portfolio? Negative valiue, if any, should be andicated by a minus alon. Do not round intermediate calculations. Round your abwer to one decimal dace.

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Answer 1

In finance, the portfolio is an assortment of financial assets held by a person or an institution. A portfolio can include stocks, bonds, mutual funds, cash, and commodities, among other things.

It can be a collection of a few or many assets that have been bought in the hopes of generating a profit over time. Portfolios can be managed by individuals, financial advisors, or professional investment managers. The following formula can be used to calculate the value of a portfolio:

Total Portfolio Value = (Quantity of Asset A x Price of Asset A) + (Quantity of Asset B x Price of Asset B) + (Quantity of Asset C x Price of Asset C) + ... + (Quantity of Asset N x Price of Asset N)

To determine if a portfolio has a negative value, the total portfolio value should be compared to the total cost of the assets in the portfolio. If the total portfolio value is less than the total cost, then the portfolio has a negative value. This can be indicated by a minus sign before the value of the portfolio. Intermediate calculations should not be rounded, but the final answer should be rounded to one decimal place.

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Related Questions

Filer Manufacturing has 5,040,779 shares of common stock outstanding. The current share price is $50.28, and the book value per share is $5.94. Filer Manufacturing also has two bond issues outstanding. The first bond issue has a face value of $68,356,129, has a 0.06 coupon, matures in 25 years and sells for 92 percent of par. The second issue has a face value of $76,754,375, has a 0.08 coupon, matures in 7 years, and sells for 82 percent of par.
The most recent dividend was $1.27 and the dividend growth rate is 0.07. Assume that the overall cost of debt is the weighted average of that implied by the two outstanding debt issues. Both bonds make semiannual payments. The tax rate is 0.35.
What is Filer's cost of equity? Enter the answer with 4 decimals (e.g. 0.2345)

Answers

The Cost of Equity can be calculated using the dividend discount model (DDM) which is expressed as follows:

cost of equity = (Dividend/Price) + Growth rate of Dividend

Where, Dividend = Most recent dividend per share Price = Current market price per share Growth rate of Dividend = Estimated growth rate in dividend per share. Thus, we can plug the given values into the above formula and calculate the cost of equity as follows: Given,

Most recent dividend per share = [tex]$1.27[/tex]

Current market price per share = [tex]$50.28[/tex]

Growth rate in dividend per share = 0.07

Thus, the cost of equity will be:

cost of equity = (1.27/50.28) + 0.07

cost of equity = 0.09397893

Therefore, the cost of equity is 0.0940 (approx).

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american singer lady gaga wore an infamous dress made of raw meat at the 2010 mtv music awards. her decision to wear this unusual dress best epitomizes the use of which precursor to marketing success.

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The use of shock value or unconventional marketing tactics.Lady Gaga's decision to wear a dress made of raw meat at the 2010 MTV Music Awards.

Exemplifies the use of shock value or unconventional marketing tactics. This approach is a precursor to marketing success because it aims to capture attention, generate buzz, and differentiate a brand or individual from competitors. By donning such a controversial and attention-grabbing outfit, Lady Gaga successfully garnered widespread media coverage and sparked conversations among the public. The shock value of the dress generated significant buzz and helped her stand out in a crowded entertainment industry. Unconventional marketing tactics like this are often employed to create a memorable impression, challenge traditional norms, and provoke emotional reactions in the target audience. While they may be unconventional and polarizing, they have the potential to create a strong brand identity and attract attention from a broad audience.

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differential revenue is an example of a(n) blank______ benefit.

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incremental Differential revenue is an example of an incremental benefit.

Incremental benefits, also known as differential benefits, refer to the additional revenue or value generated by a particular decision or action compared to an alternative course of action. In the context of business or financial analysis, it represents the difference in revenue between two alternatives. Differential revenue specifically focuses on the additional revenue earned by choosing one option over another. It quantifies the incremental income or sales generated by a specific decision, such as introducing a new product, expanding into a new market, or implementing a pricing strategy. For example, if a company decides to launch a new product line and expects it to generate $500,000 in revenue, while an alternative course of action would have generated only $300,000, the differential revenue would be $200,000 ($500,000 - $300,000).

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Review the section on change drivers and select any two within the set that you want to focus on. Pick an organization of your choice and answer the following questions:
In what ways do each of the change drivers impact the firm’s ability to do marketing successfully?
How is the firm responding to the change drivers in how it approaches its business? What should it be doing that it is not doing at present?
What role do you believe the marketing manager has in proactively preparing for these and future change drivers

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Technological advancements have a significant impact on a firm's ability to do marketing successfully. It has revolutionized the way companies reach and engage with their target audience.

Change Driver 1: Technological Advancements

Technological advancements have a significant impact on a firm's ability to do marketing successfully. It has revolutionized the way companies reach and engage with their target audience. With the rise of digital marketing channels, social media platforms, and advanced analytics, firms can now gather more data, target specific customer segments, personalize marketing messages, and measure campaign effectiveness more accurately. Embracing technology allows firms to stay relevant, reach a wider audience, and adapt their marketing strategies based on real-time insights.

The chosen organization, XYZ Corporation, has recognized the importance of technological advancements in marketing. They have invested in cutting-edge marketing automation software, customer relationship management (CRM) systems, and data analytics tools. This enables them to gather customer data, analyze consumer behavior, and personalize marketing campaigns. XYZ Corporation has also leveraged social media platforms and online advertising to reach a broader audience and engage with customers in real-time.

However, XYZ Corporation should further focus on integrating emerging technologies such as artificial intelligence (AI), machine learning, and virtual reality (VR) into their marketing efforts. By utilizing AI-powered chatbots for customer interactions, implementing machine learning algorithms for predictive analytics, and exploring VR for immersive brand experiences, they can stay ahead of the curve and deliver more innovative and engaging marketing campaigns.

