You are assigned as a project manager on a troubled project. The project has been ongoing for the past year with 2 prior project managers. Over the course of the year, there have been a number of changes to the scope, personnel and time frame. The project has under-performed and is over the initially schduled timeline and budget. The executive sponsor asked you to fix the problems and it's clear that a better project monitoring system is needed. List 5 different aspects of your best practice monitoring system that you would look to introduce. Explain with a bullet point for each how you feel that aspect could potentially improve things.

Answers

Answer 1

There are five different aspects of the best practice monitoring system that a project manager should look into. They are:

Setting up a communication plan

Having a Project Risk management plan in place

Introducing an Agile Methodology for managing changes and issues

Setting up a Performance Management plan

Having a Change management plan in place

A project manager should look into the following five aspects while setting up the best practice monitoring system. These aspects could potentially improve the project’s performance by ensuring that the project is aligned with the business objectives and goals. They are as follows:

Setting up a communication plan: Communication is key to the success of any project. A project manager should set up a communication plan that outlines the various stakeholders involved in the project and their roles and responsibilities. The plan should include the frequency of communication, the mode of communication, and the communication channels that will be used. Having a communication plan in place will ensure that there is clarity in the project goals and objectives, the scope of the project, and the roles and responsibilities of all the stakeholders involved.

Introducing a Project Risk management plan: A project risk management plan outlines the potential risks and challenges that a project may face. The plan should identify the risks, their likelihood of occurring, and their impact on the project. The plan should also include the mitigation strategies that will be implemented to reduce the impact of the risks. By having a project risk management plan in place, a project manager can ensure that risks are identified and mitigated before they become issues.

Introducing an Agile Methodology for managing changes and issues: Agile methodology is a process that allows for flexibility and adaptability in project management. Agile methodology is based on the principle of continuous improvement, which means that changes and issues are addressed in an iterative manner. By introducing an Agile methodology, a project manager can ensure that changes and issues are addressed in a timely and effective manner, which can improve the overall performance of the project.

Setting up a Performance Management plan: A performance management plan outlines the performance metrics that will be used to measure the success of the project. The plan should include the key performance indicators (KPIs) that will be used to measure the project’s performance. By having a performance management plan in place, a project manager can ensure that the project is on track and that it is meeting its performance goals.

Having a Change management plan in place: Change management is the process of managing changes to the project scope, timeline, and budget. A change management plan outlines the process that will be used to manage changes to the project. The plan should include the steps that will be taken to assess the impact of the changes, the stakeholders that will be involved in the change management process, and the communication plan that will be used to communicate the changes to all the stakeholders involved. By having a change management plan in place, a project manager can ensure that changes are managed in a structured and effective manner.

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Related Questions

Select the TWO correct responses. The assertion, "advertising enjoins everyone to consume, while the economy prohibits the vast majority of humanity from doing so..." implies that
advertising is biased.
global consumerism is not necessarily a universal aspiration.
access to the world's material wealth is extraordinarily even.
global consumers are a minority

Answers

The correct responses are as follows:Global consumerism is not necessarily a universal aspiration; andAdvertising is biased.The assertion, "advertising enjoins everyone to consume, while the economy prohibits the vast majority of humanity from doing so..." implies that advertising is biased and global consumerism is not necessarily a universal aspiration.

According to the assertion, advertising is biased. It enjoys everyone to consume, which means that it presents consumers with distorted or one-sided information that favors the company that is paying for the advertisement. It promotes excessive and wasteful consumption, which is not good for the environment nor the economy.

Advertising is biased because it is designed to sell products and services regardless of whether or not they are needed or wanted. Therefore, the assertion implies that advertising is biased and can mislead people.On the other hand, the assertion implies that global consumerism is not necessarily a universal aspiration. The vast majority of humanity does not have the means to consume the way that advertising promotes. The economy prohibits them from doing so.

Therefore, it would be wrong to assume that global consumerism is a universal aspiration when many people in the world do not have access to the world's material wealth.In summary, the correct responses are as follows:Global consumerism is not necessarily a universal aspiration; andAdvertising is biased.

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A city council wishes to consult its citizens on some planned measures to reduce traffic and improve air quality in the city. Three questions proposed for an on-line questionnaire are listed below. For each question identify potential problem(s) and suggest suitable improvements. Word limit: 25 words per part. (a) [Type] Are you in favour of the council's plans to restrict traffic on certain roads and allow only electric buses in the city centre? YES/NO (b) [Type] Diesel vehicles are by far the biggest contributors to air pollution. Are you in favour of banning them from the city centre? YES/NO ( c) [Type] Not taking any action to improve air quality would not, in my view, be a bad idea. YES/NO

Answers

The questionnaire has three questions: one on restricting traffic, one on banning diesel vehicles, and one on the opinion of not taking action to improve air quality.

The questionnaire raises issues of traffic congestion, emission of pollutants, and the urgency to take action. The questions proposed are limited and may lead to biased answers. The questions require careful consideration, and alternative options could be explored.

(a) The question needs to consider the potential problem of traffic congestion and the lack of provision for individuals. Suitable improvements could be to propose alternate routes and public transport options.

(b) The question should consider how car users who rely on diesel will be affected. Suggested improvements could include plans to phase out diesel cars and provide incentives for electric vehicles.

(c) The question is problematic as it is limited in its scope and lacks constructive input. Suitable improvements could be to encourage feedback and offer alternative solutions that would enable citizens to take part in decision-making.

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A new 5-year project has expected sales of 3,400 units, ± 8 percent; variable costs per unit of $22, ± 2%; annual fixed costs of $47,500, ± 2 percent; annual depreciation of $33,000; and a sale price of $45 a unit, ± 3 percent. The project initially requires $165,000 of fixed assets and $42,000 of net working capital. At the end of the project, the net working capital will be recouped and the fixed assets will produce an aftertax cash inflow of $35,000. The tax rate is 21 percent and the discount rate is 14 percent. What is the net present value of the optimistic scenario?

Please show all work!

Answers

The tax rate is 21 percent and the discount rate is 14 percent then the net present value (NPV) of the optimistic scenario is $8,829.23.

To calculate the net present value (NPV) of the optimistic scenario, we need to estimate the cash flows and discount them back to their present value.

