A credit card offers financing at an APR of 18.0 percent, with monthly compounding on outstanding chargec. What is the eitective annual rate (EAR)?

Answers

Answer 1

The effective annual rate (EAR) is the actual annual interest rate taking into account the effect of compounding. In the case of a credit card offering financing at an annual percentage rate (APR) of 18.0 percent with monthly compounding, the EAR is approximately 19.56 percent.

The effective annual rate (EAR) considers the impact of compounding on the nominal interest rate. In this case, the credit card offers financing at an APR of 18.0 percent, with monthly compounding. To calculate the EAR, we need to convert the nominal interest rate to its equivalent annual rate.

To calculate the EAR, we can use the following formula:

EAR = (1 + r/n)^n - 1

Where:

- r is the nominal interest rate (APR) in decimal form (18.0% = 0.18)

- n is the number of compounding periods per year (monthly compounding, so n = 12)

Plugging in the values:

EAR = (1 + 0.18/12)^12 - 1

EAR ≈ 0.1956 or 19.56%

Therefore, the effective annual rate (EAR) for the credit card offering financing at an APR of 18.0 percent with monthly compounding is approximately 19.56 percent.

To learn more about effective annual rate click here: brainly.com/question/13024233

#SPJ11


Related Questions

HBR megallen case study Would you suggest changes in Magellans
marketing message? What message is appropriate?.

Answers

The HBR Magellan case study suggests changes to Magellan's marketing message and the appropriate message. The case study of Magellan implies changes to the company's marketing message in order to increase sales and maintain the business's financial stability.

The ideal message appropriate for Magellan should communicate how the company's products or services offer more value than competitors. The marketing message should be able to define the company's value proposition and focus on the benefits offered to customers by choosing Magellan. The ideal message should focus on the company's advantages in the market. The marketing message should state the company's unique qualities, how they solve the client's problems and the level of client satisfaction.

This message will resonate with clients and will drive revenue growth.The ideal message will focus on the company's ability to meet the customer's specific needs, an understanding of the industry in which they operate, and their unique approach to offering a solution. The marketing message should be designed to appeal to potential customers who are looking for products that are tailored to meet their specific needs. The message should be crafted in such a way as to speak directly to the needs of the customer, thereby encouraging them to take action.

This message should be communicated through multiple channels such as social media, print media, online advertising, and customer engagement.

To learn more about marketing:

https://brainly.com/question/27155256

#SPJ11

Why should investors consider the ESG factors (or ESG Investing)
in future business projects to maximize their return on investment?
(100 words)

Answers

Investors should consider ESG factors (Environmental, Social, and Governance) in future business projects to maximize their return on investment for several reasons. ESG factors are closely linked to a company's long-term sustainability and resilience.

ESG factors help identify and manage risks that can impact a company's financial performance. For example, environmental risks such as climate change and pollution can lead to regulatory fines or reputational damage. By integrating ESG considerations, investors can mitigate potential risks and protect their investments. ESG investing is gaining popularity as more consumers and stakeholders prioritize sustainability and social responsibility. Companies that align with ESG principles may have a competitive advantage, attracting a larger customer base and potentially generating higher revenues. Investing in ESG projects allows investors to tap into these market opportunities and potentially achieve better returns.

By focusing on environmental sustainability, social impact, and good governance practices, companies can build stronger relationships with stakeholders, enhance their reputation, and attract top talent. These factors contribute to long-term value creation, which benefits investors over time. Governments and regulatory bodies are increasingly mandating ESG reporting and disclosure. By considering ESG factors in their investment decisions, investors can ensure compliance with current and future regulations, avoiding potential legal and financial consequences.

To know more about ESG factors visit:-

https://brainly.com/question/33029912

#SPJ11

Sundune Enterprises has the following expected dividends: $1.00 in one year, $1.15 in two years, and $1.25 in three year that, its dividends are expected to grow at 4% per year forever (so that year 4 's dividend will be 4% more than $1.25 and f Sundune's expected rate of return is 11%. what is the current price of its stock? $16.33 $24.56 514.27 $15.98 $22.45

Answers

If Sundune's expected rate of return is 11%. The current price of Sundune Enterprises' stock is $15.98. Option d is correct.

For determining the current price of Sundune Enterprises' stock, need to use the dividend discount model (DDM). The DDM calculates the present value of all future dividends to find the stock's current price.

Given that the expected dividends for Sundune Enterprises are $1.00 in one year, $1.15 in two years, and $1.25 in three years, calculate the present value of each dividend. Since the dividends are expected to grow at a rate of 4% per year, use the formula for the present value of a growing perpetuity to calculate the present value of the dividend in the fourth year.

Using a required rate of return of 11%, discount each dividend back to the present value and sum them up. The present value of all future dividends equals the current price of the stock.

After performing the calculations, the current price of Sundune Enterprises' stock is found to be $15.98.

Learn more about dividend discount model here:

https://brainly.com/question/32294678

#SPJ11

Explain what is meant by the impairment of the value of property, plant, and equipment and intangible assets. How should these impairments be accounted for?

Can you please provide a good answer and different from the ones already posted. Thank you!

Answers

The impairment of the value of property, plant, and equipment and intangible assets refers to a decline in the carrying amount of a company's assets that is not recoverable. The impairment value of an asset is the difference between its book value and its recoverable value.

The recoverable value is the greater of an asset's value in use (the future cash flows that the asset is expected to generate) and its fair value (the price that could be received to sell the asset in an arm's length transaction).Intangible assets are assets that do not have a physical presence. Patents, copyrights, trademarks, brand names, and goodwill are all examples of intangible assets.

These assets must be assessed for impairment at least once a year. When the carrying amount of an intangible asset is greater than its recoverable amount, an impairment loss must be recognized in the income statement.Property, plant, and equipment are long-term assets that are used in the production of goods or services. These assets must be assessed for impairment whenever there is evidence that the asset's value has declined.

An impairment loss must be recognized in the income statement when the carrying amount of an asset is greater than its recoverable amount. The carrying amount of an asset is the cost of the asset minus its accumulated depreciation.According to accounting standards, a company should record the impairment loss as an expense in its income statement and adjust the carrying amount of the asset accordingly.

The asset should be valued at its recoverable amount after the impairment loss has been recognized. If the asset is being depreciated, the depreciation expense should be adjusted to reflect the asset's new carrying amount. The asset's recoverable amount should be reviewed annually to ensure that the asset has not been impaired further.

To know more about intangible visit:

https://brainly.com/question/29840541

#SPJ11


For which of the following can variances between actual and
budgeted be used?
Select one:
a.To alert managers to potential problems and available
opportunities
b.To inform managers about how well the company has implemented its strategies

c.To signal that company strategies are ineffective

d.All of these answers are correct

Answers

Variances between actual and budgeted can be used to alert managers to potential problems and available opportunities, to inform managers about how well the company has implemented its strategies, and to signal that company strategies are ineffective. Therefore, the correct answer is d.

All of these answers are correct. Variances between actual and budgeted are used to analyze the company's performance and identify its strengths and weaknesses. Managers can use the variances to identify the problems and opportunities that the company is facing, allowing them to make the necessary adjustments to improve the company's performance.

