods and services.

Supply refers to the number of products that are available in the market to purchase while demand refers to the number of people who want to buy a particular product. When demand for a product increases and supply remains constant, the price of the product tends to rise.

On the other hand, when supply increases and demand remains the same, the price tends to decrease. When both demand and supply increase, the equilibrium price may rise, fall or remain constant. But when both price and quantity sold increases, it could be because of a shift in the demand curve or supply curve of the product, such as a change in consumers' preferences, an increase in advertising, a change in the price of related goods, a change in technology or productivity, or government regulations.

Therefore, we can conclude that an increase in both the price and quantity sold of a particular product over time might be due to the shift in demand or supply curve.

Learn more about supply curve from the given link:

https://brainly.com/question/31287919

#SPJ11


Related Questions

What are the four ingredients used in making chocolate mousse? 2. Which scientific method is used in mixing melted chocolate and whipped cream? 3. How important is it to manage temperature in making chocolate mousse and why? 4. What is the different between a chocolate mousse served as a dessert and chocolate mousse made for a chocolate mousse cake filling?

Answers

The four ingredients used in making chocolate mousse are chocolate, eggs, sugar, and heavy cream. Emulsion method is used to mix melted chocolate and whipped cream. Temperature management is important in making chocolate mousse to achieve the desired texture. The main difference between the two is the texture and density.

1. The four ingredients used in making chocolate mousse are chocolate, eggs, sugar, and heavy cream.

2. The scientific method used in mixing melted chocolate and whipped cream is emulsion. Emulsion is the process of mixing two immiscible liquids, such as oil and water, to create a stable mixture.

3. Temperature management is crucial in making chocolate mousse because it affects the texture and consistency of the mousse. If the chocolate is too hot when mixed with the eggs and cream, it can cause the mixture to curdle or seize. On the other hand, if the chocolate is too cold, it may not mix well with the other ingredients and result in a lumpy or grainy texture.

4. The main difference between a chocolate mousse served as a dessert and a chocolate mousse made for a chocolate mousse cake filling is the texture. A mousse served as a dessert is typically lighter and fluffier, while a mousse used for filling a cake is denser and more stable to hold its shape. Additionally, a mousse used for filling a cake may have additional stabilizers, such as gelatin or cornstarch, to ensure it sets properly and can hold up the weight of the cake layers.

To know more about Emulsion here

https://brainly.com/question/28886335

#SPJ4

Which type of markets help companies to raise capital for the first time: Select one: a. Money market b. Primary market c. Secondary market d. Stock market

Answers

In the primary market, companies are able to raise capital for the first time through the issuance of new securities. The correct option is B. Primary market.

The primary market is a market for new issues or new securities. This means that it is a market in which companies or firms can raise new funds or capital by issuing securities such as shares, debentures, bonds, or any other type of instrument. These new securities are sold directly to investors through underwriters who buy the securities from the issuer and then sell them to investors on a commission basis.

The secondary market, on the other hand, is the market in which existing securities or financial instruments are traded. These are the securities that have already been issued and are now being bought and sold by investors.

The stock market, which is a type of secondary market, is the market in which shares of publicly traded companies are bought and sold by investors. It is not a market that helps companies raise capital for the first time. The correct option is B. Primary market.

Know more about the primary market,

https://brainly.com/question/17168396

#SPJ11

A third party guarantees the residual value of the leased asset. The lessee is given an option to purchase the asset and the lessee is reasonably certain to exercise this option. The lease term is for a major part of the economic life of the asset (i.e., substantially all of the asset's useful life). The asset is of specialized nature, which means it has no alternative use to the lessor at the end of the lease term.

Answers

Sale and leaseback arrangement is a contract in which the owner of an asset sells the asset to another party and then leases it back from that party. It is one of the few financing options that can provide a company with cash without having to dispose of its assets or take out a loan.

Furthermore, it enables businesses to hold on to their fixed assets while still generating revenue. When a company enters into a sale and leaseback agreement, it typically benefits from reduced costs, greater cash flow, and increased flexibility. It enables businesses to liquidate a portion of their assets, allowing them to reinvest in the company's operations or pay off outstanding debts. This financial strategy provides a variety of advantages for businesses looking to achieve their goals, including: Companies can sell their assets to raise cash quickly. As a result, this approach is perfect for businesses that need to free up some cash quickly to pay off debts, purchase new assets, or fund business expansion initiatives. Sale and leaseback arrangements, unlike traditional financing options, do not have any direct impact on a company's credit score.

A leaseback allows companies to continue to use their assets without incurring significant maintenance costs. The majority of sale and leaseback transactions are structured so that the leasing company maintains the asset. This implies that the lessee is not responsible for repairing or maintaining the asset. By agreeing to a sale and leaseback arrangement, companies can continue to use their assets without having to worry about the cost of repairing or maintaining them. Beneficial for companies that cannot obtain traditional bank financing. If a company is experiencing financial difficulties, a sale and leaseback agreement can provide the capital it requires to get back on track.

This strategy is frequently used by small businesses and start-ups that are unable to secure traditional bank financing. Sale and leaseback agreements are an excellent option for businesses that need to raise cash quickly but do not qualify for traditional bank loans. In summary, a sale and leaseback transaction is an excellent way for companies to free up capital quickly while still retaining ownership of their assets. It's also an excellent way for businesses to reduce costs and gain more flexibility.

To know more about leaseback visit :-
https://brainly.com/question/14588176
#SPJ11

total earnings $ 85,000 $ 11,000 shares outstanding 30,000 8,000 pre-share values: market $ 58 $ 13 book $ 6 $ 2 assume that firm x acquires firm y by issuing long-term debt for all the shares outstanding at a merger premium of $6 per share, and that neither firm has any debt before the merger. list the assets of the combined firm assuming the purchase accounting m

Answers

In a merger where Firm X acquires Firm Y by issuing long-term debt for all the shares outstanding, the assets of the combined firm can be determined using purchase accounting method.

To calculate the assets of the combined firm, we need to consider the following: Total earnings:  Firm X: $85,000 Firm Y: $11,000Shares outstanding:  Firm X: 30,000 shares Firm Y: 8,000 shares Pre-share values: Market value: Firm X: $58 Firm Y: $13 Book value: Firm X: $6 Firm Y: $2 To calculate the assets of the combined firm, we need to determine the purchase price of Firm Y. The purchase price is calculated by multiplying the merger premium per share ($6) by the number of shares outstanding in Firm Y (8,000).

Purchase price of Firm Y = Merger premium per share * Shares outstanding in Firm Y = $6 * 8,000 = $48,000 After the merger, the assets of the combined firm would include the assets of both Firm X and Firm Y, as well as the long-term debt issued for the acquisition. It's important to note that the exact breakdown of the assets would depend on the specific details of the firms involved, such as their individual assets, liabilities, and other factors.