The marketing manager at XYZ Corporation plays a crucial role in proactively preparing for technological change drivers. They should stay updated with the latest industry trends, continuously explore new marketing technologies, and assess their potential impact on the firm's marketing strategies. The marketing manager should collaborate with the IT department to ensure seamless integration of technology into marketing initiatives and actively seek opportunities to enhance customer experiences through technology-driven solutions.

Change Driver 2: Changing Consumer Behavior and Preferences

Changing consumer behavior and preferences heavily influence a firm's ability to succeed in marketing. Consumer expectations are constantly evolving, driven by factors such as demographic shifts, cultural changes, economic conditions, and technological advancements. To effectively market their products or services, firms must understand these shifts and adapt their strategies accordingly. This includes catering to consumers' desire for personalized experiences, convenience, sustainability, and social responsibility.

In response to changing consumer behavior, XYZ Corporation has conducted extensive market research and consumer surveys to gain insights into their target audience's preferences. They have used this information to develop customer personas, segment their market effectively, and tailor their marketing messages to resonate with different consumer groups. XYZ Corporation has also invested in customer-centric initiatives such as loyalty programs, interactive online platforms, and user-generated content campaigns to enhance consumer engagement and build brand loyalty.

However, XYZ Corporation should further prioritize sustainability and social responsibility in their marketing approach. Consumers are increasingly concerned about environmental issues and ethical business practices. By adopting sustainable practices, promoting eco-friendly products, and engaging in corporate social responsibility initiatives, XYZ Corporation can strengthen its brand reputation and appeal to socially conscious consumers.

The marketing manager plays a critical role in understanding and responding to changing consumer behavior and preferences. They should conduct regular market research, monitor industry trends, and analyze consumer insights to identify emerging patterns and shifts in consumer preferences. The marketing manager should collaborate with cross-functional teams to align marketing strategies with evolving consumer needs and preferences. By continuously adapting marketing approaches to match consumer behavior, the marketing manager can ensure the firm remains competitive in a dynamic marketplace.

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Alpha Corp is a manufacturing company operating in Europe. In a recent board meeting its directors decided to expand the company’s operations in America by setting up a subsidiary over there. The company’s CFO estimates that the project is going to cost $15 million. The company can get a Euro loan at 4.5% and a Dollar loan at 7.5%.
Beta Corp is a manufacturer of heavy machinery and is based solely in the U.S. The company wants to expand its operations in Europe and estimates that the cost of setting up a factory in Europe is €10 million. The company can get a Dollar loan at 6.5% and a Euro loan at 5.5%.
The current $/€ exchange rate is $1.5/€. Both companies decide to enter into a currency swap.
9. Which of the following statements regarding the payments made at the inception of the swap is most accurate?
A. Alpha Corp will make a payment to Beta Corp amounting to $15 million.
B. Beta Corp will make a payment to Alpha Corp amounting to $15 million.
C. No amount will be exchanged at the inception of the swap.
10. At the first settlement date, Beta Corp will most likely: A. Pay €450,000 to Alpha Corp.
B. Pay €550,000 to Alpha Corp.
C. Receive €550,000 from Alpha Corp.
11. At the second settlement date, Alpha Corp will most likely: A. Pay $975,000 to Beta Corp.
B. Receive $1,125,000 from Beta Corp.
C. Receive €975,000 from Beta Corp.
12. At expiration Beta Corp will most likely: A. Pay €450,000 to Alpha Corp.
B. Receive $15 million from Alpha Corp. C. Receive €10 million from Alpha Corp

Answers

9.  In a currency swap agreement, two parties agree to exchange payments in one currency with an equivalent payment in another currency. In this case, Alpha Corp is interested in setting up a subsidiary in America, and Beta Corp wants to expand in Europe. Both companies have estimated the costs involved in setting up their operations in the other company's currency.

The exchange rate between US dollars and Euros is $1.5/€. Alpha Corp can borrow in Euros at a rate of 4.5% and in dollars at 7.5%, while Beta Corp can borrow in Euros at 5.5% and in dollars at 6.5%. Therefore, both companies enter into a currency swap agreement.

The terms of the agreement are as follows: Alpha Corp agrees to pay Beta Corp a fixed amount in Euros, and Beta Corp agrees to pay Alpha Corp a fixed amount in US dollars, based on the exchange rate at the inception of the swap.

Since the companies have not started any operations yet, no amount will be exchanged at the inception of the swap.

The correct statement regarding the payments made at the inception of the swap is that C. No amount will be exchanged at the inception of the swap.

10.  The first settlement date is when the companies make their first payment to each other. In this case, Beta Corp has agreed to pay Alpha Corp a fixed amount in US dollars, and Alpha Corp has agreed to pay Beta Corp a fixed amount in Euros.

Beta Corp has estimated the cost of setting up a factory in Europe to be €10 million, and it can borrow in Euros at a rate of 5.5%. Therefore, Beta Corp borrows €10 million at 5.5% and pays Alpha Corp the fixed amount of €550,000, based on the exchange rate at the inception of the swap.

At the first settlement date, Beta Corp will most likely Pay €550,000 to Alpha Corp.

11.  The second settlement date is when the companies make their second payment to each other. In this case, Alpha Corp has agreed to pay Beta Corp a fixed amount in Euros, and Beta Corp has agreed to pay Alpha Corp a fixed amount in US dollars.

Alpha Corp has estimated the cost of setting up a subsidiary in America to be $15 million, and it can borrow in US dollars at a rate of 7.5%. Therefore, Alpha Corp borrows $15 million at 7.5% and receives the fixed amount of $1,125,000 from Beta Corp, based on the exchange rate at the inception of the swap.

