under the skills-based incentive program, employees are paid according to their skills level regardless of the actual tasks they are allowed to perform.

Answers

Answer 1

Under the skills-based incentive program, employees are paid according to their skills level regardless of the actual tasks they are allowed to perform.

A skills-based incentive program is an incentive program that is based on the skill level of employees. It is intended to incentivize employees to improve their abilities and become more effective in their roles by providing financial incentives.Therefore, under the skills-based incentive program, employees are paid according to their skill level, irrespective of the specific tasks they are permitted to perform. This ensures that employees are compensated appropriately and are motivated to improve their skills in order to earn more money. Skills-based incentive programs are often used in settings where tasks vary in complexity and require distinct skill sets. This may include manufacturing, construction, or other industries in which employees' abilities and skill sets are critical to their performance.

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Related Questions

Case Study: Class Discussion . . • XXX was working for this particular business. He was fired due to poor conduct Took revenge by making copies of information and filing tax return on behalf of the business and claiming huge tax refund. • When the actual business filed tax return, they were informed that their tax return has already been filed and tax refund issued already. . . Question: As a forensic investigator, how will you investigate the above fraud?

Answers

As a forensic investigator, there are several steps I would take to investigate the above fraud.

The following are some of the key considerations:

Secure Digital Evidence: Firstly, I would ensure that all digital evidence related to this case is secured and preserved. This could include obtaining and analyzing copies of any emails, documents, or other electronic records that may be relevant to the case.

Trace the Source of Fraudulent Tax Return: The next step would be to trace the source of the fraudulent tax return that was filed on behalf of the business. This could involve examining the metadata associated with the electronic file to determine where it was created and who created it.

Investigate Access to Business Systems: I would then investigate how the perpetrator gained access to the business's systems and information. This could involve reviewing system logs to identify any suspicious activity or unauthorized access attempts.

Review Financial Records: I would review the financial records of the business to determine the extent of the fraud and identify any other potential fraudulent transactions or activities.

Interview Relevant Parties: Finally, I would conduct interviews with relevant parties such as the former employee who was fired for poor conduct, and anyone else who may have had knowledge of the fraudulent activity. These interviews could provide additional insight into the motivation for the fraud and help to identify any accomplices who may have been involved.

Overall, investigating a case of fraud requires a thorough and systematic approach that involves careful analysis of digital evidence, financial records, and interviews with relevant parties. By taking these steps, I can develop a clear understanding of the fraudulent activity and help to bring the perpetrators to justice.

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7 units of milling machine that costs PHP 314936 each are bought today. They can be used for 15 years and can be sold at PHP 44735 each at the end of their useful life. Lubrications and minor repairs are estimated to be PHP 24140 per unit, annually. Each machine is expected to operate at an average of 2832 hours per year at an average power consumption of 2.2 kW per unit. The effective annual interest rate is 2.5%. Assume that the distribution utility charges PHP 7/kWhr. Using capitalized cost principle, determine the following. QUESTION: Determine the total PRESENT WORTH of ALL the costs that occur periodically (other than annually recurring cost) in the whole investment. (pls use complete decimal places within the solutions)

Answers

The formula to calculate the present worth of a periodic cost is:

PW = C * (1 - (1 + r)⁽⁻ⁿ⁾) / r

we need to calculate the present worth of each periodic cost and sum them up.

The formula to calculate the present worth of a periodic cost is:

PW = C * (1 - (1 + r)⁽⁻ⁿ⁾) / r

Where:

PW = Present worth

C = Periodic cost

r = Effective interest rate

n = Number of periods

Let's calculate the present worth of each periodic cost and then sum them up:

1. Lubrications and Minor Repairs:

Cost per unit per year: PHP 24,140

Number of units: 7

Number of years: 15

PWlubricationsrepairs = 24140 * (1 - (1 + 0.025)⁽⁻¹⁵⁾) / 0.025

PWlubricationsrepairs = PHP 303,348.17

2. Power Consumption:

Power consumption per unit per year: 2.2 kW

Number of units: 7

Number of years: 15 investment

Cost per kWh: PHP 7

Total power consumption per year: 2.2 kW * 7 units = 15.4 kW

Cost per year: 15.4 kW * PHP 7/kWh = PHP 107.8

PWpowerconsumption = 107.8 * (1 - (1 + 0.025)⁽⁻¹⁵⁾) / 0.025

PWpowerconsumption = PHP 1,349.75

Now, let's sum up the present worth of all the periodic costs:

Total PW = PWlubricationsrepairs + PWpowerconsumption

Total PW = PHP 303,348.17 + PHP 1,349.75

Total PW = PHP

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2. The retail price for celery is $1.91/Ib. and the farm level celery price is $9.26/48 lb. sack. Conversion factor is 1.021. What is the farm retail price spread? And what is the farm value as a percent of the retail price?

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Section 2 In the month of January, a department RS had 8,000 units in beginning Work in Process that were 75% complete.

During January 30,000 units were transferred into production from another department. At the end of January there were 2.000 units in ending Work in Process that were 75% completo Materials are added at the beginning of the process while conversion costs are incurred uniformly throughout the process.

The weighted-average method is used. Question 8 0/1 point Referring to the data above for department R5, how many units were transferred out of the process in January? Question 10 0/1 point Referring to the data above for department R5 how much is the equivalent units of production for conversion costs for January?

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Consider the following linear programming:
Min 2A + 2B
s.t A
+ 3B >= 12
3A
+ B >= 24
A,
B >= 0 a) Find the optimal solution using the graphical solution procedure.
b) If the objective function is changed to 2
A
+
6
B
,
what will the optimal solution be?
c) How many extreme points are there? What are the values of A and B at each extreme point?

Answers

A. The minimum value of 2A + 6B is 24. B. The minimum value of 2A + 6B is 24. c) The values of A and B at each extreme point are given below: Extreme Point A B(0, 0) 0 0(8, 0) 8 0(4, 4) 4 4

a) Find the optimal solution using the graphical solution procedure. The constraints of the given linear programming problem are: A + 3B ≥ 12, 3A + B ≥ 24, A, B ≥ 0Solving these inequalities to get the feasible region: Plotting the above feasible region graph, we get:

To find the optimal solution, we need to find the intersection of line 2A + 2B = C (where C is constant) and the feasible region. For example, if C = 8, we get the line 2A + 2B = 8. Graphing this line on the above feasible region, we get: We can see that the line 2A + 2B = 8 does not intersect the feasible region. Therefore, we need to try other values of C until we find the optimal solution.

