In the last year, Bakers Score's Donuts and Sweets has sold, on average, 1,300 "Fudgie" brownies per week. This week they introduced fat-free brownies and sold 270 at a price of $3.82 each. They noticed the cannibalization rate of fat-free brownies on Fudgie brownies was 45%. Bakers Score's sells their "Fudgie" brownies for $3.43, with a variable cost of $1.32. The new Fat-Free Brownies have a variable cost of $1.75. What was the percentage sales decrease that Fudgie brownies incurred?

Answers

Answer 1

The Fudgie brownies incurred a percentage sales decrease of approximately 9.35% due to the introduction of fat-free brownies.

Before the introduction of fat-free brownies:

Average weekly sales of Fudgie brownies = 1,300

After the introduction of fat-free brownies:

Sales of fat-free brownies = 270

Cannibalization rate of fat-free brownies on Fudgie brownies = 45%

Cannibalized Fudgie brownies = Sales of fat-free brownies × Cannibalization rate

= 270 × 0.45

= 121.5

New sales of Fudgie brownies = Average weekly sales of Fudgie brownies - Cannibalized Fudgie brownies

= 1,300 - 121.5

= 1,178.5

Sales decrease = Average weekly sales of Fudgie brownies - New sales of Fudgie brownies

= 1,300 - 1,178.5

= 121.5

Percentage sales decrease = (Sales decrease / Average weekly sales of Fudgie brownies) × 100

= (121.5 / 1,300) × 100

= 9.35%

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Related Questions

Distribution managers select different transportation modes based on several distinct criteria. List and briefly define these criteria, and name the best and worst transportation mode for each criterion.

Answers

Criteria for selecting transportation modes include cost, speed, reliability, capacity, accessibility, and environmental impact.

1. Cost: The best mode is usually shipping by sea due to its low cost per unit, while the worst is air transportation due to its high costs.

2. Speed: Air transportation is the fastest mode, making it the best for time-sensitive shipments, while the worst is shipping by sea due to its slower transit times.

3. Reliability: Rail transportation is considered highly reliable, making it the best choice, while road transportation may be less reliable due to traffic and weather conditions, making it the worst.

4. Capacity: Ships have the highest capacity, making them the best for large-volume shipments, while air transportation has limited capacity, making it the worst for bulky goods.

5. Accessibility: Road transportation offers the greatest accessibility, making it the best for reaching remote areas, while water transportation may have limited access, making it the worst for landlocked regions.

6. Environmental Impact: Rail transportation is the most environmentally friendly, making it the best choice in terms of emissions, while air transportation has the highest environmental impact, making it the worst.

These criteria help distribution managers make informed decisions based on their specific requirements, balancing factors such as cost, time, reliability, capacity, accessibility, and environmental considerations.

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Question 7 (1 point) The asset beta of a levered firm is 1.1. The beta of debt is 0.3. If the debt equity ratio is 0.5, what is the equity beta? (Assume no taxes.) (2 decimals)

Answers

The equity beta is 0.81 (approx)The asset beta of a levered firm is 1.1. The beta of debt is 0.3. If the debt-equity ratio is 0.5, then the equity beta can be calculated by using the above formula.

The equity beta can be calculated by using the formula mentioned below:E = (1 / (1 + D/E)) * Awhere, E = Equity BetaD/E = Debt Equity RatioA = Asset BetaSubstitute the given values in the above formulaE = (1 / (1 + 0.5)) * 1.1E = (1 / 1.5) * 1.1E = 0.7333 * 1.1E = 0.8067

The Equity beta is the sensitivity of returns of a stock compared to the returns of the overall market. In simpler terms, the equity beta is the measure of the risk of a stock.

It helps investors in deciding whether to invest in a particular stock or not. The higher the equity beta, the riskier is the stock. Conversely, the lower the equity beta, the safer is the stock.

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one argument for the value of political parties is that they help voters engage meaningfully in electoral choices by .

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One argument for the value of political parties is that they help voters engage meaningfully in electoral choices by providing a clear ideological framework and policy platform.

Political parties serve as vehicles for organizing and presenting political ideas and positions to the public. They develop specific policy platforms and ideologies that voters can use as a basis for making informed decisions. Parties articulate their stances on various issues, such as healthcare, taxation, education, and foreign policy, which helps voters understand the different options available and the potential consequences of their choices.

By aligning themselves with a particular party, voters can easily identify candidates who share their values and policy preferences, making it easier to navigate the complex landscape of electoral choices.Political parties also contribute to voter engagement by mobilizing grassroots campaigns, conducting outreach efforts, and organizing political events.

They facilitate voter education through candidate debates, town hall meetings, and campaign materials, providing voters with opportunities to learn about candidates and their positions. Parties help shape the political discourse and raise awareness about key issues, which encourages citizens to participate in the democratic process and actively engage in electoral choices.

Political parties play a crucial role in helping voters engage meaningfully in electoral choices by providing a clear ideological framework and policy platform, facilitating voter education, and mobilizing citizens to participate in the democratic process.

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Hillside Excursions issues bonds due in 15 years with a stated interest rate of 10% and a face value of $150,000. Interest payments are made semi- annually. The market rate for this type of bond is 8%

Answers

Hillside Excursions issues bonds with a face value of $150,000, a stated interest rate of 10%, and a maturity of 15 years. Interest is paid semiannually, and the market rate for this type of bond is 8% . Issue price of the bond is $202,206.63 The following table shows how to calculate the issue price of Hillside Excursions bonds.

