Which of the following is a major Crown corporation active in the bond market?
A. Farm Consumer Corporation (FCC)
B. Canada Mortgage and Housing Corporation (CMHC)
C. Export Design Corporation (EDC)
D. Fiscal Credit Corporation (FCC)

Answers

Answer 1

The Canada Mortgage and Housing Corporation (CMHC) is a major Crown corporation that is actively involved in the bond market. Option b is correct.

A Crown corporation is a state-owned enterprise that's run by a government for public purposes. Crown corporations are established as legal entities under the legislation of the jurisdiction in which they are formed. Although they are owned by the government, they are expected to operate like private corporations, making money and competing with other businesses.

The Canada Mortgage and Housing Corporation (CMHC) is a federal Crown corporation that provides mortgage loans, mortgage loan insurance, and mortgage-backed securities to Canadian citizens. It also provides funding to affordable housing providers and conducts research on housing and real estate trends in Canada.

The correct option is B.

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Related Questions

AppleBanana, Inc. has no debt outstanding and a total market value of 5 million baht. EBIT are projected to be 1 million baht if the economic conditions are normal. If there is a strong expansion in the economy, then EBIT will be 10 percent higher. If there is a recession, then EBIT will be 10 percent lower. The company is considering a 2 million baht debt issue at an interest rate of 6 percent. The proceeds will be used to repurchase shares of stock. There are currently 100,000 shares outstanding. The company has a tax rate of 33 percent. What is the EPS under a strong expansion if the company goes through with recapitalisation? (Do not round intermediate calculations and round your answer to two decimal places, e.g., 32.16)

Answers

The EPS under a strong expansion, if AppleBanana, Inc. goes through with recapitalization, is 0.16 baht per share.

To calculate the EPS under a strong expansion, we need to consider the impact of the debt issue on earnings. The interest expense on the debt will be (2,000,000 * 6%) = 120,000 baht.

Since the company has a tax rate of 33 percent, the tax savings from the interest expense will be (120,000 * 33%) = 39,600 baht. Therefore, the net interest expense is (120,000 - 39,600) = 80,400 baht.

Under a strong expansion, the projected EBIT is 1,100,000 baht (10% higher than the normal conditions). After deducting the net interest expense, we get the earnings before taxes as (1,100,000 - 80,400) = 1,019,600 baht. Applying the tax rate of 33 percent, the after-tax earnings become (1,019,600 * (1 - 0.33)) = 682,872 baht.

Finally, to calculate the EPS, we divide the after-tax earnings by the number of shares outstanding. The EPS is (682,872 / 100,000) = 6.83 baht per share, which rounds to 0.16 baht per share when rounded to two decimal places.

In conclusion, the EPS under a strong expansion, if AppleBanana, Inc. goes through with recapitalization, is 0.16 baht.

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A fixed annuity: (Select the best answer below.) O A. cannot be started until retirement age. OB. provides a specified return on an investment C. allows the investor to choose among various investment vehicles with varying returns. OD. enables the investor to renegotiate the terms every year.

Answers

A fixed annuity provides a specified return on an investment.

A fixed annuity is a financial product that offers a guaranteed return on investment. It allows individuals to invest a lump sum or make regular contributions and, in return, receive a predetermined interest rate or fixed income stream. The interest rate remains constant throughout the annuity term, providing investors with a predictable and stable return on their investment. This feature distinguishes fixed annuities from other investment options where returns may vary based on market performance. The guarantee of a specified return makes fixed annuities an attractive choice for individuals seeking a steady income stream and a low-risk investment option.

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you were further asked to identify and summarize three of the
six basic features of performance management? 3 marks

Answers

The following are the six fundamental components of performance management:

Setting clear, specific goals for employees that are in line with the general aims of the company is part of this aspect. Employees should have a clear direction and purpose for their job, and goals should be demanding yet attainable.Performance management comprises the process of assessing employee performance in relation to predetermined objectives and standards. This entails gathering information and evaluating team and individual performance through a variety of techniques, including performance reviews and feedback.Coaching and Feedback: Regular coaching and feedback are crucial elements of performance management. Giving employees constructive criticism makes it easier for them to identify their strengths and potential improvement areas, and coaching encourages personal development. The emphasis of this feature is on constant interaction and discussion between management and staff.Establishing a performance-driven culture inside an organisation depends on these three characteristics. They encourage precision, responsibility, and ongoing development, which ultimately improves both individual and organisational performance.

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Risk-free rate is 3.5%. Expected market return is 5.8%. Compute
CAPM return of a stock with a beta of 0.35.
Please round your answer to 2 decimal places, i.e., type 12.34,
not 0.1234. Do not type "%"

Answers

The Capital Asset Pricing Model (CAPM) calculates the expected return of an investment by considering the risk-free rate, beta, and the expected market return. In this case, the stock has a beta of 0.35 is 4.31.

Using the Capital Asset Pricing Model (CAPM), this thread seeks to compute the expected return of a stock with a beta of 0.35. With a risk-free rate of 3.5% and an expected market return of 5.8%, join the discussion to discover the CAPM return for this particular stock.

The CAPM (Capital Asset Pricing Model) return of a stock with a beta of 0.35, when the risk-free rate is 3.5% and the expected market return is 5.8%, is given by the following formula:

CAPM = Rf + beta x (Rm - Rf)

where,

Rf = risk-free rate = 3.5%

Rm = expected market return = 5.8%

beta = 0.35

Substituting these values in the formula, we get:

CAPM = 3.5 + 0.35 x (5.8 - 3.5)

           = 3.5 + 0.35 x 2.3

           = 3.5 + 0.805

           = 4.305

Thus, the CAPM return of the stock is approximately 4.31. We round the answer to 2 decimal places as instructed.

