The real estate/title insurance industry term for the initial summary of a title insurance company’s investigation into a property’s title, including the "chain of title, along with any liens, encumbrances, easements, leases, obligations, and claims on/against title is the

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__________________________ ________________________ (______)

To answer this Question fully, you must provide both the full name of this type of document and its common three-letter acronym/abbreviation

Answers

Answer 1

The real estate/title insurance industry term for the initial summary of a title insurance company’s investigation into a property’s title, including the "chain of title, along with any liens, encumbrances, easements, leases, obligations, and claims on/against title is the commitment.

The real estate/title insurance industry term for the initial summary of a title insurance company’s investigation into a property’s title, including the "chain of title, along with any liens, encumbrances, easements, leases, obligations, and claims on/against title is the commitment. The term for the document issued by the title company after it performs a title search is known as the title commitment. It is also referred to as a preliminary title report, commitment of title insurance, or title binder. The commitment is issued after the title company performs a thorough examination of the public records. It includes the names of the property owner(s), a legal description of the property, and any liens, judgments, or other encumbrances that may affect the title.Along with that, the title commitment is the abbreviated form of the commitment of title insurance. The common three-letter acronym/abbreviation of the commitment of title insurance is CTI. The commitment of title insurance is a document that summarizes the initial findings of a title insurance company's investigation into a property's title, including the "chain of title, along with any liens, encumbrances, easements, leases, obligations, and claims on/against title. The title company produces the commitment of title insurance or preliminary title report to give the buyer, seller, and mortgage lender a clear understanding of the current status of the title. It also includes any requirements or conditions that must be met before the final title insurance policy is issued.The commitment of title insurance is usually issued after a title search is conducted on the property, which can take up to several weeks. The title search examines public records, such as deeds, mortgages, tax liens, judgments, and other documents that may affect the property's title. The title company will also review the chain of title, which is a record of all the owners of the property and any liens or encumbrances that were placed on the property over time. After the title search is completed, the title company will produce the commitment of title insurance, which will summarize its findings.The title commitment is essential for any real estate transaction because it ensures that the buyer will receive a clear title to the property and that the mortgage lender's interest in the property is adequately protected. It also protects the seller from any title defects that may arise after the sale. Finally, it protects the title insurance company from any potential liability for errors or omissions in the title search.

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Related Questions

c(y)=5y^2+6 Find Producer Surplus
In a perfective competitive market

Answers

In a perfectly competitive market, the producer surplus can be calculated by determining the area above the supply curve and below the market price.

To find the producer surplus, we first need to know the supply function or curve for the market. However, the given equation "c(y) = 5y^2 + 6" appears to represent a cost function rather than a supply function. The cost function represents the relationship between the quantity produced (y) and the cost of production.

To calculate the producer surplus, we need information about the market supply curve, which shows the quantity producers are willing to supply at different prices. Without this information, we cannot determine the specific producer surplus in this case.

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Assume the old rate is U.S. $1 : Euro $1.5 and the new rate is U.S. $1 : Euro $3.

Assume you are an American exporter. Is this a good thing for you or not? (A)

Let’s say the price of your product is U.S. $20.

Please show your work to demonstrate why this is a good thing or not a good thing for you

(hint: compare the prices of your product between old and new rates). (B)

Assume you are an American importer. Is this a good thing for you or not? (C)

Let’s say you have U.S. $1 million in as your budget to buy in European Union.

Please show your work to demonstrate why this is a good thing or not a good thing for you

Answers

(A) As an American exporter, a stronger U.S. dollar relative to the euro (from $1 = €1.5 to $1 = €3) is not a good thing.

(B)The price of the product in euros can be calculated by dividing the U.S. dollar price ($20) by the exchange rate.

(C) As an American importer, a stronger U.S. dollar relative to the euro is a good thing.

(A) When the U.S. dollar strengthens, it means that the value of the dollar increases relative to the euro. As an exporter, this makes your product more expensive for foreign buyers, as their currency (euro) can now buy fewer dollars. Therefore, the increase in the exchange rate from $1 = €1.5 to $1 = €3 would result in a higher price for your product in euros, potentially making it less competitive in the European market.

(B) Under the old rate, the price in euros would be €20 / 1.5 = €13.33. Under the new rate, the price in euros would be €20 / 3 = €6.67. Comparing the prices, the stronger dollar (new rate) would make your product more expensive in euros, potentially reducing demand and making it less favorable for your exporting business.

(C) When the U.S. dollar strengthens, it means that the value of the dollar increases relative to the euro. As an importer, this allows you to purchase more euros with the same amount of dollars. Therefore, with a stronger dollar, you would have more purchasing power in the European Union. In this scenario, having a budget of $1 million would allow you to buy more euros, enabling you to potentially acquire more goods or services from the European Union.

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Briefly explains about any FOUR of the following concepts applicable to B2B marketing: a) Role of personal selling. b) Role of Market research. c) Modified Rebuy. d) Derived demand. e) Zero level channel. f) Perceptual map. g) Use of qualitative techniques in industrial market forecasting. h) Role of Advertising.

Answers

B2B marketing is a process by which businesses create relationships with other businesses for mutual benefit.

It is a comprehensive strategy to sell products and services between two or more businesses or organizations. It is the marketing of products and services to businesses, government entities, or other institutions for use in the production of goods, for consumption, or for resale. Here are four concepts applicable to B2B marketing: Role of personal selling Personal selling is an essential part of B2B marketing.

Personal selling refers to direct, one-on-one communication between a salesperson and a customer, which is aimed at making a sale. It is a type of communication that happens in person, over the phone, or even through email. The primary purpose of personal selling is to create a relationship with the customer and find out what their needs are.

