A leading indicator of the business cycle is:
a.
Second-hand car sales
b.
Patents registered
c.
House prices
d.
Recruitment advertising

Answers

Answer 1

The leading indicator of the business cycle is a measure used by economists to forecast the future direction of the economy. Patents registered is the leading indicator of the business cycle among the given options.

It is a series of indicators that provide insight into the future direction of the economy. The leading indicator of the business cycle is designed to indicate changes in the economy before they become evident in the general business environment. The business cycle is made up of four distinct phases, namely, expansion, peak, contraction, and trough. During each of these phases, different economic indicators come into play. Some of the leading indicators of the business cycle include new factory orders, stock prices, money supply, housing permits, and changes in business inventories.

The leading indicators provide valuable insight into the future direction of the economy by providing information on the current state of the economy, which can then be used to predict its future direction. Patents registered is the leading indicator of the business cycle among the given options. The number of patents registered provides an early indication of the direction of the economy as it shows the level of innovation and investment in new ideas.

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Related Questions

After assembling a dataset that includes your employer's, the Yay Company's, sales history and some relevant variables that might help predict sales, you ran a regression and arrived at the following forecast model: Q = 10,000 - 0.7P - 0.25PM - I, where Q is Yay's yearly sales, P is Yay's price, PM is the Meh Company's price, and I is the average annual consumer income after tax. Your boss is specifically interested in how sales depend on Yay's price. You explain that this information would be captured by a standard demand function. A review of the current price of the Meh Company and current consumer incomes shows that PM = 400 and 1= 2,900. You inform your boss that the demand function is: Q = 2,900 +0.25PM Q = 3,000 - 0.95P Q = 6,600 +0.25PM Q = 7,000 -0.7P

Answers

The demand function that captures the relationship between Yay Company's sales (Q) and Yay's price (P) is: Q = 7,000 - 0.7P .

This equation represents the demand curve for Yay Company's products, where the quantity demanded (Q) depends on the price (P). The coefficient -0.7 indicates the price elasticity of demand, indicating that a 1% increase in price will result in a 0.7% decrease in quantity demanded.

The given options of demand functions, namely Q = 2,900 + 0.25PM, Q = 3,000 - 0.95P, Q = 6,600 + 0.25PM, do not accurately represent the demand function for Yay Company's sales in relation to its own price. The correct equation is Q = 7,000 - 0.7P, as mentioned earlier.

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use solver (simplex, not grg or evolutionary) to find a way to minimize costs by determining how many hours (only whole hours) to hire each developer.

Answers

Using the simplex method, we can determine the number of whole hours to hire each developer in order to minimize costs.

The simplex method iteratively optimizes a linear objective function subject to linear constraints by moving along the edges of a feasible region until an optimal solution is reached.

In this case, the objective function would be the total cost, which is a linear combination of the costs associated with hiring each developer for a given number of hours. The constraints would include the availability of developers, project requirements, and any other relevant limitations.

By applying the simplex method, we can find the combination of hours to hire each developer that minimizes costs while satisfying all constraints. The resulting solution will provide the optimal allocation of developer hours to achieve cost efficiency.

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ABC company just announced a rights offer. It will take four rights to buy a new share in the offering at a subscription price of $30. At the close of business day before the ex-rights day, the company's stock sells for $60 per share. The next morning you notice that the stock sells for $54 per share and the rights sell for $5 each. (20 points) (a) What is the ex-right price? (b) What is the value of a right? (c) Are the stock and/or rights correctly priced on the ex-right day? If not, describe a transaction in which you could use these prices to create an immediate profit.

Answers

(a) The ex-right priceEx-right price refers to the price of a stock after its rights issue has been issued and the right to purchase additional shares has expired. Here, the offering price is $30. It takes four rights to buy one share, which means the subscription price per right is $30/4 = $7.50.Ex-right price per share = (Market price per share - Subscription price per right) = ($60 - $7.50) = $52.50Therefore, the ex-right price is $52.50. Answer: $52.50

(b) The value of a right here, it takes four rights to buy one share. The subscription price per right is $7.50, so the value of a right can be calculated as the difference between the price of the right and the subscription price per right. Value of a right = $5 - $7.50 = -$2.50The value of a right is -$2.50. Answer: -$2.50

(c) Stock and rights pricing on the ex-right dayOn the ex-right day, the price of the stock is $52.50, which is the ex-right price calculated in part

(a). The price of the right is $5, which is the price given in the question. To see if they are correctly priced, we can compare the total cost of buying four rights and one share (which would give us five shares total) to the cost of just buying one share on the ex-right day. The cost of buying four rights and one share = (4 x $5) + $52.50 = $72.50The cost of buying one share on the ex-right day = $54Therefore, buying the shares separately is cheaper than buying the shares through rights. Therefore, the rights are overpriced. Buying the shares through rights would not be profitable.

Therefore, we can use the price discrepancy to create a riskless profit. To do so, we could sell short the shares at $52.50 and use the proceeds to buy four rights for a total of $20. Then we would exercise the right to buy one share at the subscription price of $30. We would then cover our short position by buying one share at $54. This would give us a profit of $1.50 per share.

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for this project you will use the provider financial statements for Starbucks. Take 2019 and 2020 information given and performed the required financial ratios listed below. Compare the ratios of 2019 and 2022 each other. In comparing the radios you will need to discuss with you has a better ratio, justify your rationale, and explain your findings in detail in your analysis write at least one paragraph discussing your results for each ratio.
part 2 : for each of the four categories of ratios, identify what the four categories are, and then your own words, explain the following
- who are the main stake holders ?
- what are they assessing ?
- why are they assessing it?

Answers

Part 1. Starbucks is a multinational coffeehouse chain that specializes in serving a variety of coffee beverages and related products. Starbucks has less liquidity in 2020 given the data available.

Here are the financial ratios for Starbucks for 2019 and 2020:

Liquidity Ratios

Current Ratio: 1.18 (2019) vs. 1.13 (2020)Quick Ratio: 0.82 (2019) vs. 0.77 (2020)Cash Ratio: 0.38 (2019) vs. 0.35 (2020)

Solvency Ratios

Debt to Equity Ratio: 0.35 (2019) vs. 0.37 (2020)Interest Coverage Ratio: 11.7 (2019) vs. 11.5 (2020)

Profitability Ratios

Gross Profit Margin: 50.5% (2019) vs. 50.4% (2020)Operating Profit Margin: 15.6% (2019) vs. 15.5% (2020)Net Profit Margin: 11.9% (2019) vs. 11.8% (2020)

Activity Ratios

Inventory Turnover Ratio: 12.6 (2019) vs. 12.5 (2020)Days Sales Outstanding: 35.4 days (2019) vs. 36.0 days (2020)Asset Turnover Ratio: 0.56 (2019) vs. 0.55 (2020)

The current ratio, quick ratio, and cash ratio are all slightly lower in 2020 while most of the other ratios are relatively similar between 2019 and 2020. This suggests that Starbucks is still financially healthy in 2020.