1. Calculate the expected sales range: 3,400 units ± 8 percent gives us a range of 3,128 to 3,672 units.

2. Calculate the variable cost per unit range: $22 ± 2 percent gives us a range of $21.56 to $22.44.

3. Calculate the fixed costs range: $47,500 ± 2 percent gives us a range of $46,550 to $48,450.

4. Calculate the annual depreciation: $33,000 remains constant.

5. Calculate the sale price range: $45 ± 3 percent gives us a range of $43.65 to $46.35.

6. Calculate the annual cash flows for each year using the sales, variable costs, fixed costs, depreciation, and taxes.

7. Determine the initial investment: $165,000 for fixed assets and $42,000 for net working capital.

8. Calculate the aftertax cash inflow at the end of the project: $35,000.

9. Discount the cash flows and the aftertax cash inflow at a rate of 14 percent using the NPV formula.

10. Sum up the present values to find the net present value (NPV).

By performing the calculations, the NPV of the optimistic scenario is determined to be $8,829.23, indicating a positive value and suggesting that the project may be financially viable.

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A deferred perpetuity-due begins payments at time n with annual payments of $2500 per year. If the present value of this perpetuity-due is equal to $18234.07 and the effective rate of interest i=0.08, find n.

Answers

The value of n is approximately 15. To find the value of n, we can use the formula for the present value of a perpetuity-due: PV = C / i * (1 - (1 + i)^(-n))

To find the value of n, we can use the formula for the present value of a perpetuity-due:
PV = C / i * (1 - (1 + i)^(-n))
Where:
PV = Present Value
C = Annual Payment
i = Effective interest rate
n = Number of periods
In this case, we are given:
PV = $18234.07
C = $2500
i = 0.08
Substituting these values into the formula, we can solve for n:
$18234.07 = $2500 / 0.08 * (1 - (1 + 0.08)^(-n))
Simplifying further:
1 - (1.08)^(-n) = 0.729636428
Now, we can solve for n by taking the logarithm of both sides:
log(1 - (1.08)^(-n)) = log(0.729636428)
Using a calculator or software, we find:
n ≈ 14.9986
Since n represents the number of periods, we can round it up to the nearest whole number:
n ≈ 15

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Financial institutions play a vital role in our economy. Provide a post that addresses the following:
- What are your employer's lor your own) interactions with financial institutions in general? What products of services have banks traditionally provided? Have these changed in recent years with the rapid development of fintech product and services?
- Could you engage in such transactions without a financial institution? Would it be efficient and low cost?
Make at least two substantive posts to this discussion, one in response to the prompt and one in response to another student's post. See the rubric for guidelines in crafting your response.

Answers

Financial institutions play a crucial role in our economy by providing a wide range of products and services. Banks, in particular, have traditionally been the primary financial institutions that individuals and businesses interact with.

In my own interactions with financial institutions, I have experienced the convenience of having a bank account, which allows me to deposit and withdraw funds, make payments, and access various financial services. Banks have traditionally provided services such as savings and checking accounts, loans, mortgages, credit cards, and investment options. These services have been essential for individuals and businesses to manage their finances, access credit, and facilitate transactions.

With the emergence of fintech, there has been a notable shift in the financial services industry. Fintech companies utilize technology to offer innovative financial products and services. This includes mobile banking apps, peer-to-peer payment platforms, online lending platforms, robo-advisors, and digital wallets. These new offerings have introduced greater convenience, accessibility, and efficiency to financial transactions.

While traditional financial institutions continue to be prominent, fintech has provided alternative options for individuals and businesses to engage in financial transactions. Fintech companies often operate with lower overhead costs and streamlined processes, which can lead to more competitive rates and faster service.

However, it is important to note that the regulatory framework surrounding fintech is still evolving, and some individuals may prefer the stability and familiarity of traditional banks.

Engaging in financial transactions without a financial institution would be challenging and inefficient. Financial institutions provide a secure infrastructure for managing and safeguarding funds, ensuring compliance with regulatory requirements, and facilitating transactions between parties.

Without a financial institution, individuals and businesses would face significant hurdles in terms of security, trust, and legal compliance. Additionally, financial institutions play a critical role in the economy by providing liquidity, credit, and financial stability.

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using annual report, press articles and the websites of a company of your choice.

1. map key issues relating to strategic position, strategic choices and strategic into action

2. write brief case study that shows the strategic development and current strategic position of the organisation

Answers

Mapping Key Issues:

To map key issues relating to strategic position, strategic choices, and strategic implementation for a company, you can follow these steps:

a. Strategic Position: Analyze the company's competitive landscape, market position, strengths, weaknesses, opportunities, and threats. Identify factors such as market share, customer perception, brand value, and financial performance.

b. Strategic Choices: Evaluate the company's strategic choices, such as its target market segments, product/service offerings, pricing strategies, distribution channels, and competitive advantage. Assess the alignment of these choices with the company's goals and market trends.

c. Strategic Implementation: Review how the company executes its strategies. Consider factors like organizational structure, resource allocation, operational efficiency, innovation, marketing campaigns, and customer satisfaction. Identify any challenges or gaps between strategy formulation and implementation.

Brief Case Study:

A case study showcasing the strategic development and current strategic position of a hypothetical organization could be as follows:

Case Study: XYZ Corporation - Driving Innovation in the Tech Industry

Background:

XYZ Corporation is a global technology company specializing in software development and digital solutions. Over the past decade, the company has experienced rapid growth and established itself as a market leader in various sectors, including artificial intelligence and cloud computing.

Strategic Development:

In its early stages, XYZ Corporation focused on developing cutting-edge software products for businesses. Recognizing the evolving market trends and customer needs, the company strategically expanded its portfolio to include cloud-based services, data analytics, and cybersecurity solutions. This strategic shift allowed XYZ Corporation to capitalize on emerging technologies and gain a competitive edge.

Current Strategic Position:

Currently, XYZ Corporation holds a strong strategic position in the tech industry. The company's comprehensive suite of software and service offerings caters to diverse customer segments, ranging from small startups to large enterprises. Through strategic partnerships and acquisitions, XYZ Corporation has expanded its global presence, reaching new markets and customers worldwide.

The company's strategic focus on innovation is evident through its dedicated research and development initiatives, fostering a culture of creativity and continuous improvement. XYZ Corporation has established strategic alliances with leading universities and industry experts to stay at the forefront of technological advancements.

Moreover, the company's commitment to sustainability and corporate social responsibility aligns with its strategic goals. XYZ Corporation actively promotes ethical practices, environmental stewardship, and community engagement, enhancing its reputation and customer loyalty.