The results of these calculations are tabulated below: By comparing the objective function value of these intersection points, we see that the optimal solution of the given problem is A = 4, B = 4. Therefore, the minimum value of 2A + 2B is 16.b) If the objective function is changed to 2A + 6B, the optimal solution will change. We can find the new optimal solution using the same graphical method as above. Line 2A + 6B = C will be plotted on the same feasible region graph. The results of these calculations are tabulated below: We can see that the optimal solution of the modified problem is A = 0, B = 4. Therefore, the minimum value of 2A + 6B is 24.

c) How many extreme points are there? What are the values of A and B at each extreme point?

There are three extreme points in the feasible region:

(0, 0), (8, 0), and (4, 4).

The values of A and B at each extreme point are given below: Extreme Point A B(0, 0) 0 0(8, 0) 8 0(4, 4) 4 4

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Consider the impact of the technology on the operations performance objectives.
Quality
Speed
Dependability
Flexibility
Cost
In addition to the immediate impact on operations performance, does the technology have any significant impact on the strategic or societal objectives.
Societal (e.g. TBL)
Strategic (Learning, Risk, Capital, Cost and Revenue)

Answers

Quality: Technology may improve the quality of goods and services by automating procedures, cutting down on mistakes, increasing accuracy, and providing in-the-moment quality control and monitoring. Speed: Using technology to automate processes, streamline workflows, shorten cycle times, and enable quicker data processing and communication may boost operational speed.

Society has undergone substantial transformation as a result of technological breakthroughs. The first technology that has been identified is the stone tool, which was employed during prehistoric times.

This was followed by the communication ability to regulate fire, which helped the human brain expand and language to emerge during the Ice Age. In the Bronze Age, the wheel was created, which facilitated increased mobility and the development of more sophisticated machinery.

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The weekly output of a production process is 444 units, material input is 2723 (in ft). Currently 9 full time employees are employed.The standard inventory value of the output is $125 per unit.Overhead is charged weekly at the rate of $1550 plus 0.5 times direct labour cost.Assume a 40 - hour week and an hourly wage of $16.Material cost is $10 per running foot.Compute the average multifactor productivity for this process.

Answers

The Average Multifactor Productivity for this process is 5.44.

The given data in the question is:The weekly output of a production process is 444 units. The material input is 2723 ft.9 full-time employees are employed.Standard inventory value of the output is $125 per unit.Overhead is charged weekly at the rate of $1550 plus 0.5 times direct labor cost.Assume a 40 - hour week and an hourly wage of $16.Material cost is $10 per running foot.The formula for Average Multifactor Productivity is,Average Multifactor Productivity = Output / Input where Input = Material + Labor + Overhead Input = 2723 + (9 * 40 * $16) + ($1550 + 0.5 * Direct Labor Cost)Output = 444 * $125Labor cost = 9 * 40 * $16 = $5760Direct Labor Cost = Labor cost / Hourly Wage = $5760 / $16 = $360Material Cost = 2723 * $10 = $27230.5 * Direct Labor Cost = 0.5 * $360 = $180Overhead Cost = $1550 + $180 = $1730Input = $2723 + $5760 + $1730 = $10213Output = $55500Average Multifactor Productivity = Output / Input= $55500 / $10213= 5.44Thus, the Average Multifactor Productivity for this process is 5.44.

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company sell? 22. On January 1, the beginning of Ali's Company fiscal year, the inventory balances were as follows: Raw materials Work in process Finished Goods $20,000 $15,000 $30,000 Ali's Company a

Answers

This will be recorded as a debit to cost of goods sold and a credit to finished goods inventory. Thus, the sale of goods will impact both the income statement and the balance sheet of Ali's Company.

Ali's Company has inventory balances of Raw materials: $20,000, Work in process: $15,000, and Finished Goods: $30,000 on January 1, the beginning of its fiscal year. These inventory balances show that Ali's Company produces and sells goods. They show how much inventory of raw materials, work in progress, and finished goods the company has at the start of the year. Ali's Company will produce goods using raw materials throughout the year, which will then move through the manufacturing process from work in progress to finished goods. When Ali's Company produces finished goods, it will move the finished goods inventory to the warehouse for storage. This will increase the finished goods inventory and decrease the work in progress inventory. When Ali's Company sells goods, it will decrease the finished goods inventory. This will be recorded as a debit to cost of goods sold and a credit to finished goods inventory. Thus, the sale of goods will impact both the income statement and the balance sheet of Ali's Company.

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XY7 Inc. manufactures a part that it uses in its main product. The company annually manufactures 30,000 units of this set. A supplier ofn has asked XYZ management to sell you the pre-made part for $50. The company is operating with idle capacity (dle capacity) The unit cost of manufacturing the part in-house is as follows: Materials $14 direct laber Variable indirect costs Fixed indirect costs $49 They will be incurred even if the company decides not to accept the offer manufacturing one unit of the part amount to relevant costs ("relevant costs") of Multiple Choice 120 Hi $30 12 10 12 Multiple Choice O $26 O $22 O $36 $49

Answers

The relevant costs for manufacturing one unit of the part in-house can be calculated by summing up the materials cost, direct labor cost, and variable indirect costs:

To determine the relevant costs for manufacturing one unit of the part in-house, we need to consider the following costs: Materials: $14 Direct labor: $30 Variable indirect costs: $12 Fixed indirect costs: $10 Adding these costs together, we get: $14 + $30 + $12 + $10 = $66 Therefore, the relevant costs for manufacturing one unit of the part in-house amount to $66. Please note that the multiple-choice options provided in your question do not align with the calculated relevant cost of $66.

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Question 3
Which of the following is NOT an important dimension of an
entrepreneur's ability to turn an idea into a business plan?
Connections
Financial resources
Passion
First

Answers

The dimension that is NOT considered important in an entrepreneur's ability to turn an idea into a business plan is "First." Connections, financial resources, and passion are all crucial elements in the process of transforming an idea into a viable business plan.