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Soundside Corporation has operating income of $82,000, a sales margin of 16%, and capital turnover of 4.1. The return on investment (ROI) for Soundside Corporation may be closest to CODE OA. 10%. OB. 4%. OC. 66% OD. 152% Safety Works manufacturers safety whistle keychains. They have the following information available to prepare their master budget: Operating Expenses $1.00 per unit sold Variable Operating Costs Fixed Operating Costs $234,000 Other Info: Units produced in 2020 48,000 46,500 Units sold in 2020 afety Works sells each whistle for $12. It's been determined that each unit costs $6.75 to manufacture. How much is total budgeted operating expenses for the year ended 2020? HD DA. $282,000 OB. $280,500 OC. $234,000 OD. $94,500

Answers

OB. $280,500. the total budgeted operating expenses for the year ended 2020 is $280,500, which corresponds to option OB.

To calculate the total budgeted operating expenses for the year ended 2020, we need to multiply the variable operating costs per unit sold by the units sold and add the fixed operating costs.

Variable operating costs per unit sold: $1.00

Units sold in 2020: 46,500

Variable operating costs = $1.00 * 46,500 = $46,500

Fixed operating costs: $234,000

Total budgeted operating expenses = Variable operating costs + Fixed operating costs

Total budgeted operating expenses = $46,500 + $234,000 = $280,500

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Given that the nominal GDP for country M in 2021 is $1250 billion and the real GDP for country M in 2021 is $1350 billion. Based on the GDP deflator, the consumers are experiencing
a. Economic growth
b. Full employment
c. Greater purchasing power
d. Weaker purchasing power

Answers

Based on the given information, we can calculate the GDP deflator using the formula:

GDP deflator = (Nominal GDP / Real GDP) * 100

In this case, the nominal GDP is $1250 billion, and the real GDP is $1350 billion.

GDP deflator = (1250 / 1350) * 100 ≈ 92.59

The GDP deflator represents the overall price level of goods and services produced in an economy. A decrease in the GDP deflator indicates a decrease in the overall price level, which means consumers would have stronger purchasing power. Conversely, an increase in the GDP deflator would indicate a higher overall price level, leading to weaker purchasing power.

Therefore, based on the calculated GDP deflator of 92.59, the consumers in country M are experiencing stronger purchasing power. Hence, the correct answer is:

c. Greater purchasing power.

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Your client wants to create a trust for his two daughters, ages six and eight respectively. He proposes the following provisions: (1) the trust income shall be distributed to them or expended for their benefit in equal shares; (2) principal may not be invaded until the youngest daughter attains age 21, at which time the trustee is authorized to make distributions of principal to either daughter for the recipient's health, education, support, and maintenance; (3) when the youngest child attains age 35, the remaining trust property is to be distributed to them in equal shares. Does any portion of the transfer qualify for the annual exclusion? If your client wanted to qualify the entire transfer in trust for the annual exclusion, what changes would be necessary?

Answers

No portion of the transfer qualifies for the annual exclusion.

The annual exclusion allows individuals to make tax-free gifts up to a certain limit each year. In this case, the provisions of the trust do not meet the requirements for the annual exclusion. The trust includes restrictions on the distribution of principal until certain ages are reached, which disqualifies it for the annual exclusion. To qualify the entire transfer for the annual exclusion, the client would need to remove the restrictions on principal distribution and allow immediate access to the funds by the daughters.

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The ABC Electric Company is the only firm produces and distributes electricity in the city. The company's demand and marginal revenue functions are P=5 -0.20 and MR = 5 - 0.4Q and its marginal cost function is MC = 0.2, where Q is in millions of kilowatt hours and Pis in dollars per kilowatt hour. Find the deadweight loss that would result if this company were allowed to operate as a profit maximizing firm.

Answers

Deadweight loss refers to the loss of economic efficiency resulting from policies that prevent the efficient allocation of resources. The ABC Electric Company is the only firm that produces and distributes electricity in the city. The firm's demand and marginal revenue functions are P=5 -0.20 and MR = 5 - 0.4Q, respectively.

Its marginal cost function is MC = 0.2, where Q is in millions of kilowatt hours and P is in dollars per kilowatt hour. To find the deadweight loss that would result if this company were allowed to operate as a profit-maximizing firm, we first need to determine the company's profit-maximizing output level and price. To do this, we need to find the quantity where marginal cost equals marginal revenue (MC = MR).0.2 = 5 - 0.4Q0.4Q = 4.8Q = 12The profit-maximizing output level for ABC Electric Company is 12 million kilowatt-hours. To determine the profit-maximizing price, we substitute the profit-maximizing output level into the economic demand function: P = 5 - 0.20QP = 5 - 0.20(12)P = 2.4ABC Electric Company's profit-maximizing price is $2.4 per kilowatt-hour. Next, we find the consumer surplus in the market. To find the producer surplus, we first determine the area below the demand curve and above the marginal cost curve for a quantity of 12 million kilowatt-hours: PS = [5Q - 0.20Q²]Q=012 - [0.2Q]Q=012PS = 36.8The producer surplus in the market is $36.8 million. The deadweight loss is the difference between the social surplus in the market (consumer surplus + producer surplus) and the amount of producer surplus generated by the profit-maximizing level of output (36.8).DWL = (CS + PS) - PS (profit-maximizing level of output)DWL = 24 + 36.8 - 36.8DWL = 24The deadweight loss that would result if ABC Electric Company were allowed to operate as a profit-maximizing firm is $24 million.

