Suppose that when the price of broccoli is $4 per pound, buyers wish to buy 500 pounds per day and sellers wish to sell 800 pounds per day. In this case:

Multiple Choice:

excess supply will lead the price of broccoli to fall

excess demand will lead the price of broccoli to fall

excess supply will lead the price of broccoli to rise

excess demand will lead the price of broccoli to rise

Answers

Answer 1

The price of broccoli is $4 per pound, buyers wish to buy 500 pounds per day and sellers wish to sell 800 pounds per day. The correct option is c. excess supply will lead the price of broccoli to rise.

In this case, excess supply will lead the price of broccoli to fall.Excess supply means the quantity of a product demanded by buyers is less than the quantity supplied by sellers. When supply exceeds demand, there will be a surplus of the product, leading to a fall in the product's price.The price of broccoli will decrease in response to the surplus.

The decrease in price will continue until the quantity supplied is equal to the quantity demanded. The market will, therefore, tend towards an equilibrium price.In summary, excess supply leads to a decrease in price, while excess demand leads to an increase in price. In this case, the market is in a state of excess supply, leading to a fall in the price of broccoli.

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Related Questions

Fill in the missing numbers in the following income statement: (Do not round intermediate calculations.)

sales $645,400
costs $346,900
depreciation 97,600
EBIT _?
Taxes (30%) _?
Net INcome ?
Requirement 2:

What is the OCF?

Requirement 3:

What is the depreciation tax shield?

Answers

Filling the missing numbers in the given income statement :Given sales = $645,400Given costs = $346,900Given depreciation = $97,600Calculation for EBIT:We know,EBIT = Sales – Costs – Depreciation EBIT = $645,400 – $346,900 – $97,600EBIT = $200,900Calculation for Taxes:Taxes = 30% × EBITTaxes = 30% × $200,900Taxes = $60,270

Calculation for Net Income :We know,Net Income = EBIT – Taxes Net Income = $200,900 – $60,270Net Income = $140,630Calculation for OCF:We know,OCF = EBIT + Depreciation OCF = $200,900 + $97,600OCF = $298,500Calculation for Depreciation Tax Shield:Depreciation Tax Shield = Depreciation × Tax rate Depreciation Tax Shield = $97,600 × 30%Depreciation Tax Shield = $29,280Hence, the solution is given as below:Calculation of EBIT: EBIT = $200,900Calculation of Taxes: Taxes = $60,270Calculation of Net Income: Net Income = $140,630Calculation of OCF: OCF = $298,500Calculation of Depreciation Tax Shield: Depreciation Tax Shield = $29,280

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D mortgaged his lot to secure his debt of P1,000,000.00 to C. C caused the registration of the mortgage in the Register of Deeds. Before the debt became due, D sold the lot to X who had no knowledge of the existence of the mortgage.
A. X is not bound by the mortgage under the principle of relativity of contracts which provides that third persons cannot sue or be sued under a contract to which they were not parties.
B. The sale of the lot to X is not valid because D had no free disposal of the lot as it is the object of the mortgage between him and C.
C. C can cause the foreclosure of the mortgage to satisfy his claim if D defaults in his payment notwithstanding that D was no longer the owner the mortgaged lot.
D. X is not bound by the mortgage because he was not aware of its existence at the time he acquired the lot.

Answers

In this case, the mortgaged lot of D was sold to X before the debt became due. X had no knowledge of the existence of the mortgage.

The following are the possible results of this situation:A. X is not bound by the mortgage under the principle of relativity of contracts which provides that third persons cannot sue or be sued under a contract to which they were not parties.This statement is correct. Under the principle of relativity of contracts, only parties to the contract are bound by it. A third person, who is not a party to the contract, cannot be sued or held liable under it. In this situation, X is not bound by the mortgage contract between D and C because he was not a party to it. Hence, option A is correct.B. The sale of the lot to X is not valid because D had no free disposal of the lot as it is the object of the mortgage between him and C.This statement is not correct. The sale of the lot to X is valid. D was the legal owner of the lot at the time of the sale. He had the legal right to dispose of it. However, the sale did not affect the mortgage between D and C. Hence, option B is incorrect.C. C can cause the foreclosure of the mortgage to satisfy his claim if D defaults in his payment notwithstanding that D was no longer the owner the mortgaged lot.This statement is correct. The mortgage is a security interest in the mortgaged property. It is a right that the creditor has over the property of the debtor to secure the payment of the debt. Even if D is no longer the owner of the mortgaged lot, the mortgage remains valid and enforceable. If D defaults in his payment, C can foreclose the mortgage to satisfy his claim. Hence, option C is correct.D. X is not bound by the mortgage because he was not aware of its existence at the time he acquired the lot.This statement is correct. X is not bound by the mortgage because he was not aware of its existence at the time he acquired the lot. The mortgage is an encumbrance on the title of the mortgaged property. A person who acquires the property without notice of the encumbrance takes it free of the encumbrance. Hence, option D is correct. Answer: Options A, C, and D.

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You decide to raise $2 million in additional funding via a rights offering. Every shareholder will receive one right for every share of stock they own. The offering consists of a total of 250,000 new shares. The current market price of your stock is $10. Currently, there are 1 million shares outstanding. What is the value of one right? A) $.25 B) $.75 C) $.40 D) $1.20 E) $1.50

Answers

The value of one right is $0.40 (Option C).

To determine the value of one right, we divide the total additional funding ($2 million) by the number of new shares (250,000), resulting in $8 as the subscription price for each new share. Now, we calculate the theoretical ex-right price by subtracting the subscription price from the current market price ($10 - $8 = $2).

Finally, we divide the ex-right price by the number of rights received per share (1), giving us $2 / 1 = $2 as the value of one right. Therefore, the correct option is C) $.40.

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Which one of the following is used to evaluate characteristics
of jobs in determining pay or salary?
1) Job ranking.
2) Job evaluation.
3) Compensable factors.
4) Benchmarking

Answers

Job evaluation is used to evaluate the characteristics of jobs in determining pay or salary. Job evaluation assesses and compares the relative worth or value of different jobs within an organization. Therefore, option 2) is the correct option.

