What are Walmart's and Target's ethical and social
responbilites.

Answers

Answer 1

Walmart and Target, as major retail companies, have ethical and social responsibilities that they strive to uphold. Here is a long answer detailing these responsibilities:

Environmental Sustainability: Both Walmart and Target have made commitments to reduce their environmental impact. They aim to minimize waste, conserve energy, and promote sustainable practices. For example, Walmart has set a goal to be supplied by 100% renewable energy, while Target has committed to achieving net-zero emissions by 2040.
It's important to note that while Walmart and Target have made efforts in these areas.


In summary, Walmart and Target demonstrate ethical and social responsibilities through their efforts in environmental sustainability, ethical sourcing, philanthropy, diversity and inclusion, accessibility, consumer health and safety, and transparency and accountability. These responsibilities contribute to their overall corporate citizenship and impact on society.

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Related Questions

In a recent​ year, a poll asked 2675 random adult citizens of a large country how they rated economic conditions. In the​ poll, 35​%rated the economy as​ Excellent/Good. A recent media outlet claimed that the percentage of citizens who felt the economy was in​ Excellent/Good shape was 33​%.

A/ Find a 99% confidence interval for the proportion of adults who rated the economy as​ Excellent/Good. ( fill in 2 answer boxes )

B/ Does your confidence interval provide evidence to support the​ claim?
C/ What is the significance level of the test in​ b? Explain

Answers

The confidence level gives the probability that the true population proportion lies within the confidence interval, whereas the significance level gives the probability of rejecting a true null hypothesis.

The given information can be summarized as follows:In a recent year, a poll asked 2675 random adult citizens of a large country how they rated economic conditions.

In the poll, 35% rated the economy as Excellent/Good.

A recent media outlet claimed that the percentage of citizens who felt the economy was in Excellent/Good shape was 33%.

Part A:The sample size is sufficiently large, therefore, a normal distribution can be used to approximate the sampling distribution of the sample proportion.

The point estimate of the population proportion is 0.35.

The standard error of the proportion is given by:

SEp = sqrt [p(1 - p)/n]SEp

= sqrt [(0.35)(0.65)/2675]SEp

= 0.0121

The critical value at 99% confidence level is 2.58.

The margin of error is:

ME = CV * SEp

ME = 2.58 * 0.0121

ME = 0.0312

The 99% confidence interval is:

CI = p ± MECI = 0.35 ± 0.0312CI = (0.3188, 0.3812)

Therefore, the 99% confidence interval for the proportion of adults who rated the economy as Excellent/Good is (0.3188, 0.3812).

Part B:The media outlet claimed that the percentage of citizens who felt the economy was in Excellent/Good shape was 33%.

The confidence interval for the proportion of adults who rated the economy as Excellent/Good does not include the claimed percentage of 33%.

Therefore, we can reject the claim made by the media outlet.

Part C:The significance level of the test in b is 0.01 (or 1%).

This is because the confidence level is 99%.

The confidence level gives the probability that the true population proportion lies within the confidence interval, whereas the significance level gives the probability of rejecting a true null hypothesis.

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Depositor preference is useful in improving the implementability
of bail-in. Explain why.

Answers

Depositor preference refers to the prioritization of depositors in the creditor hierarchy in the event of a bank insolvency or resolution process.

Depositor preference is useful in improving the implementability of bail-in for several reasons:

Enhances confidence in the banking system: By providing depositor preference, it helps maintain public confidence in the banking system. Depositors are more likely to have trust and faith in the system when they know that their deposits are protected to a certain extent in case of a bank failure.

Encourages stability and financial resilience: Depositor preference incentivizes depositors to keep their funds in banks rather than withdrawing them at the first sign of trouble. This stability in deposits allows banks to maintain a stable funding base, which is crucial for their lending and investment activities.

Facilitates the bail-in process: Bail-in is a resolution tool that involves converting or writing down a bank's debt, including certain types of liabilities, to recapitalize the institution and stabilize its operations.

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Negative network effects can happen in through: Select one or more:
a. network congestion (increased usage)
b. network pollution (increased size)
c. Bad actors

Answers

Negative network effects can happen in through: network congestion (increased usage), network pollution (increased size), and Bad actors.A negative network effect occurs when a product or service's value decreases as more people use it.

As more people use a product or service, its capacity to provide value decreases, resulting in a decrease in the overall value of the network or platform.

As a result, the concept of the network effect can also be interpreted as a double-edged sword that can sometimes harm firms and businesses.

There are many types of negative network effects that can affect businesses and services. One of the most common ways negative network effects arise is through network congestion.

As more people use a network, the probability of congestion increases.

As a result, the response time increases, and the network's performance slows down. This, in turn, leads to a decrease in the quality of services provided by the network.

Network pollution, on the other hand, happens when a network becomes overcrowded and filled with low-quality or fraudulent content.

This often occurs when the network is not properly managed, and users are not moderated.

As a result, the network's value decreases, and users lose confidence in it.

This, in turn, can lead to a decrease in the number of users, which further decreases the network's value.

Finally, bad actors, such as hackers and scammers, can also lead to negative network effects. Such actors often exploit the network's vulnerabilities to obtain unauthorized access to information, disrupt services, or commit fraud.

This can lead to significant losses for businesses and consumers alike.In conclusion, negative network effects can occur in various ways, including network congestion, network pollution, and bad actors.

These effects can harm businesses and services, and it's important to take measures to prevent them from occurring.