To know more about long-term debt visit :

https://brainly.com/question/34148148

#SPJ11

The following game is best described as:
A. Assurance
B. Coordination
C. Chicken
D. Prisoner's Dilemma

Answers

The following game is best described as a "Chicken" game. Chicken game is a game in game theory. It is a scenario where two drivers drive towards each other on a collision course: one must swerve, or they both die in the crash.

The game has two pure strategy Nash equilibria—one that is inefficient, where both players swerve away from each other and one where one player swerves, causing the other player to lose the game. Game theory is a mathematical way of analyzing and understanding strategic interaction between individuals, businesses, and governments. It is used in a variety of fields, including economics, political science, psychology, and biology.

To know more about Chicken game visit:

https://brainly.com/question/32570309

#SPJ11

step 3: create user group and collaborative folder now, you'll run the commands to fully set up a group on your system. this requires you to create a group, add users to it, create a shared group folder, and set the group folder owners for this shared folder. add the group engineers to the system. add users sam, joe, amy, and sara to the managed group. the process is similar to the one you used to add admin to the sudo group in the previous step. create a shared folder for this group: /home/engineers. change ownership on the new engineers' shared folder to the engineers group.

Answers

To create a user group, add users to it, create a shared group folder, and set the group folder owners, you can follow these steps.

The steps to be followed

1. Create a group called "engineers"  -

sudo groupadd engineers

2. Add users "sam," "joe," "amy," and "sara" to the "engineers" group  -

sudo usermod -a -G engineers sam

sudo usermod -a -G engineers joe

sudo usermod -a -G engineers amy

sudo usermod -a -G engineers sara

3. Create a shared folder for the group  -

sudo mkdir /home/engineers

4. Change ownership of the shared folder to the "engineers" group  -

sudo chown   - engineers /home/engineers

Now, the group "engineers" has   been created, and users "sam," "joe," "amy," and "sara" have been added toit.
The shared folder "/home/engineers" is ownedby the "engineers" group.

Learn more about user groups:
https://brainly.com/question/28452798
#SPJ4

Ranger Pool Company received cash of $40,000 and issued common stock. Which of the following accounts will be credited?
a. Common Stock
b. Accounts Receivable
c. Cash Accounts
d. Payable

Answers

When Ranger Pool Company receives cash of $40,000 and issues common stock, the appropriate account to credit would be "Common Stock." So, a) is correct.

In accounting, a credit entry is made on the right side of a general ledger account, while a debit entry is made on the left side. When a company issues common stock, it is essentially receiving an investment from its shareholders in exchange for ownership in the company. This transaction increases the equity or ownership stake of the shareholders.

To record this transaction, the common stock account is credited with the value of the shares issued. By crediting the common stock account, it reflects the increase in the shareholders' equity due to the capital contributed to the company.

b. Accounts Receivable: Accounts receivable represents amounts owed to the company by customers for credit sales. Since the transaction involves issuing common stock and receiving cash, it does not relate to accounts receivable.

c. Cash Accounts: Cash is received in this transaction, but it would be debited, not credited, to reflect the increase in the cash account.

d. Payable: Payables are typically accounts that represent amounts owed by the company to suppliers or other entities. Since the transaction involves issuing common stock and receiving cash, it does not involve a payable account.

Therefore, the correct answer is a) Common Stock, as it is the account that will be credited in this situation.

Learn more about shareholders here:

https://brainly.com/question/28170754

#SPJ11

the publication of untrue statements about another that hold up that individual's character or reputation to contempt and ridicule

Answers

The publication of untrue statements about another that hold up that individual's character or reputation to contempt and ridicule is known as defamation.

Defamation is the publication or broadcast of false statements about someone that are damaging to their reputation. The legal term for defamation is "slander" if the statement is spoken, and "libel" if it is written or broadcast.The following are some examples of defamatory statements:False accusations of a crime;False accusations of alcoholism or drug abuse;False accusations of professional misconduct;False accusations of sexual misconduct.

To know more about reputation visit:

https://brainly.com/question/32755232

#SPJ11

I need a flow chart with this information if its possiple.
Greet Customer
Takes Customer’s Order
Collects Money
The Cashier prepares the customer’s drink or donut order
The cashier serves the customer the drink or donut order
If a customer ordered a sandwich/wrap meal, the food counter attendant prepares the meal while the customer waits on their name to be called
the FCA serves the customer their meal and moves on to the other order

Answers

Yes, it's possible to create a flowchart with the given information. Here is the flowchart for the process of serving the customer in a restaurant:Flowchart for the Process of Serving Customers in a Restaurant:Explanation:Greet Customer: The process starts with greeting the customer.Takes Customer's Order: Then, the staff takes the customer's order.

Collects Money: After that, the staff collects the money from the customer.The Cashier prepares the customer’s drink or donut order: Next, the cashier prepares the customer’s drink or donut order.The cashier serves the customer the drink or donut order: After preparing the order, the cashier serves the customer the drink or donut order.If a customer ordered a sandwich/wrap meal,

the food counter attendant prepares the meal while the customer waits on their name to be called: If the customer ordered a sandwich/wrap meal, the food counter attendant prepares the meal while the customer waits for their name to be called.The FCA serves the customer their meal and moves on to the other order: The FCA (food counter attendant) serves the customer their meal and moves on to the other order, and the process continues.I hope this helps!

To know more about possible visit:

https://brainly.com/question/30584221

#SPJ11

In the market for a normal good, an increase in income will cause an increase in , an increase in quantity , and a(n) in price. demand; supplied; increase demand; supplied, decrease supply; demanded; increase supply; demanded; decrease When the price of inputs decreases: there is an upward movement along the supply curve. there is a downward movement along the supply curve. the supply curve shifts down and to the right. the supply curve shifts up and to the left.

Answers

In the market for a normal good, an increase in income will cause an increase in demand, an increase in quantity supplied, and a(n) increase in price. is the correct option.

The law of demand suggests that an increase in the price of a product decreases the demand for it while a decrease in its price raises the demand. The inverse relationship between the price and quantity demanded is important in the study of the market demand curve, which is the summation of all individual demands in a market.

A normal good is defined as a good that has a positive income elasticity of demand (YED), implying that as the consumer's income rises, the quantity demanded of the good increases. Therefore, an increase in income will cause a rightward shift in the demand curve of the good while its supply curve remains constant. This rightward shift shows an increase in demand, and an increase in the quantity supplied, resulting in a higher price for the normal good.

The correct option  is: In the market for a normal good, an increase in income will cause an increase in demand, an increase in quantity supplied, and a(n) increase in price. When the price of inputs decreases, there is a downward movement along the supply curve.

