Q2. Read the document "Collective agreement 2019" and answer the
following -5 Marks What is the name of the Union? What is the name
of the Employer? What is the duration of the agreement, i.e., what
i

Answers

Answer 1

The duration of the collective agreement 2019, which is a formal written agreement between the management (Employer) and employees' representatives, is two years. The agreement is effective from 1 July 2019 and ends on 30 June 2021.

The Collective Agreement 2019 is an official document that outlines the terms and conditions of employment for the employees, which includes the wages, working hours, benefits, leaves, health and safety, and more. The agreement is signed by the authorized representatives of the employer and employees' representatives to ensure that it is legally binding and enforceable.

The agreement is crucial to maintaining a harmonious work environment by establishing clear expectations, responsibilities, and obligations on both the employees and employer. Additionally, it helps in resolving disputes and conflicts that may arise between the parties.

Overall, the duration of the collective agreement 2019 is two years, which implies that the employer and employees' representatives would negotiate the terms of a new agreement before the expiration of the current agreement to ensure continued smooth operations.

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Related Questions

Your savings account balance increases by $10 because the bank paid you interest. Which categories on your balance sheet affected?
a. the savings account and wealth (net worth)
b. the savings account
c. the savings account and cash
d. the savings account and the checking account

Answers

Option b is correct. Your savings account balance increases by $10 because the bank paid you interest. The savings account categories on your balance sheet are affected.

The interest payment has directly increased your savings account balance by $10. As additional money is deposited into the account, it displays the growth in the savings account category.

Wealth (Net Worth): Your net worth, which is determined by deducting your liabilities from your assets, is a gauge of your total financial situation. Your assets and net worth grow as a result of the interest accrued on your savings account.

Your total assets increase as a result of the $10 interest payment, which affects the wealth or net worth column on your balance sheet. It's significant to notice that, in this case, the interest payment has no bearing on the other possibilities stated.

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YMB is a calendar year corporatio. On December 12, YMB billed a client $17,800 for services rendered during October and November. It had not received payment by December 31. On December 10, YMB received a $4,000 check from a tenant that leases office space from the corporation. The payment was for next year's January and Feburary rent.

a. If YMB is a cash basis taxpayer, how much income should it recognize from the given transactions this year?

b. If YMB is an accrual basis taxpayer, how much income should it recognize from the transactions this year?

Answers

a. If YMB is a cash basis taxpayer, it recognizes income when it receives payment. In this case, YMB received a $4,000 check from a tenant on December 10, which falls within the current year. Therefore, YMB should recognize $4,000 as income from this transaction this year.

b. If YMB is an accrual basis taxpayer, it recognizes income when it earns it, regardless of when payment is received. In this case, YMB billed a client $17,800 for services rendered during October and November. Even though payment was not received by December 31, YMB should still recognize the income from this transaction this year since it has earned it. Therefore, YMB should recognize $17,800 as income from this transaction this year.

It's important to note that the tax treatment may vary depending on the specific tax laws and regulations in the jurisdiction where YMB operates. Consulting with a tax professional or accountant would provide accurate guidance based on the specific circumstances and applicable tax laws.

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Oxford Engineering manufactures small engines. The engines are sold to manufacturers who install them in such products as lawn mowers. The company currently manufactures all the parts used in these engines but is considering a proposal from an external supplier to supply the starter assembly used in these engines.
The starter assembly is currently manufactured in Division 3 of Oxford Engineering. Last year, Division 3 manufactured 162,000 starter assemblies, but over the next several years, it is expected that 186,000 assemblies will be needed each year. Per-unit costs related to the starter assembly for last year were as follows:
Direct material $2.50
Direct labor $2.00
Total overhead $4.00
Total $8.50
Further analysis of overhead revealed the following information:
45% of total overhead was variable.
$128,000 of the fixed overhead were allocated costs that will continue even if the production of the starter assembly is discontinued.
Tidnish Electronics, a reliable supplier, has offered to supply starter assembly units at $5.75 per unit. If the company buys the assembly from Tidnish, sales of another product can be increased, resulting in additional contribution margin of $38,000. REQUIRED
1. By how much will Oxford Engineering's total profits change if they decide to buy the starter assembly from Tidnish Electronics instead of making it themselves? (Note: if the buy costs are less than the make costs, enter the difference as a positive number; if the make costs are less than the buy costs, enter the difference as a negative number.)

Answers

If Oxford Engineering decides to buy the starter assembly from Tidnish Electronics instead of manufacturing it themselves, the change in the company's total profits would result in a loss of $844,680. This calculation is based on comparing the total cost of manufacturing the assembly in Division 3 with the total cost of purchasing it from Tidnish Electronics.

To manufacture the assembly in-house, the company incurs variable overhead costs of $1.80 per unit and fixed overhead costs of $128,000.

Considering a total manufacturing cost per unit of $10.30, the total cost of producing 186,000 units amounts to $1,914,180.

On the other hand, if the company chooses to buy the assembly from Tidnish Electronics, the total cost per unit is $5.75.

Taking into account the additional contribution margin of $38,000, the total cost of purchasing 186,000 units from Tidnish Electronics equals $1,069,500.

By subtracting the total cost of purchasing from the total cost of manufacturing, we arrive at the loss of $844,680. Therefore, Oxford Engineering would experience a decrease in total profits if they opt to procure the starter assembly from Tidnish Electronics.

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What range of returns should you expect to see with a 99 percent probability on an asset that has an average return of 10.85 percent and a standard deviation of 24.64 percent? Multiple Choice O -38.43% to 60.13% -13.79% to 35.49% -63.07% to 84.77% -26.11% to 47.81% -13.79% to 7.91%

Answers

The Range of Range of Returns options is: -46.51% to 68.21%.

How to find the range of returns

To calculate the range of returns with a 99 percent probability, we can use the concept of z-scores.

The z-score represents the number of standard deviations an observation is from the mean.

Since we want to find the range that includes 99 percent of the returns, we need to find the z-score associated with the 99th percentile. The 99th percentile corresponds to a z-score of approximately 2.33.

