The Bank of Canada was established in 1935 and is owned by the chartered banks. True False

Answers

Answer 1

False. The Bank of Canada was established in 1934, and it is not owned by chartered banks. The Bank of Canada is a Crown corporation, meaning it is owned by the Canadian government.


- The Bank of Canada was established in 1934, and it is responsible for monetary policy and the issuance of currency in Canada.
- The Bank of Canada is a Crown corporation, meaning it is owned by the Canadian government.
- It is not owned by the chartered banks, but rather works with them to implement monetary policy and ensure the stability of the Canadian financial system.


The Bank of Canada is Canada's central bank, responsible for monetary policy and the issuance of currency in Canada. It was established in 1934, which makes the statement "The Bank of Canada was established in 1935" false. The Bank of Canada is a Crown corporation, meaning it is owned by the Canadian government, not by the chartered banks.

The Bank of Canada's mandate is to "promote the economic and financial welfare of Canada," which it achieves through various means such as setting interest rates, controlling the money supply, and ensuring the stability of the Canadian financial system. The Bank of Canada also works with other central banks around the world to maintain financial stability and support economic growth.

In summary, the Bank of Canada is a key institution in Canada's financial system, responsible for maintaining economic stability and promoting the welfare of Canadians. It was established in 1934, not 1935, and is owned by the Canadian government, not by chartered banks.

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Related Questions

Select all of the following items that might be considered when determining which peers would be the best comparable companies to be used when valuing a private company. (select all appropriate)
Group of answer choices
The target company's current executive team used to a company with a different business profile
Similar financial metrics
Similar business profiles, including industry and business model
The fact that company executive attended the same college
Expert judgment based on sector/industry experience

Answers

When determining which peers would be the best comparable companies to be used when valuing a private company, the following items might be considered:

Similar business profiles, including industry and business model

Expert judgment based on sector/industry experience Similar financial metrics

The target company's current executive team used to a company with a different business profile.

In order to arrive at an accurate valuation for a company,

its business model must be thoroughly understood and compared with similar companies.

The industry, business model, and other similar characteristics are critical when selecting peers for comparative valuation.

The valuator can also take into account expert judgment based on sector/industry experience, as well as the specific company metrics for comparable firms.

For example, a company that produces software could be compared to other software producers with a similar business model and operating in the same sector, rather than to a manufacturer of hard goods.

similar financial metrics and business profiles must be considered.

In addition to the target company's executives' prior experience in a different business profile, similar academic credentials,

such as having graduated from the same college, do not carry weight in determining comparable peers.

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2. Singing Valley Resort a) An analysis of the five forces of the Singing Valley market. Make and justify any necessary assumptions about their market. b) A statement of Singing Valley's competitive s

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Singing Valley Resort is a well-established hotel and resort that provides a relaxing atmosphere for tourists and locals. In this question, we will discuss the five forces that affect the Singing Valley market and the statement of Singing Valley's competitive strategy.

Analysis of the five forces of the Singing Valley market:

Threat of New Entrants The tourism and hospitality industry is a highly competitive industry with high barriers to entry. It's challenging to enter the industry as a newcomer because of the high capital costs required to set up a hotel or resort. However, if there is a surge in tourism in the region, this might entice new competitors to join the market.

1. Focus on unique experiences and packages to attract customers.

2. Offer loyalty programs and discounts to customers who return.

3. Maintain competitive pricing to ensure that they are not overpriced in comparison to their competitors.

4. Focus on customer satisfaction and invest in customer service training.

5. Emphasize the high-quality facilities and services that Singing Valley Resort offers. To conclude, Singing Valley Resort is a well-established hotel and resort that provides a relaxing atmosphere for tourists and locals. The five forces of the Singing Valley market were analyzed, and it was concluded that Singing Valley Resort can use several competitive strategies to succeed in the market.

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On January 1, 2022, Kleiza Corp. sold equipment with a cost of $20,000 and accumulated depreciation of $18,000 for $6,000 in cash. As a result of this transaction, the statement of cash flows will show
Group of answer choices
A. a $4,000 decrease in the operating section and a $20,000 increase in the investing section.
B. a $4,000 decrease in the operating section and a $6,000 increase in the investing section.
C. a $4,000 increase in the operating section and a $6,000 increase in the investing section.
D. an $18,000 increase in the operating section and a $6,000 increase in the investing section.

Answers

On January 1, 2022, Kleiza Corp. sold equipment with a cost of $20,000 and accumulated depreciation of $18,000 for $6,000 in cash. As a result of this transaction, the statement of cash flows will show a $4,000 decrease in the operating section and a $6,000 increase in the investing section. Thus, option B is the correct choice.

Explanation: The sale of equipment with a cost of $20,000 and accumulated depreciation of $18,000 for $6,000 in cash is a part of the Investing activity. The cost of equipment is $20,000, and accumulated depreciation is $18,000, thus, the carrying amount is $2,000 ($20,000 cost - $18,000 accumulated depreciation) and has been sold for $6,000 cash.

So, the gain on the sale of the equipment would be $4,000 ($6,000 cash received - $2,000 carrying amount) which would be reported in the investing section of the statement of cash flows.

Therefore, the statement of cash flows will show a $4,000 decrease in the operating section and a $6,000 increase in the investing section. The amount of $4,000 represents the gain ($6,000 − $2,000) which has to be deducted from the net income of the company while calculating operating cash flows because it is a non-cash item.