It involves analyzing various factors such as skill requirements, responsibilities, experience, effort, and working conditions to determine the job's relative worth in relation to other positions. Through job evaluation, organizations can establish a hierarchical structure and assign appropriate pay or salary levels to each job.

This helps ensure internal equity and fairness in compensation, as jobs with higher levels of complexity, responsibility, or skill requirements are typically assigned higher pay grades.

Job ranking (option 1) involves simply ordering jobs based on their importance or value, without considering specific factors or criteria. Compensable factors (option 3) refer to the elements or attributes that are considered in determining compensation, but they are not the evaluation process itself.

Benchmarking (option 4) involves comparing an organization's practices or performance against industry or market standards and does not directly evaluate job characteristics.

In conclusion, job evaluation is the specific method used to evaluate the characteristics of jobs in determining pay or salary. It enables organizations to establish fair and consistent compensation structures based on the relative worth of different positions within the company. Therefore, option 2) is the correct option.

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Which variable in executive compensation packages accounts for the majority of the value associated with executive pay in Canada?
a) Base pay.
b) Annual bonuses.
c) Stock grants and stock options.
d) Perks.

Answers

c) Stock grants and stock options. In Canada, stock grants and stock options account for the majority of the value associated with executive pay in executive compensation packages.

These forms of compensation are commonly used to align the interests of executives with the long-term success of the company and its shareholders.

Stock grants involve giving executives shares of company stock as a form of compensation. This allows executives to benefit from the increase in the company's stock price over time, providing a direct link between their performance and the financial success of the organization.

Stock options, on the other hand, give executives the right to purchase company stock at a predetermined price within a specified period. If the stock price rises above the exercise price, executives can profit from the difference.

Both stock grants and stock options have the potential to provide substantial value to executives if the company performs well and the stock price increases. These forms of compensation are often tied to performance metrics and vest over a specific period, incentivizing executives to work towards long-term growth and shareholder value.

While base pay and annual bonuses are important components of executive compensation, stock grants and stock options typically represent a significant portion of the total value associated with executive pay in Canada. They provide a strong incentive for executives to drive the company's success and align their interests with shareholders.

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You find a stock selling for $37.02 that has a dividend yield of
2.1 percent and a PE ratio of 13.7. What is the earnings per share
(EPS) for the company? (Round your answer to 2 decimal
places.)

Answers

The earning per share which is the ratio of the earning and P.E ratio is $2.70

Earning per share

To find the earnings per share (EPS) for the company, we can use the PE ratio formula:

PE ratio = Price per share / Earnings per share

Given that the stock has a PE ratio of 13.7 and is selling for $37.02.

we can rearrange the formula to solve for EPS:

EPS = Price per share / PE ratio

EPS = $37.02 / 13.7

EPS ≈ $2.70

Therefore, the earnings per share (EPS) for the company is approximately $2.70.

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Write short notes on Population and Purposive sampling. (8
Marks)

Answers

Population Sampling: Population sampling is a method of selecting a subset of individuals or items from a larger population for research or analysis.

It involves studying the characteristics of the entire population based on the sample selected.

The goal of population sampling is to ensure that the selected sample is representative of the larger population, allowing for accurate generalizations and conclusions.

Random sampling, stratified sampling, and cluster sampling are common techniques used in population sampling.

Random sampling involves selecting individuals randomly from the population, ensuring each member has an equal chance of being included.

Stratified sampling involves dividing the population into distinct groups or strata and then randomly selecting samples from each stratum.

Cluster sampling involves dividing the population into clusters and randomly selecting entire clusters as samples.

Population sampling is commonly used in survey research, market research, and opinion polls.

Purposive Sampling: Purposive sampling, also known as judgmental or selective sampling, is a non-probability sampling technique where the researcher selects specific individuals or items based on their knowledge and judgment.

In purposive sampling, the researcher intentionally chooses participants who possess certain characteristics or have specific expertise related to the research objective.

This sampling method is often used when the researcher seeks to gain in-depth insights, unique perspectives, or specialized knowledge from a targeted group.

Purposive sampling is commonly used in qualitative research methods, such as case studies, ethnography, and phenomenology.

It allows researchers to select participants who can provide rich and valuable information relevant to the research questions.

However, the results obtained from purposive sampling may not be generalizable to the larger population since the sample is not randomly selected.

Researchers using purposive sampling should be cautious about potential biases and limitations in their findings.

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Overnight, Tiger Technology reported a loss of 10 cents per share. Tiger's loss was not as bad as most analysts expected. In fact, the stock's price fell by 30% yesterday because of one analyst said the company would lose at least 50 cents a share. Assuming the market is stable today and no other news is released, what performance would you expect for Tiger Tech's stock today?
a. Good (price should increase and reverse at least some of yesterday's decline)
b. Bad (price should decline move)

Answers

Considering the fact that Tiger Technology's loss was not as bad as most analysts had predicted, we would expect that Tiger Tech's stock today will perform well. Therefore, the expected answer is "Good (price should increase and reverse at least some of yesterday's decline)", The correct option is A.

Yesterday, the stock price of Tiger Technology fell by 30% because one analyst predicted that the company would lose at least 50 cents per share. Despite this prediction, the company reported a loss of 10 cents per share, which is less than what analysts had predicted.

Therefore, it is likely that the stock price of Tiger Technology will increase today because the company's loss was not as bad as expected. Moreover, the market is stable today and no other news has been released that would negatively impact the company's performance. As a result, the company's stock price should increase, at least partially reversing the decline that it experienced yesterday.

