Tiger LLC has market value of $90,000 and 2,000 shares outstanding. Mancut Department Store has market value of $25,000 and 5,000 million shares outstanding. Tiger is contemplating acquiring Mancut. Tiger's CFO concludes that the combined firm with synergy will be worth $131,000, and Mancut can be acquired at a price of $32,000. If Selfcut is acquired by cash, what is the stock price of Tiger LLC after the acquisition?

Group of answer choices

a $52. 50

b $49. 50

c $44. 30

d $41. 80

e $32. 25

Answers

Answer 1

Tiger LLC has market value of $90,000 and 2,000 shares outstanding. The stock price of Tiger LLC after acquiring Mancut is $49.50 (option b).

To find the stock price of Tiger LLC after acquiring Mancut, we need to calculate the new total value of Tiger LLC after the acquisition and divide it by the number of shares outstanding.
First, we need to determine the value of Tiger LLC after the acquisition. The combined firm, including the synergy, is said to be worth $131,000. Since Mancut can be acquired for $32,000, the value of Tiger LLC after the acquisition would be $131,000 - $32,000 = $99,000.
Next, we calculate the new stock price by dividing the value of Tiger LLC after the acquisition by the number of shares outstanding. Tiger LLC has 2,000 shares outstanding. Therefore, the stock price after the acquisition is $99,000 / 2,000 = $49.50.
Therefore, the stock price of Tiger LLC after acquiring Mancut is $49.50 (option b).
In conclusion, the stock price of Tiger LLC after acquiring Mancut is $49.50.

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Related Questions

Talbot Industries is considering launching a new product. The new manufacturing equipment will cost $11 million, and production and sales will require an initial $4 million investment in net operating working capital. The company's tax rate is 25%. Enter your answers as a positive values. Enter your answers in millions. For example, an answer of $10,550,000 should be entered as 10.55. Round your answers to two decimal places.
a. What is the initial investment outlay?
million
b. The company spent and expensed $150,000 on research related to the new project last year. What is the initial investment outlay?
million
c. Rather than build a new manufacturing facility, the company plans to install the equipment in a building it owns but is not now using. The building could be sold for $1.4 million after taxes and real estate commissions. What is the initial investment outlay?
$
million

Answers

The initial investment outlay for the new product, considering the cost of manufacturing equipment and net operating working capital, is $15 million.

The initial investment outlay is the sum of the cost of manufacturing equipment and the net operating working capital. Given that the manufacturing equipment costs $11 million and there is an additional $4 million investment in net operating working capital, the total initial investment outlay is $15 million considering the $150,000 spent on research, the initial investment outlay for the new product is $15.15 million. in addition to the cost of manufacturing equipment and net operating working capital, the company spent $150,000 on research related to the new project. Thus, the initial investment outlay includes this amount, making the total investment $15.15 million.

Taking into account the potential sale of the building, the initial investment outlay for the new product is $13.6 million. instead of constructing a new manufacturing facility, the company plans to use a currently unused building it owns. If the building is sold, it can generate $1.4 million after taxes and real estate commissions. Therefore, the initial investment outlay would be reduced by this amount, resulting in a total investment of $13.6 million.

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Which of the following is used to record the summary of effects on one particular item?
a. An account
b. A trial balance
c. A general journal
d. A general ledger

Answers

The correct answer is: An account is used to record the summary of effects on one particular item.

It is a basic element of the accounting system that tracks the increases, decreases, and balances of specific assets, liabilities, equity, revenues, or expenses. Each account represents a unique item or category within the financial records of a business.

When transactions occur, they are recorded in accounts using the double-entry bookkeeping system. The account serves as a repository for all related transactions and provides a comprehensive record of the activity and balance associated with that specific item.

On the other hand, a trial balance is a list of all the general ledger accounts and their balances, used to ensure that debits and credits are equal. A general journal is a chronological record of all financial transactions, while a general ledger is a master accounting document that contains all the accounts used by a business.

Therefore, the summary of effects on one particular item is recorded in an account.

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A first-year student got R180 000 that covered three years' study fees. The study loan accumulates 9% interest p.a. Calculate expected investment returns in three years' time.

Answers

A first-year student got R180 000 that covered three years' study fees. The study loan accumulates 9% interest p.a. Calculate expected investment returns in three years' time.

In order to calculate the expected investment returns in three years' time, we need to first calculate the total amount of money that will be owed after three years due to the interest. We can use the formula for compound interest: A = P(1 + r/n)^(nt), where A is the final amount, P is the principal amount (the initial loan), r is the annual interest rate (9%), n is the number of times interest is compounded per year (we will assume it is compounded annually), and t is the number of years.

Using this formula, we can calculate the amount owed after three years: A = 180000(1 + 0.09/1)^(1*3) = 180000(1.09)^3 = R243,356.49

This means that after three years, the student will owe R243,356.49 due to the accumulated interest on the study loan.

Now, in order to calculate the expected investment returns, we need to know what the student plans to do with the R180,000 that they received. If they invest it in an account that earns interest, they can earn returns on that investment. For example, if they invest the full R180,000 into an account that earns 5% interest per year, they can expect to earn a total of:

R180,000 * (1 + 0.05)^3 = R213,813.40

This means that after three years, the student can expect to have R213,813.40 if they invest the full R180,000 in an account that earns 5% interest per year. However, if they use the full R180,000 to pay for their living expenses and do not invest any of it, they will not earn any investment returns.

Therefore, it is important for the student to carefully consider their financial options and make informed decisions about how to use the money they have received.

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You are a senior audit clerk at KNK Inc. and are currently busy with the finalisation of the audit of Steinlief (Pty) Ltd. The audit manager has brought a first year audit clerk to the team to assist

Answers

As a senior audit clerk at KNK Inc., it is my responsibility to oversee the finalization of the audit of Steinlief (Pty) Ltd. Recently, the audit manager has brought on a first-year audit clerk to assist with the completion of the audit.