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why does marginal cost intersect the minimum of the atc

Answers

The marginal cost curve intersects the minimum point on the average total cost curve (ATC) due to the impact of diminishing marginal returns.

Marginal cost (MC) is the increase in the total cost that comes from producing one more unit of output. It calculates the cost of creating an extra unit of a product or service. In economics, the marginal cost of production is important since companies are typically attempting to maximize profits by making as many items as possible while keeping the cost of production as low as feasible.In economics, average total cost (ATC) refers to the total cost per unit of production. It is the sum of all of the costs associated with producing one unit of a good or service, divided by the total quantity produced. The marginal cost curve intersects the ATC curve at the point of minimum ATC.

In economics, marginal cost (MC) refers to the increase in the total cost that comes from producing one more unit of output. It calculates the cost of creating an extra unit of a product or service. The total cost includes all of the fixed and variable costs of production, such as rent, wages, and raw materials. The marginal cost of production is important since companies are typically attempting to maximize profits by making as many items as possible while keeping the cost of production as low as feasible.In economics, average total cost (ATC) refers to the total cost per unit of production. It is the sum of all of the costs associated with producing one unit of a good or service, divided by the total quantity produced.

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An investor plans to purchase a 2-bedroom condo in San Francisco. The price of the property is $300,000. She will have a 15-year 3% APR mortgage with a 20% down payment. The investor will keep the condo in the next 15 years and lease the condo. Suppose the rent collected by the renter will just cover the mortgage payment and other expenses (e.g., condo fee, tax, maintenance). In other words, in- and out- cash flows just cancelled out. The value of the house is expected to inflate by 50%. What is the monthly return to the investor?

1.126%
14.377%
13.508%
1.198%
None of the above

Answers

The monthly return to the investor is 1.198%. This calculation takes into account the neutral cash flows from rental income and the expected 50% inflation in the property's value over the 15-year investment period.

To calculate the monthly return to the investor, we need to consider the cash flows and the change in property value over the investment period. The price of the property is $300,000, and the investor makes a 20% down payment, which amounts to $60,000. The remaining amount to be financed through a mortgage is $240,000. The investor secures a 15-year mortgage with a 3% APR.

Since the rental income just covers the mortgage payment and other expenses, the investor's cash flows are neutral. However, the value of the house is expected to inflate by 50% over the 15-year period.

To calculate the monthly return, we can use the formula for compound interest:

Return = (Ending Value / Initial Investment)^(1/n) - 1

where n is the number of periods (in this case, the number of months).

The ending value of the property after 15 years, considering a 50% inflation, is $450,000 (300,000 + 50% of 300,000).

Plugging in the values, we have:

Return = ($450,000 / $60,000)^(1/180) - 1

Calculating this expression, the monthly return to the investor is approximately 1.198%.

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A stock is currently priced at 33.25 when options are about to expire. What is the value (payoff) of a CALL option with a strike price of 30 to the HOLDER of the option? (Value this per share. Read carefully and check your work.) 3.25 5.75 1.75 0.75 1.00

Answers

The value (payoff) of a CALL option with a strike price of 30 to the holder of the option is $3.25 per share. Option a is correct.

For calculating the value (payoff) of a CALL option, need to determine the difference between the current stock price and the strike price. In this case, the stock price is $33.25 and the strike price is $30. Since the stock price is higher than the strike price, the option is "in the money."

The value of the CALL option is calculated by subtracting the strike price from the stock price. Therefore, the value of the option is $33.25 - $30 = $3.25. This means that the holder of the option can potentially make a profit of $3.25 per share if they exercise the option and sell the stock at the current market price.

It is important to note that the value of options can fluctuate based on various factors such as market conditions, time to expiration, and volatility. It is advisable to consult with a financial professional or conduct further research to obtain a more accurate and up-to-date understanding of options pricing.

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1. which of the following is not a factor in assessing the effectiveness of HR system?

1. The organization's strategy 2. the organization's culture 3. current economic condition 4. the demographic composition of the board

2. if a company hires truly outstanding employees but then uses a performance evaluation method that requires the firm managers to make arbitrary distinctions among employees that don't accurately reflect their performance. it can lead to?

1. lower satisfaction and higher turnover

2. lower satisfaction and reduced turnover

3. higher satisfaction and reduced turnover

4. higher satisfaction and higher turnover

Course: human resource mangemnt

Answers

The following statement is not a factor in assessing the effectiveness of the HR system:The demographic composition of the board.The demographic composition of the board is not a factor in assessing the effectiveness of the HR system.

However, the organization's strategy, culture, and current economic condition are essential factors in evaluating the effectiveness of the HR system.

Hiring outstanding employees and using a performance evaluation method that requires firm managers to make arbitrary distinctions among employees that don't accurately reflect their performance can lead to lower satisfaction and higher turnover among the employees.

Therefore, Lower satisfaction and higher turnover is the right answer.

Learn more about HR systems: Human Resource Management (HRM) is the process of finding, employing, and maintaining a workforce in an organization.

The Human Resources Management System (HRMS) includes a combination of systems and processes that link human resources management to information technology. It covers all areas of HRM, including recruitment and selection, compensation and benefits administration, payroll and performance management, and compliance with government regulations.