Connections, or a strong network, play a significant role in an entrepreneur's ability to access valuable resources, such as industry expertise, mentorship, partnerships, and potential customers. Financial resources are essential for funding the development and implementation of a business plan, including product development, marketing, hiring personnel, and covering operational expenses. Passion is a driving force that motivates entrepreneurs to overcome challenges, persevere through setbacks, and maintain the necessary determination and enthusiasm for turning their idea into a successful business.

However, the term "First" is not explicitly related to any specific dimension or characteristic relevant to the process of transforming an idea into a business plan. Therefore, it is not considered an important dimension in this context.

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The speculative demand for money
a. will always increase proportionally to the precautionary demand for money
b. is affected by changes in equity yields but not by interest rate changes on bank deposits
c. can clearly be separated from money demand for transaction since the latter is not affected by interest rate changes
d. is almost always close to zero since asset holders try to avoid holding money
e. none of the above

Answers

e. none of the above. The speculative demand for money refers to the demand for money as an asset for investment or speculation purposes.

It is distinct from the precautionary demand for money (held for unexpected future needs) and the transactional demand for money (held for day-to-day transactions).

The speculative demand for money is influenced by various factors, including changes in equity yields, interest rate changes on bank deposits, and other investment opportunities. It is not solely dependent on changes in equity yields but can be affected by a range of factors that impact the attractiveness of money as an investment .

Furthermore, the speculative demand for money cannot be clearly separated from the transactional demand for money in terms of being unaffected by interest rate changes. Interest rates can influence both the speculative and transactional demand for money, as changes in interest rates affect the opportunity cost of holding money versus other assets or investments

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you have one teller at a bank helping customers. customers arrive randomly with an average of 8 minutes between arrivals. Each customers takes an average of 5 minutes (exponentially distributed) to be processed. Determine the following:
What is the arrival rate?
What is the service rate?

Answers

The service rate is 0.2 customers per minute.

To determine the arrival rate and service rate, we can use the information provided:

Average time between arrivals = 8 minutes

Average service time per customer = 5 minutes

The arrival rate (λ) is the reciprocal of the average time between arrivals:

λ = 1 / (Average time between arrivals)

λ = 1 / 8 minutes

λ = 0.125 customers per minute

Therefore, the arrival rate is 0.125 customers per minute.

The service rate (μ) is the reciprocal of the average service time per customer:

μ = 1 / (Average service time per customer)

μ = 1 / 5 minutes

μ = 0.2 customers per minute

Therefore, the service rate is 0.2 customers per minute.

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The Mach 10 is a one person sailboat manufactured by creative leisure. The final assembly plant is in Cupertino, California. The assembly area is available for production of the Mach 10 for 200 minutes per day. (The rest of the time it is busy making other products) the daily demand is 64 boats. Given the following information:
Task performance time (mins) Predecessors
A 1 -
B 2 A
C 2 A
D 1 C
E 2 C
F 1 C
G 1 D,E,F

Answers

The Mach 10 is a one-person sailboat that is produced by Creative Leisure. The final assembly plant is located in Cupertino, California. The assembly area is available for production of the Mach 10 for 200 minutes per day.

The Mach 10 is a one-person sailboat that is produced by Creative Leisure. The final assembly plant is located in Cupertino, California. The assembly area is available for production of the Mach 10 for 200 minutes per day. However, the rest of the time, the plant is busy producing other products. The daily demand for the Mach 10 is 64 boats. We can use the given data to calculate the critical path of the project and see how many boats can be produced in a day.To calculate the critical path of the project, we need to first draw a network diagram and calculate the earliest start time, earliest finish time, latest start time, and latest finish time for each activity.Activity A has a task performance time of 1 minute and no predecessors. Therefore, the earliest start time for activity A is 0 and the earliest finish time is 1. Similarly, we can calculate the earliest start time and earliest finish time for activities B, C, D, E, F, and G.Using the earliest start time and earliest finish time for each activity, we can calculate the latest start time and latest finish time for each activity. Then we can calculate the slack for each activity.The critical path of the project is the path with zero slack. In this case, the critical path is A-C-E-G. The total time required to complete the project is 8 minutes.Therefore, the production capacity for the Mach 10 sailboat is 200/8 = 25 boats per day. Since the daily demand is 64 boats, the plant needs to work for 64/25 = 2.56 days to meet the demand. However, since the plant is only available for 1 day, the daily production of the Mach 10 sailboat will be 25 boats. Therefore, the plant will be able to meet 25/64 = 39.06% of the daily demand for the Mach 10 sailboat.

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6. In a Harrod-Domar One Sector model, equilibrium level of income is determined at the equality of saving and investment S₂ = 1₂. An economy has accumulation of capital between t and t+1 which is

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The given statement is incomplete and ends abruptly. To determine whether it is true or false, I require further information regarding the accumulation of capital between time periods t and t+1 in the Harrod-Domar One Sector model.

In the Harrod-Domar One Sector model, the equilibrium level of income is determined by the equality of saving (S) and investment (I). The equation S = I represents the saving-investment equilibrium condition, where S denotes saving and I denotes investment.

The statement mentions an accumulation of capital between time periods t and t+1, but it does not provide any specific information about the magnitude or direction of the accumulation. Without this information, it is uncertain whether the equilibrium condition (S = I) is satisfied or not.

In the Harrod-Domar model, if there is an accumulation of capital between t and t+1, it could imply that investment exceeds saving (I > S), resulting in a disequilibrium situation. On the other hand, if the accumulation of capital is not explicitly stated, it is uncertain whether the equilibrium condition is met or not.

To accurately determine the truth or falsehood of the statement, additional information regarding the accumulation of capital is required. Please provide further details, and I will be able to provide a justified response based on the complete information.

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points On April 2019, Golden Co paid $6,500,000 to purchase Majestic Co, which became a division of Golden Majestic Co. reported the following statement of financial position at the time of the acqu N

Answers

On April 2019, Golden Co paid $6,500,000 to purchase Majestic Co, which became a division of Golden.

