Often times companies will poorly name their brands.
Perform some research and identify a brand that is poorly named. Then
a. Provide the name of the brand and the company that has made that mistake.
b. Write about why you think that is a mistake in one paragraph.

Answers

Answer 1

a. "Isuzu Mysterious Utility Wizard" is one brand that is frequently regarded as having a bad name. Isuzu Motors Ltd., a Japanese automaker, manufactures this particular kind of car.

b. "Isuzu Mysterious Utility Wizard" is an error for a number of reasons. First of all, the name is excessively complicated and offers no useful information about the product. It's unclear and doesn't provide prospective buyers a clear idea of what the product is or what it delivers.

Isuzu has assembly and production facilities in Fujisawa, which have existed there ever since the business was established there under previous names, as well as in the prefectures of Tochigi and Hokkaido. Worldwide, the majority of commercial markets sell cars with Utility Wizard the Isuzu brand.

While its Japanese rival Yanmar concentrates on commercial-level powerplants and generators, Isuzu's major market focus is on diesel-powered commercial trucks, buses, and construction.

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Related Questions

LP concerned with scheduling shipments from source to destinations so the total transportation costs are minimized. 2 The difference between the left-hand side and the right - hand side of a less than or equal to constraint. Often this is the amount of a resource that is not being used. 3 Several criteria exist for making decisions under conditions of uncertainty. The one in which the amount lost by not picking the best alternative in a given state of nature is called Part 2. Multiple Choice questions: (4 marks) 1. In which way can an assignment problem be defined: a. a special case of transportation problem. b. a problem where all variables are either 0 or 1. c. a problem where all right-hand side values are equal to 1. d. All of the above. 2- In using the criterion of realism (Hurwicz criterion), the coefficient of realism(a): a. Is the probability of a good state of nature. b. Describes the degree of optimism of the decision maker. c. Describe the degree of pessimism of the decision maker. d. Is usually less than 1

Answers

d. All of the above.

b. Describes the degree of optimism of the decision maker.

An assignment problem can be defined as a special case of a transportation problem where all variables are either 0 or 1. Additionally, in an assignment problem, all right-hand side values are equal to 1. Therefore, all options a, b, and c are correct.

The coefficient of realism in the criterion of realism (Hurwicz criterion) describes the degree of optimism of the decision maker. It represents the weight given to the best outcome or best state of nature when making decisions under conditions of uncertainty. A coefficient of realism of 1 indicates full optimism, while a coefficient of 0 indicates full pessimism. Therefore, option b is the correct choice.

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Experts say international product strategies must be deployed with a fair balance. Essentially, they proffer that, targeting the same product everywhere is usually not feasible. Discuss with examples.

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International product strategies must be deployed with a fair balance. Essentially, experts proffer that targeting the same product everywhere is usually not feasible because the consumer's wants, preferences, and lifestyle vary based on their cultural background, economic status, and geographic location.

1. Cultural differences: Different cultures have distinct values, beliefs, and attitudes towards products. What may be viewed as desirable in one culture may be viewed as undesirable in another culture. For instance, the colors, symbols, and names utilized in packaging a product may have diverse meanings and significance in various cultures.

2. Geographic differences: The geographic location of a product's target market also has a significant impact on how successful a product will be.

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If all your assets were worth $10,000 and you purchased a high-end TV set for $2,000, which of the following is true
Select one:
a. Your net worth will decrease by $2,000 with the purchase of this TV.
b. Being a material value, the TV should be regarded as an asset with no change to net worth.
c. The purchase is of an immaterial nature because it will depreciate quickly. It should be regarded as an expense.
d. Cash will decrease by $2,000 and your net worth will decrease by $2,000.

Answers

If you purchase a high-end TV set for $2,000 and your total assets were initially worth $10,000, your net worth will decrease by $2,000.

Net worth is calculated by subtracting liabilities from assets, and it represents the residual value of your assets after deducting your liabilities. In this scenario, when you purchase a high-end TV set for $2,000, your cash (an asset) will decrease by $2,000. As a result, your total assets will decrease to $8,000 ($10,000 - $2,000). Since your liabilities remain unchanged, your net worth will also decrease by $2,000.

Option (b) is incorrect because the TV set is not considered a separate asset. Instead, it is part of your overall assets, and its purchase reduces your total asset value.

Option (c) is incorrect because while the TV may depreciate in value over time, it is still considered a tangible asset and not an expense. Depreciation would be relevant for accounting purposes over its useful life, but it does not change the nature of the purchase as an asset.

Option (d) is incorrect because it incorrectly assumes that cash and net worth both decrease by $2,000. In reality, only cash decreases by $2,000, leading to a decrease in net worth by the same amount.

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You are the quality manager in a firm. Discuss your style of
managing this department use Quality control methods ,
i want 2 pages

Answers

As the quality manager in a firm, my management style revolves around implementing effective quality control methods to ensure the highest level of product or service quality.

I believe in the systematic application of quality control tools and techniques to identify and address potential issues before they impact customer satisfaction. To achieve this, I would focus on utilizing various quality control methods such as statistical process control (SPC), which involves analyzing process data to detect and prevent variations, ensuring consistency and reliability in the production process.

Additionally, I would employ failure mode and effects analysis (FMEA) to proactively assess potential failures and their impact, allowing for preventive actions to be taken. Root cause analysis (RCA) would also be a crucial part of my approach, enabling me to identify the underlying causes of quality issues and implement corrective measures to prevent their recurrence.

Furthermore, I would emphasize the importance of regular quality audits and inspections to evaluate adherence to quality standards and identify areas for improvement. These audits would provide valuable insights into the effectiveness of quality control measures and help drive continuous improvement initiatives.