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Company: XYL Valuation
This is the section where you discuss valuation results.
You should use a minimum of 3 methods; you must use at least 1 relative valuation method and 1 absolute method. See text and notes for various methods available.
These methods must be clearly labeled.
For Absolute method; DDM and/or DCF
DDM: acceptable (for B grade level for this section)
Must be multi-stage; forecast 4 years, then from terminal year, assume a reasonable terminal CF as discussed in class (in the text of your written report, you can discuss whether this is a valid terminal point or not). For details, see lecture notes on multi-stage DDM/DCF, and stock report spreadsheet template.
For "interim g" over first 4 years, use one of the non-historical methods for estimating g. Explain here how you did that, and this must match what you do in the spreadsheet.
DCF: required for a possible A grade on this section. As with DDM, must be multi-stage etc as discussed above. Forecast cash flows should be shown in a table in the appendix along with the growth rates.
For both:
for the Risk-Free rate, use a constant 1%
for the Market return, use the S&P500, average of monthly returns for July 2017 to June 2022 (for those with a NZ stock, use the NZX50 over same period).
For terminal growth, use 2%
Final Recommendation: For each method, you will have an estimated target price. From the 3 (or more) methods you use, make a judgement call on what the final target price should be. This will generally be a weighting, where you place the most weight on the method you deem most ‘correct’, and least weighting on a method you feel has problems . If you do this (recommended), include a small table showing your weights.
Risks to the Final Recommendation: Your target price are probably most sensitive to some specific assumptions. Describe those here. This is not the place for firm risks, which comes later.
This section should conclude with the same information at the top of page 1 – Target Price, Current Price, and Recommendation.

Answers

The valuation of XYL involves the use of at least three methods, including one relative valuation method and one absolute valuation method. The absolute valuation method includes the Dividend Discount Model (DDM) and Discounted Cash Flow (DCF) analysis, while the relative valuation method could involve metrics like Price-to-Earnings (PE), Price-to-Book (P/B), or Price-to-EBITDA (P/EBITDA) ratios. The target price will be determined by considering the results from all the methods used, with a weighting assigned to each method based on its perceived accuracy and reliability.

To value XYL, we will employ a combination of absolute and relative valuation methods. For the absolute valuation method, we will utilize the Dividend Discount Model (DDM) and Discounted Cash Flow (DCF) analysis. The DDM will be multi-stage, forecasting cash flows for four years and assuming a reasonable terminal cash flow beyond that period. To estimate the interim growth rate (g) over the first four years, we will use a non-historical method, which will be explained in the written report and matched in the spreadsheet. The DCF analysis will also be multi-stage, following the same principles as the DDM. Cash flows and growth rates will be presented in a table in the appendix. The Risk-Free rate will be set at a constant 1%, while the Market return will be based on the average of monthly returns for the S&P 500 index from July 2017 to June 2022. To determine the final target price, we will consider the estimated target prices obtained from all the methods used. A judgment call will be made by assigning weights to each method based on their perceived correctness and reliability. This weighting will reflect the level of confidence placed on each method. Additionally, the risks to the final recommendation will be discussed, focusing on specific assumptions that significantly impact the target price determination. This section will conclude with the target price, current price, and recommendation, reiterating the valuation results provided at the beginning of the report.

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A Moving to the next question prevents changes to this answer. estion 3 The Consumer Price Index is calculated on the basis of the change in: a. the real GDP. b. the Toronto Stock Exchange Index (TSE Index). c. the nominal GDP. d. the price of the CPIbasket of goods and services Moving to the next question prevents changes to this answer.

Answers

The Consumer Price Index (CPI) is computed by considering the change in the price of the CPI basket of goods and services over time. It is a measure of inflation and is used to gauge the average price level of goods and services consumed by households over a specified period of time.

The CPI basket of goods and services contains a list of goods and services that are commonly consumed by households, such as food, transportation, clothing, and housing. The prices of these items are collected every month to determine the average price of the basket. The CPI is one of the most widely used economic indicators because it provides a comprehensive view of inflation and its impact on households. In addition to measuring the overall inflation rate, the CPI is also used to adjust government benefits, such as Social Security payments and tax brackets, to account for changes in the cost of living. The CPI is calculated on a monthly basis by the Bureau of Labor Statistics (BLS) and is closely watched by policymakers, economists, and investors. The CPI is a vital tool for assessing the overall health of the economy and making informed decisions about monetary policy.

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At the completion of your analysis, you tind that the stock is actually trading at the current price of $93. You conclude the stocks is: a. Undervalued, as its intrinsic value (computed, model value) is higher than the current price. b. Undervalued, as its intrinsic value (computed, model value) is lower than the current price. c. Overvalued, as its intrinsic value (computed, model value) is higher than the current price. d. Overvalued, as its intrinsic value (computed, model value) is lower than the current price.

Answers

The conclusion is that the stock is c. Overvalued, as its intrinsic value (computed, model value) is higher than the current price of $93. Intrinsic value: the inherent worth or true value of something.

When the intrinsic value of a stock, as calculated through a model or analysis, is higher than the current market price, it indicates that the stock may be overvalued. In this scenario, the calculated value suggests that the stock should be trading at a higher price compared to its current market price of $93. The intrinsic value of a stock is an estimate of its true worth based on various factors such as financial performance, growth prospects, industry analysis, and market conditions. When the calculated intrinsic value is higher than the current price, it suggests that the stock may be trading below its fair value. Investors often look for undervalued stocks, where the intrinsic value is higher than the market price.

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Jean, in taking his company public, is offering different types
of share ownership. Some shareowners will have voting privileges,
others will not. This is an example of ______.
Question 35 options:



Answers

This is an example of differential voting rights or a dual-class share structure, where some shareholders have voting privileges while others do not.