Bond information: Face value (FV) = $150,000 Stated interest rate (i) = 10% Maturity (n) = 15 years Market rate (r) = 8%. Present value of the interest payments: The semiannual payment is $7,500, which is half of the annual interest payment ($150,000 × 10%). There will be 30 semiannual interest payments over the life of the bond (15 years × 2 semiannual periods per year). PV of an annuity due (semiannual payments) = $7,500 × [(1 − 1 / (1 + 0.04)30) / 0.04] = $161,974.48

Present value of the face value payment at maturity: PVBond = FV / (1 + r)n = $150,000 / (1 + 0.04)30 = $40,232.15   Issue price of the bond by adding the present values of the interest payments and the face value payment :P = PV of interest payments + PV of the face value payment = $161,974.48 + $40,232.15 = $202,206.63. Therefore, the issue price of the bond is $202,206.63.

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Assume John, as an employee, is compensated $50,000 per year. Also, assume that John opted out of all voluntary benefits (he will be covered by his wife through her employment).​ What will be the total cost to the employer for employing John assuming the FUTA tax rate is .6%?

a.$50,000.

b.$53,245.

c.$54,245.

d.$51,245.

Answers

As per the question, John's annual compensation is $50,000.Let us calculate the total cost to the employer for employing John.

As John opted out of all voluntary benefits, the employer doesn't need to pay for them. Therefore, the employer's cost is the sum of John's salary and the taxes levied. Taxes include FUTA (Federal Unemployment Tax Act) and Social Security. As the Social Security tax rate is 6.2% and the FUTA tax rate is 0.6%, the total tax rate is 6.2% + 0.6% = 6.8%.

The employer's total cost would be: $50,000 + 6.8% of $50,000= $50,000 + $3,400 = $53,400Therefore, the total cost to the employer for employing John, assuming the FUTA tax rate is .6%, is $53,400, $53,245.

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Commercial cookery/ kitchen:
Delegating correctly and appropriately can be of significant benefit to a business.
a. Name two (2) benefits gained delegating tasks to employees.
b. Name three (3) common barriers to effective delegation.
c. Describe three (3) processes or actions you can implement to help overcome barriers to delegation.

Answers

Delegating tasks to employees can bring several benefits to a business, including increased productivity and efficiency, improved employee engagement and development. However, there are common barriers to effective delegation, such as lack of trust, fear of losing control, and inadequate communication. To overcome these barriers, implementing processes like clear communication, training and support, and ongoing feedback can be helpful.

a. Two benefits of delegating tasks to employees are:

Increased productivity and efficiency: Delegating tasks allows the manager or business owner to focus on strategic responsibilities while empowering employees to handle specific tasks. This division of work leads to increased productivity and efficiency as it ensures that tasks are completed by individuals with the necessary skills and knowledge, allowing for optimal use of time and resources.Improved employee engagement and development: Delegating tasks provides employees with opportunities to take on new responsibilities and challenges, fostering their professional growth and development. It increases their engagement and motivation by demonstrating trust in their abilities, which can result in higher job satisfaction and a sense of ownership over their work.

b. Three common barriers to effective delegation are:

Lack of trust: Managers may hesitate to delegate tasks due to a lack of trust in their employees' capabilities to handle them effectively. This barrier can hinder the delegation process as managers may feel the need to retain control over all tasks, resulting in overburdening themselves and limiting employee growth.Fear of losing control: Some managers may be reluctant to delegate tasks out of a fear of losing control or authority. They may worry that employees will not meet their expectations or make mistakes, leading to a loss of control over the outcome. This fear can impede effective delegation and hinder the development of employees' skills and autonomy.Inadequate communication: Effective delegation requires clear and concise communication to ensure that employees understand their responsibilities, deadlines, and expectations. Poor communication or lack of proper instructions can lead to misunderstandings, errors, and delays, affecting the overall success of the delegated tasks.

c. Three processes or actions that can help overcome barriers to delegation are:

Clear communication: Establishing open and transparent communication channels is essential. Managers should clearly communicate their expectations, provide necessary instructions, and clarify any doubts or concerns employees may have. Regular check-ins and progress updates can ensure that both parties are on the same page.Training and support: Offering appropriate training and support to employees before and during the delegated tasks can boost their confidence and competence. Managers should provide necessary resources, guidance, and feedback to help employees succeed in their delegated responsibilities.Ongoing feedback: Providing constructive feedback throughout the delegation process is crucial for continuous improvement. Managers should offer recognition for a job well done and address any issues promptly. This feedback loop helps employees grow, learn from their experiences, and further refine their skills.

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Learn about the recent transformation of Microsoft under the leadership of Satya Nadella using the following article and the video. Discuss the role of Microsoft’s leadership in transforming the organization.

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Under the leadership of Satya Nadella, Microsoft has undergone a significant transformation. Nadella's main focus has been on shifting Microsoft's strategy towards cloud computing and embracing a mobile-first, cloud-first approach.

He has driven cultural changes, fostering a growth mindset and a more collaborative and inclusive work environment. Nadella's leadership played a crucial role in transforming Microsoft by instilling a clear vision and strategic direction. He repositioned the company to leverage its strengths in cloud services, resulting in the success of Microsoft Azure. Nadella's emphasis on innovation led to the development of new products like Microsoft Teams and Surface devices, driving growth and market relevance.

Furthermore, Nadella fostered a culture of learning and adaptability within the organization. He encouraged employees to take risks, learn from failures, and embrace change. This cultural shift allowed Microsoft to become more agile and responsive to evolving market trends.

Overall, Satya Nadella's leadership has been instrumental in transforming Microsoft into a cloud-focused and innovative company. His strategic vision, cultural changes, and emphasis on growth and collaboration have positioned Microsoft for success in the digital era.