The remaining amount ($6,000) will be shown as an inflow in the investing section of the statement of cash flows.

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A firm's rate of technical substitution is represented graphically by a. the slope of the line connecting the origin with the relevant point on the isoquant. b. the negative of the slope of the line connecting the origin with the relevant point on the isoquant. c. the slope of the isoquant at the relevant point. d. the negative of the slope of the isoquant at the relevant point.

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Technical substitution is a term used to define the extent to which a firm can substitute one input for another while maintaining the same level of output. The rate of technical substitution represents the quantity of one input required to replace one unit of another input. The correct option is "the slope of the isoquant at the relevant point." An isoquant is a curve that shows the different input combinations that can be used to produce a given level of output.

Isoquants have a negative slope because if the firm increases one input, it can decrease the other input and still maintain the same level of output. The slope of an isoquant is called the marginal rate of technical substitution (MRTS). MRTS can be defined as the rate at which one input can be substituted for another while maintaining the same level of output. It is also called the slope of the isoquant. If the isoquant is curved, the MRTS will vary along the curve. At the points where the isoquant is steeper, the MRTS is higher, which means that one input can be substituted for another more easily at these points. The slope of the isoquant represents the MRTS, which is the rate at which one input can be substituted for another.

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a) ABC Company plans to buy a new machine and the cost of it is RM800,000 which has an expected useful life of 5 years. An additional investment of RM90,000 for working capital at the beginning of the operation. At the end of the useful life the machine could be sold for a scrap value of 5% of the initial purchase cost of the machine. The production and sales using the new machine is expected to be 100,000 units where each unit is sold for RM16 per unit and will incur variable cost of $11 per unit. The incremental fixed cost arising from the operation of the new machine will be $160,000 per year. The company's after tax cost of capital is at 11% which it uses as a discount rate in its investment appraisal. The company pays the tax on their profit one year in arears which is at an annual rate of 30%. Tax allowable depreciation and inflation should be ignore in this case. Required: (i) Compute the Net Present Value (NPV) of investing in this new machine and advise the management of the company whether to accept this investment. (13 marks) (ii) Compute the Internal Rate of Return (IRR) of investing in thas new machine and advise the management whether this investment is accepted or not. (6 marks) (b) The marketing director is proposing that the company should use payback period or return on capital employed (Accounting Rate of Retum) when evaluating investment projects. The director has mentioned that target payback period should be three years and the return on capital employed should set at 20%. Projects which are accepted should fulfil either of the criteria. Required: As the newly recruited finance executive, critically discuss the validity of the statement made by the marketing director in regards to the two methods. (6 marks) (c) Corona Ltd is planning to replace a molding machine in the company. They have obtained the quotation for two machines, Astra and Modena. (Simba and Pumba.) Astra will cost. $16,000 and the net cash inflow from the machine is expected to be $8,000 per annum for the next 5 years. Modena will cost $10,000 and the net cash inflow from the machine is 56,000 per annum and this machine has a useful life of 3 years. The cost of capital for Corana Ltd is 10% Required: Advise the management on which machine to purchase using the Equivaleat Annual Cost method: (8 marks) (Total: 33 marks)

Answers

(i) Net Present Value (NPV) of investing in this new machine:ABC Company plans to buy a new machine and the cost of it is RM800,000 which has an expected useful life of 5 years.

An additional investment of RM90,000 for working capital at the beginning of the operation.The production and sales using the new machine are expected to be 100,000 units where each unit is sold for RM16 per unit and will incur variable cost of $11 per unit.

Using the formula of

[tex]Net Present Value:NPV = (Net Cash Inflows / (1+r)t) - Initial Investment Year cash Inflow[/tex]

Net Cash Inflow (RM) Discount Factorat 11%Discounted Cash Inflows (RM)011,840,000.91,840,000.01121,840,000.82,494,560.02131,840,000.72,294,859.88141,840,000.62,151,714.19151,840,000.52,055,973.95168,577,108.98 (Sum of all discounted cash flows)

[tex]Cost of investment at Year 0 = RM800,000 + RM90,000 = RM890,000[/tex].

[tex].NPV of the investment = RM68,577,108.98 - RM890,000= RM67,687,108.98.[/tex]

As the NPV is greater than zero, the investment in the new machine is acceptable.

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We now express the rate of return on capital as (R/P).κ−δ(κ), where κ is capital utilization rate. What is capital utilization rate, and why does it affect the rate of return on capital as specified in this equation? (4 points)

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Capital utilization rate is the percentage of a company's potential production capacity that is currently being used. It is an indicator of a company's efficiency and ability to generate profit.

It has an impact on the rate of return on capital as specified in the equation because it affects the productivity of the capital invested.

What does it entail?

Capital utilization rate (κ) is the ratio of actual output to potential output, where potential output is the maximum output a firm can produce with its existing resources and technology. It is expressed as a percentage.

For example, if a company has a potential output of 100 units and it produces 80 units, its capital utilization rate would be 80%.

The rate of return on capital (R/P) is the ratio of profits (R) to the value of capital invested (P). It is an indicator of the profitability of a company. In the equation (R/P).κ−δ(κ), κ is multiplied by the rate of return on capital (R/P) and subtracted by δ(κ). δ(κ) represents the depreciation of capital and is a function of the capital utilization rate (κ).The reason why capital utilization rate affects the rate of return on capital is because the productivity of capital invested is directly proportional to the amount of capital utilized. If a company is not utilizing its capital to its maximum potential, it will not be able to generate as much profit as it could if it were operating at full capacity. In addition, if the capital utilization rate is too low, the cost of production will increase due to underutilization of resources, leading to lower profits and a lower rate of return on capital.

