Input parameters: - Cost of sourcing from the Chinese supplier: 40 yuans per unit - Cost of sourcing from the local supplier: AUD10 per unit - Sale price: AUD16 - Current exchange rate: AUD1 to 5 yuans - Current demand: 1,000 units - Over the next two periods: ▪ Demand will go up or down by 10% at 50-50% chance per period ▪ Yuan will strengthen or weaken by 5% at 50-50% chance per period - Order to be placed with the Chinese supplier: 1,050 units - Order to be placed with local supplier: same as actual demand - Discount rate: k = 0.1
Draw a decision tree in the report showing the uncertainty over the next two period. Identify each node in term of demand and variable cost(affected by the fluctuations in exchange rate) and transition probabilities. Use two decimal points in your notation of variable cost if needed.

Answers

Answer 1

To construct the decision tree, follow these steps:

1. Start with a square or rectangular node representing the initial decision. Label it with the decision to be made (e.g., "Choose Supplier").

2. Draw branches from the initial decision node representing the possible choices. In this case, you have two options: "Chinese Supplier" and "Local Supplier."

3. Add chance nodes to represent uncertain events. In this case, you have two periods with potential fluctuations in demand and exchange rates. Draw circles or ovals for the chance nodes and label them accordingly.

4. From each chance node, draw branches representing the possible outcomes of the uncertain events. For example, for the demand fluctuations, you can have branches labeled "Increase by 10%" and "Decrease by 10%." Similarly, for the exchange rate fluctuations, you can have branches labeled "Yuan Strengthens by 5%" and "Yuan Weakens by 5%."

5. Repeat steps 3 and 4 for the second period as well.

6. At the end of each branch, add square or rectangular nodes representing the resulting payoffs or outcomes. Calculate the payoffs based on the given information (costs, sale price, exchange rate, etc.) and label the nodes accordingly.

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Related Questions

Ashley works in an accounting firm. With the tax season quickly approaching, Ashley's manager knows that their previous customers will once again look for an accounting firm to help them file their tax returns. Ashley's manager asks him to produce a promotional letter that will help bring back previous customers. You can answer the following questions to draft your assignment. You do not have to include them in the promotional email. These are for your reference only. 1. Does he need to address the recipients? 2. Who are the target audience? 3. What does Ashley need to plan? 4. What tone should he use? 5. How should he get started? 6. What information should Ashley put in this promotional letter? 7. How should Ashley organize his letter? 8. How much detail does he need to provide? 9. How should he end the letter?

Answers

Yes, Ashley needs to address the recipients in the promotional letter. The target audience of the promotional letter that Ashley is required to produce are the previous customers of the accounting firm who will again need assistance in filing their tax returns.

In order to create an effective promotional letter, Ashley needs to plan the following things:

Identify the key selling points of the accounting firm: Ashley needs to identify the unique selling points of the accounting firm that make it a better option for the customers than other accounting firms. He can highlight the years of experience of the accounting firm, its professional and qualified staff, its ability to provide personalized services, etc.

Develop a catchy headline: Ashley needs to develop a catchy headline that immediately grabs the attention of the recipients and makes them want to read the rest of the letter. The headline can be something like "Get maximum refunds this tax season with our expert accounting services".

Provide relevant details: Ashley needs to provide all the relevant details about the services offered by the accounting firm, the cost of the services, the qualifications of the staff, the years of experience, the availability of personalized services, etc. This will help the recipients make an informed decision.

Contact information: Ashley needs to provide all the contact information of the accounting firm including phone numbers, email addresses, website, etc. so that the recipients can easily get in touch with the firm if they have any queries or want to avail of their services.

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My dog Franklin is a VERY good dog. However, some times his behavior does not align with what his best for the Shareholders in our home. For example, if I leave roasted chicken on the counter, he may jump up and take it. What kind of risk does this describe? O Avalanche Risk Agency Risk Market Risk Geopolitical Risk How might you tell that the firm is maximizing value/your wealth if you are a shareholder? low debt rating high volume you cannot tell Stock Price Increasing

Answers

Franklin's behavior of jumping up to take roasted chicken off the counter can be described as Agency Risk.

Agency risk occurs when there is a conflict of interest between a principal (in this case, the shareholders) and an agent (the dog). Franklin is supposed to act in the best interest of the shareholders but his behavior does not always align with this. To tell that the firm is maximizing value/your wealth if you are a shareholder, you should look out for a stock price increase. If the stock price is increasing, it means that the company is performing well and is generating higher profits, which translates to higher returns for shareholders. The risk that Franklin's behavior of taking roasted chicken off the counter describes is agency risk.

In conclusion, to determine if a company is maximizing value/wealth for shareholders, look out for a stock price increase, which indicates that the company is generating higher profits.

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TB MC Qu. 7-112 (Algo) Kansas Enterprises purchased equipment for...
Kansas Enterprises purchased equipment for $81,500 on January 1, 2024. The equipment is expected to have a ten-year service life, with a residual value of $7,200 at the end of ten years.
Using the double-declining balance method, depreciation expense for 2024 would be: (Do not round your intermediate calculations)
Multiple Choice
$16,300.
$8,150.
$14,860.
$9,100.

Answers

The depreciation expense for 2024 using the double-declining balance method would be $16,300.

The formula for calculating depreciation using the double-declining balance method is:

Depreciation expense = Beginning book value × (2 / Useful life). The beginning book value is the initial cost of the equipment, which is $81,500. The useful life is the number of years the equipment is expected to be in service, which is 10 years. To calculate the depreciation rate per year, divide 1 by the useful life.1 / 10 = 0.1 or 10%.