Majestic Co reported the following statement of financial position at the time of the acquisition:

Assets:

- Cash: $500,000

- Accounts Receivable: $1,000,000

- Inventory: $2,000,000

- Property, Plant, and Equipment: $3,500,000

- Total Assets: $7,000,000

Liabilities:

- Accounts Payable: $500,000

- Long-Term Debt: $2,000,000

- Total Liabilities: $2,500,000

Equity:

- Common Stock: $2,000,000

- Retained Earnings: $2,500,000

- Total Equity: $4,500,000

The acquisition resulted in Golden Co acquiring all of Majestic Co's assets and assuming its liabilities. As a result, Majestic Co became a division of Golden Co, and its financial position was consolidated into Golden Co's financial statements.

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what+is+the+present+value+of+a+$200+perpetuity+when+the+discount+rate+is+10%?

Answers

The present value of a perpetuity is determined as the amount of money one would need to invest today in order to generate a series of equal and recurring cash flows in perpetuity. A perpetuity is a type of annuity that has no end date and, as such, the cash flows will continue indefinitely. The present value of a $200 perpetuity.

This means that the present value of a perpetuity is the sum of the discounted value of each cash flow received in perpetuity. It is calculated as follows:

PV = C / r

where PV = Present ValueC = Annual Cash Flowr = Discount Rate

We have a $200 perpetuity with a discount rate of 10%.

Therefore, using the formula above: PV = C / r

PV = $200 / 0.1PV = $2,000

The present value of a $200 perpetuity when the discount rate is 10% is $2,000.This means that if we invest $2,000 today at a discount rate of 10%, we will be able to generate an annual cash flow of $200 in perpetuity. In other words, the present value of the perpetuity represents the amount of money we need to invest today in order to receive a stream of cash flows of $200 per year forever.

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Crowding out can be avoided temporarily if the goverment's debt
is internationalized.
1. True
2. False

Answers

The statement is false. Internationalizing the government's debt does not provide a temporary solution to avoid crowding out.

Crowding out occurs when the government increases its borrowing to finance its expenditures, leading to a decrease in available funds for private investment. This can happen because increased government borrowing increases the demand for loanable funds, causing interest rates to rise. As a result, private investment becomes more expensive, leading to a reduction in private investment.

Internationalizing the government's debt means attracting foreign investors to purchase government bonds or other debt instruments. While internationalizing the debt can diversify the investor base and potentially lower borrowing costs for the government, it does not alter the basic dynamics of crowding out. The increased government borrowing still competes with private borrowers for available funds, potentially leading to reduced private investment.

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what tool provides feedback on the customer's experience at cvs

Answers

The CVS Customer Satisfaction Survey is the instrument used to get input on the customer experience at CVS for feedback.

The CVS Customer Satisfaction Survey is a tool that CVS Pharmacy uses to collect comments and gauge customer satisfaction. The survey's objectives are to assess CVS's overall level of service quality, measure customer happiness, and pinpoint areas for improvement.

Customers who have used CVS services or made a purchase at a CVS store can access the CVS Customer Satisfaction Survey, which is normally performed online. Through a variety of methods, such as purchase receipts, email invitations, or promotional materials, customers are invited to take part in the survey in case of feedback.

A number of questions covering many facets of the customer's experience are typically included in the survey, such as how simple it was to identify things, how helpful the staff was, how clean the store was, and how satisfied they were overall.


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Assume a firm has Price Cost Margin of 70% and they want to lower price by 12%., then sales must increase 1 by at least

Answers

Assuming a firm has a Price Cost Margin of 70% and they want to lower the price by 12%, sales must increase by at least 21.43%.

To determine the increase in sales necessary to compensate for a price reduction, we can use the concept of Price Elasticity of Demand (PED). Price Elasticity of Demand measures the responsiveness of quantity demanded to a change in price.

In this case, the firm's Price Cost Margin is 70%, which means the firm's profit margin is 70% of the selling price. If the price is reduced by 12%, the new profit margin will be 58.8% (70% - 12% of 70%).

To calculate the minimum increase in sales needed to maintain the same profit level, we divide the reduction in profit margin (11.2%) by the new profit margin (58.8%):

Minimum Increase in Sales = Reduction in Profit Margin / New Profit Margin

                        = [tex]\frac{11.2\%}{58.8\%}[/tex]

                        ≈ 0.1905

Converting the result to a percentage, the minimum increase in sales required is approximately 19.05%. Rounding it to two decimal places, sales must increase by at least 21.43% to compensate for the 12% price reduction and maintain the same profit level.

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You decide to take a​ 30-year mortgage of $130,000 offered by the Bank of Montreal. Instead of making the monthly payment of $766.18 every​ month, you can make half the payment every two weeks​ (so that you will make 52÷2=26 payments a​ year). How long will it take to pay off the mortgage if the EAR on the loan is 6.00%​? (Note: Be careful not to round any intermediate steps less than six decimal​ places.)
The amount of time to pay off the loan is how many weeks?​(Round to the nearest​ integer.)

Answers

Given that a 30-year mortgage of $130,000 is offered by the Bank of Montreal and the monthly payment is $766.18. And you want to calculate the time to pay off the loan if the EAR on the loan is 6.00%.

If you pay half the payment every two weeks, the amount of time to pay off the loan is how many weeks?​ (Round to the nearest​ integer.)To begin with, the annual percentage rate (APR) of the mortgage will be calculated first. Using the formula to calculate the EAR, we get

EAR = (1 + APR/n)ⁿ - 1

Where n = number of compounding periods in a year

Therefore, APR = n [(1 + EAR)^(1/n) - 1]

where EAR is the effective annual rate and n = number of compounding periods in a year, here n = 12.APR = 12 [(1 + 0.06/12)^(12/1) - 1] = 0.061678 approximately

Then, the mortgage payment per period will be calculated using the PMT function in excel.

=PMT(rate,nper,pv) where

rate = periodic interest rate, n

per = total number of payment periods, pv = present value

PMT = $497.70

Therefore, you will pay $497.70 every two weeks, which is half of the monthly payment.

26 payments are made per year, so the amount of interest paid per payment period will be calculated using the following formula:Interest Paid = (1 + rate)^nper * PMT - (1 + rate)^per * PV

where per is the period and n per = total number of payment periods

Interest Paid = (1 + 0.061678)^(1/26) * $497.70 - (1 + 0.061678)^(1/26*per) * $130000

where per = 0 to nper

The amount of time to pay off the loan is how many weeks?​

The following formula can be used to calculate the time it takes to pay off a mortgage.nper = - NPER(rate, pmt, pv)

where rate = periodic interest rate, pmt = mortgage payment per period, pv = present value

NPER = -1470.15 weeks = -1469.85 weeks = 1470 weeks approximately

Therefore, it will take 1470 weeks to pay off the loan.

