the minimum dollar investment amount for purchasing shares in a public, non-listed reit (pnlr) typically ranges from:______.

Answers

Answer 1

The minimum dollar investment amount for purchasing shares in a public, non-listed REIT (PNLR) typically varies and depends on various factors such as the specific PNLR offering and the requirements set by the company.

There is no fixed or standard minimum investment amount for all PNLRs, as it can differ significantly. Public, non-listed REITs are real estate investment trusts that are registered with the Securities and Exchange Commission (SEC) but do not trade on a national stock exchange.

These types of REITs are typically sold through broker-dealers and have their own specific requirements for minimum investment amounts.The minimum investment amount for a PNLR can depend on several factors, including the company's investment strategy, the size and value of the real estate assets held by the REIT, the management fees, and any regulatory requirements.

Some PNLRs may have minimum investment amounts as low as a few thousand dollars, making them accessible to a broader range of investors. On the other hand, certain PNLRs may have higher minimum investment requirements, such as tens of thousands or even hundreds of thousands of dollars, which are aimed at attracting institutional or high-net-worth investors.

It is important for potential investors to carefully review the prospectus or offering materials of a PNLR to determine the specific minimum investment amount and other associated terms and conditions. These documents will provide detailed information about the investment opportunity, including any investment minimums, fees, and risks. As such, it is advisable to consult with a financial advisor or conduct thorough research before investing in a PNLR to ensure compliance with the investment requirements and to make an informed investment decision based on individual financial goals and risk tolerance.

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Related Questions

discuss use of root cause analysis when performance improvement benchmarks are not meet.

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When performance improvement benchmarks are not met, the use of root cause analysis is crucial in identifying the underlying reasons for the shortfall.

Root cause analysis is a systematic process that aims to identify the fundamental causes of problems or failures. It involves investigating and analyzing the various factors that contribute to the undesired outcome, rather than simply addressing the surface-level symptoms.

By conducting a thorough root cause analysis, organizations can gain valuable insights into the underlying issues and take targeted actions to address them effectively.

In the context of performance improvement benchmarks, root cause analysis helps to identify the specific factors or root causes that have led to the failure to meet the desired targets. It involves examining different aspects such as processes, systems, resources, skills, and communication channels to understand where the breakdown occurred.

By identifying the root causes, organizations can implement corrective measures that directly address the underlying issues, leading to sustainable performance improvement.

Root cause analysis typically involves techniques such as the 5 Whys, fishbone diagrams, and Pareto analysis to systematically identify and analyze the contributing factors. It is an essential tool for organizations to diagnose problems accurately, improve decision-making, and drive continuous improvement efforts.

Through root cause analysis, organizations can identify systemic issues, implement targeted interventions, and monitor progress towards achieving performance improvement benchmarks.

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Fran and Bob (who are married) own and manage a cleaning service. A potential advantage of this arrangement is that

A) differences of opinion about the business likely won't carry over into family lives since they will see each other more hours daily.
B) it affords the opportunity to share more of their lives together.
C) the business isn't likely to dissipate their energies as they can each work on separate sections.
D) they can count on working fewer hours in the business.

Answers

A potential advantage of Fran and Bob, who are married and own and manage a cleaning service, is that they have the opportunity to share more of their lives together. So, the correct option is B) it affords the opportunity to share more of their lives together.

Run business together as a married couple can provide several benefits in terms of shared experiences, increased communication, and a deeper understanding of each other's strengths and weaknesses. By working together, Fran and Bob can align their goals, make joint decisions, and support each other in the business venture. This arrangement allows them to spend more time together, fostering a stronger personal and professional bond.

Additionally, as business partners, Fran and Bob can leverage their individual skills and expertise to effectively manage different aspects of the cleaning service. They can divide responsibilities based on their strengths, ensuring efficient operations and avoiding unnecessary overlap. This division of labor allows them to focus on specific areas of the business where they excel, optimizing their productivity and overall performance.

However, it's important to note that running a business together as a married couple also comes with its challenges. Conflicts and differences of opinion may arise, both in the business and personal realms. It requires effective communication, mutual respect, and the ability to separate work-related issues from personal life to maintain a healthy relationship. Therefore, while there are potential advantages to running a business as a married couple, it's crucial for Fran and Bob to proactively manage any potential conflicts and maintain a healthy work-life balance.

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To further strengthen a culture or to help change it if necessary, which of the following is NOT used? Leaders get followers to forget about the past. Leaders act as role model. Leaders become symbols. Stories are created around the leader. Question 5 ( 2 points) In a transactional culture: there is generally a sense of purpose and a feeling of family. all job assignments are explicitly spelled out. commitments are long-term. leaders and followers share mutual interests. Question 6 ( 2 points) Which role do superiors NOT serve as with respect to socializing employees into the organizational culture? mediator coach role model leader

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4: To further strengthen a culture or help change it, leaders do not get followers to forget about the past.

5: In a transactional culture, commitments are not necessarily long-term.

6: Superiors do not serve as mediators in socializing employees into the organizational culture

To further strengthen or change a culture, leaders do not get followers to forget about the past.

When it comes to strengthening or changing a culture, leaders employ various strategies and tactics to influence and shape the desired cultural norms and values within an organization. However, getting followers to forget about the past is not one of the methods used. In fact, acknowledging and understanding the past is often essential for organizational learning and growth.

Leaders play a crucial role in cultural transformation by acting as role models, becoming symbols of the desired values and behaviors, and creating stories that align with the desired culture. These actions help reinforce and communicate the cultural expectations to employees, providing a sense of direction and purpose.

Additionally, leaders may implement strategies such as providing clear job assignments, fostering a sense of purpose and a feeling of family, and establishing long-term commitments to create a transactional culture. In a transactional culture, there is typically an emphasis on explicit job assignments, mutual interests between leaders and followers, and a sense of purpose and belonging.

Regarding the role of superiors in socializing employees into the organizational culture, they typically serve as mediators, coaches, and role models. However, they do not serve as leaders in this context, as leadership itself is a distinct role that encompasses guiding and influencing others towards a common goal.