The first year's depreciation expense is double the rate of depreciation per year, which is:0.10 × 2 = 0.20 or 20%To calculate the depreciation expense for the first year, multiply the beginning book value by the depreciation rate: Depreciation expense = $81,500 × 0.20, Depreciation expense = $16,300.

Therefore, the depreciation expense for 2024 using the double-declining balance method would be $16,300.

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fahringer corporation makes three products that use compound w, the current constrained resource. data concerning those products appear below:

Answers

The combination would use all of the 21,000 units of Compound W available for production and would produce an overall revenue of $64,250. The contribution margin of this product mix will be $22,800. Hence, it is concluded that the ideal product mix would consist of 600 units of product A and 750 units of product B to maximize revenue.

Fahringer Corporation manufactures three items that use Compound W, the existing constrained resource. The details regarding the items are mentioned below:

Products Amount of Compound W per unit sale price per unit Variable cost per unitA240$35$22B160$50$28C120$40$31

Now, the business wants to determine the product blend that will maximize overall revenue. Furthermore, the business has a fixed quantity of 21,000 units of Compound W available for production.

The item blend that would maximize the overall revenue is:

Product A: 600 units Product B: 750 units Product C: 0 units Overall revenue: $64,250

The product blend will produce the following contribution margin and will consume all 21,000 units of Compound W:

Product A: 600 units × ($35 - $22) = $7,800Product B: 750 units × ($50 - $28) = $15,000

Total Contribution Margin: $22,800To maximize the general revenue, the business should manufacture 600 units of product A and 750 units of product B.

This blend of products would consume the entire amount of Compound W available for production and would result in an overall revenue of $64,250.

In conclusion, Fahringer Corporation produces three products that require Compound W as the limited resource. The company wants to determine the ideal product mix that will maximize total revenue. The product mix that would produce the maximum overall revenue is 600 units of product A and 750 units of product B. The combination would use all of the 21,000 units of Compound W available for production and would produce an overall revenue of $64,250. The contribution margin of this product mix will be $22,800. Hence, it is concluded that the ideal product mix would consist of 600 units of product A and 750 units of product B to maximize revenue.

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22. Keller Cosmetics maintains an operating profit margin of 5% and asset turnover r 3. If its debt-equity ratio is 1, its interest payments and taxes are each $8,000, and is $20,000, what is its ROE?

Answers

To calculate the Return on Equity (ROE), use the formula: ROE = (Net Income / Average Shareholder's Equity) * 100

Step 1: Calculate the Net Income

Net Income = Operating Profit - Interest Payments - Taxes

Given that interest payments and taxes are each $8,000, the Net Income is:

Net Income = Operating Profit - Interest Payments - Taxes

Net Income = (Operating Profit Margin * Revenue) - Interest Payments - Taxes

Net Income = (0.05 * $20,000) - $8,000 - $8,000

Net Income = $1,000 - $8,000 - $8,000

Net Income = -$15,000

Step 2: Calculate the Average Shareholder's Equity

To calculate the average shareholder's equity, we need to consider the debt-equity ratio.

Debt-Equity Ratio = Debt / Equity

Given that the debt-equity ratio is 1, we can assume that Debt = Equity.

Let's denote the equity as "E". Therefore, Debt = E.

Using the asset turnover ratio, we can calculate the assets:

Asset Turnover Ratio = Revenue / Average Assets

3 = $20,000 / Average Assets

Average Assets = $20,000 / 3

Average Assets = $6,666.67

Since Debt = Equity, we can express the equity as:

Equity = Debt = $6,666.67

To calculate the average shareholder's equity, we need to consider the beginning and ending equity values:

Average Shareholder's Equity = (Beginning Equity + Ending Equity) / 2

Average Shareholder's Equity = ($6,666.67 + $6,666.67) / 2

Average Shareholder's Equity = $6,666.67

Step 3: Calculate the ROE

ROE = (Net Income / Average Shareholder's Equity) * 100

ROE = (-$15,000 / $6,666.67) * 100

ROE = -225.00%

The Return on Equity (ROE) for Keller Cosmetics is -225.00%.

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Required: A firm has current assets that could be sold for their book value of $38 million. The book value of its fixed assets is $76 million, but they could be sold for $106 million today. The firm has total debt with a book value of $56 million, but interest rate declines have caused the market value of the debt to increase to $66 million. What is this firm's market-to-book ratio? (Round your answer to 2 decimal places.) Market-to-book ratio ____

Answers

The market-to-book ratio is found to be 0.85, indicating that the market value of the firm's assets is 85% of their book value. The firm's market-to-book ratio is calculated by dividing the market value of its assets by their book value.

To calculate the market-to-book ratio, we need to compare the market value of the firm's assets to their book value.

The market value of the firm's current assets is $38 million, the market value of the fixed assets is $106 million, and the market value of the debt is $66 million.

The book value of the firm's current assets is $38 million, the book value of the fixed assets is $76 million, and the book value of the debt is $56 million.

To find the market-to-book ratio, we divide the market value of the assets by their book value:

\Market-to-Book Ratio = (Market Value of Current Assets + Market Value of Fixed Assets) / (Book Value of Current Assets + Book Value of Fixed Assets + Book Value of Debt)

Market-to-Book Ratio = ($38 million + $106 million) / ($38 million + $76 million + $56 million)

Market-to-Book Ratio = $144 million / $170 million

Market-to-Book Ratio = 0.847 or 0.85 (rounded to 2 decimal places)

Therefore, the firm's market-to-book ratio is 0.85.

