Which of these forms of money has an M2 level of liquidity?
Money market mutual funds
Checking account balances
Coins and paper bills
Objects that are bartered

Answers

Answer 1

Checking account balances have an M2 level of liquidity. They are highly liquid and can be easily accessed and used for transactions, making them a preferred form of money.

M2 level of liquidity refers to the degree of accessibility and ease with which money can be converted into cash or used for transactions. Checking account balances fit this criterion as they can be readily accessed through various means such as debit cards, online transfers, and checks. This form of money offers convenience and flexibility in conducting transactions, making it highly liquid.

Money market mutual funds, although similar to savings accounts, do not possess the same level of liquidity as checking account balances. While they can be converted into cash relatively quickly, there may be certain restrictions, such as minimum holding periods or fees for early withdrawals.

Coins and paper bills are physical forms of money and can be considered highly liquid, but they may not have the same level of convenience as checking account balances when it comes to larger transactions or online purchases.

Objects that are bartered do not have inherent liquidity since their value and exchangeability depend on the mutual agreement and needs of the parties involved. They lack the universal acceptance and convenience provided by checking account balances.

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Related Questions

Suppose you borrowed $34,000 at a rate of 10.0% and must repay it in 5 equal installments at the end of each of the next 5 years. How much interest would you have to pay in the first year?
Select the correct answer.
a. $3,408.60 b. $3,412.90 c. $3,391.40 d. $3,404.30 e. $3,400.00

Answers

The formula for calculating the equal installment payment amount is: PMT = PV x i / 1 - (1 + i)-nwhere,PV is the amount borrowedi is the interest rate per periodn is the total number of periods.The interest rate per period is 10.0% / 5 = 2.0% (since payments are made annually)

The total number of periods is 5 (since the loan is being paid back over 5 years)PMT = 34,000 x 0.02 / (1 - (1 + 0.02)-5)PMT = 8,061.72Interest paid in the first year would be equal to the interest component of the first payment. We can calculate this as follows:Year 1 interest component = 34,000 x 0.02 = $680Therefore, the correct answer is option D: $3,404.30.

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Discount Travel has the following current assets: cash, $102 million; receivables, $94 million; inventory, $182 million; and other current assets, $18 million. Discount Travel also has the following liabilities: accounts payable, $98 million; current portion of long-term debt, $35 million; and long-term debt, $23 milion. Based on these amounts, what is the acid-test ratio? Select one: a. 1.47 b. 2.00 c. 2.84. d. 3.86.

Answers

Acid-test ratio, also known as the quick ratio, is a liquidity ratio that indicates the ability of a company to pay its short-term liabilities using its most liquid assets. A high acid-test ratio is considered a sign of good financial health. It is calculated by dividing a company's quick assets by its current liabilities.

Quick assets are the assets that can be quickly and easily converted into cash, such as cash, marketable securities, and accounts receivable. Current liabilities are the liabilities that are due within one year. The formula for the acid-test ratio is:Acid-test ratio = (cash + marketable securities + accounts receivable) / current liabilities

Given that Discount Travel has the following current assets: cash, $102 million; receivables, $94 million; inventory, $182 million; and other current assets, $18 million.

Discount Travel also has the following liabilities: accounts payable, $98 million; current portion of long-term debt, $35 million; and long-term debt, $23 million.

The quick assets are the sum of cash and accounts receivable.

Quick assets = cash + accounts receivable= $102 million + $94 million= $196 million

Current liabilities = accounts payable + current portion of long-term debt= $98 million + $35 million= $133 million

Acid-test ratio = quick assets / current liabilities= $196 million / $133 million= 1.47Therefore, the acid-test ratio is 1.47. Option a is correct.

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Describe the target market profile based on Air Food
Deliveries (AFD)
And our product is Deliver food using drone.
( I WANT THE ANSWERS TO BE VERY LONG & I WANT IN WORD
FORMAT)

Answers

Air Food Deliveries (AFD) is a type of business model that provides its customers with food delivery services using drone technology.

The target market profile for AFD services can be described as follows:

Age: Customers who have an age range between 20 to 45 years are more likely to use AFD services. This is because this age group tends to be tech-savvy and more likely to use new technological innovations. Also, people in this age range are more likely to order food online.

Income level: The target market for AFD services are people with a disposable income, as drone food delivery services tend to be more expensive than traditional delivery services. Therefore, AFD services are more suited to those who have a higher income level.

Lifestyle: Customers with busy lifestyles, who don't have the time to go to restaurants or cook at home are more likely to use AFD services. They may be professionals, students, or parents with young children. Therefore, the convenience of using AFD services would appeal to them.

Location: AFD services are more suited to customers who live in densely populated urban areas. This is because it's easier for drones to navigate their way through cities, avoiding obstacles such as buildings, trees, and power lines. Therefore, AFD services are more suited to customers who live in urban areas.

Dietary requirements: Customers who have special dietary requirements, such as gluten-free or vegan, are more likely to use AFD services. This is because it can be challenging to find restaurants that cater to these dietary requirements, and AFD services can provide a wider range of options.

In conclusion, the target market for AFD services are customers who are tech-savvy, have a disposable income, lead busy lifestyles, live in densely populated urban areas, and have special dietary requirements. The convenience and range of options offered by AFD services are likely to appeal to these customers.

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Take me to the text
The following information pertains to Bush Company for the fiscal year 2020.
Purchase of plant and equipment
$34,000
Purchase of long-term investment
$18,000
Increase in accounts payable
$4,200
Repayment of bonds payable
$15,000
Depreciation of plant and equipment $6,800
Loss on redemption of bonds
$5,800
Calculate the increase (decrease) in cash from investing activities.
Do not enter dollar signs or commas in the input boxes. Use the negative sign for a decrease in cash.
Increase or decrease in cash from investing activities = $-52000
Explanation
A purchase of plant and equipment is a decrease in cash.
A purchase of investments is a decrease in cash.
Cash from investing activities is $-52,000.
Correct
Marks for this submission: 1.00/1.00.

Answers

Investing activities resulted in a net cash outflow of $52,000 for the business in fiscal year 2020.

The gain (loss) in cash from investment activities can be estimated using the information provided as follows: $34,000 was spent on plant and equipment (a reduction in cash). Purchasing a long-term investment will cost $18,000 (less cash). Cash lost from investing activity as a whole: $34,000 + $18,000 = $52,000. The change in cash from investment activities is therefore $-52,000 (a reduction of $52,000). This indicates that during the fiscal year 2020, investing activities caused a net cash outflow for the business.