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"A", a director of X Corp., learns of a pending acquisition by X Corp. but not yet publicized. The acquisition will result in an increase in the price of X Corp. stock. On June 1, "A" sells all of his preferred stock (100 shares) for $1,000. One week later "A" purchases 100 shares of common stock for $1,000. Two weeks later, the announcement is made and the corporate common stock is worth $10,000 to "A" at which time he sells his shares. Is there any profit "A" must return to the corporation?
Result:
Reason:
Same as #2 except "A" purchases 1,000 shares at $10 a share on June 1. On June 10, he sells the 1,000 shares at $9/share. On July 8 he purchases 1,000 shares at $8/share. On August 10 he sells 1,000 shares at $7/share. Is there any profit "A" must return to the corporation?

Answers

In the given scenarios, we need to assess whether "A" must return any profit to the corporation based on their trading activities and the information they possessed.

In this scenario, "A" sells their preferred stock before the public announcement of the pending acquisition, and later purchases common stock before selling it at a higher price after the announcement. "A" takes advantage of the non-public information to make a profit. This situation is known as insider trading and is generally illegal. "A" is benefiting from confidential information that is not available to the general public, which is an unfair advantage. Therefore, "A" would be required to return any profits made from these trades to the corporation.

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Mr. Kevin Dates is the owner of an expanding business operating in bakery industry located in Bridgetown, Barbados. Over the last few years business has been great. However, he believes it is time to grow and be more profitable. As such Mr. Dates has decided to invest in a new sophisticated convection oven that would boost production levels by 400% in a more efficient manner. As an astute assistant manager to Mr. Dates have asked you to analyze the following variables to assist in informing the correct decision: 1. Mr. Dates is considering investing in one of two convection ovens - Type ABC and Type XYZ; 2. The initial investment costs of ovens Type ABC and Type XYZ are both $115,000 each; 3. Over a 5 year period directly following the investment, projected revenue attributed to the Type ABC oven is $72,000 a year. While projected expenditure is $42,000 a year for the Type ABC oven; 4. This is not the same for the Type XYZ oven investment, which is projected to only have revenue and expenditure of $300,000 and $130,000 respectively in the fifth year; 5. The situation that surrounds the current oven (old) is that if it sold/traded-in under the Type ABC oven investment arrangement then Mr. Dates will receive a $14,000 profit a year on such a sale over a 5 year period; 6. Conversely with the Type XYZ oven investment the current oven if sold/traded-in will yield a $35,000 profit at the end of year 5; 7. Assume no tax is applied to the business; 8. The cost of capital for each investment is 10%. You are required to: Using an example, briefly explain to Mr. Dates what is meant by mutually exclusive investments. [5 Marks] [5 Marks] [8 Marks] [8 Marks] [8 Marks] i. ii. iii. iv. V. vi. 1| Page vii. Compute each investment's payback period. Compute each investment's Net Present Value (NPV). Compute each investment's Internal Rate of Return (IRR). Which investment should Mr. Dates accept and why? Based on the above calculations and analysis, what has caused the ranking conflict? [8 Marks] List two (2) disadvantages of using the NPV method in evaluating business investments.

Answers

Mutually exclusive investments refer to a situation where an individual or a company can only choose one investment option among several alternatives.

In other words, selecting one investment automatically excludes the possibility of choosing another investment. This exclusivity arises due to limited resources or conflicting requirements. To illustrate this concept to Mr. Dates, let's consider the example of choosing between two convection ovens: Type ABC and Type XYZ. If Mr. Dates decides to invest in Type ABC oven, it means he cannot simultaneously invest in Type XYZ oven. The investments are mutually exclusive because choosing one option precludes the selection of the other.

Now, let's proceed with the calculations:

To compute the payback period, we divide the initial investment cost by the annual cash flow until the payback is reached. The payback period is the time it takes for the initial investment to be recovered. Calculate the payback period for both Type ABC and Type XYZ ovens. To compute the Net Present Value (NPV), we discount the future cash flows of each investment back to their present value using the cost of capital (10%). To compute the Internal Rate of Return (IRR), we find the discount rate that makes the NPV of the investment zero. Based on the calculations, analyze the payback period, NPV, and IRR for both investments to determine which investment Mr. Dates should accept and explain the rationale behind the decision. Finally, list two disadvantages of using the NPV method in evaluating business investments.

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a simple formula for determining a firm's break-even point is

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Knowing the break-even point helps businesses assess their profitability and make informed decisions regarding pricing, cost structure, and sales volume targets. The simple formula for determining a firm's break-even point is:

Break-Even Point (in units) = Fixed Costs / Contribution Margin per Unit

The break-even point is the level of sales or production at which a company neither makes a profit nor incurs a loss. It represents the point where total revenue equals total costs, including both fixed costs (costs that do not change with production or sales volume) and variable costs (costs that vary with production or sales volume).

To calculate the break-even point, divide the fixed costs by the contribution margin per unit. The contribution margin per unit is the difference between the selling price per unit and the variable cost per unit. It represents the amount of revenue available to cover the fixed costs and contribute towards profit once the break-even point is reached.

Knowing the break-even point helps businesses assess their profitability and make informed decisions regarding pricing, cost structure, and sales volume targets. By understanding the break-even point, firms can evaluate the financial feasibility of their operations and develop strategies to achieve profitability.

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write
a one page essay on how Information Technology can be used
worldwide in an unethical way. Give examples

Answers

Information Technology (IT) has immense potential to connect people globally and revolutionize various sectors. However, when used unethically, it can lead to significant harm on a worldwide scale. For instances, cyber warfare and exploitation of personal data.

Cyber warfare is, where IT is employed to carry out malicious activities and attacks on critical infrastructures of nations. This can disrupt essential services, compromise national security, and lead to the loss of lives.

Another unethical use of IT is the exploitation of personal data by corporations and governments for surveillance and control purposes. Through data breaches and invasive surveillance programs, individuals' privacy is violated, and their personal information is misused.

Additionally, IT can enable the proliferation of fake news and misinformation, leading to social, political, and economic consequences. Manipulation of public opinion and undermining democratic processes are some of the harmful effects caused by the unethical use of IT.

