how
to write a feasabilty analysis conclusion about a small business
opening in a colllege town?

help needed on what to include and how to sound
professional

Answers

Answer 1

The feasibility analysis conclusion for a small business opening in a college town should provide a concise assessment of the business idea, its viability, and the potential for success.

What key points should be included in the feasibility analysis conclusion for a small business in a college town?

In the conclusion of a feasibility analysis for a small business opening in a college town, it is important to summarize the findings and present a professional assessment of the business's potential.

Begin by highlighting the key aspects of the analysis, such as market demand, competition, target audience, location, and financial feasibility.

Discuss the market demand by emphasizing the demand for products or services within the college town and the potential customer base, considering factors like student population, demographics, and consumer preferences.

Evaluate the competition and identify the business's unique value proposition and competitive advantage that will differentiate it from existing establishments.

Address the target audience by describing the specific demographics, needs, and preferences of the college community, highlighting how the business will cater to their requirements.

Consider the location's suitability, accessibility, and proximity to the target market, as well as any potential partnerships or collaborations with the college or local organizations.

Provide a financial assessment that includes projected revenues, expenses, and profitability.

Present a clear analysis of the start-up costs, ongoing operational expenses, pricing strategies, and revenue potential. Discuss the breakeven point and expected return on investment.

Conclude the feasibility analysis by summarizing the overall findings and expressing a professional opinion on the viability of the small business in the college town.

Provide a balanced view, highlighting the strengths and potential challenges, and address any mitigating strategies or contingency plans.

To sound professional, maintain a formal tone throughout the conclusion, using objective language and avoiding personal biases. Present the information in a clear, logical manner, ensuring that it is well-organized and easy to follow.

Use proper grammar, spelling, and punctuation to enhance the professionalism of the document.

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Related Questions


The liquidator proceeded to realise all of the company’s assets.
The loss on liquidation amounted
to $64 000 and, after paying sundry creditors, there was a cash
balance of $212 000 available for
distribution to the shareholders. (The constitution gives preference shareholders a prior claim to

return of capital, and other shareholders are to rank equally, based on the number of shares held.)

Required

Prepare a statement of the distribution to shareholders supported by a detailed explanation of the

apportionment of any cash among the various classes of shareholders.

Answers

The liquidator realized the assets of the company and the amount of loss on liquidation amounted to $64000.

After paying sundry creditors, there was a cash balance of $212000 available for distribution to the shareholders. The constitution grants preference shareholders a prior claim to return of capital, while other shareholders are to rank equally based on the number of shares held.

Preparation of a statement of distribution to shareholders: The statement of distribution to shareholders will be prepared, starting with the preference shareholders, as follows: Preference shareholders are entitled to return of capital, as stated in the constitution. $48,000 of the $64,000 loss will be distributed to preference shareholders. The remaining amount of loss ($16,000) and the remaining cash ($164,000) will be divided among ordinary shareholders.

Explanation of the apportionment of any cash among various classes of shareholders: For the preference shareholders, the cash available to them is calculated as follows: Return of capital = 48,000Therefore, preference shareholders will receive a return of capital of $48,000 each. There is no cash balance remaining after this. For the ordinary shareholders, the cash available to them is calculated as follows:

Cash available to ordinary shareholders = Cash - Return of capital to preference shareholders

Cash available to ordinary shareholders = $164,000 - $48,000Cash available to ordinary shareholders = $116,000This $116,000 will be shared equally among ordinary shareholders based on the number of shares they hold. The $16,000 of the loss will also be apportioned among the ordinary shareholders in the same way. Since the loss and cash are distributed equally, the apportionment will also be equal for each shareholder.

The liquidator proceeded to realize all of the company’s assets. The loss on liquidation amounted to $64 000 and, after paying sundry creditors, there was a cash balance of $212 000 available for distribution to the shareholders. (The constitution gives preference shareholders a prior claim to return of capital, and other shareholders are to rank equally, based on the number of shares held.) The statement of distribution to shareholders will be prepared, starting with the preference shareholders, as follows:
Preference shareholders are entitled to return of capital, as stated in the constitution. $48,000 of the $64,000 loss will be distributed to preference shareholders. The remaining amount of loss ($16,000) and the remaining cash ($164,000) will be divided among ordinary shareholders.

For the preference shareholders, the cash available to them is calculated as follows: Return of capital = 48,000. Therefore, preference shareholders will receive a return of capital of $48,000 each. There is no cash balance remaining after this.

For the ordinary shareholders, the cash available to them is calculated as follows: Cash available to ordinary shareholders = Cash - Return of capital to preference shareholders. Cash available to ordinary shareholders = $164,000 - $48,000. Cash available to ordinary shareholders = $116,000. This $116,000 will be shared equally among ordinary shareholders based on the number of shares they hold. The $16,000 of the loss will also be apportioned among the ordinary shareholders in the same way. Since the loss and cash are distributed equally, the apportionment will also be equal for each shareholder.

Therefore, the preference shareholders receive a total of $48,000, and ordinary shareholders receive $116,000. The apportionment is equal for each shareholder since both cash and loss are distributed equally.

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All of the following are examples of a technological variable in the societal environment EXCEPT​ ________.

A. new product

B. total industry spending for​ R&D

C. total government spending for​ R&D

D. patent protection

E. foreign trade regulation

Answers

In the societal environment, technological variables are important. They can include new product, total industry spending for R&D, total government spending for R&D, and patent protection. Foreign trade regulation is not a technological variable, but rather a political one.

Technological variables are one of the most important aspects of the societal environment. As we have learned in this question, some of the technological variables include new product, total industry spending for R&D, total government spending for R&D, and patent protection. Technological variables refer to a range of factors, including advances in technology, research and development, and innovation. These variables can significantly impact the business environment and the success of a business. For example, new technologies and inventions can disrupt traditional industries, making some businesses obsolete, while providing new opportunities for others. Research and development investments can help businesses improve their products and stay ahead of the competition. Patent protection provides businesses with legal protection against the unauthorized use of their intellectual property, giving them a competitive advantage in the marketplace. Technological variables are therefore a critical consideration for businesses, as they can directly impact a business's ability to succeed and remain profitable.