At the second settlement date, Alpha Corp will most likely Receive $1,125,000 from Beta Corp.

12.  The expiration date is when the currency swap agreement ends, and the companies make their final payments to each other. In this case, Beta Corp has agreed to pay Alpha Corp a fixed amount in US dollars, and Alpha Corp has agreed to pay Beta Corp a fixed amount in Euros.

Beta Corp estimates the cost of setting up a factory in Europe to be €10 million, and Alpha Corp estimates the cost of setting up a subsidiary in America to be $15 million. At expiration, Alpha Corp pays Beta Corp the fixed amount of $15 million, and Beta Corp pays Alpha Corp the fixed amount of €10 million, based on the exchange rate at the inception of the swap. Therefore, Beta Corp will most likely receive €10 million from Alpha Corp.

At expiration, Beta Corp will most likely Receive €10 million from Alpha Corp.

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Sawyer Manufacturing Company uses a predetermined overhead rate based on direct labour hours to apply manufacturing overhead to jobs. Last year, the company worked 57,000 actual direct labour hours and used 40,000 machine hours. The company had estimated that it would work 55,000 direct labour hours using 44,000 machine hours during the year and incur $330,000 of manufacturing overhead cost. What was the company's allocated manufacturing overhead for the year? 1) $342,000 2) $345,000 3) $300,000 4) $330,000

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The predetermined overhead rate based on direct labour hours is calculated as follows: Predetermined overhead rate = Estimated total manufacturing overhead cost ÷ Estimated total direct labour hours

The estimated predetermined overhead rate is applied to actual direct labour hours to calculate the applied overhead cost.Allocated Manufacturing Overhead = Actual Direct Labour Hours × Predetermined Overhead Rate.The given data for the Sawyer Manufacturing Company are as follows:

Estimated Total Direct Labour Hours = 55,000Direct Labour Hours = 57,000Estimated Total Machine Hours = 44,000Actual Machine Hours = 40,000

Estimated Total Manufacturing Overhead Cost = $330,000The formula to calculate the predetermined overhead rate based on direct labour hours is:

Predetermined Overhead Rate = Estimated Total Manufacturing Overhead Cost / Estimated Total Direct Labour Hours Predetermined Overhead Rate = $330,000 / 55,000

Predetermined Overhead Rate = $6 per direct labour hour

The formula to calculate the allocated manufacturing overhead is:

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Briefly answer the following questions pertaining to Zambia’s sovereign debt:
A.What are the causes of the debt crisis in Zambia?
B.What are the effects of the debt crisis
C.Outline some possible solutions to Zambia’s debt crisis other than the IMF program?

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A. The debt crisis in Zambia was caused by a number of factors such as external and internal issues. Externally, the decline in global commodity prices which resulted in reduced copper and other mineral exports, led to a loss in Zambia’s foreign currency earnings.

This forced the government to borrow more to finance its expenditure. The country also experienced a drop in aid flows from donor countries that were themselves facing financial difficulties. Internal factors also played a role in Zambia's debt crisis.


A depreciation of the kwacha, which has increased the cost of importing essential goods such as fuel and food. This has contributed to inflation and a reduction in the purchasing power of households.

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Please explain what the correct answer is and why
For firms with no dividend payment (e.g., a start-up firm), we may use P/E ratio to do equity valuation. Select one: True False

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False is the proper response. Although the Price/Earnings (P/E) ratio is frequently employed in stock valuation, it is inappropriate for companies that do not pay dividends, such as start-up businesses. By dividing the market price per share by the earnings per share (EPS), the P/E ratio is determined.

Start-up companies may not produce sizable profits or pay dividends since they frequently reinvest their money back into the company for development and expansion. As a result, the earnings per share would be low or even negative, rendering the P/E ratio meaningless or inaccurate for estimating the value of these companies' equity. For start-up businesses, alternative valuation techniques such discounted cash flow (DCF) analysis or venture capital approaches, focused on future cash flow estimates and the future expansion and financial viability.

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xplain what is meant by monetary policy. List and explain the 3 tools the Federal Reserve has to conduct monetary policy. What is your opinion which is more effective fiscal or monetary policy? Explain why you feel the way you d

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Monetary policy is a macroeconomic policy that is designed by central banks to manage the economy by regulating the amount of money supply and credit available in the economy.

The Federal Reserve has the authority to increase or decrease reserve requirements for banks. When the reserve requirement is increased, banks are required to hold a higher percentage of their deposits in reserve. This means that they have less money to lend out, which decreases the amount of credit available in the economy and slows down economic growth.

At the same time, the Federal Reserve can use monetary policy to increase interest rates and reduce the money supply to control inflation. In conclusion, I think that both fiscal policy and monetary policy are important, and they should be used together to achieve the desired economic outcomes.

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number of units to be produced and sold each year 13,000 unit product cost $ 22 estimated annual selling and administrative expenses $ 54,600 estimated investment required by the company $ 260,000 desired return on investment (roi) 12%

Answers

The markup percentage on absorption cost required to achieve the desired ROI is approximately 105.88%. The selling price per unit should be $84.00.

To compute the markup percentage on absorption cost required to achieve the desired return on investment (ROI) and the selling price per unit, we can follow these steps:

Calculate the total cost per unit:

Total cost per unit = Unit product cost + (Selling and administrative expenses / Number of units)

Total cost per unit = $38 + ($25,200 / 9,000)

Total cost per unit = $38 + $2.80

Total cost per unit = $40.80

Calculate the desired return on investment (ROI):

ROI = (Desired ROI / 100) × Investment

ROI = (12 / 100) × $360,000

ROI = $43,200

Compute the markup on absorption cost:

Markup on absorption cost = Total cost per unit × Markup percentage

$43,200 = $40.80 × Markup percentage

Solve for the markup percentage:

Markup percentage = $43,200 / $40.80

Markup percentage = 105.88%

Compute the selling price per unit:

Selling price per unit = Total cost per unit + Markup on absorption cost

Selling price per unit = $40.80 + ($40.80 × 105.88%)

Selling price per unit = $40.80 + $43.20

Selling price per unit = $84.00

Therefore, the markup percentage required to achieve the desired ROI is approximately 105.88%, and the selling price per unit should be $84.00.