The variances between actual and budgeted are used to monitor the effectiveness of the company's strategies. Managers can use the variances to determine how well the company has implemented its strategies. If there are significant variances between actual and budgeted amounts, it may indicate that the company's strategies are not effective.

To learn more about variances, visit:

https://brainly.com/question/14116780

#SPJ11

IN-TEXT EXERCISE 9.2 
Suppose the price of a pizza rises to $15. What is Dan's profit-maximizing sales quantity? What if he also has an avoidable fixed cost of $980? 

The Problem Dan loves pizza. His firm. Dan's Pizza Company, makes frozen pizzas. The market price of a pizza is $10, and Dan is a price taker. His daily cost of making pizzas is C(Q)=5Q+(Q²/80), and his marginal cost is MC=5+(Q/40). How many pizzas should Dan sell each day? What if he also has an avoidable fixed cost of $845 per day? f(x) 

The Solution
Dan has no sunk costs, since his total cost is zero when Q=0. Applying the quantity rule, Dan's best positive sales quantity solves the formula P=MC. or 
10=5+40Q​ 
The solution is Q=200. Now let's consider the shut-down rule. We can verify that the profit from producing 200 pizzas a day is positive in three ways: (1) by directly calculating that the profit is ∏=(10×200)−(5×200)−(200²/80)=$500;(2) by observing that the price ($10) is greater than average cost when Q=200[$7.50 per pizza, since AC(Q)=5+(Q/80) or (3) by observing that the price ($10) is greater than ACmin​($5), derived in Θ Worked-Out Problem 8.5 (p. 263).
If Dan also has an avoidable fixed cost of $845 per day, shutting down would be his best option, which we can again see in three ways: (1) his profit at Q=200 would be −$345;(2) the price ($10) is less than the average cost at 200 pizzas, which is now $11.73. rounded to the nearest penny; or (3) the price ($10) is less than ACmin ​($11.50), derived in..Worked-Out Problem 8.5.

Answers

The marginal cost of producing pizza is given as MC=5+(Q/40), while the daily cost of making pizzas is given as C(Q)=5Q+(Q²/80). Given that the price of a pizza has risen to $15, we are to find the profit-maximizing sales quantity and what Dan's profit-maximizing sales quantity is if he has an avoidable fixed cost of $980.

Most firms like Dan's pizza company are profit maximizers. This means that they aim to maximize their profit by producing the quantity of the good that equates marginal revenue (MR) to marginal cost (MC) which is P = MC. We know that the price of a pizza is $10 and it is a price taker. Hence, we can write P = $10, thus:10 = 5 + (Q/40)40Q = 350Q = 8.75We can conclude that Dan should produce.

75 pizzas each day since he cannot produce a fractional part of a pizza. Dan cannot make 9 pizzas since P > MC when Q = 9. When the price of a pizza rises to $15, the MR will change to $15.

Dan’s MC is 5 + (Q/40). Hence, his profit-maximizing sales quantity is given as follows:$15 = 5 + (Q/40)40Q = 400Dan should sell 400 pizzas each day. Now, let us consider that Dan has an avoidable fixed cost of $845 per day. We know that a firm should shut down if the total revenue is less than its variable costs.

To know more about Pizza visit:-

https://brainly.com/question/32094261

#SPJ11

This is the same information for all six questions about this hypothetical situation.

Maria is the Assistant GM of a newly opened 24-hour Wawa location outside of Philadelphia. There is no past data on which to develop a solid forecast for her location, and for the store’s first month of operation, she has to decide how many cashiers to schedule on the 12 midnight to 6am time window. She is considering a situation where she schedules only a single food preparation associate during this time window, which would create a single-line checkout. Maria remembers from her Rutgers coursework about the queuing theory, and she believes that her thinking for a single food preparation associate would represent an MM1 queuing model. She also remembers that her thinking for two food preparation associates would represent an MMk model, where k =2. So she decides to find her old Excel spreadsheets and use that model to determine some waiting line data to aid in her decision.

Based on her past experience at other Wawa locations, Maria estimates inside-store or online/app orders by customers from the food service counter are 45 per hour during the time window under consideration. Maria also estimates that an experienced food preparation associate can process (service), on average, one customer order every 64 seconds. Using this information, and the MM1 and MMk template models, answer the following questions to help Maria make a decision:

(a) What is lambda?

Multiple Choice

64

45

24

2

Answers

The given situation of Maria, Assistant GM of a newly opened 24-hour Wawa location outside of Philadelphia, requires the calculation of lambda value.

Lambda is the arrival rate. Here, Maria is considering a situation where she schedules only a single food preparation associate during this time window, which would create a single-line checkout. This thinking of Maria for a single food preparation associate would represent an MM1 queuing model.

Using the MM1 queuing model, we know that the formula for the average arrival rate is λ = (1/ inter arrival time).

Maria estimates inside-store or online/app orders by customers from the food service counter are 45 per hour during the time window under consideration.

Hence, lambda value = 45 / 60 = 0.75

Given, Maria estimates inside-store or online/app orders by customers from the food service counter are 45 per hour during the time window under consideration.

Lambda is the arrival rate. Here, Maria is considering a situation where she schedules only a single food preparation associate during this time window, which would create a single-line checkout. This thinking of Maria for a single food preparation associate would represent an MM1 queuing model.

Using the MM1 queuing model, we know that the formula for the average arrival rate is λ = (1/ inter arrival time).

Hence, lambda value = 45 / 60 = 0.75

Therefore, the correct option is 0.75.

Learn more about the average arrival rate: https://brainly.com/question/18486213

#SPJ11

Firm A has a market value of $200 million, and B has a market value of $120 million. Merging the two would allow cost savings (or synergies) with a present value of $30 million. Firm A purchases B for $130 million. How much do firm A's shareholders gain from this merger?
a. $0
b. $30 million 
c. $10 million 
d. $20 million
e. $40 million

Answers

We can find out the amount that firm A's shareholders gain from this merger using the formula:

Firm A's shareholders gain = Purchase price - (Market value of A + Market value of B - Present value of synergies).

Given data:

Firm A's market value = $200 million Firm B's market value = $120 million .

Synergies = $30 million Purchase price = $130 million.

Substituting the values in the formula, we get:

Firm A's shareholders gain = $130 million - ($200 million + $120 million - $30 million).

Firm A's shareholders gain = $130 million - $310 million + $30 .

A's shareholders gain = -$150 million.

Therefore, the answer is option A. $0.

Firm A's shareholders do not gain anything from this merger.

Instead, they lose $150 million.

To know more about shareholders visit:

https://brainly.com/question/32134220

#SPJ11

Piaso Enetgy is an of and gas exploration and development company located in Faemington, Nere Mewis. The compary ariss ahalow wels in hopes of a. What is the peyback period for aach of the two project? contider that is important in delermining the value croation potent al of these two propicts? d. What is your estmate of the value trat will be creaked loe Plato by the acceptance of each of these two investments? a. Given the cash fow information in the tatile, the payback period of the Bamett Shale project is tructure. bayback 3. What is the payback period for each of the two projects?? consider that is important in desermiring the value creation potential of these two projects? d. What is your estimate of the value that will bo created foe Plato by the acceptance of each α these two imestrnents? a. Given the cash flow information in the table, the payback peried of the Barnett Snale projoct is yoars. (Pround to two decimal places.)