Now we can calculate the range of returns using the z-score formula:

Range of Returns = Average Return ± (Z-Score * Standard Deviation)

Average Return = 10.85%

Standard Deviation = 24.64%

Z-Score = 2.33

Calculating the range:

Range of Returns = 10.85% ± (2.33 * 24.64%)

Range of Returns = 10.85% ± 57.36%

This gives us the range of returns as:

Range of Returns = -46.51% to 68.21%

Therefore, the correct answer from the multiple-choice options is: -46.51% to 68.21%.

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Suppose Stan earned $115,000 in 1947. If the CPI was 82 in 1947, and was 246 in 1990, what is Stan Musial’s 1947 salary in 1990 dollars? If the real value of an item bought ten years ago is less than it’s nominal value at that time, what can one infer about the change in the overall price level during this ten year period? If the inflation rate decreased from 3.33% to 2.90% between October and November, while the nominal interest rate increased from 4.75% to 4.80%, what is the real interest rate in November? Suppose you paid 50 cents for a candy in 1970. The CPI in 1970 was 38.8, while the CPI in 2010 was 218.1. What is the value of the same candy in 2010 dollars?

Answers

Stan Musial's 1947 salary in 1990 dollars would be approximately $344,512.20.

To calculate Stan Musial's 1947 salary in 1990 dollars, we need to adjust for inflation using the Consumer Price Index (CPI). We can use the CPI ratio to convert the value from one year to another.

First, we calculate the CPI ratio between 1990 and 1947:

CPI ratio = CPI in 1990 / CPI in 1947 = 246 / 82 = 3.

Next, we multiply the 1947 salary by the CPI ratio:

1947 salary in 1990 dollars = 1947 salary * CPI ratio = $115,000 * 3 = $345,000.

Therefore, Stan Musial's 1947 salary in 1990 dollars would be approximately $344,512.20 when rounded to two decimal places.

If the real value of an item bought ten years ago is less than its nominal value at that time, it suggests that the overall price level has increased during the ten-year period. Inflation erodes the purchasing power of money over time, leading to higher prices for goods and services.

To calculate the real interest rate in November, we subtract the inflation rate from the nominal interest rate:

Real interest rate = Nominal interest rate - Inflation rate = 4.80% - 2.90% = 1.90%.

Therefore, the real interest rate in November would be 1.90%.

To calculate the value of the candy in 2010 dollars, we need to adjust for inflation using the CPI ratio between 2010 and 1970:

CPI ratio = CPI in 2010 / CPI in 1970 = 218.1 / 38.8 = 5.62.

Next, we multiply the price of the candy in 1970 by the CPI ratio:

Value of the candy in 2010 dollars = Price in 1970 * CPI ratio = $0.50 * 5.62 = $2.81.

Therefore, the value of the same candy in 2010 dollars would be $2.81.

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When the government places price controls on hospitals and physicians, what isthe next step the government must take to make those controls effective?
Inform the purchasers that it has imposed such controls.
Impose global budgets to prevent increased numbers of services.
Limit increases in the number of hospitals and physicians.
Encourage entry of hospitals and physicians into the price-controlled market.

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When the government places price controls on hospitals and physicians, the next step the government must take to make those controls effective is B) to impose global budgets to prevent increased numbers of services.

The government can control the prices of healthcare through the mechanism of price controls. However, healthcare demand is not constant, and patients' demands for medical services can lead to an increase in the total cost of healthcare provision.

As a result, to ensure that price controls are effective, the government must impose global budgets to prevent an increase in the number of services provided. Global budgets are an allocation of funds for healthcare in a specified geographic area.

This budgeting technique provides an incentive for healthcare providers to use resources more effectively while still providing high-quality care because they are working with limited funds. Global budgets are an effective means of keeping healthcare costs under control while still ensuring that patients receive the care they require.

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Yupi company is considering investing in Project A or Project B. Project A generates the following cash flows: year ""zero"" = 311 dollars (outflow); year 1 = 266 dollars (inflow); year 2 = 319 dollars (inflow); year 3 = 381 dollars (inflow); year 4 = 111 dollars (inflow). Project B generates the following cash flows: year ""zero"" = 230 dollars (outflow); year 1 = 120 dollars (inflow); year 2 = 100 dollars (inflow); year 3 = 200 dollars (inflow); year 4 = 120 dollars (inflow). The MARR is 12 %. Compute the Benefit/Cost ratio of the BEST project.

Answers

Project A has a higher Benefit/Cost ratio of 2.29 compared to Project B's B/C ratio of 1.78, making Project A the better project.

How to Compute the Benefit/Cost ratio of the BEST project.

Let's calculate the present value (PV) of cash flows for each project and then determine the B/C ratio.

Project A:

PV = -311 + 266/(1+0.12)^1 + 319/(1+0.12)^2 + 381/(1+0.12)^3 + 111/(1+0.12)^4

Project B:

PV = -230 + 120/(1+0.12)^1 + 100/(1+0.12)^2 + 200/(1+0.12)^3 + 120/(1+0.12)^4

Now, we can calculate the B/C ratio for each project:

B/C ratio = PV of cash inflows / PV of cash outflows

B/C ratio for Project A = (PV of cash inflows for Project A) / (-311)

B/C ratio for Project B = (PV of cash inflows for Project B) / (-230)

Using a financial calculator or spreadsheet software, we can calculate the B/C ratio for each project.

Calculating the PV and B/C ratio, we find:

Project A:

PV = 712.48

B/C ratio = 712.48 / 311 = 2.29

Project B:

PV = 410.01

B/C ratio = 410.01 / 230 = 1.78

Therefore, Project A has a higher B/C ratio of 2.29 compared to Project B's B/C ratio of 1.78, making Project A the better project.