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the information when is written in the cache, both to the block in the cache and the block prsent in the lower-level memory refers to.

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When information is written to the cache, it refers to both the block in the cache and the block present in the lower-level memory. When a computer processes a program or information, it first checks to see if the information is stored in the cache memory.

If the information is already stored in the cache, the computer accesses it from there. If the information is not present in the cache, then it is retrieved from the lower-level memory.The cache memory is a high-speed memory that is located in the CPU. It stores frequently used data so that the CPU can access it quickly. When data is read from the main memory, it is stored in the cache memory so that the CPU can quickly access it. Similarly, when data is written to the main memory, it is first stored in the cache memory and then written to the main memory later. This improves the performance of the computer by reducing the number of times the CPU has to access the main memory. Overall, the cache memory acts as a buffer between the CPU and the main memory, and helps to speed up the processing of data.

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Teachers who expect a lot of interaction in class will often arrgane students desks in a circle rather than having all stufents face the front of the room. this is a form of _____ that tells students they are encourged to talk to each other.
a) verbal communication
b) interpersonal communication
c) nonverbal communication
d) supportive communication

Answers

The answer is C) Nonverbal Communication. Classroom configuration is one of the most critical elements that influence the degree of interaction among students.

Teachers who anticipate a lot of interaction in class will frequently arrange student desks in a circle or a U shape rather than having all students face the front of the room. This is a type of nonverbal communication that conveys to students that they are encouraged to speak with one another.

Nonverbal communication is communication that occurs without the use of spoken language. It includes everything from facial expressions to posture and movement. The placement of desks in a classroom may be a nonverbal communication sign to students about the degree of communication that is expected in the classroom.

It also helps to promote a sense of community among students, as they are able to see and interact with one another more frequently.

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The flow of funds in the primary market may be direct or indirect. Which of the following is correct?
a.Direct finance is provided by financial institutions such as banks.
b.Brokers acting as agents often facilitate the provision of direct finance.
c.Indirect finance is provided by brokers and dealers.
d.Direct finance is provided by brokers and dealers.

Answers

a. Direct finance is provided by financial institutions such as banks.

The correct statement is that direct finance is provided by financial institutions such as banks.

Direct finance refers to the process where borrowers and lenders engage directly with each other in the financial markets without the involvement of intermediaries. In this case, financial institutions, such as banks, play a key role in providing direct finance by lending money directly to borrowers.

On the other hand, indirect finance involves the use of intermediaries, such as brokers and dealers, who facilitate the flow of funds between borrowers and lenders. They act as intermediaries in the financial markets by connecting borrowers and lenders and facilitating the provision of funds.

Therefore, option a. correctly states that direct finance is provided by financial institutions such as banks.

Direct finance is provided by financial institutions such as banks, while indirect finance involves the use of intermediaries like brokers and dealers.

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when aggregate expenditures are less than production levels as measured by real gdp, the result will

Answers

Answer:

When aggregate expenditures are less than production levels as measured by real GDP, the result will be an unplanned increase in inventories. Let me explain further:

Aggregate expenditures represent the total spending in an economy, which include consumption, investment, government spending, and net exports. Real GDP, on the other hand, measures the total value of all goods and services produced within an economy.

When aggregate expenditures are less than production levels, it means that there is a shortfall in the total spending compared to the value of goods and services being produced. This situation leads to unsold inventory accumulating for businesses.

In response to the unsold inventory, businesses will likely decrease their production levels to align with the lower demand. This decrease in production can have negative effects on the economy, such as reduced employment and income for workers.

Additionally, the accumulation of unsold inventory can result in businesses cutting back on future production and investment plans, as they try to adjust to the lower demand. This reduction in investment can further dampen economic growth and potentially lead to a recessionary situation.

Overall, when aggregate expenditures are less than production levels, the result is an unplanned increase in inventories, which can lead to reduced production, decreased investment, and potentially negative impacts on the economy.

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What are three ways that linear optimization models can be
applied to both physical as well as abstract network problems to
increase efficiency in supply chain management?

Answers

Linear optimization models can help supply chain managers to optimize their operations and make better decisions, leading to increased efficiency, reduced costs, and improved customer satisfaction.  

The following three ways that linear optimization models can be applied to both physical as well as abstract network problems to increase efficiency in supply chain management:

Inventory Management: Linear optimization models can be used to optimize inventory levels and order quantities for different products across different locations. By analyzing the demand and supply patterns, the model can determine the optimal stock levels for each item, minimizing the holding costs and maximizing the customer satisfaction.

Routing and Scheduling: Linear optimization models can be used to optimize the routing and scheduling of goods and vehicles in a supply chain. By considering factors such as traffic congestion, delivery times, and customer demands, the model can determine the most efficient routes and schedules, reducing delivery times and costs.

Network Design: Linear optimization models can be used to design the network of suppliers, manufacturing plants, warehouses, and distribution centers in a supply chain. By considering factors such as distance, transportation costs, and capacity, the model can determine the optimal layout of the network, minimizing the transportation costs and maximizing the efficiency of the supply chain.

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Omaha Incorporated owns 100 percent of the stock in Franco, a foreign corporation. All Franco's income is foreign source, and its foreign income tax rate is 20 percent. During its fiscal year ended June 30, 2017, Franco distributed a $50,000 dividend to Omaha.
Required:
Assuming that Omaha had a 35 percent marginal tax rate in 2017, compute its U.S. tax on the dividend.
How would your computation change if Omaha received the dividend from Franco during its fiscal year ended June 30, 2020?

