Cash is the amount of money available to your business. How do
you think we can measure
the cash inflow and the cash outflow in the organization? Give
explanation.

Answers

Answer 1

To measure cash inflow and cash outflow in an organization, you can use various financial statements and reports. The primary documents and methods used to measure cash inflow and cash outflow include:

Cash Flow Statement: The cash flow statement is a financial statement that provides a summary of the organization's cash inflows and outflows over a specific period. It categorizes cash flows into three main sections: operating activities, investing activities, and financing activities. The cash flow statement shows the net increase or decrease in cash during the period.

Income Statement: While the income statement primarily focuses on revenue and expenses, it indirectly provides information about cash inflows and outflows related to operating activities. Revenue represents cash inflows, while expenses indicate cash outflows. By examining the income statement, you can gain insights into the profitability of the organization and the cash generated or used in operations.

Balance Sheet: The balance sheet provides a snapshot of the organization's financial position at a specific point in time. Although it does not directly display cash inflow and outflow, it presents information about cash on hand and cash equivalents as part of the current assets. Comparing the cash balance on the current balance sheet with previous periods can help measure cash inflows and outflows.

Cash Receipts: Monitoring and recording cash receipts is another way to measure cash inflow. This includes tracking payments received from customers, cash sales, interest income, dividend income, and any other sources of cash entering the organization.

Cash Disbursements: Recording cash disbursements helps measure cash outflow. It involves tracking payments made to suppliers, employees' salaries, rent, utility bills, loan repayments, and other expenses that result in cash leaving the organization.

Cash Flow Budget: Creating a cash flow budget allows you to plan and forecast cash inflows and outflows in advance. By estimating upcoming cash inflows from sales and other sources and projecting cash outflows for various expenses, you can anticipate the organization's cash position and ensure sufficient liquidity.

These methods and financial documents provide valuable insights into the cash inflows and outflows of an organization. Regularly monitoring and analyzing these measures can help manage cash effectively, plan for future needs, and make informed financial decisions.

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Related Questions

USE YOUR RESOURCES AND FIND AN EXAMPLE OF WHERE THE COLOR OF LAW HAS APPLIED AND THE OUTCOME HAS RESULTED IN A PUNISHMENT FOR THE OFFENDER.

Answers

The Color of Law is the term used to describe the situation in which Cofficials use their authority to violate a person's constitutional rights. This can include police brutality, false imprisonment, and other forms of abuse.

The Civil Rights Act of 1964 made it illegal for government officials to discriminate based on race, color, religion, or national origin. However, despite these laws, there have been many instances where the Color of Law has been used to abuse citizens.

One example is the case of Rodney King. In 1991, Rodney King, an African-American man, was brutally beaten by four white police officers in Los Angeles. The incident was caught on tape, and the officers were charged with assault and using excessive force.

However, they were acquitted of all charges in 1992. This led to riots in Los Angeles that resulted in 55 deaths, 2,000 injuries, and $1 billion in property damage. Two of the officers were later convicted of violating Rodney King's civil rights and were sentenced to 30 months in prison.

This case is an example of the Color of Law, as the police officers used their authority to violate Rodney King's constitutional rights. The outcome resulted in punishment for the officers, but the incident highlights the need for continued vigilance in protecting citizens from abuse by government officials.

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Match each phrase to the appropriate description. /7
A) Finished goods inventory
B) Manufacturing companies
C) Materials inventory
D) Service companies
E) Merchandising companies
F) Work in process inventory
G) Merchandise inventory
Typically have a single category of inventory
Resell products they previously purchased ready-made from suppliers
Do not have inventory for resale
Produce its own inventory
Transform raw materials into finished products
Ready to sell inventory of manufacturers
Partially completed items of manufacturers

Answers

Inventory or stock refers to the goods and materials that a business holds for the ultimate goal of resale, production or utilisation.

A) Finished goods inventory - Ready to sell inventory of manufacturers.

B) Manufacturing companies - Produce its own inventory.

C) Materials inventory - Transform raw materials into finished products.

D) Service companies - Do not have inventory for resale.

E) Merchandising companies - Resell products they previously purchased ready-made from suppliers.

F) Work in process inventory - Partially completed items of manufacturers.