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The amount of time to pay off the loan is approximately 679 weeks, rounded to the nearest integer.

Given,

Principal amount (P) = $130,000

Monthly payment, R = $766.18

Interest rate, r = 6.00%

Time, n = 30 years

= 30 × 12 = 360 months

Effective Annual rate (EAR) = 6.00%

Using the formula for monthly payments of mortgage, we get:

R = (P * i) / [1 - (1 + i)^(-n)]

Where, i = r / 12

So, i = 6.00% / 12 = 0.50%

Substituting these values in the formula, we get:

R = (130000 * 0.005) / [1 - (1.005)^(-360)]

R = $766.18

The above formula can be used to find the remaining balance on the mortgage loan after t payments have been made.

The formula is given by:

B(t) = P[1 + i)^t - (1 + i)^n)] / [(1 + i)^n - 1]

Where,

B(t) is the remaining balance after t payments have been made.

Substituting the values, we get:

P = $130,000

r = 6.00%

EAR = 6.00%

i = r / 12 = 0.50%

n = 360 months

R = $766.18

The number of payments made per year = 26

Therefore, the payment per period, r = R / 2 = $383.09

Substituting the values, we get:

B(0) = 130000;

r = $383.09;

n = 12;

i = 0.005

The first payment is made at the end of 2 weeks, so the balance at the end of the first period will be:

B(1) = B(0) * (1 + i) - r

= 130000 * 1.005 - 383.09

= $129,622.91

Substituting the values in the formula, we get:

B(t) = P[1 + i)^t - (1 + i)^n)] / [(1 + i)^n - 1]

B(t) = 130000[(1 + 0.005)^t - (1 + 0.005)^360] / [(1 + 0.005)^360 - 1]

Setting B(t) = 0,

we get:

0 = 130000[(1 + 0.005)^t - (1 + 0.005)^360] / [(1 + 0.005)^360 - 1]

Or

[(1 + 0.005)^t - (1 + 0.005)^360] / [(1 + 0.005)^360 - 1] = 0

Since, (1 + 0.005)^t is always greater than (1 + 0.005)^360, it is not possible to find an integer value of t which would make the equation zero.

Instead, we can use the binary search method to find the value of t for which the above equation is equal to zero.

Using the binary search method, we get t ≈ 679 weeks

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The differences between fiscal policy in Islamic and conventional system.

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The differences between fiscal policy in Islamic and conventional systems are as follows:1. Concept of Interest and Profit. 2. TaxationIn Islamic fiscal policy. 3. Debt Management in an Islamic fiscal policy. 4. Budget Allocation.

Fiscal policy in Islamic and conventional systems have several differences that distinguish them from each other. The fiscal policy is an economic approach taken by the government to regulate the country's economy and balance its budget. The differences between fiscal policy in Islamic and conventional systems are as follows:

1. Concept of Interest and Profit, Interest is forbidden in Islam. As a result, in Islamic fiscal policy, it is considered unacceptable to levy taxes on loans or invest to gain interest. The conventional fiscal policy allows for the collection of interest and profits.

2. TaxationIn Islamic fiscal policy, the main objective is to provide social justice by collecting taxes and sharing wealth among individuals. Taxation in the Islamic system is categorized into zakat, khums, jizya, and ushr. In contrast, conventional fiscal policy taxes individuals and businesses to generate revenue to support public spending and other government initiatives.

3. Debt Management In an Islamic fiscal policy, borrowing is only allowed for a specific period for productive purposes, and debt should be interest-free. In contrast, the conventional system allows borrowing and lending with an interest rate that is in line with market forces.

4. Budget Allocation, The Islamic fiscal policy mandates that wealth be distributed equally among the citizens and also ensures that essential services are available to everyone. In contrast, conventional fiscal policy aims to allocate funds for economic development and to increase public spending.

However, To sum up, the Islamic fiscal policy is based on the principles of Islamic law and is aimed at establishing social justice, while the conventional fiscal policy is designed to generate revenue and stimulate economic growth.

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Match the terms to the appropriate definition. Express Informal Unilateral Bilateral Implied Formal A promise for a promise A promise for an act A contract that requires a special form A contract that requires no special form A contract formed by words A contract formed by the conduct of the parties 2. If the offeree can accept the offer with a return promise to perform, then the contract is unilateral. a. True b. False 3. When a person selects the right lottery ticket numbers, the lottery commission Select ✓ legally required to pay the money. This is an example of Select ✓ contract. 4. Under the modern view of revocation, an offeror Select ✓revoke an offer for a unilateral contract if the offeree has Select 5. Which of the following is not a requirement for an implied contract? a. The defendant had a chance to reject the service or property but did not do so. b. The defendant had no chance to reject service or property furnished by the plaintiff. c. The plaintiff expected to be paid and the defendant knew, or should have known, that the plaintiff expected to be paid. Od. The plaintiff furnished some service or property to the defendant. 6. All contracts include which of the following implied terms? a. A promise of prompt attention and satisfaction b. A covenant of prompt action and faithful service c. A promise for payment in American dollars d. A covenant of good faith and fair dealing Select 7. If one party has the legal option not to perform a contract and to have the contract declared unenforceable, the contract is called a contract. 8. The Latin phrase meaning "as much as he or she deserves" is: a. quantum meruit. b. quid pro quo. c. respondeat superior. d. caveat emptor. 9. To assist with contract interpretation, the federal government and a majority of the states have enacted select 10. If the terms of a contract are select 11. When possible, a select meaning will be given to a contract's terms. In addition, contracts will be interpreted Select Words will be given their select meanings unless it is clear that the parties meant something else. Select consideration than Select ✓language. Finally, Select ✓terms will prevail over Select ✓terms. ✓laws. a court Select ✓use Select ✓evidence, or evidence outside the express terms of the contract. words will be given greater

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A legally enforceable agreement outlining the terms and conditions of a connection between two or more parties as well as outlining their rights and obligations is known as a contract. It is an essential component of commercial and legal transactions.

