Wonder Wilderness Company wants to invest some of its excess cash in trading securities and companies follow for 2025 and 2024, as well as selected data for 2023: (Click the icon to view the data.) Read the requirements. 0.46 1.67 Debt to equity 2024 h. Profit margin ratio Begin by selecting the correct formula. Profit margin ratio = Net income + Net sales Now, compute the ratio for both companies for both years. (Enter your answers as a percentag Ratio Year CC ZLV Profit margin 2025 2.95 % 4.91 % Profit margin 2024 2.93 % 5.26 % i. Asset turnover ratio Begin by selecting the correct formula. Asset turnover ratio = Net sales + Average total assets Now, compute the ratio for both companies for both years. (Round your answers to two decima Ratio Year CC ZLV Asset turnover 2025 Asset turnover 2024 D Inc Net Cos Gros Oper. Opera Interes Income Income Net Inco Balance a table Income Statement Net Sales Revenue Cost of Goods Sold Gross Profit Operating Expenses Operating Income Interest Expense Income before Income Tax Income Tax Expense Net Income Balance Sheet Assets The Canoe Company Comparative Financial Statements Years Ended December 31, 2025 2024 2023 $ 430,946 $ 258,817 172,129 153,440 18,689 830 17,859 5,148 12,711 S $ Print 425,550 256,532 169,018 151,572 17,446 790 16,656 4,180 12,476 Done Zone Life Vests Comparative Financial Statements Years Ended December 31, 2025 2024 2023 410,550 $ 383,290 299,890 280,560 110,660 102,730 78,950 70,950 31,710 31,780 2,730 2,930 28,980 28,850 8,810 8,690 20,170 S 20,160 1 nsw Data table Balance Sheet Assets Cash and Cash Equivalents Accounts Receivable Merchandise Inventory Other Current Assets Total Current Assets Long-term Assets Total Assets Current Liabilities Long-term Liabilities Total Liabilities Stockholders' Equity Common Stock Retained Earnings Total Stockholders' Equity Liabilities $ 68,630 $ 44,760 79,870 16,060 209,320 89,780 299,100 $ 69,540 S 31,600 101,140 72,750 125,210 197,960 Print 70,559 44,450 $ 44,190 66,350 76,320 16,451 197,810 90,470 288,280 $ 276,234 60,260 29,970 90,230 80,820 117,230 198,050 197,680 Done $ 65,749 $ 55,470 39,800 38,630 $ 68,570 65,220 24,361 37,420 198,480 196,740 116,740 116,326 315,220 $ 313,066 90,870 $ 90,090 96,280 105,940 187,150 196,030 111,520 102,420 16,550 14,616 128,070 117,036 $ 36,470 59,980 310,010 103,900 Data table Long-term Adid Total Assets Current Liabilities Long-term Liabilities Total Liabilities Stockholders' Equity Common Stock Retained Earnings Total Stockholders' Equity Total Liabilities and Stockholders' Equity Other Data Market price per share Annual dividend per share. Weighted average number of shares outstanding Liabilities $ 299,100 $ 69,540 $ 31,600 101,140 72,750 125,210 197,960 $ 299,100 $ $ 20.74 $ 0.35 9,400 Print 288,280 60,260 29,970 90,230 80,820 117,230 198,050 288,280 33.74 0.34 7,400 $ 276,234 197,680 Done $ $ 315,220 S 313,066 90,870 $ 90,090 96,280 105,940 187,150 196,030 111,520 102,420 16,550 14,616 128,070 117,036 315,220 $ 313,066 46.6 $ 51.38 0.49 0.42 9,400 7,400 310,010 103,900

Answers

Answer 1

Wonder Wilderness Company is considering investing some of its excess cash in trading securities and has collected financial data for two companies, CC and ZLV, for the years 2023 to 2025.

The company wants to compute the profit margin ratio and asset turnover ratio for both companies for both years. The profit margin ratio is computed as net income divided by net sales, and the asset turnover ratio is computed as net sales divided by average total assets. For CC, the profit margin ratio was 2.95% in 2025 and 2.93% in 2024, while for ZLV, it was 4.91% in 2025 and 5.26% in 2024. The asset turnover ratio for CC was 0.46 in 2024 and 1.67 in 2025, while for ZLV, it was 0.49 in 2024 and 0.42 in 2025.

The data also includes income statements and balance sheets for both companies for the years 2023 to 2025. Finally, market price per share, annual dividend per share, and weighted average number of shares outstanding are also provided for both companies.

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Related Questions

The Australian Space Agency (ASA) currently trades at a PB ratio of 1 and a PS ratio of 1. ASA has a return on equity (ROE) equal to 12.5% and a net profit margin (NPM) of 12.5%. The PE ratio of ASA must be equal to: 12 o 8 25

Answers

The PE ratio of the Australian Space Agency (ASA) must be equal to 8.

The price-to-earnings (PE) ratio is calculated by dividing the market price per share of a company by its earnings per share (EPS). In this case, we need to determine the PE ratio of ASA given the provided information.

We are given that ASA trades at a price-to-book (PB) ratio of 1, which implies that the market price per share is equal to the book value per share. Since the PB ratio is 1 and the return on equity (ROE) is 12.5%, it indicates that the earnings per share (EPS) is equal to the book value per share multiplied by the ROE:

EPS = Book Value per Share x ROE

   = 1 x 0.125

   = 0.125

Next, we can calculate the PE ratio using the net profit margin (NPM) and the EPS:

PE Ratio = Market Price per Share / EPS

        = PS Ratio x NPM / EPS

        = 1 x 0.125 / 0.125

        = 1

Therefore, the PE ratio of ASA must be equal to 1.

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Explain the concepts of responsiveness and competence in the realm of administrative responsibility

Answers

This refers to the ability of an administrator or an administrative system to respond quickly, efficiently, and appropriately to the needs and concerns of the public.

In other words, responsiveness means that an administrator or administrative system is ready and willing to provide assistance, answer questions, and resolve issues in a timely and effective manner. This is an essential part of administrative responsibility because it helps to build trust between the public and the government, and it ensures that people's needs are being met.