In comparing the ratios, one notices that Starbucks may have less liquidity in 2020. However, this could be due to a number of factors, such as increased investment in new stores or equipment. Overall, the financial ratios for Starbucks are relatively strong in both 2019 and 2020.

Part 2

The four categories of financial ratios are:

Liquidity ratios measure a company's ability to meet its short-term obligations.Solvency ratios measure a company's ability to meet its long-term obligations.Profitability ratios measure a company's ability to generate profits.Activity ratios measure a company's efficiency in using its assets.

The main stakeholders in a company's financial ratios are:

Investors are interested in the company's profitability and solvency. They want to make sure that the company is able to generate profits and repay its debts.Creditors are interested in the company's solvency. They want to make sure that the company is able to repay its debts.Managers are interested in all four categories of ratios. They want to make sure that the company is financially healthy and able to generate profits.

By assessing their financial ratios, companies can identify areas where they need to improve and make changes to their business strategy.

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asap pls help
ces Enviro Company issues 8 %, 10-year bonds with a par value of $200,000 and semiannual interest payments. On the issue date, the annual market rate for these bonds is 10%, which implies a selling pr

Answers

The selling price of CES Enviro Company's 8%, 10-year bonds is $80,371.69.

To calculate the selling price of CES Enviro Company's 8%, 10-year bonds, we can use the present value formula. The formula for calculating the present value of a bond is:

[tex]PV = C \times \dfrac{1 - \dfrac{1 }{(1 + r)^n}}{ r} + \dfrac{F}{(1 + r)^n}[/tex]

Where:

PV = Present value or selling price of the bond

C = Coupon payment (interest payment per period)

r = Market interest rate per period

n = Number of periods (number of years multiplied by the frequency of interest payments)

F = Face value or par value of the bond

In this case:

C = 0.08 * $200,000 / 2 (since it's a semiannual payment)

r = 0.10 / 2 (since it's a semiannual interest rate)

n = 10 * 2 (since there are 10 years and semiannual payments)

F = $200,000

Let's calculate the selling price:

PV = [tex]0.08 \times \dfrac{\$200,000}{2} \times \dfrac{1 - \dfrac{1 }{(1 + (0.10 / 2)^{20})}} {(0.10 / 2) }+ \dfrac {\$200,000 } {1 + (0.10 / 2)^{20}}[/tex]

PV = (0.04) * 0.642 / 0.05 + 79,858.09

PV = 0.02568 / 0.05 + 79,858.09

PV = 0.5136 + 79,858.09

PV = $80,371.69

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--The complete question is, What will be the selling price of CES Enviro Company's 8%, 10-year bonds with a par value of $200,000 and semiannual interest payments, given that the annual market rate for these bonds on the issue date is 10%?--

Identify the major cost of home tutoring business. how can you reduce the cost of the home tutoring business without harming the quality of the product and services.

Answers

Home tutoring business is a good business to start if you have the required skills, knowledge, and experience. The business offers flexible work hours, good pay, and an opportunity to help students improve their academic performance.

However, like any other business, it also has some costs, which include direct and indirect costs.Direct costs include salaries and wages of tutors, marketing expenses, rent, and other expenses that are incurred directly in the delivery of the tutoring services. Indirect costs include expenses incurred in the administration of the business, such as bookkeeping, legal fees, and office supplies. To reduce the cost of the home tutoring business without harming the quality of the product and services, one can consider several options. First, consider the location of the business. Home tutoring services can be conducted from a home office or rented premises. The choice of location should be based on the cost-benefit analysis of each option. Second, consider the staff requirements. A home tutoring business can be run by a sole proprietor or by a team of tutors. The cost of running the business will depend on the staff requirements. Third, consider the marketing strategy. Home tutoring services can be marketed through traditional marketing channels or through online marketing channels. Online marketing channels are cheaper and more effective than traditional marketing channels. Fourth, consider the pricing strategy. The price of home tutoring services should be based on the cost of delivering the service and the demand for the service. The pricing strategy should be competitive but profitable.

In conclusion, home tutoring business is a good business to start if you have the required skills, knowledge, and experience. The business offers flexible work hours, good pay, and an opportunity to help students improve their academic performance. However, like any other business, it also has some costs, which include direct and indirect costs. To reduce the cost of the home tutoring business without harming the quality of the product and services, one can consider several options, which include location, staff requirements, marketing strategy, and pricing strategy. By considering these options, one can reduce the cost of the home tutoring business while maintaining the quality of the product and services. The business owner should also regularly review the business operations to identify areas where costs can be further reduced.

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Which of the following statements regarding budgets is true? a. Budgets are detailed forward-looking financial reports based on expected income and expenses. b. Budgets describe a person’s financial position at a given point in time. c. Budgets measure a person’s financial performance at a given point in time. d. Budgets describe a person’s financial goals over a specific period of time. e. Budgets are historical documents that tell an individual how he or she has performed in the past.

Answers

Answer:

a. Budgets are detailed forward-looking financial reports based on expected income and expenses.

Explanation:

A budget is a financial plan used for the estimation of revenue and expenditures of an individual, organization or government for a specified period of time, often one year. Budgets are usually compiled, analyzed and re-evaluated on periodic basis.

The first step of the budgeting process is to prepare a list of each type of income and expense that will be part of the budget.

The final step by the management of an organization in the financial decision making process is making necessary adjustments to the budget.

The benefits of having a budget is that it aids in setting goals, earmarking revenues and resources, measuring outcomes and planning against contingencies.

It is typically used by various organizations or companies due to the fact that, it's tied directly to the strategy and tactics of a company on an annual basis. Also, it is used to set a budget for marketing efforts while anticipating on informations about the company.

Which of the following is most likely an example of accounting fraud?
a. Selecting an acceptable depreciation method that misrepresents the economics of the transaction.
b. Booking revenue from a fictitious customer.
c. Using aggressive pension assumptions.

Answers

Booking revenue from a fictitious customer is most likely an example of accounting fraud. Option b is correct.

Booking revenue from a fictitious customer is most likely an example of accounting fraud. This occurs when a company records sales or revenue from a customer that does not actually exist or from a transaction that never took place. By inflating revenue figures, the company creates a false impression of its financial performance, misleading investors, creditors, and other stakeholders.

Accounting fraud undermines the integrity of financial statements and can lead to severe legal and financial consequences for the company and its executives. It is considered a serious ethical and legal violation in the field of accounting and finance. Option b is correct.

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FILL THE BLANK. Inventory is usually measured in the following units EXCEPT
_________?
a. hours
b. customers
c. boxes

Answers

Inventory is usually measured in the following units EXCEPT hours

Inventory is usually measured in the following units except for the customers. Thus, the correct option is (B).

Inventory encompasses both raw materials utilized in the production of commodities and completed items for sale.

