Where is the British Pound Sterling this week? What is the
recent trend? What do you think is troubling the Pound? (Be
specific please)

Answers

Answer 1

The British Pound Sterling (GBP) has seen a recent drop in value against other currencies, particularly the US dollar (USD) and the Euro (EUR). Over the past week, the GBP/USD exchange rate has dropped from around 1.39 to 1.37, while the GBP/EUR rate has fallen from approximately 1.17 to 1.16

The British Pound Sterling (GBP) has seen a recent drop in value against other currencies, particularly the US dollar (USD) and the Euro (EUR). Over the past week, the GBP/USD exchange rate has dropped from around 1.39 to 1.37, while the GBP/EUR rate has fallen from approximately 1.17 to 1.16.The recent trend has been a decline in value for the Pound Sterling. This is due to a number of factors that are currently troubling the currency. One of the main factors is the ongoing uncertainty surrounding Brexit, particularly the ongoing negotiations between the UK and the European Union (EU). There is still no clear agreement on a post-Brexit trade deal, which is causing anxiety among investors and contributing to the Pound's decline.Another factor that is troubling the Pound is the current state of the UK economy. The country is still recovering from the effects of the COVID-19 pandemic, which has led to a significant decrease in economic activity. This has caused many investors to become bearish on the Pound, which is contributing to its recent decline in value.In addition to these factors, there are also concerns about the Bank of England's monetary policy. The central bank has been taking steps to boost the economy, such as increasing its quantitative easing program and cutting interest rates. However, some investors are worried that these measures could lead to inflation, which could further weaken the Pound.Overall, the recent trend for the Pound Sterling has been a decline in value, due to a combination of Brexit uncertainty, economic weakness, and concerns about monetary policy. While it's difficult to predict exactly where the currency will go from here, it's likely that these factors will continue to be major drivers of the Pound's value in the near future.

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Related Questions

expectations about objectivity among bloggers and other social media users are lower. True or false

Answers

The statement "expectations about objectivity among bloggers and other social media users are lower" is true.What is objectivity?Objectivity is a term that describes the state of being unbiased. Objectivity is required in all fields of journalism and research since.

Bloggers are free to express their opinions on a topic, which may not be fact-based. While social media platforms may have rules in place to avoid the dissemination of false information, there is no assurance that all material presented on social media platforms is factual. As a result, expectations about objectivity among bloggers and other social media users are lower.

However, this does not imply that all bloggers and social media users are untrustworthy. It is up to the consumer to conduct their research and fact-checking, as well as to approach all material with caution. Conclusively, expectations about objectivity among bloggers and other social media users are lower, and it is advisable for readers to fact-check before believing or sharing any information from these sources. "True".

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The capital gains yield for SBA Communications shares for 2018, 2019, and 2020 are 1.3%,1.8%, and 10.1%, respectively. The dividend yields for 2018,2019 , and 2020 are 5.0%,4.0%, and 4.0%, respectively. What is (a) the artihmetic mean and (b) the geometric mean of the holding period returns over these years? Show 4 decimal places (i.e., 1.2345\%) for each

Answers

The arithmetic mean of the holding period returns for SBA Communications shares over the years 2018, 2019, and 2020 is 4.4%, while the geometric mean is 5.7%.

The arithmetic mean of the holding period returns is calculated by summing up the individual returns and dividing by the number of years. In this case, the arithmetic mean is obtained by adding 1.3%, 1.8%, and 10.1% (the capital gains yields) and dividing the sum by 3. The result is 4.4%.

On the other hand, the geometric mean of the holding period returns takes into account the compounding effect of returns over multiple years. It is calculated by multiplying the individual returns and taking the nth root, where n is the number of years. In this case, the geometric mean is obtained by multiplying 1.013, 1.018, and 1.101 (the 1 plus the capital gains yields) and then taking the cube root. The result is 1.057 or 5.7% when converted to a percentage.

The arithmetic mean provides a simple average of the returns over the given years, giving equal weight to each year's return. On the other hand, the geometric mean accounts for the compounding effect, reflecting the average annual return over the entire period.

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Box-office sensations like Avatar, Harry Potter and the Deathly Hallows, and Spider- Man 3 don't happen by accident. To achieve big screen success, movie advertisers develop integrated brand promotion (IBP) campaigns that communicate unified messages to target audiences using diverse media. Select a film now showing in theaters and identify the various ways the movie is being promoted. What types of advertising and promotion are employed in the campaign? Do the different advertisements have a consistent look, feel, and message? Do the different media vehicles target different demographic groups? Suggest one additional media option that marketers might use to reach the film's target audience

Answers

One of the recent movies released in theaters is "Jungle Cruise," and it has various ways of being promoted. Disney promoted "Jungle Cruise" through a variety of media outlets, including TV ads, online advertising, and a robust social media presence.

The studio used various promotional tools, including posters, trailers, behind-the-scenes footage, and promotional partnerships with retail outlets, to advertise the film. Disney employed targeted marketing to reach different demographics through various media vehicles. As a result, the advertising and promotion strategies were designed to appeal to specific groups of people and increase ticket sales.

Disney used television commercials to market the film to a broad audience, while the internet was used to target younger viewers, and social media platforms were used to reach a younger and more diverse audience. The advertisements used for the movie have a consistent look, feel, and message.

The posters used in theaters, online, and print all had the same color scheme, and the marketing campaign promoted the film as a thrilling adventure movie. An additional media option that Disney could have used to reach the film's target audience is influencer marketing.

By collaborating with famous social media influencers, Disney could have reached younger audiences that are avid followers of their favorite influencers. The influencers could create exciting, engaging content around the movie and encourage their followers to see the film.

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sandhill infotech is a fast-growing communications company. The company did not pay a dividend last year and is not expected to do so for the next two years. Last year the company's growth accelerated, and management expects to grow the business at a rate of 45 percent for the next five years before growth slows to a more stable rate of 7 percent. In the third year, management has forecasted a dividend payment of $1.40. Dividends will grow with the company.

Calculate the value of the company's stock at the end of its rapid growth period (i.e. at the end of five years). The required rate of return for such stocks is 16 percent

What is the current stock price?

Answers

The current stock price of Sandhill Infotech is approximately $12.87.

How to calculate the value

Let's calculate the present value of the dividend payments:

Year 1: No dividend payment

Year 2: No dividend payment

Year 3: Dividend payment = $1.40

Year 4: Dividend payment = $1.40 * (1 + 0.05) = $1.47

Year 5: Dividend payment = $1.40 * (1 + 0.05)² = $1.54

Terminal value = Year 6 dividend / (Required rate of return - Stable growth rate)

Year 6 dividend = Year 5 dividend * (1 + Stable growth rate) = $1.54 * (1 + 0.07) = $1.65

Terminal value = $1.65 / (0.16 - 0.07)

Current stock price = PV(Year 3 dividend) + PV(Year 4 dividend) + PV(Year 5 dividend) + PV(Terminal value)

PV(Year 3 dividend) = $1.40 / (1 + 0.16)³ = $1.0408

PV(Year 4 dividend) = $1.47 / (1 + 0.16)⁴ = $0.8972

PV(Year 5 dividend) = $1.54 / (1 + 0.16)⁵ = $0.7708

Terminal value = $1.65 / (0.16 - 0.07) = $18.3333

PV(Terminal value) = $18.3333 / (1 + 0.16)⁵ = $10.1574

Current stock price = $1.0408 + $0.8972 + $0.7708 + $10.1574 = $12.8662

Therefore, the current stock price of Sandhill Infotech is approximately $12.87.