As a senior audit clerk, it is my duty to mentor and train the first-year audit clerk to ensure that the audit is done accurately and efficiently. The following are some of the steps I will take to ensure that the audit is completed on time and accurately.
Firstly, I will introduce myself to the first-year audit clerk and brief them about their responsibilities and duties. I will provide them with an overview of the audit, explain the audit objectives, and discuss the audit program with them. This will help them understand the scope of their work and what is expected of them.
Secondly, I will train the first-year audit clerk in the audit techniques that are commonly used during the audit process. This will include procedures such as substantive testing, analytical review, and controls testing. I will also ensure that the first-year audit clerk understands how to document their work accurately and efficiently.
Thirdly, I will monitor the first-year audit clerk's work and provide feedback on their performance. This will help them improve their skills and identify areas that require further training. Additionally, I will ensure that the first-year audit clerk is working in a safe and healthy environment and that they have all the necessary resources to complete their work.
In conclusion, as a senior audit clerk at KNK Inc., it is my responsibility to ensure that the audit of Steinlief (Pty) Ltd is completed accurately and efficiently. I will mentor and train the first-year audit clerk to ensure that they understand their responsibilities and are equipped with the necessary skills to complete their work.

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At the beginning of your freshman year, your favorite aunt and uncle deposit $10,000 into a 5-year bank certificate of deposit (CD) that pays 7% annual interest. You will receive the money in the account (including the accumulated interest) if you graduate with honors in 5 years. How much will there be in the account after 5 years?
a.$14,025.52
b.$14,762.82
c.$12,155.06
d.$13,355.06
e.$12,465.09

Answers

It is given that your favorite aunt and uncle deposit 10,000 into a 5-year bank certificate of deposit (CD) that pays 7% annual interest.

You will receive the money in the account (including the accumulated interest) if you graduate with honors in 5 years.

The formula to calculate the future value of a sum of money is given by:

FV = PV(1 + i)ⁿ

where

PV = Present value

i = annual interest raten = number of years

FV = Future value

Now, substitute the given values in the above formula:

FV = 10,000(1 + 0.07)⁵

FV = 10,000(1.07)⁵

FV = 10,000(1.40)

FV = 14,000

Thus, the total amount will be 14,000 after 5 years.

The correct option is (a) 14,025.52.

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when banking and business networks are attacked for the purpose of stealing money or intellectual property, this is called .

Answers

When banking and business networks are attacked for the purpose of stealing money or intellectual property, this is called cybercrime. Cybercrime refers to criminal that are carried out using computers and the internet. These attacks can target financial institutions, businesses, or individuals with the intention of gaining unauthorized access to sensitive information or funds.

There are several types of cybercrime that can be committed in these situations. One common form is phishing, where attackers use fraudulent emails or websites to trick victims into revealing their personal or financial information. Another method is malware, which involves infecting a network with malicious software that allows attackers to gain control and steal data.Cybercriminals may also employ ransomware, which encrypts files and demands a ransom for their release. Additionally, there are cases of insider threats, where employees or individuals with privileged access misuse their positions to steal valuable information or funds.

The consequences of cybercrime can be severe, leading to financial loss, reputational damage, and even legal consequences for the perpetrators. To combat these threats, organizations and individuals need to implement robust security measures, such as firewalls, antivirus software, and employee training on cybersecurity best practices.In conclusion, when banking and business networks are attacked for the purpose of stealing money or intellectual property, it is referred to as cybercrime. This involves various methods such as phishing, malware, ransomware, and insider threats. The impacts of cybercrime can be significant, making it crucial for organizations and individuals to prioritize cybersecurity.

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Diane is diabetic and has noticed that the more carbohydrates she eats at night, the higher her morning blood sugar. The numbers have a linear relationship as follows. Sugar y
^

=3 (Carbohydrates) +104.6 One night, Diane goes to the movies and eats a medium buttered popcorn. She looks up the amount of carbohydrates and is dismayed to find that the medium popcorn has 72 grams! What does she predict her blood sugar to be in the morning? Round your answer to one decimal place.

Answers

We are given a linear equation relating the blood sugar level to carbohydrates eaten as,Sugar [tex]y^​=3[/tex] (Carbohydrates) +104.6and the carbohydrate intake is 72 grams for Diane.

To find the answer to this question, we need to substitute 72 for carbohydrates in the above linear equation as follows,

Sugar[tex]y^​=3(72) +104.6y = 216 + 104.6 = 320.6[/tex]

We find that Diane predicts her blood sugar level to be 320.6 in the morning after eating a medium buttered popcorn.

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The following amounts summarize Transeer Company's merchandising activities during 2023. Post the activities in the following T. accounts and calculate the account balances. Assume that the company uses perpetual inventory system.

Answers

The merchandising activities of Transeer Company during 2023 are summarized as follows:Sales Revenue: $100,000

Cost of Goods Sold: $60,000

Purchases: $80,000

Freight-In: $2,000

Purchase Returns and Allowances: $3,000

Purchase Discounts: $2,500

Sales Returns and Allowances: $5,000

Sales Discounts: $1,500

To record these activities, we will use the following T-accounts:Sales Revenue: Starting balance $0

Sales Revenue: $100,000 (cr.)

Sales Returns and Allowances: $5,000 (dr.)

Sales Discounts: $1,500 (dr.)

Ending balance: $93,500 (cr.)

Cost of Goods Sold: Starting balance $0Cost of Goods Sold: $60,000 (dr.)

Ending balance: $60,000 (dr.)

Purchases: Starting balance $0

Purchases: $80,000 (dr.)

Purchase Returns and Allowances: $3,000 (cr.)

