the process that an investment bank goes through of polling potential investors regarding their interest in a forthcoming initial public offering (ipo) is called ________.

Answers

Answer 1

The process that an investment bank goes through of polling potential investors regarding their interest in a forthcoming initial public offering (IPO) is called bookbuilding.

This process involves getting indications of interest from institutional investors, wealthy individuals, and other interested parties who are likely to invest in the IPO.

The process of bookbuilding usually starts with an indication of interest, which is a non-binding indication of the investor's interest in participating in the IPO. The investment bank then determines the price range for the IPO, which is usually based on a range of factors, such as the financial performance of the company, the industry outlook, and the market conditions.

Bookbuilding is an important process in the IPO process, as it helps the investment bank to gauge the demand for the shares and determine the optimal price range for the IPO. By pricing the IPO correctly, the investment bank can ensure that the shares are sold at the highest possible price, which benefits both the company and the investors.

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Related Questions

Consider the following bonds with different time to maturity, T.

A B C D
T 6.5 6.0 7.5 7.0
Bond _____ has the highest interest rate risk and Bond _____ and the highest price sensitivity to interest rate movement.

Input a CAPITAL letter in each box.

[Note: interest rate risk = price sensitivity to the interest rate movement.]

Answers

Bond C has the highest interest rate risk, and Bond B has the highest price sensitivity to interest rate movement.

When it comes to bond investments, interest rate risk and price sensitivity to interest rate movement are closely related. Bonds with longer time to maturity are generally more sensitive to changes in interest rates, resulting in higher interest rate risk.

In the given scenario, Bond C has the longest time to maturity at 7.5 years, indicating that it has the highest interest rate risk. The longer the time to maturity, the more time there is for interest rates to fluctuate, impacting the bond's price.

On the other hand, price sensitivity to interest rate movement refers to how much a bond's price will change in response to a change in interest rates. Bonds with lower coupon rates, relative to prevailing market interest rates, tend to have higher price sensitivity.

In this case, Bond B has the lowest coupon rate at 6.0%. A lower coupon rate implies that the bond's cash flows are a smaller proportion of its initial investment, making it more sensitive to changes in interest rates. Therefore, Bond B has the highest price sensitivity to interest rate movement.

In summary, Bond C has the highest interest rate risk due to its longer time to maturity, while Bond B has the highest price sensitivity to interest rate movement because of its lower coupon rate.

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which of the following is a feature of variable annuity

Answers

The feature of variable annuity is that it gives investors the chance to choose among a range of different underlying investment options.

Variable annuities are a form of insurance contract that provides a stream of income in exchange for an initial investment. Variable annuities allow investors to choose from a variety of investment options to tailor the annuity to their individual needs. Variable annuities are a kind of retirement savings plan that provides the investor with a range of investment options from which to choose. The annuity's earnings are invested in stocks, bonds, and other investments that are selected by the annuity's holder. An annuity provides a guaranteed stream of income in exchange for the premium paid, which is invested in a range of different funds. The amount of money that the investor receives each month is dependent on the value of the funds at the time of the annuity's purchase. This offers the investor a level of diversification and risk management that they may not be able to achieve on their own.

The conclusion is that variable annuities are an appealing choice for investors who want more control over their retirement savings plan and the potential for higher payouts.

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Since U.S. investment is generally higher than U.S. national​ saving:

A.The U.S. current account balance is generally negative.

B.U.S. investment will fall in the future.

C.U.S. national saving will rise in the future.

D.the U.S. current account balance is generally positive.

Answers

Since U.S. investment is generally higher than U.S. national saving, the correct answer is A. The U.S. current account balance is generally negative.

To understand why this is the case, we need to look at the relationship between investment and saving. Investment refers to the amount of money put into productive assets, such as factories or equipment, in order to generate future income. Saving, on the other hand, is the portion of income that is not spent and is instead set aside for future use.

When U.S. investment is higher than U.S. national saving, it means that the country is spending more on productive assets than it is saving. This creates a deficit in the current account balance, which measures the difference between a country's exports and imports of goods, services, and financial transactions with the rest of the world.

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What is the role of an agency in the preparation of the
executive budget? Explain the constraints upon agencies regarding
their role in the preparation of the executive budget

Answers

The executive budget is a comprehensive spending plan that is created annually by the governor's office and is designed to reflect the administration's priorities.

A budget agency is a department of state government that oversees the preparation of the executive budget. Its main responsibility is to assist the governor in the preparation of the budget by providing technical and advisory assistance.

Each agency is responsible for developing its own budget and submitting it to the budget agency for review. The budget agency then reviews the agency's proposed budget, provides feedback, and makes recommendations. In addition, the budget agency is responsible for coordinating the budget development process with other state agencies and ensuring that the governor's priorities are reflected in the final budget.

There are a number of constraints upon agencies regarding their role in the preparation of the executive budget. One of the primary constraints is the governor's budget guidelines, which are issued annually by the governor's office. These guidelines provide direction to agencies on how to prepare their budgets, including specific instructions on the types of expenditures that are allowed.

Another constraint is the limited resources available to agencies. Most agencies are required to work within a fixed budget, which means that they must prioritize their spending and make tough decisions about which programs and services to fund.

Finally, agencies must comply with state and federal laws, regulations, and guidelines when developing their budgets. This includes complying with accounting and financial reporting standards, as well as ensuring that all spending is legal and appropriate.

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Nelson Heating And Ventilating Company estimates the coming years sales revenue based on external data. The company's main business is shopping mall construction, and it uses the square footage of each mall as a yardstick, for many financial statements and projections. The company does business in four midwest states. last year, it completed heating and ventilating systems in four shopping malls with an average size of 3,089,000 square feet for sales revenues of $9,609,000. Nelson is the primary contractor cor one of the new malls in the 4-state area. This coming year, 12 new malls are under construction with an average size 4,497,000 square feet. what is nelsons anticipated sales revenue for the coming year ?

Answers

Nelson's anticipated sales revenue for the coming year is approximately $13,958,695.

For calculating Nelson's anticipated sales revenue for the coming year, can use the average size of the new malls and the sales revenue generated from the previous year. By comparing the average square footage of the completed malls from last year (3,089,000 square feet) to the average size of the new malls under construction this year (4,497,000 square feet), can determine the growth rate.

The growth rate can be calculated by dividing the average size of the new malls by the average size of the completed malls [(4,497,000 / 3,089,000) = 1.455]. Then multiply the growth rate by the sales revenue from last year ($9,609,000) to find the anticipated sales revenue for the coming year. Therefore, Nelson's anticipated sales revenue for the coming year is approximately $13,958,695.