Know more about the normal good,

https://brainly.com/question/12671549

#SPJ11

What could be an other marketing mix considerations for a parking app business that is the people process and positioning

Answers

A parking app is a mobile app designed to assist users in finding and reserving parking spaces. Parking app businesses that provide parking solutions to customers must consider more than just the traditional marketing mix of product, price, promotion, and place.

They must also consider people, process, and positioning when developing their marketing mix.People: A parking app business must ensure that its employees, including customer service representatives and parking attendants, are competent, friendly, and knowledgeable in their areas of expertise.

The parking app business should consider training its employees in customer service, conflict resolution, and problem-solving skills to ensure that customers are satisfied.Process: The parking app business should streamline its processes to make them efficient and effective.

The business should design and implement procedures that enable customers to quickly find and reserve parking spaces, pay for parking, and access the parking area. The parking app business should also ensure that its payment processing system is secure and reliable.

Positioning: The parking app business should position itself in the market as a convenient and cost-effective solution to parking problems. The parking app business should communicate its value proposition to potential customers through various marketing channels, including social media, paid advertising, and public relations.

To know more about designed visit:

https://brainly.com/question/17147499

#SPJ11

Euro Tech. earned $120 million this year. They announced an annual dividend of 40% of its earnings. The
Tech Company has around 30 million shares outstanding. It is expected that the company's earnings will grow at
an 8% annual rate forever. The required return on their shares is 12%.
a.
Calculate the current dividend per share.
b
Calculate the expected dividend per share for next year.
C
Using the dividend discount model, calculate Euro Tech.'s share price today.
d
Using dividend discount model, calculate the share price in the next 3 years.
ii.
It has been observed that as a company announce a new issue of common stocks market value of
existing equity drops. Please explain at least three possible reasons

Answers

a. To calculate the current dividend per share, we first need to find the earnings per share. Earnings per share = earnings / number of sharesoutstanding = $120,000,000 / 30,000,000 = $4Therefore, the current dividend per share = 40% x $4 = $1.60b.

The expected dividend per share for next year can be found as follows:Expected earnings per share for next year = Earnings per share * (1 + growth rate) = $4 * (1 + 8%) = $4.32Therefore, the expected dividend per share for next year = 40% x $4.32 = $1.728c. To calculate the share price using the dividend discount model, we can use the following formula:P = D1 / (r - g)where,P = share price todayD1 = expected dividend per share for next yearr = required return on sharesg = growth rate of dividendsUsing the values from the previous calculations:P = $1.728 / (12% - 8%) = $57.60

Therefore, Euro Tech.'s share price today is $57.60d. To calculate the share price in the next 3 years using the dividend discount model, we can use the following formula:P = D4 / (r - g)where,P = share price in 3 yearsD4 = expected dividend per share in 3 yearsr = required return on sharesg = growth rate of dividendsUsing the formula from part c, we can calculate the expected share price today in 3 years:P = $2.07 / (12% - 8%) = $69.00Therefore, Euro Tech.'s share price in the next 3 years using the dividend discount model is $69.00.ii. There are a few possible reasons why the market value of existing equity may drop when a company announces a new issue of common stocks.

To know more about dividend visit:

https://brainly.com/question/30030205

SPJ11

the great recession from 2007 through 2009 resulted in a loss of more than 15 million jobs. the same number of jobs had been returned by 2014.

Answers

The correct option is b. False. The statement is not accurate. It took several years for the job market to recover, and the total number of jobs did not reach the pre-recession levels by that time.

The Great Recession, which occurred from 2007 through 2009, indeed caused a significant loss of jobs. However, by 2014, the number of jobs lost during the recession had not been fully regained.

While there was some job growth during that period, the recovery was not strong enough to restore all the jobs lost.

It took several more years for the labor market to fully recover and for job numbers to reach pre-recession levels. The impact of the Great Recession was profound and had long-lasting effects on employment, with job recovery being a gradual and ongoing process. The statement in option b is correct.

To know more about pre-recession levels:

https://brainly.com/question/14174419

#SPJ4

--The given question is incomplete, the complete question is given below " The Great Recession from 2007 through 2009 resulted in a loss of more than 15 million jobs. The same number of jobs had been returned by 2014. a. True b. False"--

Our study used EQ-5D questionnaires for HRQoL assessments. The EQ-5D is one of the most commonly used generic preference-based health status questionnaires [14]. Tree-level EQ-5D (EQ-5D-3L) contains five dimensions: mobility, self-care, usual activities, pain/ discomfort, and anxiety/depression, each with three response levels (no problems, some/moderate problems, or severe/extreme problems). It also has a visual analog scale (EQ-VAS) measuring health on a scale of 0 to 100, with a higher score indicating better health. A five-response level version was later developed (EQ-5D-5L) to enhance its sensitivity and reduce the ceiling effect [15]. Both versions have been validated in many diseases and conditions, including cardiovascular health [16].

Answers

The EQ-5D questionnaire is a widely used health status assessment tool that measures Health-Related Quality of Life (HRQoL). It consists of five dimensions with three response levels each, and includes a visual analog scale (EQ-VAS) to measure overall health.

The EQ-5D questionnaire is a well-known and commonly used tool for assessing HRQoL. It provides a standardized method to measure health status by considering five dimensions: mobility, self-care, usual activities, pain/discomfort, and anxiety/depression. Each dimension has three response levels, allowing individuals to indicate the extent of problems experienced in each area.

In addition to the five dimensions, the EQ-5D questionnaire includes a visual analog scale (EQ-VAS). This scale enables individuals to rate their overall health on a continuum from 0 to 100, with higher scores indicating better health.

Over time, a five-response level version called EQ-5D-5L was developed to improve sensitivity and address limitations associated with a ceiling effect. This newer version provides more detailed information and allows for a finer assessment of health status.

The EQ-5D questionnaire and its variations have undergone validation in various diseases and conditions, including those related to cardiovascular health. This ensures its applicability and reliability in assessing HRQoL in different populations and clinical settings.

learn more about HRQoL here:

https://brainly.com/question/32241554

#SPJ11

a fund generates an annual return of 8% and a standard deviation of 17%. the benchmark market index return is 10% and has a standard deviation of 16%. based on the sharpe measure, what can you conclude regarding the performance of the fund relative to the benchmark? a fund generates an annual return of 8% and a standard deviation of 17%. the benchmark market index return is 10% and has a standard deviation of 16%. based on the sharpe measure, what can you conclude regarding the performance of the fund relative to the benchmark? the performance cannot be ascertained without information on risk-free rate. the fund outperformed the fund underperformed the fund has the same sharpe measure as the benchmark

Answers

The fund's Sharpe measure indicates underperformance relative to the benchmark.