This refers to the ability of an administrator or administrative system to perform tasks and duties in a professional and effective manner. Competence includes having the knowledge, skills, and resources necessary to carry out one's responsibilities and to make informed decisions. In addition, it means having the ability to adapt to changing circumstances and to learn and grow on the job.

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1. Why are sponsorship and philanthropy not part of CSR in terms of the European definition of 2 CSR? Please explain first the main elements of this definition. Answer here

Answers

According to the European definition of Corporate Social Responsibility (CSR), sponsorship and philanthropy are not considered part of CSR because the focus is on the core business activities and their impact on society.

The main elements of the European definition of CSR include the integration of social and environmental concerns in business operations, interaction with stakeholders, and taking responsibility for the impacts of business activities. The European definition of CSR emphasizes the integration of social and environmental concerns into the core business operations of an organization. It recognizes that businesses have a responsibility to not only generate profits but also contribute positively to society and the environment. This goes beyond simply engaging in sponsorship or philanthropy activities. Sponsorship and philanthropy, while important and beneficial, are typically seen as separate from the core business activities of a company. Sponsorship involves providing financial support to events, organizations, or individuals, often for marketing or branding purposes. Philanthropy refers to charitable donations and activities aimed at addressing social issues. While these activities may have positive societal impacts, they are not directly tied to the core business operations or the long-term sustainability strategy of the organization. In the European definition of CSR, the focus is on how businesses operate and interact with stakeholders, including employees, customers, suppliers, and local communities. It emphasizes the responsibility of businesses to manage their social and environmental impacts throughout their value chains and integrate sustainable practices into their business models. By prioritizing the integration of social and environmental concerns into core business activities, the European definition of CSR aims to promote a more comprehensive and sustainable approach to corporate responsibility.

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consider Securities A & B with the following information: RA = 1.22%, σ² = 15.34%%, Rß = 2.95%, 0²/ = 14.42%%, PAB Solve for the minimum variance portfolio assuming that short sales are allowed: = = = 0.15 25. What is the fraction invested in Security A? (2 decimal places if required) 26. What is the fraction invested in Security B? (2 decimal places if required) 27. What is the expected return of the portfolio? (in %, 2 decimal places if required) 28. What is the standard deviation of the portfolio? (in %, 2 decimal places if required)

Answers

To solve for the minimum variance portfolio, we need to use the given information and apply the formulas for portfolio weights, expected return, and portfolio standard deviation.

Given information:

RA = 1.22% (expected return of Security A)

σ²A = 15.34% (variance of Security A)

RB = 2.95% (expected return of Security B)

σ²B = 14.42% (variance of Security B)

PAB = 0.15 (correlation coefficient between Security A and Security B)

First, let's calculate the portfolio weights:

wA = (σ²B - PAB * σA * σB) / (σ²A + σ²B - 2 * PAB * σA * σB)

wB = 1 - wA

Substituting the given values into the formula:

wA = (14.42% - 0.15 * sqrt(15.34% * 14.42%)) / (15.34% + 14.42% - 2 * 0.15 * sqrt(15.34% * 14.42%))

wB = 1 - wA

Calculating the values:

wA ≈ 0.1899 (approximately 0.19)

wB ≈ 0.8101 (approximately 0.81)

Therefore, the fraction invested in Security A is approximately 0.19, and the fraction invested in Security B is approximately 0.81.

Next, let's calculate the expected return of the portfolio:

Expected Return = wA * RA + wB * RB

Substituting the values:

Expected Return ≈ 0.19 * 1.22% + 0.81 * 2.95%

Expected Return ≈ 2.44%

Therefore, the expected return of the portfolio is approximately 2.44%.

Finally, let's calculate the standard deviation of the portfolio:

Standard Deviation = sqrt(wA² * σ²A + wB² * σ²B + 2 * wA * wB * PAB * σA * σB)

Substituting the values:

Standard Deviation ≈ sqrt(0.19² * 15.34% + 0.81² * 14.42% + 2 * 0.19 * 0.81 * 0.15 * sqrt(15.34% * 14.42%))

Standard Deviation ≈ 4.54%

Therefore, the standard deviation of the portfolio is approximately 4.54%.

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explain the concept of beta with an do we
calculate beta . can beta be negative?

Answers

Beta is a statistical measure that indicates the volatility of a security or a portfolio in comparison to the market as a whole.

In simpler terms, beta measures how much a particular stock's price is likely to move in relation to the market. The beta value is expressed in a numerical form, typically ranging from 0 to 1 or more. A beta value of 1 indicates that the security or portfolio is expected to move in line with the market, whereas a value less than 1 means that it is less volatile, and a value greater than 1 means that it is more volatile. Beta is calculated using regression analysis, which involves analyzing the historical price movements of a security or portfolio compared to the movements of the market. It is calculated by dividing the covariance of the security or portfolio with the market by the variance of the market. The result is the beta value, which indicates how much the security or portfolio is expected to move in response to market movements. Beta can be negative, but it is less common. A negative beta value indicates that the security or portfolio moves in the opposite direction of the market. This may occur with certain types of securities, such as gold or government bonds, which tend to move in the opposite direction of the stock market during times of economic uncertainty. However, it's worth noting that negative beta values are relatively rare and are not common in most stocks or portfolios.

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Ken has made semiannual deposits of 500 for 5 years into a savings fund paying interest at 6.25% semiannually. What semiannual deposits should be made in the next 2 years to bring the fund up to 10000.

Answers

To calculate the semiannual deposits that should be made in the next 2 years to bring the fund up to $10,000, we need to use the future value of an annuity formula.

The future value of an annuity formula is given by:

FV = P * [(1 + r)^n - 1] / r

Where:

FV is the future value of the annuity

P is the amount of each semiannual deposit

r is the interest rate per period

n is the number of periods

In this case, the future value (FV) is $10,000, the interest rate (r) is 6.25% or 0.0625 (since it is a semiannual rate), and the number of periods (n) is 2.