In summary, leaders do not aim to make followers forget about the past when strengthening or changing a culture. Instead, they focus on role modeling, creating symbolic representations, and using storytelling to shape and reinforce the desired culture. Additionally, superiors serve as mediators, coaches, and role models in the socialization process, but not as leaders specifically.

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self-report surveys reveal which of the following?

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Self-report surveys are a common research method used in social sciences to gather data directly from individuals. They can reveal information about various aspects of human behavior and attitudes, including demographics, health behaviors, mental health, substance use, attitudes, beliefs, and experiences.

These surveys involve participants answering a series of questions about their thoughts, feelings, behaviors, or experiences. The responses provided by individuals in self-report surveys can provide valuable insights into various aspects of human behavior and attitudes.

Self-report surveys can reveal information about a wide range of topics, including demographics, health behaviors, mental health, substance use, attitudes, beliefs, and experiences. For example, self-report surveys can be used to assess the prevalence of certain behaviors or attitudes in a population, such as smoking habits or political preferences.

However, it is important to note that self-report surveys have limitations. The accuracy of the information provided by individuals may be influenced by factors such as social desirability bias, memory recall errors, or misunderstanding of the questions. Researchers use various techniques to minimize these biases and ensure the reliability and validity of the data collected.

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C5 EZ Sharp Industries manufactures the ‘Keen Edge’, cutlery sharpeners for home use. The manager of the firm believes, it is too difficult, or even impossible to obtain reliable estimates of the demand and marginal cost functions to set price of their product. EZ Sharp Industries fixed the markup as 0.2 and average variable cost $22 and average fixed cost $18.

a. Using the appropriate economic tool formulate the price of ‘Keen Edge’. (3 marks)

b. Evaluate the profit of EZ Sharp earning each moth using the cost-plus pricing if the monthly sale is 3750 units? (4 marks)

c. Present your arguments on the pricing method adopted by EZ Sharp Industries. ( 3 marks)

Answers

a. To determine the price of the 'Keen Edge' cutlery sharpener, EZ Sharp Industries can use the cost-plus pricing method. This method involves adding a predetermined markup to the average cost per unit to set the price. In this case, the fixed markup is 0.2 (or 20%) of the cost.

The average cost per unit can be calculated by summing the average variable cost and average fixed cost:

Average cost per unit = Average variable cost + Average fixed cost

Average cost per unit = $22 + $18

Average cost per unit = $40

To calculate the price, the markup is applied to the average cost:

Price = Average cost per unit + (Markup * Average cost per unit)

Price = $40 + (0.2 * $40)

Price = $40 + $8

Price = $48

Therefore, the price of the 'Keen Edge' cutlery sharpener using cost-plus pricing is $48.

b. To evaluate the profit earned by EZ Sharp Industries using cost-plus pricing, we need to consider the monthly sales of 3750 units. The profit can be calculated by subtracting the total cost from the total revenue.

Total revenue = Price * Quantity

Total revenue = $48 * 3750

Total revenue = $180,000

Total cost can be calculated by multiplying the average cost per unit by the quantity and then adding the fixed costs:

Total cost = (Average cost per unit * Quantity) + Fixed costs

Total cost = ($40 * 3750) + ($18 * 3750)

Total cost = $150,000 + $67,500

Total cost = $217,500

Profit = Total revenue - Total cost

Profit = $180,000 - $217,500

Profit = -$37,500

Therefore, using the cost-plus pricing method and with monthly sales of 3750 units, EZ Sharp Industries would experience a loss of $37,500.

c. The pricing method adopted by EZ Sharp Industries, cost-plus pricing, has certain advantages and limitations.

Advantages:

1. Simplicity: Cost-plus pricing is a straightforward method that is easy to calculate and implement.

2. Cost Recovery: It ensures that the company covers its costs and has the potential to generate a profit margin.

3. Flexibility: The markup can be adjusted to accommodate changes in costs or market conditions.

4. Consistency: It provides a consistent pricing approach across products and helps maintain a stable pricing structure.

Limitations:

1. Lack of Market Orientation: Cost-plus pricing does not consider customer demand or the perceived value of the product, potentially leading to prices that are not aligned with market preferences.

2. Competitive Disadvantage: If competitors adopt more market-oriented pricing strategies, cost-plus pricing may result in higher prices, making it harder to attract customers.

3. Profit Limitation: It does not optimize profit potential since it does not consider demand elasticity or marginal revenue.

4. Limited Strategic Pricing: Cost-plus pricing does not allow for strategic pricing decisions based on factors such as product positioning or pricing to capture market share.

Overall, while cost-plus pricing provides a straightforward approach to setting prices and ensures cost recovery, it may limit the company's ability to maximize profits and respond to market dynamics effectively. It is important for EZ Sharp Industries to continuously evaluate their pricing strategy and consider incorporating market-oriented pricing methods to enhance their competitiveness.

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Bergeron Inc. reported the following data for last year: (2 marks) Work-in-process inventory, beginning $100 Work-in-process inventory, ending $150 Finished goods inventory, beginning $180 Finished goods inventory, ending $200 Direct labour cost $300 Direct materials cost $500 Manufacturing overhead cost $400 Which of the following is the prime cost? A: $700. B. $900. C. $800. D. $1,200.

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The answer is C. $800.

Prime cost is the sum of direct materials cost and direct labor cost. In this case, the prime cost is $500 + $300 = $800.

The other answer choices are incorrect. Option A is the cost of goods manufactured, which includes direct materials, direct labor, and manufacturing overhead. Option B is the cost of goods sold, which includes the cost of goods manufactured and the change in finished goods inventory. Option D is the total manufacturing cost, which includes direct materials, direct labor, and manufacturing overhead.

Therefore, the prime cost for Bergeron Inc. is $800.