Overall, my management style as a quality manager would be centered on the systematic application of quality control methods to consistently deliver high-quality products or services, enhance customer satisfaction, and foster a culture of continuous improvement within the organization.

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If an investor feels the share market is heading up, then in the options markets they can:
a.write (create) a covered call
b.buy put options on the market index
c.buy calls on share market index
d.short the share market index

Answers

If an investor feels the share market is heading up, then in the options markets they can buy calls on share market index. The option C is correct answer.

A call is a type of option that gives the holder the right to purchase a stock or other financial instrument at a predetermined price by or before a particular date. For a given underlying instrument, the purchaser of a call has the option to purchase the asset at the strike price until the option expires

When an investor believes that the share market is heading up, they anticipate an increase in stock prices. In the options markets, they can consider buying calls on the share market index. Buying calls gives the investor the right, but not the obligation, to purchase the underlying shares at a predetermined price (strike price) within a specified time frame.

By purchasing calls on the share market index, the investor can potentially profit from the anticipated upward movement in the overall market. Therefore, option C "buy calls on the share market index" is the appropriate choice for an investor who expects the share market to rise.

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For an Electric Vehicle training program in an automotive industry, for the week 10, calculate the cost and schedule variances. Also calculate the CPI, SPI, CSI, ETC and EAC. Assume 50-50 rule for preparing the baseline budget: (6) 202 Assum Activity Predecessor Duration Actual Cost % complete (weeks) m($) A 4 500 100 B A 3 400 100 C A 6 1000 100 B 5 20 C 3 0 D E Budget ($) 400 600 800 1000 1200

Answers

The cost and schedule variances for week 10 for an Electric Vehicle training program in an automotive industry are not provided. However, CPI, SPI, CSI, ETC, and EAC can be calculated assuming the 50-50 rule for preparing the baseline budget.

Calculation of CPI (Cost Performance Index): CPI = Earned Value (EV) / Actual Cost (AC)Calculation of SPI (Schedule Performance Index): SPI = Earned Value (EV) / Planned Value (PV)Calculation of CSI (Cost Schedule Index): CSI = SPI x CPIETC (Estimate to Complete) = Budget at Completion (BAC) - Earned Value (EV)EAC (Estimate at Completion) = Actual Cost (AC) + ETC

As referenced above cost change is the estimation of deviation from the assessed cost of the task so CV = Acquired Worth - Genuine Expense. SV = Earned Value – Planned Value, on the other hand, is the deviation from the project's scheduled time in the case of schedule variance.

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2.1 Discuss three limitations of using ratio analysis (5)
2.2 You are provided with Lubulu Ltd’s financial statement as set out below.
Statement of Financial position for Lubulu Ltd
Asset 2x20
Property, plant and equipment at cost price 1 350 000
Accumulated depreciation (300 000)
PPE at carrying value 1 050 000
Investment in shares 825 000
Non- current assets 1 875 000
Inventories 150 000
Tarde receivables 250 000
Cash and cash equivalent 725 000
Current Assets 1 125 000
Total assets 3 000 000
Equity and liabilities
Share capital 1 250 000
Retained earnings 500 00
Ordinary shareholder’s equity 1 750 000
Preference shares 225 000
Shareholder’s’ equity 1975 000
Long-term debt 400 000
Deferred tax liability 145 000
Non-current liabilities 545 000
Trade payables 380 000
Dividends payable 100 000
Current liabilities 480 000
Total equity and liabilities 3 000 000
Statement of comprehensive income for Lubulu Ltd
2x20
Turnover 2 450 000
Cost of sales and services rendered (1 450 000)
Gross profit 1 000 000
Operating expenses (250 000)
Operating profit 750 000
Investment income 80 000
Finance cost (65 000)
Profit before tax 765 000
Tax (306 000)
Profit after tax 459 000
Preference share dividends (15 750)
Attributable earnings 443 250
Ordinary dividend (150 000)
Retained earnings (for the year) 293 250
Calculate the following ratios based on the information that has been provided (do not use average
ratios):
2.2.1 Gross Profit margin (3)
2.2.2 Interest cover ratio (3)
2.2.3 Return on ordinary shareholders’ equity (3)
2.2.4 Quick ratio (3)
2.2.5 Return on total assets (after interest and tax) (3)
2.2.6 Current ratio (2)
2.2.7 Debt equity ratio (3)
2.2.8 Comment on the liquidity position of the company (5

Answers

2.1 Limitations of Ratio Analysis:

Limited Comparability: Ratios are based on financial data, and different companies may use different accounting methods, making it challenging to compare ratios across companies accurately.

Lack of Context: Ratios provide numerical insights but may not reveal the underlying causes or context behind the numbers. Additional qualitative analysis is necessary to interpret the meaning and implications of the ratios.

Overemphasis on Historical Data: Ratios are based on historical financial statements, which may not reflect future performance or changes in the business environment. Ratios should be used in conjunction with other forecasting tools for a comprehensive evaluation.

Ratio analysis is a valuable tool for assessing a company's financial performance and position. However, it is essential to be aware of its limitations. The comparability of ratios can be compromised if companies use different accounting methods or industry-specific practices. Ratios provide numerical indicators but lack the contextual understanding of the factors driving those ratios. Therefore, it is crucial to complement ratio analysis with qualitative analysis to gain a deeper understanding of a company's financial health. Additionally, relying solely on historical data may overlook potential changes or uncertainties in the future. Therefore, ratio analysis should be used in conjunction with other forecasting techniques to make well-informed decisions.