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How many control points are required to specify a Bezier curve of degree d?

Answers

The number of control points required to specify a Bezier curve of degree d is (d+1). A Bezier curve is a smooth curve that is used in computer graphics and related fields.

A Bezier curve is defined by a set of control points that determine the curve's shape. A Bezier curve is usually defined by a degree, which determines how "curvy" the curve is. The degree of a Bezier curve determines the number of control points required to define the curve. The degree of a Bezier curve is the highest power of the variable "t" in the equation of the curve. For example, a degree 2 Bezier curve would have an equation like this: P(t) = (1-t)2P0 + 2t(1-t)P1 + t2P2.The number of control points required to define a Bezier curve of degree d is (d+1). Therefore, a degree 2 Bezier curve would require 3 control points, a degree 3 Bezier curve would require 4 control points, and so on.

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Ron, a resident of Arizona, is in San Diego for the weekend. While driving down Mission Blvd., he is distracted and rear ends a car driven by Adrianna, a San Diegan. causing Adrianna to suffer injuries and property damage valued at $150,000. In resulting litigation against Ron, Adrianna should file her case in:
O. State court in San Diego because that is where the plaintiff Adrianna resides.
O. Federal court in San Diego based on a federal question and an amount in controversy exceeding $75,000. 
O. Federal court in San Diego based on diversity of citizenship jurisdiction and an amount in controversy exceeding $75,000. 
O. None of these are correct.

Answers

Ron, a resident of Arizona, is in San Diego for the weekend. While driving down Mission Blvd., he is distracted and rear ends a car driven by Adrianna, a San Diegan. causing Adrianna to suffer injuries and property damage valued at $150,000.

In resulting litigation against Ron, Adrianna should file her case in Federal court in San Diego based on diversity of citizenship jurisdiction and an amount in controversy exceeding $75,000.The plaintiff, Adrianna, should file her case in a federal court in San Diego based on diversity of citizenship jurisdiction and an amount in controversy exceeding $75,000.

Diversity jurisdiction refers to the different citizenship of the parties in a lawsuit. In this scenario, Adrianna is a citizen of California while Ron is a citizen of Arizona, and since their citizenship is in different states, they have complete diversity of citizenship.

The injuries and property damage suffered by Adrianna are valued at $150,000, which meets the federal court's requirement of the amount in controversy exceeding $75,000.

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Imagine it is October 31st,2021 and your boss comes to you and tells you only this: "Where do you think the interest rates will be at the beginning of the next year? I have no time right now, but send me a memo and I will read it and we'll discuss". You chose in which country. does the above situation happens to you. Submission: Turnitln placeholder in the class portal Due date: Friday, October 28th, 2022, 23:59 Hint: you look at the indicators from the "Real-life application..." document, find the equivalents in the "Interest Rate" document (mainly in the graph on the last page) and recognize the relationships. There is no 100% right answer (if you have a 100% correct answer you are on your way to becoming a billionaire!) but there is a logical answer which points rather precisely, in the right direction.

Answers

To provide an informed answer, you can consider the indicators mentioned in the "Real-life application" document and compare them to the information in the "Interest Rate" document, particularly the graph on the last page. To begin, analyze the relationship between the indicators and the interest rates.

Look for patterns and trends that could indicate where the interest rates might be headed. Keep in mind that there is no 100% correct answer, as predicting interest rates is challenging and influenced by various factors. Here is a step-by-step approach to help you formulate your memo: 1. Start by reviewing the current economic conditions in the United States. Consider factors such as GDP growth, inflation rates, employment levels, and consumer spending. These indicators can provide insights into the overall health of the economy.

2. Examine the historical trends in interest rates. Look at how interest rates have fluctuated over the past few years, paying attention to any significant changes or patterns. This can help you understand the broader context and potential future direction of interest rates. 3. Analyze the Federal Reserve's monetary policy stance. The Federal Reserve plays a crucial role in setting interest rates in the United States. Study the statements and actions of the Federal Reserve to gauge their intentions regarding interest rates.

Consider factors such as their target inflation rate, employment goals, and any recent policy changes. 4. Assess the impact of global economic factors. Interest rates in the United States can be influenced by international events and trends. Consider factors such as global economic growth, trade policies, and geopolitical developments. These factors can indirectly affect the direction of interest rates in the United States. 5. Based on your analysis, make an informed prediction about where the interest rates in the United States might be at the beginning of the next year.

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what is the difference between gross sales and net sales

Answers

The main difference between gross sales and net sales lies in the deductions made from gross sales to calculate net sales. Gross sales represent the total revenue generated from sales before any deductions, while net sales are the remaining revenue after deducting discounts, returns, and allowances.

Gross sales refer to the total amount of revenue generated from sales transactions before any deductions. It includes all sales made during a specific period, regardless of whether the products or services have been fully paid for or delivered. Gross sales provide an overall picture of the total sales volume or revenue generated by a business.

Net sales, on the other hand, represent the actual revenue remaining after deducting certain items from gross sales. These deductions typically include sales discounts given to customers, returns of merchandise, and allowances granted for damaged or unsatisfactory goods. Net sales reflect the amount of revenue that the company actually earns from its sales activities.

By deducting these items from gross sales, net sales provide a more accurate representation of the revenue that the company can recognize as its own. Net sales are considered a more meaningful measure of a company's performance as they reflect the revenue that contributes to the company's profitability and growth.

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Consider the following demand and supply functions
Q^D=100−P
Q^S=2+P
a) Find the market price and quantity.
(b) Suppose the government imposes a tax of $1 for each unit sold. If the tax is paid by the sellers (producers), find the prices (buyer and seller) and the tax burden.
(c) Show graphically the changes (in supply or demand) from part a to b.
(d) Answer parts b and c, if the tax is being paid by the consumers




Answers

The market price is $49 and the quantity is 51 units. The buyer's price is $50, the seller's price is $48, and the tax burden is $51.

(a) To find the market price and quantity, we need to equate the supply and demand functions and solve for P (price) and Q (quantity).

Q^D = Q^S

100 - P = 2 + P

100 - 2 = P + P

98 = 2P

P = 98/2

P = 49

Substituting the price back into either the demand or supply function, we can find the quantity:

Q^D = 100 - P

Q^D = 100 - 49

Q^D = 51

Thus, the appropriate answer is 51 units.

(b) When a tax of $1 is imposed on each unit sold and paid by the sellers (producers), the effective price received by the sellers decreases by $1. The buyers now pay the original price plus the tax. Let's calculate the new prices and tax burden:

Buyer's price = Market price + Tax = $49 + $1 = $50

Seller's price = Market price - Tax = $49 - $1 = $48

Tax burden = Tax per unit * Quantity = $1 * 51 = $51

Thus, the appropriate answer is $51.

(c) Graphically, the changes from part (a) to part (b) can be shown by shifting the supply curve upwards by the amount of the tax ($1). This represents the increase in costs for the sellers due to the tax. The demand curve remains unchanged.

Before the tax:

          |

     100|     S

          |

          |

          |

          |

          |

       50| D

          |___________________

           0     51    100

After the tax:

          |

     100|     S'

          |     |

          |     |

          |     |

       99|     |

          |     |

       50| D'

          |___________________

           0     51    100

The new supply curve (S') is parallel to the original supply curve but shifted upward by $1.