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The means by which organisations used to manage demand and supply of human capital called: a. All of the above b. Demand management strategy c. Human resource strategy d. Supply management strategy
As a part of their strategic planning initiatives organizations conduct human resource planning which may be described as
a.
consistent trend and ratio analysis
b.
a strategic outlook for the organization
c.
quantifying the skill sets according to organizational needs
d.
a process that identifies current and future HR needs

Answers

The means by which organizations used to manage demand and supply of human capital are referred to as human resource strategy. Human resource strategy is a plan of action that organizations take to achieve its set of objectives by managing the supply and demand of human capital.  

Demand management strategy, on the other hand, is an organizational approach that seeks to coordinate and manage customer demands. In contrast, supply management strategy is the process of matching supply to customer demand in a cost-effective and efficient manner. Consistent trend and ratio analysis can help businesses determine human resource requirements and identify employee development opportunities. It can also provide insight into how well the company is meeting its recruitment and retention targets. In summary, human resource strategy refers to the means by which organizations manage the demand and supply of human capital. It is essential in strategic planning initiatives because it helps identify current and future HR needs, quantify skill sets according to organizational needs and have a strategic outlook for the organization.

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Last year Wei Guan Inc. had $350 million of sales, and it had $270 million of fixed assets that were used at 63% of capacity. In millions, by how much could Wei Guan's sales increase before it is required to increase its fixed assets?

Answers

Wei Guan Inc. can increase its sales by $150 million before it is required to increase its fixed assets.

To determine this, we need to calculate the maximum sales increase that can be accommodated within the existing fixed asset capacity. Given that the fixed assets are currently used at 63% of capacity, we can calculate the unused capacity as 100% - 63% = 37%.

To find the maximum sales increase, we divide the current fixed asset value by the unused capacity percentage:

$270 million / 0.37 = $729.73 million.

Therefore, Wei Guan's sales can increase by $729.73 million - $350 million = $379.73 million before it is required to increase its fixed assets.

However, since the question asks for the increase in sales by which Wei Guan is required to increase its fixed assets, we subtract the current sales from the maximum sales increase:

$729.73 million - $350 million = $379.73 million.

Hence, Wei Guan's sales can increase by $379.73 million before it is required to increase its fixed assets.

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Sage Company, a machinery dealer, leased manufacturing equipment to Mays Corporation on January 1, 2017. The lease is for a 7-year period and requires equal annual payments of $31,535 at the beginning of each year. The first payment is received on January 1, 2017.
Sage had purchased the machine during 2016 for $69,000. Collectibility of lease payments is reasonably predictable, and no important uncertainties surround the amount of costs yet to be incurred by Sage. Sage set the annual rental to ensure an 9% rate of return.
The machine has an economic life of 8 years with no residual value and reverts to Sage at the termination of the lease.
(a)
Compute the amount of the lease receivable.
(B)

Answers

The computer reverts to Sage at lease expiration after 8 years with no residual value. Therefore, the amount of the lease receivable is approximately $172,288.17.

(a)The lease requires equal annual payments of $31,535 at the beginning of each year for a 7-year period.

Using a 9% rate of return, we can calculate the present value of an ordinary annuity formula to find the lease receivable:

PV = PMT × [(1 - (1 + r)^(-n)) / r]

Where PV is the present value, PMT is the annual payment, r is the interest rate per period, and n is the number of periods.

PMT = $31,535

r = 9% or 0.09

n = 7

PV = $31,535 × [(1 - (1 + 0.09)^(-7)) / 0.09]

= $31,535 × [(1 - 0.508395458) / 0.09]

= $31,535 × (0.491604542 / 0.09)

= $31,535 × 5.462272689

≈ $172,288.17

(b) The lease receivable amount of approximately $172,288.17 represents the present value of the lease payments that Sage expects to receive over the 7-year lease period. Sage calculated the annual rental payment of $31,535 to ensure a 9% rate of return on the machine, which they had purchased for $69,000 in 2016. By leasing the equipment to Mays Corporation, Sage can generate income and recover their initial investment in the machinery. At the end of the lease term, the machine reverts to Sage with no residual value, implying that Mays Corporation does not have the option to purchase the equipment.

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what do you think would happen to the expected return on the u.s. equity market index if investors perceive a decrease in the volatility of stock returns?

Answers

If investors perceive a decrease in the volatility of stock returns, the expected return on the U.S. equity market index will decrease as well. The equity market is one of the most critical segments of the financial market.

Investors look to make returns by buying and selling shares of companies that are traded on public stock exchanges. However, investing in the equity market is accompanied by the risk of losing money due to market volatility. In times of economic and political uncertainty, investors tend to be more cautious and reduce their investment in the equity market. The expected return on the U.S. equity market index is directly proportional to the risk involved. Therefore, as the volatility of stock returns increases, the expected return on the U.S. equity market index also increases. However, if investors perceive a decrease in the volatility of stock returns, they become more confident about their investments. As a result, the demand for stocks increases, which leads to a decrease in the expected return on the U.S. equity market index. In other words, the decrease in volatility is an indicator of stability and predictability, which reduces the risk premium required by investors to invest in the equity market.

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Which of the following statements concerning junk bonds is most correct?
a) the rational investor will always perfer a AAA-rated bond to a junk bond
b) Junk bonds have higher interest rates than AAA-rated bonds because of the higher risk
c) junk bonds may also be called low-yielding securities
d) junk bonds are priced higher than AAA-rated bonds because junk bonds are more risky

Answers

The most correct statement concerning junk bonds is option (b) - Junk bonds have higher interest rates than AAA-rated bonds because of the higher risk associated with them.

Junk bonds, also known as high-yield bonds, are issued by companies or entities with lower credit ratings. They carry a higher risk of default compared to AAA-rated bonds, which are considered to have the highest credit quality. As a result, investors demand higher interest rates on junk bonds to compensate for the increased risk they are taking.