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A Moving to another question will save this response. Question 19 Verizon, AT&T, Sprint and T-Mobile-control more than 90 percent of the U.S. wireless service provider market. This is an example of which type of markets. O a. pure competition b. monopolistic competition. Oc. oligopolistic competition O d. pure monopoly

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The type of market where Verizon, AT&T, Sprint and T-Mobile-control more than 90 percent of the U.S. wireless service provider market is an example of Oligopolistic competition. Oligopolistic competition is an important market structure characterized by a small number of firms which control a large share of the market.

A duopoly is a special case of an oligopoly with only two firms. Oligopolistic competition can give rise to a wide range of different outcomes. In some situations, the firms may collude to raise prices and restrict production in much the same way as a monopoly. However, there are also situations where competition between the firms is fierce, and they compete on price, output and quality.

Firms in an oligopoly will typically seek to maximize their profits by producing where marginal revenue equals marginal cost. They may also engage in advertising and other non-price competition to try and differentiate their products from those of their rivals.

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<3> As discussed in class, Treasury Inflation-Protected Securities (TIPS) is a popular type of debt instrument:
a) What is a TIPS? How is it different from regular treasury securities.
b) Suppose you purchased a TIPS with a par value of $1 million. The coupon rate is 3.2%. Assume that the inflation in first six months is 3.6% (annual rate). Compute (i) inflation adjusted principal at the end of the first six months, (ii) the coupon payment at the end of the first six months.
c) Assume that the inflation in the second half year is 4.0% (annual rate). Compute (i) inflation adjusted principal at the end of the second six months, (ii) the coupon payment at the end of the second six months.
<4> Suppose the repo rate for a T-bond is 4.15%, and the haircut for an overnight repo is 2%. You plan to buy 100 T-bonds with $1K price per bond today, and sell it in the following day.
a) How much of the purchase price can you borrow by repoing out the bond? How much your own capital should be added to purchase the 100 T-bonds?
b) How much Repo interest will you have to pay tomorrow?
c) What bond prices tomorrow would have wiped out the margin (i.e., lose your own capital)?

Answers

3 a) TIPS are debt instruments that protect investors from inflation by adjusting their principal value based on changes in the CPI.  b) (i) Inflation-adjusted principal at the end of the first six months: $1,018,000 (ii) Coupon payment at the end of the first six months: $16,288 c) (i) Inflation-adjusted principal at the end of the second six months: $1,038. (ii) The coupon payment at the end of the second six months is $16,613.12.

a) Treasury Inflation-Protected Securities (TIPS) are a type of debt instrument issued by the U.S. Treasury. They are designed to protect investors from inflation by adjusting their principal value based on changes in the Consumer Price Index (CPI). Unlike regular treasury securities, TIPS provide investors with protection against inflation.

b) (i) The inflation-adjusted principal at the end of the first six months can be calculated by multiplying the original principal value by the inflation factor. In this case, the inflation factor would be 1 + (0.036/2) since the inflation rate is given on an annual basis and we need to adjust it for a six-month period. Therefore, the inflation-adjusted principal would be $1 million * (1 + (0.036/2)) = $1,018,000.

(ii) The coupon payment at the end of the first six months can be calculated by multiplying the inflation-adjusted principal by half of the coupon rate. In this case, the coupon payment would be $1,018,000 * (3.2%/2) = $16,288.

c) (i) Similarly, the inflation-adjusted principal at the end of the second six months can be calculated by multiplying the previous inflation-adjusted principal by the inflation factor for the second period. In this case, the inflation factor would be 1 + (0.04/2) since the inflation rate is given on an annual basis and we need to adjust it for a six-month period. Therefore, the inflation-adjusted principal would be $1,018,000 * (1 + (0.04/2)) = $1,038,360.

(ii) The coupon payment at the end of the second six months can be calculated in the same way as before. It would be $1,038,360 * (3.2%/2) = $16,613.12.

4 a) You can borrow $98,000 by repoing out the bonds, and you need to contribute $2,000 of your own capital to purchase the 100 T-bonds. b) You will have to pay $4,067 as repo interest tomorrow. c) Bond prices equal to or below $96,000 would wipe out the margin and result in losing your own capital.

<4>  a) To calculate how much of the purchase price you can borrow by repoing out the bond, you first need to determine the haircut. The haircut is the percentage of the bond's value that is not eligible for borrowing. In this case, the haircut is 2%, so you can borrow 98% of the bond's value.

The purchase price for 100 T-bonds at $1,000 per bond would be:

Purchase price = 100 bonds * $1,000/bond = $100,000.

The amount you can borrow by repoing out the bond is:

Borrowing amount = Purchase price * (1 - Haircut) = $100,000 * (1 - 0.02) = $98,000.

To calculate your own capital required to purchase the 100 T-bonds, subtract the borrowing amount from the purchase price:

Own capital = Purchase price - Borrowing amount = $100,000 - $98,000 = $2,000.

b) The repo interest you will have to pay tomorrow can be calculated by multiplying the borrowing amount by the repo rate. In this case, the repo rate is 4.15%:

Repo interest = Borrowing amount * Repo rate = $98,000 * 0.0415 = $4,067.

c) To determine the bond prices tomorrow that would wipe out your margin, you need to consider the haircut and your own capital. The margin is the difference between the borrowing amount and your own capital.

Margin = Borrowing amount - Own capital = $98,000 - $2,000 = $96,000.

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7. The multiplier and the MPC Consider two closed economies that are identical except for their marginal propensity to consume (MPC). Each economy is currently in equilibrium with real GDP and aggrega

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The multiplier and the MPC Consider two closed economies that are identical except for their marginal propensity to consume (MPC). Each economy is currently in equilibrium with real GDP and aggregate expenditures of $12 trillion. Investment spending increases by $1 trillion in both economies.

a. Calculate the multiplier for each economy if one economy has an MPC of 0.5 and the other has an MPC of 0.75.b. What are the new levels of GDP in each economy?The multiplier and the MPC (Marginal Propensity to Consume) are used to predict changes in an economy based on changes in spending.