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--The given question is incomplete, the complete question is given below "Martin Company uses the absorption costing approach to cost-plus pricing. It is considering the introduction of a new product. To determine a selling price, the company has gathered the following information: Number of units to be produced and sold each year 9,000 Unit product cost $ 38 Estimated annual selling and administrative expenses $ 25,200 Estimated investment required by the company $ 360,000 Desired return on investment (ROI) 12 % Required: 1. Compute the markup percentage on absorption cost required to achieve the desired ROI. 2. Compute the selling price per unit."--

Ichabod and Irene decide to form a corporation. They will be the sole shareholders and the sole directors
of the corporation. They will own the stock of the corporation on a 50-50 basis and want to ensure that
will always be able to maintain their respective 50% interest in the corporation. They want to make sure
that each has a right of first refusal in the event the other wishes to sell her shares. They want to make
sure that all required meetings of the directors and shareholders, as the case may be, can be conducted
telephonically.
Which of these items must Ichabod and Irene expressly provide for in the articles of incorporation?

Answers

As Ichabod and Irene decide to form a corporation, they must provide certain articles of incorporation. Articles of Incorporation are a document that establishes the existence of a corporation in the United States and Canada.

The articles of incorporation must include certain items to form a corporation. These items are described below: Issuance of stocks: The article of incorporation must include a statement indicating how many shares the corporation will issue and how they will be issued.

Ichabod and Irene will own the stock of the corporation on a 50-50 basis. Right of first refusal: In the event that the other party wishes to sell her shares, they want to make sure that each has the right of first refusal. Therefore, they must include the right of first refusal in the articles of incorporation.

Telephonic meetings:

They also want to make sure that all required meetings of the directors and shareholders can be conducted telephonically. Therefore, they must include this in the articles of incorporation.  


Thus, in the articles of incorporation, Ichabod and Irene must expressly provide for the right of first refusal and telephonic meetings.

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with career-oriented appraisals, the supervisor and employee jointly merge the latter's past performance, career preferences, and developmental needs into a formal career plan.

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Career-oriented appraisals are a critical aspect of employee performance evaluation and development. In this evaluation, the supervisor and the employee collaboratively review the employee's performance, career preferences, and developmental needs.

The purpose of this appraisal is to create a formal career plan that helps the employee develop his/her skills and career growth.

The goal of career-oriented appraisals is to help employees achieve their career objectives. By working together with their supervisors, employees can create a career plan that aligns with the organization's goals and objectives. The career-oriented appraisal process begins with the review of the employee's past performance.

The supervisor and employee discuss the employee's performance over the past year, identifying areas where the employee excelled and areas where he/she could improve.

In addition to evaluating past performance, the supervisor and employee discuss the employee's career preferences. This includes the employee's long-term career goals, as well as the types of roles and responsibilities that the employee would like to take on in the future.

Once these preferences have been identified, the supervisor and employee can work together to develop a career plan that aligns with these goals.

Finally, the supervisor and employee discuss the employee's developmental needs. This includes the skills and knowledge that the employee needs to develop to achieve his/her career goals.

Based on these needs, the supervisor and employee can create a plan that includes training, mentoring, and other developmental opportunities.

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Part A: Safety and Security in the Workplace Discuss some of the common safety and security concerns in today's workplace. What are some important laws that may help organizations reduce risk? What are some strategies HR managers can develop to mitigate some of these issues? Use the resources provided to support your ideas.
Part B: Employee and Labor Relations Outline what legal and statutory protections are in place today to prevent worker abuse. What additional protections are needed? What industries or jobs do you think could become the next fertile area for union organizing attempts?

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Part A: Safety and Security in the WorkplaceIn the present scenario, safety and security have become a significant concern in the workplace. Various organizations and HR managers are concerned about the safety and security of their employees. They are continuously making efforts to improve workplace safety and security.

Some of the common safety and security concerns in today's workplace are as follows:

1. Fire Safety: It is one of the most crucial concerns in the workplace. Fire accidents can lead to serious injuries, loss of property, and even death.

2. Workplace Violence: It can be in the form of physical assault, verbal abuse, and harassment.

3. Cyber Security: In today's digital world, cybercrime is also a significant concern.

4. Natural Disasters: Natural disasters like earthquakes, floods, and hurricanes can cause significant damage to the workplace.

5. Chemical Safety: Employees can be exposed to hazardous chemicals, which can cause serious injuries.

There are various laws that organizations can follow to reduce the risk of safety and security concerns. Some of the essential laws are as follows:

1. Occupational Safety and Health Act (OSHA): OSHA provides guidelines and regulations for ensuring workplace safety.

2. Americans with Disabilities Act (ADA): It protects the rights of disabled employees and ensures that they are treated fairly in the workplace.

3. National Labor Relations Act (NLRA): It guarantees employees the right to form and join unions.

Strategies that HR managers can develop to mitigate these issues are:

1. Providing Proper Training: HR managers should provide proper training to employees on how to handle hazardous situations.

2. Developing a Crisis Management Plan: A crisis management plan can help organizations to deal with emergencies effectively.

3. Conducting Regular Safety Audits: Regular safety audits can identify potential hazards and help prevent accidents.

Part B: Employee and Labor Relations Legal and statutory protections are in place today to prevent worker abuse. These laws are designed to protect the rights of employees and prevent them from being abused.