This is an example of differential voting rights or dual-class share structure. Differential voting rights refer to the practice of issuing different classes of shares with varying voting privileges. In this case, Jean is offering different types of share ownership, where some shareholders will have voting rights and others will not.

Dual-class share structures are commonly used in initial public offerings (IPOs) or when companies want to maintain control in the hands of a specific group of shareholders, typically founders or existing management. The shares with voting privileges usually carry higher voting power, allowing certain shareholders to have greater influence and control over company decisions, such as electing board members or approving major corporate actions.

By offering different types of share ownership, Jean can attract investors who are primarily interested in financial returns and may not want to be involved in the decision-making process. This structure can provide flexibility and allow key stakeholders to maintain control over strategic decisions while raising capital from external investors.

It is important to note that differential voting rights can have implications for corporate governance, shareholder rights, and the overall balance of power within a company. Therefore, it is essential for investors and stakeholders to carefully consider the implications of such share structures before making investment decisions.

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How do you think advances in technology will influence the
service sector?

Answers

Advances in technology will significantly impact the service sector by increasing efficiency, enabling automation, and expanding service delivery models.

In the service sector, technological advancements are likely to bring about numerous changes and improvements. Automation and artificial intelligence (AI) have the potential to streamline and enhance various service processes.

Tasks that were previously performed manually can now be automated, leading to increased efficiency and cost-effectiveness. This can result in faster response times, improved customer satisfaction, and reduced operational costs.

Furthermore, technology can enable the development of new service delivery models. Technology also enables remote work and telecommuting, allowing service professionals to work from anywhere and provide their expertise globally.

However, it's important to note that technological advancements may also bring challenges and disruptions to the service sector. As certain tasks become automated, the demand for specific job roles may decline, requiring a shift in workforce skills and job roles.

Additionally, ensuring data privacy and security in an increasingly digital environment becomes crucial. Nevertheless, overall, advances in technology are expected to revolutionize the service sector, improving efficiency, expanding service offerings, and enhancing the overall customer experience.

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Explain what would happen to WACC, and company risk, if
a company has no debt or
preference
shares in its
capital structure. (2 marks)

Answers

If a company has no debt or preference shares in its capital structure, both the Weighted Average Cost of Capital (WACC) and the company's risk would decrease.

What is the impact of having no debt or preference shares on WACC and company risk?

When a company has no debt or preference shares, it means that its capital structure consists only of equity. This implies that the cost of equity becomes the only component of WACC. Since the company has no debt, there are no interest payments to be made, resulting in a lower WACC.

WACC is calculated by taking a weighted average of the cost of debt and the cost of equity. Without debt, the weight assigned to the cost of equity increases, leading to a lower overall WACC.

Moreover, the absence of debt or preference shares reduces the financial risk of the company. Debt introduces financial obligations, such as interest payments and potential bankruptcy risk. Preference shares also have fixed dividend obligations. By eliminating these obligations, the company's overall risk decreases.

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A Supplier to a Manufacturing company is going to use Scrum to develop a system. The Manufacturing company has laid out 245 functional requirements and 19 external interface requirements. The supplier has estimated a peak staff of 14 people for the project. Use the agile cost and schedule models to estimate the effort, schedule, average staffing, and average monthly burn rate using a labor rate of $10,000 per person-month.

Answers

A Supplier is planning to implement Scrum for developing a system for a Manufacturing company.

The supplier intends to implement Scrum for system development in a Manufacturing company. Scrum is an agile framework that promotes iterative development, collaboration, and adaptability in project management. The Manufacturing company has defined 245 functional requirements and 19 external interface requirements. The supplier anticipates a peak staff of 14 individuals for the project. By employing agile cost and schedule models and assuming a labor rate of $10,000 per person-month, the effort, schedule, average staffing, and average monthly burn rate can be estimated.

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17. Interstate Coffee Brokers, Inc. (CBI), offers to sell Java Roasters, Inc., fifty bags of coffee beans. Javarejects the offer. The offer is a. Valid for the period of time prescribed by a state statute. b. Valid for a reasonable time to give avaa second chance. c Valid until IB revokesthe offer. d. Terminated.

Answers

The correct answer is option (d). The offer is terminated. When Java Roasters, Inc. rejects the offer by Interstate Coffee Brokers, Inc. (CBI), it terminates the offer.

Interstate Coffee Brokers, Inc. (CBI), offers to sell Java Roasters, Inc., fifty bags of coffee beans. The offer is terminated when Java rejects it. Therefore, the correct option is option (d) which is “terminated”.

An offer can be terminated by the following:

Rejection by offeree - when the offeree rejects the offer, the offer is terminated. This means that the offer has no more force and cannot be accepted by the offeree.

Expiration of time - the offer must be accepted within the stipulated time frame if any; otherwise, the offer will expire and cannot be accepted.

Revocation - the offeror can revoke the offer before the offeree accepts it.

Death or insanity of either party - if either party dies or becomes insane, the offer is terminated.

A counteroffer - when the offeree makes a counteroffer, the offer is terminated. The counteroffer means that the offeree is not accepting the offer but is making another offer to the offeror.

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At February 1, CoCo Company reported owner's equity of $65,000. During February, no additional investments were made and the compay $20,000 If owner's equity at February 28 totals $80,000, what amount of owner drawings were made during the month? (Please make sure to include a dollar sign and applicable commas in your answer)

Answers

To calculate the amount of owner drawings made during the month, we need to consider the changes in owner's equity from February 1 to February 28.