G) Merchandise inventory - Typically have a single category of inventory.

Inventory management is a discipline primarily about specifying the shape and placement of stocked goods

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9 Michael needs to borrow $500 to fix his computer for the spring semester. He went to a payday loan company with the idea that he would cover the loan with his next paycheck which is happening in four weeks. The company would require Michael to pay $590 in four weeks. a. Determine the interest amount charged for the 4-week period b. Determine the interest rate charged for the 4-week period c. Determine the yearly nominal interest rate charged d. Determine the effective interest rate charged

Answers

a. To determine the interest amount charged for the 4-week period, we subtract the original loan amount from the total amount paid.

Total amount paid - Loan amount = Interest amount charged

$590 - $500 = $90

b. To determine the interest rate charged for the 4-week period, we divide the interest amount charged by the loan amount and then multiply by 100 to express it as a percentage.

(Interest amount charged / Loan amount) x 100 = Interest rate charged

($90 / $500) x 100 = 18%

c. To determine the yearly nominal interest rate charged, we need to convert the interest rate charged for the 4-week period into an annual rate. Since there are 52 weeks in a year, we can multiply the interest rate charged by 52.

Interest rate charged x 52 = Yearly nominal interest rate charged

18% x 52 = 936%

d. To determine the effective interest rate charged, we need to take into account the compounding period. Since the question doesn't specify the compounding period, let's assume it is compounded annually. The formula to calculate the effective interest rate is:

Effective interest rate = (1 + (Nominal interest rate / Number of compounding periods)) ^ Number of compounding periods - 1

In this case, the number of compounding periods is 1 (annual compounding).

Effective interest rate = (1 + (936% / 1)) ^ 1 - 1

Effective interest rate = (1 + 9.36) ^ 1 - 1

Effective interest rate = 10.36 - 1

Effective interest rate = 9.36

Therefore, the effective interest rate charged is 9.36%.

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You are the Economic Advisor to the Mayor of St. Charles. The Mayor wants to impose a Price Ceiling on rent prices in St. Charles to make housing more affordable for Lindenwood students. What are the economic and business implications of this proposed policy? Explain using a graph that shows the price control and its economic implications.

Answers

A price ceiling is a government-imposed limit on how much a product may be sold for, typically set below the equilibrium price in order to make the product more affordable.

In this case, the Mayor of St. Charles wants to impose a price ceiling on rent prices in St. Charles to make housing more affordable for Lindenwood students.However, a price ceiling may have unintended consequences, including reduced quantity supplied, increased quantity demanded, and shortages.

The price ceiling may lead to a decrease in the quantity and quality of rental properties, as well as increased demand, as renters flock to take advantage of the lower prices.In addition, it may lead to a decrease in the availability of affordable housing, as landlords are unable to cover their costs at the lower price.

In the long term, the price ceiling may lead to a decrease in the quantity and quality of rental properties, as well as increased demand, as renters flock to take advantage of the lower prices.Over time, the price ceiling may lead to a reduction in the number of rental properties on the market, as landlords find it difficult to cover their costs at the lower price.

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Identify ways in which cultural differences between countries influence management.
• Culture influences our actions and perceptions
as well as the actions and perceptions of others. Unfortunately, we often are unaware of how culture influences us, and this can cause problems.
• Managers must be able to change their behavior to match the needs and customs of people they work with. Hofstede’s classic research identified four dimensions of cultural differences; some say those differences are disappearing but this should not be assumed. It is important not to stereotype or over- generalize, but potential differences deserve atten- tion and mutual accommodation.
• By recognizing cultural differences and discussing behavioral norms for dealing with them, people can find it easier to work together collaboratively and benefit from the exchange.
• Legal and ethical issues create particularly important
paragraph answer question

Answers

Cultural differences refer to diverse customs, beliefs, and values between different societies, which have an impact on management in numerous ways. The cultural differences within countries influence management in numerous ways.

Cultural differences can either have a positive or negative impact on management. However, there is a need to understand the cultural differences within countries and how they affect management practices. Below are ways in which cultural differences between countries influence management: Culture influences our actions and perceptions, and the actions and perceptions of others.