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TRUE / FALSE.
in a simple regression model, the standard error of fit increases as the explanatory variable for which we want to predict the response variable moves farther away from its mean

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False. In a simple regression model, the standard error of fit does not necessarily increase as the explanatory variable moves farther away from its mean.

The standard error of fit is a measure of the variability of the observed data points around the regression line, and it depends on the dispersion of the data points rather than the position of the explanatory variable. The standard error of fit, also known as the residual standard error, represents the average distance between the observed data points and the regression line. It quantifies the amount of variability in the data that is not explained by the regression model.

The position of the explanatory variable does not directly impact the standard error of fit. Instead, the standard error of fit is influenced by the dispersion of the data points around the regression line. If the data points are tightly clustered around the regression line, the standard error of fit will be small. Conversely, if the data points are more spread out and exhibit greater variability, the standard error of fit will be larger.

Therefore, it is incorrect to claim that the standard error of fit increases as the explanatory variable moves farther away from its mean. The standard error of fit is primarily determined by the dispersion of the data points, not the position of the explanatory variable.

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Suppose risk-free rate is 6% and the expected return of the risky portfolio is 12% with 0.25 standard deviation. Your complete portfolio has 0.05 as the return variance. What is the risk premium of your complete portfolio?

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The risk premium of a complete portfolio can be calculated based on the risk-free rate, the expected return of the risky portfolio, and the return variance of the complete portfolio. In this case, assuming a risk-free rate of 6%, an expected return of 12% for the risky portfolio, and a return variance of 0.05 for the complete portfolio, we can determine the risk premium.

The risk premium of a complete portfolio is the excess return that investors expect to earn over the risk-free rate. It compensates investors for taking on additional risk in the portfolio. To calculate the risk premium, we subtract the risk-free rate from the expected return of the portfolio. In this case:

Risk premium = Expected return of the portfolio - Risk-free rate

Given an expected return of 12% for the risky portfolio and a risk-free rate of 6%:

Risk premium = 12% - 6% = 6%

Therefore, the risk premium of the complete portfolio is 6%. This indicates that investors expect to earn an additional 6% return over the risk-free rate for holding this portfolio, considering its risk characteristics.

   

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The trial balance before adjustment of Grouper Inc. shows the following balances. Dr. Cr. Accounts Receivable $109,800 Allowance for Doubtful Accounts 2,135 Sales Revenue (all on credit) $829,600 Give the entry for estimated bad debts assuming that the allowance is to provide for doubtful accounts on the basis of (a) 4% of gross accounts receivable and (b) 5% of gross accounts receivable and Allowance for Doubtful Accounts has a $2,005 credit balance. (If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts. Credit account titles are automatically indented when the amount is entered. Do not indent manually.) No. Account Titles and Explanation Debit Credit (a) (b)

Answers

To estimate the bad debts, Grouper Inc. needs to make an adjusting entry for the allowance for doubtful accounts. The trial balance before adjustment shows the following balances:

Accounts Receivable: $109,800 (Dr.)
Allowance for Doubtful Accounts: $2,135 (Cr.)
Sales Revenue (all on credit): $829,600 (Cr.)
To calculate the entry for estimated bad debts, we need to consider two scenarios: (a) 4% of gross accounts receivable and (b) 5% of gross accounts receivable.
(a) To estimate bad debts at 4% of gross accounts receivable:
1. Calculate the estimated bad debts amount: 4% of $109,800 = $4,392.
2. Determine the adjustment needed for the allowance for doubtful accounts:
  - Existing credit balance: $2,135
  - Additional adjustment required: $4,392 - $2,135 = $2,257.
3. Record the adjusting entry:
  - Debit: Bad Debts Expense for $2,257.
  - Credit: Allowance for Doubtful Accounts for $2,257.
(b) To estimate bad debts at 5% of gross accounts receivable:
1. Calculate the estimated bad debts amount: 5% of $109,800 = $5,490.

2. Determine the adjustment needed for the allowance for doubtful accounts:
  - Existing credit balance: $2,135
  - Additional adjustment required: $5,490 - $2,135 = $3,355.
3. Record the adjusting entry:
  - Debit: Bad Debts Expense for $3,355.
  - Credit: Allowance for Doubtful Accounts for $3,355.

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Donna donates stock in Chipper Corporation to the American Red Cross on September 10,2021.5. purchased the stock for $27,825 on December 28,2020 , and it had a fair market value of $39,750 when she made the donation. a. What is Donna's chantable contribution deduction? The stock is treated as property and Donna's charitabie contribution deduction is 3 for tax purposes. b. Assume instead that the stock had a far market value of 523,850 (rather than $39,750 ) when it was donated to the American Red Cross. What is Donna's chantable contribution deduction?

Answers

Donna's charitable contribution deduction for donating stock in Chipper Corporation to the American Red Cross on September 10, 2021, is $39,750. This deduction is based on the fair market value of the stock when the donation was made and the tax treatment of the stock as property.

In order to determine Donna's charitable contribution deduction, we need to consider the fair market value of the stock at the time of donation and the tax treatment of the stock as property.

a. When Donna donated the stock on September 10, 2021, it had a fair market value of $39,750. This value is higher than the purchase price of $27,825. Since the stock is treated as property, Donna's charitable contribution deduction is equal to the fair market value of the donated stock, which in this case is $39,750.

b. If we assume that the stock had a fair market value of $523,850 when it was donated to the American Red Cross, we can calculate Donna's charitable contribution deduction using the same principle. Since the fair market value is higher than the purchase price, the deduction would be equal to the fair market value of the donated stock, which is $523,850.

Therefore, in this scenario, Donna's charitable contribution deduction would be $523,850.

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The Strategy Report Outline will aim to provide the board of directors, students, and instructor, with the plan of your project before the final project submission at the end of the term.
- The proposal will involve writing a strategic outline Two pages (Word version) long (font: 12; space:1.5).
Each outline is to include the following sections:
Chosen company name and industry
Background (i.e., project motivation)
Company overview
Work plan (action plan prior to submitting the final written report, ex, task, deadline)
What information resources are available to you for completing this project, e.g., what articles, interviews you can obtain, annual reports, etc.
Reporting the availability of information sources is very important.