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Suspending an employee for breaking the organizational rules is Extinction Reciprocal Determinism Punishment Effective Modelling None of the above

Answers

The term used to describe the consequence of an employee's rule-breaking is Punishment.

Thus, Suspending an employee for breaking the organizational rules is Punishment.

What is Punishment?

Punishment is a negative stimulus that is implemented to reduce or eradicate the frequency of unwanted behavior. It is used to suppress negative behaviors in order to enhance compliance.

The use of punishment alone is not recommended, and it is always recommended to employ positive reinforcement as well. Some of the punishments that may be employed in an organization include termination, suspension, pay cut, and demotion.

The term used to describe the consequence of an employee's rule-breaking is Punishment.

Thus, Suspending an employee for breaking the organizational rules is Punishment.

Suspending an employee for breaking the organizational rules is Punishment.

Punishment is a negative stimulus that is implemented to reduce or eradicate the frequency of unwanted behavior.

It is used to suppress negative behaviors in order to enhance compliance.

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In recent years, the world economy was hit by surges in energy prices, and crude oil price rose sharply to a level unseen before. As a result, recession fears escalated in many countries.
a. Apply the AD-AS framework (draw graphs) to describe the current situation and illustrate how energy crisis like this could trigger inflation. Analyze its effect on the real GDP (output) of the U.S to examine any possibility of falling into a recession. What type of inflation was observed in this case? Was it due to excessive aggregate demand or insufficient aggregate supply?
b. Suppose the focus is on offsetting inflation (rather than recovery from a recession.) What kind of monetary policy should The Fed pursue in this case? Describe the means through which The Fed could pursue such monetary policy. (Hint: be specific! For example, what kind of open market operations?)
c. Use DM & SM (demand for and supply of money) and AD & AS diagrams to illustrate the impact of monetary policy stated above. Make a point showing how interest rate, investment, price level and equilibrium output in the economy may be affected by the policy. What happens to real GDP?
use graph please to explain

Answers

The framework (draw graphs) to describe the current situation and illustrate how energy crisis like this could trigger inflation.

In response to an increase in energy costs, the economy experiences a leftward shift of its aggregate supply (AS) curve. The price level is rising, and the equilibrium GDP is decreasing due to the decrease in production.

When energy prices rise, producers' expenses rise, and they pass on their expenses to consumers in the form of higher prices. This type of inflation is referred to as cost-push inflation.

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Step 1 of 3

Implicit costs are those cost which are indirect by nature and even though they have financial implications still they are not recorded in expenses.


Step 2 of 3

a.


The company was producing 62 million tons of greenhouse gases annually. Total emission reduction per year is:




So, to reduce 3.1 million tons of greenhouse gases, $1.2 billion or 1200 million was spent. So, the implicit cost of every ton of greenhouse gas is calculated as follows:




Thus, the implicit cost of every ton of greenhouse gas is.


Step 3 of 3

b.


Total emission reduction per year is:




So, to reduce 90 million tons of greenhouse gases, total capital required is :




Thus, the capital needed to reduce greenhouse gas by 3% is .

Answers

In economics, an implicit cost is the opportunity cost equivalent to what a business must give up to use a piece of production that the company already owns and is not therefore subject to rental payments. Implicit costs are also referred to as imputed costs, implied costs, and notional costs. It contrasts with an explicit expense, which is paid for upfront.

Any cost that has already been incurred but is not expressly stated or recognized as a distinct expense is considered an implicit cost. It illustrates the worth of the potential created when a company employs internal capital over a project without providing a specific payment for the resources used.

Implicit costs, also known simply as notional costs or implied costs, entail an organization's computation of what its company would have made if it had employed the resource for another use in addition to the commercial activity.

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Bluebird Manufacturing has received a special one-time order for 16,200 bird feeders at $4.20 per unit. Bluebird currently produces and sells 75,000 units at $8.20 eech. This level represents 80% of its capacity. Production costs for these units are $4.70 per unit, which includes $3.45 of variable costs and $2.45 of fixed costs. If the special offer is accepted, there will be no incremental fixed cost. If Bluebird accepts this additional business, the effect on income will be: Muitiple Choice 568,040 increase
Previous question

Answers

Given, Bluebird Manufacturing produces and sells 75,000 units at $8.20 each.

This level represents 80% of its capacity.

Production costs for these units are $4.70 per unit, which includes $3.45 of variable costs and $2.45 of fixed costs.

Bluebird Manufacturing has received a special one-time order for 16,200 bird feeders at $4.20 per unit.

If the special offer is accepted, there will be no incremental fixed cost.

In order to calculate the effect on income if Bluebird accepts this additional business, we need to calculate the contribution margin for both sales.

Let's calculate the contribution margin for the current sales:

The contribution margin is given as the difference between the selling price and the variable cost per unit.

the contribution margin for current sales will be:

Contribution Margin = Selling Price - Variable Costs

Contribution Margin = $8.20 - $3.45

Contribution Margin = $4.75

Now, we can calculate the total contribution margin for current sales.

Total Contribution Margin = 75,000 × $4.75Total

Contribution Margin = $356,250

Now, let's calculate the contribution margin for the special order:

The contribution margin for the special order will be:

Contribution Margin = Selling Price - Variable Costs

Contribution Margin = $4.20 - $3.45

Contribution Margin = $0.75

As there are no incremental fixed costs, the contribution margin is equal to the profit.

the profit for the special order will be:

Profit = Contribution Margin × Units Sold

Profit = $0.75 × 16,200Profit = $12,150

Now, we can calculate the total income if Bluebird accepts this additional business:

Total Income = Total Contribution Margin + Profit

Total Income = $356,250 + $12,150

Total Income = $368,400

Hence, the effect on income if Bluebird accepts this additional business will be an increase of $368,400.

the correct option is (d) $368,400 increase.

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1A
Which of the following is true of robber barons in the context of the history of entrepreneurial businesses in the United States?
They were responsible for the failure of several small businesses.
They failed to take advantage of the economies of scale.
They indulged in great abuses in order to succeed in their business.
They dominated those industrial sectors that were already well-established.
1B.
The U.S. Census tracks employment by number of employees (among many other statistics), and the latest census reports indicate that ________.
firms with fewer than 99 employees represent 35 percent of all part-time employees in the Unites States
there is an extensive presence of venture capital for start-ups outside of the United States
firms with more than 500 employees represent approximately 35 percent of all full-time employees in the United States
firms with fewer than 99 employees represent 76 percent of all firms in the United States
1C.
Which of the following is a characteristic of an entrepreneurial firm?
The business receives funding through angel investment.
The firm tends to develop operations in multiple locations.
The number of employees can be as few as zero or one.
The business begins with a harvest plan in place.