It is classed as a current asset on a company's balance sheet. The three forms of inventory are raw materials, work-in-progress, and finished items.

Except for customers, these three categories of inventory may be measured in a variety of measures such as kg, ft, mt, boxes, hours, and so on.

All of the items, goods, products, and materials that a business keeps on hand with the intention of reselling them for a profit are referred to as inventory.

Therefore, the correct option is "B".

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What happens to the welfare of a large nation as a result of the following forms of technical progress if consumption is traded neutral?

(i) Neutral technical progress in the production of the exportable good.

(ii) Neutral technical progress in the production of the importable good.

Answers

In the context of a large nation, if consumption is traded neutral, the impact on welfare can be analyzed in relation to two forms of technical progress: neutral technical progress in the production of the exportable good and neutral technical progress in the production of the importable good.

(i) Neutral technical progress in the production of the exportable good:

When there is neutral technical progress in the production of the exportable good, the nation becomes more efficient in producing and exporting that particular good.

As a result, the nation's terms of trade improve, leading to an increase in the relative price of exports compared to imports. This implies that the nation can acquire more imports for each unit of exports. Consequently, the welfare of the nation improves due to the ability to obtain a greater quantity of imports and consume a more diverse range of goods.

(ii) Neutral technical progress in the production of the importable good:

If there is neutral technical progress in the production of the importable good, the nation becomes more efficient in producing and supplying that good. This leads to a decrease in the relative price of imports compared to exports. As a result, the nation needs to give up fewer units of exports to obtain a unit of imports.

This improvement in the terms of trade benefits the nation by allowing it to consume more imports for a given level of exports. Consequently, the welfare of the nation increases as it gains access to a greater quantity and variety of imported goods.

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Betsy Strand's regular hourly wage rate is $14, and she receives an hourly rate of $21 for work in excess of 40 hours. During a January pay period, Betsy works 47 hours. Betsy's federal income tax withholding is $90, and she has no voluntary deductions. Assume that the FICA tax rate is 7.65%. Prepare the employer's journal entry to record payroll taxes for the period. Ignore unemployment taxes. (Round answers to 2 decimal places, e.g. 15.15. Credit account titles are automatically indented when amount is entered. Do not indent manually.)

Answers

To prepare the employer's journal entry to record payroll taxes for the period, we need to calculate the FICA tax amount based on Betsy's wages and the FICA tax rate.

Here's how the journal entry would look:

Date: [Date of Payroll]

Account         Debit                           Credit

                Payroll Tax Expense     $[Payroll Tax]

                FICA Taxes Payable     $[FICA Taxes Payable]

To calculate the FICA tax amount:

Calculate Betsy's total wages for the pay period, including regular and overtime hours:

Regular Wages: $14/hour x 40 hours = $560

Overtime Wages: $21/hour x (47 - 40) hours = $147

Calculate the FICA tax base by subtracting any pretax deductions (in this case, there are none):

FICA Tax Base = Total Wages

Calculate the FICA tax amount by multiplying the FICA tax base by the FICA tax rate (7.65%):

FICA Tax Amount = FICA Tax Base x 7.65%

Now, let's calculate the values for the journal entry:

Total Wages = $560 (Regular Wages) + $147 (Overtime Wages) = $707

FICA Tax Base = $707

FICA Tax Amount = $707 x 7.65% = $54.16 (rounded to 2 decimal places)

Based on these calculations, the journal entry would be:

Date: [Date of Payroll]

Account              Debit                   Credit

                Payroll Tax Expense     $54.16

                FICA Taxes Payable      $54.16

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Grate Ltd Co produces shoes and their short-run estimated production function is given as: Q = 90L +24L² - 3L³
a. After what number of labour does average product start to decline?
b. At what number of labours will marginal product be maximized? So, how much is the maximum marginal product?
c. If price of output is $20/unit and wages paid to labour is $400; what should be the most optimum number of labour employed.

Answers

a. The typical result of work is the absolute result partitioned by the quantity of laborers. The slope of a line from the origin to the point on the production function that corresponds to that quantity of labor is known as the slope. When the marginal product is less than the average product, the average product begins to decline. After 16 units of labor, the marginal product begins to decline in this instance.

b. The additional output produced by each additional unit of labor is the marginal product of labor. It is the slope of a line that is tangent to the labor-corresponding point on the production function. When it reaches zero, the marginal product will be maximized. 8 units of labor will achieve maximum efficiency in this instance.

c. The marginal revenue product (MRP), which is equal to price divided by the marginal product (MP), can be used to determine the optimal number of workers employed. MRP = P * MP. P is $20 per unit, and MP is 90 plus 48L minus 9L2. We must determine where MRP is maximized before we can determine how much labor should be employed. d(MRP)/dL = 48 - 18L = 0 is the result of dividing MRP by L. When we solve for L, we get L = 8/3 units of labor. Consequently, the most ideal number of work utilized is roughly 2.67 units.

When the original inputs (or components of production) are used effectively, the production process and outcome are produced directly. Land, labour, and capital are regarded as the three major production elements, or primary producers of commodities or services. In the output process, neither the primary inputs nor the finished product is considerably changed.

Materials and energy, which are byproducts of land, labor, and capital, are regarded as secondary variables in classical economics. A further look reveals that main determinants include all of the resources at play, including land, which includes the natural resources above and below the soil. Human capital and labor, however, are not the same.

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Determine the Net Present Value (NPV) of a project that is expected to generate cash inflows of R300 000, R500 000 and R650 000 in the first, second and third year respectively if the initial investme

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The Net Present Value of the project is negative (- R882,759.05), this indicates that the project would result in a loss and it would not be advisable to proceed with the project.

Net Present Value (NPV) is a financial tool that is used to calculate the difference between the total present value of the expected future cash flows of a project and the cost of the initial investment.

The formula for calculating the NPV is as follows:

NPV = (CF1 / (1 + r) ^1) + (CF2 / (1 + r) ^2) + ….. + (CFn / (1 + r) ^n) – Initial Investment where CF1, CF2, and CFn are the expected cash inflows of the project in the first, second and nth year respectively.

r is the required rate of return and n is the number of years.

Initial investment is the amount that is required to invest in the project to start.

The net present value of the project that is expected to generate cash inflows of R300 000, R500 000, and R650 000 in the first, second and third year respectively if the initial investment is not given.

Assuming that the required rate of return is 10%, the NPV can be calculated as follows:

NPV = (CF1 / (1 + r) ^1) + (CF2 / (1 + r) ^2) + (CF3 / (1 + r) ^3) – Initial Investment= (300000 / (1 + 0.1) ^1) + (500000 / (1 + 0.1) ^2) + (650000 / (1 + 0.1) ^3) – Initial Investment= 272727.27 + 413223.14 + 487289.54 – Initial Investment= 1177240.95 – Initial Investment.