Option (a) is incorrect because some investors may be willing to invest in junk bonds if they believe the higher interest rates compensate for the risk involved or if they have a higher risk tolerance.

Option (c) is incorrect because junk bonds are typically associated with higher yields or interest rates due to the increased risk, not low yields.

Option (d) is incorrect because junk bonds are priced lower than AAA-rated bonds. The lower price reflects the higher risk associated with junk bonds.

In summary, option (b) is the most correct statement as it accurately describes the relationship between junk bonds and AAA-rated bonds, highlighting the higher interest rates on junk bonds due to their higher risk profile.

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ABC Corp. has outstanding accounts receivable totaling €2.54 million as of December 31 and sales on credit during the year of €12.8 million. There is also a debit balance of €6,000 in the allowance for doubtful accounts. If the company estimates that 1% of its net credit sales will be uncollectible, what will be the balance in the allowance for doubtful accounts after the year-end adjustment?

Answers

So, the balance in the allowance for doubtful accounts after the year-end adjustment will be €295,200.  

To calculate the balance in the allowance for doubtful accounts after the year-end adjustment, we need to estimate the amount of uncollectible accounts that will be recorded during the next year. Based on the information provided, we know that:

The accounts receivable balance at the end of the year is €2.54 million.

Sales on credit during the year were €12.8 million.

There is a debit balance of €6,000 in the allowance for doubtful accounts.

The company estimates that 1% of its net credit sales will be uncollectible.

To calculate the balance in the allowance for doubtful accounts after the year-end adjustment, we can use the following formula:

Allowance for doubtful accounts = (Total uncollectible accounts * Annual credit sales) / 100

Substituting the given values, we get:

Allowance for doubtful accounts = (€2.54 million * €12.8 million) / 100

Allowance for doubtful accounts = €295,200

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how is earned value management different than straight financial accounting

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Earned Value Management (EVM) is a project management technique that measures project performance by integrating cost, schedule, and scope elements.

It provides a comprehensive view of a project's progress and performance based on the value of work completed, enabling effective tracking and forecasting. In contrast, financial accounting primarily focuses on recording and reporting financial transactions to provide information for external stakeholders, such as investors and regulators.

In EVM, key performance indicators such as Earned Value (EV), Planned Value (PV), and Actual Cost (AC) are used to assess project performance. EV represents the value of completed work, PV is the authorized budget for the work scheduled, and AC is the actual cost incurred. By comparing these values, EVM allows project managers to evaluate if a project is ahead of or behind schedule, over or under budget, and whether the value of work performed aligns with the resources expended.

Financial accounting, on the other hand, deals with recording financial transactions, preparing financial statements, and complying with accounting standards. It focuses on providing accurate and reliable financial information for decision-making and external reporting purposes. Financial accounting encompasses areas like revenue recognition, expense allocation, asset valuation, and financial statement analysis.

While both EVM and financial accounting involve the use of financial data, their objectives and scope differ significantly. EVM is primarily concerned with monitoring and controlling project performance, enabling proactive decision-making and effective project management. Financial accounting, on the other hand, is broader in scope, addressing the financial aspects of an entire organization and providing information for stakeholders interested in the financial health and performance of the entity.

In summary, EVM and financial accounting serve distinct purposes. EVM focuses on measuring project performance and progress, integrating cost, schedule, and scope, while financial accounting emphasizes recording financial transactions and providing financial information to external stakeholders.

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The most recent financial statements for Minnie's Manufacturing Co. are shown below: Income Statement Balance Sheet Sales $ 91,800 Current assets $ 32,500 Debt $ 42,600 Costs 66,450 Fixed assets 93,500 Equity 83,400 Taxable income $ 25,350 Total $ 126,000 Total $ 126,000 Tax (22%) 5,577 Net Income $ 19,773 Assets and costs are proportional to sales. Debt and equity are not. The company maintains a constant 40 percent dividend payout ratio. No external equity financing is possible. What is the ROE? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) What is the sustainable growth rate? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

In this case, the Net Income is $19,773 and the Equity is $83,400.

       ROE = Net Income / Equity

       ROE = $19,773 / $83,400

       ROE = 0.237 (or 23.7%)

The Sustainable Growth Rate (SGR) can be calculated using the ROE and the Dividend Payout Ratio. The formula for SGR is as follows:

SGR = ROE * (1 - Dividend Payout Ratio)

In this case, the Dividend Payout Ratio is 40%, which is equivalent to 0.4.

      SGR = 0.237 * (1 - 0.4)

      SGR = 0.237 * 0.6

      SGR = 0.1422 (or 14.22%)

    Therefore, the ROE is 23.7% and the sustainable growth rate is 14.22%. These metrics provide insights into the company's profitability and ability to grow its earnings while maintaining a constant dividend payout ratio.

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2. Elaborate that past consideration is not a good
consideration. (30 marks)

Answers

Past consideration is not sufficient to support a promise to pay made after the services have been provided. However, if the promise is made before the act, it could be enforceable because the promise would have been given in exchange for an act that had yet to occur. For example, if someone promises to pay $100 to another person if he completes a task and the person finishes the job, then the consideration is good.

Past consideration is not considered a good consideration. The principle of consideration is fundamental to the formation of a contract. Consideration refers to the requirement that each party to a contract provides something of value in exchange for the other party's promise. Good consideration refers to a benefit or detriment that the parties have yet to incur. On the other hand, past consideration refers to an act performed or a benefit conferred before the contract was formed. In simple words, a person cannot do something in the past and then later expect payment or a reward. Therefore, past consideration is not sufficient to support a promise to pay made after the services have been provided. However, if the promise is made before the act, it could be enforceable because the promise would have been given in exchange for an act that had yet to occur. For example, if someone promises to pay $100 to another person if he completes a task and the person finishes the job, then the consideration is good.