Understanding the differences in legal and ethical frameworks, including laws on employment, pay, and working conditions, and the ethics of corporate behavior, is critical for successful international management practices.Cultural differences, including customs and values, can have a significant impact on international management. Successful management will require an understanding of these differences, mutual accommodation, and respect.

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Your internet provider charges a fixed monthly fee of $20.00 plus $0.03 cents per on-line minute. Under this plan what is your monthly internet fee if you are on-line for /3
3 hours
12 hours and 40 mins
6 hours

Answers

The monthly fee for 3hours = $25.40, 12hours and 40 minutes = $41.80 , 6hours=$30.80.

we know that ,

Total internet bill = Monthly fee + (per minute fee x total number of minutes online)

the internet provider charges a fixed monthly fee of $20.00 plus $0.03 cents per online minute, the monthly internet bill for someone who is online for:

3 hours = $20.00 + ($0.03 x 180 minutes) = $25.40

12 hours and 40 minutes = $20.00 + ($0.03 x 760 minutes) = $41.80 (since 40 minutes is 2/3 of an hour, we can convert it to minutes by multiplying by 60, then add it to 12 hours)

6 hours = $20.00 + ($0.03 x 360 minutes) = $30.80

Therefore, the monthly internet fee if you are online for 3 hours is $25.40, the monthly internet fee if you are online for 12 hours and 40 minutes is $41.80 and the monthly internet fee if you are online for 6 hours is $30.80.

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According to Justice Raymond Zondo (in South Africa), ‘State Capture thrived because the people given power and authority in the SOEs simply flouted the terms of the PFMA’. Some of the major concerns raised at the Zondo Commission on SOEs were amongst others, the interference of the boards in the day-to-day operations of the SOEs, and some board members having companies that were directly doing business with the same SOEs where they were board members. Other than those that are mentioned above, identify and explain some of the critical issues that could have led to the collapse of these SOEs (corporate governance-related issues). (10 marks)

Answers

State capture can be defined as an illicit political practice where private interests are used to influence state functions in a way that is designed to benefit private interests over the public good. The State-Owned Entities (SOEs) in South Africa became a hotbed for state capture.

Where corporate governance-related issues played a significant role in their collapse.In the course of the Zondo Commission on SOEs, various corporate governance-related issues were identified, which were responsible for the collapse of these SOEs. One of the primary concerns was the appointment of board members who had no experience or expertise in the relevant field, who were appointed based on their political affiliations. This led to the board members' incompetence in their respective SOEs, which ultimately led to their collapse.

Another critical issue was the politicization of SOEs, where political interference had a significant effect on the SOEs' management and operations. SOEs became a mechanism for political gain, and this led to the appointment of officials based on their political affiliations rather than their technical competencies. This was a significant factor in the SOEs' collapse.Other critical issues were corruption, maladministration, and financial mismanagement in SOEs.

In conclusion, the collapse of SOEs in South Africa was due to various corporate governance-related issues, such as political interference, corruption, maladministration, incompetence, and poor financial management. These issues led to the looting of SOEs and a significant decline in their performance.

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During 2022, Cullumber Company incurred the following direct labor costs: January $25,600 and February $38,400. Cullumber uses a predetermined overhead rate of 120% of direct labor cost. Estimated overhead for the 2 months, respectively, totaled $24,960 and $45,696. Actual overhead for the 2 months, respectively, totaled $32,000 and $42,880, Calculate overhead applied. January $ February \$ Determine if overhead is over-or underapplied for each of the two months and the respective amounts. Jantary \$ February $

Answers

The overhead applied and the status of over- or underapplied overhead for each month are as follows:

January:

Overhead applied: $30,720

Overhead is underapplied: $1,280

February:

Overhead applied: $46,080

Overhead is overapplied: $3,200

To calculate the overhead applied and determine if overhead is over- or underapplied for each month, we need to compare the estimated overhead with the actual overhead.

Let's calculate the overhead applied for each month:

January:

Overhead applied = Predetermined overhead rate * Direct labor cost

Overhead applied = 120% * $25,600

Overhead applied = $30,720

February:

Overhead applied = Predetermined overhead rate * Direct labor cost

Overhead applied = 120% * $38,400

Overhead applied = $46,080

Now let's compare the overhead applied with the actual overhead for each month:

January:

Overhead applied = $30,720

Actual overhead = $32,000

Overhead is underapplied for January by $32,000 - $30,720 = $1,280.