Some of the legal and statutory protections in place today are:

1. Fair Labor Standards Act (FLSA): FLSA provides guidelines for minimum wage, overtime pay, and child labor.

2. Age Discrimination in Employment Act (ADEA): It prohibits discrimination against employees based on age.

3. Civil Rights Act: It prohibits discrimination against employees based on race, color, sex, religion, or national origin.

Additional protections that are needed to prevent worker abuse are:

1. Protection against workplace bullying and harassment.

2. Protection against retaliation for reporting workplace abuse.

3. Protection for workers in the gig economy, such as Uber drivers or freelance writers.

Industries or jobs that could become the next fertile area for union organizing attempts are:

1. Healthcare: Healthcare workers are often overworked and underpaid. They are an ideal target for union organizing attempts.

2. Retail: Retail workers are often paid minimum wage and have little job security.

3. Gig Economy: Workers in the gig economy are often denied basic protections like minimum wage, overtime pay, and workers' compensation.

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A company must decide between scrapping or reworking units that do not pass inspection. The company has 44,000 defective units that have already cost $288,000 to manufacture. The units can be sold as scrap for $170,400 or reworked for $216,000 and then sold for $407,600. If the company decides to rework the units, incremental income equals:

$(95,800).

$21,200.

$43,200.

$191,600.

$237,200.

Answers

None of the available alternatives exactly match this value. However, as $(95,800) is the closest choice, the correct response is $(95,800).

We must evaluate the expenses and income generated by each option—scrapping or reworking the units—in order to ascertain the incremental income.

Option 1: Scrapping

The business can earn $170,400 by selling the damaged units as scrap.

Revenue from scrap minus the cost of production equals incremental income from scrapping.

Income from scrapping added on = $170,400 - $288,000

-$117,600 in incremental revenue from scrapping

Option 2: Reworking

Reworking the damaged products is an option for the company. The units need to be rebuilt, which will cost $216,000, and can be sold for $407,600 afterward.

Revenue from sales after reworking less the costs of reworking and manufacturing equals incremental gain from reworking.

Increased revenue from reworking is $407,600 minus $216,000 plus $288,000

Reworking's incremental earnings equaled $96,400.

We can compare the incremental earnings and discover that neither choice produces positive incremental incomes. The reworking alternative has a bigger negative incremental income, though.

Consequently, the additional revenue from reworking is $(96,400), or -$96,400.

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ge WCAP lab practical: Ann... Question Completion Status: QUESTION 19 Table: Long-Run Total Cost Quantity of Soybeans (bushels) Long-Run Total Cost S 50 $ 80 $ 90 2 $120 $200 $300 5 6 (Table: Long-Run Total Cost) Examine the table Long-Run Total Cost. Over what range of output does this soybean grower experience increasing returns to scale? OA fourth and fifth bushels O B. fifth and sixth bushels third and fourth bushels D.first and third bushels OUECTINA 20 Click Save and Submit to save and submit. Click Save All Answers to save all answers Save All Answers 17 k Pro Q Search or type URL

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Range of output does this soybean grower experience increasing returns to scale is fourth and fifth bushels. Thus, option (a) is correct.

The long-term total cost's rate of growth is not constant. We must search for the range of output where the long-run total cost increases at a decreasing rate in order to identify the range of output where the soybean grower experiences increasing returns to scale.

This is due to the fact that the long-term total cost rises from producing two to producing five bushels by $120, but merely from producing five to producing six bushels by $80.

Therefore, option (a) is correct.

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As a result of a slowdown in operations, Tradewind Stores is offering employees who have been terminated a severance package of $92,000 cash paid today, $92,000 to be paid in one year, and an annuity of $29,000 to be pald each year for 7 years Requlred: What is the present value of the package assuming an interest rate of 8 percent? (Future Value of \$1. Present Value of S1. Future Value Annuity of \$1. Present Value Annulty of $1.) Note: Use approprlate factor(s) from the tables provided. Round the final answer to nearest whole dollar.

Answers

Tradewind Stores is offering employees who have been terminated a severance package of $92,000 cash paid today, $92,000 to be paid in one year, and an annuity of $29,000 to be paid each year for 7 years.

The present value of the  package will be equal to the sum of the present value of $92,000 cash paid today, the present value of $92,000 to be paid in one year, and the present value of the annuity of $29,000 to be paid each year for 7 years.

The present value factor for $1 received at the end of year 1 at an interest rate of 8% is given by PV1 = [tex]1/(1 + 8%)^1[/tex]

= 0.9259.The present value factor for $1 received at the end of each year for 7 years at an interest rate of 8% is given by PVIFA8%[tex],7 = (1 - 1/(1+8%)^7)/8% = 4.8689.[/tex]

The present value of the package assuming an interest rate of 8 percent is $318,249.

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Abbott Company purchased $8,000 of merchandise inventory on account. Advent uses the perpetual inventory method. Which of the following entries would be required to record this transaction? Multiple Choice

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The entry required to record this transaction in Advent, using the perpetual inventory method is as follows;

Debit Inventory $8,000

Credit Accounts payable $8,000

What does this entail?

Under the perpetual inventory method, inventory is updated constantly, meaning the inventory account is debited every time new goods are purchased on credit.

In the given scenario, Abbott Company purchased $8,000 of merchandise inventory on account,

Thus, to record this transaction in Advent, we will Debit Inventory and Credit Accounts payable accounts with $8,000 each.

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The main impact of quantitative easing on the economy is that it

1, pushes long-term interest rates down and encourages investors to purchase more risky assets like shares, which can encourage more business investment and consumer spending.