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Elizabeth owns a plot of land out in the country. Recently, five owners of neighbouring plots have discovered gold on their land and have begun mining operations. Elizabeth believes that there probably is gold on her land as well, but she has no desire to mine the land herself, nor does she have any idea just how much gold there is on her land. She has therefore decided to auction off her land to the highest bidder. (a) Assume that each neighbour decides to bid on Elizabeth's land. Also assume that each neighbour believes that the estimates of the value of the land by all the other neighbours are distributed uniformly on the interval beginning at 0 with a mean centred on the true value of the land - i.e., all values in the range in the interval [0, 1], where I is the upper limit of the distribution, are equally likely. Neighbour A estimates the value of the land to be $250. Since Neighbour A does not know the upper limit of the distribution, they use the following formula to estimate it: E=U + (-U), where n is the number of bidders, E is the highest estimate, U is the lower limit of the distribution, and I is the upper limit of the distribution. What amount should be bid in order to try to avoid the winner's curse? {Hint: Recall that to avoid the winner's curse, you should start by assuming that your estimate is the highest. In this case, therefore, assume E=250.} (b) If the true value of the land was actually $200, how high would the auction winner's estimate have to be to subject them to the winner's curse even if they had bid optimally? (c) Assume Elizabeth has a friend who is an eminent geologist whose opinion is always believed to be true. She asks her friend, to give her an estimate on the value of her land. The geologist reports back to Elizabeth, and tells her that the land does indeed have gold on it and it is worth $100 at a minimum and very likely more. Should Elizabeth make this information known to her neighbours before they submit their bids? Explain why or why not.

Answers

(a) In order to avoid the winner's curse, Neighbour A should bid an amount less than their estimated value of $250. Since they assume their estimate is the highest, they should reduce their bid to decrease the risk of overestimating the true value of the land and experiencing a loss.

By bidding less than their estimate, they increase their chances of winning the auction without potentially paying more than the land is worth.

(b) If the true value of the land is $200, the auction winner's estimate would have to be higher than $200 to subject them to the winner's curse. Even if they had bid optimally, meaning they had adjusted their bid to avoid overestimation, they could still experience the winner's curse if their estimate exceeds the true value. This would imply that they overpaid for the land relative to its actual worth.

(c) Elizabeth should not make the information provided by her geologist friend known to her neighbors before they submit their bids. By disclosing that the land has gold and is worth a minimum of $100, Elizabeth would be revealing valuable information that could influence the bidding process. Neighbors may adjust their bids based on this information, potentially driving up the bidding price. It is important for the auction to remain fair and unbiased, allowing each bidder to independently assess the value of the land without any privileged information.

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Critically discuss the key differences between the vertical integration model of managing supply and outsourcing. You should include at least one example of a real-life organisation to support your answer.

Answers

Vertical integration involves owning and controlling multiple stages of the supply chain, while outsourcing involves contracting external parties to perform specific tasks. An example is Apple's vertical integration vs. Samsung's outsourcing.

Vertical integration and outsourcing are two contrasting approaches to managing the supply chain, each with its own advantages and disadvantages. Vertical integration involves owning and controlling multiple stages of the supply chain, from raw material production to retail. This allows for greater control over quality, cost, and coordination between different stages. For example, Apple is known for its vertical integration, as it designs its own hardware, software, and retail stores, ensuring a seamless user experience. On the other hand, outsourcing involves contracting external parties to perform specific tasks or provide components or services. This allows companies to focus on their core competencies while leveraging specialized expertise and cost efficiencies. Samsung, for instance, extensively outsources manufacturing to suppliers and contract manufacturers, allowing them to quickly scale production and access specialized manufacturing capabilities. The key differences between vertical integration and outsourcing lie in control, cost, flexibility, and risk. Vertical integration provides more control but can be costly and limit flexibility. Outsourcing offers cost advantages and flexibility but may involve dependency on external partners and potential quality and coordination risks. Organizations need to carefully evaluate their strategic goals, capabilities, and industry dynamics to determine the most suitable approach to managing their supply chain.

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A firm is not measuring its free cash
flow properly if it states that it intends to use it to:
a. Pay dividends.
b. Make acquisitions.
c. Upgrade its obsolete IT system.
d. Make interest payments.

Answers

A firm is not measuring its free cash flow properly if it states that it intends to use it to pay dividends. Therefore the correct option is a. Pay dividends.

Free cash flow is the remaining cash that a firm has after covering all its capital expenditures, including dividends and interest payments. It serves various purposes, such as reinvesting in the business, share repurchases, acquisitions, and debt reduction. However, if a firm declares its intention to use free cash flow for dividend payments, it indicates a misinterpretation or mismanagement of free cash flow.

The declaration of a large dividend payment may be an attempt by the firm to attract shareholders and maintain its reputation. However, it is crucial to evaluate the firm's actual free cash flow before committing to such dividend payouts. Failing to accurately assess the free cash flow can result in paying dividends that the firm cannot afford. This can lead to financial crises and harm the long-term prospects of the business.

Instead, a firm should prioritize utilizing its free cash flow for strategic purposes that contribute to the growth and stability of the company. This includes making acquisitions, upgrading obsolete IT systems, and fulfilling interest payment obligations.

In conclusion, a firm is not correctly measuring its free cash flow if it states its intention to use it for dividend payments. Free cash flow should be evaluated and allocated strategically to support the firm's growth, financial stability, and long-term prospects. Misjudging the available free cash flow for dividend payouts can have adverse consequences for the business. Therefore, the correct approach is to prioritize other uses of free cash flow and ensure proper financial management.

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Manchester United football club have an EPS of $32, and a net income of $50 million. Based on this how many shares outstanding do they have?
O a. 607,000 shares
O b. 18,503,000 shares
O c. 16,800,000,000 shares
O d. 1,562,000 shares 1 paink

Answers

Manchester United football club have an EPS of $32, and a net income of $50 million. The correct answer is Option D: 1,562,000 shares.

Based on an EPS of $32 and a net income of $50 million, Manchester United football club would have 1,562,000 shares outstanding.