Answers

1A. Entrepreneurial businesses indulged in great abuses.

2B. Firms with fewer than 99 employees represent 76 percent of all firms in the United States.

1C. The number of employees can be as few as zero or one.

1A. They indulged in great abuses in order to succeed in their business is true of robber barons in the context of the history of entrepreneurial businesses in the United States.

2B. Firms with fewer than 99 employees represent 76 percent of all firms in the United States.

1C. The number of employees can be as few as zero or one is a characteristic of an entrepreneurial firm.

Entrepreneurship is the process of beginning and running a new company in order to earn money and to develop a new and innovative solution to a problem in the market.It necessitates the ability to organize, develop, and run a business venture, as well as the ability to be profitable, efficient, and adaptable to change.Entrepreneurship is characterized by innovation and risk-taking, as well as a willingness to accept and learn from failure. Entrepreneurs are frequently thought of as possessing the drive, vision, and creativity required to come up with new ideas and bring them to fruition while taking on financial risks.

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A supply and demand graph with Marginal Revenue (MR), Demand (D), Average Total Cost (ATC), and Marginal Cost (MC). MR intersects MC at a price of 60 and a quantity of 15. Directly above this point, D has a price of 100. MC, ATC, and D all intersect at a price of 80 and a quantity of 20.
The firm shown will produce ____ units and make a profit of ____.
1. 15, $300
2. 15, $0
3. 20, $300
4. 20, $350
5. 20, $600

Answers

From the given data, we have the following supply and demand graph: We are required to determine the number of units the firm will produce and the profit made by the firm.

In the graph, we can see that the marginal cost intersects the marginal revenue at a price of $60 and a quantity of 15.

The price directly above this point where the demand curve intersects the price of $100.From the given graph, we can see that the average total cost, the marginal cost and the demand curve all intersect at a price of $80 and a quantity of 20.

Therefore, the marginal cost of producing the 20th unit is $80.

The firm will produce 15 units, and the profit made by the firm is equal to the total revenue minus the total cost.

The total revenue is equal to the price at which the firm sells the units multiplied by the number of units sold.

Therefore, the total revenue is given by 15 × $100 = $1500.

The total cost is given by the sum of the total variable cost and the total fixed cost.

We know that the marginal cost of producing the 20th unit is $80, and we can assume that the total variable cost of producing 15 units is approximately equal to the total variable cost of producing 20 units.

Therefore, the total variable cost of producing 20 units is equal to the marginal cost of producing the 20th unit multiplied by 20.

Total variable cost = 20 × $80 = $1600

The fixed cost is equal to the total cost minus the total variable cost. Therefore, the fixed cost is given by

$3500 - $1600 = $1900

The total cost of producing 15 units is approximately equal to the fixed cost of $1900.

Therefore, the profit made by the firm is given by $1500 - $1900 = -$400.

The firm has made a loss of $400.

Therefore, the correct option is 2. 15, $0.

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the baud rate is 10,000. what is the bit rate for the following number of states. question 1 options: number of states: 4 number of states: 16 number of states: 8 number of states: 2 1. bps: 40,000 2. bps: 10,000 3. bps: 20,000 4. bps: 30,000

Answers

The bit rates for the given number of states are 40000, 16000 and 80000 bps respectively.

The bit rate is obtained by multiplying the baud rate by the number of state.

Hence ,

4 number of states

4 * 10000 = 40000 bps

16 number of states

16 * 10000 = 160000 bps

8 number of states

8 * 10000 = 80000 bps

Hence, the bit rates are 40000 , 160000 and 80000 bps respectively.

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at some time in your career, you may be different from others in your workplace. which of the following would be considered a viable piece of advice to offer someone who is "different"?

Answers

If you are different from others in your workplace, the following would be considered a viable piece of advice to offer: Be yourself, and allow yourself to shine!It's important to remember that being different in the workplace can actually be a good thing.

Your unique perspective can bring fresh ideas and solutions to the table. However, being different can also lead to challenges. It can be difficult to fit in or feel accepted by your colleagues.Here are some tips to help you navigate these challenges and succeed in the workplace:Be confident: Believe in yourself and your abilities. Confidence is key to building positive relationships with your colleagues.

Embrace your differences: Celebrate what makes you unique! Your unique skills and perspective can bring value to your team.Communicate effectively: Clear communication is important in any workplace. Be direct, concise, and respectful in your interactions with your colleagues.Be open to feedback: Be receptive to feedback from your colleagues. It's important to take constructive criticism as an opportunity for growth.Remember that building relationships with your colleagues takes time and effort.

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Ginger declared bankruptcy and Jackie, her tiustee, stopped a transter to Thriftyco, a creditor, because she felt ir gave an untar adivartage to Thriftyco over other creditors. This type of transfer that can be stopped try the trustee is known as a Multiple Ghoice voidable trantfer. yold conveyance. debt demation. wivery corveyonce

Answers

Ginger's decision to declare bankruptcy has led to a situation where Jackie, her trustee, has prevented a transfer to Thrifty co, a creditor, on the grounds that it gave Thrifty co an undue advantage over other creditors. This type of transfer, which can be stopped by the trustee, is known as a voidable transfer.

There are several types of voidable transfers, including those that give the debtor an undue advantage over other creditors. The trustee has the authority to stop these transfers in order to ensure that all creditors are treated fairly. The trustee can also take legal action against the debtor in order to recover assets that were transferred in violation of bankruptcy laws. There are several reasons why a transfer may be deemed voidable.

One reason is if the transfer occurred within a certain time frame before the debtor filed for bankruptcy. This is known as the "look-back period." Another reason is if the transfer was made to an insider, such as a family member or business associate. This is because insiders are more likely to have knowledge of the debtor's financial situation and may be able to take advantage of it.

Overall, the purpose of voidable transfers is to prevent debtors from transferring assets in order to avoid paying creditors. By giving the trustee the power to stop these transfers, bankruptcy laws ensure that all creditors are treated fairly and that the debtor's assets are distributed in a manner that is fair and equitable.