Is the fund's performance better than the benchmark?

The Sharpe measure assesses the risk-adjusted return of an investment by considering both its average return and its volatility. A higher Sharpe ratio suggests better risk-adjusted performance.

In this case, the fund has an annual return of 8% and a standard deviation of 17 resulting in a Sharpe ratio lower than that of the benchmark market index with a return of 10% and a standard deviation of 16%. Therefore, the fund is underperforming relative to the benchmark in terms of risk-adjusted returns.

Read more about funds performance

brainly.com/question/13736433

#SPJ4

Using the information given in 12. above, and assuming that alt the required ad usting entries have tieen correctly. made - whist thould be the amount shown on Greens june 30,2017 Balance 5 heet for Unearned Service Revenue? A. 560,000 8. $48,000 C. $36,000 D. 10 E. None of the above

Answers

As per the information given in the above question, the correct answer would be (E) None of the above as Unearned Service Revenue on June 30, 2017 is $368,000.

First, we need to calculate the Unearned service revenue for the month of June 2017. This can be done by using the following formula:

Unearned Service Revenue = Total Service Revenue - Service Revenue for June 2017

Since the total service revenue is $560,000 and the service revenue for June 2017 is $232,000, Unearned service revenue can be calculated as follows:

Unearned Service Revenue = $560,000 - $232,000

Unearned Service Revenue = $328,000

Now, we need to calculate the amount shown on the June 30, 2017 balance sheet for Unearned service revenue. To do this, we need to add the amount of Unearned service revenue on June 1, 2017, to the Unearned service revenue for June 2017. If there were no unearned revenues on June 1, 2017, the entire unearned revenue for June 2017 would be shown on the June 30, 2017 balance sheet.As per the information given in the above question, the company had $40,000 of Unearned Service Revenue on June 1, 2017.

Hence, the amount shown on the June 30, 2017 balance sheet for Unearned Service Revenue is:

Unearned Service Revenue on June 30, 2017 = $328,000 + $40,000

Unearned Service Revenue on June 30, 2017 = $368,000

Thus, none of the given options matches the above calculated answer i.e. $368,000. Hence, option (E) None of the above is the correct answer.

To know more about Unearned Service Revenue  visit:

https://brainly.com/question/30827415

#SPJ11

Books (Chapters/pages) I can use as reference for Operations and management Assignment based on the below Topics:
1. Identify risks and create risks plans 2. Project scope and deliverables 3. Structured development Process 4. Factors that should consider before opening business 5. Methods that can be used to improve and evaluate product and service design.

Answers

Here are some book references for your Operations and Management Assignment based on the given topics:1. Identify risks and create risks plans - "Project Management: A Managerial Approach" by Jack R. Meredith and Samuel J.

Mantel Jr. This book provides guidance on identifying and managing project risks.2. Project scope and deliverables - "A Guide to the Project Management Body of Knowledge" by Project Management Institute. This book offers insights into project scope and deliverables and how to effectively manage them. This book outlines a structured approach to development that prioritizes flexibility and adaptability.

4. Factors that should consider before opening business - "The Lean Startup: How Today’s Entrepreneurs Use Continuous Innovation to Create Radically Successful Businesses" by Eric Ries. This book provides guidance on identifying key success factors for new businesses. This book provides practical methods for improving product and service design.

To know more about Assignment visit:

https://brainly.com/question/30407716

#SPJ11

On the first day of the fiscal year, a company issues a $3,200,000, 6%, 5-year bond that pays semiannual interest of $96,000 ($3,200,000 x 6% x ½), receiving cash of $2,820,190.
Journalize the bond issuance. If an amount box does not require an entry, leave it blank.
Interest Expense
X
47,476 X
Premium on Bonds Payable
X
Cash
X
96,000 X

Answers

Bond issuance and interest expense journalizing:  To understand the journal entry for the bond issuance, let's break down the entry's four components: face value, semi-annual interest payments, semi-annual coupon payments, and issuance cost (usually the difference between the bond's face value and the amount received).

Here is the journal entry for the bond issuance: Date: [Year] [Month] [Day]Cash [Debit side]: Amount received from bond issuance ($2,820,190)Bonds Payable [Credit side]: Face value of the bond ($3,200,000)Premium on Bonds Payable [Credit side]:

Difference between the bond's face value and the amount received ($379,810). The entry to record the first semi-annual interest payment is as follows: Interest Expense [Debit side]:

Semi-annual interest payment ($96,000)Premium on Bonds Payable [Debit side]: Amortized premium for six months ($23,738)Cash [Credit side]:

Semi-annual interest payment ($96,000)The amount in the Premium on Bonds Payable account will rise over time, eventually reaching $0 when the bond matures.

To know more about issuance visit:

https://brainly.com/question/32104787

#SPJ11

Stacey Derringer is divorced and has two sons, ages five and six. Her ex-husband is paying $100 per child per week in child support. Now that her sons are in school full-time, Stacey has returned to work as an office manager with a salary of $50,000 per year. Since her income is enough to support the family, she has decided to put the child support money in a college fund for the boys. For the last year, she’s been depositing the money into a savings account, earning only 1 percent annual interest, and she’s accumulated $10,600. She realizes she needs to invest this money to earn a better return.
-Stacey is considering keeping the money in a bank savings account that earns 1 percent after taxes. Assuming that Stacey’s ex-husband will continue to pay the same amount of child support for each son until they reach the age of 18, calculate how much Stacey will be able to accumulate using this investment strategy. For ease of computation, you can assume end-of-year child support payments of $5,200 per year for each child. What is the risk of this type of investment strategy? Explain.
-What difference would it make if Stacey chose to invest in a balanced mutual fund that earns 6 percent after taxes? Assuming that Stacey’s ex-husband will continue to pay the same amount of child support for each son until they reach the age of 18, calculate how much Stacey will accumulate. For ease of computation, you can assume end-of-year child support payments of $5,200 per year for each child.

Answers

The two sons Stacey Derringer has are five and six years old and she is divorced. Child support from her ex-husband amounts to $100 per week each child.

She has been putting the money into a savings account for the past year, collecting just 1% interest every year, and she has amassed $10,600.

Assuming that Stacey’s ex-husband will continue to pay the same amount of child support for each son until they reach the age of 18, calculate how much Stacey will be able to accumulate using this investment strategy. For ease of computation, you can assume end-of-year child support payments of $5,200 per year for each child.

The total amount of child support for two children in a year is $10,400 ($5,200 per child).Stacey’s current savings balance is: Balance at the end of the first year = Principal amount + Simple interest= $10,400 + 1% of $10,400= $10,400 + $104= $10,504Stacey will get $10,504 at the end of the second year, $10,608 at the end of the third year, and so on.