In conclusion, foreign trade regulation is not a technological variable, but rather a political one.

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In the course we discussed "communication competence". Define
the term and explain two of the characteristics of
competent communicators using specific workplace language/behaviour
examples.

Answers

Communication competence is defined as the ability to choose the right words and phrases, the right tone, the appropriate method of communication, the right audience, and the right purpose for any communication scenario in order to achieve effective and successful communication.

Competent communicators have a number of characteristics, two of which are outlined below with specific workplace examples. Active Listening - Competent communicators are active listeners. They are not just listening to the words, but also to the feelings behind the words. Active listening means that they pay attention to the speaker's verbal and non-verbal communication cues, ask questions, and provide feedback. For example, a competent team leader may listen actively to a team member who is expressing his or her concerns about a particular project and respond by asking questions to clarify the situation, paraphrasing what the team member has said to ensure understanding, and providing feedback in the form of suggestions or ideas.

Clarity - Competent communicators use clear language to convey their ideas, thoughts, and feelings. They avoid jargon and technical terms that may not be understood by their audience. They also use simple, concise sentences that are easy to understand. For example, a customer service representative may use clear language when explaining a product or service to a customer. The representative may avoid using technical terms and explain the features and benefits of the product in simple terms that the customer can easily understand.

In conclusion, communication competence requires the ability to listen actively and to communicate in a clear and concise manner. Effective communication can be a powerful tool in the workplace, improving morale, enhancing relationships, and increasing productivity.

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McCann Catching, Inc. has 2.00 million shares of stock
outstanding. The stock currently sells for $12.70 per share. The
firm’s debt is publicly traded and was recently quoted at 90.00% of
face value

Answers

The cost of equity for McCann Catching, Inc. is 12.64%, and the percentage of equity used by the firm is 93.75%.

To calculate the cost of equity, we can use the Capital Asset Pricing Model (CAPM) formula:

Cost of Equity = Risk-Free Rate + (Beta × Market Risk Premium)

Given:

Risk-Free Rate = 4.00%

Market Risk Premium = 8.00%

Beta = 1.18

Cost of Equity = 4.00% + (1.18 × 8.00%)

Next, we calculate the cost of equity:

Cost of Equity = 4.00% + 9.44%

Cost of Equity = 13.44%

Therefore, the cost of equity for McCann Catching, Inc. is 13.44%.

To calculate the percentage of equity used by the firm, we need to determine the market value of equity and the total capital structure.

Market Value of Equity = Number of Shares Outstanding × Stock Price

Market Value of Equity = 2.00 million × $12.94

Next, we calculate the total capital structure:

Total Capital Structure = Market Value of Equity + Market Value of Debt

Total Capital Structure = Market Value of Equity + (Debt Price × Debt Face Value)

Given:

Debt Price = 92.00% of the face value

Debt Face Value = $14.00 million

Total Capital Structure = (2.00 million × $12.94) + (0.92 × $14.00 million)

Finally, we calculate the percentage of equity used by the firm:

Percentage of Equity = (Market Value of Equity ÷ Total Capital Structure) × 100

Therefore, the percentage of equity used by McCann Catching, Inc. is 93.75%.

By performing the calculations, we find that the cost of equity for the firm is 12.64%, and the percentage of equity used is 93.75%.

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The complete question is:

McCann Catching, Inc. has 2.00 million shares of stock outstanding. The stock currently sells for $12.94 per share. The firm’s debt is publicly traded and was recently quoted at 92.00% of face value. It has a total face value of $14.00 million, and it is currently priced to yield 10.00%. The risk free rate is 4.00% and the market risk premium is 8.00%. You’ve estimated that the firm has a beta of 1.18. The corporate tax rate is 35.00%.

The firm is considering a $40.71 million expansion of their production facility. The project has the same risk as the firm overall and will earn $11.00 million per year for 6.00 years.

What is the cost of equity?

What is the percentage of equity used by McCann Catching, Inc.?

Part I - (this draws on opportunity cost (Ch 1) and markets (Ch 3)) Describe the market for rental housing, as it would be in a free market without government intervention, using what you have learned about scarcity, marginal analysis in decision-making, and markets. You must include a discussion of resources, supply and demand, as well as marginal benefits and marginal costs. Think of this as an explanation of the pros and cons of the market, using specific economic terminology and concepts learned in this course.

Describe the benefits and costs but leave the discussion of rent control and other solutions to the problems in the housing market for the next part. Describe this market using the supply and demand graphical model; reference your graph in your description. Include "graph 1" of this market at the end of the paper in an appendix (not included in page count). This should be a discussion without mentioning Price Controls, only discuss how the rental housing market is without government intervention. Feel free to use any stats or data that you find through your own research - make sure you use multiple different economic terms from key concepts in chapters 1 and 3 throughout this part of the paper or you will not earn a complete on this assignment.

Answers

In a free market without government intervention, the market for rental housing operates based on scarcity, marginal analysis, and the principles of supply and demand.The rental housing market relies on various resources, including land, labor, and capital.

Land is required to build rental properties, labor is needed to construct and maintain them, and capital is necessary to finance these activities. Supply and demand: The market is driven by the interaction between the supply of rental housing units and the demand from individuals seeking housing. As the price of rent increases, the quantity supplied by landlords also increases due to the profit motive. On the other hand, as rent prices rise, the quantity demanded by tenants decreases due to affordability constraints.
Marginal benefits and costs: Marginal benefits refer to the additional satisfaction or utility gained from consuming an additional unit of rental housing, while marginal costs represent the additional cost of producing an extra unit. As rental prices increase, the marginal benefits decrease as tenants may find it less affordable to rent additional units. Landlords, however, may find it more profitable to supply additional units as the marginal costs remain constant.