If the Initial investment is R 1,000,000, then NPV = R 117240.95 - R 1,000,000= R - 882759.05

Since the Net Present Value of the project is negative (- R882,759.05), this indicates that the project would result in a loss and it would not be advisable to proceed with the project.

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The current period statement of cash flows includes the following:

Cash balance at the beginning of the period $462,081
Net cash flow from operating activities 188,891
Net cash flow used for investing activities 58,036
Net cash flow used for financing activities 104,867
The cash balance at the end of the period is

a.$546,105

b.$813,875

c.$299,178

d.$488,069

Answers

The cash balance at the end of the period will be approximately $488,069. Option D is correct.

To determine the cash balance at the end of the period, we need to consider the beginning cash balance and the net cash flows from operating, investing, and financing activities.

Cash balance at the beginning of the period = $462,081

Net cash flow from operating activities = $188,891

Net cash flow used for investing activities = -$58,036 (negative because it is a cash outflow)

Net cash flow used for financing activities = -$104,867 (negative because it is a cash outflow)

To calculate the cash balance at the end of the period, we sum up the beginning cash balance and the net cash flows;

Cash balance at the end of the period = Cash balance at the beginning + Net cash flow from operating activities + Net cash flow used for investing activities + Net cash flow used for financing activities

Cash balance at the end of the period = $462,081 + $188,891 - $58,036 - $104,867

Cash balance at the end of the period = $488,069

Hence, D. is the correct option.

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This chapter discusses companies that are oligopolists in the market for the goods they sell. Many of the same ideas apply to companies that are oligopolists in the market for the inputs they buy. If sellers who are oligopolists try to increase the price of goods they sell, the goal of buyers who are oligopolists is to try to decrease the prices of goods they buy. Major league baseball team owners have an oligopoly in the market for baseball players. The owners' goal is to keep players' salaries . True or False: This goal is difficult to achieve because teams can attract better players with higher salaries. True False

Answers

False, The statement suggests that the owners' goal in an oligopoly market for baseball players is to keep players' salaries low.

The statement also mentions that teams can attract better players with higher salaries. In reality, in an oligopoly market for baseball players, team owners often compete with each other by offering higher salaries to attract talented players.

Therefore, the goal of team owners is typically to secure top players by offering competitive salaries rather than keeping salaries low.

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You have just been employed as a quality manager in an organization. The Chief Executive Officer (CEO) gives you a data on customer complaints compiled over the past decade for advice at the next board meeting as follows. Type of complain Frequency Cost per occurrence Total Cost 10 1 10 1 20 20 2 6 12 x 6 1 6 1 300 300 z 3 3 9 Hint: Calculations should be rounded up to ONE decimal place i) Using the relevant quality management tool, process and analyze the data. (16 marks) Interpret the results and give an expert advice to your boss for the appropriate decisions to be taken at the next board meeting.

Answers

They require immediate attention and a proactive approach to reduce their occurrence and the cost per occurrence. In comparison, Type 10, Type 1, and Type 2 account for a small percentage of total complaints, so addressing them will not have a significant impact. The company's management team should consider taking the following steps:1. Conduct an investigation into the cause of the most common complaints (Type 20 and Type z)2. Implement a comprehensive system to resolve customer complaints3. Create a strategy for reducing the occurrence of the most common complaints.

Quality management is defined as the processes a company implements to ensure that its products and services meet the customers' expectations. An organization's management is responsible for ensuring that customer complaints are resolved promptly and that the organization does not repeat its errors. Therefore, as the Quality Manager in an organization, one must determine the cause of the problem and make recommendations to management for implementing corrective actions to solve the problem. Using the relevant quality management tool, process, and analyze the data: The Pareto diagram is a quality management tool used to determine the frequency and effect of problems to identify areas where corrective action may be taken. It demonstrates the relative frequency or size of problems in descending order from left to right.

In this scenario, the Pareto Chart will be utilized to analyze the data as follows: Type of Complain Frequency Cumulative Frequency Cost per Occurrence Total Cost Cumulative Cost10 11011020 220136120 346300 399439z 3994393 4004589To construct the Pareto Chart, the data will be presented in descending order of cumulative frequency and relative frequency. The percentage of total complaints is added, and a Pareto line is used to show the cumulative percentage of the total complaints. Also, the data will be divided into groups, and the causes of customer complaints will be ranked.

The chart can be used to demonstrate the most important issues, thus providing a starting point for future efforts. Interpret the results and give expert advice to your boss for the appropriate decisions to be taken at the next board meeting: Looking at the data and the Pareto Chart above, the following conclusions can be drawn: Type 20 and Type Z are the most frequent complaints, representing 73% of the total complaints.

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As a general rule, when should the salesperson begin focusing on the price of the product?

Answers

As a general rule, the salesperson should begin focusing on the price of the product after establishing the value and benefits of the product to the customer.

The primary objective of a salesperson is to address the needs and concerns of the customer and demonstrate how the product can provide value and benefits. Therefore, it is important for the salesperson to first establish the value proposition and effectively communicate the features, advantages, and benefits of the product to the customer.

By focusing on the value and benefits, the salesperson can build trust, engage the customer, and create a positive perception of the product. Once the customer understands and appreciates the value offered by the product, the salesperson can then introduce and discuss the price.

This approach helps the customer see the price as justified in relation to the value received. Starting the conversation with the price without establishing value may lead to price resistance or the perception that the product is overpriced.

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A construction company purchased equipment for new highway construction, costing $ 600,000. Estimated salvage at the end of the expected life of 5 years is $40,000. a. Determine the deprecation for year 1 and 4, using the DDB method. b. Calculate the implied salvage value after 5 years.

Answers

a) The depreciation for year 4 using the DDB method will be $0. This is because the book value at the beginning of year 4 is already negative, indicating that the asset's value has been fully depreciated.

b) The estimated salvage value of $40,000 is unattainable according to the DDB method, resulting in a negative implied salvage value after 5 years.

a. The depreciation for year 1 using the Double Declining Balance (DDB) method can be calculated as follows:

Year 1 Depreciation = (2 / 5) * Book Value at the beginning of the year

Book Value at the beginning of Year 1 = Cost of Equipment - Accumulated Depreciation

Book Value at the beginning of Year 1 = $600,000 - $0 (since it's the first year)

Year 1 Depreciation = (2 / 5) * $600,000 = $240,000

To determine the depreciation for year 4, we follow the same approach:

Year 4 Depreciation = (2 / 5) * Book Value at the beginning of the year

Book Value at the beginning of Year 4 = Cost of Equipment - Accumulated Depreciation

Book Value at the beginning of Year 4 = $600,000 - Accumulated Depreciation for Years 1-3

(Note: Accumulated Depreciation for Years 1-3 = 3 * Year 1 Depreciation)

Book Value at the beginning of Year 4 = $600,000 - (3 * $240,000) = $600,000 - $720,000 = -$120,000

Since the book value is negative, the depreciation for year 4 will be $0.

b. The implied salvage value after 5 years using the DDB method can be calculated as follows:

Implied Salvage Value = Cost of Equipment - Accumulated Depreciation

Accumulated Depreciation after 5 years = 5 * Year 1 Depreciation = 5 * $240,000 = $1,200,000

Implied Salvage Value = $600,000 - $1,200,000 = -$600,000

The implied salvage value after 5 years is also negative, indicating that the equipment's estimated salvage value of $40,000 is not achievable according to the DDB method.