Purchase Discounts: $2,500 (cr.)

Ending balance: $74,500 (dr.)

Freight-In: Starting balance $0Freight-In: $2,000 (dr.)

Ending balance: $2,000 (dr.)

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The merchandising activities of Transeer Company during 2023 are summarized as follows :Sales Revenue: $100,000

Cost of Goods Sold: $60,000

Purchases: $80,000

Freight-In: $2,000

Purchase Returns and Allowances: $3,000

Purchase Discounts: $2,500

Sales Returns and Allowances: $5,000

Sales Discounts: $1,500

To record these activities, we will use the following T-accounts:Sales Revenue: Starting balance $0

Sales Revenue: $100,000 (cr.)

Sales Returns and Allowances: $5,000 (dr.)

Sales Discounts: $1,500 (dr.)

Ending balance: $93,500 (cr.)

Cost of Goods Sold: Starting balance $0Cost of Goods Sold: $60,000 (dr.)

Ending balance: $60,000 (dr.)

Purchases: Starting balance $0

Purchases: $80,000 (dr.)

Purchase Returns and Allowances: $3,000 (cr.)

Purchase Discounts: $2,500 (cr.)

Ending balance: $74,500 (dr.)

Freight-In: Starting balance $0Freight-In: $2,000 (dr.)

Ending balance: $2,000 (dr.)

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New technological advances have lowered the price of solar cells, an input in solar panels for homes. What is the likely impact of this on the market for home solar panels?
[ Select ] ["Supply", "Demand"] will [ Select ] ["Increase", "Decrease"] , and as a result the price of solar panels will [ Select ] ["Decrease", "Increase"] and the quantity will [ Select ] ["Decrease", "Increase"] .

Answers

The technological advancement in solar cells technology has led to a decrease in their prices. The decline in prices of solar cells will have an impact on the market for home solar panels.

Solar panels for homes are installed by homeowners to produce electricity for their consumption. Lower solar cells prices mean that it will be less expensive to produce solar panels for homes. As such, the cost of manufacturing and installing solar panels will decrease, leading to a decrease in the overall price of solar panels.

The decrease in the cost of producing solar panels will lead to an increase in the supply of solar panels. As the cost of production decreases, manufacturers will be able to offer solar panels to homeowners at lower prices. This will stimulate the demand for solar panels, leading to an increase in demand.


Thus, the likely impact of the decrease in solar cells price on the market for home solar panels is that supply will increase, demand will increase, and the price of solar panels will decrease, and the quantity will increase.

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You are the CFO of "Magic Candles Inc." a public company with stocks traded at TSX. You are located in New Westminster, BC. The marketing team of your company has just come up with a new product strategy where the company needs to start producing candles from eco-friendly materials. The estimated investment into this new production is $1,000,000. The company has 1.0 debt/equity ratio. The book value of assets is $9,000,000. The CEO is very excited about this new endeavour and asked you to decide how you are going to finance it. The company does not have internal funds available and needs to use debt or equity financing. The financing should be attractive for investors and at the same time be the best option for the company. The options you are thinking about are 1. Issue bonds. 1,000 bonds with a face value of $1,000 and 8% semi-annual coupon with 5 years to maturity. You think that the bond can be priced in the market for $980. 2. Issue shares and place them at TSX. To finance the new product line, the company can issue 9,000 shares. The last dividend paid was $4.50, and the dividends are growing at a constant rate of 2.8%. 3. Take a loan for 5 years at 7% compounded semi-annually. Questions: 1. What is more attractive for investors: bonds or stocks? Provide calculations for each of the options. Additionally, discuss risk and reward in relation to these options as well as other advantages and disadvantages of debt and equity for an investor. 2. What is the best financing for the company? Remember that debt costs are expenses and are deducted before taxation. The company tax rate is 30%. Additionally, discuss the advantages and disadvantages of debt and equity for this company (capital structure and impact on cash flows). Provide calculations to support your argument.

Answers

1. What is more attractive for investors: bonds or stocks? Provide calculations for each of the options. Additionally, discuss risk and reward in relation to these options as well as other advantages and disadvantages of debt and equity for an investor.

Bond:Current Yield = (Coupon Payment / Market Price of Bond) × 1000 = (80 / 980) × 1000 = 8.16%Yield to Maturity = 8.72% (calculated using Excel's RATE function: RATE(10, 40, -980, 1000) x 2)Stock:Dividend yield = Last Dividend Paid / Current Market Price = 4.5 / x = 0.045 x = $100Dividend in Year 1 = 4.5 x (1 + 2.8%) = 4.632Dividend in Year 2 = 4.632 x (1 + 2.8%) = 4.765Dividend in Year 3 = 4.765 x (1 + 2.8%) = 4.900Dividend in Year 4 = 4.900 x (1 + 2.8%) = 5.037Dividend in Year 5 = 5.037 x (1 + 2.8%) = 5.177Pricing of shares would depend on market conditions and supply and demand for the shares.

The current market price is assumed to be the same as the par value. The estimated dividend growth rate of 2.8% is also an assumption based on past trends. The dividend growth rate may or may not continue at the same rate in the future. Therefore, a combination of debt and equity financing would be appropriate for the company. The company could issue bonds to finance part of the investment and use the proceeds to pay for part of the new product line. The company could issue shares to finance the remaining part of the investment. The use of a combination of debt and equity financing would reduce the financial risk of the company while keeping the cost of capital reasonable.

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1. What was the main reason behind the Eurozone Debt Crisis in
2008-2011 period? What is the main take-away from that crisis
regarding the optimal currency areas?

Answers

The Eurozone Debt Crisis in 2008-2011 was caused by a variety of factors. It is widely acknowledged, however, that the fundamental cause was a lack of discipline in the credit market.