Answers

The U.S. tax on the dividend is $17,500 – $10,000 = $7,500. Therefore, the computation will not change.

All of Franco's income is foreign sources, and its foreign income tax rate is 20 percent. During its fiscal year that ended June 30, 2017, Franco distributed a $50,000 dividend to Omaha. Compute the U.S. tax on the dividend, assuming that Omaha had a 35 percent marginal tax rate in 2017. We know that a Dividend received from a foreign corporation is included in a taxpayer's gross income. A foreign tax credit (FTC) is available to offset the U.S. tax on the dividend. The foreign tax credit is limited to the U.S. tax that would be due on the foreign source income. Suppose, the total income of Franco is 'X', so the foreign income tax paid by Franco is = 0.2X

We need to calculate the U.S. tax on the dividend received by Omaha. Omaha needs to pay tax on dividend = 0.35 × 50,000= $17,500Now, let's calculate the foreign tax credit allowed to Omaha. The foreign tax credit allowed is the lower of the foreign tax paid on the dividend or the U.S. tax on the foreign source income.FTC allowed on dividend income = Foreign tax rate × Dividend amount= 0.2 × 50,000= $10,000Thus, the U.S. tax on the dividend is $17,500 – $10,000 = $7,500.

Computation if Omaha received the dividend from Franco during its fiscal year ended June 30, 2020:If Omaha received the dividend from Franco during its fiscal year ended June 30, 2020, the foreign tax credit allowed will change as the foreign tax rate may differ. So, we will have to use the foreign tax rate of the fiscal year 2020 to calculate the foreign tax credit allowed. The tax rate will be 20% as per the given data, so we will have to use the same to calculate the foreign tax credit allowed.FTC allowed on dividend income = Foreign tax rate × Dividend amount= 0.2 × 50,000= $10,000. Thus, the U.S. tax on the dividend is $17,500 – $10,000 = $7,500. Therefore, the computation will not change.

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Mohammed and his wife have applied for a $350,000 mortgage to be amortized over 25 years at a fixed rate of 2.8% and a term of 5 years. Payments will be monthly. The Bank of Canada benchmark 5-year fixed insured mortgage rate is 5.25%. The couple expect monthly heating and property taxes will amount to $325. Their gross combined monthly income is $12,000. What is their Gross Debt Service (GDS) ratio?

Answers

The GDS ratio for Mohammed and his wife is approximately 15.87%.

The Gross Debt Service (GDS) ratio is used by lenders to determine the proportion of a borrower's gross income that is required to cover housing-related expenses. It is calculated by dividing the total housing expenses by the gross monthly income, and then multiplying by 100 to express it as a percentage.

To calculate the GDS ratio, we need to consider the mortgage payments, heating and property taxes. The mortgage payments can be calculated using the loan amount, interest rate, and amortization period.

First, we calculate the monthly mortgage payments:

Mortgage Payments = P * (r * (1 + r)^n) / ((1 + r)^n - 1)

Where:

P = Loan amount = $350,000

r = Monthly interest rate = (Annual interest rate / 100) / 12 = (2.8 / 100) / 12 = 0.002333

n = Total number of monthly payments = 25 years * 12 months/year = 300

Mortgage Payments = $350,000 * (0.002333 * (1 + 0.002333)^300) / ((1 + 0.002333)^300 - 1)

Mortgage Payments ≈ $1,578.97

Next, we calculate the total housing expenses by adding the mortgage payments, heating costs, and property taxes:

Total Housing Expenses = Mortgage Payments + Heating + Property Taxes

Total Housing Expenses = $1,578.97 + $325

Now we can calculate the GDS ratio:

GDS Ratio = (Total Housing Expenses / Gross Monthly Income) * 100

GDS Ratio = (Total Housing Expenses / $12,000) * 100

GDS Ratio ≈ ($1,903.97 / $12,000) * 100 ≈ 15.87%

Therefore, the GDS ratio for Mohammed and his wife is approximately 15.87%.

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1. Analysis of company’s strategy (maximum 1000 words)
a. Search the web, library database, and newspaper to find a company to investigate and briefly describe
the company and the industry within which it operates. You must select a listed company.
b. Identify the current competitive strategy (low cost or differentiation) that your chosen company is
following. Provide evidence how you came to this conclusion.
c. Identify at least three Key Success Factors that can assist the company in achieving the current strategy.
d. Evaluate the suitability of the firm’s choice of competitive strategy (compny is kamrt Australia )
also need refrancing please

Answers

Kmart Australia is one of the major retail stores that operate in Australia. The company has been in operation for a long time and has managed to build a strong brand name for itself. It was founded in 1969 and has its headquarters in Melbourne.

Kmart is a subsidiary of the Coles Group. The company operates in the retail industry, which is quite competitive. The company’s competitive strategy is based on low cost. Kmart Australia achieves low-cost leadership through the use of several tactics.

Firstly, the company has a large scale of operations that enables it to take advantage of economies of scale. This helps to reduce the cost of production, marketing, and distribution.

Secondly, the company sources its products from low-cost suppliers. This helps to reduce the cost of goods sold, which in turn leads to lower prices.

Lastly, the company has optimized its supply chain to ensure that it is as efficient as possible. This helps to reduce costs and to ensure that products are delivered to the stores on time. Key success factors are critical for a company to achieve its strategy.

For Kmart Australia, the following are some of the key success factors. Firstly, the company must ensure that it maintains its low-cost structure. This is critical to ensure that the company can offer competitive prices to its customers.