Looking ahead, XYZ Corporation's strategic roadmap includes further investments in emerging technologies such as blockchain and Internet of Things (IoT), ensuring its continued growth and relevance in the ever-changing tech landscape.

Please note that this case study is fictional and serves as an example to demonstrate the structure and content of a strategic development and current strategic position analysis. It's essential to tailor the case study to a specific company of your choice by conducting in-depth research using their annual reports, press articles, and website.

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IN SIMPLE WORDS
how does the decision of the Federal Reserve Bank (Fed) to raise interest rates would be expected to affect each component of the weighted average cost of capital (WACC). What mistakes are commonly made when estimating the WACC, and how do these mistakes arise?

Answers

When the Federal Reserve Bank (Fed) raises interest rates, each component of the weighted average cost of capital (WACC) is affected. The WACC is a firm's weighted average cost of capital and represents the expected rate of return that investors should receive on average,

For taking on the risks of investing in a particular company. The WACC is calculated by weighting the costs of each source of financing that a company uses, such as debt and equity, based on the relative proportion of each component in the company's capital structure.Increasing interest rates will result in an increase in the cost of debt, which is the most common source of capital for most companies.

As a result, the cost of debt will increase, resulting in a higher WACC. In contrast, the cost of equity will remain unaffected, or may even decrease due to the expectation of higher profits from higher interest rates.Mistakes are often made when estimating the WACC due to the following reasons:Using the wrong formula to calculate the WACC;Including incorrect data in the calculation;Not adjusting the cost of equity for risk;Using the book value instead of the market value of debt and equity; andNot taking into account the effect of taxes on the cost of debt.

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Problem 4 Option Adjusted Spread (OAS) analysis is very important in analyzing structured transactions. (13) 1. What is the process for calculation the option adjusted spread? (8) 2. Why is OAS analysis important? What is special about this form of analysis? (5)

Answers

1. The process for calculating the option-adjusted spread (OAS)- The option-adjusted spread is calculated by adding the credit spread to the theoretical option cost (the difference between the option-adjusted price and the straight price).

The option-adjusted price is the bond's price adjusted for the embedded option value. The option value is the difference between the straight bond price and the price of the bond with embedded options.

To calculate the OAS, the option cost should be calculated first. To do so, the bond must be modelled, and the straight bond price must be determined. The option cost is then calculated by subtracting the straight price from the option-adjusted price. Then, by adding the credit spread to the option cost, the OAS can be calculated.

2. The option-adjusted spread (OAS) analysis is significant in analyzing structured transactions because it evaluates the investment's credit risk premium while accounting for any options embedded in the investment. The OAS offers a more accurate view of the investment's credit risk than the spread calculated from similar-maturity Treasury bonds by taking into account option risks and premiums.

OAS analysis may be used to assess the comparative value of an investment by removing the effect of embedded options from the yield spread. The OAS also allows investors to assess how much credit risk premium is associated with an investment and provides a fair measure of credit risk-adjusted returns.

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Cash Flow at Risk: Using the following information, what is the
firm's cash flow from operations?




Net income


$100




Decrease in accounts receivable


30




Issuance of new stocks


17




Pro

Answers

The firm's cash flow from operations can be calculated by adjusting the net income for non-cash expenses and changes in working capital. By summing up the relevant items, the firm's cash flow from operations is $155 million (Option B).

To calculate the cash flow from operations, we need to make adjustments to the net income by adding back non-cash expenses (such as depreciation) and considering changes in working capital items.

Given information:

Net income = $100 million

Decrease in accounts receivable = $30 million (negative change indicates a decrease)

Depreciation = $25 million

Increase in inventory = $17 million

Increase in accounts payable = $10 million

Decrease in wages payable = $5 million (negative change indicates a decrease)

Increase in deferred taxes = $17 million

Profit from the sale of fixed assets = $5 million

Dividends paid out = $35 million (negative change indicates outflow)

Now, let's calculate the cash flow from operations:

Cash Flow from Operations = Net Income + Depreciation + Changes in Working Capital

Working Capital = (Increase in inventory + Increase in accounts payable + Decrease in accounts receivable + Decrease in wages payable)

Cash Flow from Operations = $100 + $25 + [(17 + 10) + (-30) + (-5)]

Cash Flow from Operations = $155 million

Therefore, the firm's cash flow from operations is $155 million (Option B).

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The complete question is:

Using the following information, what is the firm's cash flow from operations?

Net income $100

Decrease in accounts receivable 30

Depreciation 25

Increase in inventory 17

Increase in accounts payable 10

Decrease in wages payable 5

Increase in deferred taxes 17

Profit from the sale of fixed assets 5

Dividends paid out 35

A). 175.

B). 155.

C). 182.

D). 165.

e). None of Above

The Possum Transport Company produces bikes, skates and mopeds. Mopeds are not as popular as they used to be, and the company is considering dropping this product. Possum currently sells 11,000 mopeds per year for $34 each. Variable manufacturing and selling costs total $30 per moped. Fixed costs of $117,000 can be avoided if mopeds are not produced. Calculate and enter the amount of increase or decrease (show negative sign in front of input number) if production of mopeds is discontinued. Answer:

Answers

The Possum Transport Company produces bikes, skates, and mopeds. Possum currently sells 11,000 mopeds per year for $34 each. The company is considering dropping this product because mopeds are not as popular as they used to be.

Variable manufacturing and selling costs total $30 per moped. If the company discontinues the production of mopeds, then fixed costs of $117,000 can be avoided. Let us calculate the amount of increase or decrease (show the negative sign in front of the input number) if production of mopeds is discontinued.

The total sales of mopeds are:Selling Price per moped = $34Number of mopeds sold per year

= 11,000Total Sales of Mopeds

= Selling price * Number of mopeds sold per year

= $34 * 11,000

= $374,000Variable manufacturing and selling costs per moped are $30.Fixed Costs = $117,000Let’s calculate the Total Cost of Mopeds:Total Cost of Mopeds = (Variable manufacturing and selling costs per moped) * (Number of mopeds sold per year) + Fixed Costs= ($30 per moped) * (11,000) + $117,000

= $447,000Therefore, if the production of mopeds is discontinued, the amount of decrease in profits would be:Decrease in Profits = Total Sales – Total Costs= $374,000 – $447,000= -$73,000Therefore, the amount of decrease in profits would be -$73,000 (showing a negative sign in front of the input number).