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The time passengers using Toronto Public Transit spend on a one-way trip, including stops between changing vehicles, forms a normal distribution with a mean of 52 minutes standard deviation of 14 minutes. Enter the results as a percentage to two decimal places or as a four-place decimal. a. What is the probability that the time spent on a one-way transit trip will between 60 and 85 minutes? b. What is the probability that time spent on a one-way transit trip will be less than 42 minutes? c. What is the probability the time spent on a one-way transit trip will be less than 30 minutes or more than 82 minutes?

Answers

We'll use the properties of the normal distribution and Z-scores. The Z-score allows us to standardize values and determine their corresponding probabilities.

a. To find the probability that the time spent on a one-way transit trip will be between 60 and 85 minutes, we need to calculate the area under the normal curve between these two values.

First, we need to calculate the Z-scores for each value:

Z1 = (60 - 52) / 14 = 0.5714 (rounded to four decimal places)

Z2 = (85 - 52) / 14 = 2.3571 (rounded to four decimal places)

Using a standard normal distribution table or a calculator, we can find the corresponding probabilities:

P(Z < 0.5714) = 0.7123 (rounded to four decimal places)

P(Z < 2.3571) = 0.9906 (rounded to four decimal places)

The probability between 60 and 85 minutes is the difference between these two probabilities:

P(60 < X < 85) = P(Z < 2.3571) - P(Z < 0.5714) = 0.9906 - 0.7123 = 0.2783 (rounded to four decimal places)

Therefore, the probability that the time spent on a one-way transit trip will be between 60 and 85 minutes is 0.2783 or 27.83%.

b. To find the probability that the time spent on a one-way transit trip will be less than 42 minutes, we need to calculate the area to the left of this value. Calculate the Z-score for 42 minutes:

Z = (42 - 52) / 14 = -0.7143 (rounded to four decimal places)

Using the standard normal distribution table or a calculator, we can find the corresponding probability:

P(Z < -0.7143) = 0.2389 (rounded to four decimal places)

Therefore, the probability that the time spent on a one-way transit trip will be less than 42 minutes is 0.2389 or 23.89%.

c. To find the probability that the time spent on a one-way transit trip will be less than 30 minutes or more than 82 minutes, we need to calculate the combined probabilities of two separate events: less than 30 minutes and more than 82 minutes.

First, let's calculate the probabilities individually:

P(X < 30) = P(Z < (30 - 52) / 14) = P(Z < -1.5714) ≈ 0.0584 (rounded to four decimal places)

P(X > 82) = P(Z > (82 - 52) / 14) = P(Z > 2.1429) ≈ 0.0160 (rounded to four decimal places)

To find the combined probability, we add the two individual probabilities:

P(X < 30 or X > 82) = P(X < 30) + P(X > 82) ≈ 0.0584 + 0.0160 = 0.0744 (rounded to four decimal places)

Therefore, the probability that the time spent on a one-way transit trip will be less than 30 minutes or more than 82 minutes is 0.0744 or 7.44%.

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A goverment set price floor on a product: does not interfere with the rationing function of price in a morket system. will dive resources awoy from the production of the product. Will attract mare resources towards the proctuction of the product. is intended to beriefit the buyers of the product.

Answers

A government-imposed price floor interferes with the rationing function of price, diverts resources away from the production of the product, and is intended to benefit sellers rather than buyers.

A government-imposed price floor on a product can indeed interfere with the rationing function of price in a market system. Price serves as a mechanism for balancing supply and demand by signaling scarcity or abundance. When a price floor is set above the equilibrium price, it creates a surplus of the product, as the quantity supplied exceeds the quantity demanded at the higher price. This disrupts the natural market mechanism of price rationing, where prices adjust to clear the market.

In terms of resource allocation, a price floor will divert resources away from the production of the product. With an artificially inflated price, producers are incentivized to allocate more resources towards the production of the product than would be justified by market demand. This allocation of resources can lead to inefficiencies and misallocation of resources, as other products or industries may offer higher returns or better serve consumer preferences.

Contrary to the assumption in the statement, a price floor is typically intended to benefit the sellers or producers of the product, not the buyers. It guarantees them a higher price and provides a level of protection against market fluctuations. However, it can be detrimental to buyers, as they may face higher prices and reduced access to the product due to the surplus generated by the price floor.

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Final answer:

A price floor is a legal minimum price set by the government, generally benefitting the producers more by directing more resources towards the production, but it does interfere with rationing function of price as it creates a surplus.

Explanation:

A government setting a price floor on a product is a form of price control in a market system. A price floor, which is a legal minimum price, usually directs more resources towards the production of a product. This is because when a business can guarantee that it will get a certain price for its goods, it is often more willing to produce more of those goods, thereby attracting more resources towards the production of the product.

However, a price floor does interfere with the rationing function of the price in a market system. In a normal market, prices help ration scarce goods and services to those consumers who value them most. When a price floor is set above the equilibrium price, it results in a surplus where quantity supplied exceeds quantity demanded. The key thing to remember here is that a price floor does not typically benefit the buyers of the product, it often benefits the sellers (producers) more.

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Beckett, Inc. has no debt outstanding and a total market value of \( \$ 240,000 \). Earnings before interest and taxes, EBT. Are projected to be \( \$ 28,000 \) if economic conditions are normal. If t

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Beckett Inc. is an organisation that has no debt and an overall market value of 240,000. In a typical economic climate, Earnings before interest and taxes, EBT, are expected to be 28,000. If the economy turns down, however, earnings are expected to be only 12,000.

The organisation can invest in a plant that would cost 80,000 and would produce a steady profit of 14,000 per year under both normal and bad economic conditions. The current cost of equity is 15%, and Beckett's tax rate is 40%.The expected value of earnings before interest and taxes (EBIT) under good economic conditions is 28,000, and under bad economic conditions, it is 12,000. The depreciation tax shield and net operating cash flow for each scenario is calculated as follows:Now, we will find out the depreciation tax shield by using the formula:

Depreciation tax shield = Depreciation * Tax RateThe net operating cash flow for the project will now be calculated.

We'll start with the cash inflow.Cash inflow = EBIT + Depreciation - TaxesThe project's cash outflow is equal to the annual principal and interest payments of 9,450. The net operating cash flow for the project can now be calculated using the cash inflow and outflow.Cash inflow = 14,000 + 6,400 = 20,400 Net Operating Cash Flow = Cash inflow - Cash outflow= 20,400 - 9,450= 10,950The net present value (NPV) is calculated as the present value of all future cash inflows minus the present value of all future cash outflows. Here is the formula:

[tex]NPV = Σ CFt / (1 + r)t - C0NPV = -$80,000 + $10,950 (PVA, 15%, 10 years)NPV = -$80,000 + $10,950 (6.710)NPV = -$80,000 + $73,515NPV = $7,515[/tex]

The NPV of the project is 7,515. As a result, Beckett should make the investment because the NPV is positive, indicating that the investment would be lucrative.