Answers

By following this outline, you will be able to create a comprehensive Strategy Report.



1. Chosen company name and industry: Begin by stating the name of the company you have chosen for your project. Additionally, provide information about the industry in which the company operates. For example, if you have selected Apple Inc., you would state that the chosen company is Apple Inc., and the industry is technology.

2. Background (project motivation): In this section, explain the motivation behind your project. Share why you chose this specific company and industry, highlighting any personal or academic interest, industry trends, or current events that influenced your decision.

3. Company overview: Provide a brief overview of the chosen company. Include key details such as its history, mission statement, products or services, target market, and any notable achievements or challenges.

4. Work plan: Outline the action plan you will follow before submitting the final written report. Break down the tasks you need to complete and assign deadlines for each task. For example:
  a. Task 1: Conduct research on the company's financial performance - Deadline: Week 2
  b. Task 2: Analyze the company's competitive landscape - Deadline: Week 3
  c. Task 3: Gather information on the company's marketing strategies - Deadline: Week 4

5. Information resources: In this section, list the various resources you will utilize to complete your project. These resources may include articles, interviews, annual reports, industry reports, academic journals, and relevant websites. Explain how these resources will contribute to your understanding of the company and industry. For example, you may mention that you plan to analyze recent financial reports, conduct interviews with industry experts, and review academic studies on the industry.

It is crucial to report the availability of information sources accurately and comprehensively. Make sure to cite any sources you use in your final project to ensure academic integrity.

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which of the following factors increases pressures for cost reductions

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The correct answer is: d. Persistent excess capacity.

Persistent excess capacity increases pressures for cost reductions. When there is a surplus of production capacity in an industry, it leads to intense competition among businesses to capture market share. This competition can drive down prices and profit margins, making cost reduction essential for companies to remain competitive.

Meaningful differentiation between products (option a) can actually decrease pressures for cost reductions, as companies can command higher prices for unique or differentiated products.

High switching costs (option b) can also decrease pressures for cost reductions. When customers face significant costs or barriers to switching to alternative products or providers, companies may have less incentive to lower prices.

Reduced international competition (option c) can have varying effects on pressures for cost reductions, depending on the context. It may decrease competition and limit the need for cost reduction, or it may increase pressures if domestic companies are exposed to international competitors with lower costs.

In summary, of the given options, only d. persistent excess capacity directly increases pressures for cost reductions.

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Which Of The Following Factors Increases Pressures For Cost Reductions? A. Meaningful Differentiation Between Products B. High Switching Costs

Which of the following factors increases pressures for cost reductions?

a.

Meaningful differentiation between products

b.

High switching costs

c.

Reduced international competition

d.

Persistent excess capacity

Why would you add a slicer in a table visualization?
Select an answer:
so the slices in a pie chart can be compared to a particular
goal
so your users can slice-out data they are not interested in

Answers

The reason for adding a slicer in a table visualization is correct answer: So your users can slice-out data they are not interested in.

Adding a slicer in a table visualization allows users to interactively filter and slice the data based on specific criteria or values. This functionality enables users to focus on the specific subset of data they are interested in by selecting or deselecting the slicer options.

It provides a more interactive and customizable experience, allowing users to analyze and explore the data from different perspectives by easily removing or including specific data subsets. This helps in gaining insights and making data-driven decisions based on the user's specific requirements and interests.

Therefore, the reason for adding a slicer in a table visualization is correct answer: So your users can slice-out data they are not interested in.

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Problem 16-40 (LO. 4) George sold land to an unrelated party in 2016. His basis in the land was $45,000, and the selling price was $120,000—$30,000 payable at closing and $30,000 (plus 10% interest) due January 1, 2017, 2018, and 2019.

What would be the tax consequences of the following?

Treat each part independently, assume that (a) George did not elect out of the installment method and (b) the installment obligations have values equal to their face amounts.

Ignore interest in your calculations. Round the gross profit to three decimal places before converting to a percentage. For example: .48245 would be rounded to .482 and converted to 48.2%.

If required, round final answers to the nearest dollar.

a. In 2017, George borrowed $40,000 from the bank. The loan was partially secured by the installment notes, but George was personally liable for the loan.

Borrowing using the installment notes as security for the debt ( is/is not) a disposition; therefore, the installment sale gain (is/is not )accelerated.

b. In 2017, George gave to his daughter the right to collect all future payments on the installment obligations. George must recognize a $$$$ gain at the time of the gift.

c. On December 31, 2017, George received the payment due on January 1, 2018. On December 15, 2018, George died, and the remaining installment obligation was transferred to his estate. The estate collected the amount due on January 1, 2019.

George must report a $$$ gain in 2017. The transfer of the installment obligations to George's estate a taxable event.

Answers

a. Borrowing using the installment notes as security for the debt is not a disposition; therefore, the installment sale gain is not accelerated.

The tax consequences of the loan would be separate from the installment sale transaction. George would have to report the loan proceeds as income if they are not qualified principal residence indebtedness or if the loan is not used for business or investment purposes. b. The transfer of the right to collect future payments on the installment obligations to George's daughter is considered a taxable event. George would need to recognize a gain based on the fair market value of the transferred rights at the time of the gift. The amount of the gain would depend on the fair market value of the installment obligations and the adjusted basis of those obligations. c. In 2017, George would report a gain equal to the gross profit percentage multiplied by the payment received. This gain would be recognized in the year of the payment. The transfer of the remaining installment obligation to George's estate is also considered a taxable event. The estate would be responsible for reporting the gain on the transfer. The gain would be calculated based on the fair market value of the remaining installment obligation at the time of the transfer.

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16. Unemployment that exists because some people lack the skills valued by the labor market is...