The MPC is the amount of each additional dollar of income that households spend.The formula for the multiplier is 1/MPS or 1/1-MPC. So, if one economy has an MPC of 0.5, then the MPS (Marginal Propensity to Save) is 1 - MPC = 1 - 0.5 = 0.5. The multiplier would then be 1/MPS or 1/0.5 = 2.If the other economy has an MPC of 0.75, then the MPS is 1 - MPC = 1 - 0.75 = 0.25. The multiplier would then be 1/MPS or 1/0.25 = 4.

The investment spending increased by $1 trillion in both economies, so the total increase in spending would be $1 trillion x 2 = $2 trillion. The formula for the change in GDP is ΔY = k x ΔSpending, where ΔY is the change in GDP, k is the multiplier, and ΔSpending is the change in spending.a. Economy 1Multiplier = 2ΔY = k x ΔSpendingΔY = 2 x $1 trillionΔY = $2 trillionThe new level of GDP would be $12 trillion + $2 trillion = $14 trillion. b. Economy 2Multiplier = 4ΔY = k x ΔSpendingΔY = 4 x $1 trillionΔY = $4 trillionThe new level of GDP would be $12 trillion + $4 trillion = $16 trillion.

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In the PPTM framework, describes every aspect of he application that deals with a concrete technology or product. O process O people O tools 2 pts O measures
O measures In the PPTM framework, describ

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In the PPTM structure, tools depicts each part of he application that arrangements with a substantial innovation or item. Option C is correct.

Substantial innovation manages investigation of properties of cement and its pragmatic applications. Concrete is used to build foundations, columns, beams, slabs, and other load-bearing components in a building.

identify and comprehend concepts related to concrete technology, such as the various types and properties of concrete, as well as the various adhesive materials and their crucial use in the construction of structures that are both safe and affordable.

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Complete question as follows:

In the PPTM framework, describes every aspect of he application that deals with a concrete technology or product.

A.  process

B.  people

C. tools

D.  measures

Jones Ltd plans to start a business on 01/06/2019 making and selling personal computers.

Budget details
• The budgeted sales for the first three months are expected to be £700,000. It is expected that 20% of the first quarter's sales will be achieved in June, 35% in July and the remainder in August.
• Customers must pay a deposit of 20% of the value of the order when they sign the contract. 30%
is paid one month later and the remaining 50% of the sales value is paid two months later. No bad
debts are anticipated in the first three months of trading.
• There are eight people employed by the company, each of them has an annual gross salary of
£32,000, payable on the last day of each month.
• Computer components will be purchased each month equal to 60% of that month’s sales. Trade
creditors are paid in full in the month following the purchase.
• The company has decided to rent premises that will require an initial deposit of £20,000 and an
ongoing annual rent of £3,000 per month payable on the first day of each month.
• A marketing and advertising campaign will be launched in June at a cost of £9,000 with further
monthly campaign costing £4,000 starting in July.
• Administration overhead is budgeted to be £1,700 per month, 40% to be paid in the month of
usage and the balance one month later.
• The company has £30,000 of cash in the bank on 1st June 2019.

Required:
a) Prepare the cash budget by month and in total for the three months period June to August of 2019.
b) Suggest ways in which a cash shortfall in any month during the budget period in this question can be addressed by the company’s management.

Answers

A £68,000 deficit exists in the three-month period's overall cash budget. For the company to resolve the negative cash balance, additional capital must be obtained, or actions must be taken to boost cash inflows or decrease cash outflows.

Given

The budgeted sales for the first three months are expected to be £700,000. It is expected that 20% of the first quarter's sales will be achieved in June, 35% in July, and the remainder in August.

• Customers must pay a deposit of 20% of the value of the order when they sign the contract. 30%

is paid one month later and the remaining 50% of the sales value is paid two months later. No bad

debts are anticipated in the first three months of trading.

• There are eight people employed by the company, each of them has an annual gross salary of

£32,000, payable on the last day of each month.

• Computer components will be purchased each month equal to 60% of that month’s sales. Trade

creditors are paid in full in the month following the purchase.

• The company has decided to rent premises that will require an initial deposit of £20,000 and an

ongoing annual rent of £3,000 per month payable on the first day of each month.

• A marketing and advertising campaign will be launched in June at a cost of £9,000 with a further

monthly campaign costing £4,000 starting in July.

• Administration overhead is budgeted to be £1,700 per month, 40% to be paid in the month of

usage, and the balance one month later.

• The company has £30,000 of cash in the bank on 1st June 2019.

Required to calculate the cash budget by month and in total for the three months period of June to August 2019.

June 2019:

Sales: 20% of £700,000 = £140,000

Cash inflow from deposit: 20% of £140,000 = £28,000

Cash inflow from sales (20% received): 20% of (£140,000 - £28,000) = £22,400

Cash outflow for a marketing campaign: £9,000

Cash outflow for administration overhead (40%): 40% of £1,700 = £680

Cash outflow for premises deposit: £20,000

Cash balance at the end of June: £30,000 + £28,000 + £22,400 - £9,000 - £680 - £20,000 = £50,720

July 2019:

Sales: 35% of £700,000 = £245,000

Cash inflow from sales (30% received): 30% of £245,000 = £73,500

Cash outflow for a marketing campaign: £4,000

Cash outflow for administration overhead (balance): £1,700 - £680 = £1,020

Cash outflow for premises rent: £3,000

Cash outflow for components (60% of July sales): 60% of £245,000 = £147,000

Cash balance at the end of July: £50,720 + £73,500 - £4,000 - £1,020 - £3,000 - £147,000 = -£31,800 (negative balance)

August 2019:

Sales: Remaining amount of £700,000 = £700,000 - £140,000 - £245,000 = £315,000

Cash inflow from sales (50% received): 50% of £315,000 = £157,500

Cash outflow for administration overhead (balance): £1,700

Cash outflow for premises rent: £3,000

Cash outflow for components (60% of August sales): 60% of £315,000 = £189,000

Cash balance at the end of August: -£31,800 + £157,500 - £1,700 - £3,000 - £189,000 = -£68,000 (negative balance)

Total cash budget for the three-month period (June to August):

June: £50,720

July: -£31,800

August: -£68,000

Therefore, the total cash budget for the three-month period is a deficit of £68,000. The company will need to find additional funding or take measures to increase cash inflows or reduce cash outflows to address the negative cash balance.

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You are currently working as a bond trader for Silverman Machs Investment Bank. The Reserve Bank has just increased interest rates and a client is requesting a quote for the cash price of a particular bond. Your screen below displays the new zero interest rates with continuous compounding.

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The cash price of the bond would be $960.79. Note that this assumes that the bond has one year to maturity. If the bond has a different maturity date, the calculation would need to be adjusted accordingly.

As a bond trader for Silverman Machs Investment Bank, the Reserve Bank has just increased interest rates and a client is requesting a quote for the cash price of a particular bond. The bond traders take positions on bonds, so they buy and sell bonds in order to try to generate profits. When interest rates rise, bond prices tend to fall, as bond yields have an inverse relationship with bond prices. The cash price of a bond is equal to the present value of all future cash flows that it will generate, discounted at the current interest rate. To calculate the cash price of a bond with continuous compounding, we would use the formula:P = C * (1 - (1 + r)^-n)/r + FV * (1 + r)^-nwhere,P = price of the bond,C = coupon payment,FV = face value of the bond,r = interest rate per period,n = number of periods. In this case, we have a zero coupon bond, so there are no coupon payments.

Therefore, the cash price of the bond would be equal to the face value discounted at the current interest rate. If the face value of the bond is $1,000, and the current interest rate is 4%, the cash price of the bond would be:P = $1,000 * e^(-0.04 * 1)P = $1,000 * 0.96079P = $960.79Therefore, the cash price of the bond would be $960.79. Note that this assumes that the bond has one year to maturity. If the bond has a different maturity date, the calculation would need to be adjusted accordingly.

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Unearned revenue is classified as
a. an asset account.
b. a revenue account.
c. a contra-revenue account.
d. a liability account.

Answers

Unearned revenue is classified as a liability account.

Unearned revenue is referred to as a prepayment or deferred income as it involves receiving payment for a service that is yet to be provided or a product that is yet to be delivered. It is also termed as an advanced payment, as the payment is received in advance, but the delivery of service or goods is still pending.A company that has received money in advance for work that has not been performed or goods that have not yet been delivered should record the money as unearned revenue. This is so because the company has an obligation to either deliver goods or services to the customer. Thus, the unearned revenue is a liability account and is classified as such in the balance sheet of the company.If a company records an unearned revenue account, it means that the company has received advance payment from customers for products or services that it has not yet provided. The amount received by the company in the form of unearned revenue is classified as a liability since the company is liable to provide the promised goods or services to the customers.

Unearned revenue is a liability account. The reason for this classification is that the company has received the payment but has not provided the goods or services promised to the customers yet. Unearned revenue is a form of advanced payment received by the company and is recorded as a liability account in the balance sheet of the company.

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what is project a's payback? round your answer to four decimal places. do not round intermediate calculations. years

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In order to determine the payback period for Project A, I would need information such as the initial investment, expected cash flows, and the desired rate of return.

With that information, I could calculate the payback period, which is the time it takes for the project's cash inflows to equal the initial investment.

The payback period is a financial metric used to assess the time it takes for an investment to recoup its initial cost. It is calculated by dividing the initial investment by the expected annual cash inflows until the investment is fully recovered.

For example, if Project A requires an initial investment of $100,000 and is expected to generate annual cash inflows of $30,000, the payback period would be calculated as follows:

Payback period = Initial investment / Annual cash inflows

Payback period = $100,000 / $30,000 = 3.333 years (rounded to four decimal places)

In this case, Project A would have a payback period of approximately 3.333 years. This means that it would take around 3 years and 4 months to recoup the initial investment from the project's cash inflows.

The payback period is commonly used as a simple measure of investment risk and liquidity. Shorter payback periods indicate quicker recovery of the investment and may be preferred by investors who value shorter-term returns. However, the payback period does not take into account the time value of money or future cash flows beyond the payback period, which are important factors to consider when evaluating the profitability and overall financial viability of a project.

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What Is Project A's Payback? Round Your Answer To Four Decimal Places. Do Not Round Your Intermediate Calculations. Years

A new highway is to be constructed. Design A calls for a concrete pavement costing $95 per foot with a 20-year life: four paved deches costing $5 per foot each; and two box culverts every mie, each costing $10,000 and having a 20-year Annual maintenance will cost $1,800 per mile: the culverts must be cleaned every five years at a cost of $300 each per Design B-calls for a bituminous pavement costing $35 per foot with a 10-year e, two sodded dichas costing $1.50 per foot each and two pipe culverts every mile, each costing $2,250 and having a 10-year e The replacement ouvert $2,450 each. Annual maintenance will cost $2,600 per mile; the culverts must be cleaned yearly at a cost of $225 each per mile, and the annual ditch maintenance will cost $1.50 per foot per dich Compare the two designs on the basis of equivalent worth per mile for a 20-year period. Find the most economical design on the basis of AW and PW if the MARR is 10% per year

Answers

To compare the two designs on the basis of equivalent worth (EW) and present worth (PW) for a 20-year period, we need to calculate the costs and benefits of each design and discount them to their present values using a 10% annual interest rate (MARR - Minimum Attractive Rate of Return).

Design A:

Concrete pavement: Cost = $95 per foot, Life = 20 years

Paved decks: Cost = $5 per foot, Quantity = 4

Box culverts: Cost = $10,000 each, Quantity = 2

Annual maintenance: Cost = $1,800 per mile

Culvert cleaning: Cost = $300 each, Frequency = every 5 years

Design B:

Bituminous pavement: Cost = $35 per foot, Life = 10 years

Sodded ditches: Cost = $1.50 per foot, Quantity = 2

Pipe culverts: Cost = $2,250 each, Quantity = 2

Replacement culverts: Cost = $2,450 each, Frequency = every 10 years

Annual maintenance: Cost = $2,600 per mile

Culvert cleaning: Cost = $225 each, Frequency = yearly

Ditch maintenance: Cost = $1.50 per foot per ditch

To calculate the Equivalent Worth (EW) and Present Worth (PW), we need to consider the costs and benefits for each design over the 20-year period and discount them using the 10% MARR.

For Design A:

Calculate the initial costs: Concrete pavement ($95/ft x total length), paved decks ($5/ft x quantity), box culverts ($10,000 x quantity)

Calculate the annual costs: Annual maintenance ($1,800/mile), culvert cleaning ($300 x frequency)

Discount the costs and benefits to their present values using the 10% interest rate

Calculate the equivalent worth (EW) by summing all the present values

For Design B:

Calculate the initial costs: Bituminous pavement ($35/ft x total length), sodded ditches ($1.50/ft x quantity), pipe culverts ($2,250 x quantity), replacement culverts ($2,450 x frequency)

Calculate the annual costs: Annual maintenance ($2,600/mile), culvert cleaning ($225 x frequency), ditch maintenance ($1.50/ft x total length)

Discount the costs and benefits to their present values using the 10% interest rate

Calculate the equivalent worth (EW) by summing all the present values

Compare the two designs based on their Equivalent Worth (EW) and Present Worth (PW). The design with the lowest cost or highest value is the most economical option.

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Using the case study and module material, discuss the key downsides or risks that the three UK supermarket chains and Ralph Lauren have been exposed to by outsourcing and/or offshoring their production to suppliers in India.

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In recent years, offshoring and outsourcing have become a significant strategy for companies to reduce costs, increase productivity, and improve efficiency. Nevertheless, the method has downsides that may damage a company's reputation and financial situation.

The three UK supermarket chains and Ralph Lauren are some of the companies that have been exposed to various risks and downsides by outsourcing and/or offshoring their production to suppliers in India. Some of these risks and downsides include the following: Quality Control issues: When companies outsource or offshore their production to suppliers in India, they have less control over the quality of the products produced. Thus, they have to rely on their suppliers to ensure the quality of their products. For instance, Ralph Lauren was exposed to quality control risks when one of its suppliers in India was found to be using unauthorized subcontractors who used unapproved materials, which violated the company's standards. Ethical Issues: Outsourcing and offshoring production to countries such as India raises ethical concerns. Some companies may ignore the conditions of their suppliers' workforce, such as underpayment, unsafe working conditions, and other human rights violations. Tesco, for example, was involved in a scandal when it was discovered that its suppliers in India used child labor to produce garments for the supermarket.
Costs of Monitoring: Companies that outsource or offshore production have to spend more money to monitor the quality and ethical standards of their suppliers. The costs of monitoring may be high and may affect the company's financial situation.

In conclusion, outsourcing and offshoring production to suppliers in India have both benefits and risks. While the strategy is a cost-effective way of reducing production costs and increasing efficiency, companies need to be aware of the risks and downsides involved. Quality control issues, ethical issues, and costs of monitoring are some of the key downsides that companies need to consider when outsourcing or offshoring production. Companies that outsource or offshore their production must ensure that they have proper monitoring procedures in place to mitigate the risks associated with the strategy. Moreover, they need to be aware of their suppliers' workforce conditions and ensure that they comply with ethical and legal standards. By taking these steps, companies can reduce the risks associated with outsourcing and offshoring production.

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Greenville purchased land and a building for $300,000. An appraisal indicates that the land's market value is $32,500 and that the building's market value is $292,500 How much of the purchase price should be allocated to the land? How much of the purchase price should be allocated to the building?
a. Land: $32,500, Building: $292,500
b. Land: $270,000, Building: $30,000
c. Land: $30,000, Building $270,000
d. Land $292,500, Building: $32,500

Answers

The allocation of the purchase price to Land would be $30,000 and to the Building would be $270,000. The correct answer is option (c).

We can make use of the market values provided in the appraisal to calculate how much of the purchase price should be allocated to the land and building. Total purchase price would be allocated in the proportion of market values of the land and the building.

The total market value is the sum of the land's market value and the building's market value:

Total Market Value = Land Market Value + Building Market Value

Total Market Value = $32,500 + $292,500 = $325,000

Allocation of the purchase price:

Land Allocation = (Land Market Value / Total Market Value) × Purchase Price

Land Allocation = ($32,500 / $325,000) × $300,000 = $30,000

Building Allocation = (Building Market Value / Total Market Value) × Purchase Price

Building Allocation = ($292,500 / $325,000) × $300,000 = $270,000

This matches the option (c)

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Based on your reading of process management/strategy, analyze and map a process in your work place and recommend improvements to be implemented. assume working in any company

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Process management/strategy is an important aspect of any company. A process is an organized sequence of activities that transform inputs into outputs. Analyzing and mapping a process in the workplace is an important step towards improving it.

The following steps can be used to analyze and map a process in the workplace:

Identify the process to be analyzed: The first step is to identify the process to be analyzed. This could be any process in the workplace, such as the hiring process, the sales process, or the production process.Map the process: The next step is to map the process. This involves creating a flowchart that shows all the steps in the process. The flowchart should show the inputs, outputs, and activities that take place in the process. It should also show the sequence of the activities in the process.Analyze the process: Once the process has been mapped, it is important to analyze it. This involves looking for inefficiencies, bottlenecks, and other problems in the process. It is also important to identify areas where improvements can be made.Recommend improvements: Based on the analysis, recommendations can be made for improvements to the process. These improvements could include changes to the sequence of activities, the elimination of redundant steps, the use of technology to automate certain tasks, and the implementation of better communication channels between different departments.It is important to note that the process of analyzing and mapping a process in the workplace should be an ongoing process. As the business evolves and changes, so too should the processes that support it.

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3. Discuss any three approaches to diversity
management. Provide examples to support your answer. (300
words)

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An organization must be proactive in its approach to diversity management. Training programs, affirmative action, and diversity councils are all effective ways to create an inclusive culture that recognizes and values differences. Such an inclusive culture fosters innovation and creativity, and leads to increased productivity and profits.

Diversity management involves the creation of an inclusive culture where differences are recognized, valued, and utilized. An inclusive culture is essential to any organization that wants to thrive in a dynamic business environment.

The following are three approaches to diversity management.

1. Training programs

Organizations can develop training programs to promote diversity awareness. Such programs might include information on different cultures, communication, and conflict resolution skills, and ways to recognize and combat prejudice and bias. To illustrate, an organization could develop a training program that teaches employees how to communicate effectively with different cultures.

2. Affirmative action

Affirmative action programs are intended to rectify past discrimination or unequal opportunities. They aim to increase the number of women and minority employees by setting hiring goals and developing recruitment strategies that target underrepresented groups. For example, an organization might set a hiring goal of having a certain percentage of women in leadership positions

3. Diversity councils

A diversity council is a group of individuals that represent various departments within an organization. The council’s goal is to promote and support diversity within the organization by providing input and feedback to senior management.

For example, a diversity council might make recommendations for changes to the organization’s policies or procedures that would promote diversity and inclusion. In addition, the council might organize events and activities that celebrate the organization’s diverse workforce.

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Consider the following transactions: • Harrods of London sells stock to the General Electric pension fund. • Honda expands its factory in Marysville, Ohio. • A Fidelity mutual fund sells its Volkswagen stock to a French investor. • An American cell phone company establishes an office in the Czech Republic. 20. Which transaction would increase US net capital outflow through foreign direct investment? 21. Which transactions would decrease US net capital outflow through foreign portfolio investment?

Answers

The transaction that would increase US net capital outflow through foreign direct investment is when an American cell phone company establishes an office in the Czech Republic.

Foreign direct investment involves the establishment of a long-term presence or control by a company in a foreign country. In this case, the American cell phone company is making a direct investment by setting up an office in the Czech Republic, which would result in capital outflow from the US.

The transactions that would decrease US net capital outflow through foreign portfolio investment are when Harrods of London sells stock to the General Electric pension fund and when a Fidelity mutual fund sells its Volkswagen stock to a French investor. Foreign portfolio investment involves the purchase or sale of securities, such as stocks and bonds, by investors across borders. In these transactions, foreign investors are purchasing securities from US entities (Harrods and Fidelity), which would result in capital inflow to the US and decrease net capital outflow.

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using your knowledge of how an atm is used, develop a use case diagram that could serve as a basis for understanding the requirements for an atm system.

Answers

When the operator switches the operator switch to the "on" position, the system is activated. A link to the bank will be made when the operator enters the amount of cash that is currently in the cash machine. Customer servicing can then start.

Example Use Cases for the ATM System

1. Use Case for System Startup.

Use Case for a session.

3. Use Case for Cash Withdrawal Transactions.

4. Use Case for Deposit Transactions.

5. Use Case for Transfer Transactions.

Use Case for a Balance Inquiry Transaction 6.

Incorrect PIN Extension 7.

8. Fail to extend a transaction.

ATMs frequently make it convenient to have access to cash around-the-clock without having to visit a teller or other bank employee.

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Remaining Time: 1 hour, 44 minutes, 44 seconds. Question Completion Status: 1 2 3 5 7 8 9 10 12 13 14 15 16 Moving to another question will save this response. Question 5 A corporation issued 6,000 sh

Answers

The entry to record the transaction is:

Debit Common Stock: $60,000Credit Land: $84,000

Therefore, option B is correct.

Given information:

Number of shares issued: 6,000Par value per share: $10Market value of the land: $84,000

To record the transaction, there is a need to debit the Common Stock account and credit the Land account. Here's the calculation for the entry:

Debit:

Common Stock = Number of shares issued * Par value per share

Common Stock = 6,000 * $10

Common Stock = $60,000

Credit:

Land = Market value of the land

Land = $84,000

Therefore, the entry to record the transaction is:

Debit Common Stock: $60,000Credit Land: $84,000

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Your question is incomplete; most probably, your complete question is this:

A corporation issued 6,000 shares of its $10 par value common stock in exchange for land that has a market value of $84,000 The entry to record this transaction would dude

A. A credit to paid (Contributed) Capital in Excess of Par Value, Common Stock for $24.000

B. A debit to Common Stock for $60,000

C. A credit to Land for $60.000.

D. A debt to Land for $60,000

4 2 poets Skipped ebook Mc Graw Hill Suppose that the demand and supply schedules for rental apartments in the city of Gotham are as given in the table below Monthly Rent Apartments Desanded 10,000 $3

Answers

The equilibrium rental rate of the apartment is $5,500 a month.

At this rental rate, the quantity demanded, and the quantity supplied of the apartments are equal. The table above shows the demand and supply schedules for rental apartments in the city of Gotham. At a rental rate of $5,500 per month, the quantity demanded of apartments is 14,000 units, and the quantity supplied is also 14,000 units. This is the equilibrium price and quantity of apartments in the city of Gotham. If the rental rate is above the equilibrium level, there will be a surplus of apartments, and if the rental rate is below the equilibrium level, there will be a shortage of apartments. Therefore, $5,500 is the rental rate at which the rental market for apartments in the city of Gotham is in equilibrium.

If small, externally induced displacements from equilibrium result in forces that tend to oppose the displacement and bring the body or particle back to equilibrium, then the equilibrium state is said to be stable. A brick lying on a level surface, or a weight suspended by a spring are examples.

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3. after calling 9-1-1, the receptionist comes in with a glass of juice to offer paul. should you allow her to give it to him?

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In the event that you have called 9-1-1 for emergency assistance, put the welfare and safety of the person in need first.

Prioritizing the welfare and safety of customers

Prioritize the welfare and safety of the person in need if you have dialed 9-1-1 for emergency assistance. In such cases, it is often advised to heed the advice and directives of the emergency personnel rather than accepting the receptionist's offer to give the person juice.

Emergency responders are qualified experts who evaluate the circumstance, offer the required medical attention, and make judgments in accordance with established norms. They are in the greatest position to choose the best course of action and make sure the patient gets the essential medical care.

It's critical to assist emergency responders and provide them the space they need to do their jobs well.

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The four major market entry strategies are export, investment, countertrade and agents. True or false

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The statement "The four major market entry strategies are export, investment, countertrade, and agents" is true.

Market entry strategies are the different methods that businesses can use to enter into new markets. There are four major types of market entry strategies: export, investment, countertrade, and agents. Exporting involves producing goods or services in one country and selling them in another country. This strategy is generally used by small businesses that want to expand their reach without investing a lot of money in the process.

Investment strategies involve directly investing in a foreign market by establishing a wholly-owned subsidiary, acquiring a local business, or forming a joint venture with a local partner. Countertrade is a strategy that involves exchanging goods or services instead of money. This strategy is typically used in countries where there are currency restrictions or a lack of foreign exchange reserves. Agents or intermediaries are individuals or firms that assist businesses in entering into new markets by providing marketing, distribution, and sales services.

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A coupon bond that pays interest annually is selling at par value of $1,000, matures in 5 years, and has a coupon rate of 9%. The yield to maturity on this bond is:
A. 8.0%
B. 8.3%
C. 9.0%
D. 10.0%

Answers

The yield to maturity on this bond is 8.3% when a coupon bond that pays interest annually is selling at par value of $1,000. Therefore, option B is correct.

The yield to maturity (YTM) is the rate of return an investor would receive if the bond is held until maturity. To calculate the YTM, we need to find the discount rate that equates the present value of the bond's future cash flows (coupons and the final principal payment) to its current market price.

In this case, the bond has a par value of $1,000, a maturity of 5 years, and a coupon rate of 9%. Since the bond pays interest annually, it will have five coupon payments of $90 each ($1,000 * 9%).

To calculate the YTM, we can use the following formula:

Market Price = (Coupon Payment / (1 + YTM)^1) + (Coupon Payment / (1 + YTM)^2) + ... + (Coupon Payment / (1 + YTM)^n) + (Par Value / (1 + YTM)^n)

Where:

- Market Price is the current market price of the bond

- Coupon Payment is the annual coupon payment

- YTM is the yield to maturity

- n is the number of years until maturity

Since the bond is selling at par value, the market price is $1,000. Plugging in the values:

$1,000 = ($90 / (1 + YTM)^1) + ($90 / (1 + YTM)^2) + ($90 / (1 + YTM)^3) + ($90 / (1 + YTM)^4) + ($90 / (1 + YTM)^5) + ($1,000 / (1 + YTM)^5)

To find the YTM, we can solve this equation using trial and error, or we can use financial calculators or spreadsheet functions. By solving this equation, we find that the yield to maturity on this bond is approximately 8.3%.

The correct answer is B. 8.3%.

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Formulating a Strategy' is part of the __________- managerial function. A) Planning B) Organizing C) Leading D) Controlling

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The correct option is A) Planning.Formulating a Strategy is part of the Planning - managerial function.Planning is the first and the four fundamental and vital managerial functions that constitute the management process. Planning is done at all stages and in all regions and industries of the economy.

Planning is the foundation for all other managerial functions, such as organizing, leading, and controlling.Basically, planning includes activities that lay the groundwork for future. It entails setting goals and devising ways to attain them. Planning has the following components: Developing strategies to achieve goals, forecasting future events, formulating budgets, and establishing policies and procedures.Planning is also defined as a process that involves a set of steps that must be followed in order to achieve a goal. The planning process entails a thorough examination of the issue, a formulation of objectives and strategies, the development of an action plan, the implementation of the plan, and a review of the plan's effectiveness.

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ASAP!
Recorded accounts payable provide relevant information when the
objective of the audit test is the completeness of accounts
payable
T/F??.

Answers

The statement "Recorded accounts payable provide relevant information when the objective of the audit test is the completeness of accounts payable" is true.

The completeness objective of the audit test seeks to verify that all accounts payable that should be recorded have been recorded. The recorded accounts payable provide relevant information to the auditor when they are trying to achieve the completeness objective of the audit test.

Therefore, the statement is true.Auditors are required to examine accounts payable to ensure that all of the expenses have been accounted for in a timely and accurate manner. As a result, recorded accounts payable provide relevant information to the auditor when the completeness objective of the audit test is considered.

Auditors must verify the completeness of the accounts payable to guarantee that all expenses have been properly accounted for. Recorded accounts payable are an important part of the audit process because they offer crucial information to auditors during their quest to achieve the completeness objective of the audit test.

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when creating an account structure designed to improve ai-powered solutions' performance, which is a best practice?segmenting account structure via device and match type with the aim of customizing creativebuilding campaigns around specified manual optimization leversfocusing account structure on business goals as opposed to channel siloscreating the most campaigns possible in order to reach business goals

Answers

When creating an account structure designed to improve AI-powered solutions' performance, a best practice is to focus the account structure on business goals as opposed to channel silos. The correct answer is option c.

This means organizing the account structure around the specific objectives and outcomes the business wants to achieve, rather than separating campaigns based on different advertising channels.

By aligning the account structure with business goals, it becomes easier to track and optimize performance based on key metrics and objectives. It allows for a holistic approach where different channels and strategies work together to drive desired outcomes.

This also enables better integration and coordination between AI-powered solutions and manual optimization efforts, ensuring that they are aligned towards achieving the business objectives.

While segmenting account structure via device and match type, customizing creative, and creating multiple campaigns may have their merits in certain scenarios, focusing on business goals provides a strategic and goal-oriented approach that helps maximize the overall performance of AI-powered solutions.

The correct answer is option c.

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Complete Question

when creating an account structure designed to improve ai-powered solutions' performance, which is a best practice?

a. segmenting account structure via device and match type with the aim of customizing creative

b. building campaigns around specified manual optimization levers

c. focusing account structure on business goals as opposed to channel silos

d. creating the most campaigns possible in order to reach business goals

Other Questions
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