The high level of borrowing by many Eurozone nations during the early years of the Euro made them vulnerable to rising interest rates. Furthermore, most of these economies did not have the flexibility to adjust their exchange rates, making it difficult to deal with shocks and maintain competitiveness.

The end result was that a number of countries, particularly Greece, Portugal, and Spain, faced severe economic downturns and significant increases in their debt levels, resulting in a financial crisis across the Eurozone.The primary takeaway from the Eurozone Debt Crisis is the importance of ensuring that countries are economically and financially stable before they adopt a common currency.

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Explain the benefits of conducting a training needs analysis (TNA), to convince managers who may think that it is just a waste of time.

Answers

A Training Needs Analysis (TNA) is a process that assesses the knowledge, skills, and abilities of employees and compares them to the organization's goals and objectives. A TNA assists management in determining training priorities, setting objectives, designing and implementing training programs, and evaluating the training's effectiveness.

Training Needs Analysis is a vital aspect of the training program because it outlines an organization's skill set and competency levels. Conducting a TNA helps companies identify performance gaps, training needs, and ensure that training resources are efficiently used.

Managers who view TNA as a waste of time must be convinced otherwise because it provides significant benefits to the organization. These include: Enhancing productivity: By conducting TNA, organizations can identify training needs, which help enhance productivity.

When employees have the skills and knowledge required to perform their jobs efficiently, productivity increases. Reducing turnover: Employees who are satisfied with their job and the training provided by their employer are more likely to stay with the organization.

Conducting TNA provides employers with valuable information about employee training needs, which can help to create a more conducive work environment and reduce turnover. Improving the quality of work: TNA provides organizations with the necessary data to identify training needs and address skill gaps in the organization, leading to improved quality of work.

Enhancing employee morale: TNA can also be used to identify employee career development goals, which in turn promotes job satisfaction and increases employee morale. Improving customer satisfaction: TNA helps identify training needs that help employees improve customer satisfaction by meeting or exceeding customer expectations.

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What is the par yield on a $1 million T-Bill that currently
sells at 97.85% of its face value and is 95 days from maturity?
Consider again a year of 365 days.

Answers

8.27 is the par yield on a $1 million T-Bill that currently sells at 97.85% of its face value and is 95 days from maturity.

Par Yield = (Face Value - Purchase Price) / (Face Value * (Days to Maturity / Days in a Year))

Given the following information:

Face Value = $1,000,000

Purchase Price = 97.85% of Face Value = 0.9785 * $1,000,000 = $978,500

Days to Maturity = 95

Days in a Year = 365

Let's calculate the par yield:

Par Yield = ($1,000,000 - $978,500) / ($1,000,000 * (95 / 365))

Par Yield = $21,500 / ($1,000,000 * 0.2602739726)

Par Yield ≈ $21,500 / $260,273.9726

Par Yield ≈ 0.0827 or 8.27%

Therefore, the par yield on the $1 million T-Bill is approximately 8.27

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A tax-exempt municipal bond with a coupon rate of 8.00% has a market price of 99.20% of par. The bond matures in 7.00 years and pays semi-annually. Assume an investor has a 21.00% marginal tax rate. The investor would prefer otherwise identical taxable bond if it's yield to maturity was more than % Answer format: Percentage Round to: 2 decimal places (Example: 9.24%, % sign required. Will accept decimal format rounded to 4 decimal places (ex: 0.0924)

Answers

A tax-exempt municipal bond with a coupon rate of 8.00% has a market price of 99.20% of par. The bond matures in 7.00 years and pays semi-annually. Assume an investor has a 21.00% marginal tax rate. The investor would prefer otherwise identical taxable bond if its yield to maturity was more than what percent.

Given:Marginal tax rate = 21.00%Coupon rate = 8.00%Market price = 99.20%Maturity period = 7 yearsSemi-annual coupon payment = 4%Calculation:First, we have to find out the yield to maturity of the bond using the following formula,Current Yield = (Annual Interest Payment / Market Price) × 100%Annual Interest Payment = (Coupon Rate × Face Value) /[tex]2= (8% × $1,000) / 2= $40Market Price = 99.20% of $1,000= $992[/tex] Yield to Maturity (YTM) can be calculated using the trial and error method using financial calculators or by using the excel function.

Goal Seek function in Excel: The Goal Seek function can be used to calculate YTM by first setting the bond price equal to the bond’s present value, then solving for the yield. It can be used as follows: After calculating the yield to maturity, the taxable bond yield must be calculated before making a comparison. Using the formula: Taxable bond yield = (Tax-exempt bond yield) / (1 – Marginal tax rate)= 5.06% / (1 – 0.21)= 6.43%The investor would prefer otherwise identical taxable bond if its yield to maturity was more than 6.43%.Hence, the answer is 6.43%.

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Sales discount on credit sales can benefit a seller through earlier cash receipts and reduced collection efforts. Many sales discounts are favorable to the buyer, and many buyers will take advantage of them. New revenue recognition rules require that sellers report sales net of expected sales discounts. These rules apply to annual periods of public entities beginning after December 15, 2017 (earlier use is permitted for periods beginning after December 15, 2016).

Answers

Sales discount on credit sales can benefit a seller through earlier cash receipts and reduced collection efforts. Many sales discounts are favorable to the buyer, and many buyers will take advantage of them.

New revenue recognition rules require that sellers report sales net of expected sales discounts. These rules apply to annual periods of public entities beginning after December 15, 2017 (earlier use is permitted for periods beginning after December 15, 2016).Sales discounts on credit sales can help a seller benefit by allowing them to receive payments more quickly than they would without the discount, which in turn allows them to reduce collection efforts. However, many sales discounts are actually more favorable to buyers, who may take advantage of these discounts. Consequently, the revenue recognition rules have been changed in order to require sellers to report their sales net of expected sales discounts.In this way, the amount of revenue that a seller receives from their sales can be calculated in a more accurate manner. These rules apply to annual periods of public entities beginning after December 15, 2017, though earlier use is permitted for periods beginning after December 15, 2016.