Answers

The payback period for each of the two projects is not provided in the question.

The question mentions Piaso Energy, an oil and gas exploration and development company, and their investment in shale wells. However, the specific payback period for each project is not given in the question. The payback period is a financial metric that measures the time required to recoup the initial investment.

Without the payback period information or the cash flow table, it is not possible to calculate or provide an estimate for the payback period or the value-creation potential of the projects. Additional data is needed to answer these questions accurately.

For more questions like Company click the link below:

https://brainly.com/question/30532251

#SPJ11

Using a probability/impact matrix or any other
model, explain how an organization might manage potential
risks in projects.(support with relevant examples)

Answers

One effective approach for managing potential risks in projects is by utilizing a probability/impact matrix, also known as a risk matrix. This tool helps organizations assess and prioritize risks based on their probability of occurrence and potential impact on the project.

The matrix typically consists of a grid with probability levels (ranging from low to high) on one axis and impact levels (ranging from low to high) on the other axis. Each risk is then plotted on the matrix based on its assessed probability and impact, allowing for a visual representation of risk severity. Once risks are plotted on the matrix, organizations can prioritize them accordingly. High probability and high impact risks would be considered the most critical and require immediate attention. Mitigation strategies, such as risk avoidance, risk transfer, risk reduction, or risk acceptance, can be developed and implemented based on the identified risk levels.

For example, let's consider a software development project. One potential risk could be the unavailability of key team members during crucial development phases. If this risk has a high probability and high impact, the organization could mitigate it by cross-training team members, maintaining clear communication channels, and having backup resources in place.

By using a probability/impact matrix, organizations can proactively identify, assess, and prioritize risks, enabling them to allocate resources and develop appropriate mitigation strategies, thus enhancing project success and minimizing potential negative impacts

Learn more about Mitigation strategies here:

https://brainly.com/question/29717875

#SPJ11

4. How does the article differentiate technology
entrepreneurship from other entrepreneurship types?

Answers

Differentiating technology entrepreneurship from other types of entrepreneurship involves understanding the unique characteristics and aspects related to technology-based ventures. Here are some ways in which technology entrepreneurship can be differentiated:

1. Technological Innovation: Technology entrepreneurship emphasizes the creation, development, and commercialization of innovative technologies. It involves leveraging scientific knowledge and technical expertise to create new products, services, or processes that bring significant advancements or disruptions to the market.

2. High Technological Content: Technology entrepreneurship often involves ventures with a high degree of technological complexity. It requires expertise in specialized fields such as engineering, computer science, biotechnology, or information technology. The focus is on leveraging technology to provide unique value propositions and competitive advantages.

3. Intellectual Property: Technology-based ventures frequently deal with intellectual property (IP) rights, patents, copyrights, and trade secrets. Protecting and managing IP assets is crucial for technology entrepreneurship to ensure a competitive edge and safeguard innovations from being copied or exploited by others.

4. Rapid Technological Change: Technology entrepreneurship operates in an environment characterized by rapid technological advancements and evolving market dynamics. It requires entrepreneurs to stay updated with emerging trends, embrace continuous learning, and adapt quickly to changing circumstances.

5. High-Risk, High-Reward: Technology ventures often entail a higher level of risk due to the uncertainty associated with technology development, market acceptance, and regulatory challenges. However, successful technology entrepreneurship can yield substantial rewards, including significant market share, competitive advantages, and financial returns.

6. Collaboration and Partnerships: Technology entrepreneurs often collaborate with various stakeholders, including research institutions, universities, investors, industry experts, and strategic partners. Building partnerships and alliances is essential to access resources, knowledge, funding, and market networks necessary for technology development and commercialization.

Overall, technology entrepreneurship is distinguished by its focus on technological innovation, the complex nature of technology-based ventures, the importance of intellectual property, rapid technological change, high-risk/high-reward dynamics, and the need for collaboration and partnerships. These characteristics set it apart from other forms of entrepreneurship that may not have the same technological emphasis or unique challenges associated with technology-driven ventures.

Learn more about Entrepreneurship here,

https://brainly.com/question/29978330

#SPJ11

Given the following yield curve data:

Maturity (Years) Spot Rates
1 0i1 = 4.14% p.a.
2 0i2 = 5.29% p.a.
3 0i3 = 5.80% p.a.
4 0i4 = 6.25% p.a.
The 1-year implicit forward rate, 1 year out:
(Choose the most accurate option)

a.=5.29% p.a.
b.>5.29% p.a.
c.=4.14% p.a.
d.=4.71 p.a.
e.between 4.14% p.a. and 5.29% p.a.

Answers

The most accurate option is e) Between 4.14% p.a. and 5.29% p.a., as the calculated 1-year implicit forward rate of 1.1006% falls within this range.

To calculate the 1-year implicit forward rate, 1 year out, we can use the formula:

1 + 0i2 = (1 + 0i1) * (1 + 1f1)

Where:

0i1 = Spot rate for 1 year = 4.14% p.a.

0i2 = Spot rate for 2 years = 5.29% p.a.

1f1 = 1-year implicit forward rate, 1 year out (what we need to find)

Rearranging the formula, we have:

1f1 = ((1 + 0i2) / (1 + 0i1)) - 1

Substituting the given spot rates:

1f1 = ((1 + 5.29%) / (1 + 4.14%)) - 1

Calculating this, we find:

1f1 ≈ 0.011006 or 1.1006%

Comparing this to the given options:

a. 5.29% p.a.: The calculated 1-year implicit forward rate is lower than this option.

b. >5.29% p.a.: The calculated 1-year implicit forward rate is lower than this option.

c. 4.14% p.a.: The calculated 1-year implicit forward rate is higher than this option.

d. 4.71% p.a.: The calculated 1-year implicit forward rate is higher than this option.

e. Between 4.14% p.a. and 5.29% p.a.: The calculated 1-year implicit forward rate falls within this range.

Therefore, the most accurate option is e) Between 4.14% p.a. and 5.29% p.a., as the calculated 1-year implicit forward rate of 1.1006% falls within this range.