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Calculate the retail price with a cost at $300 and IMU 70%

Answers

The retail price of a product with a cost of $300 and an initial markup (IMU) of 70% would be $510.

To calculate the retail price, we need to add the markup amount to the cost. The markup amount is determined by multiplying the cost by the IMU percentage. In this case, the IMU is 70%, which means the markup amount is 70% of $300, or $210. Adding the markup amount to the cost gives us the retail price. Thus, the retail price is $300 (cost) + $210 (markup) = $510.

In mathematical notation:

Markup Amount = Cost × IMU

Markup Amount = $300 × 0.70

Markup Amount = $210

Retail Price = Cost + Markup Amount

Retail Price = $300 + $210

Retail Price = $510

Therefore, the retail price for the product, given a cost of $300 and an IMU of 70%, would be $510.

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a: Give a a numerical example for a prisoner’s dilemma situation and carefully explain it.make a two player table

b: carefully explain What is the strategy of your example.?

c: and what is the Nash equilibrium of your example ?

Do not choose an example from a book, make your own one!

note: please do not copy it from other and do this step by step i will give you positive reply

Answers

In this example, consider two prisoners, Alice and Bob, who have been arrested for a crime. They are placed in separate cells and are given the opportunity to cooperate or betray each other.

To illustrate this prisoner's dilemma situation, we can create a payoff matrix for Alice and Bob. Let's assume that their sentences are measured in years, and the numbers represent the length of the sentence they would receive.

Payoff Matrix:

markdown

             Bob

        Cooperate    Betray

Alice Cooperate -2, -2 -5, -1

Betray -1, -5 -4, -4

In this matrix, the first number represents Alice's payoff, and the second number represents Bob's payoff. For example, if both Alice and Bob cooperate (top-left cell), they will each receive a sentence of -2 years. If Alice cooperates, but Bob betrays (bottom-left cell), Alice will face a sentence of -5 years, while Bob will receive a sentence of -1 year.

The strategy in this example is for both prisoners to betray each other. This is because, regardless of the other person's choice, betraying ensures a lower sentence for oneself. In other words, each prisoner has a dominant strategy of betraying the other.

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Davis Enterprises has 286,000 shares of $5 par value common stock outstanding. Davis declares a 40% stock dividend on March 2 when the stock’s market value is $71 per share. The journal entry for the declaration of the stock dividend is:

Answers

The journal entry for the declaration of a stock dividend with Davis Enterprises having 286,000 shares of $5 par value common stock outstanding and declaring a 40% stock dividend on March 2 when the stock’s market value is $71 per share is given below: Journal Entry: Date Account.

Title Debit Credit March 2Stock dividend payable ($71 × 0.40 × 286,000 shares)8,127,200Common stock dividend distributable (40% of 286,000 shares × $5 par value)572,400Paid-in capital in excess of par value – common stock (to balance)7,554,800Explanation:The given problem refers to the declaration of a stock dividend. A stock dividend involves a corporation issuing additional shares of its own stock to its shareholders. Stock dividends are usually expressed as a percentage. Stock dividend declaration affects a corporation's balance sheet in three ways: First, it increases the number of outstanding shares of stock.

Second, it reduces the retained earnings of the corporation. Third, it moves a part of the balance sheet equity from retained earnings to paid-in capital.

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Determine the role and function of transport in the growth of the
economy.(13)

Answers

Transport plays a crucial role in the growth of the economy by facilitating the movement of goods, people, and information.

Transportation serves as a vital component in the growth of the economy. Firstly, it enables the movement of goods from production centers to markets, ensuring the availability of essential products and promoting trade. Secondly, transport plays a key role in connecting regions and markets, promoting regional integration and economic development. It facilitates the flow of goods and services across different areas, encourages investments and business collaborations, and supports the growth of industries and infrastructure.

Additionally, transportation enhances connectivity and accessibility, enabling people to access education, healthcare, and employment opportunities. It allows individuals to commute to work, access essential services, and participate in economic and social activities. Moreover, transport plays a critical role in the efficient movement of information and communication technologies. It enables the exchange of knowledge, ideas, and innovation, contributing to technological advancements and economic growth.

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what are three different types of inventory that manufacturing companies hold?

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Manufacturing companies typically hold three different types of inventory: raw materials, work-in-progress (WIP), and finished goods. Each type of inventory represents a different stage in the production process.

Raw Materials: Raw materials are the basic components used in the manufacturing process. These can include items such as metals, fabrics, chemicals, or any other materials required to produce the final product. Raw materials are typically acquired from suppliers and are stored until they are needed for production.

Work-in-Progress (WIP): Work-in-progress inventory represents partially completed products that are still undergoing the manufacturing process. It includes items that have been started but are not yet finished. WIP inventory is found at various stages of production, such as during assembly or fabrication. This inventory category helps track the progress of production and ensures a smooth flow of materials and resources.

Finished Goods: Finished goods inventory comprises the final products that are ready for sale and distribution. These are the completed items that have passed through the manufacturing process and are in their final form. Finished goods inventory is held until customer orders are received, at which point they can be shipped or delivered.

By maintaining these different types of inventory, manufacturing companies can ensure a steady production flow, meet customer demand, and effectively manage the supply chain from raw materials to finished products.

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LMP 2nd OPP July 2019
QUESTION 5 (25 Marks)
As a Project Manager time is very critical in project
management, write an explanatory note with relevant examples on
issues of project scheduling.

Answers

Project scheduling is a fundamental component of project management, allowing project managers to determine the duration, timing, and resources required for each stage of a project. It is critical to effective project management, as it aids in the determination of how much time and resources are necessary to complete a project. Effective project scheduling can assist you in avoiding missed deadlines, work overload, and unnecessary expenses.

Project scheduling is a critical issue in project management since it determines the duration, timing, and resources required for each stage of a project. It's critical to make sure that your project schedule is as accurate and realistic as possible, which entails taking into account all of the variables that might influence the project's time frame. Here are some issues that are associated with project scheduling:

Project Deadline: In order to complete a project successfully and on time, it is essential to set a realistic project deadline. A deadline is established by taking into account the amount of time required to complete the project, the available resources, and the project's objectives.

Time Constraints: Time constraints are a typical project scheduling problem. They may cause stress, resulting in low-quality work and missed deadlines. As a project manager, it is essential to identify and mitigate these constraints to ensure that the project stays on schedule.

Resource Constraints: Projects may be delayed due to a lack of resources, such as staff, finances, or equipment. It is critical to identify resource constraints early on in the project planning process and come up with solutions to address them.

Dependency: Projects are frequently made up of a series of tasks that must be completed in a particular order. Project scheduling requires that these tasks be prioritized and scheduled in such a way that each task is completed before the next one can begin. Any dependency issues that emerge should be addressed as soon as possible to avoid any delay.

Project scheduling is a key aspect of project management. It is critical to ensure that project schedules are as accurate and practical as possible. This involves taking into account all of the variables that might influence the project's time frame. An effective project schedule can help you avoid missed deadlines, work overload, and unnecessary expenses.

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WBS means A) Work Breakdown Stress B) Work Break Structure C) World Breakdown Structure D) Work Breakdown Structure

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Work Breakdown Structure.What is WBS?WBS stands for Work Breakdown Structure. The Work Breakdown Structure is a deliverable-oriented, hierarchical decomposition of the project into smaller and more manageable components that allow for greater control and improved resource and time management.

It is a key component of project management as it aids in the development of project schedules, budgets, and resource plans. It is a tool for organizing and defining the project's work breakdown structure (WBS).A WBS identifies the work that needs to be completed to achieve the project's objectives. It decomposes a project into smaller, more manageable components called work packages or tasks.

The entire project is broken down into more manageable, smaller, and more manageable portions using WBS. This facilitates the development of project schedules, budgets, and resource plans. Work Breakdown Structure.What is WBS?WBS stands for Work Breakdown Structure. The Work Breakdown Structure is a deliverable-oriented, hierarchical decomposition of the project into smaller and more manageable components that allow for greater control and improved resource and time management.

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Avian Way has a debt-equity ratio of .21, a pretax cost of debt of 6.0 percent, and an unlevered cost of capital of 15.1 percent. What is its levered cost of equity if there are no taxes or other imperfections? 26.11%
18.11%
17.01%
15.10%
21.10%

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The levered cost of equity for Avian Way is 17.01%.This represents the required return on equity for the company, considering its debt-equity ratio and the costs of debt and capital.

To calculate the levered cost of equity, we need to consider the debt-equity ratio, the pretax cost of debt, and the unlevered cost of capital. The levered cost of equity represents the required return on equity for a company that has both debt and equity in its capital structure.

The formula for calculating the levered cost of equity is:

Levered Cost of Equity = Unlevered Cost of Capital + (Debt-Equity Ratio * (Unlevered Cost of Capital - Pretax Cost of Debt))

In this case, we are given that the debt-equity ratio is 0.21, the pretax cost of debt is 6.0%, and the unlevered cost of capital is 15.1%.

By substituting these values into the formula, we can calculate the levered cost of equity:

Levered Cost of Equity = 15.1% + (0.21 * (15.1% - 6.0%))

= 15.1% + (0.21 * 9.1%)

= 15.1% + 1.911%

= 17.01%

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SKU, the standard deviation of demand during the lead time is 150 units, the annual demand is 10,000 units, and the order quantity is 750 units. Management says it will tolerate only one stockout per year. What safety stock should be carried? What is the average inventory? If the lead time is 2 weeks, what is the order point?

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The safety stock that should be carried is approximately 349.5 units. The average inventory is approximately 1099.5 units. The order point is approximately 733.12 units.

To determine the safety stock, average inventory, and order point, we can use the following formulas:

Safety Stock = Z * Standard Deviation of Demand during Lead Time

Average Inventory = Order Quantity + Safety Stock

Order Point = Average Demand per Week * Lead Time + Safety Stock

Given:

Standard Deviation of Demand during Lead Time = 150 units

Annual Demand = 10,000 units

Order Quantity = 750 units

Management tolerance for stockouts per year = 1

Lead Time = 2 weeks

To calculate the safety stock, we need to find the Z value for a one-tailed normal distribution with a management tolerance of one stockout per year. By consulting a standard normal distribution table or using statistical software, we find that Z ≈ 2.33 for a 99% service level (1 stockout per year).

Safety Stock = 2.33 * 150 units

Safety Stock ≈ 349.5 units (rounded to the nearest whole unit)

To calculate the average inventory, we can use the formula:

Average Inventory = Order Quantity + Safety Stock

Average Inventory = 750 units + 349.5 units

Average Inventory ≈ 1099.5 units (rounded to the nearest whole unit)

To calculate the order point, we can use the formula:

Order Point = Average Demand per Week * Lead Time + Safety Stock

First, we need to calculate the average demand per week using the annual demand:

Average Demand per Week = Annual Demand / Number of Weeks in a Year

Number of Weeks in a Year = 52 (assuming a 52-week year)

Average Demand per Week = 10,000 units / 52 weeks

Average Demand per Week ≈ 192.31 units (rounded to two decimal places)

Order Point = 192.31 units/week * 2 weeks + 349.5 units

Order Point ≈ 733.12 units (rounded to two decimal places)

Therefore, the safety stock that should be carried is approximately 349.5 units. The average inventory is approximately 1099.5 units. The order point is approximately 733.12 units.

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Yogajothi is thinking of investing in a rental house. The total cost to purchase the house,
including legal fees and taxes, is $230 000. All but $30 000 of this amount will be
mortgaged. He will pay $1600 per month in mortgage payments. At the end of two years,
he will sell the house and at that time expects to clear $40 000 after paying off the remaining mortgage principal (in other words, he will pay off all his debts for the house and still
have $40 000 left). Rents will earn him $2000 per month for the first year and $2400 per
month for the second year. The house is in fairly good condition now, so he doesn’t expect
to have any maintenance costs for the first six months. For the seventh month, Yogajothi
has budgeted $400. This figure will be increased by $40 per month thereafter (e.g., the
expected month 7 expense will be $400, month 8, $440, month 9, $480, etc.). If interest is
6 percent compounded monthly, what is the present worth of this investment? Given that
Yogajothi’s estimates of revenue and expenses are correct, should he buy the house? please use steps not spread sheet

Answers

To calculate the present worth of Yogajothi's investment, we need to determine the net cash flow for each period and discount them back to the present using the interest rate of 6 percent compounded monthly. Here are the steps:

Calculate the monthly mortgage payment:

The mortgage payment is given as $1600 per month.

Calculate the net cash flow from rental income:

For the first year: $2000 per month.

For the second year: $2400 per month.

Calculate the net cash flow from maintenance expenses:

For the first six months: $0.

For the seventh month: $400.

For subsequent months: Increase by $40 per month.

Calculate the net cash flow at the end of the second year:

Subtract the remaining mortgage principal ($30,000) from the expected amount cleared after selling the house ($40,000).

Determine the present worth of each cash flow:

Discount each cash flow back to the present using the interest rate of 6 percent compounded monthly.

Sum up all the present worth values to find the total present worth.

If the total present worth is positive, it indicates that the investment is profitable, and Yogajothi should consider buying the house. If the total present worth is negative, it suggests that the investment may not be financially viable.

To calculate the present worth and determine the profitability, we need additional information on the time frame (number of months) for each cash flow. Please provide the time frame, and I will assist you in completing the calculations.

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Case Study Starbucks Corporation The Starbucks Corporation,
founded in 1971, is one of the world’s largest coffee house chains,
with more than 17,240 coffee shops in over 50 countries. Starbucks’

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The Starbucks Corporation's success can be attributed to its business model, marketing strategies, and global expansion.

The Starbucks Corporation is one of the world's largest coffee house chains, with over 17,240 coffee shops in over 50 countries. The company was founded in 1971. A case study of the company can focus on different aspects such as the company's history, business model, marketing strategies, and global expansion. The company has become successful by offering a unique experience to its customers, which is beyond coffee. The company offers an atmosphere of relaxation where customers can enjoy quality coffee, music, and a comfortable ambiance. The company has also expanded its menu to include a range of drinks, food items, and merchandise. Starbucks' business model is focused on creating a third place, where customers can relax and enjoy their coffee in a comfortable environment. The company's marketing strategies are also geared towards creating a unique experience for customers. For instance, the company has introduced several loyalty programs, which offer customers discounts, freebies, and other perks. The company's global expansion has been a key driver of its success. Starbucks has expanded its presence in over 50 countries, and its international operations generate a significant portion of its revenue. The company has also customized its products to suit local tastes and preferences, which has helped it to gain market share in different regions.

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A risk averse person (select all that applies) a) will avoid any risk, no matter how small. b) has a linear utility function of income. c) has a concave utility function of income. d) will always choo

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c) has a concave utility function of income. A risk-averse person is characterized by having a concave utility function of income.

This means that the person's marginal utility of income decreases as income increases. In other words, the person values each additional unit of income less and less as their income level rises. This implies that a risk-averse individual is more sensitive to potential losses and is willing to sacrifice some potential gains to avoid risks. They prefer more certainty and are cautious when it comes to taking risks.

Option a) "will avoid any risk, no matter how small" is not necessarily true for all risk-averse individuals. While they tend to be more risk-averse than risk-neutral or risk-seeking individuals, it doesn't mean they will avoid all risks. They may be willing to take on some level of risk if the potential gains outweigh the potential losses.

Option b) "has a linear utility function of income" is not applicable to risk-averse individuals. Linear utility functions imply that the person's marginal utility of income remains constant, regardless of income levels. This is not consistent with the behavior of risk-averse individuals, as they exhibit diminishing marginal utility of income.

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9-1 Final Project: Submit Change Plan For Alaska Airlines
For SNHU Class OL 663 Leading Change

Answers

In conclusion, the change plan proposed for Alaska Airlines aims to address some of the challenges that the airline is facing in the areas of customer service, operations, and marketing. The initiatives proposed are practical and can be implemented effectively to ensure that Alaska Airlines remains competitive and profitable in the long run. The airline should prioritize implementing these initiatives to ensure that it maintains its excellent reputation and continues to provide excellent customer service to its customers.