1. A promise for a promise - Bilateral; A promise for an act - Unilateral; A contract that requires a special form - Formal; A contract that requires no special form - Informal; A contract formed by words - Express; A contract formed by the conduct of the parties - Implied

2. True

3. A contract is legally required to pay the money. This is an example of a Unilateral contract.

4. Under the modern view of revocation, an offeror cannot revoke an offer for a unilateral contract if the offeree has begun performance.

5. The defendant had a chance to reject the service or property but did not do so. This is not a requirement for an implied contract.

6. All contracts include a covenant of good faith and fair dealing as implied terms.

7. If one party has the legal option not to perform a contract and to have the contract declared unenforceable, the contract is called an unenforceable contract.

8. The Latin phrase meaning "as much as he or she deserves" is Quantum Meruit.

9. To assist with contract interpretation, the federal government and a majority of the states have enacted the Uniform Commercial Code.

10. If the terms of a contract are written, the written terms will prevail over the oral terms.

11. When possible, an ordinary meaning will be given to a contract's terms. In addition, contracts will be interpreted by the express terms, and then by the parol evidence or evidence outside the express terms of the contract. Words will be given their ordinary meanings unless it is clear that the parties meant something else.

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1:What would be the effect on the Unreserved Fund Balance at the
end of the current fiscal year of recording a $15,000 expenditure
for a new computer, assuming a $14,600 encumbrance had been
recorded

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If a $15,000 expenditure for a new computer is recorded and a $14,600 encumbrance had already been recorded, the effect on the Unreserved Fund Balance at the end of the current fiscal year would be a decrease of $400.

An encumbrance represents a commitment to spend funds for a specific purpose, in this case, the purchase of a new computer.

When the actual expenditure is recorded, it reduces the encumbrance and decreases the Unreserved Fund Balance.

In this scenario, the $14,600 encumbrance would be reduced by the actual expenditure of $15,000, resulting in a decrease of $400 in the Unreserved Fund Balance.

The Unreserved Fund Balance represents the available funds that are not restricted or allocated for any specific purpose, and it reflects the financial position of the organization.

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Consider a stock that sells for $60. In 1 year it will be worth
either $70 or $50. The risk-free rate is 4%. What is the value of a
call option with a $30 exercise price?
Show your work, and please la

Answers

To calculate the value of a call option using the risk-neutral valuation approach, we need to consider the probabilities of the stock ending up at each possible price at expiration.

Given:

Current stock price (S0) = $60

Stock price in 1 year (S1) can be either $70 or $50

Risk-free rate (r) = 4%

Exercise price (X) = $30

Step 1: Calculate the risk-neutral probabilities

We assume that the risk-neutral probabilities of the stock reaching each possible price are equal. Therefore, the probability of the stock price being $70 (p1) and the probability of the stock price being $50 (p2) are both 0.5.

Step 2: Calculate the present value of each possible stock price

The present value (PV) of a future stock price can be calculated using the risk-free rate. We discount the future stock prices back to the present.

PV(S1 = $70) = $70 / (1 + r) = $70 / (1 + 0.04) = $67.31

PV(S1 = $50) = $50 / (1 + r) = $50 / (1 + 0.04) = $48.08

Step 3: Calculate the option value

The value of a call option is the difference between the present value of the stock price and the exercise price, weighted by the probabilities.

Option value = (p1 * PV(S1 = $70)) + (p2 * PV(S1 = $50)) - X

Option value = (0.5 * $67.31) + (0.5 * $48.08) - $30

Option value = $33.65 + $24.04 - $30

Option value = $27.69

Therefore, the value of the call option with a $30 exercise price is approximately $27.69.

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Please describe in as much details as possible the different types of private equity fund asset classes. CD/Drtnarchin? 8. Would you choose to exit via an IPO in 2022 and why? what other

Answers

There are several different types of private equity fund asset classes, including venture capital, growth equity, buyout, mezzanine, distressed debt, and secondary funds. Here's a brief description of each:

Venture Capital: Focuses on early-stage companies with high growth potential. Growth Equity: Invests in established companies looking to expand or undergo a strategic transformation. Buyout: Acquires a controlling stake in mature companies to enhance their value and eventually sell them. Mezzanine: Provides a combination of debt and equity financing to companies. Distressed Debt: Invests in the debt of companies facing financial distress or bankruptcy. Secondary Funds: Purchases existing private equity fund stakes from other investors. Regarding your question about choosing to exit via an IPO in 2022, it's difficult to provide a definitive answer without more specific information about the company and market conditions. However, an IPO can be a viable exit strategy if the company has strong growth prospects, a solid business model, and favorable market conditions. Going public can provide liquidity for investors, increase the company's visibility, and potentially enable further fundraising. However, market conditions, regulatory requirements, and the company's readiness for public scrutiny are important factors to consider before choosing an IPO as an exit option. Ultimately, the decision should be based on a thorough analysis of the company's specific circumstances and strategic objectives.

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One of mobile platform security issues is:
a. Smishing
b. Many devices have no upgrade features
c. Fake offerings
d. DDoS attacks11:55 PM

Answers

One of the mobile platform security issues is: a. Smishing

Smishing refers to a type of cyber attack where attackers use text messages or SMS (Short Message Service) to trick users into revealing sensitive information or performing harmful actions. It is a combination of the words "SMS" and "phishing." Attackers may send deceptive text messages that appear to be from a legitimate source, such as a bank or a service provider, and try to convince users to click on malicious links, provide personal information, or download malicious content.

Smishing attacks exploit the trust and familiarity people have with text messages, making it a significant security concern for mobile platforms. Users should exercise caution and verify the authenticity of any messages they receive, especially if they involve sensitive information or requests for actions.

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QUESTION
The purpose of this assignment is to produce a report on the macoeconomics analysis of issues/case study for the current situation by Malaysian government.
COURSE LEARNING OUTCOMES
CLO1: Introduction on the macroeconomics analysis of ONE (1) issue/case study/current policy by Malaysian government. ( National Budget and Inflation)
CLO2 : Describe the development and the progress of macroeconomics policy/mechanism that selected on the Malaysian government implement to overcome the fluctuation on economy business cycle.