To calculate the number of shares outstanding, we can use the formula:

Shares Outstanding = Net Income / EPS

Substituting the given values:

Shares Outstanding = $50,000,000 / $32

Shares Outstanding = 1,562,500 shares

Therefore, the correct answer is Option D: 1,562,000 shares.

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1.What did the FCC’s net neutrality rules decide in 2015 about whether or not ISPs can be regulated as public utilities, and why is this important?
2. Are you in favor of network neutrality? Why or why not?
3. Do you believe broadband providers should be allowed to charge companies like Netflix and hulu a premium for their bandwidth consumption?
4. What are some potential consequences for consumers of ending net neutrality regulations?

Answers

The FCC's net neutrality rules in 2015 classified broadband internet service providers (ISPs) as public utilities, allowing them to be regulated under Title II of the Communications Act. This decision aimed to ensure that ISPs treat all internet traffic equally without blocking, throttling, or prioritizing certain content.

The AI model does not have personal opinions or preferences. It can provide a neutral analysis of network neutrality based on facts and arguments from different perspectives.

The AI model does not have personal opinions or preferences. The question of whether broadband providers should charge companies like Netflix and Hulu a premium for bandwidth consumption is a topic of debate. Some argue that such fees would enable ISPs to manage network congestion and invest in infrastructure, while others argue that it could create an unfair advantage for large companies and stifle innovation.

Ending net neutrality regulations could have several potential consequences for consumers. It may lead to ISPs favoring certain content or charging additional fees for faster access to certain websites or services. This could result in a tiered internet where only those who can afford to pay more have access to higher-quality or faster internet. It could also limit competition and innovation, as smaller startups may struggle to compete with established companies that can afford to pay for preferential treatment. Additionally, it may limit consumers' freedom of choice and access to a diverse range of online content and services.

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Consider a plain vanilla interest rate swap. Firm A can borrow at 8 percent fixed or can borrow floating at LIBOR. Firm Bis somewhat less creditworthy and can borrow at 10 percent fixed or can borrow floating at LIBOR + 1 percent. Firm A wants to borrow floating and Firm B prefers to borrow fixed. Both corporations wish to borrow $10 million for 5 years. Which of the following swaps is mutually beneficial to each party and meets their financing needs? Multiple Choice : A borrows $10 million externally for 5 years at LIBOR, agrees to pay e percent to B for LIDOR Funed for Syears on a notational principal of $5 million, borrows $10 million externally at t0 percent. Since the so there is no mutually beneficial swap A borrows $10 milion externally at 8 percent fixed for 5 years agrees to swap LIBOR to for a percent wed for years on a notational principal of 55 million borrows $10 milion externally at UIBOR + 1 percent Firm A borrows $10 milion externally for 5 years of LIBOR, agrees to swap LIDOR to tem for 8 percent feed for 5 years on a rotational principal of $5 million borrows $10 million externally at 10 percent

Answers

The correct answer is:

b) A borrows $10 million externally at 8 percent fixed for 5 years, agrees to swap LIBOR for 9 percent fixed for 5 years on a notational principal of $5 million, and Firm B borrows $10 million externally at LIBOR + 1 percent.

This swap is mutually beneficial for both parties and meets their financing needs. Firm A, which prefers to borrow floating at LIBOR, can achieve this by borrowing externally at a fixed rate of 8 percent and entering into a swap agreement where it pays a fixed rate of 9 percent to Firm B in exchange for receiving LIBOR. Firm B, on the other hand, prefers to borrow fixed and can achieve this by borrowing externally at LIBOR + 1 percent. The swap allows both firms to effectively obtain the type of borrowing they desire while potentially benefiting from a lower interest rate.

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Thailand raised the minimum wage to 300 baht for formal sector workers in all provinces in 2013. Suppose that one province with a large manufacturing sector employed 20,000 people. The province saw an increase in the minimum wage from 200 to 300 baht per day for formal workers. A few months after the minimum wage increase the total provincial employment of formal workers in manufacturing declined to 16,000 people. What is the own-wage elasticity of demand? Is it elastic or inelastic?

Answers

Since the own-wage elasticity of demand is negative and its absolute value is less than 1, we can conclude that the demand for formal workers in manufacturing is inelastic.

To calculate the own-wage elasticity of demand, we can use the formula:

Own-Wage Elasticity of Demand = (% Change in Quantity Demanded) / (% Change in Wage)

In this case, the initial employment level was 20,000 workers, and after the minimum wage increase, it decreased to 16,000 workers.

The percentage change in quantity demanded can be calculated as follows:

% Change in Quantity Demanded = [(New Quantity Demanded - Initial Quantity Demanded) / Initial Quantity Demanded] * 100

% Change in Quantity Demanded = [(16,000 - 20,000) / 20,000] * 100 = -20%

The percentage change in wage is given by the minimum wage increase:

% Change in Wage = [(New Wage - Initial Wage) / Initial Wage] * 100

% Change in Wage = [(300 - 200) / 200] * 100 = 50%

Now we can calculate the own-wage elasticity of demand:

Own-Wage Elasticity of Demand = (-20% / 50%) = -0.4

Since the own-wage elasticity of demand is negative and its absolute value is less than 1, we can conclude that the demand for formal workers in manufacturing is inelastic. This means that the quantity demanded is not very responsive to changes in wages, indicating that employers are less sensitive to wage increases and are willing to reduce employment to a lesser extent.

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Feesh Canneries Ltd wants to estimate the amount of funds they will require to fund their operations in 2023. The company has total assets of R100m, liabilities of R10m, a net profit margin of 5% on sales of R500m with a dividend pay-out ratio of 60%. All assets and liabilities are considered spontaneous and increase in line with increases in sales. It is expected that sales will grow by 30% in the coming year. Required: Estimate the amount of funds the firm will require in 2023.

Answers

Feesh Canneries Ltd is estimated to require R37 million in funds for their operations in 2023.

To estimate the amount of funds that Feesh Canneries Ltd will require in 2023, we need to consider the changes in assets and liabilities resulting from the projected sales growth and the given financial ratios.