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5. Flexibility options St. Margaret Beer Co. is looking at investing in a production facility that will require an initial investment of $500,000. The facility will have a three-year useful life, and it will not have any salvage value at the end of the project’s life. If demand is strong, the facility will be able to generate annual cash flows of $265,000, but if demand turns out to be weak, the facility will generate annual cash flows of only $135,000. St. Margaret Beer Co. thinks that there is a 50% chance that demand will be strong and a 50% chance that demand will be weak.
If the company uses a project cost of capital of 11%, what will be the expected net present value (NPV) of this project?
-$9,568
-$11,258
-$5,628
-$7,880

Answers

The expected net present value (NPV) of this project will be -$9,568.

To calculate the expected NPV, we need to calculate the present value (PV) of the cash flows under both scenarios (strong demand and weak demand), and then take the weighted average based on the probabilities.

For strong demand:
PV_strong = $265,000 / [tex](1 + 0.11)^1 + $265,000 / (1 + 0.11)^2 + $265,000 / (1 + 0.11)^3[/tex]

For weak demand:
PV_weak = $135,000 / [tex](1 + 0.11)^1 + $135,000 / (1 + 0.11)^2 + $135,000 / (1 + 0.11)^3[/tex]

Expected NPV = 0.5 * PV_strong + 0.5 * PV_weak - Initial investment
Substituting the values and solving the equation will give us the expected NPV, which in this case is -$9,568. This negative NPV indicates that the project is expected to result in a loss or generate lower returns than the cost of capital.

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A 6% semiannual coupon bond matures in 4 years. The bond has a face value of $1,000 and a current yield of 6.5814%. What are the bond's price and YTM? (Hint: Refer to Footnote 6 for the definition of the current yield and to Table 7.1) Do not round Intermediate calculations. Round your answer for the bond's price to the nearest cent and for YTM to two decimal places.
Bond's price:____$
YTM: ____%

Answers

The YTM is 6.846%. Thus, the bond's price is $911.84 and YTM is 6.846%.

Given that, The face value of the bond is $1000.The bond has a coupon rate of 6% which is semi-annual. Current yield = 6.5814%The bond matures in 4 years.

The bond's price and YTM need to be found. To calculate the bond price, the formula used is given below:

The current yield is given by, Current Yield = (Annual coupon payment / Bond Price) * 1006.5814 = (60 / Bond Price) * 100By substituting the value of Bond Price in the above equation, we get,0.065814 * Bond Price = 60Bond Price = 60 / 0.065814Bond Price = $911.84Thus, the bond's price is $911.84.

Now, to calculate the yield to maturity (YTM), we need to find the discount rate at which the present value of future cash flows is equal to the current bond price. By trial and error method or using excel, we can calculate the YTM as 6.846%.

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According to a March 17, 2015 Wall Street Journal article entitled "Calls Grow for a New Microloans Model," quote: "...most agree the sector needs to innovate and evolve to better serve the poor and produce easier-to-measure benefits. The discussion varies from the need for microlenders to offer more savings and insurance options for the poor to the need for them to include more business training, healthcare and education with their loans... Considering the definitions in the Microfinance Handbook, the suggestion that MFIs should start to include more business training, healthcare and education with their loans can best be described as: a. A shift from integrated model to financial services only b. A shift from the Kiva.org model to the M-Pesa model c. A shift from financial services only to integrated model d. A shift from Micro Insurance Agency model to the Women's World Banking model

Answers

The suggestion that microfinance institutions (MFIs) should start to include more business training, healthcare, and education with their loans can best be described as:

c. A shift from financial services only to an integrated model.

Traditionally, MFIs have focused on providing financial services, primarily loans, to the poor. However, the need for innovation and evolution in the microfinance sector has led to a recognition that simply providing loans may not be sufficient to uplift the poor and create measurable benefits.

By incorporating business training, healthcare, and education into their offerings, MFIs aim to provide a more holistic approach to poverty alleviation. This integrated model acknowledges that access to financial services alone may not be enough to empower the poor and improve their overall well-being.

By equipping borrowers with business skills, healthcare options, and educational opportunities, MFIs can enhance their impact and support sustainable development. This shift reflects the understanding that addressing the multidimensional needs of the poor can lead to more significant and long-lasting positive outcomes.

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Describe the relationship between TPS, MIS, and ESS.

Answers

The TPS, MIS, and ESS (Transaction processing system, Management Information System, and Executive Support System) are all part of an organization's information system architecture. TPS is the most basic and primary level of the information system, while MIS and ESS are on the higher end of the hierarchy.



A transaction processing system is a computerized system that captures, stores, retrieves, and processes data generated by an organization's everyday transactions. The MIS is a decision-support system that provides managers with data and information to help them make informed decisions. It takes data from the TPS and provides information in the form of reports, summaries, and ad-hoc queries. ESS, on the other hand, is a specialized management information system that assists senior executives in making strategic decisions.

ESS provides support for nonroutine decision making and requires a broader scope of data than MIS. It allows senior executives to access internal and external data, examine trends, and make forecasts. ESS includes a variety of data analysis tools that allow executives to experiment with data and to perform simulations to test the impact of changes on their organization.



In conclusion, the TPS, MIS, and ESS are all interrelated and form a hierarchy in an organization's information system architecture. They work together to provide transactional data, management information, and strategic decision-making support to organizations. An organization's TPS feeds into the MIS, which in turn provides information to the ESS. By providing information to all levels of management, these systems support effective and informed decision-making.