2, pushes long term interest rates up and encourages investors to purchase more risky assets like shares, which can encourage more business investment and consumer spending

3, pushes long term interest rates up and encourage investors to purchase more risky assets like shares, which can encourage more business investment and consumer spending

4, encourages banks to increase their lending, as explained by the money multiplier

5, involves the provision of free money to private banks.

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The main impact of quantitative easing on the economy is pushes long-term interest rates down and encourages investors to purchase more risky assets like shares.

Quantitative easing is a monetary policy tool used by central banks to stimulate the economy. By purchasing government bonds and other securities from the market, central banks inject money into the financial system, which lowers interest rates. This decrease in long-term interest rates incentivizes investors to seek higher returns by investing in riskier assets like shares. Increased investment in businesses and higher consumer spending can result from these actions, stimulating economic growth. Option 1 accurately describes the main impact of quantitative easing.

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Westland Manufacturing spends $20,000 to update the lighting in its factory to more energy-efficient LED fixtures. This will save the company $4,000 per year in electricity costs. The company estimates that these fixtures will last for 10 years. What is the IRR of this project?

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The IRR (Internal Rate of Return) of the project can be calculated as follows;

We must first calculate the total cash inflows and outflows for the entire project's life.

Cash inflows = $4,000 × 10 years = [tex]$40,000[/tex]

Cash outflows = $20,000

Total cash inflow from the project - Total cash outflow for the project = Net present value (NPV) of the project

NPV = Cash inflow / (1 + i) ^n - Cash outflow

Where i = Internal rate of return of the project

n = Number of years over which cash flow is to be determined

NPV = [tex]$40,000 / (1 + i) ^ 10 - $20,000[/tex]

NPV = [tex]$7,600[/tex]

We can substitute different rates of interest until we get a net present value of zero.

That rate of interest, or IRR, will be the project's internal rate of return.

As the NPV is positive, the rate of interest must be more than the cost of capital.

So, we can try a higher rate of interest, such as 15 percent.

NPV =[tex]$4,000 / (1 + 0.15) ^ 1 + $4,000 / (1 + 0.15) ^ 2 + ......+ $4,000 / (1 + 0.15) ^ 10 - $20,000NPV = $3,481.90[/tex]

IRR of the project = 15%

the Internal Rate of Return (IRR) of the project is 15%.

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Question 16 Sale of a piece of equipment at book value for cash will: decrease working capital. increase working capital. decrease the debt-to-equity ratio. increase net income. Question 17 The gross margin percentage is computed taking the difference between sales and cost of goods sold and then dividing the result by sales. True False

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Question 16: Sale of equipment at book value for cash will decrease working capital because it reduces the value of assets, resulting in a lower total of current assets.

Question 17: False. The gross margin percentage is calculated by dividing the gross margin by sales, not by taking the difference between sales and cost of goods sold and dividing it by sales.

Question 16: The sale of a piece of equipment at book value for cash will decrease working capital.  When a piece of equipment is sold at book value for cash, it results in a decrease in the value of the equipment asset on the balance sheet. This decrease in assets leads to a decrease in working capital because working capital is calculated as current assets minus current liabilities. Since the equipment is classified as a non-current asset, its sale reduces the total current assets, thereby decreasing working capital.

Question 17: False. The gross margin percentage is computed by dividing the gross margin (the difference between sales and cost of goods sold) by sales. Therefore, the statement is false. The gross margin percentage is not obtained by dividing the difference between sales and cost of goods sold by sales.

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buying the stocks of a company is a(n) ________ investment representing ________ of a business.

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Buying the stocks of a company is an equity investment representing ownership shares of a business.

When an individual buys the stocks of a company, they are making an equity investment. Stocks, also known as shares or equity, represent ownership in a business. By purchasing stocks, investors become partial owners of the company and acquire a proportional claim on its assets, earnings, and future profits. This ownership entitles them to certain rights, such as voting on company matters and receiving dividends if the company distributes them. Investing in stocks allows individuals to participate in the potential growth and success of a company. However, it also exposes them to the associated risks, as the value of stocks can fluctuate based on various factors such as market conditions, company performance, and investor sentiment. Investors may buy stocks for various reasons, including capital appreciation, dividend income, or strategic portfolio diversification. Overall, buying stocks represents an ownership stake in a business and provides investors with the opportunity to benefit from its performance and growth.

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Required information Use the following information for the Exercises below. (Static) (The following information applies to the questions displayed below.) Use the following selected account balances of Delray Manufacturing for the year ended December 31. Sales Raw materials inventory, beginning Work in process inventory, beginning Finished goods inventory, beginning Raw materials purchases Direct labor Indirect labor Repairs-Factory equipment Rent cost of factory building Selling expenses General and administrative expenses Raw materials inventory, ending Work in process inventory, ending Finished goods inventory, ending $ 1,250,000 37,000 53,900 62,700 175,600 225,000 47,000 23,000 57,000 94,000 129,300 42,700 41,500 67,300 Exercise 18-13 (Static) Preparing schedule of cost of goods manufactured LO P2 Exercise 18-13 (Static) Preparing schedule of cost of goods manufactured LO P2 Prepare its schedule of cost of goods manufactured for the year ended December 31. DELRAY MANUFACTURING Schedule of Cost of Goods Manufactured For Year Ended December 31 Direct materials: 3 Raw materials available for use $ 0 Direct materials used $ 0 Factory overhead: $ 0 Total factory overhead Total manufacturing costs 0 Total cost of work in process 0 Cost of goods manufactured $ 0