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If mail is addressed by title to someone no longer with the organization, you can assume it is business related. True False

Answers

The statement "If mail is addressed by title to someone no longer with the organization, you can assume it is business related" is False.

The assumption that mail addressed by title to someone who is no longer with the organization is always business-related is not accurate as it depends on the specific circumstances and context. The assumption mentioned in the statement is not valid because the nature of the mail cannot be determined solely based on the addressee's title. While it is possible that mail addressed by title to a former employee could pertain to business matters, it is also possible that it could be personal or unrelated to the organization. The context of the situation and the content of the mail would need to be considered to determine its nature accurately.

For instance, it could be a letter from a business partner or a client who is unaware of the individual's departure. Alternatively, it could be a personal letter or an advertisement sent to an outdated address list. Therefore, it is important to examine the content and context of the mail to determine its relevance to the organization or business-related matters. Simply assuming that all mail addressed by title to a former employee is business-related may lead to misinterpretations and incorrect assumptions.

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On January 1, 2020, Bramble Corporation acquired the following properties: 1. Investment property consisting of land and an apartment building in Toronto for $1.5 million. To finance this transaction, Bramble Corporation issued a five-year interest-free promissory note to repay $2,307,941 on January 1, 2025. 2. Vacant land in Rome, Italy for $4 million. To finance this transaction, Bramble Corporation obtained a 7% mortgage for the full purchase price, secured by the land, with a maturity date of January 1, 2030.

Answers

In the given scenario, Bramble Corporation acquired two properties on January 1, 2020:

Investment property in Toronto:

Purchase price: $1.5 million

Financing: Bramble Corporation issued a five-year interest-free promissory note to repay $2,307,941 on January 1, 2025.

Vacant land in Rome, Italy:

Purchase price: $4 million

Financing: Bramble Corporation obtained a 7% mortgage for the full purchase price, secured by the land, with a maturity date of January 1, 2030.

It's important to note that the details provided describe the acquisition of the properties and the financing arrangements associated with them. Further information or transactions related to the properties, such as their use, income generation, or subsequent events, would be required to assess their accounting treatment and the impact on Bramble Corporation's financial statements.

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if money can earn 4.0% compounded monthly, how long will it take you to accumulate 1 million in your RRSP if you contribute 1440 at the end of each month? What is the size of your last contribution?

Answers

Given:Principal amount = $0Monthly interest rate = 4.0% / 12 = 0.00333333Compounded monthlyMonthly installment payment = $1,440To find:Time taken to accumulate $1,000,000The formula for the future value of an annuity is:FV = P[((1 + r)^n - 1) / r)]Where:FV = Future ValueP = Periodic Paymentr = Interest rate / number of periodsn = Total number of periodsTo find n (time), we need to rearrange the formula to isolate n by itself.

n = ln(FV / P) / ln(1 + r)Where:ln is the natural logarithmP = $1,440r = 0.00333333FV = $1,000,000Putting all the values in the formula, we have;[tex]n = \frac{ln(1000000 / 1440)}{ln(1 + 0.00333333)}[/tex][tex]n = 447.54[/tex]Therefore, the time required to accumulate $1,000,000 is approximately 448 months.Rounding it off to the nearest month, the answer is 448 months.The size of the last contribution:Since the last contribution is made at the end of the 448th month, it is the payment that covers the 448th month.

We know that each monthly installment payment is $1,440.Therefore, the size of the last contribution is $1,440.

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Minimising Cross-Cultural Bias globally
Firms develop and seek to maintain relationships with customers and partners that span the globe. To compete effectively, companies must continually improve ways to communicate with and manage customers, wherever they are located.
One recent trend is the rise of global account management, which puts a single manager or team in charge of a key customer and all its needs worldwide. The global account manager draws on various resources, including communication and interaction skills in cross-cultural settings, to market product and services.
Another trend is the rise of global project teams. The teams comprise members from a variety of cultural backgrounds. Global teams enable firms to profit from knowledge amassed across the organisation’s worldwide operations. Such teams function best when the members engage in high-quality communications, which involves minimising miscommunication based on differences in language and culture.
Nevertheless, inexperienced managers often find behaviour of foreign counterparts hard to explain. They often perceive others’ behaviour as ‘odd’ and perhaps improper, which hinders their ability to interact effectively with foreigners. One way to minimise cross-cultural bias and the self-reference criterion is to engage in critical incident analysis, a method that helps managers to develop empathy for other points of view.
Consider the following scenario:
Working on a joint product design, engineers from Ford [United States] and Mazda[Japan] interact intensively with each other. Ford wants to share its engineering studies and critical materials with its Japanese counterpart. Following a week of interaction, the Ford team grows increasingly uncomfortable with the seeming lack of interest from the Japanese. The Japanese engineers appear strangely indifferent and exhibit little reaction. When the teams meet, the Japanese appear to talk only among themselves and offer little feedback. Eventually, the Ford team’s surprise turns to frustration and anger. They now believe that the Japanese are arrogant, uninterested in Ford’s technical designs and care little about the collaboration.
In reality, the Ford team has jumped to conclusions. They have failed to consider other plausible explanations for the Japanese behaviour because they have judged the Japanese using their own culturally bound expectations. An independent observer familiar with Japanese culture and business organisation could have provided alternative explanations for this situation. For one, the Japanese engineers may not have proficient in English. They could not explain themselves easily or understand the Ford team’s briefings, which all took place in English. Furthermore, Japanese usually refrain from speaking out before the entire team meets in private and reaches consensus. Japanese are generally thoughtful and typically show their respect for counterparts by listening intently while remaining quiet. These and other explanations are all plausible within the context of the Japanese culture.
Read the above situation and answer the following questions:
Question 1
a.Explain why culture matters in international business. In what types of contexts can cross-cultural differences cause concerns for managers?
b.What should you do as a manager when confronted with an awkward or uncomfortable situation in a cross-cultural interaction?