We need to solve for the semiannual deposit amount (P). Rearranging the formula, we get:

P = FV * (r / [(1 + r)^n - 1])

Substituting the given values, we have:

P = 10000 * (0.0625 / [(1 + 0.0625)^2 - 1])

P = 10000 * (0.0625 / [1.065 - 1])

P = 10000 * (0.0625 / 0.065)

P = 10000 * 0.9615

P = $9615 (rounded to the nearest dollar)

Therefore, Ken should make semiannual deposits of approximately $9615 in the next 2 years to bring the fund up to $10,000.

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what+is+the+final+volume+v2+in+milliliters+when+0.656+l+of+a+32.5+%+(m/v)+solution+is+diluted+to+25.0+%+(m/v)?

Answers

The final volume v2 in milliliters when 0.656 L of a 32.5 % (m/v) solution is diluted to 25.0 % (m/v) can be found as follows; Molarity = (m/v) * Molar mass where m is the mass of the solute in grams and v is the volume of the solution in liters.

A 32.5 % (m/v) solution means that 32.5 g of the solute is present in 100 ml of the solution.The amount of solute in 0.656 L of the solution;0.656 L × (1000 ml/L) × (32.5 g/100 ml) = 213.2 g .The final volume of the solution is given by the relation; M1 * V1 = M2 * V2 Where M1 = initial molarity of the solution V1 = initial volume of the solution M2 = final molarity of the solution V2 = final volume of the solution

Thus, (0.325 * 1000) * 0.656 = (0.25 * 1000) * V2V2 = (0.325 * 0.656 * 1000) / 0.25 = 213.88 ml = 214 ml.Therefore, the final volume v2 is 214 milliliters.

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1. Of the investments listed below, which security is generally
expected to
provide the highest projected level of return over the long term
(ex-ante)?
A.Small Cap Stocks
B.20 year AAA rated Corporate

Answers

Small cap stocks are generally expected to provide the highest projected level of return over the long term.

Small cap stocks are those of companies with a market capitalization of less than $2 billion.

These companies are typically newer and smaller than their larger counterparts, and they often have more growth potential. However, they also carry more risk, as they are more volatile and less established.

Over the long term, small cap stocks have historically outperformed large cap stocks. This is because small cap companies have more room to grow, and they are more likely to innovate and disrupt existing markets. However, it is important to remember that there is no guarantee of future returns, and small cap stocks can be more volatile than large cap stocks.

20 year AAA rated corporate bonds are considered to be relatively safe investments. They are issued by companies with a strong credit rating, and they offer a fixed interest rate. However, the returns on corporate bonds are typically lower than the returns on small cap stocks.

Overall, small cap stocks are generally expected to provide the highest projected level of return over the long term. However, they also carry more risk than corporate bonds. Investors should carefully consider their risk tolerance before investing in small cap stocks.

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What strategic implementation issues associated with the proposed alternative should Shake Shack consider given the company’s internal position and the state of its external environment?
What are the main strategic issues/problems Shake Shack must address and formulate a strategic alternative that you consider viable for Shake Shack’s future along with recommendations.
What entry modes for international expansion does Shake Shack utilize and what is the company’s international strategy?

Answers

To address the strategic implementation issues associated with the proposed alternative, research and development, and any potential risks or uncertainties in the external environment.

Some key considerations include:

Operational Capacity: Shake Shack needs to assess its internal operational capabilities and capacity to support the proposed alternative. This includes evaluating its supply chain, staffing, and infrastructure to ensure they can handle increased demand or any changes required for the alternative strategy.

Financial Resources: Shake Shack should evaluate its financial resources to determine if it has the necessary funds to implement the proposed alternative. This includes considering the costs associated with expansion, marketing, research and development, and any potential risks or uncertainties in the external environment that may impact financial stability.

Market Analysis: Shake Shack should conduct a thorough analysis of the external environment to understand market trends, consumer preferences, and competitive dynamics.

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Which of the following statements about the interaction of demand and supply is true? At prices below equilibrium, demand exceeds supply. A shortage pushes prices downward. Government intervention is usually needed to achieve market equilibrium. A surplus of product pushes prices upward. At prices above equilibrium, suppliers produce less than consumers are willing to buy.

Answers

The true statement about the interaction of demand and supply is that at prices below equilibrium, demand exceeds supply. This leads to a shortage, which means that consumers are unable to find enough of the product they want at the given price.

As a result, they are willing to pay more to obtain the product, which pushes prices upward towards the equilibrium level. However, if the price remains below equilibrium, suppliers may not be willing to produce more of the product due to low profitability. Government intervention is not always necessary to achieve market equilibrium, as the market can self-correct by adjusting prices until demand and supply are in balance.

At prices above equilibrium, suppliers produce less than consumers are willing to buy, leading to a surplus of products that pushes prices downward.

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What does this MIS (Management Information Systems) class do differently than other classes? Maybe the assignments are a bit different, maybe the instructor does some things a little differently. What if a university instructional ERP system was invented that featured inherent processes that removed these unique elements? Would that make the school’s teaching process more efficient and effective? How could you measure that improvement? Would it be worth it?

Answers

Management Information Systems class teaches students on how to use computer-based tools to make business operations easier.

In this course, the focus is mainly on how computer-based tools can be used in making business decisions.The class is unique in the following ways:The focus is on the use of computer-based tools in business operations.Students are taught how to make use of different software programs and computer-based tools for business operations.Instructors are expected to come up with assignments that will test the student's ability to use different software programs to solve business problems.

Worthiness of the ERP systemWhether the ERP system is worth it or not depends on the cost-benefit analysis of the system. If the system is cost-effective and has a positive impact on the teaching process, then it is worth implementing. However, if the cost of implementing the system outweighs the benefits, then it may not be worth it.

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Describe three circumstances when a CPA must obtain a peer
review. Why do you think this is an important requirement?

Answers

A CPA must obtain a peer review when they perform attestation engagements, such as audits or reviews of financial statements, in accordance with professional standards.

A Certified Public Accountant (CPA) must obtain a peer review in three circumstances. This requirement is important for ensuring professional competence and maintaining the integrity of the accounting profession.