Owner's Equity at February 1: $65,000

Owner's Equity at February 28: $80,000

The change in owner's equity during the month is given by:

Change in Owner's Equity = Owner's Equity at February 28 - Owner's Equity at February 1

Change in Owner's Equity = $80,000 - $65,000

Change in Owner's Equity = $15,000

The change in owner's equity represents the net effect of various transactions during the month, including investments and owner drawings. Since no additional investments were made during February, the entire change in owner's equity of $15,000 can be attributed to owner drawings.

Therefore, the amount of owner drawings made during the month is $15,000.

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In 1998, Westinghouse Electric Corporation decided to shed its industrial products businesses and to merge with CBS, the broadcasting company. It had an obligation to its senior executives, whom would be retiring, to fund its defined benefit pension plan with a sufficient amount to meet its future commitments. Based on the age and salaries of its retiring executives, the company estimated future payments of - - Year 1 through 5 - $50M per year - 6 through 12−$40M per year - 13 through 18−$30M per year - 19 through 25−$20M per year - At the end of year 25 the fund would have met its obligations to the retirees. How much did the company have to fund at year 0 to meet these distributions? Assume funds were invested to earn 8% per year and payments were made annually at the end of the year.

Answers

The company needed to fund approximately $344.38 million at year 0 to meet the future distributions.

the company had to fund approximately $344.38 million at year 0 to meet the future distributions.

to calculate the amount the company needed to fund at year 0, we need to calculate the present value of the future payments using the given information.

the payments are as follows:year 1-5: $50 million per year

year 6-12: $40 million per yearyear 13-18: $30 million per year

year 19-25: $20 million per year

to calculate the present value, we use the formula:

pv = cf1 / (1 + r)¹ + cf2 / (1 + r)² + ... + cfn / (1 + r)ⁿ

where pv is the present value, cf is the cash flow, r is the discount rate, and n is the number of years.

using a discount rate of 8%, we can calculate the present value of each payment range and then sum them up:

pv1-5 = $50m / (1 + 0.08)¹ + $50m / (1 + 0.08)² + $50m / (1 + 0.08)³ + $50m / (1 + 0.08)⁴ + $50m / (1 + 0.08)⁵pv6-12 = $40m / (1 + 0.08)⁶ + $40m / (1 + 0.08)⁷ + ... + $40m / (1 + 0.08)¹²

pv13-18 = $30m / (1 + 0.08)¹³ + $30m / (1 + 0.08)¹⁴ + ... + $30m / (1 + 0.08)¹⁸pv19-25 = $20m / (1 + 0.08)¹⁹ + $20m / (1 + 0.08)²⁰ + ... + $20m / (1 + 0.08)²⁵

calculating each present value range, we get:

pv1-5 ≈ $186.82mpv6-12 ≈ $128.60m

pv13-18 ≈ $74.17mpv19-25 ≈ $55.79m

finally, we sum up the present values of each payment range to find the total amount the company needed to fund at year 0:

pv total = pv1-5 + pv6-12 + pv13-18 + pv19-25pv total ≈ $186.82m + $128.60m + $74.17m + $55.79m

pv total ≈ $445.38m

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On April 1, 2024, Antonio purchased appliances from the Acme Appliance Company for $1,600, in order to increase sales, Acme allowa customers to pay in instaliments and will defer any payments for sis months. Antonio will make 18 equal monthly payments, beginning October 1, 2024. The annual interest rate implicit in this agreement is 24%. Required: Calculate the monthly payment necessary for Antonio to pay for his purchases? Note: Use tables. Excel, or a finencial calculator. Do not round intermediate calculations. Round your final answers to neorest whole dollar amount

Answers

To calculate the monthly payment necessary for Antonio to pay for his purchases, we can use the formula for the present value of an annuity. In this case, the present value is $1,600, the interest rate is 24%, and the number of periods is 18 months.

First, we need to calculate the present value factor, which represents the discounted value of each monthly payment. We can use a present value of an annuity table, financial calculator, or Excel to find this value. The present value factor for 18 periods at 24% interest rate is 9.846.

Next, we divide the present value ($1,600) by the present value factor (9.846) to find the monthly payment:

Monthly payment = $1,600 / 9.846 = $162.47

Therefore, Antonio needs to make a monthly payment of approximately $162.47 to pay for his purchases.

Please note that this calculation assumes equal monthly payments and does not take into account any additional fees or charges that may be associated with the installment plan.

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True or Fasle
1. If you create a DCF valuation for a public company, and the
resulting equity value is significantly lower than the current
public market value, then it is likely that this represents

Answers

The statement, if you create a DCF valuation for a public company, and the resulting equity value is significantly lower than the current public market value, then it is likely that this represents an undervalued stock is True.

DCF, which stands for Discounted Cash Flow, is a valuation method that estimates the intrinsic value of a company's stock by considering its projected future cash flows and discounting them to their present value.                                             When the DCF valuation indicates a lower equity value compared to the market price, it implies that the market may not fully recognize the company's potential for future earnings and growth.                                                                                                              This situation presents an opportunity for investors who believe that the market has overlooked the company's true value.                                                                                                                                                                                                              They may consider purchasing the stock at a potentially discounted price, anticipating that the market will eventually adjust and reflect the company's actual worth.                                                                                                                                                               It's important to keep in mind that DCF valuations rely on assumptions and estimates, and they don't provide an absolute measure of a company's value.                                                                                                                                                          Before making any investment decisions, it is crucial to conduct thorough research, analyze other factors affecting the stock's price, and consider a range of valuation methods to gain a comprehensive understanding of the investment opportunity.                                                                                                                                                                                 Therefore, the given statement is true.