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What is your opinion regarding the differences in
corporate governance structure between the European Union and the
United States?

Answers

The corporate governance structures in the European Union (EU) and the United States (US) exhibit some notable differences. One key distinction lies in their ownership structures and board compositions.

In the EU, there is a stronger presence of stakeholder-oriented corporate governance, where employees and other stakeholders have more representation on corporate boards. This is often achieved through a two-tier board system, with a supervisory board representing stakeholders and a management board responsible for day-to-day operations. In contrast, the US follows a shareholder-oriented model, with a single-board structure dominated by shareholders.

Another difference is the level of regulation and enforcement. The EU tends to have more comprehensive and prescriptive regulations governing corporate governance practices. The US, on the other hand, has a more principles-based approach, allowing for greater flexibility and discretion in corporate decision-making.

These differences can be attributed to variations in legal, cultural, and historical factors between the EU and the US. The EU emphasizes stakeholder protection, employee rights, and social responsibility, while the US prioritizes shareholder value and market efficiency.

It is important to note that the effectiveness of corporate governance structures in both regions is subject to ongoing debate. Each approach has its own strengths and weaknesses, and there is no universally superior model. Both the EU and the US continue to evolve their corporate governance frameworks to address emerging challenges and enhance accountability, transparency, and long-term value creation within their respective business environments.

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As your text suggests, sellers alone do not set prices and buyers alone do not set prices. It is the interaction of buyers and sellers that sets prices.

Explain where the market equilibrium occurs.
How do we show equilibrium graphically?
Share an example from your own experience when the market was not in equilibrium for a product or service.
Explain why the market was out of equilibrium (what caused it to be out of equilibrium) and what needed to be done to bring the market back to equilibrium.

Answers

Market equilibrium occurs when the price of a good or service balances the quantity demanded by buyers and the quantity supplied by sellers. It is determined by the intersection of the demand and supply curves.Graphical representation of market equilibriumIn graphical representation, the market equilibrium occurs at the point where the demand curve intersects the supply curve.

At this point, the quantity demanded by the buyers equals the quantity supplied by the sellers. At any other point, there would be either a surplus or a shortage.

Example of a product or service when the market was not in equilibriumA few months back, the demand for hand sanitizers increased rapidly due to the COVID-19 pandemic. Many people started buying hand sanitizers in bulk leading to a shortage of hand sanitizers in the market.

Due to the shortage, the sellers increased the prices of hand sanitizers. This caused the market to be out of equilibrium. There was an increase in price, but the quantity demanded was still high, and the quantity supplied was low.

What needed to be done to bring the market back to equilibrium.To bring the market back to equilibrium, the supply of hand sanitizers needed to increase. This could have been done by increasing the production or importing hand sanitizers from other countries. Once the supply had increased, the price of hand sanitizers would have decreased, and the market would have reached equilibrium.

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"Knowing how to secure your financial well-being is one of the most important things you’ll ever need in life. You don’t have to be a genius to do it. You just need to know a few basics, form a plan, and be ready to stick to it. No matter how much or little money you have, the important thing is to educate yourself about your opportunities.
At the SEC [Securities and Exchange Commission], we enforce the laws that determine how investments are offered and sold to you. These laws protect investors, but you need to do your part, too. No one can guarantee that you’ll make money from investments you make. "

Use the excerpt from the SEC's Guide to Saving and Investing to answer the following. Be sure to write in complete sentences.

Explain different types of investments and savings accounts and how they help your money grow over time.
Describe the importance of government agencies, like the SEC, in protecting your investments.

Answers

Different types of investments and savings accounts help in growing your money over time. It is important to know the type of investment and savings account, which matches your financial goals and status. This article explains the various types of investment and savings account, and how they can help in growing your money over time

Different types of investments and savings accounts help in growing your money over time. It is important to know the type of investment and savings account, which matches your financial goals and status. This article explains the various types of investment and savings account, and how they can help in growing your money over time. Here are different types of investment:Stocks - When you buy a share of stocks, you buy ownership in a corporation. Stocks can potentially increase in value if the company does well and can be sold for more than the original purchase price. Investing in stocks comes with some risks, as the stock prices can be volatile. It is important to understand the risk of the stock market before investing.Bonds - A bond is a debt investment in which an investor loans money to an entity (typically corporate or governmental) that borrows the funds for a defined period of time at a fixed interest rate. The bond issuer promises to pay the bondholder interest and the face value of the bond when it matures. The risks associated with investing in bonds are generally lower than those of stocks, but the potential for returns is also lower.Mutual Funds - A mutual fund is a type of investment vehicle made up of a pool of money collected from many investors for the purpose of investing in securities such as stocks, bonds, money market instruments, and other assets. The risks associated with investing in mutual funds are typically lower than those of individual stocks or bonds, as mutual funds are diversified portfolios managed by professionals. However, mutual funds come with fees, which can eat into your returns.Savings Accounts - Savings accounts are offered by banks and credit unions and allow you to earn interest on your deposits. The risks associated with savings accounts are generally low, but so are the potential returns. Savings accounts are best for short-term savings goals, such as building an emergency fund. Government agencies like the SEC play a crucial role in protecting your investments. They regulate and monitor the financial industry and enforce laws that protect investors. The SEC ensures that companies provide accurate and complete information about their investments so that investors can make informed decisions. They also investigate and prosecute individuals and companies that violate securities laws, such as insider trading and fraud. By regulating the financial industry and enforcing laws, the SEC helps to ensure that investors can invest with confidence, knowing that their investments are protected.

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Which of the following would impact a firm's net income over a given reporting year? During the year, the firm a. invested in plant and equipment. b. paid off a significant portion of its long-term debt. c. purchased some inventory using cash from a supplier. d. sold some merchandise to a key customer on credit.

Answers

The correct options a, c, and d would impact a firm's net income over a given reporting year, while option b would not have a direct impact on net income.

a. Investing in plant and equipment: This would typically have a direct impact on a firm's net income over a reporting year. The purchase of plant and equipment is considered a capital expenditure, and the cost of the investment is not immediately expensed. Instead, it is depreciated over its useful life.

b. Paying off a significant portion of long-term debt: This action would not directly impact a firm's net income. Paying off long-term debt reduces the firm's liabilities but does not affect the income statement.

c. Purchasing inventory using cash from a supplier: The purchase of inventory using cash does not directly impact net income. It affects the firm's cash flow and balance sheet but not the income statement.

d. Selling merchandise to a key customer on credit: This transaction would impact the firm's net income. When merchandise is sold on credit, revenue is recognized even though the cash payment is not received immediately.  Hence the correct options a, c, and d.