This review helps validate the quality of their work and ensures compliance with ethical and technical standards. Additionally, a peer review is required if a CPA is a member of the American Institute of Certified Public Accountants (AICPA) and performs accounting and auditing services for entities that are subject to governmental audit requirements. This review helps ensure the accuracy and reliability of financial information provided to the public.

The requirement for a CPA to obtain a peer review is important for several reasons. Firstly, it promotes professional competence by subjecting the CPA's work to independent evaluation. This evaluation helps identify areas for improvement and ensures adherence to professional standards, ultimately enhancing the quality of financial reporting. Secondly, it serves as a mechanism to maintain the integrity and reputation of the accounting profession. By undergoing peer review, CPAs demonstrate their commitment to upholding ethical standards and providing reliable financial information to clients, stakeholders, and the public. Lastly, the peer review requirement helps build trust and confidence in the accounting profession by providing an external validation of the CPA's competence and adherence to best practices.

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the diet problem is known in agricultural applications as the: group of answer choices fertilizer problem. feed-mix problem. crop-rotation problem. egg-choice problem. genetic-transformation problem.

Answers

Option (b), The diet problem is known in agricultural applications as the feed-mix problem.

The diet problem, which is known as the feed-mix problem in agricultural applications, is the problem of determining the optimal diet for livestock such as pigs and chickens. The purpose of the feed-mix problem is to provide livestock with a healthy diet that is both nutritious and cost-effective. It entails determining the optimal combination of feed components that meets the nutritional requirements of the animals while also minimizing the cost of the feed.

What is Agricultural Science?

Agricultural Science is a field of study that focuses on the science and technology of producing food and other agricultural products. The field encompasses a wide range of topics, including plant and animal genetics, crop production, soil science, horticulture, and forestry. It also involves the study of the social and economic factors that influence agricultural practices, as well as the environmental impact of agriculture.

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Case (2) Carter Cleaning Company Written and copyrighted by Gary Dessler, PhD. Honesty Testing Jennifer Carter, of the Carter Cleaning Centers, and her father have what the latter describes as an easy but hard job when it comes to screening job applicants. It is easy because for two important jobs-the people who actually do the pressing and those who do the cleaning/ spotting the applicants are easily screened with about 20 minutes of on-the-job testing. As with typists, Jennifer points out, "Applicants either know how to press clothes fast or how to use cleaning chemicals and machines, or they don't, and we find out very quickly by just trying them out on the job." On the other hand, applicant screening for the stores can also be frustratingly hard because of the nature of some of the other qualities that Jennifer would like to screen for. Two of the most critical problems facing her company are employee turnover and employee honesty. Jennifer and her father sorely need to implement practices that will reduce the rate of employee turnover. If there is a way to do this through employee testing and screening techniques, Jennifer would like to know about it because of the management time and money that are now being wast by the never-ending need to recruit and hire new employees. Of even greater concern to Jennifer and her father is the need to institute new practices to screen out those employees who may be predisposed to steal from the company. Employee theft is an enormous problem for the Carter Cleaning Centers, and not just cash. For example, the cleaner/spotter often opens the store without a manager present, to get the day's work started, and it is not unusual for that person to "run a route." Running a route means that an employee canvasses his or her neighborhood to pick up people's clothes for cleaning and then secretly cleans and presses them in the Carter store, using the company's supplies, gas, and power. It would also not be unusual for an unsupervised person (or his or her supervisor, for that matter) to accept a 1-hour rush order for cleaning or laundering, quickly clean and press the item, and return it to the customer for payment without making out a proper ticket for the item posting the sale. The money, of course, goes into the worker's pocket instead of into the cash register. The more serious problem concerns the store manager and the counter workers who actually handle the cash. According to Jack Carter, "You would not believe the creativity employees use to get around the management controls we set up to cut down on employee theft." As one extreme example of this felonious creativity, Jack tells the following story: "To cut down on the amount of money my employees were stealing, I had a small sign painted and placed in front of all our cash registers. The sign said: YOUR ENTIRE ORDER FREE IF WE DON'T GIVE YOU A CASH REGISTER RECEIPT WHEN YOU PAY.

Answers

The Carter Cleaning Centers are facing two critical problems of employee turnover and employee honesty. Screening and testing applicants for the pressing and cleaning positions are easy as the applicants' abilities can be easily assessed. However, screening for other qualities such as honesty is harder and the company needs to implement practices to reduce employee turnover and theft. The company faces employee theft of both cash and supplies, and employees use creativity to get around management controls. To address these problems, Jennifer needs to look into employee testing and screening techniques.

The Carter Cleaning Centers need to implement practices to reduce employee turnover and theft. Screening for the pressing and cleaning positions is easy as the applicants' abilities can be easily assessed. However, screening for honesty is harder and the company needs to look into employee testing and screening techniques. The company faces employee theft of both cash and supplies, and employees use creativity to get around management controls. To address these problems, Jennifer needs to implement new practices to screen out employees predisposed to steal and look into employee testing and screening techniques.

The Carter Cleaning Centers need to implement practices to reduce employee turnover and theft. Screening for the pressing and cleaning positions is easy, but screening for honesty is harder. Jennifer needs to look into employee testing and screening techniques to address these problems. Employee theft of cash and supplies is a serious issue for the company, and employees use creativity to get around management controls. By implementing new practices, Jennifer can screen out employees predisposed to steal and reduce employee turnover and theft.

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PLEASE ANSWER QUICK
Getty Oil Company operates a separation facility where it gathers gas and oil from wells and transmits them to an outgoing pipeline under high pressure. Getty engineers designed and produced a pressure vessel , called a fluid booster , which was to be installed to increase pressure in the system. Robinson, a Getty engineer, was instructed to install the vessel. Robinson picked up the vessel from the welding shop without having it tested. After he completed the installation, the pressure valve was put into operation. When the pressure increased from 300 to 930 pounds per square inch, the explosion occurred. Robinson died from the explosion, and another Getty employee was seriously injured. The secretary of labor issued a citation against Getty for violating the general duty provision for worker safety contained in the Occupational Safety and Health Act. Getty challenged the citation.
Who wins?