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A leader is able to influence subordinates because of his or her personality characteristics and behavior. These would be considered the personal bases of power, including referent power and expert power. Explain these power and in what situation These include legitimate, reward, coercive, and information power Explain each power with examples. (300-400 word).

Answers

A leader can influence their subordinates through their personality characteristics and behavior. Personal bases of power consist of referent power and expert power. Referent power is when a leader’s subordinates are willing to follow and do what the leader asks because they admire and trust the leader.

Expert power, on the other hand, is when the leader is respected by their subordinates for their knowledge and experience. They possess a high level of competence in their field. A leader who has these types of personal power is more likely to be able to influence their subordinates positively.

In addition to personal bases of power, there are also position bases of power. These include legitimate, reward, coercive, and information power. Legitimate power comes from the formal authority given to the leader by the organization. Reward power is the ability to provide rewards, such as promotions, salary increases, and bonuses. Coercive power is the ability to punish or sanction subordinates for not following orders.

Information power is when the leader possesses specific information that their subordinates need and have no other access to. Each power can be described as follows.Legitimate powerLegitimate power comes from the position held by the leader. The subordinates recognize the position of the leader in the organizational hierarchy and are expected to follow the commands given by the leader.

An example of legitimate power is when the supervisor of a factory gives orders to the employees. The employees follow the orders because the supervisor has a higher position in the organizational hierarchy.Reward powerReward power is the ability to reward someone who does what the leader wants. The reward could be anything from a salary increase to a promotion. An example of reward power is when a manager promotes an employee because of their good performance.

The employee is more likely to repeat their good performance in the future because they know that they will be rewarded. Coercive power Coercive power is the ability to punish someone who does not follow the leader’s instructions. The punishment could be anything from a warning to a demotion.

An example of coercive power is when a police officer issues a traffic ticket to someone who is violating traffic laws. The person is more likely to obey traffic laws in the future because they don’t want to be punished. Information power Information power is the ability to possess information that the subordinates do not have.

The leader uses this power to influence the subordinates by controlling access to information. An example of information power is when a scientist keeps their research data confidential until they publish it. No one else can access the data, so the scientist has control over who can use it.

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In a competitive market, the market demand is Qd = 60 −6P and the market supply is Qs = 4P. A price ceiling of $4 will result in

A. A shortage of 18 units.
B. A shortage of 20 units.
C. A surplus of 30 units.
D. A surplus of 12 units.
E. Neither a surplus nor a shortage.

Answers

In the competitive market,  Qd - Qs= 36 - 16= 20 units Hence, the correct option is B.

A shortage of 20 units.

In a competitive market, the market demand is Qd = 60 −6P and the market supply is Qs = 4P. A price ceiling of $4 will result in a shortage of 20 units. The price ceiling is the legal limit imposed on the price charged for a product. It is the highest price that a seller is permitted to charge for a product or service.

In the given question, the equilibrium price can be determined by equating the market demand and market supply

= Qs60 −6P

= 4P60

= 10PP

= $6Equilibrium quantity can be obtained by substituting

P = $6 in either demand or supply equation

= 60 −6PQd

= 60 − 6 × 6Qd

= 24 units now, with a price ceiling of $4, it is below the equilibrium price.

So, there will be a shortage of goods. It can be calculated by putting P = $4 in the demand and supply equation Qd = 60 −6PQd

= 60 − 6 × 4Qd

= 36 units Qs

= 4PQs  = 4 × 4Qs = 16 units Shortage

= Qd - Qs= 36 - 16= 20 units Hence, the correct option is B. A shortage of 20 units.

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1- how external organizational factors impact on diversity
management?
2-Mention and explain at least three actions to avoid employee
conflicts in a diverse organizational environment.

Answers

1. How external organizational factors impact on diversity management?External organizational factors are factors that are beyond the control of the organization but have an effect on the organization.

These factors have a significant impact on the management of diversity within the organization. The following are some of the external organizational factors that impact on diversity management:

1. Legal requirements: In many countries, diversity management is not just a matter of preference, but a legal requirement. 2. Demographics: Diversity management is impacted by demographics, including the age, gender, ethnicity, and culture of the workforce.

3. Competition: Companies that have a diverse workforce have a competitive edge over others

.4. Technological advancements: Technology has made it easier for companies to recruit a diverse workforce.

5. Customer preferences: As the customer base becomes more diverse, organizations need to have a workforce that reflects the diversity of their customers.

2. Mention and explain at least three actions to avoid employee conflicts in a diverse organizational environment.

1. Training: The first step to avoiding conflicts in a diverse workplace is to provide diversity training to employees.

2. Communication: Open and clear communication is essential in a diverse work environment. Managers should encourage open communication and active listening.

3. Policies and Procedures: Organizations should have policies and procedures in place that promote diversity and inclusion. These policies should be enforced consistently and fairly.

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21. Karl Teasdale used the Theory of Marginal Utility to
determine if he should buy another drink after the happy hour had
ended
true or false

Answers

False. Karl Teasdale did not use the Theory of Marginal Utility to determine if he should buy another drink after the happy hour had ended.

The Theory of Marginal Utility is an economic concept that suggests individuals make decisions based on the additional satisfaction or utility they derive from consuming one more unit of a good or service. It considers the trade-off between the marginal benefit and the marginal cost. However, the statement does not provide any information or context indicating that Karl Teasdale employed the Theory of Marginal Utility to decide whether to purchase another drink after the happy hour had ended.

Without further details or evidence, it is not possible to conclude whether Karl Teasdale considered marginal utility or any other decision-making framework to determine whether to buy another drink. It is important to note that individual decision-making can be influenced by various factors, including personal preferences, financial constraints, social considerations, and time constraints.

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7. Z Corporation reported the following balance sheet data for
2021 and 2020:








2021


2020




Cash


$161,500


$28,750




Available-for-sale debt securities








(not cash equivalents)



Answers

Z Corporation's total assets increased from $86,750 to $233,750 (an increase of $147,000) from 2020 to 2021.

Z Corporation reported the following balance sheet data for 2021 and 2020:2021 2020 Cash $161,500 $28,750 Available-for-sale debt securities (not cash equivalents) $72,250 $58,000Z

Corporation reported $161,500 and $28,750 for cash in 2021 and 2020, respectively.

Z Corporation's cash increased by $132,750 from 2020 to 2021.Z Corporation reported $72,250 and $58,000 for available-for-sale debt securities (not cash equivalents) in 2021 and 2020, respectively.