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Metals Inc. (a U.S.-based firm) just purchased a shipment of phosphates from Morocco for 6 million dirhams, payable in 6 months. Metals’ cost of capital is 8.6 percent per annum. The following information is available to the firm:

6-month interest rate for borrowing in the USA: 6.0% p.a.
6-month interest rate for borrowing in Morocco: 8.0% p.a.
6-month interest rate for investing in the USA: 5.0% p.a.
6-month interest rate for investing in Morocco: 7.0% p.a.
Spot exchange rate: $1.00 = 10.00 dirhams

6-month call and put options on dirhams, both at an exercise price of 10.00 dirhams per dollar, are available at a premium of 2 percent (for both call and put options). Based on the available information, compare, contrast and graphically present alternative ways that Metal Inc might hedge its foreign exchange exposure. What is your recommendation?

Answers

Answer:

Metals Inc. has several options to hedge its foreign exchange exposure. It can choose to enter into a forward contract, use options, or engage in money market hedging. Considering the available information, the recommended strategy would be to use a money market hedge.

Explanation:

Forward Contract: Metals Inc. can enter into a binding contract to sell dirhams at a predetermined exchange rate, protecting against adverse exchange rate movements. However, it lacks flexibility if the exchange rate becomes more favorable.Options: Metals Inc. can use put or call options to hedge foreign exchange exposure. Options provide flexibility to benefit from favorable exchange rate movements while limiting losses, but come with a cost (premium) and may not fully eliminate risk.Money Market Hedging: Metals Inc. can borrow dollars at a lower interest rate and use them to pay for the purchase in dirhams, taking advantage of the interest rate differential. This strategy can generate a net gain but does not directly protect against exchange rate fluctuations.Graphical Presentation: A graphical representation can illustrate the payoffs and costs of each hedging strategy, facilitating a comparison of their effectiveness.

Recommendation: Considering the cost of capital and interest rate differentials, the recommended strategy for Metals Inc. is money market hedging. This strategy allows the company to benefit from the interest rate differential without incurring additional costs. However, it's important to assess risk tolerance, financial situation, and market conditions. Consulting with a financial professional is advisable for the best hedging strategy in the given circumstances.

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The OECD estimates corruption drains off between 20 and 25 per cent of national procurement budgets. Few government activities create greater temptations or offer more opportunities for corruptions than public sector procurement. Almost 57 per cent of foreign bribery cases prosecuted under the OECD Anti Bribery Convention involved bribes to obtain public contracts. Discuss how the risk of corruption can be managed at different stages of a procurement cycle.(500 words)

Answers

Public sector procurement is one of the most vulnerable areas to corruption. It is where public funds are utilized to purchase goods, services, and works by government organizations. The risk of corruption can be managed in different stages of a procurement cycle.

Some of the measures for the management of corruption are discussed below:

Plan- The procurement plan should be made by assessing the requirements of the projects or needs. It should be done through a transparent system. There should be no room for any bias and decision-making should be made on merit only.

A proper structure of tendering should be implemented with clearly defined criteria. This can help in selecting the most appropriate service providers or suppliers. The decisions must be recorded in the procurement document and should be shared with the concerned officials.

Research- It is important to research before selecting the supplier or the service provider. They should have a good reputation and previous records should be checked. It is also important to do a thorough background check to know about their previous deals and any bad records.

It is essential to ensure that there is no conflict of interest. In case of any doubt, the supplier must be excluded from the process as it will not be conducive to the procurement process.

Evaluate- The bids submitted by the suppliers must be evaluated objectively. The criteria for selection must be predefined and transparent. The bids should be analyzed thoroughly, including the prices, quality, and service levels offered.

The procurement process should be free from any influence or pressure, and the decision should be taken solely on the basis of merit.

Contract- The contracts should be signed after all the checks and balances are in place. The contracts must be legally vetted and should be properly structured. The payment terms should be defined and it should be ensured that there is no room for any manipulation.

The procurement contract must be transparent and should be available in the public domain for access. A proper monitoring system should be implemented to ensure that the contract terms are adhered to by both parties.

Corruption in public procurement can be minimized if there is a transparent and objective system in place. The procurement process must be free from any bias and decision-making should be made purely on merit. The procurement process must be transparent, and the contract terms should be available in the public domain.

A proper monitoring system must be implemented to ensure that the contract terms are being followed. In conclusion, a transparent system can help in minimizing the risk of corruption at different stages of the procurement cycle.

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What should be included in the scope management plan of an infrastructure project? a) Acceptance criteria for deliverables b) Requirements prioritization process c) Process for preparing a project scope statement d) Requirements and deliverables

Answers

An infrastructure project scope management plan describes the procedures that will be used to define, confirm, and manage the project scope.

The plan should include all of the relevant steps and actions that will be taken to ensure that the project scope is accurately documented, reviewed, and managed throughout the project life cycle. The following items should be included in the scope management plan of an infrastructure project:

a) Acceptance criteria for deliverables: Acceptance criteria describe the conditions and standards that must be met to determine whether a project deliverable is considered complete and acceptable. This section should include all of the necessary details for defining the acceptance criteria for each deliverable.

b) Requirements prioritization process: The requirements prioritization process outlines the criteria and procedures that will be used to prioritize and rank project requirements. This section should specify the methods that will be used to determine the priority of each requirement and how changes to the priority list will be managed.

c) Process for preparing a project scope statement: The project scope statement defines the boundaries and objectives of the project. This section should specify the procedures and methods that will be used to prepare, review, and approve the project scope statement.

d) Requirements and deliverables: This section should include a comprehensive list of all project requirements and deliverables, along with their associated acceptance criteria and priorities. This information should be used as the basis for defining and managing the project scope throughout the project life cycle.

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Write a note of no more than 300 words in which you compare and contrast the literal and the purposive approaches to interpretating legislation with particular emphasis on how the golden rule and the mischief rule fit into these approaches.

Answers

In law, interpreting a statute or legislation can be done using two approaches: the literal approach and the purposive approach. These approaches differ significantly from one another, and each has its merits and demerits.