February:

Overhead applied = $46,080

Actual overhead = $42,880

Overhead is overapplied for February by $46,080 - $42,880 = $3,200.

Therefore, the overhead applied and the status of over- or underapplied overhead for each month are as follows:

January:

Overhead applied: $30,720

Overhead is underapplied: $1,280

February:

Overhead applied: $46,080

Overhead is overapplied: $3,200

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Which of the following conditions have to be met for the consumer to be in equilibrium? [I]: The combination of goods purchased is affordable. [II]: Weighted marginal utilities of the different goods are the same. [III]: The per-unit prices of the goods must not be the same.
A. [I] and [III] only
B. [I] and [II] only
C. [I], [II] and [III]
D. [II] and [III] only
E. None of the above

Answers

The conditions that have to be met for the consumer to be in equilibrium are [I] and [II] only.What is consumer equilibrium? Consumer equilibrium refers to the situation where a consumer's budget is allocated among the goods and services that give them the greatest level of satisfaction or utility.

When a consumer purchases a combination of goods and services that brings them the highest possible level of happiness, they are said to be in equilibrium. Consumer equilibrium is determined by comparing the total satisfaction that can be derived from a commodity to its price. The combination of the two that yields the greatest amount of satisfaction while still being affordable is referred to as consumer equilibrium. What are the conditions for consumer equilibrium? For consumer equilibrium to be achieved, two conditions must be met: Budget constraint (the combination of goods purchased is affordable)The weighted marginal utilities of the different goods are the same. The per-unit prices of the goods must not be the same as it has no impact on consumer equilibrium. Therefore, the correct option is [B] [I] and [II] only.

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Karen needs a loan of 118000 € for a new home. The loan period is 2 years, and the loan payments are made semiannually. The annual interest rate of the annuity loan is 8.2 %.
What is the principal payment in the third payment?

Answers

The answer is  , the principal payment in the third payment is $\sf 10572.99$€.

How to find?

We are given the following data:

Principal amount = $118000

$Annual interest rate = $8.2$%

Loan period = $2$ years

Loan payments made semi-annually.

To calculate the principal payment in the third payment, we need to calculate the semi-annual payment amount first using the formula for the annuity loan.

The formula for the semi-annual payment of an annuity loan is given as:

\[\sf S=P\frac{{r}\left(1+r\right)^{n}}{{\left(1+r\right)^{n}}-1}\]

where S is the semi-annual payment,

P is the principal amount,

r is the rate of interest per annum (semi-annual in our case), and n is the number of payments made in the entire loan period.

Here, the rate of interest, r, is given as:

\[\sf r=\frac{8.2}{2\times 100}

=0.041\].

As the loan period is $2$ years and semi-annual payments are made, the number of payments in the entire loan period will be $2\times 2=4$.

Now, substituting the values in the formula of semi-annual payment, we get:

\[\sf S=118000\frac{{0.041}\left(1+0.041\right)^{4}}{{\left(1+0.041\right)^{4}}-1}\].

On solving the above equation, we get $\sf S=14602.91$€.

Now, to calculate the principal payment in the third payment, we need to use the loan amortization schedule.

Loan Amortization Schedule:

First Payment:

Semi-annual payment = 14602.91€

Interest for the first payment = $\sf \frac{8.2}{2}\times 118000=4826$€

Principal payment for the first payment = 9776.91€

Remaining balance after the first payment = 118000 - 9776.91

= 108223.09€.

Second Payment:

Semi-annual payment = 14602.91€

Interest for the second payment = $\sf \frac{8.2}{2}\times 108223.09

=4445.84$€

Principal payment for the second payment = 10157.06€

Remaining balance after the second payment = 108223.09 - 10157.06

= 98166.03€.

Third Payment:

Semi-annual payment = 14602.91€

Interest for the third payment = $\sf \frac{8.2}{2}\times 98166.03

=4029.92$€.

Principal payment for the third payment = Semi-annual payment - Interest for the third payment$\sf

=14602.91-4029.92

=10572.99$€.