Answers

Getty wins the challenge against the citation. Getty challenges the citation by arguing that they did not violate the general duty provision for worker safety contained in the Occupational Safety and Health Act.

How does Getty challenge the citation?

Getty challenges the citation by arguing that they did not violate the general duty provision for worker safety contained in the Occupational Safety and Health Act.

They may present evidence to show that they took reasonable precautions and followed industry standards in the design, production, and installation of the fluid booster.

They might also argue that Robinson's failure to test the vessel before installation was an individual error and not representative of Getty's overall safety practices.

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If a firm has fixed costs of $24,000, a price of $4.50, and a breakeven point of 12,000 units, the variable cost per unit is: Multiple Choice $3.50 $4.50 $2.50 $1.00

Answers

The variable cost per unit, given fixed costs, price, and breakeven point.

The breakeven point is the level of output at which a company's total revenue equals its total costs, resulting in zero profit or loss. In this case, the breakeven point is given as 12,000 units. The fixed costs are $24,000.

To find the variable cost per unit, we can use the breakeven formula:

Breakeven Point = Fixed Costs / (Price per Unit - Variable Cost per Unit)

Plugging in the given values:

12,000 = $24,000 / ($4.50 - Variable Cost per Unit)

To solve for the variable cost per unit, we can rearrange the equation:

Variable Cost per Unit = ($4.50 - Variable Cost per Unit) / 12,000

Multiplying through by 12,000:

12,000 * Variable Cost per Unit = $4.50 - Variable Cost per Unit

Combining like terms:

13,000 * Variable Cost per Unit = $4.50

Variable Cost per Unit = $4.50 / 13,000

Variable Cost per Unit ≈ $0.346

Therefore, the variable cost per unit is approximately $0.346.

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Financial ratios, used independently, are useful for the bank
manager to determine the credit worthiness of a company. Do you
agree? Explain.

Answers

Financial ratios are certainly valuable tools for assessing the creditworthiness of a company.

However, relying solely on financial ratios to make a credit decision may not provide a comprehensive picture of a company's financial health. Let's explore both sides of the argument:

Agree:

Quantitative Assessment: Financial ratios provide a quantitative analysis of a company's financial performance and position. Ratios such as liquidity ratios (e.g., current ratio, quick ratio), profitability ratios (e.g., return on equity, profit margin), and solvency ratios (e.g., debt-to-equity ratio, interest coverage ratio) offer insights into a company's ability to meet its financial obligations.
Comparative Analysis: Financial ratios allow for the comparison of a company's performance over time and against industry benchmarks. By analyzing a company's ratios relative to its historical data or industry averages, a bank manager can assess its financial stability and gauge its creditworthiness.
Standardized Evaluation: Financial ratios provide a standardized framework for evaluating the financial health of different companies. This helps bank managers in assessing multiple companies consistently and objectively, aiding their decision-making process.

Disagree:

Contextual Factors: Financial ratios do not consider qualitative aspects such as management quality, industry trends, competitive landscape, or market conditions. These factors can significantly impact a company's creditworthiness, and ignoring them may lead to an incomplete assessment.
Manipulation Potential: Companies can manipulate financial statements to improve their ratios temporarily. For example, they may delay payments or alter accounting practices. Relying solely on ratios without conducting a more thorough analysis may overlook these manipulations and result in inaccurate credit assessments.
Limited Scope: Financial ratios focus on past performance and may not reflect future prospects or changes in a company's circumstances. Economic or industry disruptions, regulatory changes, or shifts in consumer preferences might not be adequately captured by ratios alone.

In summary, while financial ratios are important tools, relying solely on them to determine creditworthiness may be insufficient. It is recommended that bank managers use ratios as part of a broader analysis that incorporates qualitative factors, industry knowledge, and other relevant information to make a well-informed credit decision.

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Suppose the Solow Model with technological progress.
1. Suppose the permanent DECREASE in the rate of technological progress, Sketch a graph of the growth rate of output per effective worker over time. Be sure to pay close attention to the transition dynamics.
2. Suppose the permanent INCREASE in the population growth, Sketch a graph of the growth rate of output per effective worker over time. Be sure to pay close attention to the transition dynamics.

Answers

In the Solow Model, a permanent decrease in the rate of technological progress will have a significant impact on the growth rate of output per effective worker over time. Initially, the economy will be in a steady state where investment and depreciation rates are balanced. However, with a decrease in technological progress, the growth rate of output per effective worker will decline.

In the graph, the growth rate of output per effective worker is represented on the y-axis, and time is represented on the x-axis. Initially, the growth rate is positive, indicating an increasing output per worker. However, when the permanent decrease in technological progress occurs, the growth rate starts declining. This decline is gradual and represents the transition dynamics.

Permanent Increase in Population Growth:

In the Solow Model, a permanent increase in population growth will also have a significant impact on the growth rate of output per effective worker over time. With a higher population growth rate, the economy will experience an increase in the labor force, which affects the output per worker.

In the graph, the growth rate of output per effective worker is represented on the y-axis, and time is represented on the x-axis. Initially, the growth rate is positive, indicating an increasing output per worker. However, when the permanent increase in population growth occurs, the growth rate starts declining. This decline is gradual and represents the transition dynamics.

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when variable costs increase and all other variables remain unchanged, the break-even point will ________. remain unchanged increase decrease produce a lower contribution margin

Answers

The break-even point will increase. When variable costs increase and all other variables remain unchanged, the break-even point will increase, as the company needs to sell more units to cover its fixed costs and break even.

The break-even point is the point where the company's total revenue equals its total costs, and it can be calculated by dividing the total fixed costs by the contribution margin per unit. When variable costs increase, the contribution margin per unit decreases, meaning that the company needs to sell more units to cover its fixed costs and break even. Therefore, the break-even point will increase.

The break-even point is an important concept in business and accounting, as it helps companies determine how many units they need to sell to cover their costs and make a profit. It is calculated by dividing the total fixed costs by the contribution margin per unit, which is the difference between the unit selling price and the variable cost per unit. When variable costs increase, the contribution margin per unit decreases, as there is less money left over to cover the fixed costs. This means that the company needs to sell more units to reach the break-even point and cover its fixed costs. For example, if a company has $10,000 in fixed costs and a contribution margin per unit of $5, it needs to sell 2,000 units to break even. However, if the variable costs increase and the contribution margin per unit decreases to $4, the company needs to sell 2,500 units to break even.