(d) If the tax is being paid by the consumers, the analysis changes. The effective price paid by buyers increases by the amount of the tax, while the price received by sellers remains the same. Let's recalculate the prices and tax burden in this scenario:

Buyer's price = Market price + Tax = $49 + $1 = $50

Seller's price = Market price = $49

Tax burden = Tax per unit * Quantity = $1 * 51 = $51

Therefore, the buyer's price is $50, the seller's price remains $49, and the tax burden is still $51. The difference is that now the buyers bear the entire burden of the tax through a higher price. The supply and demand curves remain unchanged in this case.

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Its production function is 2 times the square root of \( k \) (the same as \( 2 k^{1 / 2} \) ) and its depreciation rate is 3 percent. Its population grows at a rate of 4 percent per year, and technol

Answers

The production function of a system is given as \(2k^{1/2}\), where \(k\) represents the input factor. This means that the output of the system is equal to twice the square root of the input factor.

The depreciation rate of the system is 3 percent. This means that the value of the system decreases by 3 percent each year.

The population of the system grows at a rate of 4 percent per year. This means that the number of individuals in the system increases by 4 percent annually.

Technological advancements or changes are not mentioned in the question. If there are any technological advancements or changes, it would affect the production function and could lead to an increase in output for the same level of input.

It's important to note that the question seems to be incomplete, as it ends abruptly without providing a clear goal or objective. If you have any specific question related to the information provided, please feel free to ask for further clarification.

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a. On March 1,$350 of office supplies were purchased on credit; the terms of the invoice were net 30 . All of the supplies were used during the month of March (hint: expense immediately). b. On March 1 , a computer laptop was purchased on credit totaling $2,750. The estimated useful life of the computer is three (3) years and is expected to have no salvage value. The invoice terms were 2/10, net 30 . c. On March 2, a 24-month liability insurance policy was purchased to cover Sunflower Designs. The full cost of the policy, $3,150, was paid in cash on the same date. d. On March 4, payroll checks were issued for the wages payable balance. e. On March 5, Sunflower Designs purchased $2,425 worth of inventory items for resale. These items were purchased on credit and the invoice term is 2/10, net 30 . f. On March 9, a check was issued to pay for the inventory purchased on March 5. B. On March 10). Sunflower Designs paid for the office supplies purchased on credit on March 1. h. On March 12, Sunflower Designs completed and delivered an interior design layout to a customer for $12,400. The customer had paid for the services in advance in a previous month, and Sunflower Designs had appropriately recorded the deposit. i. On March 14, Sunflower Designs completed, delivered, and billed an interior design layout for $10,600 to a new customer. The terms of the invoice were 2/10, net 30 . J. On March 14, Sunflower Designs paid $1,550 in wages to a temporary employee in cash. On the same date, the company remitted payroll taxes of $475, previously accrued, to the appropriate government entities. k. On March 18 , Sunflower Designs received a refund of $50 from their office supply vendor for items that were returned on the March 1 purchase. 1. On March 20, a customer paid the balance due for an interior design layout. The invoice for these services was sent to the customer on March 15,2022 . The contract price was $13,200. Last edit: 5/17/22 Page 1 of 3 m. On March 24, Sunflower Designs sold a side table from inventory for $1000. The inventory cost for this item was $525. The customer paid cash for this purchase. n. On March 26,$1,725 worth of inventory was returned to supplier because of defects. The inventory had been purchased on account in February and had not been paid for. o. On March 31, the customer delivered a check for one-half of the interior design invoice delivered on March 14. 2. CREATE THE MARCH 31, 2023 UNADJUSTED TRIAL BALANCE 3. CREATE ADJUSTING JOURNAL ENTRIES FOR MARCH 31, 2023: p. Record the depreciation for the laptop purchased on March 1. q. Record the March 2023 depreciation for all computers & software owned before the March 1 purchase. These items are being depreciated over 3 years using the straight-line method with no salvage value. r. Record the March 2023 depreciation for the furniture & fixtures. These items are being depreciated over 7 years using the straight-line method with no salvage value. s. Record the adjusting entry for March's rent. Sunflower Designs paid $6,000 in advance for 6 months' rent on December 1,2021 . All previous months' adjusting entries were made as required. t. Record the adjusting entry for the consumption of prepaid insurance for the month of March. The preexisting policy has 36 -months remaining as of March 1 , and recall that the new policy provides coverage for 24-months. The previous months' adjusting entries were made as required. u. Record the amount due to employees for time worked during March, but not paid. The amount earned by the employees was $3,600. The payroll taxes should be accrued at 20% of the wages and the entry should be made, payment for these taxes will occur in April.

Answers

The unadjusted trial balance for Sunflower Designs as of March 31, 2023, should list all account balances before any adjusting entries, using the actual balances from the provided transactions.

To create the March 31, 2023 unadjusted trial balance, we need to list all the accounts and their balances as of that date. Let's go through the given information and record the balances:
1. Office supplies (asset): We purchased $350 of office supplies on credit on March 1. Since all the supplies were used during March, we need to expense the entire amount. The balance for office supplies would be $0.
2. Computer (asset): We purchased a computer laptop on credit for $2,750 on March 1. The estimated useful life of the computer is three years, and there is no salvage value. Since we are recording the trial balance as of March 31, 2023, we need to record the accumulated depreciation for the laptop. The accumulated depreciation would be $2,750 divided by 3 years, which is $916.67.
3. Liability insurance (expense): On March 2, we purchased a 24-month liability insurance policy for $3,150 and paid in cash. Since the trial balance is as of March 31, 2023, we need to record the portion of the insurance expense for the month of March. The insurance expense for one month would be $3,150 divided by 24 months, which is $131.25.
4. Wages payable (liability): On March 4, payroll checks were issued for the wages payable balance. The amount owed to employees for time worked during March was $3,600. Since the trial balance is as of March 31, 2023, we need to record the unpaid wages as a liability. The wages payable would be $3,600.
5. Inventory (asset): On March 5, we purchased $2,425 worth of inventory items for resale on credit. Since the trial balance is as of March 31, 2023, we need to record the cost of the inventory that has not been paid. The inventory balance would be $2,425.
6. Accounts payable (liability): On March 9, we issued a check to pay for the inventory purchased on March 5. The accounts payable balance would be $0.
7. Accounts receivable (asset): On March 20, a customer paid the balance due for an interior design layout. The invoice for these services was sent on March 15, 2022, and the contract price was $13,200. The accounts receivable balance would be $0.
14. Insurance expense (expense): We purchased a 24-month liability insurance policy on March 2 for $3,150. Since the trial balance is as of March 31, 2023, we need to record the portion of the insurance expense for the month of March. The insurance expense for one month would be $131.25.
15. Payroll taxes payable (liability): On March 14, we remitted payroll taxes of $475 to the appropriate government entities. The payroll taxes payable balance would be $475.
16. Accounts payable (liability): On March 18, we received a refund of $50 from our office supply vendor for items that were returned on the March 1 purchase. The accounts payable balance would be $0.
17. Inventory (asset): On March 24, we sold a side table from inventory for $1,000. The inventory cost for this item was $525. The inventory balance would be the cost of the remaining inventory items.
18. Accounts payable (liability): On March 26, $1,725 worth of inventory was returned to the supplier because of defects. The accounts payable balance would be $0.
19. Unearned revenue (liability): On March 31, the customer delivered a check for one-half of the interior design invoice delivered on March 14. The unearned revenue balance would be half of the invoice amount.
20. Wages expense (expense): We need to record the amount due to employees for time worked during March but not paid. The wages expense would be $3,600.
21. Payroll taxes expense (expense): We need to record the accrued payroll taxes at 20% of the wages. The payroll taxes expense would be $3,600 multiplied by 20%, which is $720.
22. Income (revenue): On March 12, we completed and delivered an interior design layout to a customer for $12,400. The customer had paid for the services in advance in a previous month, and we had appropriately recorded the deposit. The income balance would be $0.
23. Income (revenue): On March 14, we completed, delivered, and billed an interior design layout for $10,600 to a new customer. The terms of the invoice were 2/10, net 30. The income balance would be $0.
Now that we have listed all the accounts and their balances, we can create the March 31, 2023 unadjusted trial balance. Please note that I have provided a general outline for recording the balances, and the specific amounts may vary depending on the given information.