Therefore, the principal payment in the third payment is $\sf 10572.99$€.

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In 300+ words, describe how business models vary in healthcare and how business models may provide a competitive advantage? How do the four components of a business model (Value to Customers, Inputs, Revenue Generation, and Processes) affect each other? How would you decide the best one for your business?

Answers

Answer:

In the healthcare industry, business models can vary widely, ranging from traditional fee-for-service models to value-based care models that incentivize providers to deliver better care at a lower cost. Each model has its own set of strengths and weaknesses, and the choice of business model can be a critical factor in determining success in the highly competitive healthcare market. Here is a brief description of some of the most common types of healthcare business models and how they differ:

Traditional Fee-for-Service Model: This is the most common type of business model in healthcare, where healthcare providers are paid for each service they deliver. In this model, providers are reimbursed by third-party payers for each service rendered, generally on a fee-for-service basis. Although this model has been the standard for decades, it is increasingly being criticized for encouraging providers to deliver more services, regardless of their effectiveness or efficiency, in order to maximize their revenue.

Value-Based Care Model: In contrast to the traditional fee-for-service model, value-based care models focus on delivering high-quality care at a lower cost. In these models, providers are paid based on the outcomes they achieve rather than the services they deliver. This incentivizes providers to deliver more coordinated and comprehensive care, which leads to better health outcomes for patients while controlling costs. One example of a value-based care model is accountable care, where a group of healthcare providers is paid a fixed amount for a set of services provided to a group of patients.

Concierge Medicine Model: This model is designed to provide high-quality private care to a select group of patients who are willing to pay a premium for personalized care. Concierge physicians often offer a range of services including on-demand appointments, customized health plans, and personalized wellness programs. This model is particularly well-suited to patients who value convenience and personalization and are willing to pay a premium for it.

The four components of a business model (Value to Customers, Inputs, Revenue Generation, and Processes) are interconnected and can affect each other in a variety of ways. For example, the Value to Customers component can dictate the type of Inputs required, such as advanced technology or specialized expertise, to deliver the desired outcomes. The Revenue Generation component can affect the ability of a company to access and utilize the necessary inputs, as well as affect the types of Processes required to create and deliver value to customers.

The Bill of Rights in Chapter II of the Constitution, bestows on every South African a
number of fundamental rights, one of which is the right to equality.
Everybody is equal before the law and nobody may unfairly discriminate against
another. Design an Anti-discrimination policy for a company of your choice.
Your policy should ensure that it meets the requirements of a policy document following
the correct format. (25)MARKS

Answers

Title: Anti-Discrimination Policy

Objective: Promote equality, prevent discrimination

Scope: Applies to all employees, management, clients

Policy: No discrimination, harassment; respect and inclusion; no retaliation; thorough investigations; reasonable accommodations; training; disciplinary action for violations

Review and Revision: Periodic review, compliance with laws and best practices

Goal: Fair and inclusive workplace environment respecting individuals' rights and dignity.

To design an Anti-discrimination policy for a company, you need to ensure that it meets the requirements of a policy document following the correct format. Here is an example of an Anti-discrimination policy for a company:
Title: Anti-discrimination Policy
Objective: This policy aims to promote equality and prevent any form of discrimination within our company.
Scope: This policy applies to all employees, including full-time, part-time, temporary, and contract workers, as well as management and clients.
Policy Statement:
1. Our company is committed to providing a work environment that is free from discrimination, harassment, and prejudice.
2. Discrimination based on race, color, national origin, gender, age, religion, disability, marital status, sexual orientation, or any other protected characteristic is strictly prohibited.
3. All employees are expected to treat each other with respect and dignity, fostering a positive and inclusive workplace culture.
4. The company will not tolerate any form of harassment, bullying, or retaliation against individuals who report discrimination or participate in related investigations.
5. Management will take appropriate action to address any discrimination complaints, including conducting thorough investigations and implementing corrective measures if necessary.
6. The company will provide reasonable accommodations to individuals with disabilities to ensure equal access and opportunities.
7. All employees will receive training on anti-discrimination policies and procedures to promote awareness and understanding.
8. Employees who violate this policy may be subject to disciplinary action, up to and including termination of employment.
Review and Revision:
This policy will be periodically reviewed and revised as needed to ensure compliance with applicable laws and best practices.
By implementing this Anti-discrimination policy, our company aims to create a fair and inclusive workplace environment that respects the rights and dignity of every individual.