Learn more about forward rate here:

https://brainly.com/question/32763371

#SPJ11

Suppose that the monopolist can produce a good with total cost \( T C=24 Q \). Assume also that he monopolist sells its goods in two different markets separated by some distance. The demand curves in
"

Answers

The monopolist can produce a good with total cost TC=24Q , also he sells its goods in two different markets separated by some distance. The demand curves in the two markets are:


Market 1: P1 = 18 - Q1
Market 2: P2 = 15 - 2Q2
Using the profit-maximization rule of MR = MC, we have:
MR = MC
dTR / dQ - dTC / dQ = 0
d/dQ (P(Q) Q) - d/dQ (TC) = 0
P + dP/dQ Q - 24 = 0
Then, we have the following price and quantity combinations for the monopolist:
Market 1: P1 = 12 and Q1 = 6
Market 2: P2 = 9 and Q2 = 3/2
The monopolist can produce goods at a total cost of TC=24Q  and sells goods in two different markets. The demand curve is the graph that shows the amount of goods that people are willing to buy at different prices. The demand curve in the two markets is P1 = 18 - Q1 and P2 = 15 - 2Q2.
The monopolist's profit can be calculated by subtracting total costs from total revenue, which is given by P(Q) Q. In order to find the optimal price and quantity, the monopolist uses the profit-maximization rule of MR = MC, which states that the marginal revenue (MR) is equal to the marginal cost (MC) at the profit-maximizing level of output.
Once we obtain the values of Q1, P1, Q2, and P2, we can calculate the monopolist's total profit by adding the profits earned in the two markets. In this case, the monopolist's total profit would be (12*6 - 24*6) + (9*3/2 - 24*3/2) = 9.

The monopolist can maximize their profit by producing goods at the lowest cost and charging the highest price possible. The monopolist sells goods in two different markets, where the demand curves in each market are P1 = 18 - Q1 and P2 = 15 - 2Q2. The optimal price and quantity can be determined using the profit-maximization rule of MR = MC, which states that the marginal revenue (MR) is equal to the marginal cost (MC) at the profit-maximizing level of output. Finally, the monopolist can calculate its total profit by adding the profits earned in the two markets.

To know more about demand curves visit:

brainly.com/question/13131242

#SPJ11

I am choosing Amazon.com for this
course project paper is now due.
Your paper should include the following:
-A brief description of the organization and industry they selected
-At least four key concepts relevant to Operations Management in your organization
-An explanation of how these elements directly relate to Operations Management
-An analysis of how these concepts work together to resolve business problems
-An analysis of how these (4) concepts reflect effective management and efficiency
-An evaluation of operations concerns in global markets
-An evaluation of corporate social responsibility issues with regards to quality and industry standards.
Your paper must 4-5 pages long besides a cover page and a reference page. It should demonstrate a strong thesis statement supported by research from at least 3 scholarly sources. Both a references page and in text citations must be in APA format. it should be at least 2500 words

Answers

For this course project, I have chosen Amazon.com as the organization to analyze. The paper will provide a brief description of the organization and its industry, explore key concepts in Operations Management relevant to Amazon, explain their direct relation to Operations Management, analyze how these concepts work together to resolve business problems, evaluate operations concerns in global markets, and assess corporate social responsibility issues regarding quality and industry standards. The paper will adhere to APA format, including a strong thesis statement supported by research from at least three scholarly sources, and will be approximately 4-5 pages long, totaling a minimum of 2500 words.

Amazon.com is one of the world's largest e-commerce and cloud computing companies, operating in the retail and technology industries. It has a vast supply chain and logistics network, making it an ideal organization to study within the context of Operations Management.

The four key concepts relevant to Operations Management in Amazon could include inventory management, order fulfillment, supply chain optimization, and quality control. These concepts directly impact the company's ability to efficiently manage its inventory levels, fulfill customer orders in a timely manner, optimize the flow of goods and services across its supply chain, and ensure product quality and customer satisfaction.

These concepts work together synergistically to resolve various business problems. For example, effective inventory management helps Amazon avoid stockouts or overstocking, enabling smooth order fulfillment and minimizing costs. Supply chain optimization allows for streamlined logistics and faster delivery times. Quality control ensures that products meet customer expectations, reducing returns and enhancing brand reputation.

By effectively implementing these concepts, Amazon demonstrates effective management and efficiency. Its emphasis on automation, advanced technologies, and data-driven decision-making enables the company to continuously improve operational processes and achieve high levels of productivity and customer service. This results in reduced costs, increased operational efficiency, and competitive advantage in the market.

When operating in global markets, Amazon faces various operations concerns, such as managing cross-border logistics, dealing with diverse regulatory frameworks, and adapting to cultural differences. Additionally, as a responsible corporate entity, Amazon needs to address corporate social responsibility issues related to product quality, sustainability, ethical sourcing, and fair labor practices.

In conclusion, analyzing Amazon.com through the lens of Operations Management provides valuable insights into how the organization effectively manages its operations, resolves business problems, addresses global market challenges, and upholds corporate social responsibility. The research-based paper will delve into these aspects while adhering to APA format guidelines.

Learn more about Course project,

brainly.com/question/24280271

#SPJ11

Tangerine Inc., a computer manufacturing compary, makes all computer components in-house. It can be said that: Tangerine is likely to reduce its fixed costs. Tangerine is likely to achieve economies of scale. Tangerine is likely to have more control over production time frames and deliveries: Tangerine is likely to develop production expertise with minimum time and effort.

Answers

Tangerine Inc., a computer manufacturing company, is likely to achieve economies of scale and have more control over production time frames and deliveries by making all computer components in-house.

By producing all computer components in-house, Tangerine Inc. is likely to achieve economies of scale. Economies of scale refer to the cost advantages that a company can gain by increasing its production and achieving higher levels of output. By manufacturing components in-house, Tangerine can take advantage of bulk purchasing, efficient production processes, and reduced reliance on external suppliers, leading to potential cost savings and lower fixed costs.

Additionally, by having control over the entire production process, Tangerine is likely to have more control over production time frames and deliveries. This allows the company to streamline its operations, align production schedules, and optimize the supply chain. With in-house production capabilities, Tangerine can adjust production volumes and timelines based on demand fluctuations, ensuring timely deliveries to customers.

Furthermore, by developing production expertise in-house, Tangerine can gain valuable knowledge and experience in computer component manufacturing. This expertise can lead to improved product quality, increased efficiency, and potentially reduced costs over time. By investing in their production capabilities, Tangerine can develop a competitive advantage and differentiate themselves in the computer manufacturing industry.

Overall, making all computer components in-house offers Tangerine Inc. the potential to achieve economies of scale, gain control over production time frames and deliveries, and develop production expertise, leading to various benefits for the company.

Learn more about economies of scale

https://brainly.com/question/30389885

#SPJ11

TRUE/FALSE. Apple has built a very profitable company by developing the iPod, iPhone, and iPad.TRUE/FALSE. Marketers are able to determine accurately what is highly satisfying to brycrs, but they know that trying to understand consumier warnts and needs is the best Way to satisfy them.TRUE/FALSE. When managers speak of diverse workforces, they typically mean differences in skill and knowledge. TRUE/FALSE. Rewarding appropriate bchaviour tends to be more effective to modity behaviour in the long run than panishuments for unacceptable befikitoli

Answers

The answers to the given question are:TRUE. Apple has built a very profitable company by developing the iPod, iPhone, and iPad.TRUE. Marketers are able to determine accurately what is highly satisfying to buyers, but they know that trying to understand consumer wants and needs is the best way to satisfy them.

TRUE. When managers speak of diverse workforces, they typically mean differences in skill and knowledge.TRUE. Rewarding appropriate behavior tends to be more effective to modify behavior in the long run than punishments for unacceptable behavior.