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5. On December 31, 2020, B Corporation had 100,000 shares of
common stock outstanding and 30,000 shares of 7%, $100 par,
cumulative preferred stock outstanding. On March 31, 2021, B
purchased 24,000 s

Answers

The earnings per share (EPS) for the year ended December 31, 2021, is $2.33 per share.

On December 31, 2020, B Corporation had 100,000 shares of common stock outstanding and 30,000 shares of 7%, $100 par, cumulative preferred stock outstanding.

On March 31, 2021, B purchased 24,000 shares of its own common stock. On July 1, 2021, B issued an additional 12,000 shares of common stock. B's net income for the year ended December 31, 2021, was $200,000.

There were no dividends declared on the common or preferred stock in 2021.Required:Calculate earnings per share (EPS) for the year ended December 31, 2021, assuming that the preferred stock dividends were not paid. Show all computations.150 words.Earnings per share (EPS) is a performance metric that measures a firm's net profit per share of its outstanding common stock. It is computed by dividing the net income for a period by the weighted average number of shares outstanding for the same period.

EPS is a significant performance indicator because it is utilised in computing other financial metrics such as price-to-earnings ratio (P/E ratio).

On December 31, 2020, B Corporation had 100,000 shares of common stock outstanding. On March 31, 2021, B purchased 24,000 shares of its own common stock. Therefore, the outstanding shares decreased to 76,000 (100,000 - 24,000). On July 1, 2021, B issued an additional 12,000 shares of common stock. Therefore, the weighted average number of shares outstanding for the year ended December 31, 2021, is: [(100,000 x 12/12) + (76,000 x 9/12) + (88,000 x 6/12)] = 86,000 shares.Net income for the year ended December 31, 2021, is $200,000. There were no dividends declared on the common or preferred stock in 2021. Therefore, earnings available to common shareholders is equal to net income, or $200,000.

The earnings per share (EPS) is computed by dividing the earnings available to common shareholders by the weighted average number of shares outstanding for the year:EPS = $200,000 / 86,000 shares = $2.33 per share.

Therefore, the earnings per share (EPS) for the year ended December 31, 2021, is $2.33 per share.

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Subject : Service Marketing
1. Time and distribution channels of the Netflix Malaysia (at
least 400 words)
2. Please provide the website link of all the information, thank
you.

Answers

Netflix Malaysia provides an accessible and convenient service to the customers. It has a vast distribution channel that is available to the customers at any time and anywhere. The distribution channels include online platforms and partnership with telecommunication companies that provide an efficient and effective service to the customers.

Service marketing is the concept of marketing services to the customers. The study of service marketing covers various aspects of service such as its nature, types, classification, and so on.

One of the popular service-based companies is Netflix. It is an American-based streaming service provider that is popular worldwide.
Time and distribution channels of Netflix Malaysia
Netflix Malaysia is available for the customers to watch the content on their smartphones, tablets, laptops, and smart TVs. Customers can access it anywhere and at any time.

The platform has made it easier for the customers to watch content without any advertisements.

The distribution channel of Netflix Malaysia is through online platforms such as the Netflix website, Netflix mobile application, and so on. Customers can sign up for a subscription-based on their requirements and preferences. Netflix Malaysia provides various plans for customers to choose from, such as basic, standard, and premium.

It also offers a one-month free trial period for the customers to try out the services.

Moreover, Netflix Malaysia is distributed through various telecommunication companies such as Telekom Malaysia (TM) and Maxis.

This partnership allows the customers to access Netflix Malaysia through their telecommunication providers' bills, making it more convenient for the customers.

In conclusion, Netflix Malaysia provides an accessible and convenient service to the customers. It has a vast distribution channel that is available to the customers at any time and anywhere.

The distribution channels include online platforms and partnership with telecommunication companies that provide an efficient and effective service to the customers.

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disulfide bonds account for about of the hair's overall strength

Answers

Disulfide bonds account for about one-third of the hair's overall strength. The human hair shaft is made up of three main layers; the medulla, the cortex, and the cuticle. Hair is made up of keratin, a protein that consists of amino acid chains held together by peptide bonds.

Disulfide bonds account for roughly one-third of the hair's overall strength, and they are the strongest type of chemical bond present in the hair. These bonds are established through oxidation reactions between two cysteine residues on different parts of the same protein chain, and they give hair its shape and strength.Therefore, disulfide bonds are a critical component of hair structure and its overall strength. When these bonds are damaged, hair can become weak and brittle, which can lead to breakage and other issues.

In conclusion, disulfide bonds account for about one-third of the hair's overall strength and are crucial to the structural integrity of the hair. When these bonds are damaged, hair can become weak and brittle, leading to breakage and other problems.

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Issues Management by it's nature is a strategic planning process
and is fare different than issues communication.
True or False

Answers

True.Issues management is a strategic planning process that involves identifying, analyzing, and addressing potential issues or challenges that may impact an organization's reputation, operations, or stakeholders.

It aims to proactively anticipate and manage issues before they escalate into crises, and it often involves cross-functional collaboration, risk assessment, and developing proactive strategies to mitigate potential negative impacts.

On the other hand, issues communication is a tactical component of issues management. It focuses on effectively communicating information related to identified issues to stakeholders, both internally and externally. Issues communication involves crafting and delivering messages, engaging with stakeholders, and managing the flow of information during a crisis or issue.

While both issues management and issues communication are related and interconnected, they serve distinct purposes within the broader framework of strategic planning and crisis management.

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1. (10) Wine and Roses, Inc. offers an 4.0 percent coupon bond with semiannual payments and a yield to maturity of 6 percent. The bond matures in 20 years. a. What is the market price of a $1,000 face value bond? b. What is the current yield of the bond? c. Suppose that the bond will make a coupon payment in 65 days and an owner of this bond is contemplating to sell it. What is the accrued interest the seller is entitled to receive in this case? Assume 30 days/month.

Answers

a. The market price of a $1,000 face value bond is $834.51.

b. The current yield of the bond is 4.8%.

c. The accrued interest the seller is entitled to receive is $10.96.

a. To calculate the market price of the bond, we need to find the present value of its future cash flows. The bond has a 4.0% coupon rate, which means it pays $40 ($1,000 × 4.0%) in interest every year. Since the payments are semiannual, the bond pays $20 ($40 ÷ 2) every six months. The bond matures in 20 years, so there will be a total of 40 coupon payments.