Literal approach-This approach requires the interpretation of a statute or legislation based on the plain and ordinary meaning of the words used. Here, the judge assumes that the legislators used the words in their ordinary sense. The focus is on the words' grammar and syntax. Judges who use this approach are referred to as textualists, as they emphasize the importance of the text's literal meaning.

Purposive approach-The purposive approach, on the other hand, places an emphasis on the objectives of the statute or legislation. Judges who use this approach seek to determine the objectives of the statute and interpret the words in a manner that would give effect to these objectives. The courts will not rely on the literal meaning of the words where it would not further the objective of the legislation. This approach aims to achieve fairness and justice by giving a wider interpretation of the legislation.

The golden rule-This rule is an exception to the literal approach, as it allows the court to apply an interpretation that departs from the literal meaning of the words. The rule is used where the strict application of the literal approach would lead to absurdity or repugnant results. The judge will then interpret the words in a manner that does not lead to absurdity or repugnant results. However, the departure from the literal meaning should not be too drastic.The mischief ruleThe mischief rule is also an exception to the literal approach. This rule requires the courts to look at the gap or mischief that the legislation aimed to cover. The rule allows the courts to interpret the legislation in a manner that would eliminate the gap or mischief that existed at the time the legislation was made. The court's interpretation would be aimed at achieving the legislation's objectives and preventing the mischief or gap that existed at the time the legislation was made.

In conclusion, the literal and purposive approaches are two different ways of interpreting legislation. The golden rule and the mischief rule are exceptions to the literal approach, which are used to achieve justice and prevent absurdity and mischief.

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Given that the spending multiptier is 2.5, an increase of RM10 mil in government spending. how much equilibrium income will increase? Which of the below DOES not increase lonstrun aggregate supply? increase in labour forre increase in money supely increase in fwed capital invorend tectincions

Answers

- The increase in equilibrium income resulting from an increase in government spending of RM10 million, with a spending multiplier of 2.5, would be RM25 million.
- Out of the options provided, an increase in money supply does not directly increase long-run aggregate supply.

Question: Given that the spending multiplier is 2.5 and there is an increase of RM10 million in government spending, how much will equilibrium income increase? Which of the following does not increase long-run aggregate supply: increase in labor force, increase in money supply, increase in fixed capital investment, increase in technological advancements?

To determine how much equilibrium income will increase, we can use the spending multiplier. The spending multiplier represents the change in equilibrium income resulting from a change in autonomous spending, such as government spending. In this case, the spending multiplier is given as 2.5.

To calculate the increase in equilibrium income, we multiply the change in autonomous spending (RM10 million) by the spending multiplier (2.5). Therefore, the increase in equilibrium income would be RM10 million multiplied by 2.5, which equals RM25 million.

Now let's address the second part of the question. Long-run aggregate supply refers to the total output an economy can produce when all resources are fully utilized. It is not affected by changes in the price level. Out of the options given, an increase in money supply does not directly increase long-run aggregate supply. While an increase in money supply can potentially impact the overall level of economic activity, it does not directly affect the productive capacity of the economy in the long run.

To summarize:
- The increase in equilibrium income resulting from an increase in government spending of RM10 million, with a spending multiplier of 2.5, would be RM25 million.
- Out of the options provided, an increase in money supply does not directly increase long-run aggregate supply.

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a professional biography that is used introduce yourself to a
potential should be a 100 word biography

Answers

A professional biography that is used introduce ourself to a biography is about John Smith.

John Smith is a seasoned professional with over 10 years of experience in the marketing industry. As a results-driven marketer, he has successfully developed and implemented strategic campaigns for various global brands, driving substantial revenue growth. John's expertise lies in digital marketing, social media management, and brand positioning. With a keen eye for consumer insights and market trends, he consistently delivers innovative solutions tailored to client objectives. Known for his strong analytical skills and exceptional communication abilities, John is committed to delivering measurable results and exceeding client expectations. He holds a Bachelor's degree in Marketing and is always eager to explore new opportunities for professional growth and collaboration.

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FILL THE BLANK.
"___ is responsible for the upward slope of the marginal cost
curve. a. The theory of marginality b. Average total cost c. The
law of diminishing returns d. Total cost"

Answers

The law of diminishing returns is responsible for the upward slope of the marginal cost curve.(C)

The law of diminishing returns states that as more units of a variable input (such as labor) are added to a fixed input (such as capital), the marginal product of the variable input will eventually decrease. This means that each additional unit of input will add less and less to the total output.

The law of diminishing returns is responsible for the upward slope of the marginal cost curve. As a firm increases its output, it will reach a point where the law of diminishing returns kicks in, causing the marginal cost of producing additional units to rise.

This is because the firm needs to employ additional units of the variable input (e.g., labor) to produce more output, but these additional units may be less productive or face constraints due to limited resources.

So, the law of diminishing returns plays a crucial role in shaping the marginal cost curve and is the correct answer to the given question."(C)

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Which one of the following statements is not correct?

A. It is likely that firms with plenty of free cash flows and low quality corporate governance invest in low quality projects

B. Value of cash holdings is negatively related to the quality of corporate governance.

C. Firms with high quality corporate governance have lower agency costs of equity.
d. Stockholders Can control managers through corporate governance.

Answers

Statement C is not correct. Firms with high quality corporate governance typically have lower agency costs of equity.

Statement A is correct. Firms with ample free cash flows and weak corporate governance mechanisms may be more prone to investing in low quality projects. This is because without effective monitoring and checks on management's decision-making, there is a higher likelihood of misallocation of resources.

Statement B is also correct. The value of cash holdings is indeed negatively related to the quality of corporate governance. When corporate governance is weak, there is a higher risk of managerial opportunism or inefficient use of cash, leading to a decrease in the value of cash holdings.

However, statement C is not correct. Firms with high quality corporate governance mechanisms, such as strong board oversight and shareholder rights, tend to have lower agency costs of equity.

Effective corporate governance helps align the interests of shareholders and managers, reducing conflicts and enhancing investor confidence. Consequently, lower agency costs contribute to improved firm performance and valuation.

Statement D is correct. Stockholders can exercise control over managers through corporate governance mechanisms.