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This assignment has been designed to provide you with an opportunity to demonstrate your achievement of the following module learning outcomes: LO 2 Analyse and illustrate how organisations and their leaders can successfully plan and prepare for innovation; LO 3 Critically discuss the importance of organisational knowledge, knowledge transfer and cross functional co-operation in order to analyse and assess innovation capability and blockages,

Answers

The demonstration of achievement of the learning outcomes, LO 2 and LO 3. The assignment aims to provide students with the opportunity to analyze and illustrate how organizations and their leaders can successfully plan and prepare for innovation, and critically discuss the importance of organizational knowledge, knowledge transfer, and cross-functional cooperation to analyze and assess innovation capability and blockages.

LO 2 focuses on how organizations and their leaders can plan and prepare for innovation. An innovative organization is constantly developing new products, services, or processes, and identifying ways to improve its operations to increase efficiency, reduce costs, or improve customer satisfaction. To achieve this, organizations must adopt a strategic approach to innovation that aligns with the overall goals and objectives of the company. Planning and preparation for innovation involves various activities such as identifying the need for innovation, developing a vision, setting goals and objectives, identifying resources, developing a culture of innovation, and establishing metrics to measure success. Successful planning and preparation for innovation require strong leadership, effective communication, and collaboration across all levels of the organization.LO 3 is about discussing the importance of organizational knowledge, knowledge transfer, and cross-functional co-operation in analyzing and assessing innovation capability and blockages. Organizational knowledge refers to the knowledge and expertise that an organization possesses, including technical knowledge, business knowledge, and institutional knowledge. Knowledge transfer involves sharing knowledge and expertise among individuals and departments within an organization. Cross-functional co-operation involves collaboration between different departments or functions within an organization. Effective knowledge transfer and cross-functional co-operation are essential for innovation because they enable the organization to leverage its knowledge and expertise to develop new ideas and solutions. Innovation blockages can arise from a lack of knowledge or expertise in a particular area or a lack of collaboration between different departments or functions. To overcome these blockages, organizations need to foster a culture of knowledge-sharing and collaboration and provide employees with the tools and resources they need to innovate.

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What is the difference between urban planning and regional
planning? And cite examples.

Answers

Urban planning and regional planning are two distinct fields within the broader realm of urban and regional development, focusing on different scales and scopes of planning.

Urban planning primarily deals with the planning and development of cities or urban areas. It focuses on the design, organization, and management of urban spaces, including land use, infrastructure, transportation, housing, and public amenities. Urban planners work to create functional, sustainable, and livable urban environments. Examples of urban planning initiatives include the development of city master plans, zoning regulations, transportation network design, and urban revitalization projects. On the other hand, regional planning takes a broader perspective and considers a larger geographic area beyond individual cities. It involves the planning and coordination of land use, resources, and development strategies within a region.

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Use Johnson's rule to determine the optimal sequencing for the five jobs to be processed on two machines in a fixed order (Machine 1 before Machine 2). The processing times in hours are given in the table below. [4] 764 Job Machine 1 Machine 2 2022/05 A 11 10 B 17 10 7 8 9 15 n D ma E F G 9 12 13 10 25 6

Answers

Optimal sequencing in this case: E, F, G, H, C, A, D, B, I.

To apply Johnson's rule, we need to calculate the critical ratio for each job, which is the ratio of the processing time on Machine 1 to the sum of the processing times on both machines.

Using the given processing times:

Calculate the critical ratio for each job:

Now, arrange the jobs in ascending order based on their critical ratios:

E, F, G, H, C, A, D, B, I

Therefore, the optimal sequencing for the five jobs is: E, F, G, H, C, A, D, B, I.

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1.Which of the following is included in the definition of estate planning?

1. Asset management.

2. Accumulation of wealth.

3. Asset preservation.

a. 1 only.

b. 1 and 2.

C. 2 and 3.

d. 1, 2, and 3.

Answers

Asset management, accumulation of wealth, and asset preservation are included in the definition of estate planning. The correct option is d. 1, 2, and 3.

Estate planning is a process of planning for how to transfer assets after someone passes away. An estate plan includes a set of documents that explain how to distribute someone's assets after they pass away. Asset management, accumulation of wealth, and asset preservation are three key terms included in the definition of estate planning.Asset management is managing all of the assets that someone has accumulated over time.

It includes anything of value that someone owns, including real estate, cars, bank accounts, retirement accounts, and investments. Accumulation of wealth refers to the process of increasing one's assets over time through investment and other means. Asset preservation refers to strategies used to protect one's assets from being lost or reduced in value over time.

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what is the present value of a 8-year annuity due with a $350 annual cash flow,paid semi-annually and a discount rate of 10%?

Answers

The present value of an 8-year annuity due with a $350 annual cash flow paid semi-annually and a discount rate of 10% can be calculated by using the formula given below: PV = C x [{1 - (1 + r / n) (-nt)} / (r / n)] x (1 + r / n)

Where,PV = Present ValueC = Cash Flowr = Discount raten = Number of payments per year (semi-annually)n * t = Number of payments in the termThe given cash flow is paid semi-annually, so n = 2. The term of the annuity is 8 years, so n * t = 16.Payment = $350Semi-annual payment = $350 / 2 = $175Discount rate = 10% or 0.10Substituting the given values in the formula: PV = $175 x [{1 - (1 + 0.10 / 2)⁻¹⁶} / (0.10 / 2)] x (1 + 0.10 / 2)PV = $175 x [{1 - (1.05)⁻¹⁶} / (0.05)] x (1.05)PV = $175 x [{1 - 0.2965637} / 0.05] x 1.05PV = $175 x [14.468736] x 1.05PV = $2,491.62Therefore, the present value of an 8-year annuity due with a $350 annual cash flow paid semi-annually and a discount rate of 10% is $2,491.62.

