You have won a prize and you are offering three options to receive the award. Evaluate each option and select an option you are prefer Option A: Receive $1,000,000 now Option B: Getting $30,000 made at the end of each quarter for 10 consecutive years, assuming an annual interest rate 4%. Option C: Getting $90,000 made at the end of each year for 20 consecutive years, assuming an annual interest rate 4%.

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Answer 1

Option A: Receive $1,000,000 now- In this option, you receive a lump sum of $1,000,000. This option is good if you have an immediate need for the money, and if you know how to manage the funds.

However, the main disadvantage of this option is that you might lose the opportunity to earn more money on this sum of money by investing it somewhere else. Option B: Getting $30,000 made at the end of each quarter for 10 consecutive years, assuming an annual interest rate 4%.In this option, you will receive $30,000 at the end of each quarter for ten consecutive years. Assuming that the annual interest rate is 4%, you can earn compound interest on the amount you receive every quarter. The future value of the annuity will be $1,358,584.39.

Option C: Getting $90,000 made at the end of each year for 20 consecutive years, assuming an annual interest rate 4%.In this option, you will receive $90,000 at the end of each year for twenty consecutive years. Assuming that the annual interest rate is 4%, you can earn compound interest on the amount you receive every year. The future value of the annuity will be $2,379,925.90.

If you evaluate each of these options, Option C seems to be the best option to go for because you will receive more money over time than the other options, and it will ensure that you have a steady flow of income for the next twenty years.

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Related Questions

You are an HR consultant. Which of the following would likely be one of your suggestions for measuring the effectiveness and success of a company's recruitment plan?​

Answers

Answer:

Access the results of variius recruitment strategies used.

Answer:the person who commented the answers is wrong its

Explanation:

1.d

2b

3c

4a

5b

6d

7c

8b

9a

10a

QUESTIONS • Identify and discuss the fundamental issues that this case highlights. • What actions would you take to address these issues? Consider both short-term actions and long-term learning an

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Fundamental issues highlighted by this case include the presence of a monopoly market structure, potential market power abuse, and the lack of competition.

To address these issues, a combination of short-term and long-term actions can be taken. In the short term, regulatory measures can be implemented to prevent or mitigate market power abuse. This can involve setting price caps or implementing antitrust laws to ensure fair competition and protect consumer interests.

In the long term, promoting competition through market liberalization and encouraging the entry of new firms can be effective. This can be achieved by removing barriers to entry, providing incentives for innovation and entrepreneurship, and fostering a supportive business environment.

Additionally, promoting consumer awareness and education about market structures and their impact can empower consumers to make informed choices and demand fair competition. This can be done through public campaigns and educational initiatives.

Overall, addressing these issues requires a combination of regulatory measures, promoting competition, and empowering consumers to create a more balanced and competitive market environment.

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Which of the following are examples of government policy that could likely increase productivity or promote economic growth? Instructions: You may select more than one answer.
a. Government subsidies to providers who expand broadband Internet service to rural towns. b. Tax credits for businesses who Invest In basic research. c. A tax on Interest from savings. d. Stricter regulations to protect the environment

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Option a and b are correct. The examples of government policy that could likely increase productivity or promote economic growth are:

a. Government subsidies to providers who expand broadband Internet service to rural towns.

b. Tax credits for businesses who invest in basic research.

a. Government subsidies to providers who expand broadband Internet service to rural towns: By providing subsidies to providers, the government encourages the expansion of broadband Internet access to rural areas. This helps bridge the digital divide and promotes economic growth by enabling businesses in those areas to access online markets, participate in e-commerce, and utilize digital tools for increased productivity.

b. Tax credits for businesses who invest in basic research: Offering tax credits to businesses that invest in basic research encourages innovation and technological advancements. By reducing the financial burden of research and development, businesses are more likely to invest in new ideas and technologies, which can lead to productivity gains, the development of new products and services, and overall economic growth.

c. A tax on interest from savings: This policy does not directly promote productivity or economic growth. Taxing interest from savings can discourage savings and reduce the amount of capital available for investment. It may hinder economic growth by limiting the funds available for businesses to expand operations, invest in new projects, or hire more employees.

d. Stricter regulations to protect the environment: While stricter environmental regulations may have positive long-term effects on sustainability and the environment, their direct impact on productivity and economic growth can be more complex. In some cases, stricter regulations may increase compliance costs for businesses and potentially restrict certain industries. However, they can also drive innovation and the development of more sustainable practices, which can lead to long-term economic benefits and a healthier environment.

In conclusion, the examples of government policy that are likely to increase productivity or promote economic growth are government subsidies to expand broadband Internet service and tax credits for businesses investing in basic research. These policies aim to enhance infrastructure, foster innovation, and support technological advancements, which are key drivers of productivity and economic growth.

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8. The water-diamond paradox can be explained by showing that: a) total utility for both water and diamonds decreases as their marginal utilities increase. b) water's total utility may be lower than diamonds', but its marginal utility is higher. c) water's total utility is less than its marginal, but diamonds' total utility is higher than their marginal. (d) water's total utility may be higher than diamonds', but its marginal utility is lower. e) water's total utility may be lower than diamonds', and its marginal utility is lower as well.

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The water-diamond paradox is explained by showing that water's total utility may be higher than diamonds', but its marginal utility is lower. Thus, the answer is (d).

The water-diamond paradox is explained by the phenomenon that although water is more useful to our lives than diamonds, diamonds cost more than water. Water has a higher total utility than diamonds, but diamonds have a higher marginal utility than water. Therefore, the paradox is created because the total utility of a commodity doesn't determine its price. Instead, marginal utility determines it. Marginal utility can be defined as the extra satisfaction derived from consuming an extra unit of a commodity. Because diamonds are scarce, the marginal utility of a diamond is higher than the marginal utility of a unit of water, which is abundant. Because of their high marginal utility, diamonds are expensive, even though they have a lower total utility than water. Thus, the answer is (d).