Given information:

Total assets: R100 million

Liabilities: R10 million

Net profit margin: 5% of sales

Sales: R500 million

Dividend pay-out ratio: 60%

Sales growth rate: 30%

First, let's calculate the net profit based on the given net profit margin and projected sales:

Net profit = Net profit margin * Sales = 0.05 * R500 million = R25 million

Next, calculate the retained earnings by subtracting the dividend payout from the net profit:

Retained earnings = Net profit - Dividend payout = R25 million - (0.6 * R25 million) = R10 million

Since all assets and liabilities are considered spontaneous and increase in line with sales growth, we can estimate the change in current assets and current liabilities based on the projected sales growth of 30%.

Change in current assets = Sales growth rate * Total assets = 0.3 * R100 million = R30 million

Change in current liabilities = Sales growth rate * Liabilities = 0.3 * R10 million = R3 million

Finally, calculate the funds required by subtracting the change in current liabilities from the change in current assets and adding the change in retained earnings:

Funds required = Change in current assets - Change in current liabilities + Change in retained earnings

Funds required = R30 million - R3 million + R10 million = R37 million

Therefore, Feesh Canneries Ltd is estimated to require R37 million in funds for their operations in 2023.

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Write a report discussing the importance of human resource management with tools, techniques, procedures, and programs and how they are used to manage human resources in organizations. (500 words) . Choose a local or international company and discuss how this company will do the following: • Develop a strategic plan for human resources and how to design a valid recruitment and selection system. . Assessing training needs and designing and evaluating a training program. (500 words) . Project Summary: You must provide a comprehensive summary that summarizes the entire project and reflects the learning and applications used in the HRM301 course (500 words)

Answers

Human Resource Management Human Resource Management (HRM) is a business practice that involves the management of human resources or people who work for the organization.

It is a process that involves recruitment, selection, training and development, performance management, compensation, employee relations, and health and safety. HRM is an important part of business management, and it has become a strategic function that influences the overall success of an organization. This report will discuss the importance of human resource management, with tools, techniques, procedures, and programs, and how they are used to manage human resources in organizations.

Developing a strategic plan for human resources and designing a valid recruitment and selection systemA strategic plan is a document that outlines an organization's goals and objectives and how it will achieve them. It is a long-term plan that is designed to guide the organization's activities and decision-making processes. A strategic plan for human resources is designed to align the organization's human resources with its strategic goals and objectives. It involves identifying the organization's human resources needs and developing a plan to meet those needs.A valid recruitment and selection system is an important component of a strategic plan for human resources. It is a process that involves attracting, selecting, and hiring the best candidates for the job.

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The nation of Ectenia has 80 competitive apple orchards, which sell apples at the world price of $2 per apple. The following equations describe the production function and the marginal product of labor in each orchard: 3
Q = 80L - L2
MPL = 80 - 2L where Q is the number of apples produced in a day, L is the number of workers, and MPL is the marginal product of labor. What is each orchard's labor demand as a function od the daily wage W?
L= 80 - 2W L= 40 - 0.5W L= 40 - 0.25W L= 3,200 - 20W

Answers

The labor demand for each orchard as a function of the daily wage (W) is:  L = 40 - 0.5W

The labor demand is determined by equating the marginal product of labor (MPL) to the wage rate. In this case, the given equation for MPL is 80 - 2L. By setting MPL equal to the wage rate (W) and solving for L, we can find the labor demand.

By substituting MPL = W into the equation 80 - 2L = W, we can rearrange it to obtain L = 40 - 0.5W. This equation represents the labor demand for each orchard in Ectenia as a function of the daily wage.

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The standard deviation of stock X is 16% and stock Y is 17%. The correlation between the two stocks is 0.45. Calculate the optimal investment proportion of stock Y that will produce the lowest portfolio risk.
a. 12.24%
b. 55.45%
c. 44.50%
d. 81.92%
e. 49.80%

Answers

The optimal  investment proportion of stock Y that will produce the lowest portfolio risk is given as c. 44.50%

How to solve for the optimal  investment proportion

Let's solve the problem by inserting the provided values into the formula.

w(Y) = [σ²(X) - ρσ(X)σ(Y)] / [σ²(X) + σ²(Y) - 2ρσ(X)σ(Y)]

Substituting the given values:

w(Y) = [0.16² - 0.45 * 0.16 * 0.17] / [0.16² + 0.17² - 2 * 0.45 * 0.16 * 0.17]

w(Y) = [0.0256 - 0.01224] / [0.0256 + 0.0289 - 2 * 0.01224]

w(Y) = [0.01336] / [0.03002]

w(Y) = 0.4450

Therefore, the optimal investment proportion of stock Y that will produce the lowest portfolio risk is approximately 44.5%.

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do they supposed to give rent increase written notice to each person in the house if we only have one contract

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If you only have one contract and multiple people living in the house, the landlord is only required to give written notice of rent increases to the tenant named on the lease agreement.

What is a lease agreement?

A lease agreement is a legal document that outlines the terms and conditions of a rental agreement between a landlord and a tenant. The lease agreement specifies the amount of rent, the duration of the lease, and other important details, such as the security deposit, maintenance responsibilities, and rules for living in the property. It is the tenant's responsibility to inform the other occupants of the rent increase.

A landlord can increase the rent only if it is outlined in the lease agreement. If the lease agreement does not include a rent increase clause, the landlord cannot increase the rent until the lease expires. When the lease expires, the landlord may ask the tenant to sign a new lease with a higher rent.

However, if the tenant signed a lease agreement with a rent increase clause, the landlord must provide written notice of the rent increase to the tenant named in the lease agreement. The written notice must include the amount of the rent increase, the date the increase takes effect, and a statement that the tenant may terminate the lease if they do not agree to the rent increase. The amount of notice required may vary depending on the state and local laws.

If the lease agreement does not have a rent increase clause, the landlord can only increase the rent if the tenant agrees to the increase. In this case, the landlord and tenant can negotiate the new rental amount and the terms of the increase.