Apple is an American multinational technology company that designs, develops, and sells consumer electronics, computer software, and online services. Apple has built a very profitable company by developing the iPod, iPhone, and iPad. Marketers are able to determine accurately what is highly satisfying to buyers, but they know that trying to understand consumer wants and needs is the best way to satisfy them.

Managers speak of diverse workforces typically mean differences in skill and knowledge. They try to improve the diversity of their workforce to help their business reach out to as many people as possible. They also want to have a skilled and knowledgeable workforce that is capable of handling the company's needs.

Rewarding appropriate behavior tends to be more effective to modify behavior in the long run than punishments for unacceptable behavior. Reinforcement can be positive or negative. Rewarding appropriate behavior tends to be more effective in modifying behavior in the long run than punishments for unacceptable behavior. Punishments may work for the short term, but the long-term effect of punishment may not always be effective.

Learn more about multinational technology company here ;

https://brainly.com/question/29798384

#SPJ11

Suppose purchasing power is measured in quantities of burgers. The current price of a burger is $10. You lend someone $100 for a year and set a nominal interest rate of 10% per year, because you expect the inflation rate over the next year to be 0%. The inflation rate turns out to be 20%. Compared to consuming $100 worth of burgers this year, a. you were expecting to get 1 extra burger from lending the money, but now you get 2 extra burgers. b. you were expecting to get 1 extra burger from lending the money, but now you get 1 less burger. c. you were expecting to get 2 extra burgers from lending the money, but now you get l extra burger. d. you were expecting to get 0 extra burgers from lending the money, but now you get 1 less burger.

Answers

The lender was expecting to get 1 extra burger from lending the money, but now he gets 1 less burger. Hence, option (b) is the correct answer.

Suppose the purchasing power is measured in quantities of burgers, and the current price of a burger is $10. You lend someone $100 for a year and set a nominal interest rate of 10% per year, expecting the inflation rate over the next year to be 0%. But the inflation rate turns out to be 20%.
The inflation-adjusted rate of return
= Nominal rate of return - Inflation rate
= 10% - 20%
= -10%.
Therefore, the lender has lost 10% of the purchasing power on the loaned amount of $100.Therefore, the borrower now pays $120 for the loaned amount, but the purchasing power has decreased to $90, which is equivalent to 9 burgers.
The borrower can buy 9 burgers with $90, whereas the lender could have bought 10 burgers if he had consumed $100 worth of burgers in the current year.
Now, we can conclude that the lender was expecting to get 1 extra burger from lending the money, but now he gets 1 less burger. Hence, option (b) is the correct answer.

To learn more about lender
https://brainly.com/question/30453572
#SPJ11

Exercise 7-33 (Static) Prorate Under- or Overapplied Overhead (LO 7-3) Antoine Machining estimated its manufacturing overhead to be $279,000 and its direct materials costs to be $450,000 in Year 1 . Three of the jobs that Antoine Machining worked on in Year 1 had actual direct materials costs of $15,000 for Job AM002, $55,000 for Job AM005, and $70,000 for Job AM008. For Year 1, actual manufacturing overhead was $313,000 and total direct materials cost was $540,000. Manufacturing overhead is applied to jobs on the basis of direct materials costs using predetermined rates. Overhead applied in each of the inventory accounts is as follows: Required: Prepare an entry to allocate the under- or overapplied overhead. Note: If no entry is required for a transaction/event, select "No journal entry required" in the first account field.

Answers

Entry reduces the overapplied overhead and adjusts the Cost of Goods Sold to reflect the actual overhead costs incurred.

To allocate the under- or overapplied overhead, we need to compare the actual manufacturing overhead with the applied overhead. In this case, the actual manufacturing overhead was $313,000, while the estimated manufacturing overhead was $279,000. This results in an overapplied overhead of $34,000 ($313,000 - $279,000).

To allocate this overapplied overhead, we will debit the Cost of Goods Sold account and credit the Manufacturing Overhead account. The journal entry would be as follows:

Date Account Debit Credit

Year 1 Cost of Goods Sold $34,000

Year 1 Manufacturing Overhead $34,000

This entry reduces the overapplied overhead and adjusts the Cost of Goods Sold to reflect the actual overhead costs incurred.

If the manufacturing overhead was underapplied instead of overapplied, the journal entry would be the reverse, with a credit to Cost of Goods Sold and a debit to Manufacturing Overhead.

Learn more about Cost of Goods .

https://brainly.com/question/32095383

#SPJ11


QUESTIONS ARE BELOW. THANK YOU!

Discuss what the following statement means: ‘It can take years
for a buyer/seller partnership to begin delivering results.’ Why
does it take years?
Discuss the adv
Lennox realized it needed to reduce the number of steel suppliers it used and locate a supplier with a common desire to enter into a longer-term alliance. Lennox's organizational goals were to leverag

Answers

The statement, "It can take years for a buyer/seller partnership to begin delivering results" implies that forming a strong, lasting relationship between a buyer and seller is often a time-consuming process that requires patience, effort, and investment.

Reasons why it takes years for buyer/seller partnership to begin delivering results.

Trust: Trust is essential in any long-term business relationship. It's not something that can be established overnight, particularly when you're dealing with a new vendor or client. Trust is built gradually over time, and it takes years for a buyer and seller to get to know each other well enough to trust each other.Communication: Excellent communication is vital to the success of any buyer/seller partnership. It takes time to establish excellent communication between the two parties. It will take several years to build a relationship of mutual trust and open communication.Accountability: Accountability is an essential element of any long-term buyer/seller partnership. Accountability ensures that both sides are held accountable for their performance, including delivering high-quality goods and services on time and within budget. It will take several years to establish accountability between the buyer and seller.

Benefits of a buyer/seller partnership:

Reduces the cost of procurementImproves supplier quality.Increases the efficiency of procurement processesBoosts customer satisfactionImproves risk managementEnhances the organization's reputation.

Learn more about partnership

https://brainly.com/question/28696887

#SPJ11

If an increase of $10 billion of investment results in an increase in equilibrium expenditure of $40 billion, the expenditure multiplier equals A. $10 billion ×$40 billion =$400 billion. B. $40 billion −$10 billion =$30 billion. C. $40 billion +$10 billion =4. D. $10 billion −$40 billion =−$30 billion. E. $10 billion +$40 billion =0.25.

Answers

The expenditure multiplier measures the change in equilibrium expenditure resulting from a change in investment. It is calculated by dividing the change in equilibrium expenditure by the change in investment.

In this case, we are given that an increase of $10 billion in investment leads to an increase in equilibrium expenditure of $40 billion. To calculate the expenditure multiplier, we divide the change in equilibrium expenditure ($40 billion) by the change in investment ($10 billion). Therefore, the expenditure multiplier equals $40 billion divided by $10 billion, which is equal to 4.

So, the correct answer is C. $40 billion +$10 billion =4. This means that for every $1 increase in investment, there will be a $4 increase in equilibrium expenditure.