Therefore, capital utilization rate is an important factor to consider when evaluating a company's profitability.

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Haley Photocopying purchases paper from an out-of-state vendor. Average weekly demand for paper is 160 cartons per week for which Haley pays $25 per carton. Inbound shipments from the vendor average 750 cartons with an average lead time of 2 weeks. Haley operates 52 weeks per year; it carries a 3-week supply of inventory as safety stock and no anticipation inventory. The vendor has recently announced that they will be building a facility near Haley Photocopying that will reduce lead time to one week. Further, they will be able to reduce shipments to 100 cartons. Haley believes that they will be able to reduce safety stock to a 1-week supply. What impact will these changes make to Haley's average inventory level and its average aggregate inventory value? The changes decrease Haley's average aggregate inventory level by cartons. (Enter your response as a whole number.) The changes decrease Haley's average aggregate inventory value by $ . (Enter your response as a whole number.)

Answers

Average inventory level decreased by 400 cartons and average aggregate inventory value is decreased by $10,000.

Given data: Average weekly demand for paper is 160 cartons per week Haley pays $25 per carton Inbound shipments from the vendor average 750 cartons with an average lead time of 2 weeks Haley operates 52 weeks per year It carries a 3-week supply of inventory as safety stock No anticipation inventory Haley Photocopying purchases paper from an out-of-state vendor.

The vendor has recently announced that they will be building a facility near Haley Photocopying that will reduce lead time to one week. Further, they will be able to reduce shipments to 100 cartons. Haley believes that they will be able to reduce safety stock to a 1-week supply.

Let's calculate the Average inventory with the current system.

The total average weekly demand is given by 160 cartons per week Haley pays $25 per carton

So, the cost of a carton is $25Average inventory = (Order quantity/2) + Safety Stock Average demand per week = 160 cartons Order quantity = Average demand per week x Average lead time/weeks= 160 x 2= 320 cartons Safety stock = 3 weeks supply = 160 x 3= 480 cartons Average inventory= (320/2) + 480= 640 cartons Further,

Average aggregate inventory value = Average inventory x Cost per carton= 640 x 25= $16,000

The inbound shipments are reduced to 100 cartons and the lead time is reduced to 1 week Safety stock = 1-week supply = 160 x 1= 160 cartons Average inventory = (Order quantity/2) + Safety Stock Average demand per week = 160 cartons Order quantity = Average demand per week x Average lead time/weeks= 160 x 1= 160 cartons Safety stock = 1 week supply = 160 cartons Average inventory= (160/2) + 160= 240 cartons

The changes decrease Haley's average aggregate inventory level by cartons. (Enter your response as a whole number.)Average aggregate inventory level decreased by 400 cartons

Now let's calculate the new Average aggregate inventory value.

Average aggregate inventory value = Average inventory x Cost per carton= 240 x 25= $6,000The changes decrease Haley's average aggregate inventory value by $10,000. (Enter your response as a whole number.)Haley's average aggregate inventory value is decreased by $10,000. Answer: Average inventory level decreased by 400 cartons and average aggregate inventory value is decreased by $10,000.

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An association of citizens located in the north of the country decided to conduct a study in order to better understand how wages influence tobacco consumption. With this purpose, information was collected for 20 individuals on monthly wages (w) and the number of cigarettes smoked per day (c). Some of the results were, c
ˉ
S ln(w)
2


=9.9 ln(w)

=6.696763
=0.411993S c
2

=42.69S c,ln(w)

=2.345863

a. Estimate by OLS the model for which the absolute variation in the number of cigarettes smoked per day that results from a 1% increase in monthly wages is constant. Interpret the estimated regression coefficients. b. Analyze the quality of the results. c. One of the conclusions of this study was that when monthly wages increase 10% the number of cigarettes smoked per day increases in 0.5 units. Do you agree? Justify. d. It was observed that one individual living in the south of the country smoked 10 cigarettes per day and had a monthly wage of 1500€. Do you think that the results obtained so far can be extrapolated to the south of the country?

Answers

a. In order to estimate the regression model for the absolute variation in the number of cigarettes smoked per day that results from a 1% increase in monthly wages is constant, we need to take the logarithm of the variables and obtain the following regression model:

ln(c) = α + β ln(w) + u where β represents the elasticity of cigarettes with respect to wages. Therefore, a 1% increase in wages leads to a β % change in cigarette consumption.

The estimated regression coefficients are given by the OLS procedure as follows:α = - 1.9694β = 0.2598. An increase of 1% in the wages results in a 0.26% increase in cigarette consumption. This is interpreted by the coefficient β and can be considered relatively low.

b. In order to analyze the quality of the results we can conduct some tests such as the t-test of the hypothesis H0: β = 0 versus H1: β ≠ 0. According to the estimated regression model, an increase of 10% in wages results in an increase of 2.60% in cigarette consumption (0.26% * 10). Therefore, the increase in the number of cigarettes smoked per day is not 0.5 units, but 0.26% of the original level of consumption. This is due to the fact that the elasticity of cigarettes with respect to wages is relatively low (0.2598).

c. The results obtained so far cannot be extrapolated to the south of the country with certainty. The reason is that the estimated regression model is based on a sample of 20 individuals located in the north of the country and it may not be representative of the population of the entire country. In order to extrapolate the results to the south of the country, we would need to collect a new sample of individuals located in the south and estimate the regression model with this sample.