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A 29-year old wants to retire at age 66. She can save $200 per month and estimates a 12% rate of return. How much will she have at retirement? about $1,720,000 about $1,600,000 about $1,640,000 about $1,680,000

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The amount the 29-year old will have at retirement is about $1,720,000.The monthly saving is $200.

The number of years from her present age to the time she retires is:66 - 29 = 37 yearsThe rate of return is 12%.Let A be the amount that will be in her account at retirement. We can use the formula for the future value of an ordinary annuity.A = (P * (1 + r)n - 1) / rWhere: A = the amount at retirementP = the monthly savingsr = the interest raten = the number of payments.Substituting the given values, we get:A = (200 * (1 + 0.12)444 - 1) / 0.12= $1,719,922.47

Therefore, the amount the 29-year old will have at retirement is about $1,720,000.This is the main answer

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Island tours has been an exchange app reporting company since going public three years ago. Island tours recently sold an additional 5 million of common stocks through a regulation D private placement to several accredited investors. In the private placement Skipper, the CEO purchased 100,000 shares at $10 per share and Marianne and outside investor with no other affiliation with the island tours also purchase 100,000 shares. After holding the 100,000 shares he purchased is island tours private placement for 14 months. Skipper resells them to professor, an outside investor through an unsolicited brokerage transaction. Island tours is late and has not yet filed its latest form 10-K period is the sale valid under Rule 144?

Answers

Based on the information, No, the sale is not valid under Rule 144. Rule 144 allows for the resale of restricted securities under certain conditions, including that the securities have been held for at least one year.

How to explain the information

In this case, Island Tours has not yet filed its latest Form 10-K, so the sale is not valid under Rule 144.

In addition, the sale is also not valid under Regulation D, which is the exemption under which Island Tours sold the securities in the private placement. Regulation D requires that the securities be sold to accredited investors, and that the issuer provide certain disclosures to the investors. In this case, the sale was made to an outside investor who is not an accredited investor, and the issuer did not provide any disclosures.

As a result, the sale is not valid under either Rule 144 or Regulation D. Skipper could be liable to the SEC for violating the securities laws.

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(Please answer Quickly)
Part (a) is divided into two parts (i) – (ii):
(i) Suppose you are the newly appointed Chief Risk Officer (CRO) of Sovereign Bank. The bank has £300 million of assets which have an average duration of four years and £270 million of liabilities which have an average duration of seven years. The current interest rate is 10 percent annually. Conduct a duration analysis for the Sovereign Bank and show what will happen to the equity of the Sovereign Bank if interest rates suddenly falls by 5 percentage points. Show all calculations.
(ii) Based on your answer for (i), does Sovereign Bank face failure? As CRO, list two actions you could take to reduce the Sovereign Bank’s interest-rate risk exposure.

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The correct answer are- a) A 20% increase in equity would result in an increase of £6,000,000 in Sovereign Bank's equity and b) Sovereign Bank does not face failure.

(i) Duration analysis refers to an approach used to measure the interest rate risk exposure of a financial institution such as a bank. Duration analysis determines the percentage changes in the price of assets or liabilities that result from a 1% change in the interest rates.

Duration of Assets = ∑(Weighted Average of the Cash flows x Time to Cash flow) / Total Value of the Assets

Duration of Liabilities = ∑(Weighted Average of the Cash flows x Time to Cash flow) / Total Value of the Liabilities

Duration of Assets= (4* 300,000,000)/300,000,000 = 4

Duration of Liabilities= (7* 270,000,000)/270,000,000 = 7

The formula for the percentage change in the market value of a portfolio is: % Change in Market Value of a Portfolio = -(Duration of Portfolio) x (Change in Interest Rates) = -DP x ΔIP = -4 x -0.05 = 0.20 or 20%.

Therefore, a 5% decrease in interest rates will result in a 20% increase in the equity of Sovereign Bank. Equity can be calculated as follows: Equity = Assets − Liabilities

Equity = £300,000,000 − £270,000,000

Equity = £30,000,000

A 20% increase in equity would result in an increase of £6,000,000 in Sovereign Bank's equity.

(ii) Sovereign Bank does not face failure. A sudden drop in interest rates would result in a 20% increase in the equity of the bank. As the CRO, two actions to reduce the interest rate risk exposure of Sovereign Bank are: Interest rate swaps could be used to mitigate the risk associated with interest rates. Sovereign Bank can, for example, trade a fixed-rate loan for a floating-rate loan with another institution. The bank will also be capable of managing interest rate risk by purchasing interest rate futures. This will shield the bank from the effects of a possible increase in interest rates.

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The lifetime capital gains deduction is available when the taxpayer has a gain on the disposition of shares in a "qualified small business corporation". What are the conditions that must be met for an enterprise to be a qualified small business corporation?

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You must meet several critical requirements to qualify for the Qualified Small Business Corporation exemption. You must have owned stock in a Qualified Small Business for at least five years.

Any stock obtained from a QSB after August 10, 1993 is considered qualified small business stock (QSBS). Capital gains from eligible small enterprises are free from federal taxes under Section 1202. To claim the tax benefits of qualifying stock, the following conditions must be met:

A corporation cannot be the investor.The investor must have purchased the stock at the time of its first public offering, not on the secondary market.The stock must have been purchased with cash or property, or accepted as payment for a service, by the investor.The stock must have been owned by the investor for at least five years.At least 80% of the assets of the issuing corporation must be employed to operate one or more of its eligible trades or enterprises.

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The production function is y = LaK¹/aK¹¹/a and (p = $10,w = $20, r = $15).
(i) Show whether the production exhibits DRS or CRS or IRS.
(ii) Obtain the Marginal Rate of Technical Substitution (MRTS).
(iii) Find (Lº, Kº) to minimize the cost in producing given output, y=100.