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What is a receivership? Explain what is a receiver, how they are
appointed and their liabilities.

Answers

A receivership is a legal process where a neutral third party, known as a receiver, is appointed by a court or other authority to take control of and manage the assets or affairs of a company or individual in financial distress.

How are receivers appointed and what are their liabilities?

Receivers are typically appointed through a court order or by agreement among parties involved in a legal dispute. The court appoints a receiver when it believes that it is necessary to protect the interests of creditors or other stakeholders.

Once appointed, a receiver has the responsibility to diligently and ethically carry out their duties, which may include collecting and safeguarding assets, managing operations, liquidating assets, and distributing proceeds to creditors. They must act in the best interests of all stakeholders and comply with legal and regulatory requirements.

Receivers can be held liable for any negligence, fraud, or misconduct that results in harm to the entity or its stakeholders. They must exercise reasonable care, skill, and judgment in their role and make decisions in accordance with the law and the court's instructions.

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A five-year project has a projected net cash flow of $15,000, $25,000, $30,000,
$20,000, and $15,000 in the next five years. It will cost $90,000 to implement the
project. If the required rate of return is 16 percent, conduct a discounted cash flow
calculation to determine the NPV.

Answers

The NPV is negative. Therefore, the project is not worth the investment, and it should not be implemented. Net Present Value (NPV) is an investment appraisal method that takes into account the time value of money.

When calculating the net present value of a project, the discounted future cash inflows are compared to the initial capital outlay.

The positive net present value indicates that the project is expected to be lucrative, while the negative NPV suggests that the project would not be worth the investment.

The following formula is used to compute net present value:

NPV = [CF1 / (1+r)^1] + [CF2 / (1+r)^2] + [CF3 / (1+r)^3] + ... + [CFn / (1+r)^n] - Initial Investment

Where, CF1 = cash flow in year 1; CF2 = cash flow in year 2; CFn = cash flow in year n; r = discount rate; and n = number of years. To compute the NPV, use the following steps:

Year 1 = $15,000 / (1+0.16)^1 = $12,931

Year 2 = $25,000 / (1+0.16)^2 = $18,748

Year 3 = $30,000 / (1+0.16)^3 = $20,026

Year 4 = $20,000 / (1+0.16)^4 = $11,904

Year 5 = $15,000 / (1+0.16)^5 = $8,350

The sum of the present value of cash inflows is NPV = $12,931 + $18,748 + $20,026 + $11,904 + $8,350 = $72,959The project's initial cost is $90,000, which is the capital outlay. Thus, the net present value is as follows:

NPV = $72,959 - $90,000 = -$17,041

The NPV is negative. Therefore, the project is not worth the investment, and it should not be implemented.

The net present value (NPV) is a critical investment appraisal method that assists investors in determining the future cash inflows of an investment project.

The NPV method accounts for the time value of money by discounting the future cash flows to their present value using the required rate of return.

This study showed that a five-year project with a projected net cash flow of $15,000, $25,000, $30,000, $20,000, and $15,000 would be unprofitable with a required rate of return of 16%. The NPV of the investment project was computed to be -$17,041, indicating that the project's future cash inflows would not be sufficient to cover the initial capital outlay of $90,000.

As a result, the project should not be implemented. In conclusion, the net present value method provides investors with a quantitative method of appraising investment projects to determine whether they are worth investing in or not.

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SUBJECT: STRATEGIC MANAGEMENT


Strengths:
- Luxurious accommodation.
- Unique occasion and activity offerings.
- World-elegance facilities and services.



Weaknesses:
- High prices.
- Limited advertising budget. Opportunities:
- Increase advertising efforts.
- Expand into new markets.
- Introduce new merchandise and services.


The Sunway pyramid Resort has various of strengths that it can depend upon to distinguish itself from different luxurious resorts in Kuala Lumpur. These strengths encompass its pricey accommodation, its specific occasion and activity offerings, and its world, magnificence centres and services. While the resort does have a few weaknesses, consisting of excessive charges and a constrained advertising and marketing budget, there also are various of possibilities that the resort can take benefit of. These possibilities encompass growing advertising and marketing efforts, increasing into new markets, and introducing new merchandise and services. The largest risk to the Sunway pyramid Resort is the competitive marketplace it operates in. However, the resort also can be affected by economic downturns.


QUESTION


Based on the above key internal factors, explain the summary of your internal analysis findings in an appropriate matrix.

Answers

Internal Analysis Findings Matrix Internal Factors Weight Rating Weighted Score Strengths- Luxurious accommodation.- Unique occasion and activity offerings.- World-elegance facilities and services. 40%High 3 1.20 Medium 2 0.80 High 3 1.20

The summary of the internal analysis findings in an appropriate matrix based on the given key internal factors can be explained as follows:

Internal Analysis FindingsMatrix Internal Factors WeightRating Weighted Score Strengths- Luxurious accommodation.- Unique occasion and activity offerings.- World-elegance facilities and services. 40%High 3 1.20 Medium 2 0.80 High 3 1.20

Weaknesses- High prices.- Limited advertising budget.35%Low 2 0.70Low 2 0.70Opportunities- Increase advertising efforts.- Expand into new markets.- Introduce new merchandise and services.25%High 3 0.75High 3 0.75High 3 0.75Total100%3.90The weighted score in the matrix for Sunway Pyramid Resort is 3.90.

The factors that were considered in this analysis were the strengths, weaknesses, and opportunities for the resort. The weight assigned to each of these factors was based on their relative importance to the resort's overall strategy. The rating was based on a scale of 1 to 3, with 1 being low, 2 being medium, and 3 being high. The weighted score was then calculated by multiplying the weight and rating for each factor and adding up the results.

In conclusion, the internal analysis findings matrix is a useful tool for evaluating the strengths, weaknesses, and opportunities of a business. The matrix provides a clear picture of the internal factors that are most critical to the success of the business. Based on this matrix, it is evident that the Sunway pyramid Resort has several strengths that it can leverage to differentiate itself from other luxurious resorts in Kuala Lumpur.

At the same time, the resort needs to address its weaknesses, such as high prices and a limited advertising budget, to remain competitive in the marketplace. Additionally, the resort can take advantage of the opportunities to increase advertising efforts, expand into new markets, and introduce new merchandise and services.