The present value of an 8-year annuity due with a $350 annual cash flow paid semi-annually and a discount rate of 10% can be calculated by using the formula PV = C x [{1 - (1 + r / n)(-nt)} / (r / n)] x (1 + r / n). Substituting the given values in the formula, we get the present value to be $2,491.62. Thus, we can conclude that the present value of the annuity is $2,491.62.  Thus, we can conclude that the present value of the annuity is $2,491.62. Therefore, the present value of an 8-year annuity due with a $350 annual cash flow paid semi-annually and a discount rate of 10% is $2,491.62.

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Temperance's net worth is $45,000. Her debt ratio is 0.5. Her
long-term assets total $75,000, and monthly expenses are $3,000.
What is her liquidity ratio?
5 months
6 months
3 months
4 months

Answers

The liquidity ratio is calculated by dividing liquid assets by monthly expenses. Liquid assets include cash and assets that can be easily converted into cash.

To find Temperance's liquidity ratio, we need to determine her liquid assets. We know her net worth is $45,000 and her debt ratio is 0.5, which means her total liabilities are half of her net worth ($45,000 * 0.5 = $22,500). Subtracting her liabilities from her net worth, we find her total equity is $45,000 - $22,500 = $22,500.

Next, we calculate her long-term assets by subtracting her total equity from her net worth: $75,000 - $22,500 = $52,500. Since long-term assets are not typically considered liquid assets, we don't include them in the calculation. Therefore, her liquid assets are her net worth minus long-term assets: $45,000 - $52,500 = -$7,500.

Given that her liquid assets are negative, we cannot calculate a liquidity ratio. It's important for Temperance to address her negative liquidity situation by either increasing her liquid assets or reducing her monthly expenses.

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Compared to other industrial nations, inflation rates in the United States are Multiple Choice O neither significantly higher nor significantly lower. O significantly higher than those in Europe and significantly lower than those in Japan. significantly higher

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Inflation rates are crucial economic indicators and may be used in planning and decision-making in businesses and individuals' lives.

Inflation is defined as a general increase in prices and fall in the purchasing value of money. Inflation rates vary depending on various factors such as demand and supply of goods and services, government policies, international trade, among others.

Compared to other industrial nations, inflation rates in the United States are significantly higher.In the United States, inflation has been at a range of 2-3% for the past years.

Inflation in the US has been caused by factors such as higher taxes, increase in government expenditure, devaluation of currency, and high-interest rates. The high inflation rates in the US are significant as they impact the economy, businesses, and individuals.

For instance, high inflation rates may result in the decrease in consumer spending, decrease in production, and economic growth, and as a result, businesses may experience decreased revenue and profits. Similarly, individuals may experience decreased purchasing power as a result of high inflation rates.

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Solar Designs is considering an investment in an expanded product line. Two possible types of expansion are under review. After investigating the possible​ outcomes, the company made the estimates shown in the following​ table. The pessimistic and optimistic outcomes occur with a probablity of​ 25%, and the most likely outcome occurs with a probability of​ 50%.
a. Determine the range of the rates of return for each of the two projects.
b. Which project is less​ risky?
c. If you were making the investment​ decision, which one would you​ choose? What does this imply about your feelings toward​ risk?
d. Assume that expansion​ B's most likely outcome is 23​% per year and that all other facts remain the same. Does this change your answer to part ​c?

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Solar Designs is considering investing in an expanded product line, with two possible expansion options under review. After investigating the possible outcomes, the company made estimates, with the most likely outcome occurring with a probability of 50%, and the pessimistic and optimistic outcomes occurring with a probability of 25%.

In part c, we are asked to determine the expected NPV and standard deviation of each project. Expansion A has an expected NPV of $41,000 with a standard deviation of $32,000, while Expansion B has an expected NPV of $36,000 with a standard deviation of $22,000.

In part d, we are asked to assume that Expansion B's most likely outcome is 23% per year, and all other facts remain the same. We will now examine how this changes the answer to part c.Assuming that Expansion B's most likely outcome is 23% per year, and all other facts remain the same, it does not change the answer to part c.

The expected NPV of Expansion A remains $41,000 with a standard deviation of $32,000, while the expected NPV of Expansion B remains $36,000 with a standard deviation of $22,000.

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What ethical framework involves believing that predetermined rights are held by both individuals and societies?

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The ethical framework that involves believing in predetermined rights held by both individuals and societies is known as the Rights-based Ethical Framework.

The Rights-based Ethical Framework is a normative approach to ethics that emphasizes the existence of certain fundamental rights that are inherent to individuals and societies. This framework posits that individuals possess certain rights simply by virtue of being human, and these rights should be respected and protected. Additionally, societies also hold rights that are necessary for their functioning and well-being. This framework is rooted in the belief that these predetermined rights serve as the foundation for ethical decision-making and the establishment of just and fair societies. It recognizes the importance of balancing individual rights with the collective rights of the community, promoting a sense of justice and equality for all.

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The project is starting a mobile healthcare service
- Explain what contingency planning you will need to complete your project.
= Explain what aspect of project quality management will help your efforts so quality isn't compromised.

Answers

Contingency planning is crucial in project management to anticipate and address potential risks and uncertainties that may arise during the course of a project.

In the context of starting a mobile healthcare service, some key areas to consider for contingency planning are:

Resource availability: Identify alternative sources or backup plans for critical resources like healthcare professionals, medical equipment, and supplies in case of unexpected shortages or unavailability.

Regulatory compliance: Develop contingency plans to address any changes in regulations or legal requirements that could impact the implementation of the mobile healthcare service. This may involve collaborating with legal experts to ensure compliance and adjust strategies accordingly.

Technology and infrastructure: Plan for potential technical issues or failures in mobile healthcare systems and infrastructure. This includes having backup systems, contingency communication channels, and IT support to minimize disruptions in service delivery.

Project quality management plays a vital role in ensuring that the quality of the mobile healthcare service is not compromised. One aspect that can help in this regard is quality control, which involves monitoring and inspecting the project deliverables and processes to ensure they meet the defined quality standards. By implementing quality control measures, such as regular audits, inspections, and testing, the project team can identify any deviations from the desired quality and take corrective actions promptly.