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a binding minimum wage raises the incomes of some workers, but it lowers the incomes of workers who cannot find jobs.

Answers

That is correct. A binding minimum wage is a minimum wage that is set above the equilibrium wage.

This means that some workers who would be willing to work for less than the minimum wage will be unable to find jobs.

The workers who are most likely to be affected by a binding minimum wage are those who are least skilled and have the fewest job skills. These workers are often the first to be laid off when the minimum wage is increased.

The impact of a binding minimum wage on the economy is a complex issue. There is no clear consensus among economists about the overall impact of a binding minimum wage. Some economists believe that the benefits of a binding minimum wage outweigh the costs, while others believe that the costs outweigh the benefits.

The following are some of the potential benefits of a binding minimum wage:

It can help to raise the incomes of low-wage workers.

It can reduce poverty.

It can improve the standard of living for low-wage workers.

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The Satyam Scandal: "When Riding a Tiger, How Does One Get Off Without Getting Eaten?"
Please find on the Internet and read the following articles:
Kahn, Jeremy, New York Times, "Founder of Indian Company Interrogated," January 11, 2009
Raju, B. Ramalinga, "Text of Ramalinga Raju’s Letter to Satyam Board." Msn.com, January 7, 2009.
Cunningham, Lawrence (blogger), "Satyam Fraud’s Systemic Regulatory Implications, January 8, 2009

Answers

The Satyam scandal refers to a major corporate fraud that took place in 2009 involving Satyam Computer Services, an Indian IT services company. The founder and chairman of Satyam, B. Ramalinga Raju, admitted to inflating the company's assets and profits for several years, leading to a massive accounting fraud.

The scandal came to light when Raju confessed in a letter to the Satyam board that he had been manipulating the company's financial statements to the tune of billions of dollars. This revelation sent shockwaves through the business world and led to a series of investigations and legal proceedings.

The articles mentioned provide valuable insights into the scandal. Jeremy Kahn's article in the New York Times highlights the interrogation of Raju, shedding light on the immediate aftermath of the scandal. Ramalinga Raju's letter, as published on MSN.com, is a crucial document that reveals the extent of the fraud and Raju's admission of guilt.

Lawrence Cunningham's blog post delves into the regulatory implications of the Satyam fraud, emphasizing the need for stricter oversight and reforms in corporate governance.

To understand the Satyam scandal in detail, it is recommended to read these articles in their entirety. They provide a comprehensive overview of the events surrounding the scandal, the motivations behind Raju's actions, and the consequences for Satyam and its stakeholders.

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Coca-Cola Revenues ($ millions), 2014 to 2019
Quarter 2014 2015 2016 2017 2018 2019
Quarter1 10.58 9.94 10.28 9.12 7.63 8.02
Quarter2 12.57 11.63 11.54 9.70 9.42 10.00
Quarter3 11.98 11.77 10.63 9.08 8.78 9.51
Quarter4 10.87 10.13 9.41 7.51 5.36 9.07
What is the trend model for the deseasonalized time series? (Round your answers to 2 decimal places.)
State the model found when performing a regression using seasonal binaries. (A negative value should be indicated by a minus sign. Round your answers to 4 decimal places.)
Use the regression equation to make a prediction for each quarter in 2020. (Enter your answers in millions rounded to 3 decimal places.)

Answers

Trend model for the deseasonalized time series:

Seasonal adjustment

Quarter 1: The average of Q1 data from 2014 to 2019 = $8.96 million

Quarter 2: The average of Q2 data from 2014 to 2019 = $10.62 million

Quarter 3: The average of Q3 data from 2014 to 2019 = $10.15 million

Quarter 4: The average of Q4 data from 2014 to 2019 = $9.02 million

Therefore, the deseasonalized values for each quarter are obtained by dividing each value of the original series by the seasonal adjustment for the corresponding quarter.

Predictions for each quarter in 2020:To predict for each quarter in 2020, we need to replace the corresponding quarter in the regression equation with the corresponding value for the quarter in 2020.

Thus, we can use the regression equation below to make a prediction for each quarter in 2020:

Coca-Cola revenue = 0.16 + 0.02*Quarter1 - 0.22*Quarter2 - 0.1*Quarter3 + 0.08*Quarter4

Quarter 1 (Q1) 2020:

Coca-Cola revenue = 0.16 + 0.02*8.02 - 0.22*10 - 0.1*10.15 + 0.08*9.07 = $7.86 million

Quarter 2 (Q2) 2020:

Coca-Cola revenue = 0.16 + 0.02*10 - 0.22*10.00 - 0.1*10.15 + 0.08*9.07 = $9.37 million

Quarter 3 (Q3) 2020:

Coca-Cola revenue = 0.16 + 0.02*9.51 - 0.22*10.00 - 0.1*10.15 + 0.08*9.07 = $8.18 million

Quarter 4 (Q4) 2020:

Coca-Cola revenue = 0.16 + 0.02*9.07 - 0.22*10.00 - 0.1*10.15 + 0.08*9.07 = $7.84 million

Therefore, the predictions for each quarter in 2020 are

$7.86 million for Q1,

$9.37 million for Q2,

$8.18 million for Q3,

and $7.84 million for Q4.

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Peter Metcalf says that at Black Diamond, all of their employees have a passion for outdoor activities. At their Asian facility, they asked new employees to learn to rappel off the roof of the facility, and they do weekend hiking events. These activities serve to increase the (emotional, congnitive, physical) components of (cultural intelligence, economic interdependence, long-term orientation)

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The activities organized by Black Diamond at their Asian facility, such as learning to rappel off the roof and weekend hiking events, serve to increase the physical component of cultural intelligence.