We discount each semiannual payment using a yield to maturity (YTM) of 6% and sum up all the present values to find the market price of the bond. Using the present value of an annuity formula, the market price is calculated as $834.51.

b. The current yield is calculated by dividing the annual coupon payment by the market price of the bond and multiplying by 100. In this case, the annual coupon payment is $40, and the market price is $834.51. So, the current yield is approximately 4.8%.

c. To calculate the accrued interest, we need to determine the number of days from the last coupon payment to the date of sale. There are 65 days between the last coupon payment and the sale date. Assuming 30 days per month, we calculate the proportion of the coupon period elapsed by dividing 65 by 180 (6 months).

Multiply this proportion by the semiannual coupon payment to find the accrued interest. In this case, the accrued interest is approximately $10.96.

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Based on national and local news reports, is economic growth in the United States growing at a mild or rapid rate? How do you know

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Based on national and local news reports, the economic growth in the United States is growing at a rapid rate. The growth rate of the US economy in the second quarter of 2021 was 6.5%, as per the report by the Bureau of Economic Analysis.

This reflects the broad recovery in the US economy, which was badly impacted by the Covid-19 pandemic. The growth rate was mainly due to the government stimulus measures, including the American Rescue Plan. This plan helped in boosting consumer spending, leading to higher economic growth.In addition, the job market also showed positive growth with an increase in the number of employed people. Unemployment rates have been dropping as the economy reopens after the pandemic. However, there have been some concerns regarding inflation, which has been rising steadily. This is due to a shortage of raw materials and labor, causing a delay in production. The higher inflation may lead to a decrease in spending, resulting in a slow down of the economy.

Therefore, the economic growth in the US is growing at a rapid rate as per national and local news reports. The government's stimulus packages have been successful in providing support to businesses and consumers, resulting in higher economic growth.

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For the FY 2018, Frederick Company had net sales of $950,000 and net income of $85,000, paid income taxes of $17,500, and had before tax interest expense of $15,000. Use this information to determine the Times Interest Earned Ratio. Round your answers to one decimal place

Answers

Times Interest Earned Ratio is a crucial metric used to assess a firm's financial health and creditworthiness. It's a liquidity ratio that calculates a company's ability to pay off its financial debts using its income before interest and taxes.

Times Interest Earned Ratio = Earnings Before Interest and Taxes (EBIT) / Interest Charges For the FY 2018, Frederick Company had net sales of $950,000 and net income of $85,000, paid income taxes of $17,500, and had before tax interest expense of $15,000.

We can calculate Frederick Company's Times Interest Earned Ratio by using the formula. Net Income= $85,000 Income taxes = $17,500 Before tax interest expense = $15,000 To calculate EBIT, add income tax and interest expenses to net income, then deduct the sum from net sales.

EBIT = Net Income + Income Taxes + Before tax interest expense

EBIT = $85,000 + $17,500 + $15,000

EBIT = $117,500

Times Interest Earned Ratio = Earnings Before Interest and Taxes (EBIT) / Interest Charges

Times Interest Earned Ratio = $117,500 / $15,000

Times Interest Earned Ratio = 7.8 times, rounded to one decimal place

The times interest earned ratio for Frederick Company is 7.8 times.

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Variable Costing-5ales Exceed Production The beginning inventory is 7,500 units. Al of the units that were manufactured during the period and 7,500 units of the beginning inventory were soid. The begi

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If a commodity is carried over from one year to the next, the cost of the item in inventory at the end of the year will be the same as the cost of the item in inventory at the start of the year.

Variable costing is an inventory costing technique that considers only the variable manufacturing expenses incurred in the production of a commodity.

Fixed manufacturing expenses are not included in the expense of the commodity under this technique when calculating the cost of goods sold (COGS) for a given accounting time period. Sales Exceed Production The beginning inventory is 7,500 units.

All of the units that were manufactured during the period and 7,500 units of the beginning inventory were sold.

The beginning inventory was considered to be a fully completed product under the variable cost accounting concept.

The income statement's cost of goods sold (COGS) section will contain the variable manufacturing costs incurred in the manufacturing of the sold products plus the product cost allocated to the beginning inventory.

If sales exceed production, the company will have to rely on the beginning inventory to satisfy the demand, so it will sell some of the goods that were in inventory at the start of the year.

If a commodity is carried over from one year to the next, the cost of the item in inventory at the end of the year will be the same as the cost of the item in inventory at the start of the year.

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Risk: Control: Category of Control: Explain the risks, controls and control classification that arise in the following cases. 1. The hours worked field in a payroll transaction record contained the va

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In the case of an incorrect value in the hours worked field of a payroll transaction record, there are several risks associated with it. These risks include potential errors in employee pay, inaccurate time off accruals, and incorrect determination of benefits eligibility.

To mitigate these risks, it is essential to have effective control measures in place within the payroll system. These controls serve to minimize errors and ensure accuracy. They can include the following:

1. Checks and Balances: Implementing checks and balances within the payroll system is crucial. This involves reviewing employee hours worked reports to ensure they are reasonable and consistent. Additionally, regularly reviewing any changes made to payroll transaction records can help identify and rectify errors promptly.

2. Verification of Employee Information: Verifying employee information is a fundamental control measure to prevent paying employees the wrong amount. This includes validating employee details, such as rates of pay, authorized overtime, and leave entitlements, before processing payroll.

3. Preventive Controls: Preventive controls are designed to reduce the likelihood of errors by implementing measures that stop errors from occurring in the first place. Examples of preventive controls include error-proofing procedures, segregating duties to ensure multiple individuals are involved in the payroll process, and implementing authorization and approval processes.

4. Detective Controls: Detective controls are intended to identify errors that have already occurred, allowing for corrective action and preventing future occurrences. Reconciliations, exception reports that highlight discrepancies or unusual patterns, and audit trails to track and monitor changes can serve as detective controls.

By combining preventive and detective controls, organizations can enhance the accuracy and reliability of their payroll processes, mitigating the risks associated with incorrect values in payroll transaction records.

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Suppose the weight of linebackers in the National Football League (NFL) is normally distributed with a mean of 241 pounds and a standard deviation of 5.6 pounds. a. What is the probability that a randomly selected NFL linebacker will weight less than 250 pounds? Round your z value(s) to two decimal places. Do not round any other intermediate calculations. Round your answer to four decimal places. Probability = b. What is the probability that a randomly selected NFL linebacker will weight more than 235 pounds? Round your z value(s) to two decimal places. Do not round any other intermediate calculations. Round your answer to four decimal places. Probability = c. What is the probability that a randomly selected NFL linebacker will weight between 237 pounds and 247 pounds? Round your z value(s) to two decimal places. Do not round any other intermediate calculations. Round your answer to four decimal places. Probability =

Answers

To find the probability that a randomly selected NFL linebacker will weigh less than 250 pounds, we need to calculate the z-score and use the standard normal distribution table. First, we calculate the z-score using the formula:
z = (x - μ) / σ

where x is the weight we're interested in (250 pounds), μ is the mean (241 pounds), and σ is the standard deviation (5.6 pounds).
z = (250 - 241) / 5.6 = 1.607
Now, we can use the standard normal distribution table to find the probability corresponding to a z-score of 1.607. Looking up this value, we find that the probability is approximately 0.9452.
Therefore, the probability that a randomly selected NFL linebacker will weigh less than 250 pounds is 0.9452.
b. To find the probability that a randomly selected NFL linebacker will weigh more than 235 pounds, we can use the same approach as in part a.
Calculating the z-score:
z = (x - μ) / σ
where x is the weight we're interested in (235 pounds), μ is the mean (241 pounds), and σ is the standard deviation (5.6 pounds). z = (235 - 241) / 5.6 = -1.071
Using the standard normal distribution table, we find that the probability corresponding to a z-score of -1.071 is approximately 0.1421. Therefore, the probability that a randomly selected NFL linebacker will weigh more than 235 pounds is 0.1421.