Alaska Airlines is among the largest airlines that operate in the United States, and it serves both international and domestic markets. The airline prides itself in providing excellent customer service to its customers and maintaining an excellent reputation in the airline industry. However, in recent years, Alaska Airlines has experienced several challenges that have affected its operations. These challenges include increased competition, rising fuel costs, changes in customer preferences, and economic instability. As a result, the airline has been forced to reconsider its business model and develop a change plan that will enable it to remain competitive and profitable in the long run. This paper presents a change plan for Alaska Airlines that aims to address some of the challenges that the airline is facing. The plan focuses on three key areas: customer service, operations, and marketing. Each of these areas is discussed in detail below.
Customer Service
Alaska Airlines prides itself on providing excellent customer service, and this has been one of the airline's core values since its inception. However, in recent years, customer service has declined due to increased competition, economic instability, and changes in customer preferences. The change plan proposes several initiatives aimed at improving customer service. These initiatives include:
• Investing in employee training to ensure that all employees are equipped with the necessary skills and knowledge to deliver excellent customer service.
• Developing a comprehensive feedback mechanism to allow customers to provide feedback on their experience with the airline.
• Developing a rewards program for loyal customers to incentivize them to continue using Alaska Airlines.
Operations
Alaska Airlines operates a large fleet of aircraft that serve both international and domestic markets. The airline has been experiencing several challenges with its operations, including increased fuel costs, maintenance issues, and delays. The change plan proposes several initiatives aimed at addressing these challenges. These initiatives include:
• Revising the airline's fleet to include more fuel-efficient aircraft to reduce fuel costs.
• Developing a comprehensive maintenance program to ensure that all aircraft are well-maintained and in good condition.
• Developing a contingency plan to address delays and cancellations caused by unforeseen circumstances such as weather events.
Marketing
Marketing is a critical component of any business, and Alaska Airlines has not been immune to the challenges of marketing. The airline has been struggling to attract new customers, and this has affected its profitability. The change plan proposes several initiatives aimed at addressing these challenges. These initiatives include:
• Developing a comprehensive marketing strategy to attract new customers and retain existing ones.
• Investing in digital marketing to reach more customers through online platforms.
Developing partnerships with other companies to expand the airline's reach and attract new customers.

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A stock has a beta of 1.3. The systematic risk of this stock is the stock market as a whole, higher than lower than equal to indeterminable compared to

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The stock's systematic risk is higher than the stock market as a whole.

Beta can be calculated with the help of the following formula: Beta = Covariance of the asset with the market / Variance of the market. Therefore, by dividing the covariance of the asset with the market by the variance of the market, we can calculate the beta of a stock. What is systematic risk? The variability of returns on a security or portfolio caused by macroeconomic factors that affect the entire market is known as systematic risk. As a result, it is sometimes referred to as market risk. What is the relationship between beta and systematic risk? The beta coefficient is a measure of a stock's systematic risk. A beta of 1 indicates that the stock has the same systematic risk as the overall market, whereas a beta of less than 1 indicates that the stock has less systematic risk than the market as a whole. Similarly, a beta of greater than 1 indicates that the stock has more systematic risk than the market as a whole. Since the stock's beta is greater than 1, its systematic risk is higher than the market as a whole. Therefore, the answer to the given question is "higher than."

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A stock with a beta of 1.3 has a systematic risk equal to that of the stock market as a whole. Therefore, the systematic risk of this stock is equal to that of the stock market as a whole .

A stock with a beta of 1.3 has the stock with a beta of 1.3 has the same systematic risk as the stock market as a whole, which is known as non-diversifiable risk.

A systematic risk equal to that of the stock market as a whole.What is systematic risk?Systematic risk is a type of risk that is inherent in the entire market or an entire asset class, rather than in a single security or portfolio. This is also known as the market risk or the non-diversifiable risk.What is beta?Beta is a statistical measurement of the degree to which a security or portfolio moves in relation to the market as a whole. The market has a beta of 1.0, with stocks that are more volatile than the market having betas greater than 1.0, while stocks that are less volatile than the market have betas less than 1.0.

The beta of this stock is greater than 1.0 and hence this stock has more volatility than the market as a whole. This indicates that it will move in the same direction as the market with similar magnitude, as a result the systematic risk of the stock is the same as that of the market.

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Other Questions
a 13000 n vehicle is to be lifted by a 25 cm diameter hydraulic piston. what force needs to be applied to a 5.0 cm diameter piston to accomplish this? A cleaning company uses $20 of chemicals, $40 of labour, and $5 of misc. expenses for each house it cleans. After some quality complaints, the company has decided to increase its use of chemicals by 50%. By what % has multifactor productivity fallen? .Consider the following statement about three sets A, B and C:If A (BUC) = , then An B = and A C = .1. Find the contrapositive and the converse of the above2. Find out if each is true or not3. Based on ur answers to (2) decide if the statement is true or not one page persuasive memo to your supervisor. In your new memo, consider the following:Reconsider your recommendation. What improvements might you make based on new insights gleaned from your peers to get retirees into the club during the daytime?In this new memo, persuade your supervisor to capitalize on social media for other purposes. What could the club do to build goodwill among its followers? Again, justify your recommendation.Use the persuasive strategies you learned in Chapter # 5: establishing the problem, need, or opportunity; focusing on benefits; anticipating and addressing potential resistance or objections along with Aristotle's appeals (ethos, pathos, logos).Use memo best practices (Review memo format in Figure 3.15 on p. 94.)At the end of your memo, scroll down several lines and then write two paragraphs in which you include the following:Paragraph One: Purpose/Audience/InformationWhat is the purpose of the message?What do you want the outcome to be?Who is the audience?What do they need to know or understand to produce your desired outcome?Paragraph Two: MediumIs a memo the best medium for this message? Why or why not?If not, what would you choose and why? Extract: Management of slack time"In practice, project managers carefully manage slack on sensitive resource-limited projects. If possible, they will add slackat the end of the project by committing to a completion date that goes beyond the schedule date. For example, the planssay the project should be completed on April 1, although the official completion date is 1 May.Other managers take a more aggressive approach to managing slack within the schedule. They use an early start scheduleand prohibit use of slack on any activity or work package to be used unless authorised by the project manager. Progress bypercent complete and by remaining time is carefully monitored.Activities that are beating estimated completion times are reported so that succeeding activities can start earlier and time isnot wasted. 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