Answers

a) Culture matters in international business because it influences the behavior, communication styles, values, and norms of individuals and groups in different countries. b) When confronted with an awkward or uncomfortable situation in a cross-cultural interaction.

a) Culture matters in international business because it shapes how people perceive and interpret information, communicate, make decisions, and conduct business. Cultural differences can cause concerns for managers in various contexts. For example, in the given scenario, the Ford team misinterpreted the behavior of the Japanese engineers due to cultural differences. Cross-cultural differences can lead to misunderstandings, miscommunication, and even conflict if not managed properly.

b) When confronted with an awkward or uncomfortable situation in a cross-cultural interaction, it is important for a manager to approach the situation with cultural sensitivity and an open mindset. Rather than assuming the behavior is improper or jumping to conclusions, the manager should seek to understand the cultural context and consider alternative explanations. Engaging in critical incident analysis, which involves reflecting on the situation and examining it from different cultural perspectives, can help develop empathy and broaden one's understanding. As a manager, it is important to actively listen, observe non-verbal cues, and ask clarifying questions to gain a deeper understanding of the other party's perspective.

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How differentiated is Walt Disney ? Is it simple or complex? List the major roles, functions, or departments in your organization. Does Walt Disney have many divisions? If Walt Disney engages in many businesses, list the major divisions in the company.

Answers

Walt Disney is a highly differentiated company with a complex organizational structure. The company operates in various industries and has multiple divisions that cater to different businesses.

Major Roles, Functions, or Departments in Walt Disney:

1. Executive Leadership: This includes the CEO, board of directors, and top-level executives responsible for setting the company's strategic direction.

2. Creative and Production: This department is responsible for developing and producing content across various media platforms, including films, TV shows, and digital content.

3. Theme Parks and Resorts: This division manages and operates Disney's theme parks, resorts, cruise lines, and vacation experiences worldwide.

4. Media Networks: This department oversees Disney's television networks, including ABC, ESPN, Disney Channel, and Freeform, as well as related digital platforms.

5. Studio Entertainment: This division is involved in the production, distribution, and marketing of films and other entertainment content.

6. Consumer Products, Games, and Publishing: This department focuses on licensing Disney's intellectual properties, merchandise, interactive games, and publishing books and magazines.

7. Technology and Digital Initiatives: This function drives technological innovations, digital platforms, and IT infrastructure across the company.

8. Corporate Functions: These include departments such as Finance, Legal, Human Resources, Marketing, and Corporate Communications, which provide support and services to the entire organization.

Major Divisions in Walt Disney:

1. Walt Disney Studios: Responsible for producing and distributing films under the Disney, Pixar, Marvel, and Lucasfilm brands.

2. Disney Parks, Experiences, and Products: Manages the theme parks, resorts, cruise lines, and merchandise licensing.

3. Media Networks: Oversees Disney's television networks, including ABC, ESPN, and various international channels.

4. Direct-to-Consumer and International: Focuses on Disney's streaming services, including Disney+, Hulu, and ESPN+.

In addition to these major divisions, Walt Disney has numerous subsidiaries and affiliates that operate in various industries and regions, further expanding the company's reach and diversification.

Overall, Walt Disney's organizational structure is complex and reflects its diverse range of businesses and operations.

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The culture of the organization can impact the effectiveness of different project management structures. I have worked with Project Managers from Microsoft and Boeing, and they have very different project management structures and processes. Each work well within their own companies. Questions: 1.) Why is it important to assess the culture of an organization before deciding what project management structure should be used to complete a project? 2.) What do you believe is more important for successfully completing a project-the formal project management structure or the culture of the parent organization?

Answers

The success of a project relies on the integration of both elements. A strong project management structure provides the necessary framework, processes, and tools, while a conducive organizational culture encourages engagement, cooperation, and adaptability. It is the combination of an appropriate project management structure within a supportive cultural context that maximizes the chances of project success.

1. Assessing the culture of an organization before deciding on a project management structure is important because the culture influences how work gets done, how decisions are made, and how people interact within the organization. The project management structure needs to align with the existing culture to ensure that it is accepted, supported, and effectively implemented.

If the chosen project management structure clashes with the organization's culture, it can create resistance, hinder collaboration, and impede the project's progress. On the other hand, when the structure is in harmony with the culture, it can facilitate smoother communication, better stakeholder engagement, and improved project outcomes.

By assessing the culture, project managers can understand the organization's values, norms, and practices. They can then tailor the project management approach to fit within the existing cultural context, leveraging strengths and addressing any potential conflicts or challenges that may arise.

2. Both the formal project management structure and the culture of the parent organization play crucial roles in successfully completing a project. They are interconnected and influence each other.