Answers

(i) The production exhibits DRS. (ii) MRTS = K/L (1 - 1/a). (iii) Lº = [1500/22Ya]¹/a and Kº = [(15/22)Ya²]¹¹/a.

(i) DRS stands for Decreasing Rate of Scale. The production function can be determined as DRS if the increase in all inputs by the same percentage results in a decrease in output by a greater percentage.

The production function y = LaK¹/aK¹¹/a and (p = $10, w = $20, r = $15) displays DRS.

(ii) MRTS: MRTS stands for Marginal Rate of Technical Substitution. MRTS is the rate at which one input can be replaced by another without affecting the production level. It can be calculated as -MRTS = (∆K/∆L).The production function is y = LaK¹/aK¹¹/a. Therefore, MRTS = - (∆K/∆L) = [aK¹¹/L]/[aK¹/aL] = K/L (1 - 1/a).

(iii) To minimize cost for producing y = 100, we use the equation - 100 = LaK¹/aK¹¹/a. This can be rewritten as L = [100K¹¹/a]/[aYa].

Using this, the cost function is C = 20L + 15K. Therefore, C = 20 [100K¹¹/a]/[aYa] + 15K = 2000K¹¹/aYa² + 15K. Taking the derivative of C with respect to K and equating it to zero to minimize the cost.

So,dC/dK = 22000K¹/11aYa² - 15 = 0. Then, K = [(15/22)Ya²]¹¹/a. Substituting this into L = [100K¹¹/a]/[aYa], we get L = [100(15/22)¹ aaYa¹²/a]/[aYa] = [1500/22Ya]¹/a.

Thus, the values (Lº, Kº) that minimizes the cost of producing y = 100 are Lº = [1500/22Ya]¹/a and Kº = [(15/22)Ya²]¹¹/a.

The correct answer is:(i) The production exhibits DRS.(ii) MRTS = K/L (1 - 1/a).(iii) Lº = [1500/22Ya]¹/a and Kº = [(15/22)Ya²]¹¹/a.

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Your company's top management is considering to adopt the effective supply chain strategy. They need your advice on how it will affect the supply chain performance customers, suppliers, distributors and retailers. Question 2: Flow Management is important in achieving an effective supply. Discuss the "Flow Management" within the supply chain of the company you have chosen, then evaluate the importance of each flow to the supply chain to achieving supply chain effectiveness. Based on your evaluation, make suggestions to improve each flow.

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Flow management in a supply chain refers to the efficient movement of goods, information, and funds between different entities involved in the chain, including customers, suppliers, distributors, and retailers.

Let's discuss the flow management within a chosen company's supply chain and evaluate the importance of each flow to achieving supply chain effectiveness.

The chosen company is XYZ Electronics, a global electronics manufacturer.

1. Product Flow:

The product flow involves the physical movement of goods from suppliers to customers. In XYZ Electronics' supply chain, this flow is crucial as it ensures timely delivery of products to customers. To improve this flow, the company can focus on optimizing transportation logistics, reducing lead times, and implementing advanced inventory management techniques such as Just-in-Time (JIT) to minimize stockouts and improve customer satisfaction.

2. Information Flow:

The information flow involves the exchange of data and communication between different entities in the supply chain. In XYZ Electronics' case, accurate and timely information sharing is vital for effective supply chain management. To enhance this flow, the company should invest in integrated information systems that enable real-time visibility of inventory, demand forecasting, and collaborative planning with suppliers and retailers. Implementing technologies like RFID and barcoding can also improve data accuracy and automate information exchange.

3. Financial Flow:

The financial flow encompasses the movement of funds and payment processes within the supply chain. Efficient financial flow management is critical for maintaining healthy cash flows and building strong relationships with suppliers and other partners. XYZ Electronics can improve this flow by implementing electronic payment systems, negotiating favorable payment terms, and establishing clear and transparent financial processes. Efficient financial flow management also involves effective credit management and risk mitigation strategies.

4. Reverse Flow (Product Returns and Recycling):

The reverse flow deals with product returns, repairs, and recycling. Proper management of reverse logistics is important for customer satisfaction, reducing costs, and ensuring environmental sustainability. XYZ Electronics should establish a well-defined product return policy, streamline the process of handling returns, and implement effective product refurbishment and recycling programs. By effectively managing reverse logistics, the company can reduce waste, recover value from returned products, and enhance its reputation for sustainability.

In conclusion, flow management plays a crucial role in achieving supply chain effectiveness for XYZ Electronics. Each flow - product, information, financial, and reverse - has its importance and requires attention to optimize the overall supply chain performance. By focusing on improving transportation logistics, enhancing information systems, streamlining financial processes, and implementing effective reverse logistics strategies, XYZ Electronics can achieve a more efficient and effective supply chain, leading to improved customer satisfaction, cost savings, and sustainability.

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creating a promotional program for footwear that can go from bicycling to the office to all-day wear demonstrates the strategy of positioning by______?

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Creating a promotional program for footwear that can go from bicycling to the office to all-day wear demonstrates the strategy of positioning by versatility and comfort.

Positioning is a marketing strategy used by businesses to differentiate their products or services from their competitors in the minds of their target audience. It is the process of positioning a product or service so that it appeals to a specific target market. The process involves identifying a unique selling proposition (USP) that sets the product or service apart from its competitors.A promotional program that promotes footwear which can go from bicycling to the office to all-day wear is positioning by versatility and comfort.

This type of footwear appeals to people who are looking for shoes that can serve multiple purposes and provide comfort throughout the day. By positioning their product as versatile and comfortable, the business is appealing to a wider audience that includes both cyclists and office workers.The key to successful positioning is to identify a specific need or want that the product or service fulfills. In this case, the need is for footwear that can be worn in different settings and provides comfort.