Black Diamond's activities, which involve employees learning to rappel off the roof and participating in weekend hiking events, contribute to enhancing the physical component of cultural intelligence. Cultural intelligence refers to an individual's ability to effectively navigate and adapt to different cultural contexts. It encompasses various components, including emotional, cognitive, and physical aspects.

In this case, the physical activities organized by Black Diamond serve as a means to promote cultural intelligence. By engaging in outdoor activities and challenges, employees have the opportunity to develop physical skills and capabilities that are relevant to their work environment. These activities may require individuals to demonstrate physical agility, endurance, and problem-solving abilities, which can enhance their adaptability and resilience in diverse cultural settings.

By participating in these physical activities, employees are likely to develop a deeper understanding and appreciation for outdoor activities, which aligns with Black Diamond's mission and values. Additionally, these experiences may foster teamwork, camaraderie, and a shared sense of adventure among employees, creating a stronger organizational culture and promoting employee engagement.

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When a company purchased a piece of machinery several years ago, the accounting clerk posted the journal entry to maintenance expense rather than machinery. This was discovered this year. Select one of these three items - Is this considered: an error; a change in estimate; a change in policy. And then: Select one of these two items - Should this be adjusted: retrospectively; prospectively NOTE - two boxes should be selected!

Answers

This is considered an error. Errors in accounting occur when there are mistakes or omissions in recording financial transactions.

In this case, the accounting clerk incorrectly posted the journal entry to maintenance expense instead of machinery, resulting in an error.

This should be adjusted retrospectively.

Retrospective adjustment means correcting the error by making the necessary adjustments to the financial statements for prior periods.

Since the error was discovered this year but occurred in previous years, retrospective adjustment is appropriate to ensure the financial statements are accurately represented for the affected periods.

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Question 1: Introduction to Ops Management ⃦ Design of Product Ops & Service Ops (20 marks)


(a) Explain the main principles of any one (1) of the following concepts or frameworks: • Four (4) Vs framework of process characteristics • Four (4) types of operations performance flexibility • Four (4) perspectives on operations strategy • Innovation and design process as an operations process


(b) Discuss the different manufacturing process types in terms of their volume, variety, process flow and process tasks. Substantiate your discussion with examples.


(c) A small tailoring business makes an average of 150 garments every week (1 week = 5 working days). If a working day is 9 hours and each garment takes an average of 1. 5 hours to make, how many tailors are required? What is the throughput efficiency of the process?


(d) Differentiate between process and cell layouts in terms of their advantages and disadvantages

Answers

The terms "process layout" and "cell layout" refer to two different approaches in designing the layout of a production facility.

Process Layout:
- In a process layout, similar machines or operations are grouped together.
- Advantages of process layout include:

 1. Flexibility: It allows for easy rearrangement of equipment and resources to accommodate changes in production requirements.

 2. Specialization: Each department or area can focus on their specific tasks, leading to increased expertise and efficiency.

 3. Cost-effectiveness: Process layouts can be more cost-effective for businesses with diverse product lines, as they can share resources.

- However, there are also disadvantages to process layouts:
 1. Material movement: The need to transport materials between different departments or areas can lead to increased time and cost.
 2. Coordination challenges: Coordinating workflow and scheduling can be more complex due to the interdependencies between departments.

Cell Layout:
- In a cell layout, machines or workstations are arranged in a way that creates a self-contained unit or cell for a specific set of tasks.
- Advantages of cell layout include:
 1. Reduced material movement: With machines or workstations arranged in close proximity, the need for material transportation is minimized.
 2. Improved coordination: Workflow and scheduling are simplified as the cell operates as a self-contained unit.
 3. Enhanced communication: Closer proximity among workers promotes easier communication and collaboration.
- However, there are also disadvantages to cell layouts:
 1. Limited flexibility: Cell layouts may not be as adaptable to changes in production requirements compared to process layouts.
 2. Duplication of resources: Each cell may require its own set of specialized equipment, which can increase costs.
 
The choice between process layout and cell layout depends on factors such as the nature of the production process, product variety, and the level of customization required. Businesses should carefully consider their specific needs and objectives before deciding on the most suitable layout.

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the broker has listed an owner’s home. this agreement will be terminated by all of the following except:

Answers

When a broker lists a house belonging to an owner, the agreement between the broker and the owner is subject to termination under certain conditions. The conditions under which the agreement will be terminated include the following:

Expiry of the term: The agreement may specify a certain time period within which the broker is authorized to list the house for sale. After this period, the agreement expires and the broker's authorization to list the house ends.

Withdrawal: The owner has the right to withdraw the property from the market at any time by notifying the broker in writing. Once the broker receives the notice, they must remove the listing from the market. However, the owner may have to pay a commission if the house is sold to a buyer who was introduced to the property by the broker.

Mutual agreement: The broker and owner may mutually agree to terminate the agreement at any time by entering into a written agreement to that effect. In most cases, this is done when the owner decides to list the house with a different broker.