Read more about investment here;https://brainly.com/question/29547577

#SPJ11

WBS HOMEWORK

Scenario: Your company – Life17 has been acquired by your competitor HealthLabs. Your job is to Manage the project to move from your current office, into the acquiring company’s office. A new floor has been dedicated for your existing team, in the new office.


Requirements

1.All staff must be moved on same day
2.Seats need to be pre-assigned and pre-communicated on the new floor, in the new office
3.New Laptops need to be provided to team members
4.Technology and facilities in the old office must be Decommissioned
5.Training and walk through of new office must be done, for moving staff, for health & safety compliance
6.Staff need to be informed of what to expect before, and during the move
7.Internet & power out of scope, because they already exist

Answers

Manage the project to move Life17's team to HealthLabs' office, including seat assignment, laptop provision, decommissioning old office, training, staff communication, while excluding internet and power setup.

Work Breakdown Structure (WBS) for the project to move from Life17's current office to HealthLabs' office:

Project Planning and Preparation

1.1 Define project objectives and scope

1.2 Identify key stakeholders and their roles

1.3 Establish project timeline and milestones

1.4 Allocate project resources

Communication and Change Management

2.1 Inform staff about the acquisition and relocation plan

2.2 Conduct regular communication updates regarding the move

2.3 Address staff concerns and provide support during the transition

Seat Assignment and Communication

3.1 Assess seating requirements and capacity on the new floor

3.2 Create seating plan and assign seats to staff members

3.3 Communicate seat assignments to staff members in advance

Laptop Provisioning

4.1 Assess laptop requirements for team members

4.2 Procure new laptops based on the identified needs

4.3 Configure and set up laptops with necessary software and security measures

4.4 Distribute new laptops to team members before the move

Decommissioning of Technology and Facilities

5.1 Identify technology and facilities to be decommissioned in the old office

5.2 Plan and execute the removal and disposal of equipment

5.3 Ensure data security during equipment disposal

Training and Walkthrough

6.1 Develop a training plan for staff regarding the new office layout, safety procedures, and amenities

6.2 Conduct training sessions and walkthroughs for staff members

6.3 Address questions and concerns raised during training

Staff Communication and Expectations

7.1 Provide detailed information to staff members regarding the move timeline and logistics

7.2 Communicate expectations and guidelines for the moving process

7.3 Ensure staff members are aware of their responsibilities and any necessary preparations

Quality Assurance and Closeout

8.1 Perform quality checks on seat assignments, laptop provisioning, and training effectiveness

8.2 Address any issues or concerns identified during the move

8.3 Conduct post-move evaluation and gather feedback from staff members

8.4 Complete project documentation and finalize project closure

Learn more about communication here:

https://brainly.com/question/31380056

#SPJ4









Do you think there is a need for NCAA's Form 05-3a? Why or why not?
Besides giving college athletes partial scholarships or paying them as employees, what are some other alternative ways to operate s

Answers

NCAA's Form 05-3a is an essential form for the National Collegiate Athletic Association (NCAA). The form is necessary for the schools to submit student-athlete eligibility details to the NCAA.

The form contains several student-athlete details, such as personal information, academic information, and amateurism. It is needed to ensure that all student-athletes are eligible to compete in NCAA events.

Yes, there is a need for the NCAA's Form 05-3a. It ensures that all student-athletes are eligible to compete in NCAA events. With thousands of athletes participating in collegiate athletics, the form plays a crucial role in keeping the games fair and professional.

By filling out the form, schools must attest that the student-athletes are eligible based on the rules and regulations of the NCAA. Additionally, the form plays a vital role in determining if student-athletes can receive scholarships or financial assistance for competing in college athletics.

Besides giving college athletes partial scholarships or paying them as employees, there are several alternative ways to operate sports in colleges. The first alternative is to give student-athletes better health care services. This includes comprehensive medical care and insurance.

It is a great alternative that would show a college's commitment to its student-athletes' welfare. Secondly, they could give them a better education. This includes having a budget for academic support and having counseling available. Lastly, colleges could give student-athletes more control over their images.

This alternative would involve allowing them to make money from endorsements and allowing them to control their social media pages.

In conclusion, NCAA's Form 05-3a plays a vital role in keeping college sports fair and professional. Besides that, colleges can consider the alternatives mentioned to ensure student-athletes get the best experience possible while also maintaining fairness in the sport.

To know more about Collegiate visit:

https://brainly.com/question/16100911

#SPJ11

a perpetual inventory system will always give updated balances for

Answers

A perpetual inventory system continuously monitors and updates inventory balances in real-time, providing businesses with accurate and up-to-date information about their inventory levels.

With a perpetual inventory system, every inventory-related transaction, such as purchases, sales, returns, and adjustments, is immediately recorded in the system. This allows businesses to have a real-time view of their inventory levels, cost of goods sold, and gross margin. The system provides accurate and timely information that can be used to make informed decisions regarding inventory management, purchasing, and sales strategies.

The advantages of a perpetual inventory system include:

1. Accurate inventory records: The system ensures that the inventory records are always up-to-date and reflect the actual quantities of items on hand.

2. Real-time visibility: Businesses can easily access current inventory levels, allowing them to respond quickly to customer demands, prevent stockouts, and avoid overstocking.

3. Cost control: By having accurate cost of goods sold information, businesses can analyze their profitability, identify cost-saving opportunities, and make pricing decisions based on actual costs.

4. Improved decision-making: Real-time inventory data enables businesses to make informed decisions about purchasing, production, and sales, optimizing their inventory levels and reducing carrying costs.

5. Identification of obsolete or slow-moving items: With accurate inventory information, businesses can identify items that are not selling well or becoming obsolete, enabling them to take necessary actions such as discounts or liquidation.

In summary, a perpetual inventory system provides businesses with a continuous and accurate view of their inventory, allowing them to make informed decisions, optimize their inventory levels, and enhance overall operational efficiency.

Know more about perpetual inventory system  

https://brainly.com/question/30766404

#SPJ11

Loan payments of $1,950 due 92 days ago and $4,150 due today are scheduled to be repaid with a payment of $4,380 in 34 days and the balance in 126 days. If money earns 6% p.a. simple interest, what is the size of the final payment? Use 126 days from today as the focal date.

Answers

Two loan payments of $1,950 and $4,150 were due 92 days ago and today, respectively. The size of the final payment is approximately $4,158.22.


To calculate the size of the final payment, we need to consider the interest accrued on the outstanding balance of the loan. The interest is calculated using simple interest formula:

Interest = Principal * Rate * Time

Given that the interest rate is 6% per year, we can convert it to a daily rate by dividing it by 365:

Daily Rate = 6% / 365 = 0.0164%

First, let's calculate the interest accrued on the remaining balance from the payment due today to the focal date, which is 126 days from today:

Interest = $4,150 * 0.0164% * 126 = $8.2214

Now, we can calculate the total amount to be repaid at the focal date by adding the remaining balance and the interest accrued:

Total Payment = Remaining Balance + Interest

             = $4,150 + $8.2214

             = $4,158.2214

Therefore, the size of the final payment is approximately $4,158.22.