2.2 Financial Ratios for Lubulu Ltd:

2.2.1 Gross Profit Margin = (Gross Profit / Turnover) * 100 = (1,000,000 / 2,450,000) * 100 = 40.82%

2.2.2 Interest Cover Ratio = Operating Profit / Finance Cost = 750,000 / 65,000 = 11.54

2.2.3 Return on Ordinary Shareholders' Equity = (Profit after tax - Preference share dividends) / Ordinary Shareholders' Equity = (459,000 - 15,750) / 1,750,000 = 0.2597 or 25.97%

2.2.4 Quick Ratio = (Current Assets - Inventories) / Current Liabilities = (1,125,000 - 150,000) / 480,000 = 1.9375

2.2.5 Return on Total Assets (after interest and tax) = (Profit after tax + Finance Cost) / Total Assets = (459,000 + 65,000) / 3,000,000 = 0.1747 or 17.47%

2.2.6 Current Ratio = Current Assets / Current Liabilities = 1,125,000 / 480,000 = 2.34375

2.2.7 Debt Equity Ratio = Long-term Debt / Shareholders' Equity = 400,000 / 1,975,000 = 0.2025 or 20.25%

2.2.8 Comment on the liquidity position of the company: Lubulu Ltd demonstrates a satisfactory liquidity position. The current ratio of 2.34375 indicates that the company has sufficient current assets to cover its short-term obligations. Additionally, the quick ratio of 1.9375 indicates that the company has a reasonable ability to meet its immediate liabilities without relying heavily on inventory. These ratios suggest that Lubulu Ltd has good liquidity and can meet its short-term financial obligations comfortably.

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Yan Yan Corporation has a $5,000 par value bond outstanding with a coupon rate of 4.8 percent paid semiannually and 10 years to maturity. The yield to maturity on this bond is 4.3 percent. What is the dollar price of the bond? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) Bond price

Answers

The formula for the calculation of bond price is:PV = C * (1 - (1 + r)^-n) / r + FV / (1 + r)^nPV = $4,772.48

Given data:

Par value = $5,000

Coupon rate = 4.8%

Payment frequency = semiannually

Maturity period = 10 years

Yield to maturity = 4.3%

We know that the coupon payment is semiannual. Therefore, the semiannual coupon payment would be:

coupon payment = Par value × Coupon rate / 2= $5,000 × 4.8% / 2= $240 per payment period

As there are two payment periods per year, the number of periods (n) would be:

10 years × 2 = 20 payment periods

The discount rate (r) would be the yield to maturity divided by the payment frequency. Therefore:

r = 4.3% / 2 = 2.15%

We can now use the formula to calculate the bond price:

PV = C * (1 - (1 + r)^-n) / r + FV / (1 + r)^n

PV = $240 * (1 - (1 + 2.15%)^-20) / 2.15% + $5,000 / (1 + 2.15%)^20

PV = $4,772.48

Therefore, the dollar price of the bond is $4,772.48.

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Discuss the impact of the small business on the economy in the
United States. What impact do small business owners have in
determining how well the economy runs?

Answers

Small businesses in the United States have a significant impact on the economy, contributing to job creation, innovation, and economic growth. Small business owners play a crucial role in determining how well the economy runs through their decisions and actions.

Small businesses play a crucial role in the economy of the United States, contributing significantly to job creation, innovation, and economic growth.

They are the backbone of the economy, comprising a significant portion of the business sector. According to the U.S. Small Business Administration, small businesses accounted for 44 percent of all economic activity in the country in 2020.

One of the key impacts of small businesses is job creation. They are responsible for a substantial portion of new job opportunities in the United States.

Small businesses often have a close connection to their local communities and are more likely to hire from within those communities, providing employment opportunities and reducing unemployment rates.

Moreover, small businesses foster innovation and competition. They are nimble and can quickly adapt to market changes, leading to the development of new products, services, and business models.

This entrepreneurial spirit drives economic growth and keeps the economy dynamic and resilient.

Small business owners also have a direct influence on how well the economy runs. Their decisions regarding investment, expansion, hiring, and spending can have ripple effects throughout the economy.

When small businesses thrive, they generate tax revenues, increase consumer spending, and create a multiplier effect by supporting other local businesses.

In summary, small businesses have a significant impact on the U.S. economy. They drive job creation, spur innovation, and contribute to economic growth.

Small business owners' decisions and actions have a substantial influence on the overall health and performance of the economy. Supporting and nurturing small businesses is essential for maintaining a robust and prosperous economic landscape.

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The trustee
in bankruptcy proceedings shall have the power to
manage the
current affairs of the
company.
c.
True
d.
False

Answers

The trustee in bankruptcy proceedings shall have the power to manage the current affairs of the company. The given statement is true.

What is a Trustee? A trustee is a person who is appointed to oversee and manage the bankruptcy proceedings of a company. The bankruptcy trustee is appointed by the court to manage the affairs of the company and to represent the interests of the creditors. What is Bankruptcy? Bankruptcy is a legal proceeding that is initiated when a company is unable to pay off its debts. Bankruptcy proceedings are usually initiated by the creditors of the company who are owed money by the company. The main aim of bankruptcy proceedings is to provide a fair and equitable distribution of the company's assets to its creditors. What is the power of the trustee? The trustee in bankruptcy proceedings shall have the power to manage the current affairs of the company. This includes the power to sell the company's assets, to enter into contracts on behalf of the company, and to take any other actions that are necessary to ensure that the interests of the creditors are protected and that the assets of the company are distributed fairly and equitably.