Alternatively, we could use a statistical method such as confidence intervals or hypothesis testing to determine whether the difference between the north and the south is statistically significant.

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Landscape manager Anthony in our opening story has $100 per hour to allocate to for labor in the greenhouse. Anthony already has two employees that each earn $9 per hour. What is the greatest number o

Answers

The greatest number of additional employees Anthony can hire within the budget is 9 employees.

Based on the information provided, Anthony has a total budget of $100 per hour to allocate for labor in the greenhouse.

He already has two employees who each earn $9 per hour.

To determine the greatest number of additional employees Anthony can hire within the budget, we need to calculate the remaining amount after accounting for the wages of the current employees.

The total amount spent on the current employees per hour is:

2 employees × $9 per employee = $18 per hour

To find the remaining budget, we subtract the amount spent on current employees from the total budget:

$100 - $18 = $82

Now, we need to determine how many additional employees can be hired at a rate of $9 per hour within the remaining budget.

The number of additional employees can be calculated by dividing the remaining budget by the wage per employee:

$82 / $9 = 9.11

Since we cannot hire a fraction of an employee, we round down to the nearest whole number.

Therefore, the greatest number of additional employees Anthony can hire within the budget is 9 employees.

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Taggart Inc.'s stock has a 50% chance of producing a 32% return, a 30% chance of producing a 15% return, and a 20% chance of producing a -24% return. What is the firm's expected rate of return?
a.25.30%
b.15.70%
c.12.01%
d.15.86%
e.15.40%

Answers

The expected rate of return for the Taggart Inc. will be 15.40% as explained below:

Given, the probability distribution of the rate of return for the Taggart Inc. is:

R1 = 32%

with probability of P1 = 50%R2 = 15%

with probability of P2 = 30%R3 = -24%

with probability of P3 = 20%

The expected rate of return of the Taggart Inc. can be calculated by using the following formula:

[tex]\text{Expected Return} = \sum_{i=1}^n \text{R}_i \times \text{P}_i[/tex]

Substitute the given values into the above formula:

\[tex]text{Expected Return} = \text{R1}\times\text{P1} + \text{R2}\times\text{P2} + \text{R3}\times\text{P3}\text[/tex]

[tex]{Expected Return} = (32\% \times 50\%) + (15\% \times 30\%) + (-24\% \times 20\%)[/tex]

[tex]\text{Expected Return} = 16\% - 4.5\% - 4.8%\text{Expected Return} = 15.40%[/tex]

The Taggart Inc.'s expected rate of return is 15.40%.

Hence, the correct option is e. 15.40%.

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Discuss the benefits and shortcomings of The Mckinsey 7-S model.

Answers

The McKinsey 7-S Model is a management framework that helps businesses evaluate the effectiveness of their organizational design. This model is very useful for analyzing a company's strengths and weaknesses.


Benefits of The Mckinsey 7-S model are: Assessment of the internal environment The McKinsey 7-S model helps firms assess the internal environment by examining seven interconnected variables: structure, system, shared values, strategy, skills, staff, and style. The model is also ideal for evaluating the compatibility of these variables, highlighting possible causes of inconsistency, and recommending how to address these issues. A focus on organizational design

Organizational design is one of the most important aspects of any business operation, and the McKinsey 7-S model focuses specifically on this area. Managers can use the model to identify areas where change is necessary to improve performance. This framework helps companies align their objectives with their organizational structure and internal culture, ensuring that everyone is working towards a common goal.

Shortcomings of The Mckinsey 7-S model are: The model is not comprehensive enough The McKinsey 7-S model examines seven key areas of a business, but there are other variables that are not included. A comprehensive model should take into account other factors such as market conditions, customer expectations, and external trends. The McKinsey 7-S model is not a complete solution for organizational change and improvement. It is important to supplement the model with other approaches to ensure that all relevant factors are considered.

The model is not easy to applyThe McKinsey 7-S model requires a lot of data collection and analysis, which can be time-consuming and difficult. Not all managers have the necessary skills to apply this model effectively. In addition, the model requires input from different stakeholders, which can be difficult to obtain in practice.

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You own a 536,800 portfollo that is invested in 5 tocks A and B. The portfolio beta is equal to the market beta. Stock A has an expected return of 22.6 percent and has a beta of 1.48. Stock. B has a beta of. 72 . What is the value of your imvestment in 5 tock A?

Answers

Therefore, the value of investment in stock A is $196900.

Given, Portfolio = $536,800

Beta of portfolio = beta of market portfolio

Thus, Beta of portfolio = βmarket= βp = βm

Expected return of stock A = 22.6%

Beta of stock A = 1.48

Beta of stock B = 0.72

Let x be the value of investment in stock A.

∴ Investment in stock B will be 536800 - x.

Now, using the formula of beta of portfolio, we have:

βp = (x/536800) (1.48) + [(536800 - x)/536800] (0.72)

βmarket = βp

= βm (given)⇒ βm

= (x/536800) (1.48) + [(536800 - x)/536800] (0.72)⇒ 1.00

= (x/536800) (1.48) + [(536800 - x)/536800] (0.72)⇒ 1.00

= (1.48x + 386976 - 0.72x)/536800⇒ 536800

= 0.76x + 386976⇒ 0.76x = 536800 - 386976⇒ 0.76x

= 149824⇒ x

= 149824/0.76

= $196900.

Therefore, the value of investment in stock A is $196900.

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Which one of the following is a disadvantage of a command economy? a. The environment is unstable. b. There are high social costs. c. Planning is difficult or impossible. d. State organisations can be unproductive.

Answers

A command economy is a system in which the government or a central authority makes all major economic decisions and owns all means of production, including land and capital.

The government may have difficulty accurately forecasting future market conditions, which can lead to overproduction or underproduction.

This type of economy has no incentive to generate innovation since it lacks the necessary signals and incentives to react to the needs of the people.

A central authority that controls all aspects of the economy may be slowed down by internal bureaucratic procedures and could be unresponsive to changes. As a result, there is a danger of inefficiency and waste in production processes.

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If production of a good changes from 63.5 to 52.6 what is the percentage change in the quantity of the good produced?

Answers

Percentage change is an important economic metric used to determine the degree of change in a particular variable, such as quantity. To calculate the percentage change in quantity when production of a good changes from 63.5 to 52.6, we must first determine the direction of the change. Since the quantity has decreased from 63.5 to 52.6, this represents a decrease in production. Therefore, we will use the formula for calculating percentage decrease.

The formula for percentage decrease is given as:

Percentage Decrease = (Change in Value / Original Value) × 100

Using the values given in the question, we have:

Change in Value = Final Value - Initial Value

= 52.6 - 63.5

= -10.9

Original Value = 63.5

Substituting these values in the formula, we get:

Percentage Decrease = (-10.9 / 63.5) × 100

= -17.16%

Therefore, the percentage change in the quantity of the good produced is -17.16%, indicating a decrease of 17.16% in production from 63.5 to 52.6.

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Discuss the knowledge discovery process, with application to the selected business. You will receive more marks for your own original examples than for examples in your textbook, from your lecturer, or on Learn. Include the following in your discussion: - An explanation of the knowledge discovery process and its sub-processes. - Detailed application of the sub-processes to the business. illustrative mechanisms and technologies.

Answers

The process is subdivided into several sub-processes, which include data acquisition, data preparation, data transformation, data mining, pattern evaluation, and knowledge representation.

Data acquisition is the process of collecting data from various sources, such as customer surveys, sales data, and social media, to mention a few. Data preparation involves cleaning the data, handling missing data, and filtering data. Data transformation involves converting the data into a format that can be analyzed.

Pattern evaluation involves analyzing the results of data mining to determine the patterns that are most significant. The final sub-process is knowledge representation, which involves presenting the knowledge that has been discovered in a manner that is understandable and usable for decision-making.

Illustrative mechanisms and technologies that can be used in the knowledge discovery process include machine learning algorithms, data mining software, predictive modeling tools, and data visualization tools. Mechanisms and technologies such as machine learning algorithms, data mining software, predictive modeling tools, and data visualization tools can be used to automate the process and improve the accuracy of the results.

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the following annual costs are associated with three new extruder machines being considered for use in a styrofoam cup plant:

Answers

The annual costs associated with the three new extruder machines being considered for use in a styrofoam cup plant need to be provided in order to give a clear and concise answer.


To determine the costs associated with the three extruder machines, we would need to know the specific costs involved. This could include the purchase price of each machine, the cost of installation, any maintenance or repair costs, and any additional operating expenses. Once we have these costs, we can calculate the total annual cost for each machine by adding up all the expenses. This will give us a clear understanding of the financial implications of each machine.



Additionally, it's important to consider the expected lifespan of the machines and their potential productivity. A more expensive machine may have a longer lifespan and higher productivity, resulting in lower costs in the long run.Ultimately, the decision on which extruder machine to choose will depend on the specific costs associated with each machine and the long-term benefits they provide.

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True or False: The use of a forced distribution system requires the termination of the bottom 10% of employees.

Answers

False. The use of a forced distribution system does not require the termination of the bottom 10% of employees. Forced distribution is a system of performance management in which employees are evaluated on a normal distribution curve, also known as a bell curve.

The forced distribution system is a method of performance evaluation that involves placing employees in predetermined categories based on their performance. The system sets limits on the percentage of employees that can be placed in each category. Typically, the top performers are placed in the highest category, while the bottom performers are placed in the lowest category.The forced distribution system does not mandate the termination of the bottom 10% of employees. Instead, it is used to identify areas where employees need to improve and provide them with feedback and training to enhance their skills and abilities. The system is designed to encourage employees to strive for excellence and to improve their performance over time.In conclusion, the use of a forced distribution system does not require the termination of the bottom 10% of employees. Instead, it is a method of performance management that provides employees with feedback and guidance to help them improve their performance.

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globally, an estimated 1,800 twh of tidal energy exists per year. there are several tidal power plants around the world, including large ones in south korea, france, and canada. the largest tidal plant produces 0.5 twh/year, which can power 46,000 homes annually. calculate the number of homes that can be powered by 50 twh of energy. calculate the number of tidal plants needed to power 92,000 homes annually.

Answers

To calculate the number of homes that can be powered by 50 TWh of energy, we can use the information given about the largest tidal power plant. The largest tidal plant produces 0.5 TWh/year, which can power 46,000 homes annually.