Additionally, incorporating quality assurance processes throughout the project lifecycle can help establish quality standards, guidelines, and best practices, ensuring that the mobile healthcare service meets or exceeds the expectations of stakeholders and regulatory bodies. This includes conducting thorough risk assessments, ensuring proper training and certification of healthcare professionals, and implementing robust quality assurance protocols for service delivery.

By integrating contingency planning and project quality management, the project team can proactively address potential risks, minimize disruptions, and maintain a high level of quality in the mobile healthcare service, ultimately enhancing its effectiveness and impact.

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COMPANY NAME GREYSON CORPORATION (500 WORDS) I reflect on the challenging problems, creative solutions, and effective practices demonstrated in the case. The student will provide a brief discussion on the learning and unlearning [i.e. how the case caused to change your opinion about aspects of project planning that you thought of in different ways before] that the case has empowered or inspired them to consider. The student will also explain how this case has inspired them to be a better project manager in the future.

Answers

In this case study, Greyson Corporation faced numerous problems during the implementation of a new project. However, they showed creativity and resourcefulness in finding solutions to these problems and improving their project plan.

This case has taught me valuable lessons about project planning, and inspired me to develop my skills as a project manager.

The Greyson Corporation case gave me a new perspective on the importance of communication in project planning.

It highlighted the need for clear and open communication at all levels of the organization, as well as the importance of documenting decisions and keeping stakeholders informed.

Additionally, the case showed me the value of adaptability and flexibility when dealing with project challenges.

Finally, it demonstrated the importance of project management tools and methodologies, such as GANNT charts and critical path analysis, in ensuring project success. All of these lessons have inspired me to work harder to develop my own skills as a project manager and to become more effective in my role.

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Should all amateur sports athletes make the same amount of money
at the university level or should it depend on tickets sold and TV
viewing rights?

Answers

The matter of whether all amateur sports athletes should make the same amount of money at the university level or whether it should depend on tickets sold and TV viewing rights is a contentious one. However, the fact remains that not all amateur sports athletes receive the same amount of pay.

The NCAA rules do not permit the payment of student-athletes for their services, and this has led to varying pay rates among student-athletes. Student-athletes that are more successful may receive more pay than those that are less successful. However, this is entirely dependent on the coaches and athletic programs that the student-athletes are a part of.
Some people believe that student-athletes should receive equal pay, regardless of their success on the field. This is because student-athletes are dedicating a significant amount of time and effort to their sport while also attending school. They argue that all student-athletes should receive the same treatment to ensure fairness.
Others believe that student-athletes should be paid based on how much revenue their sport generates. This argument is centered around the idea that student-athletes are not professionals and should not be paid like them. Instead, they should receive a percentage of the revenue that their sport generates, which would result in higher pay for those that participate in more popular sports.
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Ch.9 Review Assignments 1 10 points Sippet book Hint Pren Seve Bandar Industnes Berhad of Malaysia manufactures sporting equipment. One of the company's products, a football helmet for the North Ameri

Answers

1. The standard quantity (SQ) of kilograms of plastic allowed to make 4,000 helmets is calculated as follows:  SQ = Number of Helmets × Standard Quantity per helmet SQ = 4,000 × 0.59 = 2,360 kilograms of plastic

2. The standard material cost allowed (SQ x SP) to make 4,000 helmets is calculated as follows: Standard Material Cost (SMC) = Standard Price per unit × Standard Quantity per unit SMC = $7.00 per kilogram × 0.59 kilograms per helmet SMC = $4.13 per helmet The standard material cost allowed to make 4,000 helmets is: SMC for 4,000 helmets = $4.13 per helmet × 4,000 helmets SMC for 4,000 helmets = $16,520

3. The material variance is calculated as the difference between the actual cost and the standard cost. The formula for calculating material variance is: Material Variance = Actual Quantity x (Actual Price - Standard Price) Material Variance = AQ x (AP - SP). The actual quantity of plastic used to make 4,000 helmets is 2,680 kilograms of plastic. Therefore, the materials spending variance is: AQ = 2,680 Material Variance = AQ x (AP - SP) Material Variance = 2,680 x ($6.60 - $7.00) Material Variance = $-1,072 The negative value for the material variance indicates an unfavorable variance. This indicates that the actual cost of materials was higher than the standard cost.

4. The material price variance (MPV) measures the difference between the actual price paid and the standard price. The formula for calculating material price variance is: Material Price Variance (MPV) = AQ x (AP - SP) Material Price Variance (MPV) = 2,680 x ($6.60 - $7.00)Material Price Variance (MPV) = $-1,072 The material quantity variance (MQV) measures the difference between the actual quantity used and the standard quantity allowed. The formula for calculating material quantity variance is: Material Quantity Variance (MQV) = SP x (AQ - SQ) Material Quantity Variance (MQV) = $7.00 per kilogram x (2,680 kilograms - 2,360 kilograms) Material Quantity Variance (MQV) = $2,240The negative value for the material price variance (MPV) and the positive value for the material quantity variance (MQV) indicate that the actual price paid for materials was lower than the standard price but more material was used than the standard quantity.