The given statement "The trustee in bankruptcy proceedings shall have the power to manage the current affairs of the company" is true. In bankruptcy proceedings, the trustee has the authority to manage the company's current affairs. The trustee is responsible for overseeing the company's bankruptcy proceedings, managing its assets, and representing the interests of the creditors. So, we can conclude that the bankruptcy trustee is appointed by the court to manage the affairs of the company and to represent the interests of the creditors.

The trustee in bankruptcy proceedings has the power to manage the current affairs of the company, which includes the power to sell the company's assets, to enter into contracts on behalf of the company, and to take any other actions that are necessary to ensure that the interests of the creditors are protected and that the assets of the company are distributed fairly and equitably.

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Cede & Co. expects its EBIT to be $139,000 every year forever. The company can borrow at 7 percent. The company currently has no debt and its cost of equity is 10 percent and the tax rate is 24 percent. The company borrows $186,000 and uses the proceeds to repurchase shares. a. What is the cost of equity after recapitalization? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) b. What is the WACC? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

The cost of equity after recapitalization is ≈ 0.2492 or 24.92% (rounded to 2 decimal places). The WACC is approximately 24.92% (rounded to 2 decimal places).

a. The cost of equity after recapitalization can be calculated using the formula: Cost of Equity = (Net Income / Equity) + (Equity / Total Value) * (Total Debt / Equity) * (Cost of Debt * (1 - Tax Rate)). In this case, since the company expects its EBIT to be $139,000 forever, the net income will also be $139,000 (assuming no interest expense). The total debt is $186,000, and the cost of debt is 7%. The tax rate is 24%. The equity before recapitalization is assumed to be equal to the total value before recapitalization.

Let's calculate the cost of equity after recapitalization:

Cost of Equity = ($139,000 / Equity) + (Equity / (Equity + $186,000)) * ($186,000 / Equity) * (0.07 * (1 - 0.24))

To solve for the cost of equity, we need to set it equal to the cost of equity before recapitalization and solve for Equity.

10% = ($139,000 / Equity) + (Equity / (Equity + $186,000)) * ($186,000 / Equity) * (0.07 * (1 - 0.24))

Solving for Equity using numerical methods, we find that Equity ≈ $558,485.54.

Therefore, the cost of equity after recapitalization is:

Cost of Equity ≈ ($139,000 / $558,485.54) + ($558,485.54 / ($558,485.54 + $186,000)) * ($186,000 / $558,485.54) * (0.07 * (1 - 0.24))

Cost of Equity ≈ 0.2492 or 24.92% (rounded to 2 decimal places).

b. The Weighted Average Cost of Capital (WACC) can be calculated as the weighted sum of the cost of equity and the after-tax cost of debt. Since the company currently has no debt, the WACC will be equal to the cost of equity after recapitalization.

Therefore, the WACC is approximately 24.92% (rounded to 2 decimal places).

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Reverse logistics The process of the cost- effective flow of raw materials, in process inventory, finished goods and related information from the point of consumption to the point of origin for the purpose of recapturing value or proper disposal. a. supply chain, procument, logistic the manual b. planning, implementing, controlling the efficient, c. project management, operations the tools

Answers

Reverse logistics encompasses elements of supply chain management, procurement, logistics, project management, and operations to ensure the cost-effective and sustainable handling of reverse flows and the recapture of value from returned or end-of-life products.

Reverse logistics refers to the process of managing the flow of materials, b, and information from the point of consumption back to the point of origin for the purpose of recapturing value or proper disposal. It involves activities such as product returns, recycling, refurbishing, and remanufacturing. The goal of reverse logistics is to optimize the cost-effective and efficient handling of these reverse flows while minimizing waste and maximizing value recovery.

In the context of supply chain management, reverse logistics is an integral part of the overall logistics and procurement processes. It involves the planning, implementing, and controlling of the efficient flow of materials and products in reverse, ensuring that they are properly managed and reintegrated into the supply chain or disposed of in an environmentally responsible manner.

Additionally, reverse logistics can also be viewed as a project management and operations tool. It requires the use of project management principles to effectively plan and execute reverse logistics activities, including coordinating various stakeholders, managing timelines, and allocating resources. Operations management techniques are applied to streamline processes, optimize resource utilization, and improve the overall efficiency of reverse logistics operations.

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Can I get some help on this question? It's about analyzing the effect of using import quota for a small open economy. The following question is about analyzing the effect of using import quota for a small oper economy where its local demand and supply for product Y are given by D=100-PandS=P with the price of product Y in the world market being $20. 1. The government of this small open economy is considering an import quota of limiting the maximum number of import product Y to be 30. Analyze the effect of this import quota on the total surplus of this economy by calculating the changes in the level of consumer surplus producer surplus, and quota rent (or quota revenue if the government auctions the import license). Change in consumer surplus (may take a positive or a negative value)= Change in producer surplus (may take a positive or a negative value) = Quota rent(Quota revenue)= The total surplus of this economy will (decrease, increase, or stay the same) after imposing this import quota. Derivation: 2. Briefly explain the sources of the gain or the loss that you identified in your answer for question(1) Explanation of the sources:

Answers

To analyze the effects of an import quota on the total surplus of a small open economy,calculate the changes in consumer surplus, producer surplus, and quota rent.

An import quota is a trade restriction imposed by a government that limits the quantity or value of a specific product that can be imported into a country during a specified period.

It is a form of trade barrier used to protect domestic industries, regulate imports, and maintain a balance of trade.Import quotas are typically established and regulated by the government or relevant trade authorities.

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Identify the major sections of the cash budget from the following.