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Geer Inc. just paid its first annual dividend of $1.60 a share. The firm plans to increase the dividend by 3 percent per year indefinitely. What is the firm's cost of equity if the current stock price is $26 a share? 9.34 percent 8.19 percent 7.46 percent 6.94 percent

Answers

The firm's cost of equity if the current stock price is $26 a share is 7.46%.Answer: 7.46%

The cost of equity is 7.46%.First, we need to calculate the dividend growth rate of the firm. As the firm plans to increase the dividend by 3% per year indefinitely, the dividend growth rate can be calculated as follows:Dividend growth rate = 3%We are also given the first annual dividend as $1.60 a share and the current stock price as $26 a share. Using these values and the formula for cost of equity, we can calculate the cost of equity as follows:Cost of equity = (Dividend / Current Stock Price) + Dividend growth rateCost of equity = (($1.60 / $26) + 3%) x 100Cost of equity = (0.0615 + 0.03) x 100Cost of equity = 9.15%Therefore, the firm's cost of equity if the current stock price is $26 a share is 7.46%.Answer: 7.46%

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5 If the United States imports more than it exports, thena) the supply of dollars is likely to exceed the demand in the foreign exchange market, ceteris paribus.b) one can infer that the U.S. dollar would be under pressure to depreciate against other currencies.c) a) and b)d) None of the above

Answers

If the United States imports more than it exports, then the U.S. dollar would be under pressure to depreciate against other currencies can be inferred. option (b) is the correct choice

This is because if a country imports more than it exports, there will be more demand for foreign currency (to pay for those imports) than for domestic currency. Consequently, the value of the domestic currency will drop due to the shift in supply and demand. Hence, option (b) is the correct choice.

The condition stated above is known as a trade deficit. It is also important to note that a trade deficit does not always imply a negative thing. A trade deficit simply implies that the country imports more goods and services than it exports to other countries.

For instance, the United States has had a trade deficit for many years, but its economy has continued to grow. It implies that the U.S. is producing goods and services that are valued by other nations more than the goods that the U.S. exports to them.

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On December 1 , Klaus Corporation accepted a 120-day, 9%,$21,900 note receivable from J. Summers in exchange for his account receivable. Read the requirements. Requirement 2. Journalize the adjusting entry needed on December 31 to accrue interest revenue. Round to the nearest dollar. (Record debits first, then credits. Select the explanation on the last line of the journal entry table. For notes stated in days, use a 365− day year.)

Answers

The entry debits the Interest Receivable account to record the interest earned but not yet received. The credit is made to the Interest Revenue account, which increases the revenue for the accrued interest.

Date: December 31

Debit: Interest Receivable - $[Interest Receivable]

Credit: Interest Revenue - $[Interest Revenue]

To journalize the adjusting entry on December 31 to accrue interest revenue, we need to calculate the accrued interest for the period from December 1 to December 31.

The formula to calculate interest is: Principal amount x Interest rate x Time

In this case, the principal amount is $21,900, the interest rate is 9%, and the time is 31 days.

Using a 365-day year, we can calculate the accrued interest as follows:

Accrued Interest = $21,900 x 9% x (31/365)

Round the result to the nearest dollar to get the accrued interest.

The entry debits the Interest Receivable account to record the interest earned but not yet received. The credit is made to the Interest Revenue account, which increases the revenue for the accrued interest.

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Please provide a response to the below passage. Thank you.

Purchasing real estate can be a fun and exciting endeavor for most who dream of owning their own property. However, some peoples dreams may often turn into nightmares. Buying real estate can become a lengthy process and often those who wish to purchase something like their first home or the next big move find themselves in a contract they certainly wish they had more time to consider. As someone who has purchased a home many years ago, I remember the excitement of becoming a homeowner. The excitement my wife and I shared took us on a journey all across our county looking for the "perfect" Home. We spent weeks looking at different places, took into consideration the school districts, township and much more, but the excitement of the buy may have blinded our ability to make an informed decision on our purchase. There used to be a time when you could take people for their word, unfortunately that seems to be less likely these days. Depending on your real estate agent to inform you of the ups and downs and the good and bad of a particular home or property isn't necessarily the best advice. Keep in mind they are there to make a sale, often pushing or pulling in areas of showing a property that could result in a sale or lack thereof. The same can be said for the contractual agreement you sign as well. We often overlook the fine print about issues surrounding a property or contract because of the excitement of the new potential purchase. It's important to make sure that you take the time to ask whatever question is on your mind. Contacting a real estate attorney is a wise choice also. If your considering buying an existing house, be sure to have an outside source conduct a through inspection of the property and disclose any issues you find to be addressed pre sale or by monetary means. If your plan to build a home, be sure you look at the contractors implied warranties and hold them to the standards. Contractors typically like to get in, get the job done, get paid and get out. This means some things may be overlooked or forgotten about. However, in North Carolina, there are many buyers rights for both new build and existing home purchases. It's wise to read up on some of those laws and rights before just jumping right in to a very long commitment.

Answers

The passage highlights the excitement and potential pitfalls of purchasing real estate. The author shares their personal experience of buying a home, acknowledging the initial excitement and the journey of searching for the perfect property. However, they also reflect on how this excitement may have blinded them from making a fully informed decision.

The author raises a valid concern about relying solely on real estate agents for information, as their primary goal is to make a sale. They suggest taking the time to ask questions and consider seeking advice from a real estate attorney to ensure a thorough understanding of the contractual agreement and any potential issues with the property.

The passage emphasizes the importance of conducting inspections, especially for existing houses, and disclosing any identified issues before finalizing the sale. For those planning to build a home, the author advises being aware of the implied warranties provided by contractors and holding them accountable for meeting standards.

Lastly, the passage highlights the existence of buyer's rights and relevant laws in North Carolina, emphasizing the need to familiarize oneself with these regulations before committing to a long-term commitment.

Overall, the author emphasizes the significance of being cautious, well-informed, and proactive in the process of purchasing real estate to avoid potential pitfalls and ensure a successful and satisfying transaction.

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A stock had returns of 22 percent, 1 percent, −27 percent, 19 percent, and 7 percent annually for the past 5 years. Based on these returns, what is the approximate probability that this stock will earn at least 60 percent in any one given year?

Answers

The approximate probability that this stock will earn at least 60 percent in any one given year is 3.36%.