To calculate the number of homes that can be powered by 50 TWh of energy, we need to use the information given about the largest tidal power plant. The largest tidal plant produces 0.5 TWh/year, which can power 46,000 homes annually.We set up a proportion to find the number of homes that can be powered by 50 TWh of energy. By cross multiplying and solving for x, we find that 50 TWh of energy can power approximately 4,600,000 homes.



In this calculation, we assumed that the energy consumption per home is consistent across all homes. This may not be entirely accurate, as energy consumption can vary depending on factors such as the size of the home, energy-efficient appliances, and personal habits. However, for the purpose of this calculation, we assumed a constant energy consumption per home.

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When applying the Black-Scholes modely you must first estimate the volatility of the underlying asset. What is the effect of errors in this volatiinty estimate on the option price? The volatility of assets always remains constant over time, so there should be no estimation error. Errors in the volatility estimate have a no effect on the option price. Eirrors in volatility estimate can have a large effect on the option price. Errors in the volatility estimate have a negligible effect on the option price. and therefore can be igncred. You run a CAPM regression for APPL. The coetficient for Beta is 1.1 and the estimate for alpha is 0.02. What is the expected return of APPL if the market risk aremiem is 10s and the risk-free rate is 3\%? 11% 16% 14× 13% The writer of a put option is... given the right, but not an obligation, to sell an asset at the strike price. selling the right to sell an asset at the strike price, and thus has the obligation to buy the asset at the strike price if the option is exercised. given the right, but not an obligation, to buy an asset at the strike price. selling the right to buy an asset at the strike price, and thus has the obligation to sell the asset at the strike price if the option is exercised.

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When applying the Black-Scholes model, errors in the volatility estimate can have a large effect on the option price and therefore cannot be ignored. The volatility of assets does not always remain constant over time. Volatility can be different under different market conditions such as economic stability, geopolitical tensions, pandemics, and other factors. Even with the same asset, there is no guarantee that volatility will remain constant.

Therefore, when we estimate volatility, we must consider all factors that may cause fluctuations in asset price. Errors in the volatility estimate can cause a change in the option price. Thus, the more the errors in the volatility estimate, the greater the change in the option price. The writer of a put option is given the obligation to buy the asset at the strike price if the option is exercised. Thus, the correct option is "selling the right to sell an asset at the strike price, and thus has the obligation to buy the asset at the strike price if the option is exercised."

Expected Return = Risk-Free Rate + Beta*(Expected Market Return - Risk-Free Rate)

Expected Return = 3% + 1.1*(10% - 3%)

Expected Return = 3% + 1.1*7%

Expected Return = 10.7% ≈ 11%

Therefore, the expected return of APPL is 11%.

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Agile teams are allowed to self-organize and make their own technical decisions. Explain.

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Agile teams are given the freedom to self-organize and make their own technical decisions, which is crucial for their agility and responsiveness to project changes. This autonomy allows teams to quickly adapt to new situations and deliver high-quality products within tight timeframes.

The ability to self-organize is a fundamental characteristic of agile teams as it enhances their effectiveness and efficiency. When teams have the authority to make their own decisions, they become more productive and focused. They don't have to wait for instructions from higher-level management but instead take ownership of their work and drive progress.

Moreover, self-organizing teams are more likely to make informed decisions that positively impact the project. They possess a deep understanding of the project requirements and possess specialized knowledge and expertise. This enables them to leverage their collective wisdom in making well-informed decisions that contribute to the overall success of the project.

In summary, the capacity to self-organize is a vital element of agile teams. It empowers them to work efficiently, make informed decisions, and ultimately benefit the project as a whole.

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32. The Production Possibilities Curve represents: 6 a. Trade-offs society faces in the production of goods. b. Opportunity costs of producing more of one good. c. The highest level of production achievable with scarce resources. d. All of the above.

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Production Possibilities Curve represents Trade-offs society faces in production of goods. Opportunity costs of producing more of one good. Highest level of production achievable with scarce resources. The correct answer is d.

The Production Possibilities Curve (PPC), also known as the Production Possibilities Frontier (PPF), represents various combinations of goods or services that can be produced given the available resources and technology. It illustrates the trade-offs, opportunity costs, and the highest level of production achievable with limited resources.

a. Trade-offs: The PPC demonstrates the trade-offs that society faces in the production of goods. It shows that producing more of one good necessitates sacrificing the production of another good. For example, if an economy decides to produce more consumer goods, it will have to allocate fewer resources to producing capital goods.

b. Opportunity costs: The PPC highlights the opportunity costs associated with producing more of one good. It shows that as an economy moves along the PPC to produce more of a particular good, it must give up producing some quantity of the other good. The opportunity cost is the value of the forgone alternative.

c. Highest level of production: The PPC represents the maximum production level achievable with limited resources. It shows the combinations of goods that can be produced efficiently given the available resources and technology.

Therefore, the PPC encompasses all of the above factors: trade-offs, opportunity costs, and the highest level of production achievable with scarce resources.

The correct answer is d.

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Barry Company received full payment of $12,000 in advance for services that are 65% complete at the end of the period. The adjusting entry will be...
debit Unearned Revenue for $7,800 and credit Service Revenue for $7,800

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The adjusting entry in this scenario is debit Unearned Revenue for $7,800 and credit Fees Earned for $7,800.The correct answer is option C.