A. frictional unemployment, which contributes to the natural rate of unemployment.

B. frictional unemployment, which does not contribute to the natural rate of unemployment.

C. structural unemployment, which contributes to the natural rate of unemployment.

D. structural unemployment, which does not contribute to the natural rate of unemployment.

Answers

Unemployment that exists because some people lack the skills valued by the labor market is structural unemployment, which contributes to the natural rate of unemployment. (Option C)

Structural unemployment refers to unemployment that arises due to a mismatch between the skills and qualifications of job seekers and the requirements of available jobs in the labor market. This type of unemployment occurs when individuals lack the specific skills or training that are in demand by employers. As a result, they struggle to find suitable employment opportunities, leading to prolonged periods of unemployment.

Structural unemployment contributes to the natural rate of unemployment, which is the level of unemployment that exists even when the economy is operating at its full potential. It is considered a long-term phenomenon and is influenced by various factors such as technological advancements, changes in industry composition, and shifts in the labor market dynamics. As individuals lacking the valued skills continue to face difficulties finding employment, the structural unemployment rate becomes embedded in the overall unemployment rate of an economy.

Therefore, option C, which states that structural unemployment contributes to the natural rate of unemployment, is the correct answer.

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How do global value chains contradict the notion of
comparative advantage?
Please provide proper reasoning

Answers

Global value chains (GVCs) do not necessarily contradict the notion of comparative advantage. Instead, they reflect a more complex and interconnected reality of international trade, where different stages of production are spread across multiple countries.

The concept of comparative advantage states that countries should specialize in producing goods or services that they can produce at a lower opportunity cost compared to other countries. This allows countries to maximize their production efficiency and gain from trade. However, GVCs introduce a new dynamic by recognizing that production processes often involve various stages that can be performed in different countries.

In GVCs, countries participate in the production of a final product by specializing in specific stages of the production process rather than producing the entire product. For example, one country may specialize in designing and engineering, while another country focuses on manufacturing and assembly. This allows countries to leverage their respective comparative advantages in specific production stages.

Rather than contradicting comparative advantage, GVCs actually build upon it. Countries still benefit from specializing in areas where they have a comparative advantage. However, GVCs recognize that comparative advantage can exist at different stages of production, enabling countries to participate in global trade by contributing their specialized expertise or resources.

In essence, GVCs demonstrate how countries can engage in trade and collaboration to maximize overall production efficiency, while still leveraging their comparative advantages in specific stages of the value chain.

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a life insurance policy paid $500,000 to a beneficiary and the total premiums paid were $2500. which of the following terms defines this type of contract?

Answers

The type of contract that defines a life insurance policy paying $500,000 to a beneficiary with total premiums of $2,500 is a term life insurance policy.

The contract in question corresponds to a term life insurance policy. Term life insurance provides coverage for a specific period, typically ranging from 10 to 30 years. During this period, if the insured person passes away, the policy pays a death benefit to the designated beneficiary. However, if the insured individual survives the term, the policy expires, and no benefit is paid out.

In this case, the beneficiary received a payout of $500,000 upon the insured person's death. The total premiums paid by the policyholder over the course of the policy were $2,500. Term life insurance policies are known for their affordability, as they offer pure death benefit coverage without accumulating cash value or investment components.

The premium amount is determined based on factors such as the insured person's age, health condition, and the length of the term chosen. Since the total premiums paid were relatively low compared to the death benefit received, it suggests that the policy was likely a term life insurance policy rather than a whole life or universal life insurance policy, which typically have higher premiums.

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ABC issues 18,000 shares of preferred stock to investors on January 1 for cash. The 6% $5 par value preferred shares are sold $31 per share. What is the amount applied to additional paid in capital preferred stock?

Answers

The amount applied to additional paid-in capital for preferred stock is $468,000.

When ABC issues 18,000 shares of preferred stock to investors on January 1 for cash, the amount applied to additional paid-in capital for preferred stock can be calculated using the following steps:

1. Determine the par value of the preferred shares: Each preferred share has a par value of $5.

2. Calculate the total par value of the preferred shares: Multiply the par value by the number of preferred shares issued. In this case, 18,000 shares multiplied by $5 gives a total par value of $90,000.

3. Calculate the total amount received from the sale of preferred shares: Multiply the selling price per share by the number of preferred shares issued. In this case, 18,000 shares multiplied by $31 gives a total amount received of $558,000.

4. Calculate the amount applied to additional paid-in capital for preferred stock: Subtract the total par value of the preferred shares from the total amount received from the sale of preferred shares. In this case, $558,000 minus $90,000 gives an amount applied to additional paid-in capital for preferred stock of $468,000.

To summarize:
- Par value of the preferred shares: $90,000
- Total amount received from the sale of preferred shares: $558,000
- Amount applied to additional paid-in capital for preferred stock: $468,000.

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an open market purchase will causea.borrowed reserves to rise and the federal funds rate to fall.b.c.d.borrowed reserves to fall and the federal funds rate to rise.

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An open market purchase increases reserves, leading to a rise in borrowed reserves and a fall in the federal funds rate.

An open market purchase refers to the buying of government securities by the central bank from commercial banks and financial institutions. When the central bank conducts an open market purchase, it injects funds into the banking system by increasing the reserves held by banks.

As a result, borrowed reserves, which are the reserves borrowed by banks from the central bank, will rise. This increase in reserves provides banks with more liquidity, allowing them to lend more and reducing the demand for borrowing in the federal funds market.

Consequently, the increased supply of funds lowers the federal funds rate, which is the interest rate at which banks lend to each other overnight. Overall, an open market purchase leads to an expansionary monetary policy stance.

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The Fixed Overhead Absorption Rate used by a company is £15 per machine hour. At the end of the year, the actual Fixed Manufacturing Overheads incurred is £135,000 and the actual number of machine hours employed was 10,000 machine hours. Required Calculate the over- I under- absorption of the Fixed Manufacturing Overheads

Answers

The actual overheads incurred (£135,000) were less than the amount absorbed based on the predetermined rate (£150,000).