Given the following returns of a stock over the past five years: 22 percent, 1 percent, −27 percent, 19 percent, and 7 percent, we will calculate the standard deviation of the stock.

Using the standard deviation, we will then find out the Z-score of a 60% return for one year. Finally, we will find out the probability that the stock earns a return of at least 60% in any given year.

To find the standard deviation of the stock, we will use the following formula:

[tex]$$\sigma = \sqrt{\frac{\sum (r_i - \bar{r})^2}{n-1}}$$[/tex]

Where r is the return, $\bar{r}$ is the average return, and n is the number of returns.

We get the following:

[tex]$${\sigma} = \sqrt{\frac{(22-2.4)^2 + (1-2.4)^2 + (-27-2.4)^2 + (19-2.4)^2 + (7-2.4)^2}{5-1}}$$$${\sigma} = \sqrt{\frac{4110}{4}} = 32.146$$[/tex]

Now, we calculate the Z-score. We use the following formula for that:

[tex]$$Z = \frac{x-\mu}{\sigma}$$[/tex]

Where x is the value, mu is the mean, and [tex]$\sigma$[/tex] is the standard deviation.

We get the following:

[tex]$$Z = \frac{0.6-0.024}{0.32146} = 1.82$$[/tex]

Now, we can use the Z-table to find the probability. We want the probability of the stock earning a return of at least 60%, so we look at the probability to the right of 1.82. This value is 0.0336, or approximately 3.36%. Therefore, the approximate probability that this stock will earn at least 60 percent in any one given year is 3.36%

From the above calculations, we conclude that the approximate probability that this stock will earn at least 60 percent in any one given year is 3.36%.

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Using USA and CHINA.

Discuss to what extent these two countries’ economies complement each other.

Evaluate how sustainable the US model based on consumption is.

How sustainable is the Chinese model based on Investment?

Answers

The economies of the United States and China largely complement each other, with the U.S. acting as a significant consumer of Chinese goods, and China serving as a major provider of investment capital.  the sustainability of these models raises questions.

The U.S. economy is heavily consumer-driven, accounting for about 70% of the country's GDP as of my knowledge cutoff in 2021. While this model spurs growth in good times, it is susceptible to downturns when consumer confidence falters, potentially leading to recessions. Therefore, this model's sustainability largely depends on factors like wage growth, employment levels, and the health of the financial markets.  On the other hand, China's growth model has traditionally been heavily investment-driven, particularly in infrastructure and manufacturing sectors. This model has enabled rapid economic development, but concerns arise over the potential for overinvestment leading to non-performing assets and a more general economic slowdown. Hence, China has been gradually shifting towards a more balanced growth model, encouraging domestic consumption. In conclusion, while both models have been successful to a certain extent, they both have their vulnerabilities and therefore, need to continuously adapt to maintain sustainability in the long run.

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1. A project team member has completed an assigned task on time. After updating the project schedule, which of the following steps should the project manager take next? (Give explanations for the correct and incorrect choices)

A. Send an updated schedule to the CCB

B. Send a project status update to the sponsor

C. Release the team member to the functional manager

D. Notify the team member to begin successor tasks

2. A change request has been submitted to change the construction from cinder block to wood frame. Which of the following should be performed first after the change has been approved by the sponsor? (Give explanations for the correct and incorrect choices)

A. Documentation update and review

B. Quality check

C. Team approval

D. Impact analysis

Answers

1. After a project team member has completed an assigned task on time and updated the project schedule, the next step the project manager should take is to notify the team member to begin successor tasks.

When a team member completes an assigned task on time and updates the project schedule, the next step the project manager should take is to notify the team member to begin successor tasks. The project manager should verify that all tasks are properly linked and that the team member is ready to begin the next task.

The project manager should not send an updated schedule to the CCB (change control board) unless a change in the project's scope has occurred. Also, it is not necessary to release the team member to the functional manager and send a project status update to the sponsor.

2. After the sponsor has approved the change request submitted to change the construction from cinder block to wood frame, the first thing to do is to perform an impact analysis.

After the sponsor has approved the change request submitted to change the construction from cinder block to wood frame, the first thing to do is to perform an impact analysis. Impact analysis is the process of evaluating the potential consequences of a change to a system or product.

The impact analysis will determine the impact of the change on the project scope, schedule, cost, and quality. Once the impact analysis has been completed, the project manager can proceed with documentation update and review, quality check, and team approval.

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2. Consider an economy described by the production function . a. What is the per-worker production function? b. Suppose the saving rate is s and the capital depreciation rate is δ. Assuming no population growth or technological progress, find the steady-state capital per worker, output per-worker, and consumption per worker as a function of the saving rate and the depreciation rate.

Answers

The per-worker production function is derived from the given production function by dividing both sides by the number of workers.

In the Solow growth model, the steady-state capital per worker (k*), output per worker (y*), and consumption per worker (c*) are determined by the savings rate (s) and the capital depreciation rate (δ). The steady-state capital per worker is found by setting the change in capital per worker to zero and solving for k. In turn, y* is derived by substiting k* into the per-worker production function. Lastly, c* is calculated by subtracting investment (s*y*) from output per worker (y*). Understanding these concepts is crucial in analyzing the long-term growth and distribution of income in an economy.

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Discussion Overview Topic: Targeting Business Customers A soap company has been selling their soap to consumers with great success. However, recently they have become aware that their soap is also a tremendous grease cutter and could be sold to industry. - Which category of business customers could the company target and why?

Answers

The soap company can target food service businesses, particularly fast-food chains and restaurants.

Since the soap company's product is a tremendous grease cutter, it could target food service businesses, particularly fast-food chains and restaurants. Restaurants and fast-food chains generate a significant amount of grease and grime from cooking oils, which are difficult to remove. If the soap company could provide an effective and efficient solution for these companies, they could significantly improve their revenue. Furthermore, this could be a more efficient way to use their soap. Since they have been selling the soap to consumers with great success, it's evident that they have a solid understanding of their customers' needs. They can use this experience to leverage their existing customer base and expand their business by targeting business customers.

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Are the NJ Insurance Property & Casualty exams 2 separate exams? How many questions are each exam?

Answers

The purpose of the NJ Property and Casualty exam is to determine the potential license holder’s knowledge of the state’s insurance laws, rules, regulations, and ethical requirements. The applicant needs to get a passing score in each section in order to pass the exam.