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In order to prepare the schedule of cost of goods manufactured for Delray Manufacturing for the year ended December 31, we need to use the given information :Sales = $1,250,000Raw materials inventory, beginning = $37,000Raw materials inventory,

ending = $42,700Work in process inventory, beginning = $53,900Work in process inventory, ending = $41,500Finished goods inventory, beginning = $62,700 Finished goods inventory, ending = $67,300Raw materials purchases = $175,600Direct labor = $225,000Indirect labor = $47,000Repairs-Factory equipment = $23,000Rent cost of factory building = $57,000Selling expenses = $94,000General and administrative expenses = $129,300Preparation of the schedule of cost of goods manufactured follows a sequential process as outlined below: Step 1: Calculate the total raw materials available for use by adding the beginning raw materials inventory and raw materials purchased. Raw materials available for use = Raw materials inventory, beginning + Raw materials purchases= $37,000 + $175,600= $212,600Step 2: Calculate the direct materials used .Direct materials used = Raw materials available for use – Raw materials inventory, ending= $212,600 - $42,700= $169,900Step 3: Calculate the total manufacturing costs .Total manufacturing costs = Direct materials used + Direct labor + Factory overhead= $169,900 + $225,000 + $47,000= $441,900Step 4: Calculate the total cost of work in process. Total cost of work in process = Work in process inventory, beginning + Total manufacturing costs – Work in process inventory, ending= $53,900 + $441,900 – $41,500= $454,300Step 5: Calculate the cost of goods manufactured by adding the total cost of work in process to the cost of goods available for sale. Cost of goods manufactured = Total cost of work in process + Finished goods inventory, beginning – Finished goods inventory, ending= $454,300 + $62,700 – $67,300= $450,700Hence, the completed schedule of cost of goods manufactured for Delray Manufacturing for the year ended December 31 is: DELRAY MANUFACTURING Schedule of Cost of Goods Manufactured For Year Ended December 31Direct materials :Raw materials available for use$212,600Direct materials used$169,900Factory overhead: Indirect labor$47,000Repairs-Factory equipment$23,000Rent cost of factory building$57,000Total factory overhead$127,000Total manufacturing costs$441,900Total cost of work in process$454,300Cost of goods manufactured$450,700

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Take me to the text Jessica White recently started her own shoe repair business. Transactions for the first month of operations (September 2019) are as follows. 1) Jessica invested $19,700 cash in the business. 2) Paid two months of rent in advance, in the amount of $1,000. 3) Purchased store equipment worth $3,800 with cash. 4) Incurred business registration expenses, paid with $710 cash. 5) Paid travel expenses with $1,320 cash. 6) Received $2,660 cash from customers for shoe repair services performed during the month. 7) Provided shoe repair services worth $2,370 on account. 8) Paid $1,390 to an assistant. 9) Borrowed $1,390 cash from the bank. 10) Received $860 in bills for electricity, water and telephone, to be paid next month. 11) Jessica withdrew $780 cash for personal purposes. 12) Received $320 owing from a customer for service provided earlier this month. Required Record the above transactions on the T-Account worksheet. Do not enter dollar signs or commas in the input boxes. Use the negative sign for negative values, The T-Account fields are labeled by transaction number. Record each transaction by entering the value into the

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Jessica invested $19,700 cash in the business. Debit Cash account: $19,700 Credit Jessica's Capital account: $19,700 Paid two months of rent in advance, in the amount of $1,000.

Debit Prepaid Rent account: $1,000

Credit Cash account: $1,000

Purchased store equipment worth $3,800 with cash.

Debit Store Equipment account: $3,800

Credit Cash account: $3,800

Incurred business registration expenses, paid with $710 cash.

Debit Business Registration Expenses account: $710

Credit Cash account: $710

Paid travel expenses with $1,320 cash.

Debit Travel Expenses account: $1,320

Credit Cash account: $1,320

Received $2,660 cash from customers for shoe repair services performed during the month.

Debit Cash account: $2,660

Credit Accounts Receivable account: $2,660

Provided shoe repair services worth $2,370 on account.

Debit Accounts Receivable account: $2,370

Credit Service Revenue account: $2,370

Paid $1,390 to an assistant.

Debit Salary Expense account: $1,390

Credit Cash account: $1,390

Borrowed $1,390 cash from the bank.

Debit Cash account: $1,390

Credit Notes Payable account: $1,390

Received $860 in bills for electricity, water, and telephone, to be paid next month.

No journal entry is needed at this time. It will be recorded when the payment is made next month.

Jessica withdrew $780 cash for personal purposes.

Debit Jessica's Capital account: $780

Credit Cash account: $780

Received $320 owing from a customer for service provided earlier this month. Debit Cash account: $320

Credit Accounts Receivable account: $320

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An account is opened with an initial deposit of $100 and earns 4% interest compounded monthly. What will the account be worth in 25 years? round your answer to the nearest dollar.

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The account will be worth approximately $220 after 25 years of compounding interest.

To calculate the future value of the account after 25 years with monthly compounding, we can use the formula for compound interest:

[tex]FV = P * (1 + r/n)^{(nt)[/tex]

Where:

FV = Future valueP = Principal (initial deposit)r = Annual interest rate (as a decimal)n = Number of compounding periods per yeart = Number of years

In this case the initial deposit is $100, the annual interest rate is 4% the compounding is done monthly (n = 12), and the investment period is 25 years (t = 25).

Plugging in these values into the formula:

[tex]FV = $100 * (1 + 0.04/12)^{(12*25)[/tex]

Calculating inside the parentheses:

[tex]FV = $100 * (1.00333333333)^{(300)[/tex]

Using a calculator to evaluate[tex](1.00333333333)^{(300)[/tex], we find:

FV = $100 * 2.208040522

Rounding the value to the nearest dollar:

FV = $220

Therefore, the account will be worth approximately $220 after 25 years of compounding interest.