Learn more about loan here:
https://brainly.com/question/31292605

#SPJ11









Reynolds Manufacturers Inc, has estimated total factory overhead costs of \( \$ 84,000 \) and expected direct labor hours of 10,500 for the current fiscal year. If job number 117 incurs 1,840 direct l

Answers

Work in Process will be debited for $14,720 and Factory Overhead will be credited for $14,720. The Option A.

What is the amount to be debited to Work in Process and credited to Factory Overhead if job number 117 incurs 1,840 direct labor hours?

Factory overhead rate per direct labor hour:

Total factory overhead costs / Expected direct labor hours

= $84,000 / 10,500

= $8

Amount to be debited to Work in Process:

= Direct labor hours for job number 117 * Factory overhead rate per direct labor hour

= 1,840 * $8

= $14,720

Amount to be credited to Factory Overhead:

= Amount debited to Work in Process

= $14,720.

Full question:

Reynolds Manufacturers Inc, has estimated total factory overhead costs of $84,000 and expected direct labor hours of 10,500 for the current fiscal year. If job number 117 incurs 1,840 direct labor hours, Work in Process will be debited and Factory Overhead will be credited for a. $14,720 b. $1,840 c. $84,000 d. $42,000.

Read more about WIP

brainly.com/question/14756495

#SPJ1

When Coca-Cola gives away samples of a new drink before introducing it to supermarkets, it uses: Multiple Choice
a. a push strategy
b. a pull strategy.
c. a publicity campaign.
d. a point-of-purchase promotion.
f. both push and pull strateaies.

The Bay has found that its largest market segment in Canada is: Multiple Choice
a. men
b. women
c. business professionals
d. golfers
e. students

Answers

When Coca-Cola gives away samples of a new drink before introducing it to supermarkets, it uses the Pull strategy. This is a promotional strategy in which a company uses advertising, publicity, and word of mouth to attract customers to a product.

The main aim of this strategy is to make the customer demand the product and therefore increase the demand from retailers. An example of this is free samples given out to consumers to try a new product before it is released to the market.

Therefore, option b) a pull strategy is correct. Regarding the second question, the answer is a bit difficult as it is subjective.

However, the market segment that The Bay found to be the largest in Canada is probably Women. Women's wear and accessories have a wider range and are the most purchased items in any retail store. Therefore, option b) Women is correct.

Learn more about promotional strategy here ;

https://brainly.com/question/32179808

#SPJ11

Stairwell Limited acquired 100% of the share capital of Bannister Limited for $237 500. Bannister had total shareholder's equity of $200 000. The book values of Bannister Limited's assets were: buildings $100 000, machinery $120 000. The fair values of these assets were: buildings $120 000, machinery $125 000. The tax rate is 30%. The acquisition analysis will determine:
a goodwill of $37 500.
a goodwill of $20 000.
a gain on bargain purchase of $37 500.
a gain on bargain purchase of $12 500

Answers

The acquisition analysis of Bannister Limited by Stairwell Limited will result in a goodwill of $37,500.

Goodwill is the amount that exceeds the fair value of the identifiable net assets acquired in a business combination. In this case, Stairwell Limited acquired Bannister Limited for $237,500, while Bannister's total shareholder's equity was $200,000. The excess of the acquisition cost over the total shareholder's equity represents the goodwill.

The book values of Bannister Limited's assets were $220,000 ($100,000 for buildings + $120,000 for machinery). However, the fair values of these assets were higher, with the buildings valued at $120,000 and the machinery valued at $125,000. The difference between the fair values and the book values of the assets does not affect the calculation of goodwill.

To determine the goodwill, we subtract the total shareholder's equity of $200,000 from the acquisition cost of $237,500. Therefore, the goodwill in this acquisition is $37,500.

Therefore, the correct answer is that the acquisition analysis will determine a goodwill of $37,500.

Learn more about acquisition analysis here:

https://brainly.com/question/32966232

#SPJ11

Company A has earnings per share of $1.98 and a P/E ratio of
14.65. What is the price of the company's stock?
A) $13.52
B) $29.01
C) $7.40
D) $92.01

Answers

The price of the company's stock can be found by multiplying the P/E ratio and the company's earnings per share as follows: Price of the company's stock = P/E ratio x earnings per share According to the given information, the earnings per share of Company A is 1.98 and its P/E ratio is 14.65.

Therefore, the price of the company's stock can be calculated as follows:Price of the company's stock = 14.65 x 1.98 Price of the company's stock = 29.01 Therefore, the correct option is B) 29.01. we can add the following:Price-to-earnings (P/E) ratio is an investment ratio that is used to calculate the relationship between the price of a company's stock and its earnings per share. This ratio indicates how much investors are willing to pay for each dollar of earnings generated by the company.

The formula for P/E ratio is as follows:P/E ratio = Price of stock / Earnings per share In the given question, the P/E ratio of Company A is given as 14.65 and its earnings per share is given as 1.98. Therefore, by using the formula of P/E ratio, we can calculate the price of the company's stock as follows:Price of stock = P/E ratio x Earnings per share Price of stock = 14.65 x 1.98 Price of stock = 29.01 Therefore, the price of the company's stock is 29.01.

To know more about company's stock visit :

https://brainly.com/question/29757308

#SPJ11

it is important for the activity list and activity attributes to be in agreement with the work breakdown structure.
True/False

Answers

True. It is important for the activity list and activity attributes to be in agreement with the work breakdown structure. The Activity list and activity attributes play an essential role in defining the tasks that are to be carried out during project execution.

It contains the description of the work to be performed, and it forms the basis of project execution and monitoring. The work breakdown structure (WBS), on the other hand, defines the work of the project and decomposes the project into smaller parts that are easier to manage.

To ensure that the project execution runs smoothly, the activity list and activity attributes must be consistent with the Work Breakdown Structure (WBS).

To know more about work breakdown structure visit:-

https://brainly.com/question/30455319

#SPJ11




15. Anether supply and demand purzle The market price of hamburgers in a cellege town increarsed recently, and the students in ant econemich classi are debating the cause of the price attribule the in

Answers

Students in an economics class are debating the cause of the price increase of hamburgers in a college town. The answer to this supply and demand puzzle is that when there is an increase in demand for a product, the price of that product increases as well.

In this scenario, the demand for hamburgers in the college town has increased, leading to a shortage of hamburgers in the market. The shortage has resulted in an increase in the price of hamburgers, as suppliers attempt to maximize profits. There are a few reasons why the demand for hamburgers may have increased in the college town. It could be due to an increase in the number of students in the college town, an increase in the number of tourists visiting the town, or a change in consumer preferences towards hamburgers. To solve this supply and demand puzzle, it is important to understand that when the demand for a product increases, the price of the product increases as well. This is because suppliers are motivated to maximize their profits by raising the price of the product to meet the increased demand.