Z Corporation's available-for-sale debt securities increased by $14,250 from 2020 to 2021.

Therefore, Z Corporation's total assets increased from $86,750 to $233,750 (an increase of $147,000) from 2020 to 2021.

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Question 1 The Slade Company is an electronics company having eight (8) product lines. Income data for one of the products for the year just ended is as follows: Additional information: a) The electronics industry had severe competition throughout the year. Near the end of the year, Albany Co. Ltd which was experimenting with various components in its regular product line, offered N80 each for 3,000 units. The latter would have been in addition to the 200,000 units actually sold. Acceptance of this special order by The Slade Company would not affect regular sales. b) The Salesman hoped that the order might provide entrance into a new application so he told the Product Manager, that he would accept half his regular commission rate if the order is accepted. c) The Product Manager is afraid of the precedent that might be set by cutting the price as Albany Co. Ltd may come to expect a selling price that is below normal. Besides, the proposed N80 is less than the full cost of the product which is N95. Required: Should this special offer be accepted or rejected? Show computations using the total difference approach and relevant cost approach. [25 marks]

Answers

The company will earn an additional net profit of N3,030,000 if it accepts the offer.

In this situation, Slade Company needs to analyze the data and other information given to determine whether or not to accept the offer from Albany Co. Ltd. to purchase an additional 3,000 units of the product. The analysis is carried out using the total difference and relevant cost approach.

The total differential approach determines whether or not the special offer will result in increased profit for the company while the relevant cost approach determines the cost associated with producing an additional 3,000 units of the product. Total difference approach:

The additional revenue that will be earned if the company accepts Albany’s offer = 3,000 units x N80 per unit = N240,000Total revenue if the company accepts the offer = N22,000,000 + N240,000 = N22,240,000Cost of production of 200,000 units = 200,000 units x N95 per unit = N19,000,000Cost of production of additional 3,000 units = 3,000 units x N70 per unit = N210,000Total cost of production = N19,000,000 + N210,000 = N19,210,000Net profit earned if the company accepts the offer = N22,240,000 – N19,210,000 = N3,030,000

According to the total difference approach, Slade Company should accept the offer from Albany Co. Ltd. because it would result in an additional net profit of N3,030,000. The company would earn additional revenue of N240,000 while the cost of producing the additional units would be N210,000. The total revenue and total cost of production would be N22,240,000 and N19,210,000 respectively. Therefore, the company would earn a net profit of N3,030,000 if it accepts the offer. A relevant cost approach is also used to determine whether or not the company should accept the special offer.

Relevant cost is the additional cost incurred when producing an additional unit. The relevant cost of producing an additional unit of the product is N70 per unit. Therefore, the total cost of producing the additional 3,000 units would be N210,000. Since the additional revenue from selling the 3,000 units is greater than the relevant cost of production, Slade Company should accept the special offer.

The analysis carried out using the total difference and relevant cost approach shows that the special offer from Albany Co. Ltd. should be accepted by Slade Company. The company will earn an additional net profit of N3,030,000 if it accepts the offer.

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Plank Properties (Pty) Ltd (PP), a company founded in 20 success in the property market. It specialises in renovatin needs, as well as owning and leasing its own properties. Question 3 In the year under review, PP was involved in three renovation projects and earned a total revenue of R185 million and net profit after tax of R30 million. The company has 18 permanent staff members and employed 310 contract staff during the year. The company acquired equipment using cash reserves and has no loans. The company has five shareholders. Which one of the following is the correct statement? a. The company has a public interest score of more than 350 points and therefore has to be audited. b. The company does not have any loans; therefore, it is not possible to calculate the public interest score C. The company has a public interest score of 208 points and therefore does not have to be audited. d. The company has a public interest score of more than 350 , and therefore has to : be independently reviewed

Answers

Based on the given information , the correct statement is C. The company has a public interest score of 208 points and therefore does not have to be audited.

The public interest score is a measure used in South Africa to determine the level of public interest and regulatory scrutiny required for a company. It takes into account various factors such as revenue, assets, number of employees, and stakeholders' interests.

In this case, Plank Properties (Pty) Ltd (PP) earned a total revenue of R185 million and had a net profit after tax of R30 million. The company employs 310 contract workers annually and has 18 permanent employees. The company does not have any loans and acquired equipment using cash reserves. It also has five shareholders.

Based on these details, the public interest score is calculated to be 208 points. This score falls below the threshold of 350 points, which means that the company does not meet the criteria for mandatory audit requirements.

Therefore, PP does not have to be audited but may still be subject to other forms of review or evaluation, such as independent reviews or internal audits, depending on regulatory or stakeholder requirements.

Therefore, correct option is C.

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Find a local business on Yelp that has a few negative reviews. Select one of them and map out what your strategy would be to interact with the dissatisfied customer, including both your initial contact with the reviewer and a longer follow-up message.

Answers

Businesses must respond promptly and efficiently to negative reviews on Yelp. Responding to reviews can help businesses improve their products or services and gain customers' trust and loyalty.

Following is the strategy that I would adopt to interact with a dissatisfied customer: Initial contact with the reviewer: Respond to the review within 24 hours and be empathetic.

Thank the customer for their review and address their concerns, even if the feedback is harsh or untrue. Personalize the message and use the reviewer's name to show that the business cares and is attentive to their concerns.

For instance, "Dear John, we are sorry to hear about your unpleasant experience. We are committed to providing quality services and customer satisfaction, and we appreciate your feedback."

Longer follow-up message: In the longer follow-up message, the business should provide a solution or offer to make things right. It is essential to keep the tone of the message polite, professional, and honest.

The message should assure the customer that the business takes their feedback seriously and will take necessary action to address their concerns.

For example, "Dear John, We have carefully reviewed your feedback, and we apologize for the inconvenience caused.

We would like to offer a 20% discount on your next purchase, and we assure you that we will take measures to prevent such issues from arising in the future."

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Consider a firm with an EBIT of $850,000. The firm finances its assets with $2,500,000 debt (costing 7.5 percent and is all tax deductible) and 400,000 shares of stock selling at $5.00 per share. To reduce the firm's risk associated with this financial leverage, the firm is considering reducing its debt by $1,000,000 by selling an additional 200,000 shares of stock. The firm's tax rate is 21 percent. The change in capital structure will have no effect on the operations of the firm. Thus, EBIT will remain at $850,000. Calculate the change in the firm's EPS from this change in capital structure. (Round your answers to 2 decimal places.)

Answers

To calculate the change in the firm's earnings per share (EPS) from the change in capital structure, we need to compare the EPS before and after the reduction in debt and issuance of additional shares.the change in the firm's EPS from this change in capital structure is a decrease of $0.34 per share.