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1) The unemployment rate measures the percentage of
A) people in the labor force who can't find a job.
B) the working age population who can't find a job.
C) the working age population that can't find a full-time job.
D) people who want full-time jobs, but can't find them.
E) employed people who can't find a job.

Answers

The correct answer is A) people in the labor force who can't find a job.

The unemployment rate is a measure of the percentage of people in the labor force who are actively seeking employment but are unable to find a job. It represents the proportion of individuals who are willing and able to work but are currently unemployed. The labor force includes both employed individuals and those who are actively looking for work.

Option B is incorrect because it includes the entire working-age population, including individuals who may not be seeking employment or are not part of the labor force. Option C is incorrect because it specifically refers to a full-time job, whereas the unemployment rate encompasses all job seekers regardless of the type of employment they are seeking.

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short answer
Is designing products that are not refurbishable or recyclable, such as computers and electronics that end up in city garbage dumps, unethical? Discuss.

Answers

Designing products that are not refurbish able or recyclable, leading to their disposal in city garbage dumps, can be considered unethical due to the negative environmental impact and waste generation.

Designing products with no consideration for refurbishment or recyclability can have detrimental effects on the environment and contribute to the growing issue of waste management. When products cannot be refurbished or recycled, they are more likely to end up in city garbage dumps, taking up valuable space and releasing harmful substances into the environment as they break down. This contributes to pollution, soil contamination, and the depletion of natural resources.

From an ethical standpoint, this approach can be seen as irresponsible and shortsighted. It disregards the long-term consequences of unsustainable practices and places a burden on future generations to deal with the consequences. Additionally, it fails to address the growing need for more sustainable solutions and the increasing public concern for environmental preservation.

By contrast, designing products with refurbishment and recyclability in mind promotes a circular economy, where resources are conserved, waste is minimized, and materials can be reused or repurposed. This approach aligns with ethical considerations by reducing environmental harm and supporting sustainable practices.

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Referencing the Uber case (case 16 in the course etext)
Why have taxicab companies had a difficult time maintaining market share in the face of Uber’s offering?
a. Taxis lack price transparency
b. Uber allows you to rate your driver
c. Taxis are more risky for passengers in terms of physical safety
d. The convenience of network effects via smartphones has created efficiencies for customers that taxi companies cannot match

Answers

One reason why taxicab companies have had a difficult time maintaining market share in the face of Uber's offering is that the convenience of network effects via smartphones has created efficiencies for customers that taxi companies cannot match.

Taxis lack price transparency. With Uber, there is a clear understanding of how much the customer will pay for a ride, while taxi companies can vary their rates without providing a clear explanation. With Uber, the customer has the option of selecting the type of vehicle they want to ride in, while taxis do not offer this option. Uber allows customers to rate their drivers, which encourages drivers to provide better service. This is not a feature of the taxi industry. Taxis are riskier for passengers in terms of physical safety. Since Uber tracks the ride and drivers, passengers feel safer during the ride.

According to the given options, option d, "The convenience of network effects via smartphones has created efficiencies for customers that taxi companies cannot match" is the most accurate answer.

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why is Management information system good major? Should you keep
it?

Answers

Management information system is a good major because it equips you with knowledge in the development, management, and use of information systems that support business operations. This degree program enables graduates to integrate technological advancements in the business environment, analyze data, and provide strategic decision-making support to organizational leaders.

A Management Information System (MIS) degree program covers courses such as information management, database design, project management, systems analysis, and business information systems. The curriculum covers both technical and business aspects, thus allowing students to become well-rounded professionals with a good understanding of the business world. MIS students also develop skills in computer programming, problem-solving, data analysis, and communication, all of which are essential in today's data-driven business world. Graduates can work in various fields, including healthcare, banking, finance, and government agencies.

The demand for graduates with MIS degrees is high, as more companies seek to integrate technology into their business operations. In addition, there is a high earning potential in this field. According to the Bureau of Labor Statistics (BLS), the median annual salary for computer and information systems managers was $146,360 in May 2019.

In conclusion, Management Information System is a good major. Students who pursue this degree program gain knowledge and skills that enable them to integrate technology into business operations, analyze data, and provide decision-making support to organizational leaders. MIS graduates can work in various fields and have high earning potential.

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Assume the following quotes for pounds, U.S. dollars and euros exist today.
€1.15/£ $1.30/€ $1.65/£

Assume no transaction costs. Based on these quotes, is there an arbitrage opportunity, and if so, how would a UK currency trader with access to £1 million exploit this? Clearly explain your answer and show all relevant calculations.
[25 marks]

Clearly explain how the market would react to eliminate any arbitrage opportunities in (i) above and how the exchange rates would change as a result.
[15 marks]

question from international finance

Answers

Based on the given quotes for pounds, U.S. dollars, and euros, there is an arbitrage opportunity for a UK currency trader with access to £1 million. They can exploit this opportunity by engaging in a series of currency transactions to make risk-free profits. However, these opportunities would be quickly eliminated by market participants, leading to adjustments in exchange rates.

To determine if there is an arbitrage opportunity, we can compare the direct exchange rates and the cross exchange rate derived from them. In this case, the direct exchange rates are €1.15/£, $1.30/€, and $1.65/£.

By calculating the cross exchange rate using these direct rates, we can check for any discrepancies. The cross exchange rate is obtained by multiplying the exchange rates in the desired order. In this case, we multiply €1.15/£ by $1.30/€ to get $1.495/£.

Comparing the cross exchange rate ($1.495/£) to the given direct exchange rate ($1.65/£), we can observe a discrepancy. The cross exchange rate is lower than the direct exchange rate, indicating an arbitrage opportunity.

To exploit this opportunity, the UK currency trader could start with £1 million and convert it to euros at the rate of €1.15/£, resulting in €1.15 million. They could then convert the euros to U.S. dollars at the rate of $1.30/€, giving $1.495 million. Finally, they could convert the U.S. dollars back to pounds at the rate of $1.65/£, resulting in approximately £0.906 million.

The trader would make a risk-free profit of £6,000 (approximately) in this series of transactions. However, market participants would quickly recognize this arbitrage opportunity and engage in similar transactions,

leading to an increased demand for pounds, a decreased supply of euros and U.S. dollars, and a consequent adjustment in exchange rates. These adjustments would bring the exchange rates back to a level where no risk-free profits can be made, effectively eliminating the arbitrage opportunity.

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You have just been appointed as the senior accountant of Moore Retailers and your first task is to
prepare the bank reconciliation statement as at 30 June 2017. The junior bookkeeper wanted to
make a good first impression and has tried to draft the reconciliation, but he is very inexperienced and has made several mistakes in the process
He has presented you with the reconciliation below:
Bank reconciliation statement as at 30 June 2017
4 737 DR
Balance as per bank statement at 1 June 2017 (favourable)
Outstahding cheques
CC604 (dated 2 December 2016) 1198
396
CC1120 (dated 28 June 2017)
CC1121 (dated 29 June 2017) 3 594
598
CHQ321
Outstanding deposits:
Deposit slip no.49 (dated 3 June 2017) 2096 Deposit slip no.56 (dated 30 June 2017) Direct 7 096 deposit by debtor Masisi
Correction of error 2 402 on cheque CC942
Balancing number 995
Balance as per bank statement at (22 87) 30 June 2017 (favourable) 7253 DR
Additional information:
1. Debit balance R per the Bank Statement at 30 June 2017 7 253
2. Cheque CHQ321 which appears on the June bank statement was in fact 598 incorrectly debited to the business's account.
Debtor Masisi made a direct deposit to settle his account. 2 402

Answers

The adjusted balance per the bank statement at June 30, 2017, is a debit balance of 3,276.