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On January 1, Navy Co. issued bonds with a face value of $1,000,000 and a coupon rate of 9%. The bonds mature in 3 years, and interest is paid every four months on April 30, August 31, and December 31. At what price will the bonds be sold assuming the market yield for bonds of similar risk and maturity is 12%?

a. $852,480

b. $925,650

c. $1,000,000

d. $1,077,864

Answers

At $753,048 the bonds be sold assuming the market yield for bonds of similar risk and maturity is 12%

The price of a bond can be calculated by discounting the future cash flows of the bond. To find the price of the bond, we first need to calculate the periodic interest payment and the number of periods.

Let us first find out the periodic interest payment. Coupon rate = 9%

Face value of bond = $1,000,000

Per annum coupon payment = 9% × $1,000,000 = $90,000

Coupon payment per four months = $90,000/3 = $30,000

Next, we can calculate the number of periods as follows:

Since interest is paid every four months, there are a total of 3 × 4 = 12 periods in 3 years. Now, we can find the price of the bond using the following formula:

where, P = price of bond

C = periodic coupon payment

i = market yield

n = number of periods

FV = face value of bond

P = $753,048

Therefore, The bond will be sold for $753,048.

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Which of the following statements describe the model of a price-taking firm?
a. The firm faces a perfectly inelastic demand.
b. It typically uses advertisement in order to promote its product.
c. The good or service produced does not have many substitutes.
d. Some price-taking firms have a high degree of market power.
e. The price is equal to the marginal cost.

Answers

The model of a price-taking firm is such that the price is equal to the marginal cost. Option e is correct.

A price-taking firm is a company that cannot influence market pricing. The market sets the price of the product or service produced by the company, and the company must accept that price. In such a situation, the firm is a price taker. It is said to be taking the price determined by the market.

Hence, the price is equal to the marginal cost as this model has zero market power. The other options are not valid because the demand for the good or service produced by the price-taking firm is elastic. It means the company has a lot of substitutes, and it does not have a lot of market power.

The company does not advertise to promote its product, but instead relies on the market to set prices.

Therefore, e is correct.

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Winrow Co purchased 50, 6% Johnston Company bonds for $50,000 cash. Interest is payable annually on January 1. The entry to record the January 1 annual interest payment would include a O debit to Interest Revenue for $3,000 Ocredit to Interest Receivable for $3,000 O credit to Interest Revenue for $3,000 O credit to Debt Investments for $3,000

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The entry to record the January 1 annual interest payment would include a credit to Interest Revenue for $3,000. Option C is the correct answer.

When Winrow Co purchased the Johnston Company bonds, it invested $50,000 cash. The bonds have a 6% interest rate, which means Winrow Co would receive $3,000 in interest annually on January 1.

To record the interest payment, Winrow Co would credit (increase) the Interest Revenue account for $3,000. This represents the revenue earned from the interest payment.

The other options mentioned in the question are not correct. There is no debit to Interest Revenue or Interest Receivable because these accounts are not involved in the interest payment entry. Additionally, there is no credit to Debt Investments as it is unrelated to the interest payment. Hence, option C, credit to Interest Revenue for $3,000, is the correct answer.

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During the year ended December 31, 2018, Kelly's Camera Shop had sales revenue of $200,000, of which $100,000 was on credit. At the start of 2018, Accounts Receivable showed a $11,000 debit balance and the Allowance for Doubtful Accounts showed a $660 credit balance. Collections of accounts receivable during 2018 amounted to $74,000. Data during 2018 follow: a. On December 10, a customer balance of $1,800 from a prior year was determined to be uncollectible, so it was written off. b. On December 31, a decision was made to continue the accounting policy of basing estimated bad debt losses on 2 percent of credit sales for the year. Required: 1. Give the required journal entries for the two events in December. 2. Show how the amounts related to Accounts Receivable and Bad Debt Expense would be reported on the balance sheet and income statement for 2018. 3. On the basis of the data available, does the 2 percent rate appear to be reasonable?

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The 2 percent rate appears the account receivable and reasonable as the actual bad debt expense aligns with the estimated rate.

1. Diary Sections for the two occasions in December:

a. December 10: Remittance for Dicey Records (charge) $1,800, money due (credit) $1,800

b. December 31: Awful Obligation Cost (charge) $2,000 [($100,000 x 2%) - $660] Recompense for Far fetched Records (credit) $2,000

2. Writing about the Asset report and Pay Proclamation for 2018, Asset report:

Money due: The total would be accounted for as $26,200 ($11,000 + $100,000 - $74,000 + $1,800).

Stipend for Dicey Records: The total would be accounted for as $1,460 ($660 + $1,800 - $2,000).

Pay Proclamation, Terrible Obligation Cost: The cost would be accounted for as $2,000.

3. Assessment of the 2% rate:

In light of the data gave, we can assess the sensibility of the 2% rate by contrasting the genuine Awful Obligation Cost ($2,000) to the credit deals ($100,000).

The determined pace of awful obligation cost to credit deals is 2% ($2,000/$100,000). Since the genuine cost lines up with the assessed rate, it recommends that the 2% rate is sensible.

Notwithstanding, it's essential to take note of that a thorough assessment would require examining verifiable information and patterns to decide whether the 2% rate reliably mirrors the organization's involvement in terrible obligation misfortunes.

Moreover, monetary circumstances and explicit conditions can likewise influence the precision of the assessment.

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Your company has extra cash which it would like to use to invest into something new and profitable. There are two mutually exclusive projects under consideration. • Project #1 will require an initial investment of $820, and the present value of all of its future estimated profits is $920. • Project #2 will require an initial investment of $1,120, and the present value of all of its future estimated profits is $1.230. Based on this information, answer the following questions. DETALLES (a) For Project #1, the Profitability Index equals Round to TWO decimal places, for example, 1.23 Round to TWO decimal places, for example, 1.23 (b) For Project #2, the Profitability Index equals (type accept or reject) Project #1 and (c) Based on the Profitability Indexes, your company should (type accept or reject)

Answers

Since Project #1 has a higher profitability index (1.12) compared to Project #2 (1.10), it is the more attractive option for investment.

Based on the profitability indexes, should your company accept or reject Project #1 and Project #2?

To calculate the profitability index for each project, we divide the present value of future estimated profits by the initial investment. Let's calculate the profitability indexes for both projects:

Profitability Index for Project #1:Profitability Index = Present value of future estimated profits / Initial investmentProfitability Index = $920 / $820Profitability Index ≈ 1.12 (rounded to two decimal places)

Profitability Index for Project #2:

Profitability Index = Present value of future estimated profits / Initial investmentProfitability Index = $1,230 / $1,120Profitability Index ≈ 1.10 (rounded to two decimal places)

Based on the Profitability Indexes, your company should accept Project #1 and reject Project #2. The higher the profitability index, the more favorable the investment.

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Inside trading, fraud, embezzlement, and money laundering may be morally justified based on: O "Illusion of superiority and cultural beliefs and attitudes O Helping their employer They believe their financial gain is insignificant in comparison to the millions of investors in the stock market. All of the above

Answers

Inside trading, fraud, embezzlement, and money laundering cannot be morally justified under any circumstances. It is unethical, illegal, and harms the entire financial system and innocent investors. All of the given options are invalid, so the correct answer is "None of the above."

Why is inside trading unethical?

Inside trading is the unethical practice of purchasing or selling securities on the basis of nonpublic or insider information about the company. Such information is not available to the general public, making it unfair and illegal to benefit from it.The Securities Exchange Act of 1934 and the Insider Trading and Securities Fraud Enforcement Act of 1988 made insider trading illegal. Inside trading has a negative impact on the stock market, the public, and the economy as a whole. It creates an uneven playing field in which some investors are given preferential treatment over others. This promotes a culture of corruption and fraud in the financial industry.

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Which of the following duties to the client under Code and Standards Section A ensures that information is accessible only to those authorized to have access.
Professionalism.
Competence.
Confidentiality.
Integrity.

Answers

The duty to the client under Code and Standards Section A that ensures that information is accessible only to those authorized to have access is confidentiality.

Confidentiality is a fundamental duty to clients in the Code and Standards of professional conduct for financial professionals. This duty requires that information shared by the client with the professional is kept confidential and not disclosed to unauthorized parties. It ensures that sensitive client information remains private and secure.

Confidentiality includes maintaining client privacy, protecting client records, and controlling access to client information. Financial professionals must take appropriate measures to safeguard client data and ensure that it is accessible only to those individuals who are authorized to have access, such as the professional's team members or other professionals involved in providing services to the client.

By maintaining confidentiality, financial professionals demonstrate trustworthiness, respect for client privacy, and the ability to handle sensitive information appropriately. It helps to establish a strong professional-client relationship based on trust and confidence.

While professionalism, competence, and integrity are also important duties to clients, confidentiality specifically addresses the protection and controlled access of client information to maintain confidentiality and privacy.

In conclusion, confidentiality is the duty under Code and Standards Section A that ensures information is accessible only to those authorized to have access, safeguarding client privacy and maintaining the confidentiality of sensitive client information.

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The production budget for Manner Company shows units to produce as follows: July, 580; August, 640; and September, 500. Each unit produced requires two hours of direct labor. The direct labor rate is

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The total cost of direct labor for the Manner Company will be $68,800 if the direct labor rate is $20 per hour.

The production budget for Manner Company is a financial plan that expresses the number of units that the organization expects to produce in a certain period and the cost of the production process.

Direct labor is the total time spent by workers to convert raw materials into a finished product.The direct labor rate is the amount paid to the employees per hour of work done. To calculate the total cost of direct labor, the company needs to multiply the direct labor rate by the number of hours worked. The Manner Company has units to produce in July, August, and September, which are 580, 640, and 500, respectively. The total hours of direct labor for the three months are:

580 + 640 + 500 = 1,720 units

Each unit produced needs two hours of direct labor. Therefore, the total hours of direct labor required for the production of the units for the three months are:

1,720 x 2 = 3,440 hours

If the direct labor rate is, for instance, $20 per hour, then the total cost of direct labor is:

3,440 hours x $20 = $68,800

Therefore, the total cost of direct labor for the Manner Company will be $68,800 if the direct labor rate is $20 per hour.

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Monster Tires is considering an expansion which involves opening a new location for its tires manufacturing. This new project is estimated to be the same level of risk as the firm's existing projects. For this new manufacturing project, the firm would need to raise money by selling $660,000 worth of new equity, $281,000 worth of new preferred stock shares, and borrow $364,000 by selling new corporate bonds. The annual costs of equity, preferred stock shares, and corporate debt equal 13%, 7%, and 3%, respectively. Monster Tires pays a 33% tax rate on its corporate income.

Calculate Monster Tires' average annual cost of running this new tire business, or the Weighted Average Cost of Capital.

Answers

WACC is calculated by considering weightings and costs of equity, preferred stock, and corporate bonds.

How is WACC calculated for financing sources?

To calculate Monster Tires' Weighted Average Cost of Capital (WACC) for the new tire manufacturing project, we need to determine the weightings and costs of each source of financing (equity, preferred stock, and corporate bonds) and calculate their weighted average.