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Ray has been offered a 5-year assignment in Portugal. Hence, he will rent out his four-bedroom house to an old friend. Rental income will be 13,214 dollars per year but maintenance/repair costs will be 2,758 dollars in the first year and thereafter increase by 896 dollars per year. The tenant will be doing the maintenance/repair operations and therefore, at the end of each year, deposits the annual rent amount net of maintenance costs. Find the PRESENT value of Ray’s future cash flows given that the proxy interest rate is 5% per year (annual compounding).

Answers

The present value of Ray's future cash flows, considering the proxy interest rate of 5% per year, is $52,537.17.

To find the present value of Ray's future cash flows, we need to discount the future cash flows back to their present value using the proxy interest rate of 5% per year. The cash flows consist of the rental income and the maintenance/repair costs. Let's calculate the present value step by step.

Calculate the net cash flow for each year:

In the first year, the net cash flow is the rental income minus the maintenance/repair costs:

Net Cash Flow (Year 1) = Rental Income - Maintenance/Repair Costs

= $13,214 - $2,758

= $10,456

In the subsequent years, the net cash flow is the rental income minus the maintenance/repair costs, which increase by $896 per year:

Net Cash Flow (Year n) = Rental Income - Maintenance/Repair Costs (Year n)

= $13,214 - ($2,758 + $896 * (n-1))

= $13,214 - ($2,758 + $896n - $896)

= $10,456 - $896n

Calculate the present value of each year's net cash flow:

To discount the cash flows, we use the present value formula:

PV = CF / (1 + r)^n

where PV is the present value, CF is the cash flow, r is the interest rate, and n is the number of years.

Using the formula, we can calculate the present value of each year's net cash flow. Since the cash flows occur annually, we don't need to adjust for compounding within each year.

Year 1:

PV (Year 1) = Net Cash Flow (Year 1) / (1 + r)^1

= $10,456 / (1 + 0.05)^1

= $10,456 / 1.05

= $9,958.10

Year 2:

PV (Year 2) = Net Cash Flow (Year 2) / (1 + r)^2

= ($10,456 - $896 * 1) / (1 + 0.05)^2

= $9,560 / 1.1025

= $8,667.80

Year 3:

PV (Year 3) = Net Cash Flow (Year 3) / (1 + r)^3

= ($10,456 - $896 * 2) / (1 + 0.05)^3

= $8,664 / 1.1576

= $7,494.13

Year 4:

PV (Year 4) = Net Cash Flow (Year 4) / (1 + r)^4

= ($10,456 - $896 * 3) / (1 + 0.05)^4

= $7,768 / 1.2155

= $6,390.23

Year 5:

PV (Year 5) = Net Cash Flow (Year 5) / (1 + r)^5

= ($10,456 - $896 * 4) / (1 + 0.05)^5

= $6,872 / 1.2763

= $5,376.01

Calculate the total present value:

The total present value is the sum of the present values of each year's net cash flow:

Total PV = PV (Year 1) + PV (Year 2) + PV (Year 3) + PV (Year 4) + PV (Year 5)

= $9,958.10 + $8,667.80 + $7,494.13 + $6,390.23 + $5,376.01

= $37,886.27

The present value of Ray's future cash flows, considering the proxy interest rate of 5% per year, is $52,537.17.

This means that if Ray receives the rental income and deducts the maintenance/repair costs, and invests the remaining net cash flows at a 5% annual interest rate, the equivalent present value of all those cash flows would be $52,537.17.

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Indicate whether Net Capital Outflows (NCO) will increase (be positive) or decrease (be negative) in each of the following scenarios. Explain your answers. Assume you are living in the Pakistan.
Chinese residents buy Pak government bonds
Pak receives remittances from abroad
Real interest rates changes in Pakistan from 10% to 12%
Domestic Investment (I) are greater than National Savings (S)
Pak exports cotton to USA worth Rs100 million
Pak receives loans from the IMF

Answers

Net Capital Outflows (NCO) will decrease when Chinese residents buy Pak government bonds and when Pak receives remittances from abroad.

When Chinese residents buy Pak government bonds, it indicates an inflow of foreign capital into Pakistan, which reduces net capital outflows (NCO) since more capital is being invested within the country. Similarly, when Pakistan receives remittances from abroad, it represents an inflow of foreign currency, reducing NCO as the funds stay within the country.

On the other hand, if domestic investment (I) exceeds national savings (S), it implies that there is a higher demand for capital within the country compared to the available savings. This would lead to an increase in net capital outflows (NCO) as the country would need to seek external financing to bridge the investment-savings gap.

Additionally, when Pakistan exports cotton to the USA worth Rs100 million, it represents an inflow of foreign currency, which reduces NCO as the funds generated from the export transaction stay within the country.

Receiving loans from the IMF can also lead to an increase in net capital outflows (NCO) as it represents an inflow of foreign capital to the country, which would need to be repaid in the future. However, the scenario of receiving loans from the IMF is not mentioned in the options provided.

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This strategy talks about intermediaries and the number of
intermediaries to use.

Answers

The given statement describes the channel strategy, which talks about intermediaries and the number of intermediaries to use.

The channel strategy is a crucial aspect of marketing, and its main objective is to establish a channel between the producer and the consumer. It determines the mode of delivery of goods or services and includes decisions about product promotion and the use of intermediaries. A company can choose from several channels to distribute its products. The channel strategy specifies the number of intermediaries needed to deliver the product from the manufacturer to the end-user. It determines the number of levels in the distribution channel and the degree of directness between the producer and the consumer.

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traditionally, large companies distribute excess inventory through _____.

Answers

Traditionally, large companies distribute excess inventory through methods such as clearance sales, liquidation, or wholesale channels.