Secondly, the company must ensure that it optimizes its supply chain. This helps to ensure that products are delivered on time and that the company can manage its inventory efficiently.

Lastly, the company must ensure that it continues to innovate and improve its products and services to remain competitive.Overall, the company's strategy is suitable because it is based on a low-cost leadership approach.

This approach has helped the company to achieve success in the competitive retail industry.

The company's low-cost strategy has enabled it to offer competitive prices to its customers, which has helped to increase sales. The company has been able to maintain its low-cost structure through the use of several tactics such as economies of scale, sourcing products from low-cost suppliers, and optimizing its supply chain.

These factors have contributed to the company's success, making its strategy suitable.

References:Hill, C., Jones, G. R., & Schilling, M. A. (2014). Strategic management: theory: an integrated approach. Cengage Learning.Aaker, D. A. (2007). Strategic market management (Vol. 8). John Wiley & Sons.

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A firm does not pay a dividend. It is expected to pay its first dividend of $15.32 per share in five years. This dividend will grow at 10 percent indefinitely. Use a 13.7 percent discount rate. Compute the value of this stock at time 0. (Round your answer to 2 decimal places.) Value of Stock: $ ____.

Answers

The value of the stock at time 0 is $456.35. To calculate the value of the stock at time 0, we can use the dividend discount model, which states that the value of a stock is equal to the present value of all its future dividends.

Assuming the first dividend will be paid in 5 years and will grow at a rate of 10% indefinitely, we can write:

D1 = $15.32

g = 10%

r = 13.7%

Using these values, we can calculate the present value of the first dividend as follows:

PV(D1) = D1 / (1 + r)^5 = $7.02

We can then calculate the present value of all future dividends using the formula for the present value of a growing perpetuity:

PV(Growing Perpetuity) = D1 * (1 + g) / (r - g)

Plugging in the values, we get:

PV(Growing Perpetuity) = $15.32 * (1 + 0.10) / (0.137 - 0.10) = $449.33

Finally, we can calculate the value of the stock at time 0 by adding together the present value of the first dividend and the present value of all future dividends:

Value of Stock = PV(D1) + PV(Growing Perpetuity) = $7.02 + $449.33 = $456.35

Therefore, the value of the stock at time 0 is $456.35.

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If a nation experiences 5% inflation while its trading partner...
If a nation experiences 5% inflation while its trading partner experiences 1% inflation, and if PPP holds, what happens to its real exchange rate?
a. depreciates by 4%
b doesn't change
c. appreciates by 4%
d. no answer provided

Answers

If a nation experiences 5% inflation while its trading partner experiences 1% inflation, and if Purchasing Power Parity (PPP) holds, the real exchange rate of the nation will appreciate by 4%.  the answer is c.

Purchasing Power Parity is an economic theory that suggests that in the long run, the exchange rates between two currencies should adjust to equalize the purchasing power of each currency. In this scenario, if PPP holds, it means that the exchange rate between the two currencies should adjust to reflect the difference in inflation rates.

Since the nation is experiencing higher inflation (5%) compared to its trading partner (1%), its prices are rising at a faster rate. As a result, the nation's currency would need to appreciate to maintain parity in purchasing power. Therefore, the real exchange rate of the nation would appreciate by the difference in inflation rates, which is 4%.

Therefore, the answer is c. appreciates by 4%.

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who is the best person to interview for insight or information about your topic?

Answers

One of the best people to interview for insight or information about your topic are experts or authorities in the field.  The knowledge, expertise, and experience that economics will help provide valuable insights and information .

When it comes to gathering information or insights about a particular topic, one of the best ways to do so is to conduct interviews. Interviews allow individuals to gather valuable insights and information about the topic, as well as provide them with the opportunity to ask questions and clarify any uncertainties they may have. However, in order for the interview to be successful, it is important to choose the right person to interview. The best person to interview for insight or information about your topic is an expert or authority in the field.

Experts or authorities in the field have the knowledge, expertise, and experience that will help provide valuable insights and information about the topic. They can offer in-depth knowledge about the topic, provide statistics, facts, and real-world examples to help support their claims, and give opinions based on their experience. They can also help provide context and understanding to the topic and offer solutions to problems or challenges that may arise.

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Tiny Toons was established on January 1, 2022 - capitalized though the issuance of common shares for
$85,000. Tiny Toons produces miniature, plastic cartoon characters
Their 2022 estimated sales are 50,000 units at $120 per unit. Tiny Toons desires an ending inventory of
5,000 units and there is no beginning inventory. 30% of sales are cash and 70% are credit card. The
credit card charges a 3% service charge, with 80% of the credit card sales are collected in the current
period and 20% in the following period
90% of the raw material purchases are paid for during the period of purchase, 10% paid in the following
period. Materials cost $100 per unit and Tiny Toons desires an ending inventory for raw materials of 25
units.
Direct Labour Costs are paid in the period incurred and are $20 per hour and it takes 1 and ½ hours to
produce one unit. Manufacturing overhead is allocated based on direct labour hours at $30 per hour.
Manufacturing equipment cost $35,000, salvage value $5,000, 5 year useful life
All overhead costs (excluding depreciation) are paid in the period incurred as follows: Salary expense
$150,000, Sales Commissions $175,000, Sales Supplies $25,000, Rent $75,000 and miscellaneous
expenses of $5,000.
They require a cash balance of $601,100 and to maintain this cash balance, a line of credit is available for
3% per annum. Note: All borrowings and repayments occur on the first day of the period
REQUIRED:
1. Prepare a Sales Budget (3 marks)
2. Prepare a Production Budget (5 marks)
3. Prepare a Raw Materials Budget (10 marks)
4. Prepare a Direct Manufacturing Labour Budget (5 marks)
5. Prepare a Manufacturing Overhead Budget (3 marks)
6. Prepare a Cost of Goods Manufactured Budget and a unit cost (7 marks)
7. Prepared a Selling, General and Administrative Expenses Budget (6 marks)
8. Prepare a Proforma Income Statement (7 marks)
9. Prepare a Cash Receipts Schedule (4 marks)
10. Prepare a Credit Cards Proforma Data Schedule (3 marks)
11. Prepare a Cash Payments Budget (4 marks)
12. Prepare proforma data for accounts payable, raw material inventory and accumulated
deprecation, Finished Goods Inventory December 31, 2022 and Cost of Goods Sold (5 marks)
13. Prepare a Cash Budget (21 marks)
14. Prepare a Proforma Balance Sheet (17 marks)