Before the change in capital structure, let's calculate the firm's EPS:
Calculate the interest expense on the debt:
Interest expense = Debt × Interest rate = $2,500,000 × 7.5% = $187,500
Calculate the taxable income:
Taxable income = EBIT - Interest expense = $850,000 - $187,500 = $662,500
Calculate the income tax paid:
Income tax paid = Taxable income × Tax rate = $662,500 × 21% = $139,125
Calculate the net income:
Net income = Taxable income - Income tax paid = $662,500 - $139,125 = $523,375
Calculate the number of shares outstanding:
Number of shares outstanding = 400,000
Calculate the EPS before the change in capital structure:
EPS = Net income / Number of shares outstanding = $523,375 / 400,000 = $1.31

Now, let's calculate the EPS after the reduction in debt and issuance of additional shares:
Calculate the new debt after the reduction:
New debt = Old debt - Debt reduction = $2,500,000 - $1,000,000 = $1,500,000
Calculate the new interest expense on the reduced debt:
New interest expense = New debt × Interest rate = $1,500,000 × 7.5% = $112,500
Calculate the new taxable income:
New taxable income = EBIT - New interest expense = $850,000 - $112,500 = $737,500
Calculate the new income tax paid:
New income tax paid = New taxable income × Tax rate = $737,500 × 21% = $154,875
Calculate the new net income:
New net income = New taxable income - New income tax paid = $737,500 - $154,875 = $582,625
Calculate the new number of shares outstanding after the issuance:
New number of shares outstanding = Old shares + New shares = 400,000 + 200,000 = 600,000
Calculate the new EPS after the change in capital structure:
New EPS = New net income / New number of shares outstanding = $582,625 / 600,000 = $0.97
Finally, let's calculate the change in EPS:
Change in EPS = New EPS - Old EPS = $0.97 - $1.31 = -$0.34

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Swifty Corporation was organized on January 2,2021 , with 502000 authorized shares of $10 par value common stock. During 2021 , Swifty had the following capital transactions: January 5-issued 376500 shares at $16 per share. July 27-purchased 25100 shares at $13 per share. November 25 -sold 15060 shares of treasury stock at $15 per share. Swifty used the cost method to record the purchase of the treasury shares. What would be the balance in the Paid-in Capital from Treasury Stock account at December 31, 2021? $0. $45180. $15060. $30120.

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Swifty Corporation was organized on January 2, 2021, with 502000 authorized shares of $10 par value common stock. During 2021, Swifty had the following capital transactions: January 5-issued 376500 shares at $16 per share.July 27-purchased 25100 shares at $13 per share.

November 25-sold 15060 shares of treasury stock at $15 per share.Swifty used the cost method to record the purchase of the treasury shares.The balance in the Paid-in Capital from Treasury Stock account at December 31, 2021, is $45180.Treasury stock refers to previously issued, fully paid-for stock that a company buys back from its shareholders.

It is a way for businesses to repurchase their shares on the open market, creating shareholder value in the process. Treasury stock is acquired for a variety of reasons, including reducing dilution from stock options or warrants, financing future mergers and acquisitions, and boosting earnings per share.

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A stock was purchased for $68.67 and sold for $75.88. The current risk-free rate is 1.91 percent. What is the risk premium for this stock? :: Answer should be formatted as a percent with 2 decimal places (e.g. 99.99).

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The risk premium for the stock is approximately -1.80%, indicating a return below the risk-free rate.

To calculate the risk premium for the stock, we need to find the difference between the return of the stock and the risk-free rate.

Step 1: Calculate the return of the stock.

Return = (Selling Price - Purchase Price) / Purchase Price

Return = ($75.88 - $68.67) / $68.67

Step 2: Calculate the risk premium.

Risk Premium = Return - Risk-Free Rate

Risk Premium = Return - 1.91

Let's calculate the risk premium:

Return = ($75.88 - $68.67) / $68.67 ≈ 0.1053

Risk Premium = 0.1053 - 1.91 ≈ -1.8047

The risk premium for this stock is approximately -1.80%.

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In the long run, if Britta's average total cost to produce cookies is $4 and she is able to sell them for $5, she should: a. leave the market. b. expand internationally. c. enter a new market. d. remain in the market.

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In the given scenario, if Britta's average total cost to produce cookies is $4 and she is able to sell them for $5, she should d. remain in the market.

To understand why Britta should remain in the market, let's break down the situation.

The average total cost (ATC) is the cost per unit of output. It includes both fixed costs (such as rent, utilities, and equipment) and variable costs (such as ingredients and labor). In this case, Britta's ATC is $4, which means that it costs her $4 to produce each cookie.

On the other hand, Britta is able to sell each cookie for $5. This means that she earns $5 in revenue for each cookie sold.

To determine whether Britta should continue in the market, we need to compare her revenue with her cost. In this case, since Britta's revenue ($5) is greater than her average total cost ($4), she is earning a profit of $1 per cookie.

Making a profit is a positive outcome for a business, as it indicates that the revenue generated is higher than the cost incurred. It shows that Britta is covering her expenses and still earning a surplus.

Based on this analysis, Britta should remain in the market because she is making a profit. This means that her business is financially viable, and she can continue to produce and sell cookies to earn income.

It's important to note that the decision to remain in the market may vary depending on other factors, such as competition, market demand, and future projections. However, based solely on the given information, Britta should continue her cookie business since she is making a profit.

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If total assets are \( \$ 100,000 \) and liabilities are \( \$ 40,000 \), then owners' equity will be dollars.

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Owners' equity is the residual interest in the assets of an entity after the deduction of its liabilities. It's the owner's net investment in the firm, which represents the owner's claim to the company's assets.

It represents the amount of the assets that the owners can keep after paying off the business's liabilities. If total assets are $100,000 and liabilities are $40,000, then owners' equity will be $60,000. The accounting equation states that Assets = Liabilities + Owners' Equity.

Hence, we can deduce owners' equity by deducting liabilities from total assets.\[Owners' \;equity = Total \;assets - Liabilities\]Substituting the values:\[Owners' \;equity = \$100,000 - \$40,000\]\[Owners' \;equity = \$60,000\]

Therefore, the owners' equity in the given scenario will be $60,000.

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Yale Corporation had the following results last year (in thousands). Management's target rate of return is 10% and the weighted average cost of capital is 5%. Its effective tax rate is 30%.
Sales $30,000,000
Operating income 2,400,000
Total assets 6,000,000
Current liabilities 5,080,000

What is the division's Return on Investment (ROI)?
A. 40%
B. 8%
C. 250%
D. 47.24%

Ruby's Department Store has budgeted cost of goods sold of $42,000 for its men's shorts in March. Management also wants to have $7,000 of men's shorts in inventory at the end of March to prepare for the summer season. Beginning inventory of men's is expected to be $4,900. What dollar amount of men's shorts should be purchased in March?
A. $44,100
B. $53,900
C. $30,100
D. $39,900

Answers

Answer: C. [tex]250%[/tex].