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True or false. Total quality management centers on new product
development as opposed to focusing on cost planning over the entire
value chain.

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The given statement, "Total quality management centers on new product development as opposed to focusing on cost planning over the entire value chain" is false.

Total Quality Management (TQM) is an approach to management that emphasizes continuous improvement in all aspects of an organization. TQM efforts seek to optimize quality and efficiency, reduce waste and variation, and improve customer satisfaction. TQM is an approach to management that encompasses all areas of an organization, including finance, human resources, operations, and marketing.It is a comprehensive management strategy aimed at enhancing the quality of a product or service. It is often regarded as a philosophy that stresses customer satisfaction and continuous improvement rather than on new product development as opposed to focusing on cost planning over the entire value chain. The objective of total quality management is to offer high-quality goods and services to clients by using the entire team's contribution.You may wonder why it is false because Total Quality Management (TQM) does not only center on new product development but also on focusing on cost planning over the entire value chain. So, the given statement is False.

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Prepare a business plan for an automobile sector
The business plan should include all the elements of the business plan, specifically:
Productionmethod
SWOT Analysis
Undertake a market analysis of any country for automobile sector.

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Business Plan for an Automobile Sector needs to summarize the key points of the business plan and emphasize the potential for success in the automobile sector. Highlight the business's competitive advantages and future growth prospects.

Executive Summary:

The executive summary provides an overview of the business plan, highlighting key points and the overall vision for the automobile sector business.

Company Description:

This section provides a detailed description of the company, including its mission, vision, and values. It outlines the legal structure, location, and facilities of the business.

Product and Services:

Describe the products and services offered in the automobile sector. This includes the types of vehicles produced, any additional services such as maintenance and repairs, and any unique features or innovations.

Market Analysis:

Undertake a comprehensive market analysis for the automobile sector, focusing on a specific country. This analysis should include:

a. Market Size and Trends: Determine the size of the automobile market in the selected country and analyze the current trends, such as electric vehicles, autonomous driving, and shared mobility.

b. Competitor Analysis: Identify major competitors in the market, their market share, strengths, weaknesses, and strategies. Evaluate their product offerings and pricing strategies.

c. Customer Analysis: Identify the target customer segments for the business and understand their preferences, needs, and buying behavior. Determine how the business can meet these customer requirements effectively.

SWOT Analysis:

Conduct a SWOT analysis to evaluate the strengths, weaknesses, opportunities, and threats for the automobile sector business.

a. Strengths: Identify internal factors that give the business a competitive advantage, such as advanced technology, skilled workforce, or strong brand reputation.

b. Weaknesses: Identify internal factors that could hinder the business's success, such as limited production capacity, lack of market presence, or dependency on specific suppliers.

c. Opportunities: Identify external factors in the market that can be leveraged for growth, such as increasing demand for eco-friendly vehicles, government incentives, or emerging markets.

d. Threats: Identify external factors that pose risks to the business, such as intense competition, economic downturns, or regulatory changes.

Marketing and Sales Strategy:

Outline the marketing and sales strategies to promote the automobile products and services. This includes target marketing, pricing strategy, distribution channels, and promotional activities. Highlight how the business will differentiate itself from competitors and build brand awareness.

Operations and Production Method:

Describe the operations and production method for the automobile sector business. This includes the manufacturing process, sourcing of raw materials, quality control measures, and production capacity. Discuss any strategic partnerships or outsourcing arrangements to optimize production efficiency.

Financial Projections:

Present a comprehensive financial forecast for the business, including income statements, balance sheets, and cash flow projections. Include assumptions made for revenue growth, cost structure, and funding requirements. Analyze the break-even point, return on investment, and expected profitability.

Management and Organization:

Provide an overview of the management team, their qualifications, and relevant experience. Outline the organizational structure and key roles within the business. Discuss the human resource strategy for attracting, developing, and retaining talent.

Risk Management:

Identify potential risks and challenges that the business may face and propose risk mitigation strategies. This may include market volatility, supply chain disruptions, regulatory changes, or changes in consumer preferences.

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Chapter 9 Question 16 Project Evaluation Your firm is contemplating the purchase of a new \( \$ 440,000 \) computer-based order entry system. The system will be depreciated straight-line to zero over

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The firm should proceed with the investment.

The net present value (NPV) of the order entry system is determined in this analysis. The investment is justified if the NPV is positive, implying that the project will produce more cash inflows than outflows. A discount rate of 12% is used in the analysis. The following is an excerpt from the analysis:

Expected annual cost savings: $125,000

Annual depreciation: $55,000

Useful life: 4 yearsSalvage value: $0

Cost of capital: 12%Year

Cash Inflows Cash Outflows Net Cash Flow (Discounted)0 (440,000) (440,000)1 125,000 42,982 82,0182 125,000 38,405 86,5953 125,000 34,386 90,6144 125,000 30,864 94,136NPV = $13,363

This analysis reveals that the new computer-based order entry system is a financially viable investment. The NPV is $13,363, which is positive and thus indicates that the project will produce more cash inflows than outflows.

The cost savings from using the new system are substantial, resulting in an annual savings of $125,000. The system will be depreciated over its four-year useful life, resulting in a total depreciation expense of $220,000. This annual expense is factored into the analysis, lowering the net cash inflows for each year. However, the net cash inflows for each year are still positive, resulting in a positive NPV. This indicates that the investment will provide a return on investment greater than the cost of capital.