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Complete question is:

"If you only have one contract and multiple people living in the house, the landlord is only required to give written notice of rent increases to the tenant named on the                     ."

A 10-year $1,000 par value bond pays a 7% APR coupon
semi-anually. If the yield on similar bonds is 6%, what is the
current yield? No excel or financial calculator please.

Answers

The current yield of the bond is approximately 3.82%, given a yield on similar bonds of 6%.

The current yield of a bond is determined by dividing the annual coupon payment by the bond's market price. In this case, the bond has a $1,000 par value and a 7% APR coupon rate, paid semi-annually. To calculate the current yield, we need to find the market price of the bond.

To find the market price, we first need to calculate the semi-annual coupon payment. The annual coupon payment is $1,000 multiplied by 7%, which equals $70. Since the bond pays coupons semi-annually, each coupon payment is $70 divided by 2, resulting in $35.

Now, let's determine the market price of the bond. The yield on similar bonds is 6%, which is equivalent to a 3% semi-annual yield. We can use the formula for present value of a bond to find the market price:

Market Price = (Coupon Payment / Semi-Annual Yield) * (1 - (1 / (1 + Semi-Annual Yield)^n))

In this case, n is the total number of semi-annual periods, which is 10 years multiplied by 2 (since coupons are paid semi-annually), resulting in 20 semi-annual periods.

Plugging in the values, we get:

Market Price = ($35 / 0.03) * (1 - (1 / (1 + 0.03)^20))

Solving this equation, the market price of the bond is approximately $917.33.

Now that we have the market price, we can calculate the current yield:

Current Yield = (Coupon Payment / Market Price) * 100

Plugging in the values, we get:

Current Yield = ($35 / $917.33) * 100 ≈ 3.82%

Therefore, the current yield of the bond is approximately 3.82%, given a yield on similar bonds of 6%.

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The bets of Honda Motors stock is 1.5. The... firm's CEO is considering whether to purchase Toy- Land, a toy manufacturer whose beca is 0.8. Toyland one-fourth the size of Honda. At a stockholder- meeting, some investors raise objections to the purchase of Toyland, claiming that it will decrease Honda's mean rate of return and, therefore, "We will all be worse off." Assume the CAPM holds and the market is in equilibrium. Do you agree with the claim that after the pur- chase the mean rate of return will fall?

Answers

The capital asset pricing model (CAPM) is a widely used approach for calculating an investor's required rate of return on a given asset based on the asset's beta (b), the expected return on the market portfolio, and the risk-free rate. The beta is a measure of the asset's systematic risk (i.e., the risk that cannot be diversified away), while the risk-free rate is the return that an investor can earn on a riskless investment.

The market portfolio is a portfolio that contains all risky assets in the market, and its expected return reflects the risk and return expectations of all market participants. The CAPM holds that the expected return on an asset is equal to the risk-free rate plus a risk premium that is proportional to the asset's beta and the market risk premium (i.e., the excess return that investors require for bearing market risk). In other words, the CAPM equation is as follows:

E(Ri) = Rf + bi(Rm - Rf)

where:

E(Ri) = expected return on asset i

Rf = risk-free rate bi = beta of asset i Rm = expected return on the market portfolio

(Rm - Rf) = market risk premium Honda Motors has a beta of 1.5, which means that it is 50% more volatile than the market portfolio. Toy-Land has a beta of 0.8, which means that it is 20% less volatile than the market portfolio. Given that Toy-Land is one-fourth the size of Honda, its effect on Honda's overall beta would be relatively small, even if Toy-Land's beta were fully correlated with Honda's beta.

Specifically, if Toy-Land were fully correlated with Honda, its contribution to Honda's beta would be as follows:

βHonda = 0.75(1.5) + 0.25(0.8)

βHonda = 1.35This implies that the purchase of Toy-Land would increase Honda's beta from 1.5 to 1.35, which would increase its required rate of return according to the CAPM. Assuming that the market is in equilibrium, the increase in Honda's required rate of return would be offset by an increase in its expected return, since the market risk premium would remain constant.

Therefore, the purchase of Toy-Land would not decrease Honda's mean rate of return, nor would it make all investors worse off. However, it would increase Honda's systematic risk, which could be a concern for some investors who are not well-diversified. These investors could reduce their exposure to Honda by selling some of their shares or investing in other assets with lower correlations with Honda.

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Imagine you are the CEO of a small software company. You are considering launching a new type of software that differs widely compared to the products you typically sell. This is quite a complex decision, so you assemble a team of your best engineers to decide if and how this should be done. In the end, your engineers recommend that the new software be released, and you follow this recommendation. However, the new software fails miserably in the market. Explain two reasons why the team you constructed may have arrived at this sub-optimal decision. Then, provide two ideas for how you might design the team differently in the future to improve decision making.

Answers

In this scenario, the team of the software company made a sub-optimal decision when they recommended the new software to be released and it later failed miserably in the market.

There are several reasons why the team may have arrived at this decision:

1. Confirmation bias: One possible reason why the team may have arrived at a sub-optimal decision is confirmation bias. This is a type of cognitive bias that occurs when people tend to look for and interpret information in a way that confirms their pre-existing beliefs or ideas. The team may have already had a bias towards launching the new software, and they may have only looked for information that confirmed their existing beliefs. As a result, they may have ignored other information that contradicted their beliefs.

2. Groupthink: Another possible reason why the team may have arrived at a sub-optimal decision is groupthink. Groupthink is a phenomenon that occurs when people in a group prioritize conformity and harmony over critical thinking and decision-making. The team may have been under pressure to conform and agree with each other, leading to a decision that was not based on individual analysis or critical thinking.

To improve decision-making in the future, the team could be designed differently in the following ways:

1. Constructive dissent: The CEO could encourage constructive dissent by inviting members of the team to critique and question each other's ideas. This can encourage diverse perspectives and critical thinking, reducing the likelihood of confirmation bias and groupthink.