First, calculate the weightings:

- Equity weighting: $660,000 / ($660,000 + $281,000 + $364,000)

- Preferred stock weighting: $281,000 / ($660,000 + $281,000 + $364,000)

- Corporate bonds weighting: $364,000 / ($660,000 + $281,000 + $364,000)

Next, calculate the costs:

- Cost of equity: 13%

- Cost of preferred stock: 7%

- Cost of corporate bonds: 3%

Finally, calculate the WACC using the formula:

WACC = (Equity weighting * Cost of equity) + (Preferred stock weighting * Cost of preferred stock) + (Corporate bonds weighting * Cost of corporate bonds) * (1 - Tax rate)

Substituting the values into the formula and performing the calculations will give us the average annual cost of running the new tire business, or the WACC for Monster Tires.

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Record the following transactions in the respective ledgers. Close all accounts at the end of March 2018. March 2 Started business with cash in hand RM3000 4 Bought goods on credit from the following persons: Wardee RM610, Hiba Rm214, Yaser RM174, Aziz Rm345 and Vally Rm542 5 Sold goods on credit to James RM340, Billy RM720 and Fendy RM1152 6 Paid rent by cash RM180. 9 James paid us his account by check RM340 10 Fendy paid us RM1,000 by check RM340 12 We paid the following by check, Yaser RM174, Wardee RM610 Paid carriage by cash RM38 Bought goods on credit from Hiba RM291, Aziz RM940 Sold goods on credit to Billy RM810 Paid rent by check RM230 15 18 21 31

Answers

Ledger accounts are used to classify and summarize data. The ledger is a more sophisticated form of the key transaction general journal, which contains all transactions in chronological order, but it provides only a brief description of each transaction.

The following transactions should be recorded in the respective ledgers:Ledger Account: Cash in hand 1) Started business with cash in hand RM3,000 2) Paid rent by cash RM180. Ledger Account: Wardee 1) Bought goods on credit from Wardee RM610 2).

We paid the following by check, Wardee RM610 Ledger Account: Hiba 1) Bought goods on credit from Hiba RM214 2) Bought goods on credit from Hiba RM291 Ledger Account: Yaser 1) Bought goods on credit from Yaser RM174 2) We paid the following by check, Yaser RM174 Ledger Account: Aziz 1) Bought goods on credit from Aziz Rm345 2).

Bought goods on credit from Aziz RM940 Ledger Account: Vally 1) Bought goods on credit from Vally Rm542 Sold goods on credit to Billy RM720 2) Sold goods on credit to Billy RM810 3) Fendy paid us RM1,000 by check RM340 Ledger Account: Fendy 1) Sold goods on credit to Fendy RM1,152 2) Fendy paid us RM1,000 by check RM340 Ledger Account: Rent 1) Paid rent by cash RM180 2) Paid rent by check RM230 Ledger.

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Print Item Using the following information: 1. The bank statement balance is $3,440. 2. The cash account balance is $3,701. 3. Outstanding checks amounted to $599. 4. Deposits in transit are $599. 5. The bank service charge is $152. 6. A check for $56 for supplies was recorded as $47 in the ledger. Prepare a bank reconciliation for Miller Co. for August 31. Miller Co. Bank Reconciliation August 31 Cash balance according to bank statement Adjusted balance Cash balance according to company's records Adjusted balance 3

Answers

To prepare a bank reconciliation for Miller Co. as of August 31, we need to compare the cash balance according to the bank statement with the cash balance according to the company's records and make adjustments for any differences.

Given information:

1. Bank statement balance: $3,440

2. Cash account balance: $3,701

3. Outstanding checks: $599

4. Deposits in transit: $599

5. Bank service charge: $152

6. Recording error: A check for supplies was recorded as $47 instead of $56.

First, we need to adjust the cash balance according to the bank statement:

Start with the bank statement balance: $3,440

Add deposits in transit: + $599

Subtract outstanding checks: - $599

Subtract bank service charge: - $152

Adjusted balance according to the bank statement:

$3,440 + $599 - $599 - $152 = $3,288

Next, we need to adjust the cash balance according to the company's records:

Start with the cash account balance: $3,701

Subtract recording error for the supplies check: - ($56 - $47) = - $9

Adjusted balance according to the company's records:

$3,701 - $9 = $3,692

Now, we can summarize the bank reconciliation for Miller Co. as of August 31:

Miller Co. Bank Reconciliation - August 31

Cash balance according to the bank statement: $3,440

Adjusted balance according to the bank statement: $3,288

Cash balance according to the company's records: $3,701

Adjusted balance according to the company's records: $3,692

The adjusted balances represent the reconciled amounts after accounting for outstanding checks, deposits in transit, bank service charge, and the recording error. By reconciling the bank statement with the company's records, Miller Co. can ensure that its cash balances are accurate and resolve any discrepancies.

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Which of the following statements about internal-operational messages is true?
Multiple Choice
They include internal email messages but not instant messages.
They are messages developed by a business to communicate effectively with its clients.
They are casual exchanges between the employees of one organization with those of another organization.
The formality of such communication is casual instead of formal.
The formality of such communication ranges from casual to moderately formal to formal.

Answers

The formality of such communication ranges from casual to moderately formal to formal is true about internal-operational messages. Option E is the correct answer.

Internal-operational communications, such as an email sent from one employee to another, are messages that are only used within a company. The goal of internal communication is to identify and communicate the project's objectives while also creating action plans and efficiently allocating resources. It aids in the organization's selection, instruction, and evaluation of participants. It is a tool for company that directs and inspires workers to give their all to their work. Option E is the correct answer.

As a means of communication, internal communication employs memos, circulars, staff news letters, faxes, notices, minutes of meetings, video conferencing, discussions, conferences, agendas, manuals, etc. Formal communication is communication that goes through predetermined channels. Informal communication is all-encompassing and results from societal and individual need.

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The complete question is, "Which of the following statements about internal-operational messages is true?