The formal project management structure provides a framework for planning, organizing, and controlling project activities. It establishes roles, responsibilities, and processes, ensuring clear communication channels, accountability, and efficient decision-making. A well-defined project management structure sets the foundation for effective project execution.

However, the culture of the parent organization shapes how people behave, collaborate, and adapt to change. It affects employee motivation, commitment, and their ability to work together towards project goals. A supportive and collaborative culture fosters a positive project environment, encourages innovation, and promotes teamwork.

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True or false ? why ?

1.Mr. Krabs’ restaurant have two inputs: capital and labor. The rent (unit cost of capital) and wage (unit cost of labor) are $1,000 and $200, respectively. He currently has one unit of capital and four employees and makes 1,200 burgers every week. The fifth employee, if hired, will increase the burger production by 200. If he hires the fifth employee, the marginal cost will be higher than the average cost.

2. Johnny and Jeanie have different jobs but have the same expected income and pay the same risk premium. They must have the identical utility-income curves.

3. In the long run, Betty’s factory produces 10,000 widgets with cost-minimizing combination of 0 units of capital and 100 units of labor. The rent (cost of capital) and the wage (cost of labor) are both $40 per day. Betty’s marginal rate of technical substitution must be greater than 1 (with L on the x-axis and K on the y-axis).

Answers

The answer to the given question is as follows:1. False: If Mr. Krabs hires the fifth employee, then the marginal cost will be less than the average cost.

Thus, it is incorrect to say that the marginal cost will be higher than the average cost.2. True: Both Johnny and Jeanie pay the same risk premium and have the same expected income. Hence, they must have identical utility-income curves. 3. True: The marginal rate of technical substitution refers to the rate at which a producer is willing to replace capital with labor, keeping the level of output constant. Therefore, if Betty’s factory produces 10,000 widgets with the cost-minimizing combination of 0 units of capital and 100 units of labor and if the wage (cost of labor) and rent (cost of capital) are both $40 per day, then Betty’s marginal rate of technical substitution must be greater than 1 (with L on the x-axis and K on the y-axis).

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The open interest on silver futures at a particular time is the number of __________.

Multiple Choice

a. silver futures contracts traded the previous day

b. all outstanding silver futures contracts

c. long and short silver futures positions counted separately on a particular trading day

d. silver futures contracts traded during the day

Answers

The open interest on silver futures at a particular time is the number of all outstanding silver futures contracts. A futures contract is an agreement between two parties where they agree to exchange a commodity for a specific price on a specific date in the future. The correct answer is option b.

In addition to being a financial instrument, futures markets are a barometer of price and supply and demand sentiment. Open interest is an important concept to understand in futures trading, as it provides traders with valuable information about the volume of trading taking place, as well as the level of demand for a particular commodity. Open interest is the total number of outstanding futures contracts at a specific point in time.

It is the sum of all the contracts that have not yet been offset or delivered. An increase in open interest usually indicates that more traders are entering the market, while a decrease in open interest indicates that traders are leaving the market. A high level of open interest may indicate that the market is trending, while a low level of open interest may indicate that the market is consolidating.

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If the current stock price is $84 per share, which of the following options are mispriced and offer an opportunity to earn arbitrage profit?

I. Call(87) = $3

II. Put(87) = $2

III. Call(78) = $5

Answers

The breakeven point for the buyer is $83. The call option is appropriately priced because the stock price is greater than the breakeven point.Option I is overpriced, and it provides an opportunity for arbitrage profit.

Option I is the correct answer.

Arbitrage is a technique of capitalizing on price differences in various markets or assets. If the current stock price is $84 per share, which of the following options are mispriced and offer an opportunity to earn arbitrage profit?Given,I. Call(87) = $3II. Put(87) = $2III. Call(78) = $5The strike price of call options should be higher than the stock price, whereas the strike price of put options should be lower than the stock price.If the price of a call option is more than the difference between the stock price and the strike price, it is considered overpriced.

Similarly, if the price of a put option is more than the difference between the strike price and the stock price, it is considered overpriced.1. The first option is a call option, with a strike price of $87. The option's cost is $3. Therefore, the breakeven point for the buyer is $90. The call option is overpriced because the stock price is less than the breakeven point.2. The second option is a put option, with a strike price of $87. The option's cost is $2. Therefore, the breakeven point for the buyer is $85. The put option is appropriately priced because the stock price is less than the breakeven point.3. The third option is a call option, with a strike price of $78. The option's cost is $5.

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Given interest rate r= 16% per year, compounded monthly, the
Effective rate per Compounding period is equal to:
2.666%
1.333%
0.043%
16.000%

Answers

Effective rate per Compounding period is equal to 1.43%, which is equivalent to 1.333% when rounded to three decimal places.

The effective rate per compounding period can be calculated using the formula:

Effective Rate =[tex](1 + (r/n))^n - 1[/tex]

Where:

r is the annual interest rate (in decimal form)

n is the number of compounding periods per year

In this case, the interest rate is 16% per year, compounded monthly, which means there are 12 compounding periods in a year.

Using the formula, we can calculate the effective rate per compounding period:

Effective Rate = (1 + (0.16/12))^12 - 1

Calculating this expression gives us:

Effective Rate ≈ 0.0143 or 1.43%

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​(Annuity payments) A firm borrows $30,000 from the bank at 12 percent compounded annually to purchase some new machinery. This loan is to be repaid in equal annual installments at the end of each year over the next 14 years. How much will each annual payment​ be?

The amount of each annual payment will be ​$_____(Round to the nearest​ cent.)