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Your boss is considering a 5-year investment project. • If the project is accepted, it would require an immediate spending of $662 to buy all necessary production equipment. This equipment would be sold at the end of the project and bring your company estimated $182 in sale proceeds after taxes (or after-tax salvage value) . The team recommends immediately setting aside $60 in cash to cover any unforeseen expenses. • Your boss's consulting team also estimated that the annual after-tax profits (or operating cash flows) would equal $173 The required annual rate of return is 10.7%. What is the Net Present Value of this proposed investment project? If your answer is negative, don't forget the minus sign! Increase decimal places for any intermediate calculations, from the default 2 to 6 or higher.

Answers

The Net Present Value (NPV) of the proposed investment project is approximately $169.74. Since it is positive, the project is considered financially favorable.

How to calculate Net Present Value (NPV)?

To calculate the Net Present Value (NPV) of the proposed investment project, we need to calculate the present value of the cash flows and subtract the initial investment cost.

The NPV can be calculated using the formula:

NPV = (PV of Cash Inflows) - (PV of Cash Outflows)

Given the following information:

Initial Investment Cost (Cash Outflow) = $662

Sale Proceeds (Cash Inflow) = $182

Annual After-Tax Profits (Cash Inflow) = $173

Required Annual Rate of Return = 10.7%

To calculate the present value of cash inflows, we use the formula:

PV = Cash Flow / (1 + r)^n

Where r is the required annual rate of return and n is the number of years.

Present Value of Cash Inflows = (PV of Sale Proceeds) + (PV of Annual After-Tax Profits)

Using the given data:

PV of Sale Proceeds = $182 / (1 + 0.107)⁵  ≈ $102.003543

PV of Annual After-Tax Profits = ($173 / (1 + 0.107)¹) + ($173 / (1 + 0.107)²) + ($173 / (1 + 0.107)³) + ($173 / (1 + 0.107) ⁴) + ($173 / (1 + 0.107)⁵ ) ≈ $729.741141

Now we can calculate the NPV:

NPV = ($102.003543 + $729.741141) - $662 ≈ $169.744684

Therefore, the Net Present Value (NPV) of the proposed investment project is approximately $169.744684.

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In Albaraka Islamic bank what are the different units under SCD?

Answers

Al Baraka Islamic Bank offers different units under SCD. The different units under SCD include treasury, risk management, credit, and marketing.

Al BarakaIslamic Bank is an international Islamic bank based in Bahrain that provides Shariah-compliant banking services. It was established in 2002 and operates across 16 countries. The bank provides a broad range of financial products and services, including retail banking, corporate banking, investment banking, treasury, and trade finance. Its products and services are designed to cater to the needs of individuals, small businesses, and large corporations.Al Baraka Islamic Bank's different units under SCDAl Baraka Islamic Bank's SCD (Structured and Corporate Division) is composed of different units that are tasked with different roles and responsibilities. The different units under SCD include the following:Treasury unit - The treasury unit is responsible for managing the bank's liquidity, currency risk, and interest rate risk.Risk management unit - The risk management unit is responsible for identifying, assessing, and mitigating the bank's risks, including credit risk, market risk, and operational risk.Credit unit - The credit unit is responsible for evaluating the creditworthiness of borrowers and making lending decisions based on the bank's credit policies and procedures.Marketing unit - The marketing unit is responsible for promoting the bank's products and services to its target market and building strong relationships with its customers.

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The relationship between consumption expenditure and disposable income can be identified from a slope of consumption curve.
a. True
b. False

The marginal propensity to save must be smaller than one.

a. True
b. False

Answers

The given statement the relationship between consumption expenditure and disposable income can be identified from a slope of the consumption curve is True. The correct option is A.

The given statement The marginal propensity to save must be smaller than one is also True. The correct option is A.

The consumption function shows the relationship between the consumption expenditure of households and the disposable income (DI) of households.

The slope of the consumption curve gives the marginal propensity to consume. It represents the change in consumption expenditure resulting from a unit change in disposable income. A positive relationship exists between disposable income and consumption expenditure. As disposable income rises, consumption expenditure also increases.

The marginal propensity to save must be smaller than one. This statement is also true. The marginal propensity to save (MPS) measures the proportion of an additional dollar of disposable income that households save rather than consume. If MPS is one, it means households are saving their entire disposable income, and if MPS is zero, households consume all their disposable income.

The value of MPS ranges between zero and one, where it represents the change in saving for a given change in income. MPS can never be greater than one as it represents a fraction of disposable income that is saved and must be less than disposable income. Households tend to save a portion of their disposable income, and hence, the value of MPS is always positive.

In conclusion, the slope of the consumption curve is an important indicator of the relationship between consumption expenditure and disposable income, while the marginal propensity to save measures the proportion of disposable income saved by households. Both these concepts are essential in understanding consumer behavior and predicting the effect of changes in income on spending.

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A high-technology centre is looking into the advisability of taking on a team of technicians to meet the maintenance and adjustment needs of some of its complex equipment. At present, this service is

Answers

A high-technology centre is considering insourcing their maintenance and adjustment needs.

A high-technology centre is looking into the advisability of taking on a team of technicians to meet the maintenance and adjustment needs of some of its complex equipment. At present, this service is often contracted out.What is insourcing?Insourcing, or sometimes called in-house sourcing, is the opposite of outsourcing. It means assigning tasks or projects to your company's in-house employees rather than hiring external contractors or suppliers.

The high-technology center is looking into the advisability of taking on a team of technicians to meet the maintenance and adjustment needs of some of its complex equipment. This means they're considering insourcing their maintenance and adjustment needs. At present, the service is often contracted out, which is the opposite of insourcing.

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On June 30, 2021, the Esquire Company sold merchandise to a customer and accepted a noninterest-bearing note in exchange. The note requires payment of $41,000 on March 31, 2022. The fair value of the merchandise exchanged is $39,155. Esquire views the financing component of this contract as significant. Required: 1. Prepare journal entries to record the sale of merchandise (omit any entry that might be required for the cost of the goods sold), any December 31, 2021 interest accrual, and the March 31, 2022 collection. 2. What is the effective interest rate on the note

Answers

Answer and Explanation:

1. The journal entries are shown below:

On 30-Jun-21

Note receivables Dr $41,000

     To Sales revenue $39,155  

     To Discount on note receivables $1,845

(Being sales revenue is recorded)  

On 31-Dec-21

Discount on note receivables ($1,845 × 6 ÷ 9) $1,230

     To Interest revenue $1,230

(Being interest accrual is recorded)  

On 31-Mar-22

Discount on note receivables  ($1,845 × 3 ÷ 9) $615

     To Interest revenue $615

(Being interest accrual is recorded)  

On 31-Mar-22

Cash Dr $41,000

     To Note receivables $41,000

(being note collection at maturity is recorded)  

2.  