Select all that apply. There can be more than one correct answer.

1.The cash excess or deficiency section

2.The current section

3.The disbursements section

4.The financing section

5.The income statement section

6.The investing section

7.The noncash section

8.The operating section

9.The production section

10.The receipts section

Answers

The correct answers are:

The cash excess or deficiency sectionThe disbursements sectionThe financing sectionThe receipts section

The cash budget is a crucial tool in financial management that allows businesses to plan and control their cash flow effectively. It consists of several major sections that help provide a comprehensive understanding of the company's cash position.

One important section is the cash excess or deficiency section, which calculates the difference between cash receipts and cash disbursements. It provides insights into whether the business will have a surplus or deficit of cash during the specified period. This section is crucial for assessing the overall financial health and liquidity of the company.

Another essential section is the disbursements section, which outlines the expected cash outflows for various expenses such as salaries, utilities, rent, and operating expenses. By accurately estimating these cash payments, businesses can plan their expenditures and ensure they have sufficient funds to cover their obligations.

The financing section focuses on any planned or anticipated borrowings, loan repayments, or other financing activities. It helps companies evaluate the cash impact of their financing decisions, whether through debt or equity, and provides insights into the sources of additional cash inflows or outflows.

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Diluted earnings per share is a hypothetical computation to warn stockholders what could happen if:

Answers

Diluted earnings per share is a hypothetical computation to warn stockholders what could happen if a company's outstanding stock options and other possible stock securities are exercised and converted into common stock.

Diluted earnings per share (DEPS) are generally less than the basic earnings per share, which only reflects the earnings per common share of the company's issued and outstanding common shares, and therefore, it is always suggested for companies to report both basic earnings per share and diluted earnings per share. The purpose of this warning is to provide shareholders with a better understanding of the company's earnings. Diluted earnings per share considers the effects of all convertible securities outstanding, including stock options, convertible preferred stock, convertible debentures, and warrants. However, there are some exceptions, such as stock options, which have an exercise price greater than the average market price of the stock during the accounting period. If the exercise price of the stock options is greater than the average market price of the stock, then there is no dilutive effect. Therefore, diluted earnings per share is a hypothetical computation that considers all possible convertible securities that could have an effect on earnings per share. It is important for companies to report diluted earnings per share in addition to basic earnings per share because the report provides investors with a better understanding of how the company's earnings may be affected by all possible convertible securities outstanding.

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assuming that salaries and utilities are paid in the month following their occurrence, which of the following items related to the selling and administrative expense budget will appear on the pro forma financial statements? multiple select question. capital expenditures accumulated depreciation salaries payable utilities expense inventory

Answers

The following items related to the selling and administrative expense budget will appear on the pro forma financial statements: Salaries payable Utilities expense

The items related to the selling and administrative expense budget that will appear on the pro forma financial statements assuming that salaries and utilities are paid in the month following their occurrence are Salaries payable and Utilities expense. Pro forma financial statements refer to the financial statements that include financial projections based on the current financial statements and expected changes in revenue, expenses, and other financial items. The selling and administrative expense budget is an essential part of the pro forma financial statement.

Assuming that salaries and utilities are paid in the month following their occurrence, the items that will appear on the pro forma financial statements are Salaries payable and Utilities expense. A salaried payable is a liability of the business, which reflects the amount that the business owes to its employees for their work done. In this case, salaries payable will appear on the liability side of the pro forma financial statement.Utilities expense is the cost incurred by the business to run its daily operations. These expenses will appear on the income statement of the pro forma financial statement. "Salaries payable and Utilities expense will appear on the pro forma financial statements assuming that salaries and utilities are paid in the month following their occurrence.

Therefore, Salaries payable and Utilities expense will appear on the pro forma financial statements, assuming that salaries and utilities are paid in the month following their occurrence.

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Bottleneck Industries is considering project A. The project has expected cash flows of -$29,500.00 today, $40,100.00 in 1 year, -$49,000.00 in 2 years, and $60,300.00 in 3 years. The weighted-average cost of capital for Bottleneck Industries is 26.43 percent. Which one of the following assertions is true?
A. The NPV of project A equals an amount that is less than or equal to $4.70.
B. The NPV of project A equals an amount that is equal to or greater than $4.70. C. Even though project A's expected cash flows are not conventional and even though it is possible to compute the NPV of a project with expected cash flows that are not conventional, the NPV of project A can not be computed D. The NPV of project A cannot be computed, because the project's expected cash flows are not conventional and it is impossible to compute the NPV of a project with expected cash flows that are not conventional E. The NPV of project A equals an amount that is greater than $4.70 but less than $4.70.

Answers

Answer:

The project has expected cash flows for project A in years:

Year 0: -$29,500.00

Year 1: $40,100.00

Year 2: -$49,000.00

Year 3: $60,300.00

Using Weighted average cost of capital (WACC) formula:

PV0 = -$29,500.00 / (1 + 0.2643)^0 = -$29,500.00

PV1 = $40,100.00 / (1 + 0.2643)^1 = $31,727.51

PV2 = -$49,000.00 / (1 + 0.2643)^2 = -$27,488.59

PV3 = $60,300.00 / (1 + 0.2643)^3 = $31,930.80

Now we can calculate Net present value (NPV)

NPV = PV0 + PV1 + PV2 + PV3

= -$29,500.00 + $31,727.51 - $27,488.59 + $31,930.80

= $6,669.72

The NPV of project A is $6,669.72.