Answers

The provided task requires the preparation of various budgets and financial statements for Tiny Toons' operations.

The task involves the preparation of several budgets and financial statements for Tiny Toons, a producer of miniature, plastic cartoon characters. The required budgets include a Sales Budget, Production Budget, Raw Materials Budget, Direct Manufacturing Labour Budget, Manufacturing Overhead Budget, Cost of Goods Manufactured Budget, Selling, General and Administrative Expenses Budget, and Cash Receipts Schedule.

Additionally, proforma data for accounts payable, raw material inventory, accumulated depreciation, Finished Goods Inventory as of December 31, 2022, and Cost of Goods Sold need to be prepared. Furthermore, a Cash Payments Budget, Cash Budget, Proforma Income Statement, and Proforma Balance Sheet are required.

The completion of these tasks will provide a comprehensive understanding of Tiny Toons' financial operations, including sales, production, costs, cash flows, and financial position.

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Recommendation to future researchers about student's assessment
on online enrollment system

Answers

Future researchers about student's assessment on online enrollment system must consider the importance of data security, user-friendliness, and system reliability.

It is essential to ensure that the system is user-friendly and straightforward to use to prevent students from encountering difficulties while using the system.The online enrollment system must also be designed in such a way that data entered by students remains confidential.

The system must also be reliable, especially when it comes to the collection of data and its analysis. Data integrity and accuracy are of the utmost importance.The researcher must also pay attention to students' feedback about the online enrollment system.

The student's feedback helps to identify areas of improvement, which may include fixing bugs, improving the user interface, and adding new features to the system. The researcher must also conduct a usability test to determine whether the online enrollment system meets the needs of its users.

In conclusion, future researchers must consider the essential features of the online enrollment system, including data security, reliability, and user-friendliness, when conducting research on student's assessment on the online enrollment system.

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Assume we have a simple endogenous growth model where technology is labour-augmenting, that is, Y = F(K,AN), and where output per person is proportional to the capital-labour ratio, such that y = ak. In this case, the growth rate of output per capita can be expressed by:
A) sa+(n+d)
B) sa-(n+d)k
C) sa+(n-d)k
D) sk-(n+d)a
E) sa-(n+d)

Answers

The correct answer is E. In an endogenous growth model, the growth rate of output per capita is determined by the rate of technological progress, the rate of population growth, and the rate of depreciation.

The rate of technological progress is represented by the variable a, the rate of population growth is represented by the variable n, and the rate of depreciation is represented by the variable d.

The growth rate of output per capita can be expressed as follows:

Growth rate of output per capita = $a - (n + d)$

This means that the growth rate of output per capita is equal to the rate of technological progress minus the rate of population growth and the rate of depreciation.

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Looking at your profit and loss statement of your trucking firm, you note that you have operating revenue of $20M and operating expenses of $16M. What is your operating ratio? a) 20% b) 25% c) 80% d) 125% e) Not enough information to tell

Answers

The operating ratio is a financial metric used to measure the efficiency and profitability of a company's operations.

It is calculated by dividing operating expenses by operating revenue and expressing the result as a percentage.

In this case, the operating revenue is $20 million and the operating expenses are $16 million. To calculate the operating ratio, we divide the operating expenses by the operating revenue:

Operating Ratio = (Operating Expenses / Operating Revenue) * 100

Operating Ratio = ($16M / $20M) * 100 = 80%

Therefore, the operating ratio for the trucking firm in this scenario is 80%. This means that for every dollar of operating revenue, the company incurs 80 cents in operating expenses. A lower operating ratio indicates higher profitability and efficiency, while a higher operating ratio suggests lower profitability and higher operating costs.

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Let the base year used for calculating CPI be 2010. CPI in 2019 equals 130. What nominal amount in 2019 has the same purchasing power as receiving $3000 in the 2010? Do not enter the $ sign. Round to one decimal place. Answer:

Answers

Let us find the CPI rate in 2010 and the current year (2019) so that we can solve the problem.Let the base year be 2010, which means the CPI rate is 100 in the year 2010.

it is given that the CPI in 2019 equals 130.CPI rate = (Price of market basket in the specific year / Price of the same market basket in the base year) × 100Let P be the nominal amount in 2019 that has the same purchasing power as receiving $3000 in the year 2010.

So, we can write:P × (130/100) = $3000P = $2307.7Therefore, the nominal amount in 2019 that has the same purchasing power as receiving $3000 in 2010 is $2307.7 (without the $ sign). Hence, the answer is $2307.7.