Therefore, the division's Return on Investment (ROI) is C. [tex]250%[/tex].

Answer: A. [tex]$44,100[/tex]

Therefore, the dollar amount of men's shorts that should be purchased in March is A. [tex]$44,100.[/tex]

Yale Corporation had the following results last year (in thousands). Management's target rate of return is [tex]10%[/tex] and the weighted average cost of capital is 5%. Its effective tax rate is [tex]30%[/tex]. Sales [tex]$30,000,000[/tex] Operating income [tex]2,400,000[/tex] Total assets [tex]6,000,000[/tex] Current liabilities [tex]5,080,000[/tex].

A formula for calculating ROI is: ROI = Net Income / Total Investment. Yale Corporation's ROI can be calculated as follows: Net Income = Operating Income x (1 - Tax Rate) =[tex]$2,400,000 x (1 - 0.30) = $1,680,000[/tex] Total Investment = Total Assets - Current Liabilities = [tex]$6,000,000 - $5,080,000 = $920,000[/tex]ROI = Net Income / Total Investment = [tex]$1,680,000 / $920,000 = 1.826[/tex]ROI is [tex]182.6%[/tex].

Ruby's Department Store has budgeted cost of goods sold of [tex]$42,000[/tex] for its men's shorts in March. Management also wants to have [tex]$7,000[/tex] of men's shorts in inventory at the end of March to prepare for the summer season.

Beginning inventory of men's is expected to be [tex]$4,900[/tex]. The formula to calculate the cost of goods sold is as follows: Beginning inventory + Purchases - Ending inventory = Cost of goods sold.

Therefore, Purchases = Cost of goods sold - Beginning inventory + Ending inventory. Using the values provided in the question: Purchases = [tex]$42,000 - $4,900 + $7,000 = $44,100[/tex]

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The settle or closing price for the November 2022 Feeder Cattle futures contract on 8/19 was: 145.275 dollars per hundredweight (\$145.275/cwt)
a) Fill out the following table for a Feeder Cattle Put using the information provided for the November 2022 Feeder Cattle Put. Strike prices and premiums are reported in dollars per hundredweight.
Strike Price Premium Intrinsic Value Time Value In,At, or Out
142.00 1.350
143.00 1.800
144.00 2.100
145.00 2.475
b) How many options contracts would you need to purchase to appropriately cover 200 head of feeder steers with an expected sale weight of 800lb per head?
c) Pick the strike price in the 3rd row of the table. If you purchased Feeder Cattle puts to appropriately cover 200 head with an expected sale weight of 8001 b per head (as determined in part b), what would the total premium cost be? (show the work for your calculation)

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a)Strike Price 142.00 with a premium of 1.350, 143.00 with a premium of 1.800, 144.00 with a premium of 2.100, and 145.00 with a premium of 2.475, b) To cover 200 head of feeder steers with an expected sale weight of 800lb per head, 1,600 options contracts would be needed.

c) Using the strike price in the 3rd row (144.00), the total premium cost for covering 200 head of feeder steers with an expected sale weight of 800lb per head would be $3,360.

a) Completed table for the Feeder Cattle Put:

Strike Price | Premium | Intrinsic Value | Time Value | In, At, or Out

------------ | ------- | -------------- | ---------- | -------------

142.00       | 1.350   | 3.275          | 0.975      | In the money

143.00       | 1.800   | 2.275          | 0.525      | In the money

144.00       | 2.100   | 1.275          | 0.825      | In the money

145.00       | 2.475   | 0.275          | 2.200      | Out of the money

We need to calculate the intrinsic value and time value for each strike price based on the given closing price of the November 2022 Feeder Cattle futures contract.

The intrinsic value represents the difference between the strike price and the futures price, while the time value is the remaining premium after subtracting the intrinsic value.

For example, for the strike price of 142.00, the intrinsic value is calculated as (145.275 - 142.00) = 3.275, and the time value is the remaining premium after deducting the intrinsic value, which is (1.350 - 3.275) = 0.975.

b) To appropriately cover 200 head of feeder steers with an expected sale weight of 800lb per head, you would need to purchase options contracts for the equivalent number of hundredweights.

Assuming each head of feeder steer weighs 800lb, the total weight of 200 heads would be (200 * 800) = 160,000lb. Since options contracts are typically based on hundredweights, you would divide the total weight by 100 to determine the number of options contracts needed.

Therefore, you would need (160,000 / 100) = 1,600 options contracts.

c) Picking the strike price in the 3rd row of the table (144.00), and assuming each option contract covers 100 hundredweights, the total premium cost can be calculated by multiplying the premium by the number of contracts.

Therefore, the total premium cost would be (2.100 * 1,600) = $3,360.

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Mr. Ernest Mwai an executive and a valuable customer of your bank has between promoted to a new branch. The new branch is at a new location and he wishes to move houses immediately. His present income is Kshs.3.6m per year. He has an outstanding mortgage Kshs.1.350 m he has so far identified a house near his new office which is being offered at Kshs. 2.7 m and a mortgage co' has agreed to a new mortgage of Kshs 1.8 m. The completion of his purchase for 3 month contracts were exchanged after Mwai made a 10\% deposit from his own resources. His present house has been on the market for a short time and no firm offers have a short time and no firm offers have been received. He assures you that similar rises are being sold about same price of Kshs. 2.7 m and he does not envisage any undue delays in the sale. Other charges applicable to translation are Mr. Mwai asks for assistance to finance the transactions. Required i. Explain the type of bringing facility required. (6 Marks) ii. Appraise request. (1 Mark) iii. Assuming the bank agrees to assist, outline the measures it will take to protect its position. (6 Marks)

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The type of borrowing facility required in this case is a mortgage. A mortgage is a loan that is specifically used to finance the purchase of a property. Mr. Ernest Mwai wishes to buy a new house near his new office.

And he has identified one that is being offered at kshs . 2.7 million. To finance this purchase, he has obtained a new mortgage of Kshs . 1.8 million from a mortgage company. In appraising Mr. Mwai's request, the bank should consider his current income, outstanding mortgage, and the potential sale of his present house.

It should also evaluate the likelihood of his current house being sold within a reasonable time frame.  If the bank agrees to assist, it will take measures to protect its position. This may include conducting a thorough evaluation of the new property to ensure it meets their lending criteria, verifying the terms and conditions of the new mortgage, and assessing the value of the property being purchased.