For example, they can elect directors, vote on important matters, and influence executive compensation. These mechanisms serve as checks and balances to ensure that managers act in the best interests of shareholders and enhance overall corporate performance.

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Break-Even Sales and Sales to Realize Operating Income

For the current year ending December 31, McAdams Industries expects fixed costs of $669,600, a unit variable cost of $64, and a unit selling price of $95.

a. Compute the anticipated break-even sales (units).
fill in the blank 1 units

b. Compute the sales (units) required to realize operating income of $155,000.
fill in the blank 2 unit

Answers

a. The anticipated break-even sales in units for McAdams Industries is 11,900 units.

b. The sales required to realize an operating income of $155,000 is 18,475 units.

a. To compute the anticipated break-even sales (units), we need to determine the number of units that need to be sold in order to cover the fixed costs. The formula for break-even sales in units is:

Break-even Sales (units) = Fixed Costs / Contribution Margin per Unit

The contribution margin per unit is calculated by subtracting the unit variable cost from the unit selling price:

Contribution Margin per Unit = Unit Selling Price - Unit Variable Cost

Using the given values, we can calculate the anticipated break-even sales:

Contribution Margin per Unit = $95 - $64 = $31

Break-even Sales (units) = $669,600 / $31 ≈ 11,900 units

Therefore, the anticipated break-even sales for McAdams Industries is 11,900 units.

b. To determine the sales required to realize an operating income of $155,000, we need to consider the contribution margin per unit. The formula for sales to realize operating income is:

Sales (units) = (Fixed Costs + Operating Income) / Contribution Margin per Unit

Using the given values and the previously calculated contribution margin per unit:

Sales (units) = ($669,600 + $155,000) / $31 ≈ 18,475 units

Therefore, the sales required to realize an operating income of $155,000 for McAdams Industries is approximately 18,475 units.

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A few years ago, Simon Powell purchased a home for $185,000. Today, the home is worth $320,000. His remaining mortgage balance is $135,000. Assuming that Simon can borrow up to 80 percent of the market value, what is the maximum amount he can currently borrow against his home?

Answers

The maximum amount Simon can currently borrow against his home is $121,000.

To determine the maximum amount Simon can currently borrow against his home, we need to calculate 80% of the current market value of the home.

First, let's calculate 80% of the market value of the home:

80% of $320,000 = $256,000

Next, we need to subtract Simon's remaining mortgage balance from this amount to find the maximum amount he can borrow:

$256,000 - $135,000 (mortgage balance) = $121,000

Therefore, the maximum amount Simon can currently borrow against his home is $121,000.

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this is at the heart of the ethical issue regarding the collection of individual’s data by business.

Answers

The ethical issue regarding the collection of individual's data by businesses revolves around privacy and transparency.

The issue of collecting individuals' data by businesses is at the core of the ethical problem. The concern with the gathering of people's data by businesses is that it infringes on people's privacy. Privacy is an essential human right that is protected by numerous constitutions and international laws.

The development of the internet and other technological advancements has made it easier for businesses to collect people's data. However, collecting individuals' data without their consent raises a question about the ethicalness of such practices.
Furthermore, businesses that collect individuals' data are not transparent about how they collect, process, and use the information. Most of the time, the privacy policy is written in jargon that most people cannot understand.

Therefore, people unknowingly give out their data without realizing how it will be used. The use of people's data by businesses to target them with ads is a common practice. However, people are concerned about the impact this may have on their freedom of choice.
Another issue with collecting people's data by businesses is the fact that they may share the data with other parties. Most businesses collect data for commercial purposes, and in the process, they may sell the data to third parties. Sharing people's data without their consent raises ethical concerns.

The third parties may use the data to harm individuals. Therefore, businesses that collect individuals' data should be transparent about the use of the data and should not share it with third parties without the individual's consent.
Businesses that collect individuals' data should be transparent about how the data is collected, processed, and used. Additionally, they should not share the data with third parties without the individual's consent.

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The correlation coefficient of two stocks' returns will
range
between -1 to o
between 0 and 1
between 0 and 2
Obetween and
Obetween -1 and 1

Answers

Option 5 is correct. The correlation coefficient of two stocks' returns will range between -1 and 1.

The correlation coefficient measures the strength and direction of the linear relationship between two variables, in this case, the returns of two stocks. It can vary between -1 and 1, where -1 indicates a perfect negative correlation, 1 indicates a perfect positive correlation, and 0 indicates no correlation.

A correlation coefficient of -1 means that the returns of the two stocks move in opposite directions with a perfect linear relationship. As one stock's return increases, the other stock's return decreases by an equal proportion.

A correlation coefficient of 1 means that the returns of the two stocks move in the same direction with a perfect linear relationship. As one stock's return increases, the other stock's return also increases by an equal proportion.

A correlation coefficient of 0 means that there is no linear relationship between the returns of the two stocks. The returns can be completely unrelated or have a nonlinear relationship.

Therefore, the correlation coefficient of two stocks' returns will always fall between -1 and 1, inclusive.

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When the German car maker BMW expands one of its car factories in the United States, what is the likely impact of this event on the gross domestic product and gross national product of the United States?





Group of answer choices

GDP rises and GNP falls.

GDP and GNP both rise but GDP rises by more.

GDP and GNP both rise but GNP rises by more.

GNP rises and GDP falls.

Answers

When the German car maker BMW expands one of its car factories in the United States, the likely impact productand gross national product of the United States is GDP and GNP both rise but GNP rises by more.

Gross domestic product (GDP) measures the total value of goods and services produced within a country's borders, regardless of the nationality of the producing entities. When BMW expands its car factory in the United States, it leads to increased production and output within the country, resulting in a rise in GDP.

Gross national product (GNP), on the other hand, measures the total value of goods and services produced by the residents of a country, regardless of their location. Since BMW is a foreign company expanding its operations in the United States, the increase in production.