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Taylor Smith is a singer who has experienced international success in her career. On May 1.2020. Taylor started her business, Gitter and Gold Studio, where she teaches singing. The following activities occurred during July, the third month of operations: July 1 Purchased supplies including sheet music on credit for $400. 2 Collected $5,200 in advance for singing lessons to be delivered in August. 3 Collected $2,6 e for teaching singing lessons in July. 4 Paid 53,600 to rent her music studio for the month of July. 5 Paid 5800 for supplies purchased on account last month. 15 Taylor Smith Mithdren cash of $369 to do soee personal shopping on the weekend. 20 Paid her assistant wages of $1,900. 31 Purchased new aicrophone equipment on credit for $600. Required: 1. Prepare journal entries to record the July transactions. 283. Post the entries to the T-accounts. (Use the below format) Enter the balances brought forward from June 30, 2020: Cash (101) $6,600; Supplies (126) \$1,250; Equipment (161) \$8,600; Accounts Payable (201) \$2,100; Unearned Teaching Revenue (233) \$10.400; Taylor Smith, Capital (301) \$3,600; Taylor Smith, Withdrawals (302) \$13,600; Teaching Revenue (401) \$47,800; Wages Expense \{623) $27,250; and Rent Expense (640)$6,600. 4. Prepare a trial balance at July 31,2020. 5. Use the trial balance to prepare an income statement and statement of changes in equity for the three months ended July 31,2020 , as well as a balance sheet at July 31, 2020. \begin{tabular}{l} GLITER AND GOLD STUOIO \\ Assets \\ Aalince sheet \\ July 31,2020 \\ \hline \end{tabular}

Answers

The journal entries for the trades in July are as follows: 1st of July: Supplies (126)    Accounts Payable (201) $400    $400 (to be used as proof of the credit purchase of supplies) 2.07. Unearned teaching income (233)    $5,200

Income from Teaching (401)    $5,200 (to serve as a record of the advance payment collection for singing lessons to be provided in August) 3.07. Cash (101)    $2,600 Income from Teaching (401)    $2,600 (To document the receipt of teaching fees for instruction given in July) Rent Cost (640) for July 4: $3,600 Cash (101) $3,600 (To be used as proof of July rent payment for the music studio) Accounts Payable (201) for July 5.    $5,800 (To document the payment of items acquired on account last month) Cash (101) $5,800 Taylor Smith, Withdrawals as of July 15 (302)    $369 Cash (101) $369 (to be used for tracking personal purchasing costs) Wages Expense for July 20 (623).    $1,900 (To document the payment of assistant salary) Cash (101) $1,900 31st of July: Equipment (161)    (To record the purchase of new microphone equipment on credit) $600 Accounts Payable (201) $600 Please take note that a trial balance, income statement, statement of changes in equity, and balance sheet must be provided by the T-account balances after posting the July transactions. I am unable to execute the remaining duties that have been required without those balances.

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no one should buy clothing at a department store without first trying it on. accordingly, no one should buy food at a grocery store without first tasting it.

Answers

A weak analogy is present in the statement that suggests no one should buy food at a grocery store without first tasting it, drawing a comparison to buying clothing at a department store without trying it on.

While both scenarios involve consumer purchases, the key differences in the nature of the products make this analogy weak.

When buying clothing, trying it on is essential to ensure the proper fit, comfort, and appearance. Each person has a unique body shape and size, and clothing items need to be personally assessed to determine suitability.

On the other hand, food products at a grocery store are typically prepackaged and labeled with information regarding ingredients, nutritional values, and potential allergens.

Additionally, there are strict regulations and quality control measures in place for food production to ensure consumer safety. Unlike clothing, taste is subjective and varies greatly among individuals, and personal preferences for food can differ widely.

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6. There is a range of business models that companies can use.
Why would you recommend different business models?

Answers

It's recommended to use different business models because it provides a higher level of flexibility and the ability to cater to a wider range of customers. The business model chosen by a company is determined by several factors, including its industry, size, resources, and objectives.

A company may select from several different business models, each of which has its advantages and disadvantages. There are six different business models which can be implemented. They include direct sales, franchising, licensing, e-commerce, agency, and multi-level marketing. Direct sales is one of the most common business models and is used by many companies to sell their products or services directly to the end-users.
Franchising and licensing are two business models that are often used when a company wants to expand its reach without having to invest heavily in new operations.
E-commerce
is a popular business model that allows businesses to reach a global audience with minimal overhead costs. Agency business model involves recruiting independent agents who sell products to customers on behalf of the company. Lastly, Multi-level marketing business model encourages members to recruit new members and provides bonuses and commissions for their efforts. In conclusion, it is important to choose the right business model for your company based on your industry, resources, and objectives.

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Refer to the following documents found in Course Documents to help you with this assignment:
Format for the Walmart Research Paper
Walmart Proforma Income Excel Spreadsheet
Walmart Ratio Solutions 2017 LAPM (Use this as a guide.)
In this assignment, you will be assessed based on the following Outcomes:
MT482-6: Determine the value of a company through conducting effective earnings forecasts and analysis.
GEL-1.02: Demonstrate college-level communication through the composition of original materials in Standard English.
This is a challenging activity. You should prepare to spend substantial time working on your response.
In this research paper, you will dig deep into the financial statements of Walmart. You will analyze the company’s past financial performance to help you forecast their future business, profitability, and cash flow. You will use these results to forecast the value of the company, what you think the company is actually worth today. You will compare your value to the current stock price, explaining any differences.
This is how decisions to buy and sell stock, and to buy and sell companies are made every day all over the world. The nightly business news is full of the "buy, sell, and hold" recommendations derived from analysis like this. I bet those jobs pay very nicely, don’t you!
Your paper must include the following criteria in addition to a title and references page:
Executive Summary: This is a 1-page summary of the entire paper that highlights the key results of your analysis and the resulting conclusions, and a summary of their defense.
Table of Contents: List of the sections in your paper.
Introduction: The company’s story- past, present, future. Include who they are (include current events and interesting facts), what they do (products), when they began (how long), and where they do business. Discuss the markets they operate in globally, the current market trends, and their competitors. (This should be at least 2-pages, likely more.)
Financial History: (3-year analysis of the company’s performance. Your report will include the ratio results plus an explanation and analysis of each ratio. Include the ratio, its results, and what the results mean for the company. (Liquidity and Debt, Asset Management, Profitability, and Market ratios. See ratio detail below.) Were there changes in the ratios? What could have caused the change? You must include an evaluation section of what each type of (LAPM) ratio means over the three years, then an overall comparison to validate your conclusion. (Show you understand and know the ratios.)
Financials Today: Current year with comparison to a competitor. What are they doing? How are they doing now? Add current events and focus on the current financials. Include an evaluation for each type of (LAPM) ratio for the current year, then an overall comparison to validate your conclusion. Include your findings for your competitor.
Financial Future: The story behind your analysis of your forecast of the future based on your spreadsheet. Why did you choose the specific growth rates? What impact did they have on the value of Walmart? Use the Walmart Proforma Income Excel spreadsheet located in Course Documents.
Conclusion: Your recommendation with justification of how much Walmart is worth. How much do you forecast each share to be worth? Defend your choice.