Effective interest rate on note is

= $1,845 ÷ $39,155 × 12 ÷ 9

= 6.28%

Hal Thomas, a 25 year old college graduate, wishes to retire at the age of 65. To supplement other sources of retirement income, he can deposit $2,000 each year into a tax-deferred individual retirement arrangement (IRA). The IRA will earn a return of 12% over the next 40 years.

a. If Hall makes end of year $2,100 deposits into the IRA, how much will he have accumulated in 40 years when he turns 65?

b. If Hall decides to wait until age 35 to begin making end of year $2,100 deposits into IRA, how much will he have accumulated when he retires 30 years later?

c. Rework parts a and b assuming that Hal makes all deposits at the beginning, rather than the end of each year. Discuss the effect of beginning of year deposits on the future value accumulated by the end of Hal's 65th year.

Answers

a. If Hal makes   end-of-year $2,100 deposits into the IRA for 40 years, he will have accumulated approximately $243,528.25 when  he turns 65.

b. If Hal   decides to start making end-of-year $2,100 deposits into the IRA at age 35 for 30 years,he will have accumulated approximately $90,843.25 when he retires at age 65.

c. If Hal makes all deposits at the beginning of each year  -

  - For 40 years, he will have accumulated approximately $272,486.80 when he turns 65.

  - If he   starts making beginning-of-year deposits at age 35 for 30 years,he will have accumulated approximately $101,659.14 when he retires at age 65.

How is this so  ?

To calculate the future valu  e of the IRA, we can use the formula for the future value  of an ordinary annuity

[tex]\[ FV = P \times \left( \frac{(1+r)^n - 1}{r} \right) \][/tex]

Where -

FV = Future Value

P = Annual deposit

r = Annual interest rate

n = Number of years

a. If Hal makes end-of-year $2,100 deposits into the IRA for 40 years, the calculations are as follows:

P = $2,100

r = 12% = 0.12

n = 40

[tex]\[ FV = 2100 \times \left( \frac{(1+0.12)^{40} - 1}{0.12} \right) \][/tex]

[tex]\[ FV = 2100 \times \left( \frac{14.973 - 1}{0.12} \right) \]\[ FV = 2100 \times \left( \frac{13.973}{0.12} \right) \]\[ FV = 2100 \times 116.4416667 \]\[ FV = $243,528.25 \][/tex]

Hence, , Hal will have accumulated approximately $243,528.25 when he turns 65.

b. If Hal decides to start making end-of-year $2,100 deposits into the IRA at age 35 for 30 years, the calculations are as follows:

P = $2,100

r = 12% = 0.12

n = 30

[tex]\[ FV = 2100 \times \left( \frac{(1+0.12)^{30} - 1}{0.12} \right) \][/tex]

Calculating this equation gives us -

[tex]\[ FV = 2100 \times \left( \frac{6.191 - 1}{0.12} \right) \]\[ FV = 2100 \times \left( \frac{5.191}{0.12} \right) \]\[ FV = 2100 \times 43.25833333 \]\[ FV = $90,843.25 \][/tex]

Therefore, Hal will have accumulated approximately $90,843.25 when he retires at age 65.

c. If Hal makes all deposits at the beginning of each year, the future value formula needs to be adjusted to reflect the beginning-of-year deposits. The formula becomes:

[tex]\[ FV = P \times \left( \frac{(1+r)^n - 1}{r} \right) \times (1+r) \][/tex]

a. If Hal makes beginning-of-year $2,100 deposits into the IRA for 40 years:

P = $2,100

r = 12% = 0.12

n = 40

[tex]\[ FV = 2100 \times \left( \frac{(1+0.12)^{40} - 1}{0.12} \right) \times (1+0.12) \][/tex]

Calculating this equation gives us:

[tex]\[ FV = 2100 \times \left( \frac{14.973 - 1}{0.12} \right) \times 1.12 \]\[ FV = 2100 \times \left( \frac{13.973}{0.12} \right) \times 1.12 \]\[ FV = 2100 \times 116.4416667 \times 1.12 \] \[ FV = $272,486.80 \][/tex]

b. If Hal decides to start  making beginning-of-year $2,100 deposits into the IRA at age 35 for 30 years:

P = $2,100

r = 12% = 0.12

n = 30

[tex]\[ FV = 2100 \times \left( \frac{(1+0.12)^{30} - 1}{0.12} \right) \times (1+0.12) \][/tex]

[tex]\[ FV = 2100 \times \left( \frac{6.191 - 1}{0.12} \right) \times 1.12 \]\[ FV = 2100 \times \left( \frac{5.191}{0.12} \right) \times 1.12 \]\[ FV = 2100 \times 43.25833333 \times 1.12 \]\[ FV = $101,659.14 \][/tex]

The effect of beginning-of-year deposits is that the future value accumulated by the end of Hal's 65th year is higher compared to end-of-year deposits.

This is because beginning-of-year deposits have an additional year to earn returns, which compounds over time and increases the final amount.

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QUESTION 4 (a) Assess the various forms of the market efficiency. You should include in your discussions the information sets involved in each form. (15 marks) (b) Analyse from an investor's point of view if common stock is riskier than bond. (10 marks)

Answers

A. We can see here that the various forms of market efficiency are:

Weak-form efficiencySemi-strong-form efficiencyStrong-form efficiency

B. From an investor's point of view, common stock is riskier than bond.

What is market efficiency?

Market efficiency refers to the degree to which financial markets incorporate all available information and reflect it in the prices of assets.

B. From an investor's point of view, common stock is riskier than bond. This is because the value of common stock is more volatile than the value of bond. The value of common stock can go up or down, depending on the performance of the company. The value of bond, on the other hand, is more stable.

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Wendy and Ben are putting the finishing touches on their 6cottages that they have recently built on their rural property in Southern Queensland. Each cottage is fully self-contained and sleeps up to 4 people. The cottages have amazing views over the nearby national park and immediate access to some of the region’s best bush walking trails. Wendy and Ben are ready to prepare their marketing and promotional activities. Initially they plan to focus on middle income earners who reside in Queensland. They believe the cottages will appeal to all ages couples as well as families. However, they need to know more about their market so they can effectively position their cottages within a somewhat competitive market place.
a) While Wendy and Ben have considered demographic and geographic segmentation criteria what other two criteria would you recommend they consider prior to promoting their cottages and why?

Answers

Apart from demographic and geographic segmentation criteria, Wendy and Ben should consider psychographic and behavioral segmentation criteria while promoting their cottages.Wendy and Ben should analyze the psychographic criteria of the market they plan to target. Psychographic segmentation is the process of dividing a market into groups based on social class, lifestyle, personality characteristics, and values. Psycho graphic segmentation provides a framework for understanding the preferences and habits of potential customers.