A. They include internal email messages but not instant messages.

B. They are messages developed by a business to communicate effectively with its clients.

C. They are casual exchanges between the employees of one organization with those of another organization.

D. The formality of such communication is casual instead of formal.

E. The formality of such communication ranges from casual to moderately formal to formal."

For investment purposes, Wilma needs a snapshot of the firm's financial position at a specific point in time. She should look at the: ________

Answers

For investment purposes, Wilma needs a snapshot of the firm's financial position at a specific point in time. She should look at the balance sheet.

The balance sheet provides a snapshot of a firm's financial position at a specific point in time. It presents the company's assets, liabilities, and shareholders' equity, providing a clear overview of what the company owns, owes, and the ownership interest of its shareholders. The balance sheet helps investors like Wilma assess the company's liquidity, solvency, and overall financial health.

By examining the assets, such as cash, investments, and property, plant, and equipment, and comparing them to the liabilities, such as debt and accounts payable, investors can evaluate the company's ability to meet its financial obligations.

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What are the causes and impact of the chip shortages? What
strategies can reduce the chip shortages?
Explain in terms of financial aspect.

Answers

1.a)  The current chip shortages are caused by various factors, including the concentration of production, complex manufacturing process, supply chain issues, and rising demand for electronic products.

b) In terms of finance, the shortages have led to increased costs for companies, stock market volatility, and reduced production.
2. Boosting production capacity, diversification of supply chain, collaborations and government support can reduce the chip shortages.

1.a) The global chip shortage refers to a situation where there is a significant imbalance between the demand and supply of semiconductor chips, which are essential components in various electronic devices. The shortage has been caused by a combination of factors:

Increased Demand: The demand for semiconductors has surged in recent years due to the growing adoption of advanced technologies like 5G, artificial intelligence, Internet of Things (IoT), and autonomous vehicles. The COVID-19 pandemic also accelerated the demand for electronic devices, as remote work and online activities increased.Supply Chain Disruptions: The pandemic disrupted the global supply chains, causing manufacturing delays and disruptions in the production of chips. Factory shutdowns, reduced capacity, and logistical challenges have impacted the timely delivery of semiconductor components.Concentration of Production: The majority of chip manufacturing is concentrated in a few countries, such as Taiwan, South Korea, China, and the United States. Any disruptions or geopolitical tensions in these regions can impact the global supply chain.Complex Manufacturing Process: The production of semiconductor chips is a complex and time-consuming process, involving multiple stages and specialized equipment. Increasing production capacity requires substantial investments and time.

b) The chip shortage has significant financial impacts across various industries:

Increased Costs: The shortage has led to increased prices of electronic devices, as manufacturers face higher costs for procuring semiconductors. These increased costs may be passed on to consumers, resulting in higher prices for products like smartphones, laptops, and automobiles.Reduced Production: Companies heavily reliant on semiconductors have experienced reduced production levels, delayed product launches, and even temporary shutdowns. This can result in lost revenue, reduced profitability, and supply chain disruptions.Stock Market Volatility: The chip shortage has affected the stock prices of companies in the semiconductor industry and those relying on their products. Investors closely monitor the impact of the shortage on the financial performance of these companies.

2. Strategies to reduce chip shortages:

Increased Production Capacity: Semiconductor manufacturers can invest in expanding production facilities and upgrading equipment to increase chip output. This requires significant financial investments, time, and coordination with suppliers and partners.Diversification of Supply Chains: Companies can reduce their dependency on a single region by diversifying their supply chains and sourcing chips from multiple manufacturers. This helps mitigate risks associated with supply chain disruptions in specific regions.Collaboration and Partnerships: Collaboration among chip manufacturers, suppliers, and technology companies can help streamline the supply chain, improve forecasting, and optimize production planning. Joint efforts to address the shortage can lead to more efficient resource allocation.Government Support: Governments can provide financial incentives, tax breaks, and funding for research and development to encourage domestic semiconductor production. This can help create a more resilient and self-sufficient chip manufacturing ecosystem.

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Given the following demand and supply equations, how many units of the good would be sold at a price equal to $30?

Qd = 100 - 3P Qs = -35 + 2P

2-Which of the following might lead to an increase in the equilibrium price of strawberry jam and a decrease in the equilibrium quantity of the jam sold?

an increase in the price of peanut butter, considered by consumers as a complement to jam (they go together on toast and bagels)

an increase in the price of cream cheese, a substitute for strawberry jam on toast and bagels

an increase in consumer incomes if strawberry jam is considered a normal good

None of the choices given are correct

Answers

1. To find the quantity of the good sold at a price of $30, we need to set the demand (Qd) equal to the supply (Qs) and solve for Q:

Qd = Qs

100 - 3P = -35 + 2P

Add 35 and 3P to both sides:

135 = 5P

Divide by 5:

P = 27

Therefore, at a price of $30, the quantity of the good sold would be 27 units.

2. The correct choice that would lead to an increase in the equilibrium price of strawberry jam and a decrease in the equilibrium quantity of the jam sold is:

A price hike for cream cheese, which is used as a replacement for strawberry jam on toast and bagels.

When the price of a substitute for strawberry jam (such as cream cheese) increases, consumers are more likely to switch to buying strawberry jam instead, resulting in an increase in the demand for strawberry jam. TThis increasing demand raises the equilibrium price of strawberry jam while decreasing the equilibrium quantity sold.

An increase in the price of peanut butter (a complement to jam) would not directly affect the equilibrium price and quantity of strawberry jam.

An increase in consumer incomes, assuming strawberry jam is a normal good, would likely lead to an increase in the demand and equilibrium quantity of strawberry jam, not a decrease.

Therefore, the correct choice is an increase in the price of cream cheese.

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1.) All of the following are needed to prepare a flexible budget EXCEPT determining the:
budgeted variable cost per unit
actual labor rate per hour
budgeted fixed costs
actual quantity of units produced and sold

Answers

The answer is the actual labor rate per hour.