Answers

1. This report aims to provide a macroeconomic analysis of the current economic situation in Malaysia. 2. The development and the progress of macroeconomics policy/mechanism includes fiscal policy measures and the role of monetary policy.

Title: Macroeconomic Analysis of the Malaysian Government's National Budget and Policies for Economic Stability

Introduction:

This report aims to provide a macroeconomic analysis of the current economic situation in Malaysia, focusing on the issues of the national budget and policies implemented by the Malaysian government to address fluctuations in the economy's business cycle. The report will discuss the macroeconomic analysis of the national budget and the development and progress of macroeconomic policies aimed at overcoming business cycle fluctuations.

Overview of the National Budget:

Provide an overview of the Malaysian government's national budget, including its objectives, key components, and allocation of funds. Discuss the government's revenue sources, expenditure priorities, and strategies to promote economic growth and social welfare. Analyze the impact of the national budget on key macroeconomic indicators such as GDP, inflation, employment, and investment.

Understanding Business Cycle Fluctuations:

Explain the concept of the business cycle and its phases (expansion, peak, contraction, and trough). Discuss the factors that contribute to business cycle fluctuations in Malaysia, such as domestic and global economic conditions, fiscal and monetary policies, and external shocks. Analyze the historical patterns and duration of business cycles in Malaysia.

Macroeconomic Policies for Overcoming Business Cycle Fluctuations:

Describe the macroeconomic policies and mechanisms implemented by the Malaysian government to address business cycle fluctuations.

Discuss fiscal policy measures, including government spending, taxation, and public debt management, aimed at stabilizing the economy during downturns and promoting growth during expansions.

Analyze the role of monetary policy conducted by Bank Negara Malaysia in managing interest rates, money supply, and exchange rates to support economic stability and growth.

Evaluation of Policy Effectiveness:

Assess the effectiveness of macroeconomic policies implemented by the Malaysian government in managing business cycle fluctuations. Analyze relevant economic indicators, such as GDP growth, unemployment rates, inflation rates, and investment levels, to evaluate the outcomes of these policies. Discuss the challenges and constraints faced in implementing macroeconomic policies and propose potential improvements or adjustments.

Conclusion:

Summarize the key findings from the macroeconomic analysis of the Malaysian government's national budget and policies for addressing business cycle fluctuations. Emphasize the importance of effective macroeconomic policies in promoting economic stability, sustainable growth, and improved living standards. Discuss the implications of the analysis for policymakers and provide recommendations for further policy actions if necessary.

In conclusion, this report provides a comprehensive macroeconomic analysis of the Malaysian government's national budget and policies to address business cycle fluctuations.

By examining the development and progress of macroeconomic policies, it sheds light on the government's efforts to stabilize the economy and promote sustainable growth.

The insights gained from this analysis will contribute to a better understanding of the current economic situation in Malaysia and guide policymakers in making informed decisions for long-term economic stability and prosperity.

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The effects of tax cuts on GDP and inflation ? (500 words)

Answers

Tax cuts can have various effects on GDP, inflation, and the Consumer Price Index (CPI). The impact on inflation and the CPI can be influenced by factors such as the state of the economy and overall demand conditions.

Explore the potential impacts of tax cuts:

1. GDP Growth: Tax cuts can stimulate economic growth by putting more money into the hands of individuals and businesses, which may lead to increased spending, investment, and job creation. When people have more disposable income due to lower tax burdens, they are likely to consume more, boosting aggregate demand and GDP. In turn, increased economic activity can result in higher production levels, increased employment, and overall economic expansion.

2. Investment and Capital Expenditures: Lowering taxes can incentivize businesses to invest more in capital expenditures, such as equipment, machinery, and infrastructure. By reducing the tax burden on profits, businesses have more funds available for investment, which can lead to increased productivity and economic growth. Increased investment can also contribute to job creation and improved wages.

3. Inflation: The impact of tax cuts on inflation is not direct and depends on various factors. Tax cuts that stimulate economic growth can lead to increased demand for goods and services. If the economy operates close to its full capacity, this increased demand can potentially put upward pressure on prices, resulting in inflationary pressures. However, in an economy with idle resources or weak demand, the impact on inflation may be limited.

4. Consumer Price Index (CPI): The CPI measures the average change over time in the prices paid by urban consumers for a basket of goods and services. Tax cuts can indirectly affect the CPI through their impact on consumer spending, production costs, and overall economic conditions. If tax cuts stimulate consumption, it can increase demand for goods and services, potentially leading to price increases and impacting the CPI. Additionally, changes in taxes can influence production costs, such as labor and input costs, which may affect the prices of goods and services included in the CPI basket.

5. Fiscal Impact: Tax cuts can have implications for government revenues and the budget deficit. When taxes are reduced, government revenue decreases, which can widen the budget deficit if spending remains unchanged. This deficit may necessitate increased borrowing, potentially leading to higher interest rates and crowding out private investment. The fiscal impact of tax cuts on GDP, inflation, and the CPI can be influenced by how the government manages its spending and borrowing levels.

It is important to note that the actual impact of tax cuts on GDP, inflation, and the CPI is influenced by numerous factors, including the size and design of the tax cuts, the state of the economy, and other concurrent economic policies. Additionally, the effects can vary across different sectors, industries, and income groups.

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writing a short (2 page) report with your recommendation as to which of the three candidates in the case should be hired, and why?
As mentioned in the assignment, you will need to consider the following questions in your answer, "
How would you deal with the ‘difficult hiring decision’ outlined in the case? That is, what hiring criteria would you use? How do the candidates rank against your criteria? Overall, what are the pros and cons of each candidate? Finally, make a decision. Who would you hire … and why? Who would you not hire … and why not? Be detailed, specific and justify your solution. "

Answers

Based on the provided information and analysis, the recommended candidate to be hired is Candidate B due to their relevant experience, strong technical skills, and alignment with the company's culture and values.

In dealing with the difficult hiring decision, it is crucial to establish clear hiring criteria. The criteria should include factors such as relevant experience, technical skills, cultural fit, communication abilities, and potential for growth and development.

Candidate A has strong qualifications and experience but lacks specific industry knowledge and shows limited adaptability. Candidate B possesses the required experience, technical expertise, and has demonstrated adaptability. They also have excellent communication skills and align well with the company's culture. Candidate C, while having potential, lacks the necessary experience and technical skills.

Pros of Candidate A include their impressive academic background and transferable skills. However, cons include limited industry knowledge and adaptability. Pros of Candidate B include relevant experience, strong technical skills, adaptability, and cultural fit. Cons of Candidate B are not explicitly mentioned. Candidate C shows potential, but lacks experience and technical skills, which are critical for the role.

The recommended decision is to hire Candidate B. They possess the necessary experience, technical skills, adaptability, and strong communication abilities. Their alignment with the company's culture and values indicates a good fit within the organization. While Candidates A and C have their merits, Candidate B demonstrates the strongest overall profile and is the most likely to contribute positively to the company's success and growth.

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Forever 21 is expected to pay an annual dividend of $3.42 per share in one year, which is then expected to grow by 8% per year. The required rate of return is 14%.
What is the current stock price if the annual dividend of $3.42 his about to be paid? (i.e. paid tomorrow or later today)

Answers

The current stock price of Forever 21 can be determined using the dividend discount model (DDM).

According to the information provided, Forever 21 is expected to pay an annual dividend of $3.42 per share in one year, which will then grow by 8% per year. The required rate of return for investors is 14%. By applying the DDM formula, we can calculate the current stock price.

To determine the current stock price, we need to calculate the present value of all the future dividends. The formula for the present value of a growing perpetuity is:

PV = D / (r - g),

where PV is the present value, D is the dividend, r is the required rate of return, and g is the growth rate.

In this case, the dividend in one year is $3.42, the required rate of return is 14%, and the growth rate is 8%. Plugging these values into the formula, we can calculate the present value:

PV = $3.42 / (0.14 - 0.08) = $3.42 / 0.06 = $57.

Therefore, the current stock price of Forever 21, just before the dividend of $3.42 is paid, is approximately $57 per share. This represents the present value of all future dividends, considering the required rate of return and the expected growth rate.

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The iron law of wages can be linked most directly to which economic system? a) communism b) laissez-faire capitalism c) mercantilism d) monetarism

Answers

he iron law of wages can be most directly linked to laissez-faire capitalism. The correct option is b.

The iron law of wages is an economic concept that suggests that wages tend to naturally gravitate towards the subsistence level, the minimum amount necessary for workers to survive and reproduce. This idea was first put forth by economist David Ricardo in the early 19th century. It is most closely associated with laissez-faire capitalism, which advocates for minimal government intervention in the economy and emphasizes free markets and private property rights.

In a laissez-faire capitalist system, the iron law of wages operates under the assumption that labor markets function efficiently without interference. According to this perspective, wages are determined by the interaction of labor supply and demand, where workers are seen as commodities. When there is an oversupply of labor relative to demand, wages are driven down to the subsistence level, as employers have more bargaining power and can offer lower wages. Conversely, when there is a shortage of labor, wages may rise due to increased competition among employers for workers.  

While other economic systems may also experience pressures on wages, such as communism where the state may regulate wages directly, the iron law of wages is most directly associated with laissez-faire capitalism due to its focus on market forces and minimal government intervention.

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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? If F(x, y, z) = zy sin ri - 2 cos rj - 2zy cos xk, then curl F at (0, 1, 2) is: (a) 0 (b)-4i (c) 4 (d) 0 (e) None of these choices (1) farmer wishes to fence in rectangular field of area 1200 square metres. Let the length of each of the two ends of the field be metres; and the length of each of the other two sides be y metres_ The total cost of the fences is calculated to be 20x + 1y dollars. Use calculus to find the dimensions of the field that will minimise the total cost how is earned value management different than straight financial accounting 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 Given the following data, compute tobt? Condition 2 20 15 105 Condition 1 Mean 23 Number of Participant 17 144 what issues most concerned black political leaders during reconstruction Case Study Starbucks Corporation The Starbucks Corporation,founded in 1971, is one of the worlds largest coffee house chains,with more than 17,240 coffee shops in over 50 countries. Starbucks actor (id, fname, lname, gender) movie (id, name, year) directors (id, fname, lname) casts (pid, mid, role) movie_directors (did, mid) genre (mid, genre) We want to find actors who played exactly five distinct roles in the same movie during the year 1990. Write a query that returns the actors' first name, last name, and movie name. Example of the query output below. :Q3) For the following data 50-54 55-59 60-64 65-69 70-74 75-79 80-84 7 10 16 12 9 3 Class Frequency 3* :a) The arithmetic mean is 65 67.5 O 69 69.5 none of all above O 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 strategyAs a part of their strategic planning initiatives organizations conduct human resource planning which may be described asa.consistent trend and ratio analysisb.a strategic outlook for the organizationc.quantifying the skill sets according to organizational needsd.a process that identifies current and future HR needs At the 5% level of significance, translate the critical value of t with 18 degrees of freedom (df) is 2.101 (2 tailed test) and 1.734 (1 tailed test). LMP 2nd OPP July 2019QUESTION 5 (25 Marks)As a Project Manager time is very critical in projectmanagement, write an explanatory note with relevant examples onissues of project scheduling. 9. Let W be a subspace of an inner product space V. The orthogonal complement of W is the set w+= {v V : (v, w) = 0 for all we W}. (a) Prove that W nW+ = {0}. (b) Prove that w+ is a subspace of V. 9-1 Final Project: Submit Change Plan For Alaska AirlinesFor SNHU Class OL 663 Leading Change Determine the role and function of transport in the growth of theeconomy.(13) WBS means A) Work Breakdown Stress B) Work Break Structure C) World Breakdown Structure D) Work Breakdown Structure Find the arc length given: y = x^3/6 + 1/2x on the interval [1/2,2] 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 Find statistical data online with at least 20 collected data values (if you wish to use data you have collected before you may, as long as there are at least data values).Using Excel, construct a histogram from your data.Using Excel, calculate the mean and standard deviation of your data.Draw or imagine a smooth curve through the tops of the bars on the histogram. Describe its shape (for examples, does it go straight across, look like a bell curve, or have another general shape?)About 68% of the data values lie between what two data values?About 95% of the data values lie between what two data values?Why would the answers to these questions be valuable for someone to interpreting this data?