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A firm requires an investment of $18,000 and will return $26,500 after one year. If the firm borrows $5,000 at 8% what is the return on levered equity? A. 74.8% B. 62.3% C. 87.2% D. 49.8%

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The formula for levered equity return is as follows:

RL = Ru + [Ru − Rd](1 − T)(D/E)

Where: RL = Levered Equity Return

Ru = Unlevered Equity Return

Rd = Cost of Debt

T = Tax Rate

D = Amount of Debt

E = Amount of Equity

So, according to the given information:

Cost of Debt = 8%

Amount of Debt = $5000

Amount of Equity = $18000 - $5000 = $13000

Return = $26500 - $18000 = $8500

Using the formula, we have: RL = Ru + [Ru − Rd](1 − T)(D/E)

Ru = RL - [RL - Rd(1 - T))(D/E)

Ru = 74.8% + (74.8% - 8%(1- 0.35))(5000/13000)

Ru = 74.8% + 0.4566Ru = 125.66%

Hence, the answer is 125.66% (approximately 62.3%).Option B is the correct answer.

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The government has asked the firm to write about Australia’s opportunities in global value chains (GVCs) in Asia Pacific focusing on GVCs in the agricultural/food sector. Do GVCs contradict the notion of comparative advantage? To do so, you must first carefully define comparative advantage.

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In economics, the principle of comparative advantage refers to the ability of a party to produce a specific good or service at a lower opportunity cost than another party. This allows for specialization in the production of goods and services, which can lead to increased efficiency and economic growth. Comparative advantage does not contradict the concept of GVCs. In fact, it is the basis for the development of GVCs.

Through the specialization of production and the exchange of intermediate goods, firms and countries can take advantage of their comparative advantages and participate in GVCs. In the agricultural/food sector, Australia has a comparative advantage in producing certain goods such as beef, wheat, and dairy. By participating in GVCs, Australian firms can specialize in the production of these goods and exchange them with other firms in the Asia Pacific region that have comparative advantages in other areas such as processing or distribution. In conclusion, GVCs and comparative advantage are not contradictory concepts. Rather, they complement each other and allow for increased efficiency and economic growth through specialization and exchange of goods and services.

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On May 31, Don Company had an Accounts Payable balance of Dollar 57,000. During the month of June, total credits to Accounts Payable were Dollar 34,000 , which resulted from purchases on credit. The June 30 Accounts Payable balance was Dollar 32,000. What was the amount of payments made during June? A) Dollar 59,000. B) Dollar 32,000. C) Dollar 34,000. D) Dollar 57,000

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The amount of payments made during June was Dollar 9,000.

What was the amount of payments made during June based on the given information?

Given data:

Total credits to Accounts Payable in June = $34,000Accounts Payable balance on May 31 = $57,000Accounts Payable balance on June 30 = $32,000

Decrease in Accounts Payable balance:

= $57,000 - $32,000

= $25,000

Payments made during June

= Total credits to Accounts Payable - Decrease in Accounts Payable balance

= $34,000 - $25,000

= $9,000.

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Post a brief summary of your thoughts on the following question to the discussion board:As an economy develops and becomes more integrated into the world economy, how do its costs of production change, and how well can they be managed both in the short-run and long-run?

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Strong institutions that support good governance, stable macroeconomic policies, and competition can also help to manage production costs in the long-run.

As an economy develops and becomes more integrated into the world economy, its costs of production usually decrease due to several factors.

First, technological advancements, which can lead to increased efficiency and productivity, may decrease the cost of production. Second, as an economy grows and develops, it can take advantage of economies of scale, which can result in lower costs per unit of production. Finally, increased competition from foreign producers can drive down costs of production in a country.In the short-run, managing production costs may be more difficult, particularly if an economy is experiencing a period of high inflation or if there are supply chain disruptions.

However, in the long-run, economies that have diversified their production base and invested in technological advancements and infrastructure are likely to be better equipped to manage production costs.

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a company issues 5%, 11-year bonds with a face amount of $90,000 on january 1, 2024. the market interest rate for bonds of similar risk and maturity is also 5%. interest is paid semiannually on june 30 and december 31. required: 1.

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The company issued 5%, 11-year bonds with a face amount of $90,000 on January 1, 2024. The market interest rate for bonds of similar risk and maturity is also 5%. Interest is paid semiannually on June 30 and December 31.

To calculate the price of the bonds, we need to calculate the present value of the bond's future cash flows. Here are the steps to calculate the price of the bonds: Determine the periodic interest payment: The bond pays interest semiannually, so we need to calculate the periodic interest payment. The annual interest payment can be calculated as follows:Annual interest payment = Face amount of the bond × Coupon rate Annual interest payment = $90,000 × 5% = $4,500

Since the interest is paid semiannually, the periodic interest payment would be half of the annual interest payment:
Periodic interest payment = Annual interest payment ÷ 2
Periodic interest payment = $4,500 ÷ 2 = $2,250

Determine the discount rate: The market interest rate for bonds of similar risk and maturity is 5%. Since the coupon rate is also 5%, the bond is issued at par value, and the discount rate would be equal to the coupon rate. Calculate the present value of the bond's future cash flows.To calculate the present value, we need to discount each future cash flow to its present value and then sum them up. By following these steps, you can calculate the price of the bonds.

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Game Theory economics - Hotelling’s Location Game N =9, what
strategies would strictly dominate with working out?

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Hotelling’s Location Game in economics is a model used to explain the competition of firms selling products in the same location.

In this game, firms are situated equidistant from each other, and they compete to gain the largest possible share of the market.According to the game theory economics, it is crucial to dominate in any competition, and the same applies to Hotelling's Location Game.

In this game, the most crucial factor to consider is the market's location, which affects the market's demand and affects the pricing of the product. Some of the strategies that could strictly dominate in this game include:The pricing strategy: In a market with few competitors, firms can quickly raise their prices since consumers are limited.

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