Hence, Stacey will accumulate $232,168 ($10,504 for 18 years) with this investment strategy.

The risk of this type of investment strategy is inflation risk. The money Stacey is putting into the savings account will not be able to keep up with inflation since the interest earned is only 1%. As inflation increases, the money’s value is reduced, causing the fund's purchasing power to be weaker.

As a result, the $232,168 that Stacey will accumulate over 18 years may not be enough to cover her sons' college education expenses due to inflation. Assuming that Stacey’s ex-husband will continue to pay the same amount of child support for each son until they reach the age of 18, calculate how much Stacey will accumulate.

If Stacey invests in a balanced mutual fund that earns 6�ter taxes, the growth in the college fund will be significant. Stacey will be able to accumulate a total of $329,230 ($18,290 for 18 years) if she invests the child support in a balanced mutual fund that earns 6�ter taxes. The formula used to calculate the future value of an annuity is: FV = P * [(1 + r)n - 1] / r where, P = Annuity payment r = Rate of interest n = Number of payments FV = Future value of an annuity

So, the future value of the investment made in a balanced mutual fund that earns 6�ter taxes is:$5,200 * [(1 + 6%)18 - 1] / 6% = $95,418The total future value of the child support investment in a balanced mutual fund that earns 6�ter taxes would be:$95,418 * 2 (as there are two children) = $190,836The current value of $190,836 in 18 years' time, assuming inflation is 2.5% per year, will be $115,055.

To Know more about investment strategy

https://brainly.com/question/30160319

#SPJ11

As a consumer, what is the most important environmental or
social issue that you take into consideration when purchasing a
product?

Answers

As a consumer, the most important environmental or social issue that I take into consideration when purchasing a product is sustainability. Sustainability is the capacity to endure. This implies having a lasting effect on society and the environment. Consumers have become more aware of the impact that their purchases have on the planet, and they want to ensure that the products they purchase are produced sustainably and in an eco-friendly manner.

Sustainability is more than just reducing the amount of waste. It is about developing products that last longer, are produced using sustainable methods, and are less harmful to the environment. As a result, consumers are more likely to buy from companies that follow sustainable business practices. Consumers are increasingly becoming more conscious of the impact of their actions on the planet. They want to ensure that their purchases are environmentally and socially responsible. Consumers demand sustainable products and ethical production processes and are more likely to buy from companies that share their values. Therefore, sustainability is the most important environmental or social issue that I take into consideration when purchasing a product.

To know more about Sustainability visit:

https://brainly.com/question/32771548

#SPJ11

explain in details with some good examples below given
questions
1.Importance of project
management
2. Methods of variance
analysis
3. How to monitor the progress of the
project
4. Managing conflict w

Answers

1. Importance of project management : Project management is crucial because it helps ensure that a project is completed on time, within budget, and to the satisfaction of stakeholders. Project management helps project managers and teams stay organized and focused on the project's goals and objectives. The project management process includes planning, executing, monitoring, and controlling projects.

A project manager is responsible for overseeing the project and ensuring that it meets the requirements of stakeholders and is completed on time and within budget. Some of the benefits of project management include improved communication, increased productivity, and better risk management.

2. Methods of variance analysis : Variance analysis is a method used to compare actual results to planned results. It is used to identify differences between actual performance and planned performance. Variance analysis can be used to determine the causes of variances and to develop strategies for addressing them. There are several methods of variance analysis, including trend analysis, regression analysis, and budget variance analysis.

Collaboration involves working together to find a mutually beneficial solution. Avoidance involves avoiding the issue altogether. It is important for project managers to choose the right strategy for managing conflict based on the situation and the parties involved.

To know more about organized visit :

https://brainly.com/question/12825206

#SPJ11

a patent holder should mark its product as patented in order to achieve the fullest protections. each of the following is an acceptable means of marking the product except:

Answers

The acceptable means of marking the product is not marking it at all. While it is generally recommended for a patent holder to mark their product as patented to achieve the fullest protections, there is an exception where not marking the product at all is an acceptable means.

This exception is known as "virtual marking."Virtual marking refers to the practice of providing online or digital notice of a patent on a product rather than physically marking the product itself. It involves displaying the word "patent" or the abbreviation "pat." followed by the patent number on the product's website or in the product's documentation.Virtual marking allows patent holders to easily update patent information without the need to physically mark each product.

It is particularly useful for companies that produce a large volume of products or frequently update their patents. However, it is important to note that virtual marking is only acceptable if the patent holder provides a clear and easily accessible means of identifying the patented product online or in documentation.In summary, while marking a product as patented is generally recommended, an acceptable means of marking the product is not marking it at all and instead utilizing virtual marking.

To know more about patent visit:

https://brainly.com/question/34312444

#SPJ11

Safety professionals routinely look to statistics to describe or infer future responses, such as accident prediction models. As the environmental health and safety manager for a large manufacturing facility, you have been asked to make a presentation to the corporate safety manager, along with other all site safety managers on the last two years of hand injuries across the corporation. There are a total of 126 hand injuries with various causes. Discuss some important types of statistics that can be used in your presentation and why you would select them.
Your journal entry must be at least 200 words in length. No references or citations are necessary

Answers

Safety professionals rely on statistics to represent or deduce forthcoming events like accident prediction models. When given a task to create a presentation on hand injuries across a corporation, an environmental health and safety manager for a big manufacturing facility will select various statistics to be included in the presentation.

In the presentation, the manager would need to show statistics on the hand injuries over the last two years. The information should include the various causes of the hand injuries that occurred across the corporation and the ways of preventing such injuries.

Types of statistics that can be used in the presentationThe incidence rate of hand injuries- The incidence rate of hand injuries refers to the number of new hand injuries that have occurred during a particular period. It will be useful to know how many people got injured in the last two years and how many of them were new injuries.

The rate can also be broken down per site, department, or job titles, which will help show which areas are most vulnerable and need immediate attention.Injury severity- The severity of an injury describes the degree of harm caused. Using this statistic will help to show how severe the injuries were.

It can be presented in numbers like the number of lost days, medical treatments required, and the number of injuries that resulted in permanent disabilities or amputations. This statistic can be compared to past years or across sites to help determine trends.Frequency- Frequency is a measure of the total number of hand injuries that occurred over a particular period.

To know more about professionals visit:

https://brainly.com/question/30271798

#SPJ11

Which of the following is considered an environmental context factor in determination of work group effectiveness?A.Group composition B.Reducing conflict C.Fostering commitment D.Sharing knowledge E.Availability of training

Answers

E. Availability of training

Of the given alternatives, the environmental context factor that is considered in the determination of work group effectiveness is: "Availability of training".

What is Work Group Effectiveness?