The budgeted fixed manufacturing overhead is calculated as follows:

Budgeted fixed manufacturing overhead = Fixed overhead absorption rate * Actual number of machine hours

= £15 per machine hour * 10,000 machine hours

= £150,000

The over- or under-absorption of the fixed manufacturing overhead is calculated as follows:

Over- or under-absorption of fixed manufacturing overhead = Actual fixed manufacturing overhead - Budgeted fixed manufacturing overhead

= £135,000 - £150,000

= £-5,000

Therefore, the fixed manufacturing overhead is under-absorbed by £5,000.

In other words, the company has charged £5,000 less for fixed manufacturing overhead than it actually incurred.

This could be due to a number of factors, such as the actual number of machine hours being lower than the budgeted number of machine hours.

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The most common reason that oligopolies exist is
Odiminishing marginal returns.
O economies of scale.
O regulation.
O there are a large number of firms.

Answers

The most common reason that oligopolies exist is economies of scale. So, the correct answer is "economies of scale".

Economies of scale refer to the cost advantages that arise when firms increase their production levels. In an oligopoly, a small number of large firms dominate the market. These firms often have significant economies of scale, allowing them to lower their average costs per unit as they produce more. This cost advantage creates barriers to entry for potential competitors and enables the dominant firms to maintain their market power.

Diminishing marginal returns (option A) refers to the concept that as more units of a variable input are added while other inputs are held constant, the marginal output or benefit from each additional unit will eventually decrease. While diminishing marginal returns may apply in production processes, it is not the primary reason for the existence of oligopolies.

Regulation (option C) can be a factor in certain industries where governments impose regulations to prevent anti-competitive behavior or protect consumer interests. However, it is not the most common reason for the existence of oligopolies.

The statement "there are a large number of firms" (option D) is incorrect. Oligopolies, by definition, involve a small number of firms that dominate the market

In summary, the most common reason for the existence of oligopolies is economies of scale. The cost advantages gained through increased production levels enable dominant firms to deter potential competitors and maintain their market power.

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The following describes the first of two equipment being considered for purchase for a new factory. It requires an initial investment of $70,000 and annual maintenance costs of $5,000. It has a salvage value of $9,000 at the end of its 6 years of service life. Calculate the present worth of this equipent at a MARR of 10% per year. A. −$91,777 B. −$86,696 C. −$43,143 D. −$96,857 If the second alternative has a present worth of −$106,543, which alternative should be preferred based on the present worth method? A. The first alternative B. The second alternative

Answers

Therefore, the answer is A. The first alternative

To calculate the present worth of the first equipment alternative, we need to determine the net cash flows for each year and then discount them to their present values using the MARR (Minimum Attractive Rate of Return) of 10% per year.

The net cash flow for each year is obtained by subtracting the annual maintenance cost from the salvage value.

In this case, the salvage value is $9,000 and the annual maintenance cost is $5,000. So the net cash flows are $4,000 per year for 6 years.

To calculate the present worth, we need to discount these net cash flows

We can use the present worth factor formula:

Present Worth Factor = (1 - (1 + MARR)/-n)) / MARR

where MARR is the minimum attractive rate of return and n is the number of years.

Using this formula with an MARR of 10% and n of 6, we find that the present worth factor is 4.111.

To calculate the present worth, we multiply the net cash flow for each year by the present worth factor and sum up the results.

Present Worth = (Net Cash Flow for Year 1 /Present Worth Factor) + (Net Cash Flow for Year 2 / Present Worth Factor) + ... + (Net Cash Flow for Year 6 /Present Worth Factor)

Present Worth = ($4,000∪ 4.111) + ($4,000 ∪ 4.111) + ... + ($4,000 ∪ 4.111)

After performing the calculations, we find that the present worth of the first equipment alternative is approximately -$91,777.

Comparing this value to the present worth of the second alternative, which is -$106,543, we can conclude that the first alternative should be preferred based on the present worth method.

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Smith Manufacturing is a plant which employs a management team of 15 and 60 male and 30 female machine operators. The work is performed by all employees requires a similar amount of skill, effort and responsibility under similar working conditions. Females, however, are paid $5 less per hour than males. This information is not openly disclosed but it has been slowly circulating. A group within the female workers have been vocal about their unhappiness with regards to the unequal pay. The previous management felt that this pay structure was justified because female workers do less manual labour on the job. There has also been unhappiness within the plant employees over Management issuing strict timeframes for breaks and lunches. This was the result of a recent cost cutting exercise to maximize profits. They are also frustrated with the plan to introduce key fobs to restrict access to certain areas and to monitor employee’s attendance and movement around the plant. The Management team feels that the use of an access control system might address several problems that have been plaguing the plant over the last year – security breaches, theft and lagging employee productivity. The business owner has said that his primary concern is making a profit and his relationships with his suppliers. Eight workers were laid off over the last six months after the cost cutting measures were introduced. Employee morale has been low and the plant workers feel stressed with the additional workload that has been distributed unfairly in their opinion. A group of workers have been talking about forming a union in an effort to keep their jobs safe.

What are the Human Resources-related challenges presented in the case study? What are the themes?

For each challenge: provide a brief analysis of the problem and root causes. What is a potential solution and provide a rationale. What implementation plan can be adopted to address these challenges? What steps can be taken to address these challenges? What should be done and who should do it?

Answers

The case study presents Human Resources challenges including gender pay inequality, employee dissatisfaction with management policies, low morale, and the potential formation of a union. To address these challenges, potential solutions include equalizing pay, revising policies to balance productivity and well-being, improving communication channels, and considering mechanisms for employee representation. Implementing these solutions through collaboration between HR, management, and employees can lead to a fairer and more engaged workforce, improving morale and productivity.

The case study presents several Human Resources-related challenges. The main themes revolve around gender pay inequality, employee dissatisfaction with management policies, low morale, and the potential formation of a union. Let's analyze each challenge, identify root causes, propose potential solutions, and outline implementation plans:

Gender pay inequality:

Problem: Female workers are paid $5 less per hour than male workers, despite similar job requirements.