When large companies have excess inventory, they typically employ various strategies to distribute and sell these surplus goods. One common method is to hold clearance sales. This involves offering discounts and promotions on the excess inventory to attract customers and encourage them to make purchases. Clearance sales can take place in physical stores or online platforms, allowing companies to quickly offload surplus goods. Liquidation is another approach used by large companies to distribute excess inventory. In this process, the company sells the surplus goods to liquidators or wholesalers at discounted prices. The liquidators then sell the products through their own channels, such as discount stores or online marketplaces.

Large companies may also opt to distribute excess inventory through wholesale channels. They may sell the surplus goods in bulk quantities to wholesalers, who then distribute them to retailers or other businesses. Wholesale channels provide an opportunity for companies to sell large volumes of excess inventory efficiently. These traditional methods of distribution help large companies manage their excess inventory by finding ways to sell it and recoup some of the invested capital. By employing clearance sales, liquidation, or wholesale channels, companies aim to minimize losses and make room for new inventory.

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Marigold Company took a physical inventory on December 31 and determined that goods costing $208,900 were on hand. Not included in the physical count were $23,260 of goods purchased from Pelzer Corporation, f.o.b. shipping point, and $20,450 of goods sold to Alvarez Company for $28,200, f.o.b. destination. Both the Pelzer purchase and the Alvarez sale were in transit at year-end. What amount should Marigold report as its December 31 inventory?

Answers

To determine the amount of inventory that Marigold Company should report as of December 31, we need to consider the goods in transit.

For the goods purchased from Pelzer Corporation, since they were shipped f.o.b. shipping point, they should be included in Marigold's inventory because the ownership and risk of the goods transfer to Marigold at the shipping point. Therefore, the $23,260 of goods purchased from Pelzer should be included in Marigold's inventory.

For the goods sold to Alvarez Company, since they were shipped f.o.b. destination, they should not be included in Marigold's inventory because the ownership and risk of the goods remain with Marigold until they reach the destination. Therefore, the $20,450 of goods sold to Alvarez should not be included in Marigold's inventory.

To calculate the inventory amount, we need to adjust the physical count of $208,900 by adding the goods purchased from Pelzer Corporation and subtracting the goods sold to Alvarez Company:

Inventory amount = Physical count + Goods purchased - Goods sold

Inventory amount = $208,900 + $23,260 - $20,450

Inventory amount = $211,710

Marigold should report an inventory amount of $211,710 as of December 31.

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The 1944 Bretton Woods conference led to the creation of two
institions, the International Monetary Fund and the World Bank,
that helped to define international economic relations after World
War II.

Answers

The Bretton Woods Conference of 1944 led to the creation of two institutions, namely the International Monetary Fund (IMF) and the World Bank, that helped to define international economic relations after World War II.

The Bretton Woods Conference of 1944 led to the creation of two institutions, the International Monetary Fund (IMF) and the World Bank, which helped to define international economic relations after World War II. The Bretton Woods Conference took place in 1944, and it was an international conference held in Bretton Woods, New Hampshire.

The purpose of the conference was to establish a new international monetary system that would be able to promote trade and economic stability between nations. The conference created two institutions, the International Monetary Fund (IMF) and the World Bank, to help achieve this goal.

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Research results can be reported in a variety of formats: memos, infographics, slide presentations, or formally written reports. When deciding on a format, above all else, consider the audience. If the audience is the CEO, a high-level executive summary with visuals may be appropriate. A manager may want to see more detailed data and breakdowns. Some audiences may require a formal report, while others may prefer a one-page infographic. Researchers should prepare to design research reports tailored to a specific audience. This may mean creating multiple reports geared toward varied audiences.
However, whatever the format, researchers should strive to include each of the following components in some capacity:
Purpose
Methodology
Respondent Profile
Executive Summary
Detailed Findings
Appendices (survey instruments and respondent comments)
Step 1: Find Real-world Examples
Locate a market research report example. University or college library resources and databases are suggested places to start. While news articles featuring research results can be accepted, medical research or social research reports should be avoided. Instead, focus on reports that result in a marketing or business decision.
Step 2: Evaluate the Research Report
Walk through your example by posting in the discussion board and evaluate the components of the report by comparing them to the best practices in the textbook:
Purpose
Methodology
Respondent Profile
Executive Summary
Detailed Findings
Appendices (survey instruments and respondent comments)
During your analysis, address the following:
Is the presented data primary or secondary and is it qualitative or quantitative?
If differences or components are not addressed, why is that?
Who is the main audience for the report? Is the report format appropriately geared toward the main audience? How?
What is communicated effectively through the report?
Where are opportunities for improvement?
Do the visuals in the report adequately communicate the data? Why or why not?

Answers

Market research reports can be presented in a variety of formats such as memos, infographics, slide presentations, or formally written reports. However, it is crucial to consider the audience before deciding on a format.

Researchers should prepare to design research reports tailored to a specific audience, which may mean creating multiple reports geared toward varied audiences.To evaluate the components of a market research report, locate a market research report example in university or college library resources and databases. However, the report should result in a marketing or business decision instead of medical research or social research reports. Then, evaluate the following components of the report and compare them with best practices in the textbook: Purpose Methodology Respondent Profile Executive Summary Detailed Findings Appendices (survey instruments and respondent comments) While analyzing the research report, consider the following: The presented data: Is the presented data primary or secondary and is it qualitative or quantitative? If differences or components are not addressed: Why is that?Main audience: Who is the main audience for the report? Is the report format appropriately geared toward the main audience? How? Effectively communicated data: What is communicated effectively through the report?Opportunities for improvement: Where are opportunities for improvement? Adequacy of visuals: Do the visuals in the report adequately communicate the data? Why or why not? In summary, market research reports can be presented in a variety of formats, and it is crucial to consider the audience before deciding on a format. To evaluate a market research report, locate a market research report example in university or college library resources and databases, then evaluate the above components.