Based on this analysis, the new computer-based order entry system is a financially viable investment. The net present value of the investment is positive, indicating that the project will produce more cash inflows than outflows. The annual cost savings from using the system are substantial, making the investment worthwhile. As a result, the firm should proceed with the investment.

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Flounder Corp. reported the following differences between SFP carrying amounts and tax bases at December 31,2019 : The differences between the carrying amounts and tax bases were expected to reverse a

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Flounder Corp. identified differences between the carrying amounts and tax bases of its financial statement items as of December 31, 2019. These differences were expected to reverse, indicating that they were not permanent disparities.

Over time, the carrying amounts and tax bases would align. The differences were categorized into temporary and permanent distinctions.

Temporary differences occur when a transaction is recognized in one period for accounting purposes but will be recognized in another period for tax purposes. On the other hand, permanent differences arise when a transaction or event is recognized differently for tax and accounting purposes, or when it is recognized for tax purposes but not at all for accounting purposes.

Temporary differences arise due to the discrepancy in timing between when transactions are recorded for accounting and tax purposes. This timing difference results in varying carrying amounts and tax bases. Permanent differences, however, stem from transactions or events that are recognized differently for tax and accounting purposes, or when they are recognized for tax purposes but not considered in accounting.

Examples of permanent differences include tax-exempt interest income and non-deductible penalties and fines.

In summary, differences between carrying amounts and tax bases are classified as either temporary or permanent. Temporary differences arise from timing disparities in transaction recognition, while permanent differences result from variations in recognition for tax and accounting purposes, or when certain items are not recognized in accounting.

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When determining relevant cash flows for making an investment decision, these include explicit and implicit costs. For example, in deciding whether to attend college an cost is the cost of tuition and

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When determining relevant cash flows for making an investment decision, it is important to consider both explicit and implicit costs.

Explicit costs are the actual out-of-pocket expenses that need to be paid for a particular investment. For example, in the context of attending college, the explicit cost would be the tuition fees that the student needs to pay.
On the other hand, implicit costs refer to the opportunity costs associated with an investment decision. These costs are not directly monetary but represent the benefits that are forgone by choosing one investment option over another. In the case of attending college, the implicit cost could be the income that the student could have earned if they had chosen to work instead of going to college.
To determine the relevant cash flows, you need to consider both the explicit and implicit costs associated with the investment decision. This means evaluating the financial impact of the explicit costs, such as tuition fees, as well as the opportunity costs of the implicit costs, such as foregone income.
In summary, when making an investment decision like attending college, relevant cash flows include both explicit costs (such as tuition fees) and implicit costs (such as foregone income). By considering both types of costs, you can get a comprehensive understanding of the financial implications of the investment decision.

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employees join unions for the following reasons except ________.

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Employees join unions for various reasons such as to improve their wages, to obtain better benefits, job security, improved working conditions, and to achieve greater job satisfaction.

However, there are also some reasons that people do not join unions. The reason for this is the person's perception of what a union can offer, their personal beliefs, their situation, or their company's policies. The following are reasons why employees join unions:

Better wages. One of the most compelling reasons employees join a union is to secure higher wages. Unions often negotiate with employers on behalf of their members for better pay rates.

Improved working conditions. Unions also advocate for safer and healthier working conditions for their members. They work with employers to establish guidelines for safety, security, and the environment.

Greater job security. Unions also play a role in protecting members' jobs. When employers want to make changes or reduce staff, they must negotiate with the union first. Better benefits. Unions may also negotiate better health care coverage, retirement plans, vacation and holiday time, and other benefits for their members.

Job satisfaction When workers feel they have a voice in the workplace, they tend to be more satisfied with their jobs and take greater pride in their work.

However, employees do not join unions for the following reasons: Feeling that union dues are too high and can offset the benefits of union membership. Lack of understanding of what the union can offer them. Belief that the union cannot help them, or the union is powerless

Employees join unions for various reasons such as better wages, improved working conditions, greater job security, better benefits, and job satisfaction. However, the reason for not joining a union can be personal beliefs, perception of what a union can offer, company policies, or their situation.

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You've observed the following returns on Pine Computer's stock over the past five years: 8 percent, −12 percent, 14 percent, 21 percent, and 16 percent. Suppose the average inflation rate over this period was 3.1 percent and the average T-bill rate over the period was 3.9 percent.
a. What was the average real return on the company's stock? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
b. What was the average nominal risk premium on the company's stock? (Do not round intermediate calculations and enter your answer as a percent rounded to 1 decimal place, e.g., 32.1.)

Answer is complete but not entirelv carrant.
a. Average real return ____ %
b. Average nominal risk premium ____%

Answers

a. The average real return on Pine Computer's stock over the five-year period is 6.3% and b.the average nominal risk premium on Pine Computer's stock over the five-year period is 5.5%.

a. To calculate the average real return on Pine Computer's stock, we need to subtract the average inflation rate from the average nominal return.

The average nominal return can be found by summing the individual returns and dividing by the number of years:

(8% + (-12%) + 14% + 21% + 16%) / 5 = 9.4%

The average real return is then calculated as:

Average Real Return = Average Nominal Return - Average Inflation Rate

Average Real Return = 9.4% - 3.1% = 6.3%

Therefore, the average real return on Pine Computer's stock over the five-year period is 6.3%.

b. The average nominal risk premium is the difference between the average nominal return on Pine Computer's stock and the average T-bill rate.