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Suppose that you have the option to lease a new Mitsubishi Eclipse, which you otherwise intend to buy. You must put $2000 down, and will make payments of $295 per month for 48 months, at the beginning of each month. Upon termination, you can purchase the car for an additional payment of $7000 at lease expiration. Alternatively, the dealer has offered to finance the purchase at 6.3% APR for 48 months, with nothing down, yielding payments of $466 per month at the end of each month. If you choose to purchase the car using dealer financing, rather than choosing the leasepurchase option, how much have you saved ( +) or lost (−) on the effective purchase price of the car in dollars and cents. (make your answer positive when you save, negative when you are paying more.)

Answers

If you choose to purchase the car using dealer financing rather than the lease-purchase option, you would incur a loss of $7,408 on the effective purchase price of the car.

To calculate the savings or loss on the effective purchase price of the car, we need to compare the total cost of the lease option with the total cost of the dealer financing option. Let's break down the calculation step-by-step.
For the lease option:
- Down payment: $2000
- Monthly payment: $295 for 48 months
- Additional payment at lease expiration: $7000

To calculate the total cost of the lease option, we need to add the down payment, the total of the monthly payments, and the additional payment at lease expiration.
Total cost of lease option = Down payment + (Monthly payment * Number of months) + Additional payment at lease expiration
Total cost of lease option = $2000 + ($295 * 48) + $7000

Now, let's calculate the total cost of the lease option.
Total cost of lease option = $2000 + ($295 * 48) + $7000 = $14,960

For the dealer financing option:
- Monthly payment: $466 for 48 months

To calculate the total cost of the dealer financing option, we need to multiply the monthly payment by the number of months.
Total cost of dealer financing option = Monthly payment * Number of months
Total cost of dealer financing option = $466 * 48

Now, let's calculate the total cost of the dealer financing option.
Total cost of dealer financing option = $466 * 48 = $22,368

To determine the savings or loss on the effective purchase price of the car, we need to compare the total cost of the lease option with the total cost of the dealer financing option.
Savings or loss = Total cost of lease option - Total cost of dealer financing option
Savings or loss = $14,960 - $22,368
Savings or loss = -$7,408

Therefore, if you choose to purchase the car using dealer financing rather than the lease-purchase option, you would incur a loss of $7,408 on the effective purchase price of the car.

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By the time he furns 60 , Justin (just furned age 31) wants the amount in his RRSP to have the purchasing power of $250,000 in current dollars. What annual contributions on his 32 nd through 60 th birthdays incluslve are required to meet this goal if the RRSP earns 8% compounded annually and the rate of Inflation is 2% per year? (Do not round intermediate calculations and round your final answer to 2 decimal places.)

Answers

Given the amount Justin wants in his RRSP account, the present value of this amount will decrease over time due to inflation. So Justin will have to contribute more than what is expected just to account for inflation. Let us calculate the amount that Justin needs to save annually.

For Justin, the future value is $410,252, and the rate of interest is 8% per year. The number of years of investment is 29. Plugging these values into the formula and solving for A

A = FV × r / [(1 + r)n - 1]

= $410,252 × 0.08 / [(1 + 0.08)29 - 1]

= $410,252 × 0.08 / 5.794

= $5,754.47

Therefore, the amount that Justin needs to save annually is $5,754.47. This is the inflation-adjusted amount that Justin needs to save to reach his goal of having a purchasing power of $250,000 in the future.

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Suppose the term structure of interest rates has these spot interest rates: r1 = 6.6%. r2 = 6.4%, r3 = 6.2%, r4 = 6.0%, and r5 = 7.6%.
a. What will be the 1-year spot interest rate in three years if the expectations theory of term structure is correct? (Do not round intermediate calculations. Enter your answer as a percent rounded to 1 decimal place.)
1-year spot in 3 years %
b. If investing in long-term bonds carries additional risks, then how would the risk equivalent of a 1-year spot rate in three years relate to your answer to part (a)?
a. Less than
b. Greater than
c. Equal to

Answers

The 1-year spot interest rate in three years, according to the expectations theory of term structure, will be 6.0%.

The expectations theory suggests that long-term interest rates are determined by market expectations of future short-term rates. In this case, the 1-year spot interest rate in three years is expected to be the same as the 3-year spot rate of 6.0%.

This assumption is based on the belief that investors anticipate the short-term rates to remain stable over time. However, if investing in long-term bonds carries additional risks, such as higher inflation expectations or economic uncertainties, the risk equivalent of the 1-year spot rate in three years may be greater than the expected rate.

This is because investors would require a higher return to compensate for the increased risk. Therefore, the risk equivalent of the 1-year spot rate in three years would be greater than the 6.0% predicted by the expectations theory.

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The withdrawal of private investment in the Global South has made the Global South's need for support during the COVID-19 global pandemic even direr. True False

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True. Explanation:Private investment withdrawal is a significant barrier for the Global South, and it creates a dire need for support during the COVID-19 global pandemic.

The spread of the COVID-19 virus has forced governments in the Global South to take steps such as shutting down whole industries, closing borders, and implementing strict social distancing measures to curb the spread of the virus.

These measures have had a significant effect on the economy, with businesses struggling to maintain their operations, and many of them are shutting down due to lack of capital.The removal of private investment from the Global South has caused significant harm, especially in the middle of the pandemic. As a result, there is a growing need for increased support to help the Global South overcome these challenges during the COVID-19 pandemic. Hence, it's true that the withdrawal of private investment in the Global South has made the Global South's need for support during the COVID-19 global pandemic even direr.

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Describe the concept of "TED". Why is this an important concept in the selling process? What other take aways did you get from this short video? Describe a time when you or someone you observed acted like a Dave and their selling technique failed. What was the situation and what they were they trying to sell? Explain.

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TED is an important concept in the selling process because it helps to connect with the customers and makes the sales pitch more effective.

The use of stories to sell ideas, products, and services is an effective technique in marketing. This concept of storytelling is used in TED talks where speakers share their stories to inspire, educate, and motivate others. This technique has proven to be successful because people relate to stories and it helps to build a connection with the audience. When selling a product or service, it is important to connect with the customer and understand their needs. By using storytelling, the sales pitch becomes more effective and it helps the customer to visualize the product or service in action. From the short video, one of the takeaways was the importance of the emotional connection between the speaker and the audience. A time when I observed someone acting like a Dave and their selling technique failed was when a salesperson was trying to sell me a product by giving me a long list of features without really understanding what I needed. The situation was that I needed a laptop for school, but the salesperson was more focused on selling me a high-end gaming laptop. As a result, I ended up buying a laptop from a different store where the salesperson understood my needs and recommended a laptop that was suitable for my needs.