B. The NPV of project A equals an amount that is equal to or greater than $4.70 is the correct answer.

The sooner the better, please help
Sara signed up and paid $1,140 for a 6 month ceramics course on June 1st with C Ceramics. As of October 1st, C's accounting records would indicate: O $1,140 of revenue, $1,140 of cash $760 of revenue,

Answers

The accounting records would indicate $760 of revenue, and $380 of deferred revenue if Sara signed up and paid $1,140 for a 6-month ceramics course on June 1st with C Ceramics as of October 1st.

There are only four months of the 6 months course left by October 1st; the accounting records will indicate $760 of revenue because the student has only attended four months of the six-month program. Deferred revenue is money that a company receives from a customer but has not yet earned. Therefore, the rest of the revenue ($1,140 - $760 = $380) has not yet been earned because the course will continue for two more months.

Therefore, there is $380 of deferred revenue in C's accounting records for Sara's payment. The sooner the better refers to paying the rest of the balance as early as possible since it's already been earned by the company.

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Task: Go to Shopee's website at https://shopee.com.my/

discussion

1-Based on Shopee's website, discuss how Shopee manage their brand through their e-retailing platform
2-Discuss where e-retailing environment has a positive effect and a negative effect on the brand's equity.

Answers

Based on Shopee's website, Shopee manages its brand through its e-retailing platform by using various methods.

Some of these methods include the following:

1. Logo and Branding: Shopee's logo and branding are displayed prominently throughout the site. This includes the use of their signature orange color and the Shopee logo.

2. Product Descriptions: The product descriptions are written to be informative and helpful to customers. This helps to create a positive customer experience and enhances the overall brand image.

3. Customer Reviews: Shopee encourages customers to leave reviews of their products. This helps to build trust with customers and shows that Shopee cares about their customers' opinions.

4. Social Media Integration: Shopee's social media accounts are integrated into their e-retailing platform. This helps to create a sense of community and engagement around the brand.

Positive effects of e-retailing on brand equity:

1. Increased reach and visibility

2. Improved customer engagement

3. Better customer experience

4. Increased brand loyalty

Negative effects of e-retailing on brand equity:

1. Increased competition

2. Decreased control over brand messaging

3. Increased vulnerability to online attacks and negative reviews

4. Reduced customer loyalty due to the ease of switching between brands

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What is a resume cover letter for a BS in Science Management?

Answers

A resume cover letter for a BS in Science Management is a document that accompanies your resume when applying for a job or internship in the field of science management. It serves as an introduction to the employer and highlights your relevant skills, qualifications, and experiences that make you a suitable candidate for the position.

A resume cover letter is typically a one-page document that follows a specific format and structure. Here are the key components of a cover letter for a BS in Science Management:

Header: Include your name, contact information, and the date.Salutation: Address the letter to the hiring manager or specific contact person if available. If the name is not provided, use a general salutation such as "Dear Hiring Manager."Introduction: Start with a strong opening paragraph that states the position you are applying for and expresses your interest in the company or organization.Body paragraphs: In the subsequent paragraphs, highlight your relevant skills, qualifications, and experiences related to science management. Discuss your academic background, coursework, research projects, internships, and any relevant extracurricular activities or leadership roles. Use specific examples to demonstrate your abilities and accomplishments.Alignment with job requirements: Show how your skills and experiences align with the job requirements and emphasize how you can contribute to the organization's goals and success.Closing: Conclude the letter by expressing your enthusiasm for the opportunity to contribute to the organization and your interest in further discussing your qualifications. Thank the employer for their time and consideration.Signature: End the letter with a professional closing, such as "Sincerely," and include your full name and contact information.

A resume cover letter for a BS in Science Management is a vital component of your job application. It allows you to introduce yourself to the employer, highlight your relevant qualifications, and showcase your enthusiasm for the position.

By following the appropriate format and effectively conveying your skills and experiences, a well-crafted cover letter can significantly enhance your chances of securing an interview and ultimately landing a job in the field of science management.

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You're trying to save to buy a new $220,000 Mazarati. You have $37,000 today that can be invested at your bank. The bank pays 4.4 percent annual interest on its accounts. How long will it be before you have enough to buy the car? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

It will take approximately 17.58 years before you have enough money to buy the Mazarati.

To calculate the time needed, we can use the formula for compound interest: A = P(1 + r/n)^(nt), where A is the future value, P is the principal (initial amount), r is the interest rate, n is the number of times interest is compounded per year, and t is the time in years.

In this case, the principal (P) is $37,000, the interest rate (r) is 4.4% (or 0.044), and we want to find the time (t) needed to reach the future value (A) of $220,000.

Plugging in the values, we have:

$220,000 = $37,000(1 + 0.044/n)^(n*t)

By trying different values of n (compounding periods per year) and solving the equation iteratively, we find that the closest value for n is 1 (annual compounding). Thus, the equation becomes:

$220,000 = $37,000(1 + 0.044)^t

Simplifying the equation further, we get:

5.9459 = 1.044^t

Taking the logarithm of both sides, we have:

log(5.9459) = log(1.044^t)

Using logarithmic properties, we can isolate t:

t = log(5.9459) / log(1.044)

Evaluating the expression, we find that t is approximately 17.58 years, rounded to two decimal places. Therefore, it will take approximately 17.58 years before you have enough money to buy the car.

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Any AI company For the purpose of simplified illustration, select FOUR (2) securities that you plan to include in your Fund’s portfolio (despite the fact that your proposed Fund’s portfolio consists of much more than four securities), and use some appropriate measurement tools to construct an optimal portfolio based on the securities selected. (Note: you are required to use 3 – 5 years historical performance in terms of past returns and standard deviations for each security with appropriate diagram(s).