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On January 2, Year 1, Foster Company purchased equipment costing $21,600. The equipment has an estimated salvage value of $1,440 and an estimated useful life of 12 years.
Foster Company uses straight-line depreciation. On January 5 of Year 5, new information suggests that the equipment will have a total useful life of 9 years and a revised salvage value of $1,080.
Required:
1. Compute depreciation expense for Year 5.
2. Compute the book value of the equipment at the end of Year 5.
1. Depreciation expense for Year 5:
$ 2,760
2. Book value at the end of Year 5:
X

Answers

We may apply the straight-line depreciation calculation to determine the depreciation expense for Year 5: Cost - Salvage Value (Depreciation Expense) / Useful Life

Given the information below: Cost = $21,600 $1,440 (original) minus $1,080 (updated) is the salvage value. 12 years (original) / 9 years (updated) = Useful Life 1. Year 5 Depreciation Expenses (original) Depreciation costs are ($21,600 - $1,440) / 12 for a total of $1,680. 2. Year 5 Depreciation Expense (Revised): Depreciation Cost: $2,400 ($21,600 - $1,080) / 9. The book value at the end of Year 5 can be calculated by subtracting the accumulated depreciation from the cost of the equipment:  Accumulated Depreciation for Year 5 (original) = $1,680 * 5 = $8,400 Accumulated Depreciation for Year 5 (revised) = $2,400 * 5 = $12,000 Book Value at the end of Year 5 (original) = Cost - Accumulated Depreciation = $21,600 - $8,400 = $13,200 Cost - Accumulated Depreciation = $21,600 - $12,000 = $9,600 (revised) Book Value at the conclusion of Year 5 As a result, the equipment's book value at the end of Year 5 is $9,600 (updated) and $13,200 (original).

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The following table shans data on consumption, isventments, exports, imports, and government expenditures for the United States in 2017 , as pubishod by the Bureau of Econonic Analysis. Al floures are in bilions of doliars. Fol in the missing ceis in the table to calculate GDP issing the expenditure approsch.

Answers

The table below shows data on consumption, investments, exports, imports, and government expenditures for the United States in 2017, as published by the Bureau of Economic Analysis.Therefore, the GDP of the United States in 2017 using the expenditure approach is [tex]$19,771[/tex] billion.

All figures are in billions of dollars. Fill in the missing cells in the table to calculate GDP using the expenditure approach.Category
Amount
Consumption (C)
[tex]$12,482[/tex]
Investment (I)
[tex]$3,392[/tex]
Exports (X)
[tex]$2,329[/tex]
Imports (M)
[tex]$2,890[/tex]
Government expenditures (G)
[tex]$3,458[/tex] To calculate GDP using the expenditure approach, the formula is as follows:GDP = C + I + G + (X - M) .Substituting the values from the table, we have:

[tex]GDP = $12,482 + $3,392 + $3,458 + ($2,329 - $2,890)[/tex]

We can simplify this expression by subtracting the value of imports from exports:

[tex]GDP = $12,482 + $3,392 + $3,458 - $561[/tex]

Finally, we can add up all the values to get GDP: GDP = [tex]$19,771[/tex] billion

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Compare sales promotion between b2b and b2c
Extended Marketing Mix for Services - 7Ps
Examples on Mass Customization, Customization, Differentiation, Personalization

Answers

Sales promotion in B2B focuses on building relationships, offering volume discounts, providing incentives to resellers, and offering technical support.

In B2C, sales promotion emphasizes discounts, coupons, contests, free samples, and loyalty programs to attract and retain individual customers.

In B2B sales promotion, the focus is on long-term relationships and value-added benefits for business partners. Volume discounts are commonly offered to encourage bulk purchases and foster loyalty. Additionally, B2B sales promotions often include value-added services like technical support, training programs, or assistance with installation and maintenance.

On the other hand, B2C sales promotion aims to attract individual consumers through immediate incentives. Discounts, coupons, and sales events are frequently used to stimulate purchasing behavior. Contests and giveaways help engage consumers and create a sense of excitement around the brand. Loyalty programs and free samples are employed to encourage repeat purchases and build customer loyalty.

While both B2B and B2C sales promotions aim to drive sales, they differ in their strategies due to the distinct nature of their target markets and the relationship dynamics involved. B2B focuses on building long-term partnerships, while B2C emphasizes immediate incentives to appeal to individual consumers.

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For this hypothetical situation, assume that you were recently hired as the director for a customer service department at a mid-sized automobile insurance company. Your department is comprised of six individuals who each have similar job duties that include answering phone calls from customers, responding to routine customer questions, and routing customers to the appropriate division for questions/issues that are not considered routine. The job can be somewhat stressful since the nature of most customer calls relate to some type of complaint or problem. Employees work in individual cubicles that are located in a large, open office area. After a short time on the job, you learn that you are the third person who has been hired as a director for the department within the last twelve months. Further, you also learned that the turnover rate of employees in your department is very high. Three of your six employees have only been with the company for six to eight months. The other three employees have been with the organization for less than one month. After some conversations with employees, you conclude that employees have relatively low job satisfaction and low organizational commitment. For this Application Question, use your own words to describe the work-related attitudes of job satisfaction and organizational commitment, including details about why each work-related attitude is important to organizations. Also, identify/propose one specific strategy that you would utilize in an attempt to improve job satisfaction, as well as organizational commitment in the specific hypothetical scenario described above. Please justify the response by stating the "why" or rationale behind your response.

Answers

Work-related attitudes such as job satisfaction and organizational commitment are critical to an organization because they contribute to an employee's engagement, performance, and retention. Job satisfaction is the degree to which an individual likes their job and is content with it. Job satisfaction can affect performance, absenteeism, turnover, and the company's reputation.

Organizational commitment is the degree to which an individual is dedicated to and identifies with the organization. It is important because it contributes to employee loyalty, engagement, and retention. Committed employees are more likely to help their organizations succeed and remain with the company for a longer time. As a director of the customer service department, I will use the following strategy to increase job satisfaction and organizational commitment:

1. Create a sense of community and teamwork: This involves creating a friendly and supportive work environment where employees feel valued and respected. To achieve this, I will establish a system of recognition, provide opportunities for professional development, and encourage team building activities.

2. Encourage open communication: I will promote an environment where employees feel comfortable speaking up about their work concerns, ideas, and feedback. This will involve regular meetings with employees, listening to their concerns, and addressing them promptly.

3. Provide positive feedback: I will provide regular positive feedback and recognition for employee achievements. I will use this opportunity to praise and encourage employees, which will foster job satisfaction and commitment.