When a company receives payment in advance for services that are partially completed, it creates a liability called Unearned Revenue. This liability represents the amount of revenue that has been received but not yet earned.

In this case, Barry Company received $12,000 in advance, but only 65 percent of the services have been completed.

To adjust for the portion of services that have been earned, the company needs to recognize the revenue that corresponds to the percentage of completion.

Since 65 percent of the services have been completed, the revenue that can be recognized is 65 percent of the total payment received, which is $7,800 ($12,000 x 65%).

To record this adjustment, the company debits (increases) the Unearned Revenue account by $7,800 to reduce the liability. At the same time, the company credits (increases) the Fees Earned account by $7,800 to recognize the revenue that has been earned.

This adjusting entry reflects the matching principle of accounting, where revenue is recognized when it is earned and not when the payment is received.

By making this adjustment, the financial statements will accurately reflect the company's performance and the portion of services that have been completed.

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Facts you have discovered: Debits to the Cash account were $2,640; credits to the Cash account were $2,150. Amy Hall (customer) paid $15, but this was not updated in Accounts Receivable. A purchase of office equipment for $105 on account was never recorded in the ledger. Professional Fees (revenue) was understated in the ledger by $180. Show how the trial balance will indeed balance once these items are corrected. Tell Ranch Company how it can avoid this problem in the future.

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To ensure that the trial balance balances after correcting the discovered facts, the following adjustments need to be made:

1. Adjust Accounts Receivable for the payment made by Amy Hall:

Debit: Accounts Receivable ($15)Credit: Cash ($15)

2. Record the purchase of office equipment on account:Debit: Office Equipment ($105)Credit: Accounts Payable ($105)

3. Adjust Professional Fees to reflect the correct revenue amount:Debit: Professional Fees ($180)Credit: Revenue ($180)After making these adjustments, the trial balance will balance because the debits and credits will be equal. The corrected amounts will be reflected in the appropriate accounts, ensuring accuracy.

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which of the following are true of amortizing a premium bond using the effective interest amortization method: multiple select question. the semiannual cash interest payment is less than the bond interest expense. the semiannual cash interest payment is larger than the bond interest expense. the excess of the cash payment over the interest expense reduces the principal. the excess of the interest expense over the cash payment increases the principal.

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The semiannual cash interest payment is less than the bond interest expense.The excess of the cash payment over the interest expense reduces the principal.


In the effective interest amortization method, a premium bond is amortized by gradually reducing the premium over the bond's life. This means that the semiannual cash interest payment is less than the bond interest expense because a portion of the cash payment is used to reduce the premium.The excess of the cash payment over the interest expense reduces the principal.

Since the semiannual cash interest payment is less than the bond interest expense, the excess amount is used to reduce the principal. This helps to gradually decrease the premium over time.Therefore, the correct statements are:
The semiannual cash interest payment is less than the bond interest expense.The excess of the cash payment over the interest expense reduces the principal.

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the following balances were taken from the accounts of williams company: sales $70,000 ending inventory 10,000 purchases 40,000 net income 22,000 other expenses 15,000

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The balances provided for Williams Company are as follows:

- Sales: $70,000
- Ending inventory: $10,000
- Purchases: $40,000
- Net income: $22,000
- Other expenses: $15,000

These balances represent different aspects of the company's financial information. Let's break them down:

1. Sales: The amount of money earned from selling goods or services. In this case, Williams Company has made $70,000 in sales.

2. Ending inventory: The value of goods that are still unsold at the end of a specific period. Williams Company has $10,000 worth of inventory remaining.

3. Purchases: The total value of goods or materials purchased by the company for resale or production. Williams Company has made purchases worth $40,000.

4. Net income: The difference between total revenue and total expenses. It represents the company's overall profitability. Williams Company has a net income of $22,000.

5. Other expenses: The total amount of money spent on expenses other than purchases. This could include rent, salaries, utilities, and other operational costs. In this case, Williams Company has incurred $15,000 in other expenses.

These balances provide a snapshot of Williams Company's financial position and performance. The sales, purchases, and net income figures help evaluate the company's revenue generation and profitability, while the ending inventory and other expenses figures give insights into its inventory management and cost structure.

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Test Company reported the following account balances before adjusting for the overhead variance. The overhead variance was $8,000 overapplied. The amount is considered material. The journal entry to adjust for the overhead variance would include. A debit to cost of goods sold for $5,231 A debit to cost of goods sold for $5,667 A credit to cost of goods sold for $5,231 A credit to cost of goods sold for $5,667

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The journal entry to adjust for the $8,000 overapplied overhead variance includes credit to the cost of goods sold for $5,667.

To adjust for the $8,000 overapplied overhead variance, a credit of $5,667 should be made to the cost of goods sold account. This is because the variance is considered material and unfavourable, indicating that too much overhead was allocated to the cost of goods sold.

By crediting the cost of goods sold, the account is reduced by the appropriate amount to reflect the actual overhead cost. This adjustment helps ensure accurate reporting of the cost of goods sold and maintains the integrity of the company's financial statements.

Therefore, the correct journal entry to adjust for the overhead variance is a credit to the cost of goods sold for $5,667.

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To adjust for the $8,000 overapplied overhead variance, a credit of $5,667 should be made to the cost of goods sold account. This is because the variance is considered material and unfavourable, indicating that too much overhead was allocated to the cost of goods sold.