Work group effectiveness refers to the productivity, satisfaction, and adaptability of a group to changes in their environment, especially in terms of job characteristics.

The primary aim of work group effectiveness is to encourage the organization's long-term success by creating a favorable and cohesive environment for members to work in.

When the work group is effective, the members have a sense of ownership, participate actively, communicate openly and transparently, and work together to achieve common goals.

Environmental context factors

The term environmental context factors refers to a set of factors that have a significant impact on a work group's productivity and performance.

Environmental context factors are outside of the work group but have a significant impact on its overall effectiveness.

Availability of training

Availability of training is an environmental context factor in determining work group effectiveness.

Training opportunities, including those that are specific to a job, enhance workers' skills, build confidence, and increase their productivity, which can result in increased satisfaction and retention.

The provision of training to a work group increases the members' overall confidence and motivates them to participate more actively in the organization's activities.

Consequently, by providing training opportunities to workers, organizations can encourage a positive work group environment, foster their development and enhance work group effectiveness.

Learn more about environmental context factor from this link:

https://brainly.com/question/30185569

#SPJ11

A nonprofit children’s hospital has the following federal grant awards for fiscal year ended June 30, 2020.
Agency CFDA Agency Name of Amount Risk
Prefix Extensiont Name Federal Award Expended Determination
12 420 Department of Defense Walter Reed Land Conveyance $18,160,000 Not low risk
93 110 Department of Health & Human Services Maternal Child Health Federal Consolidated Programs 353,768 Not high risk
93 389 Department of Health & Human Services National Center for Research Resources 2,107,532 Low risk
93 847 Department of Health & Human Services Diabetes, Digestive, and Kidney Diseases Extramural Research 2,538,030 Low risk
93 865 Department of Health & Human Services Child Health and Human Development Extramural Research 2,524,814 Not low risk
93 810 Department of Health & Human Services Health Care Innovation Awards 1,996,217 Low risk
20 U03 Department of Transportation National Highway Traffic Safety Administration Safety Grants 248,346 Not high risk
$27,928,707 a. Why is a Uniform Guidance audit required for this hospital?
Answer
b) Identify whether each program is Type A or Type B and whether the program should be
considered major.

Answers

The following grants were received by the nonprofit children's hospital based on information provided on federal grant awards:

CFDA Agency 12 420 Prefix/Extension DoD is the name of the organisation.   Walter Reed Land Conveyance Federal Award Grant Name Amount $18,160,00   Risk assessment: Not a low risk.

Agency prefix/extension: CFDA 93 110   Department of Health and Human Services   Grant Name: Federal Consolidated Programmes for Maternal and Child Healt  Amount of the federal award: $353,768

danger assessment: Not very high dangerAgency prefix/extension: CFDA 93 389   Department of Health and Human Services   National Centre for Research Resources is the grant's name.   Amount of the Federal Award: $2,107,532   Risk assessment: Low risk

learn more about nonprofit here :

https://brainly.com/question/15520433

#SPJ11

At Corner Bakery, the average customer in the "Young Mothers" segment brings in $80 in annual margin to the firm. In turn, Corner Bakery spends $21 per customer each year on retention communications. Acquiring a customer in this category costs the Corner Bakery an average of $57. Corner Bakery's retention rate for these customers is 81%. If the company maintains a discount rate of 12%, calculate customer lifetime value for 1 "Young Mothers" customer. Rounding: penny. Remember, the answer may be negative. Your Answer:

Answers

In order to calculate the customer lifetime value (CLV) for 1 "Young Mothers" customer at Corner Bakery, we need to first determine the contribution margin (CM), the retention rate (RR), the discount rate (DR), and the acquisition cost (AC) per customer. Then, we can use the following formula to calculate the CLV: CLV = CM * (1 - RR) / (DR - RR) - AC / (DR - RR)

Given that the average customer in the "Young Mothers" segment brings in $80 in annual margin to the firm,

the CM = $80. We also know that Corner Bakery spends $21 per customer each year on retention communications,

so the AC = $57 - $21 = $36.

The retention rate for these customers is 81%, so RR = 0.81.

Finally, the discount rate is 12%, so DR = 0.12.

Substituting these values into the CLV formula, we get:

CLV = $80 * (1 - 0.81) / (0.12 - 0.81) - $36 / (0.12 - 0.81)

CLV = $80 * 0.19 / (-0.69) - $36 / (-0.69)

CLV = $15.20 + $52.17

CLV = $67.37

Therefore, the customer lifetime value for 1 "Young Mothers" customer at Corner Bakery is $67.37.

To know more about acquisition cost visit :-
https://brainly.com/question/15725762
#SPJ11

external forces of change require organizations to be much more nimble and responsive

Answers

External forces of change are often unpredictable and uncontrollable. Organizations that are unable to respond to these changes will not survive. As such, organizations must be much more nimble and responsive to succeed in today's fast-paced environment.

External forces of change can come from a variety of sources, such as technology, competition, government regulations, and economic conditions. Technological advancements have made it possible for companies to develop new products and services faster than ever before, leading to increased competition and a need for constant innovation.Government regulations can also change quickly, affecting how companies operate.

Economic conditions, such as recessions or inflation, can also impact a company's bottom line and require quick action.Organizations must be prepared to adapt to these external forces of change in order to remain competitive. This means that they need to be agile and flexible in their operations. This can involve changing processes, products, or services quickly to respond to market conditions.

To know more about recessions visit:

https://brainly.com/question/32018766

#SPJ11

Refer to Figure 2-2. If households are buyers in the markets represented by Box C of this circular-f Box C must represent the markets for the factors of production. Box D must represent the markets for goods and services. Box D must represents firms. firms are sellers in the markets represented by Box C.

Answers

Refer to Figure 2-2. If households are buyers in the markets represented by Box C of this circular-flow diagram, then Box C must represent the markets for the factors of production. Box D must represent the markets for goods and services. Firms are sellers in the markets represented by Box C. In other words, the household is one of the sectors of an economy.

The other sector of the economy is the business sector. It is through the circular flow of goods and services, resources, and income, that the two sectors of the economy interact. Households are buyers in the markets represented by Box C of the circular-flow diagram.

The markets represented by Box C are the factor markets where households sell resources to businesses. Firms are sellers in the markets represented by Box D, which is the product markets where businesses sell goods and services to households and the government. The government interacts with both the households and businesses sectors of the economy through taxes and subsidies.

Therefore, households and businesses are interdependent and rely on each other to provide goods and services and to generate income. In conclusion, the circular-flow diagram represents the economic relationships between households, businesses, and the government.