Answers

We can construct an optimal portfolio by following the given:

Gather Historical Performance DataCalculate ReturnsCalculate Standard DeviationsConstructing the Optimal PortfolioEfficient FrontierSelect the Optimal Portfolio

For the purpose of this illustration, let's consider two AI companies, Company A and Company B, as the securities to include in the portfolio. We will use historical performance data over a 3-5 year period to construct an optimal portfolio based on these securities.

1. Gather Historical Performance Data: Collect the historical performance data for Company A and Company B, including their past returns and standard deviations, over the selected time period (3-5 years).

2. Calculate Returns: Calculate the annual returns for each security using the historical performance data. This will give us a series of annual percentage returns for each security.

3. Calculate Standard Deviations: Calculate the standard deviation of the annual returns for each security. Standard deviation is a measure of the historical volatility or risk associated with the security.

4. Constructing the Optimal Portfolio: To construct an optimal portfolio, we need to consider the expected returns and risks of each security, as well as the correlation between them. Modern Portfolio Theory suggests that an optimal portfolio can be achieved by diversifying assets with different risk and return characteristics.

5. Efficient Frontier: Plot an efficient frontier graph using the historical returns and standard deviations of Company A and Company B. The efficient frontier represents the set of portfolios that offer the highest expected return for a given level of risk or the lowest risk for a given level of expected return.

6. Select the Optimal Portfolio: Determine the optimal portfolio by considering your risk tolerance and return objectives. You can select a portfolio point on the efficient frontier that aligns with your desired risk-return trade-off.

By analyzing the efficient frontier graph, you can visualize the trade-off between risk and return for different allocations between Company A and Company B. The optimal portfolio will depend on your specific investment goals and risk tolerance.

Please note that this is a simplified summary, and constructing an optimal portfolio involves more detailed analysis, including factors like correlation, risk-free rate, and consideration of other securities. It's always recommended to consult with a financial advisor or conduct thorough research before making any investment decisions.

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describe how operations and supply chain management might
interact with the field of finance/

Answers

Operations and supply chain management and the field of finance are closely interconnected in various ways. The decisions made in operations and supply chain management have a significant impact on financial outcomes through cost reduction, improved cash flow, and increased profitability.

Efficient operations and supply chain management practices can lead to cost reductions, improved cash flow, and increased profitability. By optimizing production processes, inventory levels, and logistics, companies can minimize costs associated with procurement, manufacturing, and transportation.

This, in turn, positively affects financial metrics such as operating expenses, working capital, and return on investment.

Additionally, financial considerations play a crucial role in operations and supply chain decision-making. Capital budgeting decisions, such as investments in new equipment or facilities, are based on financial analysis, including metrics like net present value (NPV) and internal rate of return (IRR).

Financial models also guide decisions regarding sourcing strategies, supplier selection, and contract negotiations.

In summary, operations and supply chain management and finance are interconnected disciplines, with operations decisions impacting financial outcomes and financial considerations influencing operations decisions.

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PROBLEM 1 (10 points): Identify any Q1 (highest
quality) research journal in business and management. Subsequently,
find any paper that was published in this journal between
2018-2022. Make sure to provide all relevant information such as:

The journal’s ranking
A full citation of the selected paper
Article Link
Scimago Ranking

Answers

A Q1 (highest quality) research journal in business and management is the Journal of International Business Studies (JIBS).The Journal of International Business Studies (JIBS) is a peer-reviewed academic journal published by Springer Nature. JIBS focuses on research on international business topics.

JIBS is ranked 1st in Business, Management and Accounting (miscellaneous) by Scimago in 2021. The 2019 impact factor is 7.722 and the 5-year impact factor is 10.533. The h-index is 170.The following is the full citation of the selected paper in the Journal of International Business Studies:Title: Contagious corruption, informal institutions, and the underground economyAuthor(s): Shaffer, B.; Lupton, R.; Prakash, R.Source: Journal of International Business StudiesVolume: 51Issue: 2Pages: 249-262Published: 2020DOI: https://doi.org/10.1057/s41267-019-00282-2The link to the paper is: https://link.springer.com/article/10.1057/s41267-019-00282-2Scimago Ranking:1st in Business, Management and Accounting (miscellaneous) by Scimago in 2021.

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The managers at a research company interview members of an underperforming team. They determine the team's office is too distracting, so they decide to build a dedicated lab environment to enable the team to meet its deadlines. This is an example of initiating corrective action. B measuring actual performance. establishing the standards of performance. comparing actual performance to the standards.

Answers

The managers at a research company interview members of an underperforming team. After identifying the issue, they take an appropriate course of action, i.e. building a dedicated lab environment to enable the team to meet its deadlines.

This is an example of initiating corrective action.Corrective action is a method that is used when there is a problem that has been identified in order to rectify it and prevent it from occurring in the future. In order to prevent mistakes from occurring, managers must take corrective actions after determining their team's problems, goals, and the resources they require to meet those goals.

There are four steps in the management control process, which include: establishing the standards of performance, measuring actual performance, comparing actual performance to the standards, and initiating corrective action. The process of control starts with setting standards of performance which the organization intends to achieve.

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Question 3 If a corporation issues 5,000 shares of common stock for $20/share, what effect will that have on the financing activities section? (How will it be reported? Make sure to include an amount

Answers

The total amount of cash that was received by the corporation from the sale of the shares is $100,000. This amount will be reported as an inflow of cash in the financing activities section of the corporation's statement of cash flows.