Answers

Walmart Inc. is one of the largest and most profitable retail companies in the world. As of 2019, the company has a market capitalization of over 340 billion, with annual revenues of more than 500 billion.

This research paper aims to analyze Walmart's financial performance over the last three years and forecast the company's future business, profitability, and cash flow to determine its current value and stock price.

In the introduction section, we will discuss the company's history, products, global market, current market trends, and competitors. The financial history section will analyze Walmart's three-year performance in terms of liquidity and debt, asset management, profitability, and market ratios. The financials today section will provide a current year comparison with a competitor, along with current events and a focus on the current financials.

The financial future section will forecast the company's future based on the Walmart Proforma Income Excel spreadsheet. Finally, the conclusion will provide our recommendation with justification of how much Walmart is worth and how much each share is forecasted to be worth. The paper will also include an executive summary and a table of contents.

The ratio detail for the paper will include liquidity and debt ratios such as current ratio and debt-to-equity ratio, asset management ratios such as inventory turnover and total asset turnover, profitability ratios such as gross profit margin and net profit margin, and market ratios such as price-earnings ratio and dividend yield ratio. The paper will be structured in a professional and easy-to-understand manner, with each section clearly explaining the analysis and findings.

In conclusion, this paper will provide a detailed and well-supported analysis of Walmart's financial performance, which can be used to make informed investment decisions.

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Gauntlet Gyms Inc owns athletic training facilities and camping grounds, which it leases to corporate cllents educational institutions, and other non-governmental organizations. The Xaver institute agrees to lease one of these athletic trainins facilities on the following terms: - The training facility comprises 7200 acres in idaho. The lessor owns onty one training facility in this location. - The Xavler Institute can use the training facility at its discretion over the lease term. Gauntlet Gyms Inc. is prohibited from selling the facility during the fease term or terminatiog the lease agreement early. - The lease term is for 30 yearswith an option to renew for an additional 20 years. The Xavier Institute is reasonably likely to renew. The useful life of this fadility is 50 years. - The lease contract requires Gauntlet Cyms Inc, to uperade the facility to corrply with the American Disabilities Act. Subsequent lestees of the facility can benefit from these upgrades. - The lessee does not automatically obtain ownership of the facility at the end of the lease term and the lessee is not given an option to purchase the facility at the end at the lease term. - Gauntlet Gyms inc. will provide food catering services for four meals per day. - The present value of the sum of the lease payments is $12 million. The facility's fair market value is $13 millien. The Xavier institute is responsible for repalring all damage to the facility or paying 150% of the cost of any repalirs. Which provision of the lease contract implies that the customer has control over the use of the identified asset? The lease cantract requires Gauntlet Gyms inc to upgrade the facility to comply with the American Disabilities Act. Subsequent lessees of the facility can benefit fram these upgrades. The training facility comprises 7200 acres in Idaha. Gantlet Gyms inc, owns only one training facilly is this location. Gauntlet G ym Inc will provide food catering services for four meals per day. The Xavier institute can use the training faclity at its discretion over the lease term. Gauntlet Gyins inc. is prohibited from seling the facility during the feate term or terminating the lease agreement early

Answers

The provision of the lease contract that implies that the customer has control over the use of the identified asset is:

The Xavier institute can use the training facility at its discretion over the lease term.

What is a lease agreement?

A lease agreement is a contract that outlines the terms under which one party agrees to rent property from another party. The lessor (the property owner) agrees to lease the asset to the lessee (the tenant) for a specified period, typically in exchange for periodic rental payments.

What does control of the identified asset mean?

In a lease agreement, control of the identified asset refers to the lessee's ability to use the leased asset in any manner they see fit, as specified in the lease agreement.

In the lease agreement in question, the provision that implies the Xavier Institute has control over the use of the identified asset is "The Xavier institute can use the training facility at its discretion over the lease term.

"As a result, the Xavier Institute has control over the usage of the training facility leased from Gauntlet Gyms Inc. for the duration of the lease term, according to this lease contract.

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External users of accounting information are often directly involved in running a company True False Question 3 One of the distinct advantages of a budget is that it can help to uncover potential bottlenecks before they occur. True False

Answers

1. False: External users of accounting information are not directly involved in running a company.

2. True: A budget can help uncover potential bottlenecks before they occur.

1. External users of accounting information are not directly involved in running a company. External users refer to individuals or entities outside the organization, such as investors, creditors, regulators, and analysts, who rely on accounting information for decision-making but do not have direct involvement in managing the company's operations.

2. One of the distinct advantages of a budget is indeed its ability to help uncover potential bottlenecks before they occur. By setting financial targets and allocating resources, a budget allows organizations to identify potential constraints or limitations in their operations, enabling proactive measures to address these bottlenecks and ensure smooth operations.

Advantages of a budget: A budget provides a financial plan for an organization, allowing it to set targets, allocate resources, and monitor performance. By identifying potential bottlenecks or constraints in advance, organizations can take corrective actions or allocate resources more effectively to prevent issues or disruptions in their operations. This proactive approach helps to improve efficiency, minimize risks, and enhance overall performance.

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If there is no capital rationing problem, which of the following mutually exclusive projects should be accepted?
Project A: NPV = $8,000; NINV = $55,000
Project B: NPV = $11,000; NINV = $110,500
Question options:
Neither A nor B
A
B

Answers

If there is no capital rationing problem, then both projects can be accepted. This is because both have a positive net present value (NPV).

The NPV of Project A is $8,000, and its net initial investment (NINV) is $55,000. The NPV of Project B is $11,000, and its NINV is $110,500. Thus, if there is no capital rationing problem, both projects can be accepted, as they will contribute positively to the company's value.