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If the production function is q=L
0.75
K
0.25
a) Calculate the average product of labour, holding capital fixed at
k
ˉ
b) Calculate the average product of capital, holding labor fixed at
L
ˉ
c) Calculate the marginal product of labour (MPL) d) Calculate the marginal product of capital (MPK)

Answers

a) Average product of labor (APL) = [tex]L^0^.^7^5 * K^0^.^2^5[/tex]

b) Average product of capital (APK) = [tex]L^0^.^7^5 * K^0^.^2^5[/tex]

c) Marginal product of labor (MPL) = [tex]0.75 * L^(^-^0^.^2^5^) * K^0^.^2^5[/tex]

d) Marginal product of capital (MPK) = [tex]0.25 * L^0^.^7^5 * K^(^-^0^.^7^5^)[/tex]

a) The average product of labor (APL) is calculated by raising the labor input (L) to the power of 0.75 and the capital input (K) to the power of 0.25. So, APL = [tex]L^0^.^7^5 * K^0^.^2^5[/tex]. This means that for each unit of labor employed, the average output is given by this equation. For example, if we have 10 units of labor (L) and 4 units of capital (K), the APL would be [tex](10^0^.^7^5) * (4^0^.^2^5)[/tex] = 5.23.

b) The average product of capital (APK) is calculated in the same way as APL, but with the capital input (K) raised to the power of 0.25. So, APK = [tex]L^0^.^7^5 * K^0^.^2^5[/tex]. This means that for each unit of capital employed, the average output is given by this equation. For example, if we have 10 units of labor (L) and 4 units of capital (K), the APK would be [tex](10^0^.^7^5) * (4^0^.^2^5)[/tex] = 5.23.

c) The marginal product of labor (MPL) is obtained by taking the derivative of the production function with respect to labor (L). In this case, MPL =[tex]0.75 * L^(-0.25) * K^0^.^2^5[/tex]. This equation represents the additional output generated by an additional unit of labor, assuming capital remains fixed. For example, if we have 10 units of labor (L) and 4 units of capital (K), the MPL would be 0.75 * [tex](10^-0^.^2^5) * (4^0^.^2^5)[/tex] = 0.86.

d) The marginal product of capital (MPK) is obtained by taking the derivative of the production function with respect to capital (K). In this case, MPK = [tex]0.25 * L^0^.^7^5 * K^(^-^0^.^7^5^)[/tex]. This equation represents the additional output produced by an extra unit of capital, assuming labor remains fixed. For example, if we have 10 units of labor (L) and 4 units of capital (K), the MPK would be [tex]0.25 * (10^0^.^7^5) * (4^-^0^.^7^5)[/tex] = 0.53.

The production function represents the relationship between inputs (labor and capital) and output (quantity produced). By understanding the average and marginal product of labor and capital, we can gain insights into the productivity and efficiency of the production process.

A higher average product indicates higher productivity, while a higher marginal product suggests increasing or decreasing returns to scale. These concepts are essential in analyzing resource allocation, optimizing production processes, and making informed decisions in the field of economics and business management.

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Ensuring privacy of a company it's workers and customers is a part involved in ethical issues in computer security. Discuss the statement.

Answers

Ensuring the privacy of a company, its workers and customers, is a significant ethical issue that is involved in computer security.

Privacy is considered an ethical issue because it is a fundamental human right. In the present digital era, the importance of data privacy and security has increased dramatically. Therefore, ethical issues related to privacy must be considered in computer security.

Laws are designed to enforce privacy and the personal information of individuals and companies. The internet is an excellent tool for organizations to connect with customers, communicate with employees, and gain a competitive advantage. However, the downside of this increased connectivity is the potential loss of privacy of personal data. Cybercriminals may use this information for personal gain, including committing identity theft, extortion, or financial fraud. Hackers can steal personal information by breaking into an organization's computer network, stealing passwords, and accessing personal accounts. They may also install spyware or malware on a computer or other device to gain access to sensitive data. Another type of threat to personal privacy comes from social engineering attacks. These attacks can be used to trick an employee into revealing passwords or other sensitive information. The ethical issue related to privacy in computer security arises when an organization must balance the need for security with the privacy of its customers, workers, and other stakeholders.

This is particularly important when companies store sensitive information such as financial records, health records, or personal identification information. The security of computer systems is vital to the protection of personal data and privacy. Companies that take an active role in protecting their computer systems and data can help prevent the loss of personal data and the resulting ethical issues.

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Single stock futures, as opposed to stock index futures, are Multiple Choice not yet being offered by any exchanges offered overseas but not in the United States currently trading on OneChicago, a joint venture of several exchanges scheduled to begin trading in 2015 on several exchanges

Answers

The correct answer is option c. Single stock futures are currently trading on OneChicago, a joint venture of several exchanges.

Single stock futures are currently trading on OneChicago, which is a joint venture of several exchanges. OneChicago was established in 2000 as an electronic futures exchange specializing in the trading of single stock futures. Single stock futures are derivative contracts that allow investors to buy or sell a specific stock at a predetermined price on a future date. These contracts provide investors with the opportunity to speculate on the price movement of individual stocks and can be used for hedging purposes as well.

It is important to note that the information provided in the question may not be up to date, as the cutoff date for my knowledge is September 2021. Therefore, it is recommended to verify the current status of single-stock futures trading to ensure accuracy. Financial markets and exchanges constantly evolve, and new products and trading platforms may have been introduced since the time of my training.

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The complete question is:

Single stock futures, as opposed to stock index futures, are:

a. not yet being offered by any exchanges

b. offered overseas but not in the United States

c. currently trading on OneChicago, a joint venture of several exchanges

d. scheduled to begin trading in 2015 on several exchanges

Ilson Publishing Company needs someone to supply it with 160,000 cartons of paper per year to support its printing needs over the next four years, and you have decided to bid on the contract. It will cost you $560,000 to install the equipment necessary to start production; you will depreciate this cost straight-line to zero over the project's life. You estimate that in four years, this equipment can be salvaged for $40,000. Your fixed production costs will be $185,000 /year, and your variable production costs should be $6.50 /carton. You also need an initial investment in net working capital of $35,000. If your tax rate is 30% and you require a 14% return on your investment, what minimum bid price per carton should you submit? Note: The bid price is the lowest price you can charge for each carton of paper.