To prepare a flexible budget, several key components are required to estimate and forecast costs based on different levels of activity. These components include determining the budgeted variable cost per unit, budgeted fixed costs, and the actual quantity of units produced and sold. However, the actual labor rate per hour is not necessary for preparing a flexible budget.

A flexible budget is a budgeting tool that adjusts costs based on the actual level of activity achieved. It allows for more accurate cost projections by considering the variations in production or sales volume. To create a flexible budget, the budgeted variable cost per unit is essential as it helps determine the total variable costs based on the actual quantity of units produced and sold. This allows for a more accurate estimation of costs when there are changes in activity levels.

Budgeted fixed costs are also important in preparing a flexible budget as they represent costs that do not change with the level of activity. By knowing the budgeted fixed costs, a company can estimate the total fixed costs for different activity levels and incorporate them into the flexible budget.

Lastly, the actual quantity of units produced and sold is a critical factor in a flexible budget. It serves as the basis for determining the variable costs and provides the necessary information to estimate the total costs at different levels of production or sales.

However, the actual labor rate per hour is not directly relevant to preparing a flexible budget. It is more related to calculating actual labor costs for a specific period rather than adjusting costs based on different levels of activity.

In conclusion, determining the budgeted variable cost per unit budgeted fixed costs, and the actual quantity of units produced and sold are all essential components in preparing a flexible budget, while the actual labor rate per hour is not necessary for this purpose.

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A company developed the following per-unit standards for its product: 2 pounds of direct materials at $10 per pound. Last month. 3500 pounds of direct materials were purchased for $13300. The direct materials price variance for last month was a. $10850 favorable. b. $13300 favorable. c. $21700 unfavorable. d. $21700 favorable.

Answers

The direct materials price variance for last month was d. $21700 favorable.

The standard quantity of direct materials per unit = 2 pounds

Standard cost per pound = $10

The actual quantity of direct materials purchased = 3,500 pounds

The actual cost of direct materials purchased = $13,300

Calculating the standard cost -

Standard cost = Standard Quantity x Standard cost per pound

= 2 x 10

= 20

Calculating the Direct materials price variance -

= Standard Cost x Actual quantity of direct materials - actual cost of direct materials

= (10 x 3500) - 13300  

= 35000 - 13,300

= 21700

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of The following Comparative Information has been provided by Claxton Corporation and Rutherford Ea in $000's Rutherford Sales Cash Inventory Claxton 2022 2021 $11,535 $10,432 450 110 575 Land 1,050 1,050 Building (net) 750 825 Machinery (net) 825 625 905 2022 2021 $21,375 $20,439 175 872 3,533 2,990 2,520 2,100 1,250 1,010 159 903 equired: alculate the fixed asset turnover in 2022 for both companier CL

Answers

Fixed Asset Turnover (Claxton): 26.97 Fixed Asset Turnover (Rutherford): 14.52

Calculate the fixed asset turnover in 2022 for both Claxton Corporation and Rutherford Corporation.

The fixed asset turnover ratio measures the efficiency with which a company utilizes its fixed assets to generate sales. It is calculated by dividing the net sales by the average net fixed assets. Net sales can be obtained from the given information, and the average net fixed assets can be calculated by taking the average of the net values of land, building, and machinery for the two years.

For Claxton Corporation:

Net sales in 2022 = $21,375,000

Average net fixed assets = ($1,050,000 + $750,000 + $825,000) / 3 = $875,000

Fixed asset turnover for Claxton Corporation in 2022 = $21,375,000 / $875,000 = 24.39

For Rutherford Ea:

Net sales in 2022 = $11,535,000

Average net fixed assets = ($1,050,000 + $825,000 + $625,000) / 3 = $833,333.33

Fixed asset turnover for Rutherford Ea in 2022 = $11,535,000 / $833,333.33 = 13.84

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Achieving Success in Virtual Teams (Chapter 9)
Students are expected to read Achieving Success in Virtual Teams which can be found in the Unit 3- Reading folder and use the following questions as a guide for the discussion that will ensue.
Describe the attributes that contribute to the success of virtual teams and those that contribute to the failure of virtual teams.
Discuss the extent to which the characteristics of well-functioning, effective groups overlap the attributes that contribute to the success of virtual teams.
Explain how cultural diversity can affect the effective functioning of virtual teams operating in a global economy.
Is Volvo’s approach to evaluating the effectiveness of its virtual teams one that could serve as a useful model for other organizations to follow in evaluating their own virtual teams? Justify your answer.

Answers

Virtual teams are a group of individuals working from different geographical locations, organizations, and time zones using telecommunication technology to communicate and accomplish a shared goal or task.

Attributes that contribute to the success of virtual teams include communication skills, technology skills, clear goals and objectives, diversity, mutual trust, and accountability. These attributes are fundamental to creating a functional and efficient virtual team.On the other hand, lack of coordination, unclear goals, and objectives, inadequate communication, cultural differences, and poor leadership can contribute to the failure of virtual teams.

Team members must possess effective communication skills that enable them to communicate ideas and thoughts clearly, without losing clarity. Virtual teams can be successful by fostering trust among team members through effective communication, respect, and collaboration. A successful virtual team requires a sense of commitment, responsibility, and accountability from each team member.

Effective groups share attributes with virtual teams in that they require clear goals and objectives, communication, accountability, mutual trust, and respect to function effectively. Culture plays a vital role in the functioning of virtual teams. Cultural diversity can lead to communication challenges, misunderstandings, and different work approaches that can affect the performance of virtual teams. Organizations can address cultural differences by providing training on diversity, cross-cultural communication, and different work cultures.

Volvo’s approach to evaluating the effectiveness of its virtual teams can serve as a useful model for other organizations. The company used key performance indicators to evaluate the effectiveness of virtual teams based on cost savings, productivity, and efficiency. Volvo’s approach ensures that virtual teams remain focused on their goals and objectives while providing objective criteria for evaluating their effectiveness.

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