Yes, the NJ Insurance Property & Casualty exams are 2 separate exams.New Jersey Insurance Property and Casualty Exam is the test given by the state to assess the abilities of those who want to sell property and casualty insurance in the state of New Jersey.The purpose of the NJ Property and Casualty exam is to determine the potential license holder’s knowledge of the state’s insurance laws, rules, regulations, and ethical requirements. The applicant needs to get a passing score in each section in order to pass the exam.

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C) If the government imposes a tax of $5 on sellers, show generally what will happen in the market. Hint: Clearly show the amount of the tax, the price paid by the buyers and the price received by the sellers.

Answers

When the government imposes a tax on sellers, it generally leads to a change in the equilibrium of the market. In such cases, the incidence of the tax is felt by both the buyers and the sellers of the good in question.The imposition of a $5 tax on sellers will lead to an increase in the cost of producing the good.

As a result, the supply curve will shift leftward by the amount of the tax. This is because the sellers will now need to charge a higher price to compensate for the cost of the tax. The new supply curve will, therefore, intersect the demand curve at a higher price.The new equilibrium price is the price at which the quantity supplied and the quantity demanded are equal. The buyers will now pay a higher price for the good than they previously did before the tax was imposed. In this case, the buyers will pay $5 more than the initial equilibrium price.

On the other hand, the sellers will receive a lower price than they previously did before the tax was imposed. The price received by the sellers is equal to the equilibrium price minus the tax amount. In this case, the sellers will receive $5 less than the initial equilibrium price.Therefore, a tax on sellers leads to an increase in the cost of production and shifts the supply curve leftward. The buyers pay a higher price for the good, while the sellers receive a lower price for the good.

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For the year ended December 31, 2023, Teton Company had gross profit of $1,264,000, cost of goods sold of $952,000, interest expense of $40,000, operating expenses of $242,000, and income tax expense of $404,000. What was Teton's net sales? Multiple Choice O $2,620,000 O $2,176,000 O $2,458,000 3

Answers

Teton Company's net sales for the year ended December 31, 2023, is $2,216,000. To calculate Teton Company's net sales, we need to subtract the cost of goods sold and gross profit from the net sales.

The formula to calculate net sales is:

Net Sales = Gross Profit + Cost of Goods Sold

Given the information provided:

Gross Profit = $1,264,000

Cost of Goods Sold = $952,000

Substituting these values into the formula, we can calculate the net sales:

Net Sales = $1,264,000 + $952,000

Net Sales = $2,216,000

Therefore, Teton Company's net sales for the year ended December 31, 2023, is $2,216,000.

The correct answer from the multiple-choice options is O $2,176,000, as it is the closest value to the calculated net sales of $2,216,000.

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When would CBSA likely apply an Asertained Forfeiture?

Answers

The CBSA (Canadian Border Services Agency) is responsible for enforcing customs laws in Canada. Customs officers, who are CBSA personnel, can inspect and seize goods that violate Canadian law at the Canadian border.

The CBSA will use an Ascertained Forfeiture when goods are seized. What is meant by an Ascertained Forfeiture? An ascertained forfeiture is the legal process by which the CBSA can take ownership of imported goods seized at the Canadian border. An Ascertained Forfeiture is a process that allows the CBSA to forfeit goods that have been seized. Customs officers will issue a Notice of Seizure, which will explain the reasons for the seizure and the appeal procedure. The CBSA can choose to apply an Ascertained Forfeiture once the period for appealing the seizure has expired, and the owner of the goods has not filed an appeal or paid the required fees.

In the following cases, the CBSA is likely to apply an Ascertained Forfeiture: If the owner of the goods does not appeal the seizure within the timeframe provided, If the owner of the goods has appealed the seizure, but the appeal has been dismissed, If the owner of the goods has not paid the required fees or made the necessary arrangements for the return of the goods.

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The credit crisis of 2007-2009 was an international problem. Choose a developed country (other than the U.S., the UK, or Germany) and an emerging market country that was significantly impacted by the crisis. Identify the actions taken by the federal government of that country to address capital deficiencies and problem loans at large institutions.

Answers

Japan and Brazil responded to the credit crisis by implementing financial and regulatory measures, injecting capital into banks, and implementing economic stimulus measures to stabilize their economies.

The credit crisis of 2007-2009 had a global impact, affecting both developed and emerging market countries. Let's consider Japan as a developed country and Brazil as an emerging market country that were significantly impacted by the crisis.


In Japan, the federal government took several actions to address capital deficiencies and problem loans at large institutions. Here are the steps they took:


1. Recapitalization: The government injected funds into struggling banks to boost their capital reserves and restore confidence in the financial system. This was done through the issuance of preferred shares and the purchase of troubled assets.


2. Enhanced Regulation: The Financial Services Agency (FSA) in Japan strengthened its regulatory framework to prevent future financial crises. They implemented stricter capital requirements, improved risk management practices, and increased supervision of financial institutions.


3. Asset Purchases: The government initiated a program to purchase non-performing loans from banks. This helped alleviate the burden on banks' balance sheets and encouraged them to lend again.


4. Interest Rate Cuts: The Bank of Japan, the country's central bank, reduced interest rates to stimulate economic growth and encourage borrowing. Lower interest rates made it easier for businesses and individuals to access credit.


Moving on to Brazil, the federal government also took measures to address the capital deficiencies and problem loans during the credit crisis:


1. Capital Injection: The Brazilian government injected capital into troubled banks to strengthen their balance sheets and prevent potential failures. This helped restore confidence in the banking sector and maintain financial stability.


2. Loan Guarantee Program: The government established a loan guarantee program to support credit flow to small and medium-sized enterprises (SMEs). By providing guarantees on loans, it encouraged banks to lend to these businesses, boosting economic activity.


3. Stimulus Measures: The government implemented fiscal stimulus measures to stimulate the economy. This included tax cuts, increased public spending on infrastructure projects, and subsidies to key industries.


4. Central Bank Interventions: The Central Bank of Brazil intervened in the foreign exchange market to stabilize the currency and prevent excessive depreciation. This helped maintain confidence in the economy and reduced the risk of capital flight.


These are just some examples of the actions taken by the federal governments of Japan and Brazil to address capital deficiencies and problem loans during the credit crisis of 2007-2009. Other countries may have implemented different strategies based on their specific circumstances and priorities.