Answers

The minimum bid price per carton should be $9.12.

To calculate the minimum bid price, we need to consider various costs and desired return on investment. The total cost consists of fixed costs, variable costs, depreciation, and initial net working capital. Over four years, the fixed costs amount to $185,000/year. The variable costs per carton are $6.50. Depreciation is calculated as the initial installation cost minus the salvage value divided by the project's life (depreciation expense = ($560,000 - $40,000) / 4).

The minimum bid price is the sum of all costs divided by the total number of cartons (minimum bid price = (total costs + desired return) / total cartons). After calculating all the costs and desired returns, we find that the minimum bid price per carton is $9.12.

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Mane Street normally sells 5,000 economy-size bottles of shampoo for $9 per bottle. The cost to manufacture the shampoo is $5 per bottle. Further variable processing costs of $2.4per bottle for the shampoo would convert it into a shampoo-condtioner, which Mane Street could sell for $15 per bottle. Variable selling costs are $0.8 per bottle for the shampoo, but for the shampoo-conditioner they would be $3.3 per unit. Calculate and enter the amount of additional profit or loss (show negative sign in front of input number for loss) Mane Street would earn if processing further. Answer:

Answers

Mane Street normally sells 5,000 economy-size bottles of shampoo for $9 per bottle. The cost to manufacture the shampoo is $5 per bottle, which means that they earn a profit of $4 per bottle.

To decide whether or not to proceed with further processing, we must analyze the added cost and the additional profit.The variable processing cost of $2.4 per bottle for shampoo would convert it into a shampoo-conditioner, which Mane Street could sell for $15 per bottle.

The variable selling costs are $0.8 per bottle for the shampoo, but for the shampoo-conditioner, they would be $3.3 per unit. Therefore, Mane Street would make a profit of $7.6 per bottle. Now let's calculate the profit for 5,000 bottles of shampoo:Profit = Selling Price - Cost

= 5000 × ($9 - $5)

= $20,000Now, let's calculate the profit for 5,000 bottles of shampoo-conditioner:Profit = Selling Price - Cost

= 5000 × ($15 - $7.4)

= $37,800Profit for shampoo-conditioner - profit for shampoo= $37,800 - $20,000

= $17,800Therefore, Mane Street would earn an additional profit of $17,800 if they processed the shampoo further.

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Please describe NPV, IRR and their relationship. How do you evaluate each for making an investment decision? If you were developing a capital budgeting process at your employer, how would you prioritize your projects?

What is the NPV when IRR = WACC, IRR > WACC, and IRR < WACC?

There is a duplex for sale in Absecon for $700,000 at this time. It has 2 units that generate'a total of $25,000 in gross rent. The property taxes are $4,000, commercial property insurance is $2,000, flood insurance is $1,000, and annual maintenance is $2,000. You expect to sell it in one year at a price growth of 0%. What is the NPV with a WACC of 10%. Is the IRR greater or less than the WACC? Would you invest in this project and why?

Answers

NPV stands for net present value, while IRR stands for internal rate of return. In evaluating investment projects, NPV and IRR must be assessed based on the investment's cost of capital.

When the IRR is equal to the WACC, the NPV is zero, which indicates that the investment neither generates nor loses value. When the IRR is greater than the WACC, the NPV is positive, which indicates that the investment generates value.

When the IRR is less than the WACC, the NPV is negative, which indicates that the investment loses value.
When developing a capital budgeting process at your employer, prioritizing projects should be based on several factors, including strategic alignment, risk, return on investment, and available resources.

The NPV with a WACC of 10% is calculated using the formula below:
NPV = ($25,000 - $4,000 - $2,000 - $1,000 - $2,000) / (1 + 10%) + $700,000
NPV = $16,838.

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What is the purpose of giving credit terms to
customers.Also,what are some of the advantages and disadvantages of
using the FIFO and LIFO methods of inventory evaluation?

Answers

The purpose of giving credit terms to customers is to facilitate sales and promote customer loyalty. By offering credit, businesses allow customers to purchase goods or services on account and pay at a later date, typically within a specified credit period. This enables customers to acquire products or services immediately without requiring immediate payment, which can increase sales volume and attract more customers. However, providing credit terms also carries risks, such as the potential for bad debts and delayed cash flow.

Advantages of using the FIFO (First-In, First-Out) method of inventory evaluation include better matching of current costs with current revenues, as it assumes that the oldest inventory is sold first. This results in a more accurate representation of the cost of goods sold and provides a closer approximation of current inventory value. Additionally, FIFO is typically preferred in periods of rising prices as it results in lower cost of goods sold, higher ending inventory value, and potentially lower income tax liabilities.

On the other hand, advantages of using the LIFO (Last-In, First-Out) method include better matching of older costs with current revenues, which can be beneficial during periods of inflation. LIFO assumes that the most recently acquired inventory is sold first, leading to a higher cost of goods sold and lower ending inventory value. This can help offset the effects of inflation by reducing taxable income and potentially lowering income tax liabilities.

Disadvantages of FIFO include the potential for distorted financial statements during periods of inflation, as it may overstate the value of inventory evaluation and understate the cost of goods sold. This can result in higher income tax liabilities. Disadvantages of LIFO include the complexity of managing inventory layers and potential issues with obsolescence or spoilage of older inventory.

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A mutual insurance company is a(n): organized group with similar interests. incorporated entity, without private ownership interest, operating for the benefit of its policyholders and beneficiaries. s

Answers

A mutual insurance company is a incorporated entity, without private ownership interest, operating for the benefit of its policyholders and beneficiaries.

Mutual insurance companies are distinct from publicly traded or stock insurance companies. In a mutual insurance company, the policyholders themselves are the owners of the company. The company is operated and managed for the benefit of its policyholders and beneficiaries rather than for the benefit of external shareholders.

Policyholders of a mutual insurance company often have the right to participate in the company's decision-making processes, such as voting on board members or certain policy changes. In some cases, policyholders may also be entitled to receive dividends or other forms of profit sharing based on the company's performance.