To know more about economy visit:

https://brainly.com/question/18461883

#SPJ11

Discuss the communication strategy employed by Tim Cook . Do not
focus on whether or not you agree with the actions taken by Apple
and the U.S. government. Instead, focus on how Cook communicated
Appl

Answers

Tim Cook, the CEO of Apple, had a very particular communication strategy during the company's conflict with the U.S. government about iPhone encryption. He used an open letter published on the Apple website as the primary form of communication.

In this letter, he asserted Apple's commitment to protect customer privacy and data from hackers and government agencies. He argued that creating a backdoor for the U.S. government to access an iPhone would threaten the privacy of millions of Apple customers. By doing this, Cook focused on the user benefits and privacy concerns to build trust and convince people to take Apple's side.

Cook’s communication strategy followed the “customer-first” policy. He ensured to inform customers of the potential risks and consequences of the U.S. government's proposal. He also made an effort to explain that Apple was taking this stand to protect the privacy of its users rather than to protect the criminals. This helped Apple to position itself as a company that values the privacy of its customers and encourages customer loyalty.

Cook's communication strategy was consistent with Apple's reputation and values. It was clear, concise, and focused on the customer. By creating a transparent message that communicated Apple's position, Cook managed to build trust with customers and create a positive brand image.

In conclusion, Cook's communication strategy during Apple's conflict with the U.S. government about iPhone encryption was focused on highlighting the potential privacy risks and consequences of the U.S. government's proposal.

To know more about encryption visit:

https://brainly.com/question/30225557

#SPJ11

An entrepreneur recently purchased Cocoon's, a local deli, on the beach. To operate the business, she estimates that selling and administrative expenses will be $92,960. 00 per year and that depreciation will be $20,000. 00 per year. As part of her purchase, she took out a bank loan that will require $87,970. 00 per year in interest. She anticipates paying a 31. 00% tax rate on income.

She estimates that the deli will attract 200. 00 customers per day. Each customer will spend $12. 00 on average. The cost of goods per customer will be $4. 50. She will operate the deli 350. 00 days per year.

What is the projected gross profit margin for the deli?

Answer format: Percentage Round to: 2 decimal places (Example: 9. 24%, % sign required. Will accept decimal format rounded to 4 decimal places (ex: 0. 0924))

What is the projected operating profit margin for the deli?

Answer format: Percentage Round to: 2 decimal places (Example: 9. 24%, % sign required. Will accept decimal format rounded to 4 decimal places (ex: 0. 0924))

What is the projected net profit margin for the deli?

Answer format: Percentage Round to: 2 decimal places (Example: 9. 24%, % sign required. Will accept decimal format rounded to 4 decimal places (ex: 0. 0924))

Answers

The projected gross profit margin for the deli is 65.50%, indicating a good profit margin after accounting for the cost of goods sold. The projected operating profit margin is 14.60%, which shows the profitability of the deli after considering operating expenses.

Finally, the projected net profit margin is 7.62%, reflecting the overall profitability of the deli after accounting for taxes. These margins provide valuable insights into the financial performance and efficiency of the deli's operations.The projected gross profit margin for the deli is 65.50%. This margin is calculated by subtracting the cost of goods sold (COGS) from the total revenue and then dividing the result by the total revenue. In this case, the average spending per customer is $12.00, and the cost of goods per customer is $4.50. So, the gross profit per customer is $7.50 ($12.00 - $4.50). With 200 customers per day and 350 operating days per year, the total annual revenue is $5,250.00 ($7.50 x 200 x 350). Therefore, the projected gross profit is $3,289,500.00 ($5,250.00 x 350) and the gross profit margin is 65.50% ($3,289,500.00 / $5,025,000.00).

The projected operating profit margin for the deli is 14.60%. This margin is calculated by subtracting the selling and administrative expenses, depreciation, and interest expenses from the gross profit and then dividing the result by the total revenue. The gross profit is $3,289,500.00. Subtracting the selling and administrative expenses ($92,960.00), depreciation ($20,000.00), and interest expenses ($87,970.00) gives a total of $3,088,570.00. Dividing this by the total revenue of $5,025,000.00 gives an operating profit margin of 14.60%.

The projected net profit margin for the deli is 7.62%. This margin is calculated by subtracting the tax expense from the operating profit and then dividing the result by the total revenue. The operating profit is $3,088,570.00. Multiplying this by the tax rate of 31.00% gives a tax expense of $957,089.70. Subtracting this from the operating profit gives a net profit of $2,131,480.30. Dividing this by the total revenue of $5,025,000.00 gives a net profit margin of 7.62%.