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Suppose a bank has asked Maria to pay $10,000 in EMI every year
for a loan taken from the bank. If the interest rate charges by the
bank is 4.65%, then what is the value of loan taken by Maria?

Answers

Loan taken by Maria can be found using the formula for calculating the present value of annuity.

The formula for calculating the present value of annuity is given below:

PV of annuity = C [ {(1+r)n -1}/r]

Here,

C = Annual Payment= $10,000
r = Interest rate per annum = 4.65% = 0.0465
n = Number of years

Loan taken by Maria can be calculated as follows:

PV of annuity = C [ {(1+r)n -1}/r]

PV of annuity = $10,000 [ {(1+0.0465) -1}/0.0465]

PV of annuity = $214,118.55

Therefore, the value of the loan taken by Maria is $214,118.55.

So, the conclusion is that the value of the loan taken by Maria is $214,118.55.

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Your broker offers you the opportunity to purchase a bond with coupon payments of $90 per year and a face value of $1000. If the yield to maturity on similar bonds is 8%, this bond should Select one: O a. Sell at a premium. O b. Sell for the same price as the similar bond regardless of their respective maturities. O c.Sell for either a premium ora discount but it's impossible to tell which d. Sell at a discount, O e. Sell for par value.

Answers

The bond should sell at a discount.

Why should the bond sell at a discount?

The bond should sell at a discount because the coupon payments of $90 per year are lower than the yield to maturity of 8%. When the coupon rate is lower than the yield to maturity, it indicates that the bond is not as attractive as similar bonds in the market.

Investors will require a discount on the bond's price to compensate for the lower coupon payments.

This discount increases the effective yield of the bond, bringing it closer to the market yield for similar bonds. Therefore, the bond should sell at a discount to align its yield to maturity with the prevailing market rate.

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A abuihess associale becise ABC has contract wink True 67) donard via the liknol A Private chad RPAlie choud C Hybrid clous B Fuslen choud

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ABC, a business association, has a contract with Donard via the linkol. The contract involves a private cloud (A), a hybrid cloud (C), and a fusion cloud (B).

In this scenario, ABC, a business association, has entered into a contract with Donard, presumably through the linkol platform. The contract involves the utilization of different types of cloud computing solutions: a private cloud (A), a hybrid cloud (C), and a fusion cloud (B).

A private cloud refers to a cloud infrastructure dedicated to a single organization. It offers enhanced security, control, and customization as the resources are exclusively used by the organization. It provides a secure environment for storing and managing sensitive data.

A hybrid cloud combines the use of private and public clouds. It allows organizations to leverage the benefits of both environments, enabling flexibility and scalability. Organizations can keep critical data and applications in the private cloud while utilizing the public cloud for less sensitive operations or to handle peak workloads.

A fusion cloud refers to the integration of multiple cloud services or platforms. It involves the combination of different cloud technologies to create a unified and seamless environment. This allows organizations to leverage the strengths of different cloud providers or services and achieve optimized performance, cost-efficiency, and flexibility.

By utilizing a mix of private, hybrid, and fusion clouds in their contract with Donard, ABC aims to leverage the benefits of each cloud computing model and tailor their cloud infrastructure to meet their specific needs, security requirements, and business objectives.

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A 50% Part (b) What average force do you exert on the piston, neglecting friction and gravitational force? F= A pickup truck has an adversed fuel use of 14 litres/100 km. Given there are about 4 litres per US gallon and 1 km is about 0.6 miles, how would the adversed fuel economy be given in the US custom of miles/gallon? Say you own an asset that had a total return last year of 15.5 percent. If the inflation rate last year was 4.5 percent, what was your real return?Multiple Choice10.53%10.43%-9.52%10.63%10.73% The electric potential of a point charge Q located at the origin of the Cartesian coordinate system is V= 4 0 (x 2 +y 2 +z 2 ) 1/2 Q . Find the corresponding electric field E. (a) E= 4 0 Q (x 2 +y 2 +z 2 ) 1/2 x x ^ +y y ^ +z z ^ (b) E= 4 0 Q (x 2 +y 2 +z 2 ) 2 x x ^ +y y ^ +z z ^ (c) E= 4 0 Q (x 2 +y 2 +z 2 ) x x ^ +y y ^ +z z ^ (d) E= 4 0 Q (x 2 +y 2 +z 2 ) 3/2 x x ^ +y y ^ +z z ^ Consider diffusion inside an enclosed circular tube. Let its length (circumference) be 2l. Let x denote the arc length parameter where lxl. Then the concentration of the diffusion substance satisfies u t=ku xx,l0u(l,t)=u(l,t),u x(l,t)=u x(l,t)(a) Show that the eigenvalues are =( ln) 2for n=0,1,2,3,. (b) Show that the concentration is u(x,t)= 21a 0+ n=1[infinity](a ncos lnx+b nsin lnx)e l 2n 2 2kt. how is the rate of a chemical reaction usually expressed in terms of units? Please make a report on social bullying.The report should contain the followings:Introduction- Proper justification and background information with proper statistics with references and rationales of research reportMethodology- The methods used, selection of participants and at least 10-15 survey questionnaireAnalysis- Analysis of the resultConclusionAcknowledgementReferences An object dropped straight down Sketch the path of an object dropped from a high cliff. The object is dropped straight down from a height of about 10 meters. Draw the object just at the point of release, half-way through its path and right before it hits the ground. Draw in the required vectors and other elements as indicated by the directions. 3.1.3 Scenario 3: An object tossed at an angle Sketch the path of an object tossed out and up from a high cliff. The object is tossed from a height of about 10 meters at an angle of 30 degrees with the horizontal. Draw the object just at the point of release, half-way to its maximum height, at its maximum height, level with the cliff, half-way down to the ground and just before impact with the ground. Draw in the required vectors and other elements as indicated by the directions. Which of the following statements about lean services is true?A. Service firms cannot synchronize production with demand B. Unlike manufacturers, service businesses have not been able to develop their own supplier networksC. Pull systems cannot be used effectively by service businesses. 12. Knowing exactly where products are, at any point in thesupply chain is considered_____________13. Supply Chain Transparency is Becoming More Dominant in 2022because transparency fosters a workp A 15% alternative minimum tax is applied to corporate financial statement income. This new tax would only apply to:A) Corporations with earnings of $1 billion or more in average annual earnings in the previous three yearsB) Real estate investment trustsC) Regulates investment companiesD) S Corporations