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In Class Assignment - 4:00-5:00 - (15%) A- B I 720 Q2. Discuss how a company which sells products for expectant mothers and for children can be affected by the "Demographic" dimension of the general environment. 40% III Time left 0:48:57 53

Answers

The "Demographic" dimension of the general environment plays a crucial role in influencing a company that sells products for expectant mothers and children.

This dimension focuses on factors such as population size, age distribution, gender, income levels, and family structure, which directly impact the target market and consumer behavior. Population Size and Growth: The size and growth rate of the population, particularly in the target market, have a significant impact on demand for products. A company selling products for expectant mothers and children would closely monitor population trends to anticipate potential increases or declines in demand.

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Delco Accents will pay an annual dividend of $5.94 a share next year with future dividends increasing by 2.20 percent annually. What is the stock's Cost of Equity if the stock is currently selling for $42.64 a share?
a. 15.58%
b. 16.13%
c. 11.16%
d. 9.89%
e. 17.14%

Answers

The cost of equity is 14.26%. Thus, the option (a) 15.58% is incorrect.

Given, Annual dividend = $5.94Next year's dividend = $5.94(1+2.20%) = $6.07

The current market price of the share = $42.64

We have to find the Cost of Equity.

The cost of equity can be calculated using the formula, Cost of Equity = D1 / P0 + g

Where, D1 = Dividend at the end of the first yearP0 = Current Market price of the share

g = Growth rate of dividend

Coe = (6.07/42.64) + 2.20%Coe = 0.1426 or 14.26%Hence, the cost of equity is 14.26%.

Thus, the option (a) 15.58% is incorrect.

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Question 4 (Ratio Analysis) (10 marks) Use the following selected financial information to answer the questions that follow. 2021 2020 2019 Inventory R 56,000 R 64,000 R 53,000 Total Assets 1,205,000 952,000 945,000 Cost of Goods Sold 360,000 420,000 440,000 Net Income 65,000 25,000 16,000 Required: 1. Calculate this company’s inventory turnover ratio for 2021 and 2020(4) 2. Determine the number of days it would take to turn over the entire inventory at December 31, 2021 and 2020(4) 3. What problems are apparent with the company’s inventory management? (2

Answers

Answer:

The company's inventory turnover ratio decreased from 7.1 times in 2020 to 6 times in 2021.

This suggests that the company is taking longer to sell its inventory. This could be due to a number of factors, such as:

A decrease in demand for the company's products

An increase in the cost of the company's products

A decrease in the efficiency of the company's inventory management system

The company should investigate the reasons for the decrease in inventory turnover and take steps to improve it.

Explanation:

The inventory turnover ratio is calculated by dividing the cost of goods sold by the average inventory. The average inventory is calculated by adding the beginning inventory and ending inventory and dividing by 2.

2021

Cost of goods sold: R 360,000

Beginning inventory: R 56,000

Ending inventory: R 64,000

Average inventory: (R 56,000 + R 64,000) / 2 = R 60,000

Inventory turnover ratio: R 360,000 / R 60,000 = 6 times

2020

Cost of goods sold: R 420,000

Beginning inventory: R 64,000

Ending inventory: R 53,000

Average inventory: (R 64,000 + R 53,000) / 2 = R 58,500

Inventory turnover ratio: R 420,000 / R 58,500 = 7.1 times

2. The number of days it would take to turn over the entire inventory can be calculated by dividing the number of days in a year by the inventory turnover ratio.

2021

Number of days in a year: 365 days

Inventory turnover ratio: 6 times

Number of days to turn over inventory: 365 days / 6 times = 61 days

2020

Number of days in a year: 365 days

Inventory turnover ratio: 7.1 times

Number of days to turn over inventory: 365 days / 7.1 times = 51 days

3. The inventory turnover ratio has decreased from 7.1 times in 2020 to 6 times in 2021. This suggests that the company is taking longer to sell its inventory. This could be due to a number of factors, such as:

A decrease in demand for the company's products

An increase in the cost of the company's products

A decrease in the efficiency of the company's inventory management system

The company should investigate the reasons for the decrease in inventory turnover and take steps to improve it. This could involve increasing demand for the company's products, reducing the cost of the company's products, or improving the efficiency of the company's inventory management system.

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At a parish meeting, the defendant, Myers, threatened and attempted to assault the plaintiff, Stephens, who was acting as chairman. During the course of an angry discussion, a majority of people at the meeting voted to kick out the defendant. The defendant said that he would rather pull the chairman out of his chair than leave the room. Then he rose from his seat and walked towards the plaintiff with his fist raised, but was stopped by the churchwarden, who sat next to the chairman, before he could get close enough to attack the chairman. The witnesses said that it seemed to them that Myers was advancing with the intention to strike Stephens.

Answers

During a parish meeting, the defendant, Myers, made threats and attempted to assault the plaintiff, Stephens, who was acting as the chairman.

As the discussion became heated, the majority voted to remove Myers from the meeting. In response, Myers expressed his willingness to physically remove the chairman from his seat.

He then stood up and approached Stephens with a raised fist but was prevented from attacking by the churchwarden sitting beside the chairman. Witnesses testified that it appeared Myers intended to strike Stephens.

In this case, Myers' actions and statements indicate a clear intention to harm Stephens. By threatening and attempting to assault the plaintiff, Myers exhibited aggressive behavior during the parish meeting. The witnesses' testimony further supports the claim that Myers was advancing towards Stephens with the intent to strike him. Although the churchwarden intervened and prevented the attack, the circumstances surrounding Myers' actions demonstrate the potential harm he posed to Stephens and the need to address his aggressive behavior during the meeting.

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Using some review of articles to explain:How does the
negotiation between employer and trained employees reduce job
turnover even when the firm is facing with an unexpected drop in
its output demand?