A capital rationing problem occurs when there is a limit on the amount of capital available for investment. In this case, only the project with the highest NPV per dollar invested should be chosen. This is because the aim of capital rationing is to maximize the return on investment, given the constraints of the available capital. In this case, the NPV per dollar invested for Project A is

1455 (8000/55000),

while that of Project

B is 0.0995 (11000/110500).

If there is a capital rationing problem, Project A should be accepted because it has the highest NPV per dollar invested. But in case there is no capital rationing problem, then both the projects should be accepted.

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what decision should be made on a project with below-average market risk?

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If a project has below-average market risk, it means that the project has less risk associated with the market, and it may provide more significant benefits to the business in terms of profit. When the market risk is low, the business has a chance to take a risk and invest in that project.

Therefore, the decision that should be made on a project with below-average market risk is that the company should invest in the project.Why Should a Company Invest in a Project with Below-Average Market Risk?A company should invest in a project with below-average market risk because the risk of loss is reduced, which means that the investment is less risky and more secure. This means that the project is less likely to fail, so it is a safer investment. The project will also be able to generate more revenue, which means that the company can earn more profits.However, the decision to invest in a project is not only based on market risk. Other factors that should be considered include the project's financial viability, the expected rate of return, and whether the project aligns with the company's overall goals and objectives. If all of these factors align with the company's goals, then the company should invest in the project.

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ll costs of production other than direct materials and direct labor are shown on the.

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Manufacturing overhead. It represents all production costs excluding direct materials and direct labor. These costs include indirect materials, indirect labor, utilities, rent, depreciation, and other expenses necessary for manufacturing but not directly attributed to specific units.

Manufacturing overhead refers to all costs of production other than direct materials and direct labor. It includes indirect materials, indirect labor, utilities, factory rent, depreciation of machinery, maintenance expenses, and other expenses necessary for the manufacturing process.

These costs are not directly attributable to specific units of production but are incurred to support the overall manufacturing operations. They are indirect costs that are allocated or assigned to products using allocation methods such as predetermined overhead rates or activity-based costing. Manufacturing overhead costs are essential for the production process but cannot be easily traced to individual units of output. Instead, they are allocated or apportioned based on predetermined cost drivers or activity levels. The inclusion of manufacturing overhead in the calculation of product costs provides a more accurate representation of the total cost of producing goods.

The classification and allocation of manufacturing overhead costs are important for cost accounting purposes, determining product costs, pricing decisions, and overall financial performance analysis.

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Assuming a two-factor APT world where the systematic risks are GDP risk and Oil risk, risk-free rate is 2%. Assume there exists GDP and Oil factor portfolios that are tradeable. If a trader estimates the expected return of Portfolio ABC to be 17.0%, the alpha of Portfolio ABC is _______?
Portfolio ABC
GDP- Factor loading of 0.8, Risk premium of 5%
Oil- Factor loading of 1.5, Risk premium of 7%

Answers

Two-factor APT world where the systematic risks are GDP risk and Oil risk, risk-free rate is 2%.GDP- Factor loading of 0.8, Risk premium of 5%Oil- Factor loading of 1.5, Risk premium of 7%.Let,Portfolio ABC be the portfolio.GDP and Oil factor portfolios are tradable.The alpha of Portfolio ABC is 5.5%.

Assume that the expected return of Portfolio ABC is 17.0%. To calculate the alpha of Portfolio ABC, we use the APT model:

Expected return of the portfolio = risk-free rate + (Factor loading of GDP × Risk premium of GDP) + (Factor loading of Oil × Risk premium of Oil) + α

Expected return of Portfolio ABC = 2% + (0.8 × 5%) + (1.5 × 7%) + α17.0% = 2% + 4% + 10.5% + α11.5% = α + 16.5%

Alpha of Portfolio ABC = Expected return of Portfolio ABC – Required return of Portfolio ABC= 17.0% – 11.5% = 5.5%

Hence, the alpha of Portfolio ABC is 5.5%.

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A company's market share went from 50 to 65 percent of the total market. Of the following choices, which two statements about the company's market shares are true? a.) Market shares rose by 15 percentage points. b.) There was a 15% increase in market shares. c.) Market shares rose by 30 percentage points. d.) There was a 30% increase in market shares. e.) Market shares rose by 23 percentage points. f.) There was a 23% increase in market shares. 2 items need to be selected 80 ∘
F Partly sunny

Answers

A company's market share went from 50 to 65 percent of the total market. The two statements about the company's market shares that are true are as follows:

a.) Market shares rose by 15 percentage points.

b.) There was a 30% increase in market shares.

Explanation:The market share is the percentage of the market's total sales that a company or product accounts for. It can be calculated by dividing a company's sales by the total sales of the market.

Therefore, if a company's market share went from 50 to 65 percent of the total market, it increased by 15 percentage points.

Hence, option (a) is correct. A percentage increase can be calculated using the following formula: percentage increase = (new value - old value) / old value x 100%.

So, the percentage increase in the company's market share can be calculated as follows:(65 - 50) / 50 x 100% = 30%. Therefore, the option (d) There was a 30% increase in market shares is correct.

Both option (a) and option (d) are true. Therefore, the two statements about the company's market shares that are true are as follows: a.) Market shares rose by 15 percentage points. b.) There was a 30% increase in market shares.

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ou want to use dataset with two quantitative variables X (advertising) and Y (sales) so you can predict future values of Y (sales) using X (advertising) You obtain the following sample statistics The average of X is 4.6 with standard deviation 0.91 The average of Y is 8.6 with standard deviation 0.74 correlation coefficient r=0.7 so if a future value of x is 1 standard deviation above average so then then the predicted value of y is 0.7 standard deviations above average.

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the predicted value of Y corresponding to X being 1 standard deviation above the average is 8.6

If a future value of X (advertising) is 1 standard deviation above the average, based on the given statistics, we can predict that the corresponding predicted value of Y (sales) will be 0.7 standard deviations above the average.Given that the average of X is 4.6 with a standard deviation of 0.91, going 1 standard deviation above the average would be 4.6 + 0.91 = 5.51.Similarly, the average of Y is 8.6 with a standard deviation of 0.74. Since the correlation coefficient (r) between X and Y is 0.7, we can infer that for every 1 standard deviation increase in X, Y is predicted to increase by 0.7 standard deviations. Thus, the predicted value of Y corresponding to X being 1 standard deviation above the average is 8.6

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Purchase discounts are provided by a manufacturer or wholesaler for the following reason: a. Volume of goods purchased during a period b. To encourage early payment of invoices c. To encourage payment of overdue invoices d. Volume of goods returned during a period

Answers

The correct answer is b. To encourage early payment of invoices. purchase discounts are provided to encourage buyers to make early payments, benefiting both the buyer and the seller by improving cash flow and reducing accounts receivable.