learn more about gross profit margin here: brainly.com/question/32124148

#SPJ11

Other Questions
CB Corporation issued a 2-for-1 stock split. Which of the following is NOT a true statement concezning the effect of the split? a.There is a continuation of retained earnings with no reduction in its balance. b.A proportionate reduction in the par value per share occurs. c.There is a transfer of retained earnings to contributed capital. d.The number of shares outstanding is increased. : Salary of Financial and Accounting Controller will be considered A. Revenue Centre Overhead, Direct Cost, Variable Cost B. Indirect Cost, Period Cost, Fixed Cost C. Fixed Cost, Indirect Labour, Sunk Cost D. Fixed Cost, Revenue Centre Overhead, Indirect Cost Clear my choice salts that dissociate into ions are called ________. a. electrolytes b. angiotensinogens c. antidiuretics d. diuretics e. osmolytes David and Debi Davidson have just signed a 15-year, 4% fixed-rate mortgage for $650,000 to buy their house. Find out this couple's monthly mortgage payment by preparing a loan amortization schedule for the Davidsons for the first 2 months; find out how much of their payments applied to interest; and after 2 payments, how much of their principal will be reduced.(Construct a loan amortization schedule and show your calculations for two monthly payments). In implementing supply chain strategy, a firm must minimize its total cost without compromising the needs of what group of people? What in the thetai patation of the number of timen the staternont wox+1 is executed? fori-1 dioni for j-1ten for k=1 to 1x+x+14(n ) at (n 3) (n) Question 18 10te 1 2+y 2+3 2++n 2O(A k+1) this Pure Question 19 Ixnt=O(n/gn) Bunt Which of the following expressions are equivalent to -(2)/(-13) ? Choose all answers that apply: (A) (-2)/(-13) (B) =-(-2)/(13) (c) None of the above the four activities of poma have start and end conditions. they do not overlap. ALTERNATIVE BUSINESS APPROACH Alternative I - Pros: Cons: - Alternative 2 - Pros: - Cons: Alternative 3 - Pros: - Cons: Alternative 4 - Pros: Cons: RECOMMEDNED ALTERNATIVCE (CONT'D) - Alternative Fake it Till You Make it With Patient Blood at Theranos? A Case Study in 'Unicorn Fraud' and Whistleblower Suppression Tactics Stephen V. Arbogast, Professor of the Practice of Finance Kenan-Flagler Business School, University of North Carolina at Chapel Hill It was 6 pm on a Friday evening. Erika Cheung was working late at her new employer, Antibody Solutions. As she got ready to wrap up her day, a co-worker mentioned that a man who had been sitting in his car for hours had then asked to see her. Erika immediately suspected that the stake-out related to her previous employer, Theranos. That firm's HR head had been calling, leaving messages saying they urgently needed to talk. As she left the building heading for her car, the man exited an SUV and approached. Moving quickly, he handed Erika an envelope, turned and departed. Erika looked at the envelope and immediately knew it meant trouble. It was addressed to her at a temporary address not even her mother knew about. Most likely, Theranos had her under surveillance and aloas to 4. Alternative Business Approach Go to CEO Lay directly (Alternative 1) Pros: Lay has the power to make changes; If successful, the fastest way to achieve her goals Cons: Jumping channels; Could appear to be a Disgruntled employee; If not successful, she will incur the consequences - Go to the Board (Alternative 2) Pros: Can rely on the ENRON Ethics Code; Can clearly show that the rules were not being enforced Cons: Could appear to be a Disgruntled employee; Jumping the chain of command - Go to the Media (Alternative 3) Pros: Spotlight fraud and force executive action; Media could be an ally Cons: Could trigger federal punishment/fines; Going outside is considered unethical to ENRON - Go the SEC (Security Exchange Commission) - Alternative 4 Pros: Created the rules and can handle situations of fraud appropriately; SEC has the power to enforce change Cons: Fines would be heavy, Enron would shut down 4. Recommended Alternative (cont'd) - Alternative 1 - Go Directly to CEO Lay - Rationale: Lay is in the best position to view ENRON's predicament from a Strategic perspective. Sherron was concerned that Ken had previously signed off on Fastow deals, but is probably optimistic that he'd want to help Enron resolve its issues. He has the power to affect powerful and immediate change. Write the minterm list expression for F=W+XZ+XY sarah jane, age 65, who resides in Regina, has taxable income (income from employment) of $100,000 in 2021.Additional Information:(1) In 2019, Mr. lee married sarah jane, age 49, whose income in 2020 is $5,000.(2) sarah jane moved into Mr. lee's home immediately after the marriage along with her 72-year-old mother, whose only income is interest of $6,972.(3) Mr. lee supported the following persons, in his home, during 2021:a) sarah janeb) sarah jane's mother (certified as disabled by a medical doctor, lives with Mr. and Mrs. Lewis).c) Donald, age 20, a second-year McGill University student, had the following sources of funds and selected expenses for 2021:Employment income for tax purposes - Montreal $7,000Canadian bank interest income 900Scholarship 2,500Tuition fees - allowable for tax purposes 4,000d) Debra, age 19, who was unemployed for most of the year and whose total income for tax purposes was only $1,200.e) David, age 21, who is a paraplegic and has been confined to bed or wheelchair since early childhood. He has been certified by a medical doctor as disabled. David has no income for tax purposes.(4) Mr. Lee made the following selected payments during 2021:Charitable donations (consistent with prior years) $3,000Political donations to Federal Political Party 900Medical expensesLiberty Mutual Extended Health Care 300Sun Life Drug Plan 700(5) Mr. Lee paid $3,500 for surgery (essential, not cosmetic) for Donald, not reimbursed by provincial plan(6) Maximum Employment Insurance premiums ($890) and CPP contributions ($2,876) were withheld from Mr. Lee employment income. (CERCLA) If you are named as a prp in a CERCLA case, what are the three defenses you might present to absolve you of liability? (short answer and ref)AQuestion 12 (EPCRA) Where is it mandated that the public must have access to emergency response plans, MSDSs, inventory forms, and followup emergency notices? (ref only) among brazilian individuals of african descent, about how many identify themselves as preta (black)? Write a summary report on Intelligent Memories from the newly emerging trend technologies in computer architecture & provide related research papers on the topic.Key Points to discuss in the summary report: definition, analysis, comparisons, applications, examples, benefits, drawbacks, challenges, new trends, and related articles. Make sure to list all used references. (Using APA style)Minimum number of words 700 You have the following information for stock portfolio C and bond portfolio D that will be used to form a risky portfolio: E(r C)=12.5% C=23.0%E(r D)=6.5.0% D=13.0%rho CD=0.10 a. Compute the standard deviation of a risky portfolio that is 25/75 invested in portfolios C/D. b. Compute the expected return of the minimum variance portfolio (MVP). c. Would any investor choose to hold the risky portfolio 25/75 in part a)? Explain why or why not. You are the newly appointed CISO (Chief Information Security Officer) working for a publicly listed IT Business that has discovered that the tertiary private education sector is booming and would like to Segway into the industry. Recently Horizon IT have suffered a major cyber breach. Using the attached information (which has been collated by an external IT forensics consulting firm), prepare a report to the Board of Directors advising:Question: Are there any crimes which have been committed that should be reported to the police? Your lawn care company serves the Twin Cities metro area and Mankato. Your marginal cost of caring for a lawn for the summer is $400 regardless of market area. However, you find that your customers have a different price elasticity of demand for your lawn services. The price elasticity of demand in Mankato is 3.1 whereas the price elasticity of demand for the Twin Cities metro area is 4.5 (all in absolute value terms). Assume for simplicity that all customers have the same size lawn. To maximize profit,What price do you charge Mankato customers for lawn care for the summer? Explain and show your work.What price do you charge Twin Cities metro area customers for lawn care for the summer? Explain and show your work. Results from a marijuana drug test study showed 143 subjects with positive test results including 24 false positive results. There were 157 negative results, including 3 false negative results. What is the probability that a randomly selected subject did not use marijuana? Round to three decimal places as needed.Part 1A. 0.533B. 0.593C. 0.523D. 0.477 The number of noal modes of vibration and the number of vibrations that give rise to absorptions in the IR spectrum of {XeF}_{4} are, respectively: 9 and 2 9 and 3 6 and 2 6 and 3 [The following information applies to the questions displayed below.] Del Gato Clinic's cash account shows an $15,558 debit balance and its bank statement shows $14,628 on deposit at the close of business on June 30 . a. Outstanding checks as of June 30 total $1,661. b. The June 30 bank statement lists a $10 bank service charge. c. Check No. 919, listed with the canceled checks, was correctly drawn for $589 in payment of a utility bill on June 15. Del Gato Clinic mistakenly recorded it with a debit to Utilities Expense and a credit to Cash in the amount of $598. d. The June 30 cash receipts of $2,590 were placed in the bank's night depository after banking hours and were not recorded on the June 30 bank statement. Prepare its bank reconciliation using the above information