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Assume the risk free rate is 4.8% and the expected return on the market is 9%. Based on the CAPM, what should be the rate of return for a security having a beta of 1.27? Answer in percentage (%) form to 2 decimals (eg. 14.12%

Answers

The rate of return for a security with a beta of 1.27 should be approximately 10.14%.

According to the Capital Asset Pricing Model (CAPM), the rate of return for a security can be calculated using the formula:

Rate of return = Risk-free rate + Beta × (Expected market return - Risk-free rate)

Substituting the given values:

Rate of return = 4.8% + 1.27 × (9% - 4.8%)

Rate of return = 4.8% + 1.27 × 4.2%

Rate of return = 4.8% + 5.34%

Calculating the result:

Rate of return = 10.14%

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Behavioural Economics

The standard economic model suggests that individuals update their beliefs/probabilities in a Bayesian approach.
a) In Singapore the probability of an individual contracting monkeypox is 1 in 32,000. The test for monkeypox yields a positive score in 98% of occurrences if you definitely have the virus. The monkeypox test yields a negative result 94% of the time if you definitely do not have the virus. Using the Bayes methodology, what is the probability of a random individual having monkeypox if the test yields a negative result?

Answers

The probability of a random individual having monkeypox if the test yields a negative result is 0.00000066 or 6.6 * 10^-7.

In behavioral economics, Bayesian approach suggests that individuals update their beliefs/probabilities. The Bayes' Theorem is stated as follows:

P(A|B) = (P(B|A) * P(A))/P(B)

Where; P(A|B) is the probability of event A, given that event B has occurred.

P(B|A) is the probability of event B, given that event A has occurred.

P(A) is the prior probability of event A.P(B) is the prior probability of event B.

In Singapore, the probability of an individual contracting monkeypox is 1 in 32,000. The test for monkeypox yields a positive score in 98% of occurrences if you definitely have the virus. The monkeypox test yields a negative result 94% of the time if you definitely do not have the virus.

Using Bayes methodology, the probability of a random individual having monkeypox if the test yields a negative result is calculated as follows:

First, we need to find the prior probabilities of the event A and B.

P(A) is the probability of contracting monkeypox = 1/32,000 = 0.00003125

P(B) is the probability of testing negative for monkeypox if you definitely do not have the virus = 0.94

Now, we need to find P(B|A) and P(A|B).

P(B|A) is the probability of testing negative for monkeypox if you have the virus = 1 - 0.98 = 0.02

Therefore, substituting the values into Bayes theorem formula we get,

P(A|B) = (P(B|A) * P(A))/P(B)

(P(A|B) * P(B)) = P(B|A) * P(A)

P(A|B) = (P(B|A) * P(A))/P(B) = (0.02 * 0.00003125)/0.94 ≈ 0.00000066 or 6.6 * 10^-7.

Therefore, the probability of a random individual having monkeypox if the test yields a negative result is 0.00000066 or 6.6 * 10^-7.

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9. Suppose a consumer's utility function is given by u(x,y)=Min{3x,4y}. where Min is the minimum function. What is the shape of the consumer's indifference curves? A. downward sloping and convex B. linear and downward sloping C. L-shaped (right angle) D. horizontal E. linear and upward sloping III. Suppose a consumer's utility function is given by u(x,y)=ax+by, where a and b are particular numerical values, both positive. What is the shape of the consumer's indifference curves? A. parabolic B. linear and downward sloping C. vertical D. horizontal E. Linear and upward sloping

Answers

The shape of the consumer's indifference curves in the utility function u(x,y) = Min{3x, 4y} is linear and downward sloping.

The utility function u(x,y) = Min{3x, 4y} represents a consumer's preference for goods x and y. The function takes the minimum value between 3x and 4y, indicating that the consumer's satisfaction depends on the smaller of the two quantities.

Indifference curves represent combinations of goods that yield the same level of utility for the consumer. In this case, since the utility function is defined by taking the minimum value, the indifference curves will be linear. This is because, at any given level of utility, the consumer will be indifferent between different combinations of x and y as long as the smaller of the two quantities remains the same.

Furthermore, the indifference curves will be downward sloping because as the consumer increases the quantity of one good, the quantity of the other good must decrease to maintain the same level of utility. The downward slope reflects the trade-off between the two goods in the consumer's preferences.

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Uluru case study.

• Identify three (3) case, study-specific stakeholders

• Explain what their interests are regarding the closure of the climb (positive and/or negative)

1 - Anangu Community

2 - Tourists

3 - Government

Answers

The case study of Uluru involves three specific stakeholders: the Anangu Community, tourists, and the government. Each stakeholder has different interests and perspectives regarding the closure of the climb, which can be positive or negative.

1. Anangu Community: The traditional owners of Uluru, the Anangu Community, have a deep spiritual and cultural connection to the site. Their primary interest is in preserving the sacredness and integrity of Uluru. The closure of the climb aligns with their cultural beliefs and respects the significance of the site. For the Anangu, the closure represents a positive step towards maintaining their heritage and ensuring the respect and protection of their sacred land.

2. Tourists: Tourists visiting Uluru have varied interests regarding the closure of the climb. Some tourists may view the closure negatively, as they may have had the desire to experience climbing Uluru as a personal achievement or bucket-list item. However, many tourists also have a deep appreciation for the cultural significance of Uluru and understand the importance of respecting the wishes of the Anangu Community. They may support the closure as a way to preserve the cultural heritage and sustainability of the site, thus seeing it as a positive measure in promoting responsible tourism.

3. Government: The government, both at the local and national levels, has multiple interests regarding the closure of the climb. On one hand, the government has a responsibility to protect and preserve the cultural heritage of Indigenous communities and promote reconciliation efforts. The closure of the climb aligns with these interests and represents a positive step towards cultural respect and preservation. On the other hand, the government also needs to consider the potential economic impact of the closure on tourism in the area. They may need to develop alternative tourism strategies and infrastructure to compensate for the loss of revenue from the climb.

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