Root causes: Biased pay structure and unequal treatment based on gender.

Potential solution: Equalize pay for male and female workers performing similar roles.

Rationale: Paying employees equally for similar work promotes fairness, motivates employees, and reduces the risk of legal action.

Implementation plan: Conduct a pay equity analysis, identify pay disparities, adjust female workers' wages accordingly, and establish transparent pay scales based on job roles and responsibilities. HR, in collaboration with the management team, should review and update the pay structure.

Employee dissatisfaction with management policies:

Problem: Employees are unhappy with strict timeframes for breaks and lunches, and the plan to introduce key fobs for access control and monitoring.

Root causes: Lack of employee involvement in decision-making, perceived infringement on personal freedom, and poor communication.

Potential solution: Foster employee engagement, revise policies to balance productivity and employee well-being, and improve communication channels.

Rationale: Engaged employees are more productive, satisfied, and committed to organizational goals.

Implementation plan: HR should facilitate open dialogue between management and employees to address concerns. Conduct surveys or focus groups to gather feedback on policies, work with management to revise policies that accommodate employee needs while maintaining productivity goals, and enhance communication channels to ensure transparency and understanding.

Low morale and unfair workload distribution:

Problem: Layoffs, cost-cutting measures, and workload imbalances have led to low morale and stress among employees.

Root causes: Insufficient communication, lack of employee involvement in decision-making, and perceived unfair treatment.

Potential solution: Improve employee morale through communication, involvement, and fair workload distribution.

Rationale: High morale enhances productivity, teamwork, and job satisfaction.

Implementation plan: HR should facilitate regular communication between management and employees, addressing concerns and providing updates on organizational changes. Develop a fair workload distribution plan, considering skill levels, workload capacity, and equitable task allocation. Encourage managers to provide recognition and support to employees, fostering a positive work environment.

Union formation:

Problem: A group of workers is considering forming a union to protect their jobs.

Root causes: Perceived job insecurity, dissatisfaction with management practices, and lack of employee representation.

Potential solution: Proactively address employee concerns, improve working conditions, and consider establishing mechanisms for employee representation.

Rationale: Employee representation can provide a platform for addressing grievances and negotiating fair working conditions, potentially avoiding unionization.

Implementation plan: HR should facilitate dialogue between employees and management, addressing concerns and working toward resolutions. Consider establishing an employee representative body, such as a works council, to enable formal employee involvement in decision-making processes and strengthen the channels of communication between employees and management.

Overall, addressing these challenges requires a collaborative approach involving HR, management, and employees. It involves open communication, revising policies to ensure fairness and employee well-being, implementing equitable pay structures, and fostering employee engagement. By addressing these issues, the organization can improve employee morale, reduce turnover, and create a more harmonious and productive work environment.

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3. If the population of Canada is 20 million, the working age population is 15 million, the number of employed is 9 million and the number unemployed is 1 million: i. What is the size of the labour force? ii. What is the participation rate? iii. What is the unemployment rate?

Answers


i. The size of the labor force is 10 million.
ii. The participation rate is 66.67%.
iii. The unemployment rate is 10%.

i. To find the size of the labor force, we need to sum up the number of employed and the number of unemployed. In this case, the number of employed is 9 million, and the number of unemployed is 1 million. So the labor force is 9 million + 1 million = 10 million.

ii. The participation rate is the percentage of the working age population that is part of the labor force. To calculate it, we divide the size of the labor force by the working age population and multiply by 100. In this case, the size of the labor force is 10 million and the working age population is 15 million. So the participation rate is (10 million / 15 million) * 100 = 66.67%.

iii. The unemployment rate is the percentage of the labor force that is unemployed. To calculate it, we divide the number of unemployed by the size of the labor force and multiply by 100. In this case, the number of unemployed is 1 million and the size of the labor force is 10 million. So the unemployment rate is (1 million / 10 million) * 100 = 10%.

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If $13,300 is invested at 3. 7% interest compounded semi-annually, how much will the investment be worth in 18 years?. . A. $25,730. 54. B. $25,808. 47. C. $25,861. 9. D. $25,578. 16

Answers

If $13,300 is invested at a 3.7% interest rate compounded semi-annually, the investment will be worth approximately $25,730.54 in 18 years.

To calculate the future value of the investment, we can use the compound interest formula:

Future Value = Principal * (1 + (interest rate/number of compounding periods))^(number of compounding periods * number of years)

In this case, the principal is $13,300, the interest rate is 3.7% (or 0.037), and the investment compounds semi-annually (twice a year). Thus, the number of compounding periods is 2 and the number of years is 18.

Plugging these values into the formula, we can calculate the future value:

Future Value = $13,300 * (1 + (0.037/2))^(2 * 18) = $25,730.54 (rounded to the nearest cent).

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In ApRS V. Grouse Mountain Resorts Litd ., 2020 legal case, on the evening of March 18, 2016, the Plaintiff/Appellant and three friends decided to go snowboarding at Grouse Mountain, a ski resort operated by the Defendant/Respondent. The Plaintiff purchased a lift ticket at the ticket office. Above the ticket booth was a poster that contained the terms of a sports liability waiver. Once they were up the mountain, the Plaintiff and his friends headed to the Terrain Park. At the entrance to the park, two large signs were posted. The first bore the following heading in large letters: FREESTYLE TERRAIN, FREESTYLE SKILLS REQUIRED. When using the freestyle terrain, you assume the risk of any injury that may occur. The Plaintiff did not recall reading either of the signs. The Plaintiff was injured catastrophically when attempting a jump and became a quadriplegic. He sued the Defendant/Respondent ski resort for damages and negligence. The Defendant argued that the "own negligence" was a complete defense to the Plaintiff's claims. The trial judge concluded that the Defendant, in all the circumstances, took sufficient steps to give reasonable notice to the appellant of the risks and hazards of using the jump and took sufficient steps to give reasonable notice to the Plaintiff of its exclusion of liability. Based on the course materials, please explain what the resort would have been done on each step of a proper risk management process. (Insert a short answer for each step below. One sentence per each step will be) enough.) 1) Risk identification 2) Risk analysis 3) Risk control 4) Risk treatment (transfer of responsibility)

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1) Risk identification: The resort would have identified the potential risks and hazards associated with using the jump in the Terrain Park, including the possibility of injury while attempting jumps.