The concept of storytelling is an important technique in the selling process because it helps to build a connection with the customer and makes the sales pitch more effective. The emotional connection between the speaker and the audience is also an important aspect of the TED concept. It is important to understand the customer's needs when selling a product or service, and avoid acting like a Dave by focusing on the features rather than the needs of the customer.

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Suppose it takes 1.75 US. dollars today to purchase one British pound in the foreign exchange market, and currency forecasters predict that the U.5. dollar will depreciate by 11.5% against the pound over the next 30 days. How many dollars will a pound buy in 30 days? 1.12 1.63 1.95 2.04 3.64

Answers

Option 2 is correct. According to currency forecasters, if the US dollar depreciates by 11.5% against the British pound in the next 30 days, the number of dollars that a pound will buy in 30 days is 1.63 dollars.

For finding out how many dollars a pound will buy in 30 days, need to calculate the new exchange rate after the predicted depreciation. If the US dollar depreciates by 11.5%, it means that the value of the dollar will decrease by 11.5%. For calculating the new exchange rate, subtract 11.5% of 1.75 dollars from 1.75.

11.5% of 1.75 is (11.5/100) * 1.75 = 0.20125 dollars. Subtracting this value from 1.75 gives us the new exchange rate: 1.75 - 0.20125 = 1.54875 dollars.

Therefore, in 30 days, a pound will be able to buy approximately 1.55 dollars (rounded to two decimal places).

Option 2, which is 1.63 dollars, is the closest answer to this calculated value.

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The gas then undergoes an isothermal expansion to a final volume of Vz. Using first principles derive an equation for the work done during this process. some web authoring programs are blank______, which means you can build a web page without writing the html code directly. according to house's (1971) pathgoal theory, leader behaviors that encourage subordinates to take an active role through mentoring and coaching are known as _____ leader behaviors. 1) by understanding how consumers felt and thought about competing banks, umpqua was able to create an effective _________________. an object is launched in parabolic motion from the ground and reaches the ground again after 20 seconds. The horizontal component of its velocity is 12 m/s. How far from its original position did it travel in the X direction? How do the delays of the AND gates compare with the delays in the data sheet for the 74LS08 chip? (b) Why did we put in a square wave at one input of the AND gate and a 1 in the other? (c) Are the delays of all the not gates the same. If so, could they have been different? What may be the cause for different delays for gates in the chip? (d) A NAND gate has the functionality of an AND gate followed by a NOT gate. Compare the sum of the delays of an AND gate and one NOT gate (that you determined), with that of a NAND gate (obtained from the data sheet for 74LS00). What can you conclude about how the NAND gate has been constructed? (e) Draw a diagram of the circuit for the ring oscillator. Put in a logic 0 at the =y5 input. Let this logic value propagate through the inverters 1,2,3,4,5, until it comes back to where it started. What is the new value. How long do you think it takes for this new value to be generated at . (f) How is the time-period of the ring oscillator related to the sum of the gate delays of inverters 15 ? The driver of a 840.0 kg car decides to double the speed from 20.0 m/s to 40.0 m/s. What effect would this have on the amount of work required to stop the car, that is, on the kinetic energy of the car? Part A We are still playing with our new three sided die and we are still considering rolling a ' 3 ' a success. Only now we are rolling the die 10 times! Suppose you actually rolled the 3-sided die ten times and counted how many times you rolled a ' 3 '. You could get zero amount of 3 's. You could roll a ' 3 ' only once. You could roll a '3' two out of ten times. You might even roll a ' 3 ' ten out of ten times! Write a function that takes in the parameters n=10 (for ten rolls of the 3-sided die) and p= 3 1 (for the probability of rolling a ' 3 '). The function should return the PMF as a Numpy array. (4 points) Use the function to print out the PMF as a table of values after rolling the 3 -sided die 10 times. 1.e. the table should show the probability of roiling zero 3's, one 3, two 3 's,..., ten 3 's. Part B Suppose you rolled the die ten times and wrote down how many 3 's resulted. Then, you again rolled the die ten times and again wrote down how many 3 's resulted. And again you roll ten times and record. And again. And again. In totality, lets say you recorded results 20 times. That is, twenty times in a row you rolled the 3 -sided die 10 times and recorded the amount of 3 ' that appeared out of the 10 rolls. You might get 20 results like [2 2442452522421313233] representing 2 out of 10,2 out of ten, 4 out of ten, etc. In order to determine how many successes (amount of 3's) TYPICALLY result when you roll this die ten times, you could look at a histogram (a distribution) of your 20 recordings. Better yet, a more accurate picture results from looking at a distribution of 100000 recordings. (4 points) Create (code) a density histogram of 100000 results to get an estimation of the distribution (aka PMF). Part C (1 point) From the PMF just created, what appears to be the most common result? In other words, how many times will ' 3 ' most commonly appear after rolling a 3 -sided die ten times? solution: Put your solution to Part C here: Rubric Check (5 points) Makesure your answers are thorough but not redundant. Explain your answers, don't just put a number. Make sure you have matched your questions on Gradescope. Make sure your PDF is correct and your LaTeX is correct. etc. etc. BE NEAT. Question 2 The figures below represent expenditure on advertising and sales revenue of a manufacturer of detergents, Wash-Well limited (W.W Ltd.) between the period of 2017 to 2021. Year Advertising expenditure (X) Sales revenue (Y) (000s) (000S) 2017 2 100 2018 5 70 2019 4 90 2020 6 60 2021 3 80 As a newly employed graduate business analyst, you are required to: a) Calculate the correlation coefficient of advertising/sales and comment on your results. (10 marks) b) Plot a scatter diagram of the data and discuss the pattern of the relationship of the two variables. (8 marks) c) Critically analyse the impact of advertising expenditure on sales and advice the marketing manager on how the company can gain competitive advantage in the detergent industry by adopting other relevant marketing tactics. (15 marks) A volume of 1.5 L of water at 15 C is placed in an electric kettle. If it takes 5 minutes for the kettle to boil, estimate (a) its wattage and (b) the current that it draws if the mains voltage is 230 V. The Euroswelar 3 month future has a currerit quote of 99.815 ( 1003 mo LiBOR rate, with one-tick = 1/2 of 1% or 512.5 por tick) if you are long on a Eurviollar contract and the 3-month future price later moves to 99.800, how much do you need to deposit into the position to meet a margin call if the ivitial margin is $220 and the mantenance margin is 52007 $17.50520 $0. No marpin call 537.50 you lifted up a snowball to a height of 0.20 m at constant velocity. how much is the mass of the snowball when the potential energy of the snowball is 0.089 joules? the magnitude of gravitational acceleration is 9.8 m/s^2.