As a result, consumers may need to pay more for the product, leading to a shortage of the product in the market.\When there is a shortage of a product in the market, suppliers may attempt to increase the supply of the product to meet the demand. However, increasing the supply of the product may take time, and in the short term, the price of the product may remain high. As a result, consumers may need to pay more for the product until the supply of the product can catch up with the demand. To summarize, the main answer to this supply and demand puzzle is that an increase in demand for hamburgers in a college town has led to a shortage of hamburgers in the market and an increase in the price of hamburgers.

To know more about product visit:

https://brainly.com/question/31781517

#SPJ11

Other Questions
Use the Rational Zeros Theorem to list all possible zero(s) of the function f(x)=5 x^{3}-5 x^{2}+2 x+3 . Enter the possible zeros separated by commas. You do not need to factor the polynomial Briefly explain TWO (2) importance of selectionprocess in an organization with an appropriate example each. You have 20 percent market share of an industry that sells 1,000 total units each year. You know that each unit contributes $2,000 to profits. If your fixed costs amount to $250,000, what is your profit or loss for the year?(place your answer in the space below with no $ sign) what does secondary succession have that primary succession lack? When an estate in land is called a "life estate", the duration of the rights to the estate are based on the lifetime of: A. the grantee B. the grantor C. the person whose lifetime is described on the deed, whether or not that person is the grantee of the estate Many western countries are experiencing a lower birth rate in recent years. If nothing else has changed what is a consequence of this decrease in population growth according to the Solow model? Select one answer: a. A higher saving rate. b. A lower saving rate. c. Lower investments at the steady state. d. Higher investments at the steady state. ian's+house+and+land+have+a+market+price+of+$225,000+and+an+assessed+value+of+55%+of+that+amount.+his+state+has+a+property+tax+rate+of+0.088.+how+much+does+ian+pay+in+property+tax+every+year? The following model is being considered to analyse the effects of education and work experience on hourly wage rate.wage = 1 + 2educ + 3exper + 4D + u where wage = hourly wage rate ($), educ = education level (years), exper = work experience (years), and D = 1 if the worker is a union member, and D = 0 if not. Select all cases that violate any of the Gauss-Markov Assumptions. Select one or more: a. Use the log of wage, instead of wage, as the dependent variable. b. For some persons in the sample, exper = 0, that is, their work experience is less than one year. c. Education and experience are strongly correlated, with the correlation coefficient between the two variables being 0.9. d. The square of exper is added to the above model as an additional explanatory variable. e. The variance of u is different between members and those who are not union members. f. The square of D is added to the above model as an additional explanatory variable. g. The random error term, u, does not follow a normal distribution. h. The random error term, u, includes innate ability that affects both a persons wage and education. i. Every person in the sample is a union member. j. A dummy for non-union workers, that is defined as M = 1 if the worker is not a union member and M = 0 if he/she is a union member, is added to the above model as an additional explanatory variable. k. The expected value of u is not affected by educ and exper. QUESTION 2 Answer the questions from the information provided. 2.1 Calculate the value of closing inventory as at 31 August 2021 and cost of sales for August 2021 using the following methods of invent Discussion Light #14 Put everybody in the company to work to accomplish the transformation. The transformation is everybody's job.14. Put everybody in the company to work to accomplish the transformation. The transformation is everybody's job.When everyone in the organization is working towards the same goal, the organization will succeed. But what happens when there is an angry or frustrated employee who wants to injure the organization? Have you ever seen an angry employee like this? 50 words on your experiences. Give examples. a potential limitation of the family systems model is that You have a volume of oil that you weigh on an electronic balance. The smallest scale on the balance is0.1 grams, and the manufacturers specifications indicate that the "accuracy" of the balance is "1%reading + 2 digits". A 100 ml measuring cylinder is used to measure the volume of the oil. Themeasuring cylinder has a scale divided into 1 ml ranges, and the manufacturer has written "Tolerance= 1ml". The volume measured is 55.0 ml and the mass is 49.0 grams. Show all your working and explanation.What is the uncertainty in the mass of the oil? how do geologists use different crystal shapes to classify minerals Apply inequality (1), Sec. 43 , to show that for all values of x in the interval 1x1, the functions* P n(x)= 1 0(x+i 1x 2cos) nd(n=0,1,2,) satisfy the inequality P n(x)1 THE IMPACT OF DIGITALIZATION ON OPERATIONS MANAGEMENT. ANSWERSHOULD FOCUS ON:a. QUALITY MANAGEMENTb. WASTE AND LEAN MANAGEMENT.c. PROJECT MANAGEMENT.d. INVENTORY MANAGEMENT AND CAPACITY PLANNING. Question 14 Which one of the following statements referring to the entrepreneurial characteristic of risk-taking is correct? Select one: a. Successful entrepreneurs lengthen the time between the conceptualisation of an idea and the availability of the product in order to limit the risk. b. Entrepreneurs investigate probable results before they take decisions. c. Successful entrepreneurs do not take any risks. d. The successful entrepreneur feels it necessary to take many chances. Question 15An internal locus of control indicates Select one: a. a person's need to be in charge of his/her own destiny b. that a person is attracted to a job that challenges their skills and problem-solving abilities c. a person's ability to create something new or original d. that a person believes that the outcome of an event is primarily out of his/her control Question 19 One of the reasons why entrepreneurs do what they do is that they have an internal locus of control. Which one of the following relates to the internal locus of control trait of the entrepreneur? Select one: a. Entrepreneurs often feel that it is necessary to take risks. b. There is a strong need to be in charge of his/her own destiny. c. Entrepreneurs have a strong need to be personally responsible for solving problems. d. Entrepreneurs want to create new things. Given 2 events A and B, and that P(A)=0.30,P(B)=0.45,P(AB)=0.60. Find the probability P(A n B). The Boy Scouts of America have a method for measuring the distance across a stream: 1. Locate an object on the far side of the stream; a rock, for example (A). 2. Push a stick into the ground directly across the stream from the rock (B). 3. Walk along the shore at a right angle to AB. Take any number of paces, for example 50. Mark that point with a stick (C). 4. Continue walking along the shore in the same direction for the same number of paces. (In this case, 50 more.) Mark this point with a stick (D). 5. Walk away from the stream at a right angle to BD. When you can sight a straight line directly over stick C to rock A, stop and mark your spot (E).6. Measure DE to find the width of the stream. Explain how this method works. Which options are correct about least squares (LS) method? More than one option may be correct. Choice of wrong options has penalty.a. Regression relationships are generally valid, for any range of datab. LS method results in an unbiased estimator of the slope and intercept in a simple linear regression modelc. A linear model developed with LS method is a good estimator, no matter the response (output) has a linear or nonlinear relationship with the predictor (input)d. LS method results in a linear model with the smallest sum of square errors for the input/output If interest rates in the US are raised because of a contractionary monetary policy from the Fed, which three of the following changes to our Balance of Payment would happen over time?a.demand for our merchandise exports would increase; Current Account would increaseb.dividend and interest would flow out of US over time; future Current Account would decreasec.demand for our merchandise exports would decrease; Current Account would decreased.demand for our financial securities would increase; Capital Account would increasee.dividend and interest would flow into US over time; future Current Account would increasef.demand for our financial securities would decrease; Capital Account would decrease