Purchase discounts are offered by manufacturers or wholesalers as an incentive for buyers to make early payment of their invoices. It is a reduction in the purchase price granted to the buyer if the payment is made within a specified time period, typically referred to as the discount period.

By offering purchase discounts, suppliers aim to improve their cash flow by accelerating the collection of accounts receivable. It encourages buyers to pay their invoices promptly, which helps the supplier to reduce their accounts receivable balance and minimize the risk of late or non-payment.

The terms of a purchase discount are usually expressed in the form of "x/y, net z," where x represents the discount percentage, y represents the number of days within which the discount is available, and z represents the total payment period after which the invoice becomes due in full.

For example, a common purchase discount term is "2/10, net 30," which means that a 2% discount is available if the payment is made within 10 days, and the full payment is due within 30 days.

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Normative vs. Positive Economics:
As Emily walked into the classroom, some of her classmates were arguing about the benefit of some new policy being debated by their city council. LeeAnna, who is an economics major, stated that all the debates are normative, and should not matter. One of of the students in the class wondered about what LeeAnna meant by the arguments being normative.
Provider a meaninfully engaging response to the "wondering" student what LeeAnna meant. In your post, bear in my mind that in economics there is a distinction between positive and normative economic statements, explain the difference between positive and normative economic statements.
Explain why LeeAnna observed that since the debate is a normative one, it should not matter.
Explain to your classmates how knowledge of positive economic statements can lead to making effective economic policies.

Answers

In economics, there is a distinction between positive and normative economic statements. Positive economics is a statement of fact, which can be verified or tested, while normative economics is a value judgment, which is subjective and cannot be verified or tested. Emily's classmate LeeAnna stated that the arguments being debated are normative, which means they are based on a value judgment, and therefore, should not matter.

What is the difference between positive and normative economic statements?Positive economic statements are based on facts, data, and evidence that can be verified and tested. They are objective and do not involve any personal value judgments or opinions. Positive statements provide insight into how the economy works and how people behave. Examples of positive statements are, "An increase in the price of gasoline will lead to a decrease in demand for it" or "Unemployment rates have decreased by 2%."Normative economic statements, on the other hand, are subjective and involve personal value judgments or opinions.

Positive statements are based on facts, data, and evidence that can be verified and tested. Knowledge of positive economic statements can lead to making effective economic policies because policymakers can base their decisions on evidence and facts, rather than personal opinions or value judgments. For example, if policymakers know that an increase in the price of gasoline will lead to a decrease in demand for it, they can make effective policies to regulate gasoline prices. Knowledge of positive economic statements can also help individuals make better economic decisions in their personal lives.

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the
environmental policy
Alberta wetland policy
the points that needs to describe
how it will be link to environment
cover the topic positional analysis, decommodification,
degrowth

Answers

The description for the Alberta Wetland Policy , Positional analysis, Decommodification are provided.

Environmental policy refers to a set of principles, guidelines, and directives that are aimed at ensuring that the environmental impacts of human activities are minimized.

The Alberta Wetland Policy refers to the government's plan to protect wetlands in the Alberta region.The environmental policy and Alberta Wetland Policy are linked to the environment because they aim at protecting the environment from damage caused by human activities. The environmental policy, on the other hand, is designed to promote sustainable practices that protect the environment from degradation. This is achieved by promoting the use of renewable resources, reducing waste and pollution, and promoting conservation practices.Positional analysis, decommodification, and degrowth are concepts that are linked to environmental policy and the Alberta Wetland Policy because they all promote sustainable practices and the protection of the environment.Positional analysis is an approach to understanding social inequality that examines how people's social position affects their access to resources. This approach is relevant to environmental policy and the Alberta Wetland Policy because it helps to identify groups of people who are most affected by environmental degradation and who are therefore in need of protection.Decommodification refers to the process of reducing the extent to which goods and services are treated as commodities that can be bought and sold. Degrowth refers to a movement that advocates for a reduction in economic growth in order to promote sustainability and reduce environmental impacts.

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what should the salesperson do once he/she has answered all the buyer's questions and has resolved resistance issues that have come up during the presentation?

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Once the salesperson has answered all the buyer's questions and resolved any resistance issues during the presentation, there are several steps they should take to ensure a successful outcome:

1. Confirm understanding: The salesperson should confirm that the buyer's questions have been fully addressed and that the buyer understands the information provided. This can be done by asking follow-up questions or requesting feedback from the buyer.

2. Summarize the benefits: The salesperson should summarize the key benefits and advantages of the product or service that were discussed during the presentation. This helps reinforce the value proposition and reminds the buyer of the value they will gain from the purchase.

3. Address remaining concerns: It's important to address any lingering concerns or objections the buyer may have. The salesperson should listen attentively and empathetically to the buyer's concerns, and provide additional information or reassurance as needed.

4. Close the sale: Once all questions and resistance have been resolved, the salesperson should move towards closing the sale. This can be done by asking for the buyer's commitment or suggesting a next step, such as discussing pricing, delivery options, or signing a contract.

5. Follow-up: After the sale is closed, the salesperson should follow up with the buyer to ensure their satisfaction and address any additional questions or concerns that may arise. This helps build a long-term relationship with the buyer and can lead to future sales or referrals.

Overall, the salesperson should focus on building trust, providing value, and addressing the buyer's needs throughout the process. By doing so, they can increase the likelihood of a successful sale and establish a positive customer relationship.

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Cooling Tools, Inc. is currently producing 1,171 of small refrigerators per month but the company’s CEO plans to increase production at a rate of 11.95 percent per month until the firm is producing 5,938 of refrigerators per month. How many months will this take?

Answers

Given that Cooling Tools, Inc. is currently producing 1,171 of small refrigerators per month and the company’s CEO plans to increase production at a rate of 11.95% per month until the firm is producing 5,938 of refrigerators per month.

We need to determine the number of months it will take to reach the target production rate.Mathematically, we can represent this information in the form of an exponential equation:1,171(1 + 0.1195)^n = 5,938Where n represents the number of months it takes to increase the production rate from 1,171 to 5,938.By simplifying the above equation we get:(1.1195)^n = 5.071Dividing by 1.1195 both sides of the above equation we get:n = log(5.071) / log(1.1195)Using a calculator to evaluate the above expression, we getn = 15.9 approximating to 16 months.Hence, it will take 16 months to increase the production rate from 1,171 to 5,938.