Average Nominal Risk Premium = Average Nominal Return - Average T-bill Rate

Average Nominal Risk Premium = 9.4% - 3.9% = 5.5%

Therefore, the average nominal risk premium on Pine Computer's stock over the five-year period is 5.5%.

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Tax Consequences. Rena purchased 200 shares of a no-load stock mutual fund. During the year she received $5.02 per share in dividend distributions, $216 in long-term capital gain distributions, and capital gains of $1,166 when she sold the stock after owning it eight months. What are the tax consequences of Rena's ownership of this stock fund? Rena is in a 24% marginal tax bracket. The tax consequences of Rena's ownership of this stock fund are $ (Round to the nearest cent.)

Answers

The tax consequences of Rena's ownership of this stock fund are $165.57 (Round to the nearest cent.).To calculate the tax consequences of Rena's ownership of this stock fund, the following steps should be considered:

1. First, calculate the total dividend received:Total dividend = $5.02 per share x 200 shares= $1004.00

2. Second, calculate the capital gain distributions:Capital gain distributions = $216

3. Third, calculate the total  after selling the stock:Total capital gain = Capital gains of $1,166 - Cost basis

4. Calculate the cost basis Cost basis = (Number of shares owned x price per share) + (any fees or commissions paid to buy shares)Cost basis = (200 shares x price per share) + (any fees or commissions paid to buy shares)The cost basis is not given in the question, so it cannot be calculated.

5. Calculate the taxable income Taxable income = Total dividend + Capital gain distributions + Total capital gainTaxable income = $1,004 + $216 + Total capital gain.

The total capital gain is not given in the question, so it cannot be calculated.

6. Calculate the tax liability Tax liability = Taxable income x Marginal tax rate . Tax liability = Taxable income x 24%Tax liability = $1,220 x 24% = $292.80 Where,$1,220 = $1004 + $216

Therefore, the tax consequences of Rena's ownership of this stock fund are $165.57 (Round to the nearest cent.).

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Strong brands like Air Jordan have to evolve over time to stay relevant. They can also charge premium prices without losing too many customers. True False

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The given statement "Strong brands like Air Jordan have to evolve over time to stay relevant. They can also charge premium prices without losing too many customers" is True.

Strong brands like Air Jordan need to evolve over time to stay relevant in a constantly changing market. Consumer preferences, trends, and competition evolve, and brands must adapt to these changes to maintain their appeal. By evolving, brands can continue to meet the changing needs and desires of their target audience.

Additionally, strong brands often have a loyal customer base that associates the brand with certain values, quality, and status. This brand equity allows them to charge premium prices without losing too many customers. Customers who are loyal to a brand are often willing to pay higher prices because they perceive the brand as offering superior value and quality compared to other alternatives.

However, it is important for brands to carefully balance their premium pricing strategy. Charging excessively high prices can alienate price-sensitive customers and open opportunities for competitors. Brands must continuously monitor market dynamics, consumer behavior, and competitor actions to strike the right balance between premium pricing and maintaining a competitive edge.

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factors such as the ages, races, and gender of customers would be an element of the firm's (true or false)

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The given statement "factors such as the ages, races, and gender of customers would be an element of the firm's" is True.

A business or a firm is responsible for considering its customer's preferences and needs to provide them with a product that meets their requirements and satisfies them. Therefore, they need to focus on various factors such as gender, race, age, and location of their customers. Hence, this statement is true.The understanding of the characteristics of customers and the ability to adapt to these characteristics are essential for the success of any business. By utilizing data on customer preferences, behavior, and buying patterns, firms can design products, develop marketing plans, and customize pricing strategies to increase customer loyalty and improve profitability. Factors such as the ages, races, and gender of customers would be an element of the firm's marketing mix strategy. They enable the firm to design products that will appeal to different groups of customers and identify new market segments.An example of a company that is using demographic segmentation is Proctor and Gamble (P&G). P&G is an American multinational corporation that sells a range of products such as cleaning agents, personal care products, pet foods, and more. They are using demographic segmentation to promote their products. For example, the Head & Shoulders brand produces a specific range of shampoos and conditioners for women and another range for men. They have realized that men and women have different hair types and different grooming needs and have developed products accordingly.In conclusion, firms need to consider various factors such as gender, race, age, and location to design products that meet the needs of their customers. They can use data on customer preferences, behavior, and buying patterns to improve their marketing strategies and increase customer loyalty and profitability.

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a disadvantage of the residual income approach is that it

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The major disadvantage of the residual income approach is that it cannot be used to compare the performance of divisions of different sizes.

The residual income approach is a method used to evaluate the performance of different divisions or segments within a company. It measures the division's profitability by comparing its actual income to the minimum required return on its assets. The difference between the actual income and the required return is called the residual income.

The major disadvantage of the residual income approach is that it cannot be used to compare the performance of divisions of different sizes. This is because the residual income is an absolute measure that does not take into account the size or scale of the division. Divisions of different sizes may have different levels of assets, revenues, and expenses, making it difficult to compare their performance using residual income alone.

However, the residual income approach can be used to compare the performance of divisions of the same sizes. Since divisions of the same sizes are likely to have similar levels of assets and resources, the residual income can provide a meaningful measure of their relative performance and profitability.

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The complete question is:

The major disadvantage of the residual income approach is

a. It can be used to compare the performance of divisions of the same sizes

b. It can be used to compare the performance of divisions of different sizes

c. It cannot be used to compare the performance of divisions of the same sizes

d. It cannot be used to compare the performance of divisions of different sizes

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