To prepare an accurate bank reconciliation statement for Moore Retailers as of June 30, 2017, let's correct the mistakes in the presented reconciliation and include the additional information provided.

Bank Reconciliation Statement as of June 30, 2017:

Balance per bank statement at June 1, 2017: 4,737 DR

Outstanding checks:

Check CC604 (dated December 2, 2016): 1,198

Check CC1120 (dated June 28, 2017): 3,594

Check CC1121 (dated June 29, 2017): 598

Check CHQ321 (incorrectly debited): 598 (Correction: Subtract 598 from the previous balance)

Total outstanding checks: 5,988 DR

Outstanding deposits:

Deposit slip no.49 (dated June 3, 2017): 2,096

Deposit slip no.56 (dated June 30, 2017): 7,096

Direct deposit by debtor Masisi: 2,402

Total outstanding deposits: 11,594 CR (Correction: Add 11,594 to the previous balance)

Correction of error on check CC942: 2,402 (Correction: Subtract 2,402 from the previous balance)

Balancing number: 995

Balance per bank statement at June 30, 2017: 7,253 DR (Correction: Add 7,253 to the previous balance)

Now, let's calculate the adjusted balance:

Balance per bank statement at June 1, 2017: 4,737 DR

Total outstanding checks: 5,988 DR

Total outstanding deposits: -11,594 CR

Correction of error on check CC942: -2,402

Balancing number: 995

Adjusted balance per bank statement at June 30, 2017: (3,276) DR

Please note that the corrections made are based on the provided information, and it's important to review the original documents and transactions for accuracy.

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1. Adam Smith’s view of the corporation was _________.

a. developed in his famous work The Corporation and Private Property

b. that the corporation was the central aspect of market capitalism

c. that partnerships were more responsible and had more transparency than corporations which had principal-agent problems

d. that supply and demand determined the profit of corporations

Answers

Adam Smith’s view of the corporation was that the corporation was the central aspect of market capitalism (b). In his famous work "The Wealth of Nations," Smith emphasized the importance of the division of labor and the benefits of free markets.

He argued that corporations, or joint-stock companies, were instrumental in promoting economic growth and efficiency. Smith believed that by pooling resources and allowing for the separation of ownership and management, corporations could facilitate larger-scale production and increase productivity. This, in turn, would lead to higher profits and economic prosperity.

Smith's view aligned with the idea that supply and demand determined the profit of corporations (d), as he believed that market forces should be the driving factor behind economic outcomes. Smith did not specifically address partnerships or principal-agent problems in relation to corporations (c). Overall, Smith's view emphasized the role of corporations in fostering economic development and market capitalism.

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The Alternative Dispute Resolution (ADR) rules provide in Art 7
that in absence of any agreement of the parties, the ADR
proceedings are:
* Binding for both parties
Private and confidential
Subject to

Answers

In the absence of any agreement of the parties, the Alternative Dispute Resolution (ADR) proceedings are subject to the approval of the parties.

According to Article 7 of the ADR rules, if there is no prior agreement between the parties regarding the ADR proceedings, they are subject to the approval of the parties involved. This means that both parties need to agree to participate in the ADR process for it to take place. The ADR proceedings cannot be imposed on the parties without their consent.

While ADR can offer benefits such as efficiency, cost-effectiveness, and flexibility in resolving disputes, it is a voluntary process. The parties have the autonomy to decide whether they want to engage in ADR or pursue other methods of dispute resolution. The absence of an agreement regarding the ADR proceedings means that the parties retain the right to choose alternative means of resolving their dispute or to pursue traditional litigation. Hence, in the absence of any agreement, the ADR proceedings are subject to the approval of the parties involved.

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Here is the complete question:

The Alternative Dispute Resolution (ADR) rules provide in Art 7 that in absence of any agreement of the parties, the ADR proceedings are:

Binding for both parties

Private and confidential

Subject to the approval of UNICTRAL

Subject to the approval of the parties

Given the following information, find break-even point in dollar
sales:
Variable cost per unit, RM5.85; sales price per unit, RM17.40,
fixed cost, RM164, 065.60.

Answers

RM246,929.61 the break-even point in dollar sales.

To find the break-even point in dollar sales, we need to determine the number of units that need to be sold to cover the fixed costs. Here's how you can calculate it:

Calculate the contribution margin per unit:

Contribution margin = Sales price per unit - Variable cost per unit

Contribution margin = RM17.40 - RM5.85 = RM11.55

Calculate the break-even point in units:

Break-even point (in units) = Fixed costs / Contribution margin per unit

Break-even point (in units) = RM164,065.60 / RM11.55

Convert the break-even point in units to dollar sales:

Break-even point (in dollar sales) = Break-even point (in units) * Sales price per unit

Break-even point (in dollar sales) = (RM164,065.60 / RM11.55) * RM17.40

Performing the calculations:

Break-even point (in units) = 14,193.72 units (rounded up to the nearest whole number)

Break-even point (in dollar sales) = 14,193.72 * RM17.40

Therefore, the break-even point in dollar sales is approximately RM246,929.61.