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Other Questions
For the following questions, find a formula that generates the following sequence 1, 2, 3... (Using either method 1 or method 2).a. 5,9,13,17,21,...b. 15,20,25,30,35,...c. 1,0.9,0.8,0.7,0.6,...d. 1,1 3,1 5,1 7,1 9,...Method 1: Working upward, forward substitution Let {an } be a sequence that satisfies the recurrence relation an = an1 + 3 for n = 2,3,4,. and suppose that a1 = 2.a2 = 2 + 3a3 = (2 + 3) + 3 = 2 + 3 2a4 = (2 + 2 3) + 3 = 2 + 3 3 . . .an = an-1 + 3 = (2 + 3 (n 2)) + 3 = 2 + 3(n 1)Method 2: Working downward, backward substitution Let {an } be a sequence that satisfies the recurrence relation an = an1 + 3 for n = 2,3,4,. and suppose that a1 = 2.an = an-1 + 3= (an-2 + 3) + 3 = an-2 + 3 2= (an-3 + 3 )+ 3 2 = an-3 + 3 3 . . .= a2 + 3(n 2) = (a1 + 3) + 3(n 2) = 2 + 3(n 1) which stage of the product life cycle is characterized by narrowing profit margins and the goal of attracting new customers The following information pertains to UWC Company, from Vancouver, BC, and its product "Magic Gimmick"Selling price per unit of "Magic Gimmick": $45.00Direct material cost per kg: $2.00Direct labour cost per unit: $1.20Variable overhead cost per unit: $0.80Material required per unit: 2kgOther variable expenses per unit: $0.60Annual fixed costs:Advertising: $15,000Fixed manufacturing: $60,000Other fixed expenses: $8,000You are a newly minted MBA and your boss knows that you are able to answer his questions.Therefore, he asks you for a formal memo which he plans to use with various stakeholders (i.e. senior mgmt., banks, etc.) in which you answer his 3/three questions:1. 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How many of the items in this array will be found if they are searched for?1520 the purpose of this homework is for you to get practice applying many of the concepts you have learned in this class toward the creation of a routine that has great utility in any field of programming you might go into. the ability to parse a file is useful in all types of software. by practicing with this assignment, you are expanding your ability to solve real world problems using computer science. proper completion of this homework demonstrates that you are ready for further, and more advanced, study of computer science and programming. good luck! A scientist is testing the effectiveness of Drug X on cancer. She gives a small amount of the drug to mice that have cancer. She gives each mouse a different amount from 1 to 10 grams, and then measures the size of the tumor in each mouse before the drugs and two weeks after the drugs. She gives one of the mice sugar instead of Drug X. What is her control in this experiment?A. The size of the tumor before Drug X.B. The amount of Drug X given to the mice.C. The mouse that received sugar instead of Drug X.D. The size of the tumor after Drug X "An increase in infections is something that all hospitals should figure out a plan to decrease the numbers. The whole medical team will collaborate to put a plan in action. In this case, the plan of care for patients that need a catheter would be to improve the sterile technique by inserting it. According to the CDC, UTIs are the most common type of healthcare-associated infection reported to the National Healthcare Safety Network (NHSN) (2015). 75% of the infections are associated with the urinary catheter.The staff should be asking, "Why are these UTIs associated with a catheter increasing?". The main profession to insert these catheters are nurses. It is important for them to use sterile technique to prevent infection from occurring. Should the whole staff of nurses be retrained on sterile technique? It is important to not break sterile technique because it is easy to for bacteria to enter. Another question is, "How long are these patients using the catheter?". To reduce the risk of infection, they may want to find an alternative to the indwelling catheters. Evidence-based alternatives to indwelling catheterization include intermittent catheterization, bedside bladder ultrasound, external condom catheters, and suprapubic catheters (Wald & Furfari, 2008). Intermittent catheterization is similar to indwelling, but intermittent is removed once bladder is empty. It is important to look at evidence based research to see if there are better alternatives to a catheter. The facility should only choose the indwelling catheter if it is the last resort. Hospitals should be performing bladder scans before jumping right into inserting a catheter for the patient. If a patient does need one the nurse should practice good hygiene and perform sterile technique when inserting it. The nursing assistant should make sure to properly care for the patient with a catheter.Developing a plan with the team should come up with alternatives if the patient does not need an indwelling catheter. If the patient does need one then a nurse should review sterile technique and try to remove it as soon as possible. The clinical question is "What are interventions that healthcare providers can use to decrease the amount of UTIs from catheter use?". It is important for a healthcare team to stay educated on the importance of preventing infections in the workplace to improve better outcomes for the patients." Please take a look at 1.O.U.S.A documentary. It has closed captioning and a transcript as well. America faces four serious deficits today and one of them is a budget deficit. Explain how the United States got in this situation. 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When paired with copper, which metal plate will produce a highervoltage?O CalciumOZincO LeadO Copper You are given a C++ string consisting of any lowercase alphanumeric characters ('a'-'z', '0'-'9') of length L > 2 (where L is even). One of the characters occurs L/2 number of times. The other characters are all different; they can also repeat themselves multiple times in the string. In other words, there is no uniqueness in how many times or where these characters appear in the input string. For this problem, do not use any existing find or search string functions, otherwise you receive no extra point. Write a function that find this one character that occurs L/2 number of times in the input string:char findHalfDuplicate(string s);For example:"1a2a3a4a"; // L = 8; 'a' occurs 4 times; the other characters are all different"1a2a1a"; // L = 6; 'a' occurs 3 times; the other characters are all different"a2a3a1"; // L = 6; 'a' occurs 3 times; the other characters are all different"2aa3"; // L = 4; 'a' occurs 2 times; the other characters are all differentNot valid input:"1a"; // L has to be > 2"z"; // L has to be even There are 70 students in line at campus bookstore to sell back their textbooks after the finals:19 had math books to return, 19 had history books to return, 21 had business books to return, 9 were selling back both history and business books, 5 were selling back history and math books, eight were selling business and math books, and three were selling back all three types of these books. (1) How many student were selling back history and math books, but not business books? 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If you were the Actuary in the particular company would you suggest adjustment of the individual premium of 1000 and in what percentage? point -slope form of the line that passes through the given point with the given slope. (4,8,1,8); m= 2.8