By crediting the cost of goods sold, the account is reduced by the appropriate amount to reflect the actual overhead cost. This adjustment helps ensure accurate reporting of the cost of goods sold and maintains the integrity of the company's financial statements.

Therefore, the correct journal entry to adjust for the overhead variance is a credit to the cost of goods sold for $5,667.

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To act ethically in business is only necessary to follow the
law. Agree or disagree. Give reasons for your answer and provide at
least one counter argument and rebut it.

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I disagree with the statement that to act ethically in business is only necessary to follow the law.

While following the law is important and forms the foundation of ethical behavior, it is not sufficient on its own. Acting ethically in business goes beyond legal compliance and involves a broader set of principles and values. Here are the reasons for my disagreement:

Legal standards may not cover all ethical considerations: Laws are created to establish a minimum standard of behavior in society. However, they cannot address every ethical dilemma that may arise in the business context. Ethical decisions often require considering the impact on various stakeholders, such as employees, customers, communities, and the environment. Compliance with the law may not always align with what is morally right or socially responsible.

Ethical behavior builds trust and reputation: Acting ethically goes beyond legal requirements and focuses on building trust with stakeholders. A business that prioritizes ethical conduct is more likely to attract loyal customers, maintain a positive reputation, and foster long-term relationships with employees, suppliers, and investors. Upholding ethical standards can contribute to sustainable success in the long run.

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Explain how the concept of Nash Equilibrium can be applied to
the tragedy of commons

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The concept of Nash Equilibrium is very useful in understanding the tragedy of the commons. Nash equilibrium is a state of balance between two or more players where no player has an incentive to change their strategy.

In a tragedy of commons scenario, individuals act in their own self-interest and exploit a shared resource. In this situation, Nash equilibrium helps to identify the outcome where everyone is acting in their own self-interest and no one has an incentive to change their behavior.

Nash equilibrium can be applied to the tragedy of commons in the following way: Imagine a community that relies on a common pasture for grazing their livestock. If each individual acts in their own self-interest and allows their livestock to graze the pasture as much as they want, the pasture will eventually be overgrazed and destroyed. In this scenario, each individual is incentivized to overuse the pasture, leading to the destruction of the resource.

In conclusion, Nash equilibrium can be applied to the tragedy of commons by creating an agreement that limits the overuse of a shared resource. This agreement creates a Nash equilibrium where everyone is acting in their own self-interest, and the resource is sustained.

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6. A firm’s balance sheet has the following entries:
Cash
$10,000,000
Total liabilities
30,000,000
Common stock ($5 par; 2,000,000 shares outstanding)
10,000,000
Additional paid-in capital
3,000,000
Retained earnings
42,000,000
What will be each of these balance sheet entries after:
a three-for-one stock split?
a $1.25 per share cash dividend?
a 10 percent stock dividend (the current price of the stock is $15 per share)?

Answers

Stock split means that a company wants to make its shares more affordable and accessible to investors by increasing the number of outstanding shares. As a result of the split, the total value of the shares owned by the shareholders would remain the same.

Cash dividends are dividends paid out in cash to the shareholder as a portion of the company's earnings. When a company declares a dividend, it sets a dividend amount per share, which is the amount paid per each share owned by the shareholders. Stock dividends are dividends paid out in stock rather than cash. This involves the company issuing additional shares to the existing shareholders.

In the balance sheet, after a three-for-one stock split, the number of outstanding shares will be 6,000,000 shares (2,000,000*3).

Common Stock will be unchanged (10,000,000).

Additional paid-in capital will be 3,000,000 since there was no change in the value of the company.

Retained Earnings will also be unchanged, 42,000,000.

In this case, the par value per share will also reduce by one-third to 3.33.

In the case of a 1.25 per share cash dividend,

A total of 2,500,000 (1.25*2,000,000) would be paid out in cash.

As a result, the Cash balance would reduce to 7,500,000.

Common Stock and Additional paid-in capital would not be affected.

Retained Earnings will reduce to 39,500,000 (42,000,000 - 2,500,000).

In the case of a 10 percent stock dividend, there will be a distribution of 200,000 shares (2,000,000*10%) to the shareholders.

Since the current price per share is 15, the total value of the stock dividend will be 3,000,000 (200,00015).

Thus, the new number of shares outstanding will be 2,200,000.

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firm-commitment underwriting of new securities requires that the investment bank

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Firm-commitment underwriting of new securities requires that the investment bank agrees to purchase the entire issue of securities from the issuer at a predetermined price. In this type of underwriting, the investment bank bears the risk of unsold securities and guarantees the issuer a specific amount of funds.

Specifically, in firm-commitment underwriting:
Purchase Agreement: The investment bank enters into a purchase agreement with the issuer, which states that the bank will purchase the entire issue of securities at a fixed price.
Risk Assumption: The investment bank assumes the risk associated with selling the securities to investors. If the securities cannot be sold at the desired price or quantity, the bank is still obligated to purchase them from the issuer.
Pricing: The investment bank determines the offering price for the securities in consultation with the issuer. The price is based on various factors such as market conditions, demand, and the issuer's financials.
Distribution to Investors: The investment bank actively markets and sells the securities to investors through various channels, such as institutional investors, retail investors, or other financial institutions.
Proceeds to the Issuer: After the securities are sold, the investment bank collects the funds from the investors and provides the proceeds to the issuer, deducting its underwriting fee and expenses.

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