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Bandar Industries Berhad of Malaysia manufactures sporting equipment. One of the company's products, a football helmet for the North American market, requires a special plastic. During the quarter ending June 30, the company manufactured 4,000 helmets, using 2,680 kilograms of plastic. The plastic cost the company $17,688. points According to the standard cost card, each helmet should require 0.59 kilograms of plastic, at a cost of $7.00 per kilogram. eBook Hint Print References Required: 1. What is the standard quantity of kilograms of plastic (SQ) that is allowed to make 4,000 helmets? 2. What is the standard materials cost allowed (SQ × SP) to make 4,000 helmets? 3. What is the materials spending variance? 4. What is the materials price variance and the materials quantity variance? (For requirements 3 and 4, indicate the effect of each variance by selecting "F" for favorable, "U" for unfavorable, and "None" for no effect (i.e., zero variance). Input all amounts as positive values. Do no round intermediate calculations.) 1. Standard quantity of kilograms allowed 2. Standard cost allowed for actual output Is spending variance 4. Materials price variance Materials quantity variance

51 110 3 16 The Dahlia Flower Company has earnings of $1.40 per share. The benchmark PE for the company is 15. a. What stock price would you consider appropriate? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. What if the benchmark PE were 18? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) a. Stock price at a PE of 15 b. Stock price at a PE of 18 6

Answers

The appropriate stock price would be $21.00 at a PE of 15, and $25.20 at a PE of 18. To calculate the appropriate stock price, use the formula: Stock Price = Earnings per Share (EPS) x Price-to-Earnings Ratio (PE).

A. Stock price at a PE of 15:

Given that the earnings per share (EPS) is $1.40 and the benchmark PE is 15, we can calculate the stock price as follows:

Stock Price = $1.40 x 15 = $21.00

b. Stock price at a PE of 18:

Using the same earnings per share (EPS) of $1.40, but with a benchmark PE of 18:

Stock Price = $1.40 x 18 = $25.20

So, the appropriate stock price would be $21.00 at a PE of 15, and $25.20 at a PE of 18.

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Answer questions 16 to 18 using the following information: Medro and Mariana decided to add soup () to their menu. When they did all the calculations of whether to make the soup themselves or buy it from an outside source (J), they found the fixed cost to make the pots of soup to be = 10000 KD/yr and the fixed cost associated with buying the pots of soup to be = 5000 KD/yr. The outside source charges 10 KD per pot of soup, and it costs Medro & Mariana 5 KD to make each pot of soup? How many pots of soup would Medro & Mariana have to sell per year in order for the total annual cost to make the soup in-house to equal the total annual cost to buy it from the outside source? (5 Points) a. 5000 pots/yr b. 1000 pots/yr c. 10000 pots/yr d. 300 pots/yr 17 Medro & Mariana believe they can sell 1 pot per day. This means they should be able to sell 365 pots per year. Should they go ahead and make the soup themselves or should they outsource it?

Answers

Medro & Mariana would have to sell 1000 pots/yr to make the total annual cost to make the soup in-house equal the total annual cost to buy it from an outside source. It would be more cost-effective for them to outsource the soup rather than make it themselves. the maximum cost per pot of soup should be 5 KD if they are going to buy it from an outside source. The correct options are b, a, and a.

16. To find the number of pots of soup that Medro & Mariana would have to sell per year in order for the total annual cost to make the soup in-house to equal the total annual cost to buy it from the outside source:

Let's assume the number of pots of soup that:

Medro and Mariana make = then the total cost of making the soup= 10000 + 5x

And the total cost for buying the soup = 5000 + 10x

Equating these two costs we get:10000 + 5x = 5000 + 10x 5x = 5000 x = 1000

Therefore, Medro & Mariana would have to sell 1000 pots/yr to make the total annual cost to make the soup in-house equal the total annual cost to buy it from an outside source. Option b is correct.

17. Medro & Mariana believe they can sell 1 pot per day. This means they should be able to sell 365 pots per year. Comparing the cost of making the soup and buying the soup from the outside source, we can see that buying the soup from the outside source would be cheaper. Since the cost of buying soup from an outside source is cheaper than the cost of making the soup, Medro and Mariana should outsource it. So, the answer is: a. they should outsource it.

18. To find the maximum cost per pot of soup if they are going to buy it from an outside source, we can use the concept of indifference points. The maximum indifference number of pots of soup per year is 200.

To calculate the maximum cost per pot of soup:

4000 + 5x = 1000 + 10x

Simplifying the equation:

5x - 10x = 1000 - 4000

-5x = -3000

x = 600

The maximum cost per pot of soup can be calculated by dividing the fixed cost difference by the number of pots:

(4000 - 1000) / 600 = 5 KD/pot

The correct option is (a) 5 KD/pot.

Complete question:

Answer questions 16 to 18 using the following information:

Medro and Mariana decided to add soup() to their menu. When they did all the calculations of whether to make the soup themselves or buy it from an outside source (J), they found the fixed cost to make the pots of soup to be = 10000 KD/yr and the fixed cost associated with buying the pots of soup to be = 5000 KD/yr. The outside source charges 10 KD per pot of soup, and it costs Medro & Mariana 5 KD to make each pot of soup.

16. How many pots of soup would Medro & Mariana have to sell per year in order for the total annual cost to make the soup in-house to equal the total annual cost to buy it from an outside source? (5 Points)

a. 5000 pots/yr

b. 1000 pots/yr

c. 10000 pots/yr

d. 300 pots/yr

17. Medro & Mariana believe they can sell 1 pot per day. This means they should be able to sell 365 pots per year. Should they go ahead and make the soup themselves or should they outsource it? (5 Points)

a. they should outsource the soup

b. they should make the soup in-house

c. it doesn't matter which option they take

18. After selling the soup for one year, Mariana found a way to make the soup with a fixed cost of 4000 KD/yr. She also found a way to make the fixed cost if the soup is outsourced to be 1000 KD/yr. The cost to make the soup is still the same, i.e., 5 KD/pot. If Medro & Mariana want the maximum indifference number of pots of soup/yr to not exceed 200 pots/yr, what should the maximum cost per pot of soup be if they are going to buy it from an outside source?

(5 Points)

a. 5 KD/pot

b. 10 KD/pot

c. 15 KD/pot

d. 20 KD/pot

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