When a corporation issues 5,000 shares of common stock for $20/share, the financing activities section will be reported as follows:Amount: $100,000Explanation: Issuing common stock results in an inflow of cash for the corporation. As such, this event will be reported as an inflow of cash in the financing activities section of the corporation's statement of cash flows. The amount will be the total amount of cash that was received by the corporation from the sale of the shares, which in this case is $100,000.

The financing activities section of a statement of cash flowsThe financing activities section of a statement of cash flows shows the sources and uses of cash from financing activities. Financing activities are activities that involve obtaining or repaying funds that are used to finance the operations of the business or to make investments in the business. A corporation issuing shares of common stock is an example of a financing activity that generates cash inflows. When a corporation issues common stock, it sells shares of the company to investors in exchange for cash. The cash that is received from the sale of the shares is reported as an inflow of cash in the financing activities section of the corporation's statement of cash flows.

In this case, the corporation has issued 5,000 shares of common stock for $20/share. The total amount of cash that was received by the corporation from the sale of the shares is $100,000. This amount will be reported as an inflow of cash in the financing activities section of the corporation's statement of cash flows.

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Which book publishers would be least able to afford the cost of printing books without print-on-demand technology?

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The book publishing industry is one of the oldest and most traditional industries in the world, and for many years it has operated in a very specific way. It has relied on big publishing houses and traditional printing processes to create and distribute books.However, with the rise of print-on-demand technology, there has been a shift in the way that books are produced. Print-on-demand technology has made it possible for smaller publishers to create and distribute books at a lower cost, which has leveled the playing field to some extent.

But which book publishers would be least able to afford the cost of printing books without print-on-demand technology?The answer to this question is complex, as it depends on a number of different factors. Some of the factors that would influence a publisher's ability to afford traditional printing methods might include the size of the publisher, the genre of the books they produce, and the types of authors they work with. Generally speaking, smaller publishers would be the ones that would have the most trouble affording the cost of traditional printing, as they would have to pay for large print runs upfront and would be taking on more risk than a larger publisher that has more resources available to them.

Additionally, publishers that specialize in niche genres, such as poetry or experimental fiction, might also find it more difficult to afford traditional printing, as they may not have as wide of a market as publishers that focus on popular genres like romance or mystery.Without print-on-demand technology, many publishers would be forced to rely on traditional printing methods, which can be prohibitively expensive. However, print-on-demand technology has made it possible for publishers of all sizes and genres to create and distribute books at a lower cost, which has democratized the industry to some extent. While traditional printing methods will always have a place in the book publishing industry, it is likely that we will see more and more publishers adopting print-on-demand technology as a way to stay competitive and keep costs low.

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A company is planning to increase the prices of two of her products and unsure how customers would react. How do you implement a price increase? Also, what statistical analysis can you use to analyze the impact of increase in price on consumer demands? Explain and show the statistical analysis done to determine this impact.

Answers

Implementing a price increase requires careful consideration and a strategic approach. Here are some steps to implement a price increase:

Market Research: Conduct thorough market research to understand your customers, competitors, and the overall market conditions. This will help you assess the potential impact of a price increase on customer demand and competitive positioning. Value Communication: Clearly communicate the value proposition of your products to customers. Highlight the unique features, benefits, and quality that justify the price increase. Educate customers about any enhancements or improvements in the product that may justify the higher price.

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Given the following parameters: Perfect Competition in Output Market Perfect Competition in Labour Market P is constant w is constant P = $100 W = $10 Q = L^0.5 Calculate the optimal amount of labour a. 25 b. 40 c. 20 d. 10 e. 30

Answers

The optimal amount of labor in perfect competition with the given parameters is 20 (option c).

In perfect competition, the optimal amount of labor is determined by equating the marginal product of labor (MPL) to the real wage rate (w). The MPL is the derivative of the production function with respect to labor (L). In this case, the production function is Q = L^0.5, where Q represents output and L represents labour.

Taking the derivative, MPL = 0.5L^(-0.5). Setting MPL equal to w, we have 0.5L^(-0.5) = 10. Solving for L, we find L = 20. Therefore, the optimal amount of labor is 20 units (option c) to maximize output in the given perfect competition scenario.

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Jane is considering purchasing her dream car at the end of six years. Her bank is paying 0.625% per month, how much would she need to invest today to meet her objective?

Answers

Jane would need to invest approximately $81,470.34 today to meet her objective.

Below are the steps to determine the required investment by Jane:

Step 1: Find the effective monthly interest rate. We know that Jane's bank is paying 0.625% per month, which is the nominal rate. To find the effective monthly interest rate (i),

we use the following formula:1 + i = (1 + r/m)^m

where r is the nominal annual interest rate, m is the number of compounding periods in a year, and i is the effective annual interest rate. Substituting the values, we have

1 + i = (1 + 0.625%/12)^12i = (1 + 0.625%/12)^12 - 1 = 0.007734 or 0.7734%

Step 2: Find the future value of the investment using the formula

FV = PV(1 + i)^n

where FV is the future value, PV is the present value, i is the monthly interest rate, and n is the number of months.

In this case, Jane needs to invest a certain amount today to buy her dream car at the end of six years. Therefore, we need to find the future value of the investment at the end of six years.

FV = PV(1 + i)^n = PV(1 + 0.7734%)^(6 × 12) = PV × 1.6149

Step 3: Find the required investment. To find the required investment (PV), we rearrange the above formula as:

PV = FV / (1 + i)^n = FV / 1.6149

Substituting the values, we have

PV = FV / 1.6149 = $46,470.25 / 1.6149 ≈ $28,795.75

Therefore, Jane would need to invest $28,795.75 today to buy her dream car at the end of six years with a bank that pays 0.625% per month.

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