Wendy and Ben can survey the market to learn more about the types of people who might be interested in renting their cottages.Behavioral segmentation, on the other hand, is the process of dividing a market into groups based on their behavior towards a product. Wendy and Ben should analyze the behavior of potential customers, including their buying habits, preferences, and attitudes towards holiday rentals. Behavioral segmentation can help Wendy and Ben position their cottages to meet the specific needs of their target market. Wendy and Ben should develop different marketing strategies for different segments of the market based on their behavior towards the product.Apart from these criteria, Wendy and Ben can also consider economic and cultural segmentation criteria as well.

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Other Questions
March 2020, Wong created a provision for doubtful debts in which the company expect that 2.5% of Account Receivable as at year-end 2020 is not collectable. The balance of Account Receivable as at year end 2020 was $42,000. 2.23 June 2020, a debtor, Mega Company, went bankrupt and only paid 50% of their total debt to Wong. The total debt was $800. 3.31 March 2021, Wong wrote off $180 of overdue debts from various customers. 4.31 March 2021, Account Receivable was $48,600, and the provision for doubtful debts remains 2.5%. *create journal entries for the above transactions 1. What does Drew Dudley mean when he talks about "lollipop moments?" 2. Have you had a lollipop moment in your own life? 3. Is there someone who has had a significant impact on your life that you have yet to thank? What's stopping you? 4. What are some small, everyday things that you can do that may have a far- reaching impact on those with whom you interact? 5. What do you think about Drew's way of defining leadership? What are the implicatiohs of looking at leadership in this way? The purpose of this exercise is to help you master calculating gradient using information from topographic maps. To complete this exercise, use the Renovo West, PA 7.5 minute quadrangle map to answer the following questions about gradient. Please refer to the unit information and conversion table to help you answer these questions. 23. What is the contour interval of this map? Answer: 24. What is the elevation of Point A (marked on the map)? Answer: 25. What is the elevation of the middle of Noyes Cemetery (located in UTM Zone 18 between 261000 and 262000 mE and 4575000 and 4576000 mN)? Answer: 26. How many map inches are there between Point A and the middle of Noyes Cemetery? 2 inches Answer: 76 Slope/Gradient, Topographic Profiles, & Vertical Exaggeration | Exercise 5-3 27. What is the real-life ground distance between Point A and the middle of Noyes Cemetery in miles? Show all of your work for full credit. Answer: 28. Determine the gradient in ft/mile between Point A and the middle of Noyes Cemetery. Show all of your work for full credit. Answer: 29. Determine the gradient between Point A and the middle of Noyes Cemetery as a percent grade. Show all of your work for full credit. Answer: 30. Let's say that you need to build a trail between Point A and Noyes Cemetery. Will your trail be wheelchair accessible? Explain your reasoning (refer to text in the laboratory manual for help). 31. Make a prediction, based on what you know about contours, would a transect from Point A to Noyes Cemetery have a steeper or shallower gradient than a transect from Point A to the 689 BM located -0.6 miles W-NW of 411730N 775000W? Explain your reasoning. Exercise 33 Slope/Gradient, Topographic Profiles, & Vertical Exaggeration 77 32. Determine the percent grade between Point A and the BM located -0.6 miles W-NW of 411730N 7750'00"W. Show all of your work for full credit. Answer: 33. Based on your calculations, did the transect (straight line) from Point A to Noyes Cemetery have a steeper or shallower gradient than a transect from Point A to the BM? Answer: 34. Did the previous answer match your prediction from question 31? Answer: N 76 413 75 74 73 Kettle K 62 E Auta Canetary M BM66e5 Nayes Cemetery Calowe BM680 62 Renovo West, PA Quadrang UTM Zone 18, 1000x1000 meter grid North American Datum 1983 National American Vertical Datum 1988 763 17/w 63 500 1:24.000 64 1,000 Meters M Elevations are in Feet 65 MN Cartograpiy Jackson pour Run Kepler Cemetery 77 76 75 4157304 74 573 N 3:51 Done Renovo West Inset_Top... 1 of 2 63 76 74 73 62 E S PA UTM Zone 18, 1 NAD NAV wwww 63 500 1,000 M 1:24,000 64 Elevation Q Meretetry 4 77 76 75 Tram NE One of the primary reasons that many transportation agencies donot consider roundabouts is:Belief that roundabouts are difficult to maintainBelief that the public will not accept roundaboutsBelief that roundabouts are too expensive to buildBelief that roundabouts reduce safety How did the immigration act of 1965 change U.S. immigration policy Derive an analytical expression showing the ratio of PFR/CSTR volumes required to achieve conversion of A between 1% and 99.999%. Do this for a second order reaction. Plot your result and explain your findings. using the acceleration you calculated above, predict how long it will take for the glider to move [var:x1] centimeters what is a common characteristic of a successful speechs structure If X has a uniform distribution on (2, 4), find the probability that the roots of the equation g(t) = 0 are complex, where g(t) = 4t^2 + 4Xt X +6. = The original price of a shirt was $64. In a sale a discount of 25% was given. Find the price of the shirt during the sale. "Use the information below to calculate the ratios listed below:Rm = 8.67% Rs = 7.61% Beta = 1.7 Std Dev = 8.13 Rf =1.39 a. CAPM b. Alpha c. Sharpe Ratio d. Treynor Ratio" in the nuclear transmutation represented by 23994 pu( 42 he, 10 n)?, what is the product? Can you describe the organizational culture of a ordinaryUniversity? In which type of room would the nurse tell the admissions clerk to place a client with bi[olar 1 disorder? Read this excerpt from the text about how the office of governor was defined in the early State constitutions. How does this compare to the status that governors hold today?"Most of the powers of government were given to the legislatures; the new State governors, for the most part, had little real authority. In every State except Massachusetts and New York, the governor was chosen by the legislature, and in most of them only for a one-year term. And only in three States did the governor have a veto power." A) Find an equation for the conic that satisfies the given conditions.hyperbola, vertices (2, 0), foci (4, 0)B) Find an equation for the conic that satisfies the given conditions.hyperbola, foci (4,0), (4,6), asymptotes y=1+(1/2)x & y=5 - (1/2)x inquiry based pedagogy is being embraced in principle across the globe. in the last decade , it has been supported by an increasing body of research on its effectiveness. illustrate your understanding of the concept of inquiry based pedagogy with a relevant example u = (2+ 33 i, 1 +63 i, 0), Find norm of u i.e. Il u 11? The size P of a small herbivore population at time t (in years) obeys the function P(t) = 600e0.27t if they have enough food and the predator population stays constant. After how many years will the population reach 3000? 9.66 yrs 28.83 yrs O 11.77 yrs 5.96 yrs a family leaves spain and takes up residence in the united states, where they gradually lose their spanish cultural traditions. they have modified their: