Value added can be calculated by: Select one: a. average productivity gains over time. Ob. inputs divided by the outputs. c. outputs divided by the inputs. Od. input plus output divided by two. output

Answers

Answer 1

In other words, it is the value that is added by an organization to its products or services as a result of the production process. It can be used as a measure of the productivity of the organization. The higher the value added, the more productive the organization is considered to be.

Value added can be calculated by output. Value added refers to the increase in the value of goods and services produced by an organization. It is the difference between the value of the goods produced by the organization and the cost of the inputs used in their production. In other words, it is the value that is added by an organization to its products or services as a result of the production process. It can be used as a measure of the productivity of the organization. The higher the value added, the more productive the organization is considered to be. Value added can be calculated by taking the output of an organization and subtracting the cost of the inputs used in its production. This gives the value that has been added by the organization. Value added is an important measure of the productivity of an organization. It is used to determine how much value an organization is creating and how efficient it is in its production processes. It is also used to compare the productivity of different organizations and to identify areas where productivity gains can be made. In conclusion, Value added can be calculated by output.

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Related Questions

The Canadian Government is intending on making a large cash investment in June and July of 2023. As a consequence, the government will have a short-term shortfall of $6.2 million between cash receipts and expenditures.

The government is intending to meet this shortfall by issuing 90-day Treasury Notes today. Calculate the face value of this issue, given a yield of 2.2% per annum.
b. Explain how increased government bond issuance can result in a decrease of corporate bond issuance and lower corporate bond prices.

Answers

a) Thus, the face value of the issue would be $6.157 million. b) Therefore, when the government increases its bond issuance, it can lead to a decrease in corporate bond issuance and lower corporate bond prices.

a. The face value of the Treasury Notes issued would be $6.157 million (to the nearest thousand dollars).

The formula for the calculation of the face value of Treasury Notes is:

Face value of the Treasury Notes = Shortfall / (1 + r x n / 365),

where: r = annual yield, n = number of days of the Treasury Note, Shortfall = $6.2 million, and r = 2.2%, n = 90, therefore,

n/365 = 0.2466

Substituting the values in the above formula,

Face value of the Treasury Notes = 6.2 / (1 + 0.022 x 0.2466) = $6.1569 million ≈ $6.157 million.

Thus, the face value of the issue would be $6.157 million.

b. Increased government bond issuance can result in a decrease of corporate bond issuance and lower corporate bond prices because of the inverse relationship between bond prices and bond yields. When the government issues a large number of bonds, it increases the supply of bonds, which can lead to a decrease in the demand for corporate bonds. This decrease in demand, coupled with the increased supply, leads to a decrease in the price of corporate bonds. Also, when the government issues more bonds, it drives up interest rates. Higher interest rates make borrowing more expensive for corporations, which can lead to a decrease in corporate bond issuance.

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Dynondo Incorporated planned to use materials of $8 per unit but actually used materials of $16 per unit, and planned to make 1640 units but actually made 1770 units.

The flexible-budget variance for materials is ________.
$14,160 favorable
$13,120 favorable
$13,120 unfavorable
$14,160 unfavorable

Answers

The flexible-budget variance for materials is $14,160 unfavorable. Option D is the correct answer.

The flexible-budget variance for materials can be calculated by using the Actual cost of materials and the Flexible budget for materials,

Flexible budget for materials = (Actual units produced) x (Budgeted cost per unit)

= 1770 units x $8/unit

= $14,160

The actual cost of materials = (Actual units produced) x (Actual cost per unit)

= 1770 units x $16/unit

= $28,320

Flexible-budget variance for materials = Actual cost - Flexible budget

= $28,320 - $14,160

= $14,160 unfavorable

Therefore, the Flexible-budget variance for materials is $14,160 unfavorable.

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Question 9
Ordinary repairs such as normal repair and maintenance are
expenditures that keep assets in normal, good operating condition.
O True O False

Answers

True. Ordinary repairs, such as normal repair and maintenance, are expenditures that are incurred to keep assets in normal, good operating condition.

These repairs are necessary to ensure that assets continue to function as intended and to prevent any significant deterioration or decline in their performance.Ordinary repairs typically involve routine tasks such as cleaning, lubricating, replacing worn-out parts, and fixing minor damages or malfunctions. These repairs are considered necessary for the day-to-day operation of assets and are generally recurring in nature.

Unlike major repairs or improvements, ordinary repairs do not enhance the asset's value or extend its useful life beyond its original design. They are simply intended to maintain the asset's normal functionality and prevent any significant deterioration.From an accounting perspective, ordinary repairs are treated as expenses and are deducted from the company's revenue during the period in which they occur. These expenses are recognized in the income statement and are necessary to ensure accurate financial reporting.In conclusion, ordinary repairs are indeed expenditures that keep assets in normal, good operating condition. They are essential for the ongoing maintenance and preservation of assets and are necessary to ensure their continued functionality and performance.

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apitol Industries has x million shares of stock outstanding. In an election for the board of directors, 80 percent of the shares are voted. The company has seven directors on its board, all of whom are elected annually. the company uses a majority rule voting procedure, how many chores are required to elect L One director ii. Two director A majority of the members of the board b. If the company uses a cumulative voting procedure, how many shares are required to elect i. One director ii. Two directors iii. A majority of the members of the board Answer only part b above. Make sure answer all three parts of part b like this: Answer to b.i: (make sure to show your work

Answers

a. In a majority rule voting procedure, share required to elect i. One director is (80% of x)/2 + 1 shares, ii. Two directors is (80% of x)/3 + 1 shares, and iii. A majority of the members of the board is [(80% of x)/2] + 4 shares.

b. In cumulative voting, share required to elect i. One director is (80% of x)/2 + 1 shares, ii. Two directors is (80% of x)/2 + 1 shares, and iii. A majority of the members of the board is [(80% of x)/2] + 1 shares.

a. In a majority rule voting procedure, the candidates who have more than 50% of the votes are elected. Let the number of outstanding shares be x million.

i. One director: In order to elect one director, the number of shares required to elect is equal to (80% of x)/2 + 1 shares.

ii. Two directors: In order to elect two directors, the number of shares required to elect is equal to (80% of x)/3 + 1 shares.

iii. A majority of the members of the board: In order to elect a majority of the members of the board, the number of shares required is equal to [(80% of x)/2] + 4 shares. (as there are a total of seven directors on the board)

b. In cumulative voting, shareholders are allowed to cast multiple votes for a single director. The formula for calculating the number of shares required to elect a director using cumulative voting is equal to total votes needed for electing a director divided by the number of directors to be elected.

i. One director: In order to elect one director, the number of shares required to elect is equal to (80% of x)/2 + 1 shares.

ii. Two directors: In order to elect two directors, the number of shares required to elect is equal to (80% of x)/2 + 1 shares.

iii. A majority of the members of the board: In order to elect a majority of the members of the board, the number of shares required is equal to [(80% of x)/2] + 1 shares.

Note: Here, we have divided the total votes needed for electing a director by the number of directors to be elected to obtain the number of shares needed to elect one director.

Note: The question is incomplete. The complete question probably is: Capitol Industries has x million shares of stock outstanding. In an election for the board of directors, 80 percent of the shares are voted. The company has seven directors on its board, all of whom are elected annually. a. If the company uses a majority rule voting procedure, how many shores are required to elect i. One director ii. Two director iii. A majority of the members of the board. b. If the company uses a cumulative voting procedure, how many shares are required to elect i. One director ii. Two directors iii. A majority of the members of the board.

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1 Q3. y = L4K3 and (p = $10, w = $5, r = $5). Find the optimal labor and capital, (L*, K*) to maximize profit.

Answers

The optimal labor and capital, (L*, K*) to maximize profit is $3.3116.

The production function y = L4K3 is used to determine the optimal labor and capital for the given set of conditions, (p = $10, w = $5, r = $5), so as to maximize profit. To obtain the optimal labor and capital values, the following steps must be followed:Step 1: Determine the profit function of the production function y = L4K3.

The profit function, P(L, K), is obtained by subtracting the cost function, C(L, K), from the revenue function, R(L, K).R(L, K) = p×y = p×L4K3= $10×L4K3C(L, K) = wL + rKP(L, K) = R(L, K) - C(L, K)= $10×L4K3 - ($5×L + $5×K)= $10L4K3 - $5L - $5KStep 2: Take the partial derivative of the profit function with respect to labor and capital.

The first-order conditions for maximizing profit require that the partial derivatives of the profit function, P(L, K), with respect to labor and capital be equal to zero. Therefore,∂P/∂L = 40L3 - 5 = 0 ⇒ L* = (5/40)1/3 = 0.7654 units of labor∂P/∂K = 30K2 - 5 = 0 ⇒ K* = (5/30)1/2 = 0.6455 units of capital

Step 3: Use the second-order condition to confirm that the critical point (L*, K*) is indeed a maximum or a minimum.

To ensure that the critical point is a maximum, the second-order condition must be satisfied.∂2P/∂L2 = 120L2 > 0 ∴ (L*, K*) is a minimum.

Therefore, the optimal labor and capital, (L*, K*), to maximize profit are L* = 0.7654 units of labor and K* = 0.6455 units of capital.

The maximum profit attainable is:P(L*, K*) = $10×L*4K*3 - ($5×L* + $5×K*)= $10×(0.7654)4(0.6455)3 - ($5×0.7654 + $5×0.6455)= $3.3116

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32 of 48 What is NOT required to be a successful project manager? Inspire others to do the right thing. Position Power Work well with others. Ask for help when needed.

Answers

Being a successful project manager is not an easy feat, it requires a set of skills and traits that help the individual overcome challenges and lead their team towards success.

However, out of the four given traits, inspiring others to do the right thing is not required to be a successful project manager.

A successful project manager is an individual that possesses a specific set of skills and traits. Among these traits is the ability to lead and communicate effectively with their team, delegate tasks and responsibilities, develop a clear and concise plan of action, and manage the project's budget and timeline.

Position Power, Work well with others, and Ask for help when needed are important skills for a successful project manager. Position power is the ability to lead, make decisions and hold people accountable. Working well with others is crucial to managing a project since the project manager is leading a team towards a common goal. Asking for help when needed is essential because no project manager can do everything on their own.

Inspiring others to do the right thing, although it is a positive trait, is not required to be a successful project manager. While it is great to have a team that is inspired and motivated to do the right thing, a project manager can still achieve success without inspiring their team.
In conclusion, Inspiring others to do the right thing is not a requirement to be a successful project manager.

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smith Manufacturing found the following information in its accounting records: $524,000 of direct materials used, $223,000 of direct labour, and $742,000 of manufacturing overhead. The work in process inventory account had a beginning balance of $76,000 and an ending balance of $85,000.
SHOW ALL WORK
Compute the company’s cost of goods manufactured

Answers

The company's cost of goods manufactured is $1,480,000.

To compute the company's cost of goods manufactured, we need to calculate the total manufacturing costs incurred during the period. Here's the breakdown:

Direct Materials Used: $524,000

Direct Labor: $223,000

Manufacturing Overhead: $742,000

Total Manufacturing Costs = Direct Materials Used + Direct Labor + Manufacturing Overhead

Total Manufacturing Costs = $524,000 + $223,000 + $742,000

Total Manufacturing Costs = $1,489,000

Next, we need to consider the changes in work in process (WIP) inventory to determine the cost of goods manufactured. The formula for calculating the cost of goods manufactured is:

Cost of Goods Manufactured = Total Manufacturing Costs + Beginning WIP Inventory - Ending WIP Inventory

Beginning WIP Inventory = $76,000

Ending WIP Inventory = $85,000

Cost of Goods Manufactured = $1,489,000 + $76,000 - $85,000

Cost of Goods Manufactured = $1,480,000

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If a person’s real income increases by 2% while the price level increases by 4%, one can conclude that the person’s nominal income has, approximately:
a- Increased by about 2%
b- Increased by about 4%
c- Decreased by about 2%
d- Increased by about 6%

Answers

The person’s nominal income has, approximately decreased by about 2%. Option c is correct.

When a person's real income increases by 2% but the price level increases by 4%, it means that the purchasing power of their income has decreased. This is because the increase in prices has outpaced the increase in income. To maintain the same level of purchasing power, the person's nominal income would need to increase by the same percentage as the increase in the price level, which is 4%.

Since the person's nominal income has only increased by 2%, it has not kept pace with the price level, resulting in a decrease in real income by approximately 2%. Therefore, the correct answer is c- Decreased by about 2%.

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Suppose that a person's yearly income is $60,000. Also suppose that this person's money demand function is given by Md = $Y (0.35 - i) a. What is this person's demand for money when the interest rate is 5%? 10%?

Answers

The answer is less than the previous answer as the interest rate has increased.

The money demand function of an individual, Md is given by: Md = $Y (0.35 - i)Where, Y is the yearly income of an individual and i is the interest rate. This individual's yearly income is $60,000. So, Y = $60,000When the interest rate is 5%, then i = 0.05Substitute these values in the above equation to get: Md = $60,000(0.35 - 0.05)Md = $60,000(0.30)Md = $18,000Therefore, this person's demand for money when the interest rate is 5% is $18,000.When the interest rate is 10%, then i = 0.10Substitute these values in the above equation to get: Md = $60,000(0.35 - 0.10) Md = $60,000(0.25) Md = $15,000

Therefore, this person's demand for money when the interest rate is 10% is $15,000.Note: When the interest rate increases, people tend to hold less money. This is because they have better alternatives for their money, such as savings accounts, bonds, and other interest-earning assets.

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(a) Robinson Crusoe (RC) can devote his time to fishing (F), collecting coconuts (C) or leisure (H). RC takes 6 hours a day leisure (it's a tough life!), and has production functions, F = √LF and C = √Lc, where LF and Lc are the number of hours fishing and collecting coconuts. His utility function is U=F0.25 C0.25 H05. (i) Find and sketch the production possibility curve for fish and coconuts. (ii) Locate the position where Robinson Crusoe both produces and consumes. (b) Now suppose that there is also a second individual, Man Friday (MF), so that there is the possibility of trade. For simplicity, suppose there is one good only (i.e., fish, F) and one input (LF). Suppose that RC owns the means to production i.e. he organizes the fishing), so that he can both produce and consume, but that MF consumes only. Using a diagrammatic analysis, explain clearly why: (i) Trade allows production and consumption decisions to be separated. (ii) There are gains from trade for both individuals. (50% of marks] (c) How might your analysis in part (b) change if there were two goods (i.e., F and C), and both Man Friday and Robinson Crusoe can produce and consume?

Answers

(a)   (i) The production possibility curve (PPC) shows the maximum combinations of fish (F) and coconuts (C) that Robinson Crusoe can produce given his time constraint.

Let's denote LF as the number of hours devoted to fishing and Lc as the number of hours devoted to collecting coconuts. Since Robinson Crusoe has 24 hours in a day and spends 6 hours on leisure (H), we have LF + Lc + H = 24.

Using the production functions, we can express LF and Lc in terms of F and C : LF = F^2   (1)

Lc = C^2   (2)

We can solve equations (1) and (2) simultaneously to find the relationship between F and C. Taking the square root of both sides of equations (1) and (2), we get:

F = √LF   (3)

C = √Lc   (4)

Substituting equations (3) and (4) into the time constraint equation, we have:

√LF + √Lc + 6 = 24

Simplifying the equation:

√LF + √Lc = 18   (5)

Equation (5) represents the production possibility curve for fish and coconuts. We can solve this equation to find different combinations of F and C that satisfy the time constraint.

(ii) The position where Robinson Crusoe both produces and consumes can be found by substituting the values of LF and Lc into equations (3) and (4). Since Robinson Crusoe consumes what he produces, the consumption point will lie on the PPC. The specific coordinates will depend on the values chosen for LF and Lc.

(b) (i) Trade allows production and consumption decisions to be separated because Robinson Crusoe, who owns the means of production, can specialize in fishing and produce more fish than he can consume. He can then trade the excess fish with Man Friday, who specializes in consuming and values fish. This separation of tasks allows each individual to focus on their comparative advantage and improves overall efficiency.

(ii) There are gains from trade for both individuals because they can exchange goods based on their relative valuations. If Robinson Crusoe can produce fish at a lower opportunity cost (in terms of coconuts given up) compared to Man Friday, they can agree on a mutually beneficial trade where both parties end up with more of the goods they desire. This specialization and trade allow them to reach a higher level of total utility than if they were to be self-sufficient.

(c) If there were two goods (fish and coconuts) and both Robinson Crusoe and Man Friday can produce and consume, the analysis would change as both individuals would have comparative advantages in producing different goods. The gains from trade would still arise based on comparative advantage and the ability to specialize in the production of goods with lower opportunity costs. The trade would enable them to exchange goods and achieve a more efficient allocation of resources, leading to higher overall utility for both individuals. The production possibility curve would now represent the different combinations of fish and coconuts that can be produced by each individual or jointly, considering their respective production capabilities.

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Question 4 Answer saved Marked out of 1.00 Flag question DUBLIN Company has taxable income of $100,000. DUBLIN Company's tax rate is 40% The entry to record their tax charge for the year will include which of the following Credit entries: Select one: O a. Tax Expense $100,000 O b. None of these answers c. Tax Payable $40,000 O d. Tax Payable $100,000 O e Tax Expense $40,000 Clear my choice Question 3 Answer saved Marked out of 1.00 Flag question CORK Company provide the following informaton for the year ended 31 December 2016 Taxable income = $300,000 Pre-Tax Income IFRS= $400,000 Tax Rate= 30% In the Statement of Financial Position, CORK Company will show which of the following under Non-Current Liabilities: Select one: O a. Tax Payable $120,000 b. Deferred Taxation Liabilty: $30,000 O c. Deferred Taxation Liability: $20,000 O d. None of these answers Oe. Tax Payable 90,000 Clear my.choice Question 2 Answer saved Marked out of 1.00 Flag question The Opening Balance on the Deferred Taxation Liability for CLARE Company for 2020 is $40,000 Credit CLARE Company provides the following information for the year-ended 31 December 2020: Taxable income = $700,000 Pre-Tax Income IFRS= $600,000 Tax Rate = 20% in the Statement of Financial Position at 31 December 2021, CLARE Company will show a Taxation Payable Liability of Select one: O a $120,000 O b. $140,000 O c. $90,000 d. None of these answers Oe. $180,000 Clear my choice

Answers

Question 4: The entry to record DUBLIN Company's tax charge for the year will include the following Credit entry:

c. Tax Payable $40,000

Question 3: In the Statement of Financial Position, CORK Company will show the following under Non-Current Liabilities:

b. Deferred Taxation Liability: $30,000

Question 2: In the Statement of Financial Position at 31 December 2021, CLARE Company will show a Taxation Payable Liability of:

c. $90,000

Question 4:

The entry to record DUBLIN Company's tax charge for the year will include the following Credit entry:

c. Tax Payable $40,000

In this scenario, DUBLIN Company has a taxable income of $100,000, and their tax rate is 40%. To record the tax charge for the year, the company needs to credit the Tax Payable account. The amount credited would be the tax liability based on the taxable income and tax rate. Therefore, the credit entry would be Tax Payable $40,000, representing the amount of tax the company owes.

Question 3:

In the Statement of Financial Position, CORK Company will show the following under Non-Current Liabilities:

b. Deferred Taxation Liability: $30,000

CORK Company provides the information that its taxable income is $300,000, the pre-tax income under IFRS is $400,000, and the tax rate is 30%. The Deferred Taxation Liability represents the tax that the company has not yet paid but is expected to pay in the future due to temporary differences between taxable income and pre-tax income. The calculation of the Deferred Taxation Liability involves multiplying the temporary difference by the tax rate. In this case, the temporary difference is $400,000 - $300,000 = $100,000, and the tax rate is 30%. Therefore, the Deferred Taxation Liability would be $100,000 * 30% = $30,000.

Question 2:

In the Statement of Financial Position at 31 December 2021, CLARE Company will show a Taxation Payable Liability of:

c. $90,000

CLARE Company provides the information that its taxable income is $700,000, the pre-tax income under IFRS is $600,000, and the tax rate is 20%. Taxation Payable Liability represents the actual tax amount the company owes based on its taxable income and tax rate. To calculate the Taxation Payable Liability, we multiply the taxable income by the tax rate. In this case, the taxable income is $700,000, and the tax rate is 20%. Thus, the Taxation Payable Liability would be $700,000 * 20% = $140,000. However, since the question asks for the liability at the end of 2021, we need to consider the opening balance of the Deferred Taxation Liability. The opening balance is given as $40,000. Therefore, the Taxation Payable Liability at the end of 2021 would be $140,000 - $40,000 = $90,000.

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An 8% semiannual coupon bond matures in 4 years. The bond has a
face value of $1,000 and a current yield of 8.2839%.
What is the bond's price? Do not round intermediate calculations.
Round your ans

Answers

Therefore, the bond's price is approximately $1,009.315.

To calculate the price of the bond, we can use the formula for the present value of a bond's cash flows. The formula is as follows:

Bond Price = (C / (1 + r)) + (C / (1 + r)²) + ... + (C / (1 + r)ⁿ) + (F / (1 + r)ⁿ)

Where:

C = Coupon payment

r = Yield to maturity (YTM) or discount rate

n = Number of periods or years

F = Face value of the bond

In this case, the bond is a semiannual coupon bond, so we need to adjust the discount rate and the number of periods accordingly.

Coupon rate = 8% (semiannual)

Face value (F) = $1,000

Maturity period = 4 years (semiannual)

Step 1: Calculate the semiannual coupon payment (C)

C = (Coupon rate / 2) * Face value

C = (0.08 / 2) * $1,000

C = $40

Step 2: Calculate the yield to maturity (r) as a decimal

The current yield is given as 8.2839%, which represents the annual yield.

Since the bond pays semiannual coupons, we need to divide the yield by 2 to get the semiannual yield.

r = (8.2839% / 2) / 100

r = 0.0414195

Step 3: Calculate the number of periods (n)

Since the bond is a semiannual bond with a maturity of 4 years, there will be 8 semiannual periods.

n = 8

Step 4: Calculate the bond price

Using the formula mentioned above, we can calculate the bond price as follows:

Bond Price = (C / (1 + r)) + (C / (1 + r)₂) + ... + (C / (1 + r)ⁿ) + (F / (1 + r)ⁿ)

Bond Price = ($40 / (1 + 0.0414195)) + ($40 / (1 + 0.0414195)₂) + ... + ($40 / (1 + 0.0414195)⁸) + ($1,000 / (1 + 0.0414195)⁸)

Performing the calculations for each term and summing them up, we can find the bond price.

Bond Price ≈ $1,009.315

Therefore, the bond's price is approximately $1,009.315.

The bond's price is determined by calculating the present value of its cash flows, which includes the coupon payments and the face value payment at maturity.
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Discuss the extent of Tenaga Nasional Berhad (TNB) can act as a
monopoly and monopsony firm in the electricity supply industry in
Malaysia.

Answers

The largest provider of power in Malaysia is Tenaga Nasional Berhad (TNB), which also commands a sizeable market share in the sector.

TNB is a monopoly with a strong position in the market that gives it the power to regulate both output and prices. In Peninsular Malaysia, it serves as the sole provider of electricity transmission and distribution services.

This gives TNB a sizable amount of market power, allowing it to control pricing and possibly limit competition. It is important to note that Malaysia has been working to increase competition and liberalise the electrical sector recently, which could reduce TNB's monopolistic position.

TNB is the sole purchaser of energy from Malaysia's independent power producers (IPPs) in terms of monopsony power. With numerous IPPs, it has long-term power purchase agreements that give it considerable control over the purchase of electricity.

As a monopsony, TNB can use its market dominance to bargain advantageous terms with IPPs, possibly resulting in cheaper energy generation costs. On the other hand, the existence of regulatory monitoring and the growing involvement of IPPs may ultimately reduce TNB's monopoly position.

It is important to note that government laws and regulations affect TNB's monopoly and monopsony power. In order to oversee TNB's operations and foster competition in the electrical sector, the Malaysian government is essential.

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If the central bank wants to contract aggregate demand, it can _____ the money supply, which would _____ the interest rate.
a. decrease, increase
b. increase, decrease
c. decrease, decrease
d. increase, increase

Answers

If the central bank wants to contract aggregate demand, it can decrease the money supply, which would increase the interest rate."

When the central bank wants to contract aggregate demand in an economy, it can employ various monetary policy tools. One of these tools is manipulating the money supply.

By decreasing the money supply, the central bank reduces the amount of money available in the economy, leading to a decrease in aggregate demand.

A decrease in the money supply affects the interest rate through the mechanism of supply and demand in the money market. When the money supply decreases, there is less money available for borrowing and lending. As a result, the demand for money exceeds the reduced supply, leading to an increase in the interest rate.

Higher interest rates discourage borrowing and investment by making it more expensive for businesses and individuals to access credit. This reduction in borrowing and investment activity contributes to contracting aggregate demand as it limits consumption and investment spending in the economy.

In summary, when the central bank wants to contract aggregate demand, it can decrease the money supply.

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Please answer questions with clear explanation. Thank you.
1. Equity Investments Ltd (EIL) is constituted under the
Companies Act 1993. EIL owns and operates the business of share
investments. EIL has

Answers

Based on the information provided, a shareholder of EIL cannot prevent the contract for the purchase of commercial premises from being signed unless there are specific provisions in the company's constitution or shareholder agreement that grant such veto power to individual shareholders.

Under the Companies Act 1993, a shareholder of Equity Investments Ltd (EIL) does not have the power to prevent the contract for the purchase of commercial premises from being signed. The Act does not grant individual shareholders the authority to veto or obstruct the decisions made by the board of directors, unless specific provisions in the constitution or shareholder agreement provide otherwise. Section 126 of the Companies Act 1993 outlines the powers and responsibilities of directors.

Furthermore, unless there are specific provisions in the constitution or shareholder agreement that require shareholder approval for certain transactions, the decision-making power lies with the directors. The Act recognizes the principle of majority rule, allowing the board to act in the best interests of the company as a whole, even if some shareholders may disagree with the decision. Therefore, based on the information provided, a shareholder of EIL cannot prevent the contract for the purchase of commercial premises.

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Complete Question : Equity Investments Ltd (EIL) is constituted under the Companies Act 1993. EIL owns and operates the business of share investments. EIL has a registered constitution which provides, amongst other things, that its business shall be restricted to share investments. The board of directors of EIL observes that commercial real estate prices are rising in value faster than shares, and decides to purchase some commercial premises from Commercial Real Estate Limited (CREL) as an investment. Mark Jones, a former director of EIL, happens to be the lawyer acting for CREL in the negotiations. EIL and CREL have completed the commercial negotiations, but have yet to sign the contract for the sale and purchase of the commercial property.

Required:

a) Referring to relevant sections of the Companies Act 1993 in your answer, advise a shareholder whether she can prevent the contract from being signed.

Chiles Corporation's target capital structure consists of 40% debt and 60% common equity. Assume that the firm has no retained earnings to fund it's capital budget in the coming year. Chiles expects to pay an annual dividend of $1.75 this year, which is expected to grow at a constant rate of 5%; and their current stock price is $21.88. Chiles can raise all the debt financing it needs at 11%. If Chiles issues new common stock, a 15% flotation cost will be incurred. The firm's tax rate is 25%. 1. What is the component cost of the equity raised by selling new common stock? 2. What is Chiles' cost of capital assuming they will have to issue new common stock?

Answers

Chiles Corporation's cost of capital, assuming they will have to issue new common stock, is approximately 9.63%.

The component cost of the equity raised by selling new common stock can be calculated using the dividend growth model, also known as the Gordon growth model. The formula for the cost of equity (Ke) is as follows:

Ke = (Dividend / Stock Price) + Growth Rate

Given:

Annual Dividend = $1.75

Stock Price = $21.88

Growth Rate = 5%

Ke = ($1.75 / $21.88) + 0.05

Ke ≈ 0.080 + 0.05

Ke ≈ 0.13 or 13%

Therefore, the component cost of the equity raised by selling new common stock is approximately 13%.

To calculate the cost of capital (WACC) for Chiles Corporation assuming they will have to issue new common stock, we need to consider the weights of debt and equity in their target capital structure.

Given:

Debt Weight = 40%

Equity Weight = 60%

Debt Cost (Kd) = 11%

Equity Cost (Ke) = 13%

Flotation Cost = 15%

Tax Rate = 25%

WACC = (Debt Weight * Debt Cost * (1 - Tax Rate)) + (Equity Weight * Equity Cost * (1 - Flotation Cost))

WACC = (0.40 * 0.11 * (1 - 0.25)) + (0.60 * 0.13 * (1 - 0.15))

WACC = (0.04 * 0.75) + (0.078 * 0.85)

WACC ≈ 0.03 + 0.0663

WACC ≈ 0.0963 or 9.63%

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From your view, what are the differences between Chinese dining and Western dining? Do you have any questions towards Chinese food and dining?

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The difference between Chinese dining and Western dining is on the basis of table setting, serving style, etiquette, beverages and desserts.

From my point of view, some differences between Chinese dining and Western dining are as follows:

1. Table Setting and Seating Arrangements

In Chinese dining, the table is round, and all the dishes are put on a rotating platform in the center so that everyone can share the dishes. Chopsticks and soup spoons are provided for each person, while rice bowls are not provided as Chinese people usually eat rice from their own plates. In Western dining, the table is usually rectangular, and everyone has their own plates and utensils. A formal place setting typically includes a knife, a fork, a spoon, and a glass.

2. Serving Style

Chinese dining is family-style, where everyone shares the dishes, while Western dining is usually served in courses, with appetizers, entrees, and desserts being served separately.

3. Etiquette

In Chinese dining, it is customary to finish all the dishes on the table as a sign of respect for the host. It is also considered impolite to use chopsticks to point at someone, and it is customary to refill the glasses of others before refilling your own. In Western dining, it is customary to use utensils to eat, to place the napkin on your lap, and to wait for everyone to be served before starting to eat.

4. Beverages

In Chinese dining, tea is usually served as the main beverage, while in Western dining, wine or other alcoholic beverages are often served.

5. Desserts

In Chinese dining, desserts are usually fresh fruits or sweet soups. In Western dining, desserts are usually pastries or cakes.

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What is organization? Which features of organizations do managers need to know about to build and use information systems successfully?

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An organization is an entity that is formed with the primary objective of carrying out a particular set of activities or functions to achieve specific goals or objectives. Organizations can be classified into various types based on their size, legal structure, sector, and function.

Organizations can be classified into various types based on their size, legal structure, sector, and function. However, regardless of the type of organization, there are common features that characterize it. Some of the features of organizations that managers need to know about to build and use information systems successfully include: 1. Structure: This refers to the organization's internal hierarchy, which outlines the different levels of authority and the chain of command. 2. Culture: This is the shared values, beliefs, and practices that characterize the organization's way of doing things. 3. Business processes: These are the activities or workflows that an organization uses to accomplish its goals.

In conclusion, managers need to understand these features of organizations to develop and use information systems successfully. They need to understand the organization's structure, culture, business processes, technology, people, and data to ensure that the information systems they develop align with the organization's goals and objectives.

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Zozan Corp has 47,500 shares of stock outstanding with a par value of $1.00 per share and a market price of $12 a share. The firm just announced a 8-for-7 stock split. What will the new market capitalization be after the split?

Answers

To calculate the new market capitalization after the stock split, we need to consider the current market price, the number of shares outstanding, and the stock split ratio.

Calculate the pre-split market capitalization:

Pre-split market capitalization = Current market price * Number of shares outstanding

Pre-split market capitalization = $12 * 47,500 = $570,000

Calculate the new number of shares after the stock split:

New number of shares = Number of shares outstanding * (Split ratio numerator / Split ratio denominator)

New number of shares = 47,500 * (8 / 7) = 54,285.71 (rounded to 54,286 shares)

Calculate the new market capitalization after the stock split:

New market capitalization = Current market price * New number of shares

New market capitalization = $12 * 54,286 = $651,432

Therefore, the new market capitalization after the 8-for-7 stock split would be $651,432.

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What is the market research of the performance of
Vancouver-based public company SSR Mining?

Answers

SSR Mining's market research shows that the company is well-positioned to benefit from the continued growth of the gold mining industry. The company has a strong portfolio of assets, a experienced management team, and a strong financial position.

What is market research?

Market research is the process of collecting, analyzing, and interpreting information about a target market or audience to understand its characteristics, preferences, behaviors, and needs.

SSR Mining Inc. is a Canadian intermediate gold mining company with four producing assets located in the United States, Turkey, Canada, and Argentina, combined with a global pipeline of development and exploration assets in the United States, Turkey, Mexico, Peru, and Canada.

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You estimate the model yi= β1+β2xi+ui.

You find that β2=2.12 the standard error is se=1.71 You have 27 observation.

β2=2.12

se=1.71

27 observation (n)(27)

Compute the t-value.
Can you reject the Null Hypothesis H0: β2=0 in favor of Ha: β2≠0 at the 1% level?
Can you reject the Null Hypothesis H0: β2=0 in favor of Ha: β2>0 at the 5% level?please give me full and step by step answer with full explanation do not copy from chegg old answer

Answers

There is not enough evidence to support the claim that β2 is significantly greater than zero at the 5% level.

To compute the t-value, you can use the formula:

t = (β2 - 0) / se

Given the values:

β2 = 2.12

se = 1.71

n = 27

t = (2.12 - 0) / 1.71

t = 1.24

To test the Null Hypothesis H0: β2 = 0 against the alternative hypothesis Ha: β2 ≠ 0 at the 1% level, you need to compare the t-value to the critical t-value. Since you have 27 observations, the degrees of freedom for the t-distribution would be 27 - 2 = 25.

Looking up the critical t-value in a t-table or using a statistical software, you can find that the critical t-value for a two-tailed test at the 1% level with 25 degrees of freedom is approximately 2.796.

Since the calculated t-value of 1.24 is smaller than the critical t-value of 2.796, you cannot reject the Null Hypothesis H0: β2 = 0 at the 1% level. There is not enough evidence to support the claim that β2 is significantly different from zero.

To test the Null Hypothesis H0: β2 = 0 against the alternative hypothesis Ha: β2 > 0 at the 5% level, you need to compare the t-value to the critical t-value. The critical t-value for a one-tailed test at the 5% level with 25 degrees of freedom is approximately 1.708.

Since the calculated t-value of 1.24 is smaller than the critical t-value of 1.708, you cannot reject the Null Hypothesis H0: β2 = 0 at the 5% level in favor of the alternative hypothesis Ha: β2 > 0. There is not enough evidence to support the claim that β2 is significantly greater than zero at the 5% level.

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Two firms decide to form a cartel and collude in a way that maximize total profits. Each firm has zero production costs and each firm is given a positive output quota by the cartel. Which of the following statement is FALSE? a. Total output would be less than if the firms behaved as Cournot firms. b. Each firm would want to produce more than its quota if it knew that the other would comply with its quota. C. The absolute value of the price elasticity of demand is greater than 1 at the total output level chosen. d. Total output would be less than if the firms behaved as Stackelberg firms.

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Two firms decide to form long run equilibrium way that maximize total profits. Each firm has zero production costs and each firm is given a positive output quota by the cartel. The correct answer is C. The absolute value of the price elasticity of demand is greater than 1 at the total output level chosen.

A cartel is an organization of producers established to control the production, distribution, and pricing of commodities to maximize profits. Two firms have decided to form a cartel and collude in a way that maximizes total profits.

Each firm has zero production costs, and each firm is given a positive output quota by the cartel. The statement that is FALSE is the following: Total output would be less than if the firms behaved as Cournot firms.The correct answer is letter "a."Total output would be greater than if the firms behaved as Cournot firms. The correct answer is c. The absolute value of the price elasticity of demand is greater than 1 at the total output level chosen.

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on a bank reconciliation, deposits in transit are a. added to the bank balance. b. deducted from the bank balance. c. added to the book balance. d. deducted from the book balance.

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On a bank reconciliation, deposits in transit are added to the book balance. In accounting, bank reconciliation refers to matching the balances in an entity's accounting records to the corresponding information on a bank statement.

The purpose of a bank reconciliation is to ensure that both the bank statement and the accounting records of the organization agree with each other. A deposit in transit is a deposit that has been recorded in the accounting records of an organization but has not yet been reflected on the bank statement. This happens when an organization makes a deposit shortly before the bank statement is produced.

As a result, the bank has not had enough time to record the deposit in its records.A deposit in transit must be added to the book balance because it is an item that increases the balance of the organization's accounting records but is not yet included in the bank statement.

Therefore, adding it to the book balance will allow for the bank balance to be properly adjusted when compared to the accounting records. In conclusion, deposits in transit are added to the book balance on a bank reconciliation.

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QUESTION 9 of 10: You have laid out your pricing plan at $185 for a bounce party for 8 kids; your competitor is at $155. A potential investor
says she thinks you can get a 30% premium with your new facility. Did she just criticize or endorse your pricing?
a) Criticize
O b) Endorse
Submit
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Answers

Answer: Criticize

Explanation:

She just criticize your pricing,  saying that we ought to charge $201.50 rather than $185, hence option A is correct.

What is the criticism of pricing?

In this case, our rival charges $155 for a party, and the investor thinks that because of our improved facilities, we will be able to charge 30% more.

= 155 x 130

= 201.50 $  

According to the efficient market theory, all stocks trading on the stock market are already priced in, thus you don't need to actively research the stock because any positive or negative information that might be available is already reflected in the stock.

Therefore, She criticizes our price plan, saying that we ought to charge $201.50 rather than $185. She believes that our pricing policy is harming our bottom line.

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Δln Mt = 0.0084 +0.7340ΔInGDPt -0.0811 -1 t=(2.0496) (2.0636) (-0.8537) R²=0.1066 d=1.6697 What does this regression tell you? Does this help you decide if regression 1 is spurious or not?

Answers

This regression tells us the relationship between Δln Mt (dependent variable) and ΔInGDPt (independent variable).

The coefficient of ΔInGDPt is 0.7340. This implies that a 1% increase in GDP will result in an increase of 0.7340% in Mt. Therefore, ΔInGDPt has a positive effect on Δln Mt. On the other hand, the constant is 0.0084. This means that when ΔInGDPt is equal to zero, then Δln Mt is equal to 0.0084. Therefore, when GDP is not changing, there is still some other factor affecting Mt.

Finally, the coefficient of the time variable (-1t) is -0.0811. This suggests that over time, the value of Mt is decreasing. All of the t-values are greater than 2, indicating that the coefficients are statistically significant at a 5% significance level. R² is 0.1066, meaning that 10.66% of the variance in Δln Mt is explained by ΔInGDPt and time.

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When shareholders do not approve of a proposed merger, they may be able to exercise their rights of a. consolidation. b. preemption. C. refusal. d. appraisal.

Answers

When shareholders do not approve of a proposed merger, they may be able to exercise their rights of appraisal. So, the correct option is D) appraisal.

Appraisal rights - Appraisal rights are a shareholder's right to have the fair value of their shares decided by a judicial authority or an appraiser, rather than accepting a price set by the acquirer or controller of the corporation.

The appraisal right is a right that enables shareholders to sue the company's acquirer for fair value of their shares. It is generally designed to protect the interests of minority shareholders, who might be opposed to the acquisition and can block it using their voting rights.

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Which of the following claims concerning the importance of effects that explain the slope of a small, open Asian economy’s aggregate demand curve is correct?
a.The exchange-rate effect is relatively longer because exports and imports are a larger part of real GDP.
b.The interest-rate effect is relatively small because investment spending is not very responsive to interest rate changes.
c.The wealth effect is relatively large because money holdings are a significant portion of most households’ wealth.
d.None of the above is correct.

Answers

The following claims concerning the importance of effects that explain the slope of a small, open Asian economy’s aggregate demand curve correct is A.The exchange-rate effect is relatively longer because exports and imports are a larger part of real GDP.

A small, open Asian economy's aggregate demand curve is affected by three effects: the wealth effect, the exchange rate effect, and the interest rate effect. The slope of the aggregate demand curve is determined by these effects. Given that the economy is open, it can be influenced by global market events. The exchange rate effect is the most significant driver of the slope of the aggregate demand curve in a small, open Asian economy. The exchange rate effect is a more extended term since exports and imports make up a more significant portion of real GDP.

The interest rate effect and the wealth effect are not critical determinants in the slope of the aggregate demand curve in a small, open Asian economy. The interest rate effect is relatively weak since investment spending is not very responsive to changes in interest rates, and the wealth effect is relatively insignificant because money holdings are not a significant part of most households' wealth. So therefore option A is correct for a small, open Asian economy as the exchange rate effect is a vital determinant of their aggregate demand curve.

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which type of analysis assists with defining how to optimize performance based on a potential constraint

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The type of analysis that assists with defining how to optimize performance based on a potential constraint is known as a constraint analysis.

It is a type of analytical method that helps in optimizing performance by identifying the constraints that limit the performance of an organization and determining how they can be removed.

The process of constraint analysis is often used in manufacturing, finance, and other industries to identify and remove bottlenecks, which are the constraints that limit the performance of an organization. Bottlenecks can occur in a variety of areas, such as production, inventory management, logistics, or sales.

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You are considering the purchase of a property today for $300,000. You plan to finance it with an 80 percent loan. The appreciation rate on the property value is expected to be 4 percent annually for the next three years. a. Approximate the expected annual average rate of appreciation on home equity for the next three years. b. What if you now think that a $300,000 purchase price may be somewhat high and that if you pay this price, the expected appreciation rates in your house price will be as follows: year 1=0%,1=0%, year 2=2%,2=2%, and year 3=3%.3=3%. How will your answer to part (a) change? Expectations: a. Put together a table with the value of the house year by year. The value of the house in each year should be as a formula considering the previous price and the appreciation. b. Compute the equity in the house year by year as a formula. c. Compute the appreciation of the equity year by year as a formula. d. Compute the average appreciation rate (simple average) for the equity with the formula or function in Excel. Compute the average compounding rate of appreciation (also called geometric average or simple the RATE in time value of money) for the equity with the formula or function in Excel.

Answers

a. Expected annual average rate of appreciation on home equity for the next three years is 3.2%

Explanation: Given, the purchase price of the property today = $300,000 The amount financed using the loan = 80% of $300,000 = $240,000 Expected appreciation rate = 4% annually for the next three years.

The value of the property after 3 years = $300,000(1 + 0.04)^3 = $300,000 × 1.124864 = $337,459.20

Total equity = Value of the property − Loan balance= $337,459.20 − $240,000 = $97,459.20

Average annual rate of appreciation on home equity = Total equity / Number of years= $97,459.20 / 3 = $32,486.40 ≈ 3.2%

b. If the expected appreciation rates in the house price will be year 1=0%,1=0%, year 2=2%,2=2%, and year 3=3%.3=3%, then the calculation will change as follows: Year 0: Purchase price = $300,000Year

1: Purchase price = $300,000(1 + 0) = $300,000 Year

2: Purchase price = $300,000(1 + 0) = $300,000 Year

3: Purchase price = $300,000(1 + 0.02)(1 + 0.03) = $300,000(1.05) = $315,000 Equity year by year calculation: Year 0: Equity = $60,000

Year 1: Equity = $60,000Year 2: Equity = $60,000Year 3: Equity = $75,000

Equity appreciation year by year calculation: Year 1: Equity appreciation = $0Year 2: Equity appreciation = $3,000Year 3: Equity appreciation = $4,500Average appreciation rate (simple average)

calculation: Average appreciation rate = ($0 + $3,000 + $4,500) / 3= $2,500 ≈ 2.5%

Average compounding rate of appreciation (RATE) calculation: Average compounding rate of appreciation (RATE) = (1 + 0%) × (1 + 2%) × (1 + 3%)^(1 / 3) − 1= 5.08%

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Kiwi Supplies Limited is a distributor of domestic garden appliances throughout New Zealand. It is registered under the Companies Act 1993 with contributed equity of 6,000,000 ordinary shares. The fol

Answers

Kiwi Supplies Limited is a distributor of domestic garden appliances throughout New Zealand and it is registered under the Companies Act 1993 with contributed equity of 6,000,000 ordinary shares.

What is the Companies Act 1993?

The Companies Act 1993 is an Act of Parliament that establishes the rules and regulations governing companies in New Zealand. It regulates the creation, operation, and liquidation of companies. The act aims to ensure that companies are transparent and accountable to their shareholders. It also safeguards the interests of employees and creditors.The Companies Act 1993 is designed to ensure that the establishment and management of companies in New Zealand follow a clear and consistent framework. It is essential for any business owner to understand the Companies Act 1993 if they intend to register and operate a company in New Zealand.

What is contributed equity?

Contributed equity is the total value of shares issued by a company that has been fully paid for by shareholders. Contributed equity is also known as share capital. Shareholders are individuals or entities who invest in a company by purchasing shares in the business. By investing in a company, shareholders become part owners and are entitled to a share of the profits generated by the business. In the event that a company is liquidated, shareholders are also entitled to a share of the proceeds from the sale of the company's assets.

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