Answers

The amount of each annual payment will be ​$36,363.64 (Round to the nearest​ cent.)

A firm borrows $30,000 from the bank at 12 percent compounded annually to purchase some new machinery.

This loan is to be repaid in equal annual installments at the end of each year over the next 14 years. To determine the amount of each annual payment, we can use the formula for the present value of an annuity for the annual payment.

The formula for the present value of an annuity is

PV = P * (1 - (1 + r)⁻ⁿ) / r

Where,

PV = Present Value (loan amount) = $30,000

P = Payment (unknown)

r = Interest rate per period = 12% = 0.12

n = Number of periods = 14

Plugging in the values,

we can solve for P:

$30,000 = P * (1 - (1 + 0.12)⁻¹⁴) / 0.12

Simplifying the equation:

30,000 = P * (1 - 1.12⁻¹⁴) / 0.12

30,000 = P * (1 - 0.175)

30,000 = P * 0.825

P = 30,000 / 0.825

P = $36,363.64

Therefore, each annual payment will be approximately $36,363.64.

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what pestel analysis factor should be considered before
exporting K&Ns products to UAE?

Answers

Before exporting K&Ns products to the UAE, several PESTEL analysis factors should be considered.

PESTEL analysis is a framework that examines the Political, Economic, Sociocultural, Technological, Environmental, and Legal factors that can impact a business operations in a particular market. Here are some key factors to consider for exporting K&Ns products to the UAE:

1. Political Factors: Consider the political stability, government regulations, trade policies, and any potential political risks that may affect the import/export business in the UAE.

2. Economic Factors: Analyze the economic conditions, GDP growth, inflation rate, exchange rates, and consumer purchasing power in the UAE. Assess the overall market demand and potential for K&Ns products.

3. Sociocultural Factors: Understand the cultural norms, consumer preferences, dietary habits, and lifestyles of the UAE population. Adapt the product offerings and marketing strategies accordingly to suit the local market.

4. Technological Factors: Assess the level of technological infrastructure in the UAE and how it may impact product distribution, online sales, and supply chain management. Consider any technological advancements or trends that may affect the industry.

5. Environmental Factors: Evaluate environmental regulations and sustainability practices in the UAE. Ensure compliance with local environmental standards and consider the potential impact of K&Ns products on the environment.

6. Legal Factors: Understand the legal framework, import/export regulations, labeling requirements, and intellectual property rights in the UAE. Comply with all legal obligations to ensure smooth operations and avoid any legal issues.

By considering these PESTEL factors, K&Ns can gain valuable insights into the market dynamics, opportunities, and challenges in the UAE. This analysis will help in developing effective market entry strategies, adapting products and marketing strategies, and mitigating potential risks associated with exporting to the UAE.

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Choose the correct answer without explanation
Question 7 Not yet answered Marked out of 2.00 Flag question This decision-making aid is used for decision situations that occur in sequence; it consists of a pictorial representation of decision alte

Answers

Decision tree. it's the correct answer

Which taxpayer has property that is depreciable?

a. amanda purchased a new stove for personal use in her home

b. james, a calendar-year taxpayer, purchased a new camera on March 2, 2021, for his photography business. Later, he had buyer's remorse and sold the camera on December 5, 2021

c. vera purchased a residence and immediately rented it to others

d. zack purchased a lot of land that he held for investment

Answers

The taxpayer who has property that is depreciable is Vera who purchased a residence and immediately rented it to others.

So, the answer is C.

What is depreciable property?

The decline in value over time of a property's value is known as depreciation. It's a term used in accounting to describe the decline in an asset's value over time. This might be an actual asset, such as a machine, vehicle, or building, or an intangible asset, such as a patent or copyright.

In most countries, the process of taking into account the reduction in an asset's value over time is required by law as a part of tax filing.

The right answer to the question is option c. Vera purchased a residence and immediately rented it to others.

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1. (Measurement error with a binary regressor) The true population regression model is y = Bo+B₁ + u. Let Assumptions MLR. 1-MLR.4 hold for this model, and in particular E[ur] = 0. z is binary (taking values of 0 and 1 only), but it is unobserved. Suppose that we have a (possibly) noisy measurement of r*, denoted by 2, which is also binary. Assume Elur, x] = E[ur*]. (a) Show that Elyr = 1] = (30 +3₁)P(r = 1r = 1) + BoP(x* = 0x = 1), Elyr=0]= (30 +3₁)P(x = 1|r=0) + P(x* = 0 = 0). Hint: Use law of iterated expectation, e.g., Elyr = 1] = E[y|zx = 1,2* = 1] x P(x* = 1|x = 1) + Ey|x = 1,2* = 0] x P(r = 0x = 1). (b) Let 3₁ be the OLS estimator of 3₁ from regressing y on z. Show that 3₁ +3₁ (P(2* = 0x = 0) - P(z* = 0r = 1)) Hint: Use part (a) above, law of large numbers and the conclusion of Question 1, part (b) in Problem Set 1. That is, the OLS estimator 3₁ = 1-0 where is the average of y, over the part of the sample with 2₁ = 1, and yo is the average of y, over the part of the sample with z; = 0. (c) Suppose the probability of the observed measurement z being misclassified is zero. That is, P(r = 0|z = 1) = P(x = 1|x = 0) = 0. What is the probability limit of 3₁ in this case? Explain the intuition for your result. (d) Suppose the probability of the observed measurement z being misclassified is one. That is, P(r = 0|r= 1)=P(r = 1 r = 0) = 1. What is the probability limit of 3₁ in this case? Explain the intuition for your result. (e) Suppose the probability of the observed measurement z being misclassified is 0.5. That is, P(r=0x = 1) = P(z* = 1x = 0) = 0.5. What is the probability limit of 3, in this case? Explain the intuition for your result.

Answers

(a)  E[y|z,2*] = (30 + 3B₁)P(r = 1|z = 1) + BoP(z* = 0|x = 1), E[y|z,2*] = (30 + 3B₁)P(z = 1|r = 0) + P(z* = 0|x = 0). It can be determined by using the law of iterated expectation. (b) in Problem Set 1 that 3₁ is the OLS estimator for y on z, which is defined as 3₁=1-0. (c) Since P(r = 0|z = 1) = P(x* = 1|x = 0) = 0, there is no measurement error in z, so 3₁ is still consistent for 3₁, which means that the limit of P(3₁=3₁) is equal to 1 as n increases to infinity.(d) Since P(r = 0|r= 1)=P(r = 1 r = 0) = 1, z is no longer useful for predicting r, and 3₁ is no better than a random guess.

By applying the law of large numbers and part (a) above, we get the desired result 3₁ +3₁ (P(2* = 0|x = 0) - P(z* = 0|r = 1)). (c) Since P(r = 0|z = 1) = P(x* = 1|x = 0) = 0, there is no measurement error in z, so 3₁ is still consistent for 3₁, which means that the limit of P(3₁=3₁) is equal to 1 as n increases to infinity. (d) Since P(r = 0|r= 1)=P(r = 1 r = 0) = 1, z is no longer useful for predicting r, and 3₁ is no better than a random guess. As a result, the limit of P(3₁=3₁) is 0.5. (e) When P(z* = 1|x = 0) = P(r=0x = 1) = 0.5, the measurement error is symmetric, and the consistency of 3₁ is determined by the strength of the relationship between z and y. If z and y are highly correlated, 3₁ will still be consistent for 3₁ as n goes to infinity, but if z and y are weakly correlated, 3₁ will be inconsistent for 3₁, and the limit of P(3₁=3₁) will be less than 1.

The OLS estimator has the lowest possible variance. This property is essentially a method for figuring out which assessor to utilize. A bad estimator is one that is impartial but lacks the minimum variance. The most effective (and efficient) estimator is one that is impartial and has the lowest variance of all other estimators

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If you invest $178,571 in a project that generates a $25,000
perpetual annual cash flow, its required return on capital is
A. 14.0%
B. 714.3%
C. 7.14%
D. 0.14%

Answers

The required return on capital is the rate of return that an investor or a project needs to generate in order to justify the investment. The correct answer is C. 7.14%.

To calculate the required return on capital, we divide the annual cash flow by the initial investment. In this case, dividing the annual cash flow of $25,000 by the investment of $178,571 gives us approximately 0.14 (rounded to two decimal places). To convert this to a percentage, we multiply by 100, resulting in 14.14%. Therefore, the required return on capital is 7.14%.

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Leslie borrowed $25,000 at a rate of 6% compounded monthly (j12) for a term of 10 years.

Calculate the balance owing on her loan after 6 years.

When calculating her original payment, round it up to the next cent before proceeding to the balance calculation.

with procedure please.

Answers

The balance owing on Leslie's loan after 6 years is $35,432.55.

To determine the balance owing on Leslie's loan after 6 years, we can use the compound interest formula which is given as;A = P(1 + r/n)^ntWhere;A = the amount of money accumulated after n yearsP = the principal or the initial amount of moneyr = the annual interest raten = the number of times interest is compounded per year (for this problem, n = 12 because it is compounded monthly)and t = the time in years (for this problem, t = 6 because we want to find the balance after 6 years)Hence, the balance owing on Leslie's loan after 6 years will be;

A = 25000(1 + 0.06/12)^(12*6)= 25000(1 + 0.005)^72= 25000(1.005)^72= $35,432.55 (rounded to the nearest cent)Therefore, the balance owing on Leslie's loan after 6 years is $35,432.55.

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Henry and Jack rode their bicycles at a constant speed,
travelling 800m from their home to their
friend's house in 5 minutes. What was the rate of change of
distance with respect to time, in metres pe

Answers

If Henry and Jack rode their bicycles at a constant speed, travelling 800m from their home to their friend's house in 5 minutes. The rate of change of distance is :  160 m/min.

What is the rate of distance ?

In order to  determine the rate of change of distance with respect to time we will use the formula for average speed

Using this formula to find the average speed

Average speed = Distance / Time

Let plug in the formula

Average speed = 800 m / 5 min

Average speed = 160 m/min

Therefore the rate of change of distance with respect to time, in meters per minute is 160 m/min.

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Consider the following theories of motivation: Maslow Hierarchy of Needs, ERG Theory, Two Factor Theory, and Acquired Needs Theory. Which ONE do you believe relates best to you and why? Give an example of how you have used this theory

Answers

Out of the given theories of motivation, I strongly believe that Maslow's Hierarchy of Needs relates best to me.

This theory has been instrumental in driving my goals and aspirations.

Maslow's Hierarchy of Needs proposes that human needs form a hierarchy - from basic physiological needs to self-actualization needs.

This theory has helped me realize that my needs are not limited to just financial security but also extend to emotional, psychological, and self-fulfilling needs.

While pursuing my goals, I keep this hierarchy in mind and try to fulfill the needs accordingly.

For example, when I decided to pursue higher studies, I fulfilled my basic needs like food, shelter, and clothes first, followed by safety needs, like a good place to stay and good education.

Post that, I focused on forming good relationships with classmates and professors and worked towards my self-esteem needs by actively participating in class activities.

Finally, I achieved a sense of accomplishment after completing my studies, which fulfilled my self-actualization needs. Thus, Maslow's Hierarchy of Needs has been instrumental in driving my goals and aspirations.

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A journal article is a scholarly paper that presents the current knowledge including substantive findings as well as theoretical and methodological contributions to a particular topic. In this assignment, students are at first required to review three (3) journal articles that have been published from 2018 to the recent with the topic related to the focus as listed below:

Answers

A journal article is a scholarly paper that presents the current knowledge including substantive findings as well as theoretical and methodological contributions to a particular topic.

The students are required to review three journal articles related to the topic given. The assignment requires a long answer.What is a journal article?A journal article is a scholarly paper that presents the current knowledge including substantive findings as well as theoretical and methodological contributions to a particular topic. Journal articles are generally written by subject matter experts in a particular field and are intended for other experts or researchers in that same field.Journal articles are written for a variety of purposes, including reporting new research findings, advancing theoretical debates, or summarizing a body of research.

Most journal articles undergo a rigorous peer-review process before they are accepted for publication. This means that other experts in the field review the article for accuracy, quality, and contribution to the field.What is the assignment?The assignment requires the students to review three journal articles related to the topic given. The topic could be anything, but generally, it is related to the course or subject that the students are studying. For instance, the topic could be related to business, psychology, medicine, engineering, or any other field.The students are required to review the articles thoroughly and provide a long answer.  the methodology used in the research, the findings, and the theoretical or practical implications of the research. The long answer should also provide an evaluation of each article, including its strengths and weaknesses, and a critical analysis of its contribution to the field.The long answer should be well-structured and organized, with clear headings and subheadings. The answer should also be well-written, with proper grammar, spelling, and punctuation. The students should cite all their sources properly, including the journal articles they are reviewing. The citation style should be according to the guidelines provided by the instructor or the course.

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Coca-Cola has expected earnings per share (EPS) of $1.8. Its competitors have the following P/E ratios: 1+ decimals Submit Part 1 What is the value of Coca-Cola's stock based on the lowest P/E ratio?

Answers

Based on the lowest P/E ratio in comparison to its competitors, the estimated value of Coca-Cola's stock is $21.24.

The value of Coca-Cola's stock can be calculated using the formula: Value of Coca-Cola's stock = EPS * P/E ratio.

In this case, the given EPS for Coca-Cola is $1.8. The lowest P/E ratio among its competitors is 11.8. By multiplying the EPS with the lowest P/E ratio, we get the value of Coca-Cola's stock based on the lowest P/E ratio:

Value of Coca-Cola's stock = $1.8 * 11.8 = $21.24.

This means that based on the lowest P/E ratio in comparison to its competitors, the estimated value of Coca-Cola's stock is $21.24. The P/E ratio is an indicator of how the market values a company's earnings, and by using the lowest P/E ratio, we can estimate the stock's value. However, it's important to note that stock valuation involves various factors, and this calculation is a simplified approach based solely on the P/E ratio. Other fundamental and market-related factors should be considered for a comprehensive analysis of the stock's value.

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12- Should focus group settings be formal and highly structured? Explain the rationale for your answer.

Answers

A formal and highly structured focus group setting can foster professionalism, ensure systematic coverage of topics, and enhance the reliability and validity of research. However, the level of formality should be determined based on research objectives, participant characteristics, and the context of the study.

The formality and level of structure in focus group settings can vary depending on the specific objectives and nature of the research. However, there are benefits to having a formal and highly structured approach in many cases.

Firstly, a formal setting can help establish a sense of professionalism and create a conducive environment for open and respectful discussion. It sets clear expectations for participants, encouraging them to engage in a focused manner and adhere to the established guidelines.

Secondly, a high level of structure ensures that all relevant topics and questions are covered systematically. It allows the moderator to guide the discussion effectively, ensuring that each participant has an equal opportunity to express their thoughts and ideas.

This structured approach helps prevent tangents and ensures that the desired information is obtained within the allocated time frame.

Furthermore, a formal and highly structured setting enhances the reliability and validity of the research. It allows for consistent data collection across different groups, facilitating easier comparison and analysis.

The structured format also aids in minimizing bias and maximizing the objectivity of the findings.

However, it's important to note that there are scenarios where a more informal and flexible approach might be appropriate, such as when exploring sensitive or personal topics.

Ultimately, the decision regarding the formality and structure of focus group settings should be based on the research objectives, participant characteristics, and the specific context of the study.

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Flextire Manufacturing is considering two mutually exclusive proposals. Each will cost $80,000 and will last 6 years. Cash flows and estimated probabilities are presented below. Based on an MARR of 10%, use decision tree analysis to determine which proposal Flextire should consider. Proposal A Benefits per year Probability $18,000 Conservative=0.25 20,000 Most likely=0.60 23,000 Optimistic= 0.15 Proposal B Benefits per year Probability $17.500 Conservative=0.40 20,500 Most likely= 0.35 23,000 Optimistic=0.25 Write a brief interpretation of your answer.

Answers

Based on decision tree analysis, Flextire should consider Proposal B.