2) Risk analysis: The resort would have assessed the likelihood and severity of the identified risks to determine their significance and potential impact on users, such as the likelihood of catastrophic injuries.

3) Risk control: The resort would have implemented measures to control and mitigate the identified risks, such as posting signs at the entrance to the park warning of the required freestyle skills and assuming the risk of injury while using the freestyle terrain.

4) Risk treatment (transfer of responsibility): The resort would have taken steps to transfer some of the responsibility and liability to the users by prominently displaying signs and posters containing the terms of a sports liability waiver at the ticket office and the entrance to the Terrain Park.

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In detail, elaborate how the recent 'chip' shortage has impacted the potential profitability of various firms only using the Porter's 6 Forces as reference

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The recent chip shortage has had significant impacts on the potential profitability of various firms, as analyzed through Porter's Six Forces framework.

The shortage of chips has resulted in shifts in several forces within the industry. Firstly, the bargaining power of suppliers has increased as chip manufacturers face higher demand and can dictate terms and prices to their customers. This puts pressure on firms reliant on chips, as they may face higher costs or supply constraints.

Secondly, the bargaining power of buyers has decreased, as the shortage limits their alternatives, reducing their ability to negotiate favorable terms. This can negatively impact the profitability of firms as they face higher input costs.

Thirdly, the threat of new entrants may be reduced due to the capital-intensive nature of chip manufacturing and the complexities involved. This can provide some stability to existing firms in the industry. Fourthly, the threat of substitutes may increase as firms explore alternative solutions or technologies due to the chip shortage. This can affect the profitability of chip manufacturers and related industries.

Fifthly, industry rivalry may intensify as firms compete for limited chip supplies, potentially leading to price wars or aggressive strategies to secure necessary components. This can negatively impact profitability as firms may experience reduced margins. Finally, the chip shortage has sparked an increased demand for collaboration and partnerships, affecting the dynamics of the industry and potentially leading to strategic alliances to address supply chain challenges.

In conclusion, the recent chip shortage has disrupted the profitability of various firms by altering the forces within the industry. The increased bargaining power of suppliers, decreased bargaining power of buyers, potential reduction in the threat of new entrants, increased threat of substitutes, intensified industry rivalry, and increased collaboration and partnerships all contribute to the impact on profitability. Firms must navigate these forces strategically to mitigate risks and seize opportunities infirms a challenging market environment.

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All other liabilities on the balance sheet total $105 million. The company currently has 4 million shares outstanding at a price of $235 per share.

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Price per share: $235

Market capitalization = Number of shares outstanding * Price per share
Market capitalization = 4 million shares * $235 = $940 million

Therefore, the market capitalization of the company is $940 million.

Need answer for Question 3 below with brief
explanation on proposing FOUR methods for securing Database
Management System in a web environment to the Dania Cakes
House.
Course Name: Database
3. Dania Cakes House is a medium-sized company which provides wholesale baking ingredients to commercial bakeries. Dania Cakes House has recently expanded into buying in and selling on products such a

Answers

To secure the Database Management System (DBMS) in a web environment for Dania Cakes House, four methods can be proposed. These methods include implementing strong access controls, encrypting sensitive data, regularly updating and patching the DBMS software, and conducting regular security audits and vulnerability assessments.

Firstly, implementing strong access controls involves setting up user accounts with unique usernames and strong passwords. Access privileges should be assigned based on the principle of least privilege, ensuring that users only have access to the data and functionalities necessary for their roles.

Secondly, encrypting sensitive data adds an extra layer of protection. Encryption algorithms can be used to convert the data into an unreadable format, making it unintelligible to unauthorized users even if they gain access to the database.

Thirdly, regularly updating and patching the DBMS software is essential to address any security vulnerabilities. DBMS vendors often release updates and patches to fix known vulnerabilities and improve system security. It is important to apply these updates promptly to ensure the system is protected against potential threats.

Lastly, conducting regular security audits and vulnerability assessments helps identify any weaknesses or potential security gaps in the DBMS. This involves analyzing the system's configuration, access controls, and data handling practices to ensure compliance with security best practices. Vulnerability scanning tools can be utilized to identify and address any vulnerabilities that may exist.

By implementing these four methods, Dania Cakes House can enhance the security of their DBMS in a web environment. Strong access controls, data encryption, regular software updates, and security audits work together to mitigate risks and protect sensitive information, ensuring the confidentiality, integrity, and availability of the company's data assets.

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what is the real value of an expected bond payment of $1,000 in 7 years if the rate of inflation is expected to be 3 percent?

Answers

Taking into account the expected inflation rate of 3 percent, the real value of the expected bond payment of $1,000 in 7 years would be approximately $816.33.

To determine the real value of the expected bond payment, we need to account for the effects of inflation. Inflation erodes the purchasing power of money over time, meaning that the same amount of money in the future will have a lower value in terms of goods and services.

To calculate the real value, we can use the formula:

Real Value = Nominal Value / (1 + Inflation Rate)^Number of Years

In this case, the nominal value is $1,000, the expected rate of inflation is 3 percent (or 0.03 expressed as a decimal), and the number of years is 7.

Plugging these values into the formula, we have:

Real Value = $1,000 / (1 + 0.03)^7

Calculating the exponent, (1 + 0.03)^7, we find that it is equal to approximately 1.225. Dividing the nominal value ($1,000) by this value, we get:

Real Value = $1,000 / 1.225

The calculation yields a real value of approximately $816.33. Therefore, taking into account the expected inflation rate of 3 percent, the real value of the expected bond payment of $1,000 in 7 years would be approximately $816.33.

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