4. Offer competitive compensation: I will ensure that employees receive competitive pay, benefits, and opportunities for career advancement. This will help to increase their job satisfaction and commitment levels.

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You are asked io pay 12% APR on a loan from your local Noi yet answered Mank, the bank decides that that interest rate is 1.00 compounding monthly, so the effective interest rate (EAR) youestion are paying is? select one: a. 11.5% b. 12.68% c. 18% d. 12%

Answers

The correct answer is option B) 12.68%.

In this problem, the nominal interest rate is given as 12% APR, i.e., the Annual Percentage Rate.

But the compounding period is given as monthly.

Hence, we need to calculate the effective interest rate or EAR.

The formula for EAR is as follows:

EAR = (1 + r/n)^n - 1

where r is the nominal interest rate in decimal, and n is the number of compounding periods per year.

Substituting the given values in the formula, we get:

EAR = (1 + 0.12/12)^12 - 1

EAR = (1.01)^12 - 1

EAR = 0.1268 or 12.68%

Therefore, the effective interest rate (EAR) you are paying is 12.68%.

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What do you mean by organizational decision-making? What
are the types of decision-making Styles?

Answers

Organizational decision-making refers to the process of identifying and choosing the best possible alternatives or options from among various alternatives to achieve an organization's goals. Organizational decision-making is the process of choosing from various alternatives to arrive at the best possible option for an organization.

Types of Decision-Making Styles Autocratic Decision-making Style In this decision-making style, the decision-making power is concentrated in the hands of one person. The decision-maker does not involve subordinates or other employees in the decision-making process. Because of its simplicity, this style is frequently used in small businesses. This decision-making approach is particularly effective when the decision-maker has specialized knowledge or experience, but it can lead to employee dissatisfaction in some situations.

The decision-making style is autocratic. Consultative Decision-making Style The Consultative decision-making style combines the advantages of the autocratic and democratic decision-making styles. Although the decision-maker makes the ultimate decision, he or she seeks input from subordinates and other employees. The decision-maker then makes the decision based on the feedback received from the stakeholders.

The decision-making style is consultative. Democratic Decision-making Style The democratic decision-making style is one in which all employees have a say in the decision-making process. The decision-maker takes input from subordinates, considers their suggestions, and makes a decision based on the majority's opinion. The democratic decision-making style is particularly effective in promoting employee satisfaction. This style, however, can be time-consuming and ineffective in situations that require a quick decision. The decision-making style is democratic.

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Private colleges rely on money contributed by individuals for much of their major building expenses. Much of this money is put into a fund called a trust, and the college spends only the interest earned by the fund. A recent survey of 8 private colleges in Australia gives: sample mean = 180.975. Calculate a 95% confidence interval for the mean trust of all the private colleges in Australia assuming a normal distribution for the trusts, and σ = 143.042.
$180.975 ± $119.586
$180.975 ± $116.621
$180.975 ± $99.123
None of the other options is correct
$180.975 ± $94.066

Answers

The 95% confidence interval for the mean trust of all private colleges in Australia is approximately $180.975 ± $119.586.

To calculate the 95% confidence interval for the mean trust of all private colleges in Australia, we can use the formula:

Confidence Interval = Sample Mean ± (Critical Value * Standard Error)

The critical value corresponds to the desired level of confidence, which in this case is 95%. Since the sample size is relatively small (n = 8), we can assume a t-distribution instead of a normal distribution.

First, we need to calculate the standard error, which is the standard deviation of the sample divided by the square root of the sample size:

Standard Error = σ / sqrt(n)

Given that σ (population standard deviation) is 143.042 and n (sample size) is 8:

Standard Error = 143.042 / sqrt(8) ≈ 50.559

Next, we need to find the critical value associated with a 95% confidence level and a sample size of 8. Using a t-table or a t-distribution calculator, the critical value for a two-tailed test is approximately 2.365.

Now, we can calculate the confidence interval:

Confidence Interval = 180.975 ± (2.365 * 50.559)

Confidence Interval ≈ 180.975 ± 119.586

Therefore, the 95% confidence interval for the mean trust of all private colleges in Australia is approximately $180.975 ± $119.586.

The correct answer is: $180.975 ± $119.586

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which of the following refers to an account with an investment company into which you deposit money and then use it to buy stock? A.Discount broker. B.Stock exchange.C. Full-service broker. D.Brokerage account.

Answers

Option D. Brokerage account is an account with an investment company into which you deposit money and then use it to buy stock

A brokerage account refers to an account with an investment company where you deposit money and use it to buy stocks and other financial instruments. It acts as a conduit that allows you to invest in the stock market through a brokerage firm. In this account, you can deposit funds from your bank account or other sources, and then you can use those funds to purchase stocks, bonds, mutual funds, exchange-traded funds (ETFs), and other investment products.

To understand the concept of a brokerage account in more detail, let's break it down in mathematical terms. Imagine you have $1,000 that you want to invest in the stock market. Instead of buying stocks directly, you open a brokerage account with an investment company. You deposit the $1,000 into your brokerage account. This account acts as a container for your funds.

Once your money is in the brokerage account, you can use it to buy stocks. Let's say you want to invest $500 in Company X's stock. You place an order through your brokerage account, specifying the number of shares you want to purchase and the price you are willing to pay. The brokerage firm executes the order on your behalf, using the funds in your brokerage account to complete the transaction.

The brokerage account also keeps track of your investments, provides statements, and may offer additional services such as research tools, investment advice, and customer support. It serves as a centralized platform for managing your investments and monitoring your portfolio.

In summary, a brokerage account is an account with an investment company that allows you to deposit money and use it to buy stocks and other financial instruments. It provides a convenient and regulated way to participate in the stock market and manage your investments.

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