Answers

Negotiation between employers and trained employees reduces job turnover during an unexpected drop in output demand by fostering mutual investment and commitment. This is achieved through flexible work arrangements, skills development opportunities, and competitive compensation packages.

Research suggests that negotiation between employers and trained employees plays a crucial role in reducing job turnover, even in challenging situations such as an unexpected drop in output demand. The negotiation process allows employers to acknowledge the value of trained employees' skills and knowledge, creating a sense of mutual investment and commitment. Employers can offer flexible work arrangements, such as reduced working hours or temporary reassignments, to retain employees during periods of low demand. This flexibility provides employees with job security and demonstrates the employer's commitment to their well-being. Additionally, negotiating career development opportunities, such as training programs or upskilling initiatives, shows employees that the organization is invested in their long-term growth and professional advancement. This investment enhances job satisfaction and motivates employees to stay despite the temporary downturn in demand. Furthermore, competitive compensation packages, including performance-based incentives or retention bonuses, can be negotiated to provide financial stability and recognize employees' contributions even during challenging times.

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ion Time left 2:30:29 VOYAGE ESTIMATION AND LAYTIME The aim of a voyage estimate is to provide the ship-owner or charterer with an estimate of the probable cost and financial return that can be expected from a prospective voyage. Vessel: M/V V-TECK Speed: 18.57 knots Fuel cons. 20.8 tones/day IFO at sea 2.5 tones/day MDO at sea 1 ton/day IFO in port 3.5 tones/day MDO in port Daily operation costs (DOPC)/running cost 11,000:00 Voyage: Portland / Jamaica Cargo: Marine Diesel Oil 66,000 tones Freight rate $55.00/ ton Brokerage commission 3% of freight Bunkers on board: 1250 tones IFO and 400 tones MDO. Cost of bunkers 190/t IFO and 230/t MDO Day in Port: 4.3 days in Houston and 687.5 tons/hr. in Kingston (loading and Discharge) Port Expense: Houston $20,000.00 and Kingston-$17,000.00 Exchange rate: $1 US$157.00JM Calculate: 1. Voyage Expense 2. Gross Profit 3. Net Daily Profit 4. Total Voyage Cost in Jamaica Dollars Distance: 2850 Nm

Answers

A voyage estimate provides an owner or charterer with an estimate of the prospective voyage's potential cost and financial return. The voyage details for M/V V-TECK include 66,000 tonnes of marine diesel oil from Portland to Jamaica at $55 per tonne.

The 3% brokerage commission is applied to the freight rate. The vessel has 1250 tons of IFO and 400 tons of MDO bunkers, costing $190 per tonne and $230 per tonne, respectively, and consumes 20.8 tons of IFO and 1 ton of MDO per day while at sea and 3.5 tons of IFO and 1 ton of MDO while in port.

The M/V V-TECK has a daily operating cost of $11,000. It will spend 4.3 days in Houston and 687.5 tons per hour loading and discharging in Kingston. The port expenses are $20,000 for Houston and $17,000 for Kingston. The distance covered is 2850 Nm. Voyage Expenses, Gross Profit, Net Daily Profit, and Total Voyage Cost in Jamaican Dollars are all calculated.

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match the following with the correct answer a. router b. switch c. application software select 1. layer 2 select 2. layer 3 select 3. layer 5

Answers

from the above discussion we can conclude that switch, router, and application software are used at layer 2, layer 3, and layer 5 of the OSI model, respectively.

Layer 2 of the OSI model uses a switch, Layer 3 uses a router, and Layer 5 uses application software. The switch is utilized in the data link layer (Layer 2), the router in the network layer (Layer 3), and application software in the session layer (Layer 5). The router is used to forward data packets between various computer networks, whereas the switch is used to connect devices within the same network. Finally, application software is used to create a connection between two network devices, allowing them to interact with one another.

Layer 2 of the OSI model uses a switch, Layer 3 uses a router, and Layer 5 uses application software. The switch is utilized in the data link layer (Layer 2), the router in the network layer (Layer 3), and application software in the session layer (Layer 5). The router is used to forward data packets between various computer networks, whereas the switch is used to connect devices within the same network.

Finally, application software is used to create a connection between two network devices, allowing them to interact with one another.

Therefore, from the above discussion we can conclude that switch, router, and application software are used at layer 2, layer 3, and layer 5 of the OSI model, respectively.

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You borrowed $13,626 on January 1, 2020. The annual interest
rate is 8%. Interest is compounded annually. What amount will you
repay at the end of 5 years? Round your answer to two decimal
places.

Answers

If you borrowed $13,626 on January 1, 2020, with an annual interest rate of 8% compounded annually, you will need to repay a certain amount at the end of 5 years.

To calculate the amount to be repaid at the end of 5 years, we can use the compound interest formula:

A = P * (1 + r/n)^(n*t)

Where:

A = Total amount to be repaid

P = Principal amount borrowed ($13,626)

r = Annual interest rate (8% or 0.08)

n = Number of compounding periods per year (1, since interest is compounded annually)

t = Number of years (5)

Plugging in the values into the formula, we get:

A = 13,626 * (1 + 0.08/1)^(1*5)

A = 13,626 * (1 + 0.08)^5

A = 13,626 * (1.08)^5

A = 13,626 * 1.46933

A = 20,000.45

Therefore, at the end of 5 years, you will need to repay approximately $20,000.45, rounded to two decimal places. The total amount to be repaid can be calculated using compound interest formula and rounding the answer to two decimal places.

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