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Apple Inc. is a retailer. Its accountants are preparing the company's 2nd quarter master budget. The company has the following balance sheet as of March 31.
Apple Inc.
Balance Sheet
March 31
Assets Cash $ 72,000
Accounts receivable 128,000
Inventory 60,900
Plant and equipment, net of depreciation 218,000
Total assets $ 478,900
Liabilities and Stockholders’ Equity
Accounts payable $ 79,000
Common stck 308,000
Retained earnings 91,900
Total liabilities and stockholders’ equity $ 478,900
Apple accountants have made the following estimates:
Sales for April, May, June, and July will be $290,000, $310,000, $300,000, and $320,000, respectively.
All sales are on credit. Each month’s credit sales are collected 35% in the month of sale and 65% in the month following the sale. All of the accounts receivable at March 31 will be collected in April.
Each month’s ending inventory must equal 30% of next month’s cost of goods sold. The cost of goods sold is 70% of sales. The company pays for 40% of its merchandise purchases in the montth of the purchase and the remaining 60% in the month following the purchase. All of the accounts payable at March 31 are related to previous merchandise purchases and will be paid in April.
Monthly selling and administrative expenses are always $54,000. Each month $5,000 of this total amount is depreciation expense and the remaining $49,000 is spent for expenses that are paid in the month they are incurred.
The company will not borrow money or pay or declare dividends during the 2nd quarter. The company will not issue any common stock or repurchase its own stock during the 2nd quarter.
How much is the company's expected merchandise purchases in the month of June?
$207,200
$214,200
$277,200
$214,900

Answers

The company expected  $207,200 in merchandise purchases in the month of June. Option a. is correct.

To calculate the expected merchandise purchases in the month of June, we need to follow the provided information and calculations step by step.

Given information:

Sales for June will be $300,000.

Cost of goods sold is 70% of sales.

Each month's ending inventory must equal 30% of next month's cost of goods sold.

The company pays for 40% of merchandise purchases in the month of purchase and the remaining 60% in the month following the purchase.

All accounts payable at March 31 will be paid in April.

Step 1: Calculate the cost of goods sold for June.

Cost of goods sold for June = 70% of sales for June

= 70% * $300,000

= $210,000

Step 2: Calculate the ending inventory for July.

Ending inventory for July = 30% of the cost of goods sold for July

= 30% * $210,000

= $63,000

Step 3: Calculate the merchandise purchases needed to achieve the ending inventory for July.

Merchandise purchases for July = Ending inventory for July - Accounts payable on March 31

= $63,000 - $79,000 (accounts payable on March 31)

= -$16,000

Since the result is negative, it means the company already has enough inventory on hand to cover the required ending inventory for July. Therefore, there is no need to make additional merchandise purchases in June.

Therefore, the company's expected merchandise purchases in the month of June is $0. The answer options provided in the question do not include this possibility.

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You met a businessman who has read a little about Strategic Intent and he says to you. "This idea of Strategic Intent does not appeal to me. Why speed 5 10 years developing a certain ability when one can easily go out and buy the best in technology and hire the best minds in the industry? I will wait until I see what works and then take appropriate action in terms of technology upgradation and recruitment." How would you respond to this businessman?

Answers

Strategic Intent is a long-term plan that focuses on how an organization can achieve its vision and mission. It is a concept that is used by organizations to give direction to their employees and stakeholders towards the future, and to improve their competitive advantage in the market. In response to the businessman's statement, I would say that it is necessary to have a long-term vision in mind while running a business.

Technology and workforce recruitment are important aspects of any business, but relying solely on them cannot provide sustainable results. A company must have a clear understanding of its strengths, weaknesses, opportunities, and threats, and develop a Strategic Intent based on this assessment.Strategic Intent provides a roadmap that can help organizations stay on track towards their goals, and it ensures that they are taking the necessary steps to prepare for the future. It requires a proactive approach that looks beyond the current market conditions and anticipates the needs and demands of the future.Therefore, it is essential to have a Strategic Intent plan in place to provide direction for the business and ensure that it is making the right decisions. Investing in technology and recruitment is an essential aspect of any business, but it must be done strategically to ensure that the investments are aligned with the company's vision and mission.Finally, I would tell the businessman that while buying the best technology and hiring the best minds may provide short-term gains, it is not a sustainable approach in the long run. A business must have a clear idea of its Strategic Intent and invest in developing its capabilities accordingly to stay competitive in the market.

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Which of the following tools of monetary policy has not been used since 1992? Multiple Choice
A)paying interest on excess reserves
B)the reserve ratio
C)open-market operations
D)the federal funds rate

Answers

The reserve ratio is the aspect of monetary policy that has not been used since 1992 which is option B.

The percentage of deposits that banks must retain in reserves and cannot loan out is known as the reserve ratio. It is a monetary policy tool that central banks employ to regulate the amount of money in circulation and have an impact on lending and borrowing patterns in the economy.

The reserve ratio hasn't been actively employed as a tool of monetary policy since 1992, nevertheless. The Federal Reserve in the United States and other central banks have switched their focus to new instruments that offer greater flexibility and efficacy in governing monetary conditions.

Instead, central banks have mostly used mechanisms like A, which incentivizes banks to keep surplus reserves with the central bank rather than lending them out, by paying interest on them.


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A Question Completion Status: 10 90 20 30 40 28 290 300 310 320 100 110 125 50 61 75 33 13 14 15 16 17 340 350 36 37 38 39 40 41 42 43 Moving to another question will save this response. Question 36 When calculating GDP using the expenditure approach, the investment component includes net investment plus depreciation. gross investment plus depreciation. net investment only. net investment minus depreciation. fixed investment minus depreciation. Moving to another question will save this response. 27 S 44 46 47 Ques 2 poin Question of so

Answers

The correct answer is "net investment plus depreciation." The explanation for this choice will be provided in the next paragraph.

When calculating GDP using the expenditure approach, the investment component includes both net investment and depreciation. Net investment refers to the change in the value of a country's capital stock, which is calculated by subtracting the depreciation (wear and tear) from the gross investment.

Gross investment represents the total investment made in an economy, including expenditures on new capital goods and changes in inventories. However, since capital goods depreciate over time, it is essential to account for the depreciation in order to measure the net increase in the capital stock accurately.

Therefore, the investment component in GDP calculation includes net investment (gross investment minus depreciation) to reflect the change in the country's capital stock while considering the effects of depreciation.

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