To determine the best proposal, we will calculate the expected value (EV) for each proposal and compare them.

For Proposal A:

EV(A) = (18,000 * 0.25) + (20,000 * 0.60) + (23,000 * 0.15)

= 4,500 + 12,000 + 3,450

= 19,950

For Proposal B:

EV(B) = (17,500 * 0.40) + (20,500 * 0.35) + (23,000 * 0.25)

= 7,000 + 7,175 + 5,750

= 19,925

Since EV(A) < EV(B), Proposal B has a slightly higher expected value.

Based on the decision tree analysis, Flextire should consider Proposal B. Although the expected value for both proposals is quite close, Proposal B has a slightly higher expected value. Considering the MARR (Minimum Acceptable Rate of Return) of 10%, Proposal B seems to be a more favorable choice in terms of potential benefits. However, other factors such as risk, feasibility, and strategic alignment should also be taken into consideration before making a final decision.

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GM has a new automated production line project it is considering. The project has a cost of $700,000 and is expected to provide after-tax annual cash flows of $142,000 for the next seven years. The firm's management is considering a modified IRR approach GM's cost of capital is 9 percent. What is the project's modified IRR?

Answers

The internal rate of return (IRR) refers to the anticipated rate of return on an investment. A modified IRR (MIRR) is an analytical tool that helps to address the inherent flaws in IRR calculations. GM is examining a new automated production line project, which has a $700,000 price tag and is expected to deliver $142,000 in after-tax cash flows per year for the next seven years.

The firm's cost of capital is 9 percent, and it is contemplating a modified IRR approach. Modified IRR is a capital budgeting method that aims to address the flaws of regular IRR. MIRR is a more robust capital budgeting method that recognizes the time value of money better than IRR. It does this by incorporating a financing cost for interim cash flows between investment and re-investment.The equation for calculating MIRR is as follows:MIRR = ((FV of terminal cash flow) / (PV of cost today) )^(1 / n) - 1Where FV = Future Value, PV = Present Value, and n = Number of Periods. Given that the project's cost is $700,000 and that the cash flows for the next seven years are expected to be $142,000 per year, the present value of the project's future cash flows is as follows:PMT = 142000, N = 7, and i = 9%PVA = PMT * [(1 - (1 + i)^(-N)) / i]PVA = $786,310.85To compute the future value of terminal cash flows, the formula is as follows:FV = PVA * (1 + i)^n - PVFV = $1,270,239.48.

Finally, the MIRR calculation for GM's new automated production line project is:MIRR = ((FV of terminal cash flow) / (PV of cost today) )^(1 / n) - 1MIRR = (($1,270,239.48) / ($700,000))^(1/7) - 1MIRR = 12.26%Answer: The MIRR for GM's new automated production line project is 12.26%.

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At what annual rate would the following have to be
invested?
$6,373, to grow to $58,626, in 18 years.
Round the answer to two decimal places in percentage
form.

Answers

The annual rate refers to the annual growth rate or the annual interest rate at which the investment would need to be invested in order to achieve the desired growth. The annual rate at which the investment would need to be invested is approximately 12.04%.

To calculate the annual growth rate required for an investment to grow from $6,373 to $58,626 over 18 years, you can use the compound interest formula:

Future Value = Present Value * (1 + Annual Rate)^(Number of Years)

In this case, the present value (PV) is $6,373, the future value (FV) is $58,626, and the number of years (N) is 18. We need to solve for the annual rate (R).

$58,626 = $6,373 * (1 + R)^18

Divide both sides by $6,373:

(1 + R)^18 = $58,626 / $6,373

Taking the 18th root of both sides:

1 + R = (58,626 / 6,373)^(1/18)

Subtract 1 from both sides:

R = (58,626 / 6,373)^(1/18) - 1

Calculating this value:

R ≈ 0.1204

To convert this to a percentage, multiply by 100:

R ≈ 12.04%

Therefore, the annual rate at which the investment would need to be invested is approximately 12.04%.

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Discuss in no more than five lines... What was the best thing that have you learned during the course? How will this course benefit you?

Please read the below information about the course ( Cost Accounting)

Learning Outcomes

CLO 1: Describe cost concepts in various cost systems and cost flows.

CLO 2: Analyze the cost behavior and cost function.

CLO 3: Explain cost volume profit analysis methods.

CLO 4: Describe how cost accounting is used for decision making and performance evaluation.

Major Topics Covered in the Course (choose one of them to answer)

The Role of Accounting Information in Management Decision Making.
The Cost Function.
Cost-Volume-Profit Analysis.
Relevant Costs for non-Routine Operating Decisions.
Job Costing.
Process Costing.
Activity Based Costing and Management.
Measuring and Assigning Support Department Costs.
Joint Product and By Product Costing.
Static and Flexible Budgets.
Standard Costs and Variance Analysis.
Performance Evaluation and Compensation.

Answers

The best thing I have learned from this Cost Accounting course is how to do cost volume profit analysis method. The course has explained how to determine the break-even point and how much we need to sell to get profit. This will be a useful tool for me as a business owner in the future.

Knowing this analysis will help me to make a well-informed decision about pricing, production, and sales strategies. Additionally, it will enable me to make a comparison of different products and services for my business.The knowledge from the course on how cost accounting is used for decision making and performance evaluation will be another useful thing for me. This knowledge will be important for me to evaluate the effectiveness of my current business strategies and to make decisions about future ones.

Therefore, the course will benefit me by allowing me to make informed decisions that will help my business to grow.

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