2.  Individual analysis: The team members could be encouraged to analyze the problem individually before they come together to discuss it. This way, they will be able to bring in different perspectives and ideas that can be evaluated independently before they come together as a group and develop a consensus. This will help in reducing the possibility of groupthink.

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which of the following questions will best guide a follow-up investigation about the role of pheromones in locating prey?

Answers

The question that will best guide a follow-up investigation about the role of pheromones in locating prey is "How do pheromones work to economics locate prey in different environments?".

The best way to carry out an investigation on the role of pheromones in locating prey is to formulate a research question that can guide the investigation. The research question should be clear, concise, and straightforward. It should help the investigator to focus on the important aspects of the investigation and provide useful insights into the role of pheromones in locating prey.

In this case, the question that will best guide a follow-up investigation about the role of pheromones in locating prey is This question is specific, clear, and straightforward. It focuses on the role of pheromones in locating prey and how they work in different environments, which is important for understanding their overall effectiveness and applicability. Thus, this research question is the best way to guide an investigation into the role of pheromones in locating prey in different environments.

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(a) Suggest FIVE (5) ways to increase food production. (b) Explain FOUR (4) factors that stimulate technology advancement. (c) Predict ONE (1) negative environmental impact related to tidal energy powerplant.

Answers

A. Five ways to increase food production. Food production is critical for the world's survival. Below are five ways to increase food production Using technology of fertilizers, insecticides, and pesticides on crops, livestock, and fish farms to increase productivity. Use of improved varieties of crop seed that a of re resistant to pests and diseases.

Improving the efficiency of irrigation systems used in agriculture. Expanding crop fields and encouraging the establishment of animal husbandry, aquaculture, and fish farming enterprises through land acquisition. Encouraging soil conservation and promoting forest regeneration and reforestation programmes. (b) Four factors that stimulate technology advancement. Technology development is influenced by various factors that work together. Four of these factors are as follows Research and development (R&D) is the most important factor, and it is supported by government and private sector investments.

Laws and regulations that encourage innovation and protect intellectual property are in place. The presence of a well-trained workforce capable of developing and using technology. Infrastructure availability, including power, transportation, and communication networks. (c) Negative environmental impact related to tidal energy power plant.    Tidal energy has the potential to generate electricity in a clean, renewable way. However, as with any energy source, it has the potential to have a negative environmental impact. The most significant environmental impact of tidal energy power plants is the alteration of the local marine environment by the construction of tidal barrages, which can damage wetland habitats, alter water flow, and affect fish migrations.

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A stock paying $2 in annual dividends sells now for $100 and has an expected return of 20%. What would be the stock price one year from now? O 125 120 O 105 O 118

Answers

The answer to the question is as follows the correct option is O 105. Given: Annual dividend = $2The initial stock price is $100Expected return = 20%We are to determine the stock price in one year. Let the stock price in one year be P1.

The formula for calculating the stock price is given as:P1 = (D1 / (R - g)) + P0where:P0 is the initial stock priceD1 is the annual dividend in the next yearR is the expected returng is the constant growth rate of dividends.The growth rate of dividends can be calculated as:g = (dividend per share in the next period - dividend per share in the current period) / dividend per share in the current period.

Given that the dividend for the current period (D0) is $2 and the expected growth rate of dividends is not given, we would assume that the dividend remains constant i.e. g = 0.Using the formula above:P1 = (2 / (0.20 - 0)) + 100P1 = 10 + 100P1 = 110Therefore, the stock price one year from now will be $110. The correct option is O 105.

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On February 3, a company provides services on account for $34,500, terms 3/10, n/30. On February 9, the company receives payment from the customer for those services on February 3. Required: 1. Determine the financial statement effects when the company provides services on account on February 3. 2. Determine the financial statement effects when the company collects cash from the customer on February 9.

Answers

Determine the financial statement effects when the company provides services on account on February 3When a company provides services on account for $34,500, terms 3/10, n/30, there are a number of financial statement effects that are observed.

These financial statements are as follows: Revenues: $34,500Accounts receivable: $34,500Explanation:Revenues represent the money received by a company in exchange for goods or services that have been sold. In this case, the company received $34,500 from the customer for the services provided. Accounts receivable are the money owed to a company by its customers for services or goods provided. When the company provides services on account, the customer has a set time frame in which to pay for those services. This is what accounts receivable represents.2.

Determine the financial statement effects when the company collects cash from the customer on February 9When the company collects cash from the customer on February 9, there are a number of financial statement effects that are observed. These financial statements are as follows:Cash: $33,465 ($34,500 - $1,035)Accounts receivable: $0Explanation:Cash represents the money that a company has in hand. In this case, the company received $33,465 in cash from the customer for the services provided.Accounts receivable represents the money owed to a company by its customers for services or goods provided. In this case, once the customer paid the company on February 9, there is no longer an amount owed, so accounts receivable will be reduced to zero. $34,500Accounts receivable: $34,5002. Cash: $33,465Accounts receivable: $0

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Bonita Manufacturing Company uses a standard cost accounting system. In 2022, 27,000 units were produced. Each unit took several kilograms of direct materials and 1.6 standard hours of direct labour at a standard hourly rate of $15.00. Normal capacity was 49,600 direct labour hours. During the year, 113,400 kg of raw materials were purchased at $0.92 per kilogram. All materials purchased were used during the year. If the materials price variance was $9.072 favourable, what was the standard materials price per kilogram? (Round answer to 2 decimal places, eg. 5.25.) Standard price per kilogram $ If the materials quantity variance was $5,400 unfavourable, what was the standard materials quantity per unit? (Round answer to 2 decimal places, e.g. 5.17.) Standard materials quantity per unit What were the standard hours allowed for the units produced? Standard hours allowed kilograms If the labour quantity variance was $10,950 unfavourable, what were the actual direct labour hours worked? Actual direct labour hours

Answers

The actual direct labor hours worked are 43,930 hours.