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Other Questions
You are part of a software services organization. A new project has been initiated by your sponsor, and you are now authorized as a part of the project management team. The project involves developing a telecommunication application that supports billing. The external customer is the end user to whom you will deliver the application. As part of the planning, you must develop a comprehensive project plan highlighting all the steps that will be required to support the customers request. You must ensure that your plan is professional, concise and incorporates all the project management guidelines as outlined each weeks learning. This plan must meet all the criteria of a successful case study project utilizing the steps in the requirements below. Final Submission Marks 20% a. WBS (Work breakdown structure) b. All tasks aresignificant. c. Tasks focus on function rather thanform. d. Excellent organization into tasks andsub-tasks. e. All tasks clearly stated using verb-nounform. f. MS Project plan incorporating the timeline and connections for all activities Firm ABC Inc. has enough internal resources to finance many projects. ABC Inc. just identified a project with positive NPV ($10 million). This means that:Group of answer choicesA. None of these statements is necessarily true.B. The firm should not undertake projects that have NPV lower than $10 million.C. The firm operates in a perfectly competitive industry.D. The firm is earning less than the opportunity cost of capital when investing in this new project.E. The IRR of this project is lower than the firm cost of debt. Pharoah Company purchased (at a cost of $17,810 ) and used 2,600 pounds of materials during May. Pharoah's standard cost of materials per unit produced is based on 1 pounds per unit at a cost $7.00 per pound. Production in May was 2,550 units. (a) Compute the total, price, and quantity variances for materials: Effects of Transactions (Revenue, Expense, Withdrawals)Assume John Sullivan completed the following additional transactions during February.(e) Received cash from a client for professional services, $1,500.(f) Paid office rent for February, $600.(g) Paid February phone bill, $64.(h) Withdrew cash for personal use, $1,000.(i) Performed services for clients on account, $750.(j) Paid wages to part-time employee, $1,200.(k) Received cash for services performed on account in transaction (i), $400. (Enter the change in Cash on the first line and the change in other account on the second line.)Show the effect of each transaction on the basic elements of the expanded accounting equation: Assets = Liabilities + Owner's Equity (Capital Drawing + Revenues Expenses). Use the minus sign to indicate a decrease or reduction in the account. After transaction (k), report the totals for each element. If an amount box does not require an entry, leave it blank. Current Attempt in Progress Concept Simulation 2.3 offers a useful review of the concepts central to this problem. An astronaut on a distant planet wants to determine its acceleration due to gravity. The astronaut throws a rock straight up with a velocity of +12.3 m/s and measures a time of 25.9 s before the rock returns to his hand. What is the acceleration (magnitude and direction) due to gravity on this planet? (positive = up. negative = down) Number Units The total electric flux from a cubical box \( 25.0 \mathrm{~cm} \) Part A on a side is \( 4450 \mathrm{~N} \cdot \mathrm{m}^{2} / \mathrm{C} \). What charge is enclosed by the box? Francisco runs 515 m around the school track in 45.6 seconds. Calculate his speed. Your Answer: Answer units An item with a holding cost of \( \$ 4000 \) per year can be shipped by air in 1 day, costing \( \$ 100 \), or by ground in 4 days, costing \( \$ 75 \). Assuming the holding costs of \( \$ 4000 \) per Demin (pvt) Limited manufactures three products, known as Jass, Mass and Vass. The following information is available for 2021. The budgeted sales of Disney Manufacturing (pvt) Limited for 2021 are as follow: Product Sales units Unit selling price Jass 20,000 Rs. 25 Mass 18,000 Rs. 20 Vass 15,000 Rs. 22 The opening stocks at the beginning of the year 2021. Product Production units Material Material units Jass 3,000 M1 40,000 Mass 3,000 M2 50,000 Vass 2,000 M3 60,000 M4 40,000 M5 10,000 6 The marketing director intends to run a marketing campaign towards the end of 2021 and has requested that product unit stocks should be increased at the end of 2021 above the commencement stocks by the following: Jass 20% Mass 50% Vass 20% The purchasing director has requested that all components part stocks be reduced by 20% at the end of 2021 because of improved delivery times from suppliers. The product material specification and component cost for each of the products and are as follows: Material M1 M2 M3 M4 M5 Product Cost per material unit 50 cents 35 cents 60 cents 55 cents Rs.1 Jass 3 4 6 2 1 Mass 2 3 4 2 1 Vass 5 2 3 3 1 The standard labour usage for each product and labour rates are as follows. Jass 2 Hours Mass 4 Hours Vass 3 Hours Standard labor rate per hour is Rs. 2.00 Budgeted cash flows are as follows. Quarter Budgeted sales (Rs.) Budgeted purchases (Rs.) Payment for salaries (Rs.) Other expenses (Rs.) 1 250,000 100,000 100,000 30,000 2 300,000 120,000 110,000 25,000 3 280,000 110,000 120,000 18,004 4 246,250 136,996 161,547 3,409 Cash balance as at 31st December 2020 was Rs.8500. a. You are asked to prepare the sales budget, production budget, material purchase budget, direct labour budget and cash budget for the year ending 31st December 2021. (18 marks) 7 b. Discuss the expected performance of the company at the budget committee meeting. Which of these is true? Points: 1 in North america, the Earth is farthest from the Sun during the summer Solaris is the southern star on the celestial sphere the Earth is 4.4 million years old a sidereal year is the same as a tropical year stars of equal brightness are located at the same distances Why is Pluto a dwarf planet and no longer regarded as a major planet? planets must have a minimum radius a planet cannot be made of icy material a dwarf planet is so small it cannot clear other objects out of its path a planet cannot have an orbital period more than 500 years planets cannot be further away from the sun than 50 au City of Austin, Texas Annual Comprehensive Financial Report 2021 For the fiscal year ended September 30, 2021In which section of the Comprehensive Annual Financial Report (CAFR) are the budgettoactual comparisons of the major funds?a. Which accounting basis did the City follow to prepare its annual operating budget?b. Are the actual amounts on a GAAP or a budgetary basis? Do the statements include a reconciliation of any differences between GAAP and budgetary amounts? If so, what are the largest reconciled items?c. Are the reported variances based on the original budget or the yearend amended budget?2. Does the CAFR include budgettoactual comparisons of nonmajor funds? If so, in what section?3. Does the government encumber goods or services that have been ordered but have not yet been received? How, if at all, are encumbrances reflected on the governmental fund balance sheet? How, if at all, are they reflected on the governmentwide statement of net position?4. Do encumbrances that remain outstanding at yearend lapse? That is, do the amounts that will be expended in the following year, when the goods or services are received, have to be rebudgeted in the following year? How can you tell? file:///C:/Users/Student/OneDrive/Documents/School%20Work/ACC410/annual_comprehensive_financial_report_2021.pdfMay an expert answer? I posted question once and no one has answered. Given a list of integers, return a list where each integer is multiplied by 2.doubling([1, 2, 3]) [2, 4, 6]doubling([6, 8, 6, 8, -1]) [12, 16, 12, 16, -2]doubling([]) [] In the circuit shown, the AC voltage source supplies an rms voltage of 160 V at frequency f. The circuit has R = 103 W, XL = 183 W, and XC = 99 W. (a) Find the impedence of the circuit. Z = W * 132.91 OK (b) Find the rms current flowing in the circuit. Irms = A * 1.204 OK (c) Find the phase angle in degrees between the current in the circuit and the voltage supplied by the AC source. f = degrees (d) At the instant the voltage across the generator is at its maximum value, what is the magnitude of the current in the circuit?. I = A A cube has a certain volume. If the length of each side is tripled, by what factor will the volume increase? Area = length width area 4 = 2 x 2 area 9 = 3 x 3 area n ^2 = 4 x n =4n How far, in meters, from the starter cable of a car, carrying 150 A, must you be to experience a field less than the Earths 5 * 10^-5 T? Assume a long straight wire carries the current. (In practice, the body of your car shields the dashboard compass.) A gun with a muzzle velocity of 1260ft/sec is fired at an angle of 13 above the horizontal. Find the horizontal and vertical components of the velocity. The horizontal component of the velocity is ft/sec. (Round to the nearest integer.) What are the portfolio weights for a portfolio that has 135 shares of Stock A that sell for $48 per share and 165 shares of Stock B that sell for $29 per share? Complete the following analysis. Do not hard code values in your calculations. an intersection of hospital hallways, a convex spherical mirror is mounted high on a wall to help people avoid collisions. magnitude of the mirror's radius of curvature is 0.562 m. (a) Locate the image of a patient 10.2 m from the mirror. (Use the correct sign conventions.) Make sure you are correctly assigning signs to the object distance and the focal length. cm (from the mirror) What is a tarn?Group of answer choicesa peak surrounded on all sides by cirquesa highly polished surface that is produced by glacial melt and sand mixing togethera rock-bound depression eroded out of bedrock by a glacier, and it is typically a lakea series of stacked rocks piled up by an advancing glacier Which was a concem raised about the advance of digital and electronic technologies in your course material? Displacement of workforce Security of information Invasion of privacy All of the above Question 44 Kirby Ferguson informs us that the intention of patent law, which is sometimes countermanded by the application of patent law, is... fairly compensate injured parties. allow companies to buy and bury ideas maxamize corporate profits: to promote the progress of useful arts.