To find the standard materials price per kilogram, we can use the formula:

Standard Materials Price = (Total Materials Purchased - Materials Price Variance) / Total Kilograms Purchased

Given that the materials price variance is $9.072 favorable and the total kilograms purchased is 113,400 kg, we can calculate the standard materials price per kilogram as follows:

Standard Materials Price = (113,400 kg - $9.072) / 113,400 kg

Standard Materials Price = $113,390.928 / 113,400 kg

Standard Materials Price ≈ $0.9996 per kilogram

Therefore, the standard materials price per kilogram is approximately $0.9996.

To find the standard materials quantity per unit, we can use the formula:

Standard Materials Quantity = Total Kilograms Purchased / Total Units Produced

Given that the total kilograms purchased is 113,400 kg and the total units produced are 27,000 units, we can calculate the standard materials quantity per unit as follows:

Standard Materials Quantity = 113,400 kg / 27,000 units

Standard Materials Quantity ≈ 4.2 kg per unit

Therefore, the standard materials quantity per unit is approximately 4.2 kg.

To find the standard hours allowed for the units produced, we can use the formula:

Standard Hours Allowed = Total Units Produced * Standard Hours per Unit

Given that the total units produced are 27,000 units and the standard hours per unit is 1.6 hours, we can calculate the standard hours allowed as follows:

Standard Hours Allowed = 27,000 units * 1.6 hours

Standard Hours Allowed = 43,200 hours

Therefore, the standard hours allowed for the units produced are 43,200 hours.

To find the actual direct labor hours worked, we can use the labor quantity variance formula:

Labor Quantity Variance = (Actual Hours - Standard Hours Allowed) * Standard Rate

Given that the labor quantity variance is $10,950 unfavorable, and the standard rate is $15.00 per hour, we can rearrange the formula to solve for the actual direct labor hours:

Actual Hours = (Labor Quantity Variance / Standard Rate) + Standard Hours Allowed

Actual Hours = ($10,950 / $15.00) + 43,200 hours

Actual Hours = 730 + 43,200 hours

Actual Hours = 43,930 hours

Therefore, the actual direct labor hours worked are 43,930 hours.

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How does representation of the four designated groups in the labour force compare with the Canadian population? Select one: a. Women are overrepresented in the labour force. b. Only women are underrepresented in the labour force. c. Only Aboriginals are underrepresented in the labour force. d. All four groups are underrepresented in the labour force.

Answers

The representation of the four designated groups in the labor force is underrepresented when compared to the Canadian population. Option D is the correct answer.

Who are the four designated groups?

The four designated groups are: WomenAboriginal , peoples, Visible minorities, Persons with disabilities. Due to historical discrimination and prejudice in hiring practices, these groups have been systematically excluded from job opportunities. As a result, these groups have been traditionally underrepresented in the Canadian workforce and in leadership positions within companies.

How does representation of the four designated groups in the labor force compare with the Canadian population?

When compared to the Canadian population, all four groups are underrepresented in the labor force. Women, in particular, are underrepresented in leadership roles in most companies in Canada despite constituting more than half of the population (50.4%).

Aboriginal peoples are also underrepresented in the workforce despite accounting for 5% of the Canadian population. Visible minorities represent 22% of the Canadian population, but only make up 16.5% of the labor force.

Finally, persons with disabilities, who represent 22% of the population, are also underrepresented in the workforce. In conclusion, all four designated groups are underrepresented in the labor force compared to the Canadian population.

Hence, option d. is correct.

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XYZ is considering buying a new, high efficiency interception system. The new system would be purchased today for $48,400.00. It would be depreciated straight-line to $0 over 2 years. In 2 years, the system would be sold for an after-tax cash flow of $13,000.00. Without the system, costs are expected to be $100,000.00 in 1 year and $100,000.00 in 2 years. With the system, costs are expected to be $78,400.00 in 1 year and $68,700.00 in 2 years. If the tax rate is 45.60% and the cost of capital is 8.70%, what is the net present value of the new interception system project?
$11713.13 (plus or minus $50)
$7314.35 (plus or minus $50)
$10950.82 (plus or minus $50)
$8660.09 (plus or minus $50)
None of the above is within $50 of the correct answer

Answers

The correct answer is none of the above within $50 of the correct answer. The NPV of the project is approximately -$75,627.48.

To calculate the net present value (NPV) of the project, we need to find the present value (PV) of all cash inflows and outflows associated with the project, discounted at the cost of capital.

The cash outflows include the initial cost of the system and the operating costs in each year. The cash inflows include the after-tax salvage value of the equipment.

First, let's calculate the annual operating costs:

Without the system:

Year 1: $100,000

Year 2: $100,000

With the system:

Year 1: $78,400

Year 2: $68,700

Next, we need to calculate the depreciation expense for each year. Since the system is depreciated straight-line to $0 over 2 years, the annual depreciation expense is $48,400 / 2 = $24,200.

Using this information, we can calculate the cash flows for each year:

Year 0: -$48,400 (initial cost)

Year 1: -$78,400 (operating costs) - $24,200 (depreciation expense) = -$102,600

Year 2: -$68,700 (operating costs) - $24,200 (depreciation expense) + $13,000 (after-tax salvage value) = -$79,900

Now we can calculate the present value of each cash flow using the formula PV = CF / (1 + r)^t, where CF is the cash flow, r is the cost of capital, and t is the time period (in years).

Year 0: PV = -$48,400 / (1 + 0.087)^0 = -$48,400

Year 1: PV = -$102,600 / (1 + 0.087)^1 = -$94,707.32

Year 2: PV = -$79,900 / (1 + 0.087)^2 = -$67,479.84

Finally, we can calculate the net present value by summing the present values of all cash flows:

NPV = PV of all cash inflows - PV of all cash outflows

NPV = $67,479.84 - ($48,400 + $94,707.32) = -$75,627.48

Therefore, the correct answer is none of the above within $50 of the correct answer. The NPV of the project is approximately -$75,627.48.

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