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We can use macroeconomic analysis to Select one: a. study the choices made by households. b. understand marginal changes in the macroeconomy. c. learn how to balance a checkbook. d. understand why economies grow.

Answers

We can use macroeconomic analysis to understand why economies grow. What is macroeconomic analysis? Macroeconomic analysis refers to the examination of the macroeconomy as a whole. The macroeconomy is defined as the sum of all goods and services produced by all individuals, firms, and the government in a country during a specified period of time. It includes all of the economic indicators and trends that are used to determine the overall health of an economy, such as inflation, GDP, and unemployment.

Macroeconomic analysis is used to understand how the overall economy is functioning and to identify any potential areas of concern or improvement in the economy. Why do we use macroeconomic analysis? We use macroeconomic analysis to gain insight into how the economy works and how it affects people's lives. By examining the overall trends and indicators in the macroeconomy, we can gain a better understanding of how the economy is performing, where it is headed, and what policies might be necessary to promote economic growth and stability. In particular, macroeconomic analysis can help us to understand why economies grow and what factors contribute to economic growth.

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According to the international entry options while implementing a horizontal growth strategy, which one of the alternatives below is more costly and risky than the others?
a- franchising
b- acquisitions
c-green field development
d- joint venture

Answers

According to the international entry options while implementing a horizontal growth strategy, acquisitions are more costly and risky than the other alternatives listed (franchising, green field development, and joint venture).Acquisitions involve buying out existing companies in a target market.

While it can give immediate access to an existing customer base and established infrastructure, it comes with a high cost and risk. For instance, the acquired company may have an unfavorable reputation, or it may be hard to integrate it with the buyer's existing operations.

Additionally, the buyer may have to invest in fixing issues the target company has. A joint venture, on the other hand, involves forming a partnership with a local firm. The two companies share ownership and control of a new venture created to enter the target market. The risk and cost associated with this option are lower compared to acquisitions. Greenfield development refers to creating a new subsidiary or office from scratch.

It provides a high level of control, but it can be costly, slow, and may have limited market awareness. Franchising entails the franchisor giving franchisees the right to use their business concept and brand name. The cost and risk are low, but the franchisor has minimal control over the franchisees' operations.

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A company has $1,350 in inventory, $4,791 in net fixed assets, $640 in accounts receivable, $282 in cash, $594 in accounts payable, $991 in long-term debt, and $5,386 in equity. What are the company's total assets? Multiple Choice $7,063 $8,052 $7.657 $12,449

Answers

The company's total assets are $7,063. In this case option A is correct

To calculate the total assets of the company, you need to sum up all the individual asset values.

Given:

Inventory = $1,350

Net fixed assets = $4,791

Accounts receivable = $640

Cash = $282

Total current assets = Inventory + Accounts receivable + Cash

Total current assets = $1,350 + $640 + $282

Total current assets = $2,272

Total assets = Total current assets + Net fixed assets

Total assets = $2,272 + $4,791

Total assets = $7,063

Therefore, the company's total assets are $7,063.

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John Stanton, CPA, is a seasoned accountant who left his Big-4 CPA firm Senior Manager position to become the CFO of a highly successful hundred million-dollar publicly-held manufacturer of solar panels. The company wanted John’s expertise in the renewable energy sector and his pedigree from working for one of the Big-4 firms. The company plans to expand its operations later in the year and is in the process of seeking a loan from a financial institution to fund the expansion. Everything went well for the first two months until the controller, Diane Hopkins, who is also a CPA, came to John with a problem. She discovered that one of her accounts payable clerks has been embezzling money from the company by processing and approving fictitious invoices from shell companies for fictitious purchases that the AP clerk had created. Diane estimated that the clerk had been able to steal approximately $250,000 over the year and a half they worked at the company. Diane and John agreed to fire the clerk immediately and did so. They also agreed that John would report the matter to the CEO, David Laskey.
John picked up the phone and called Laskey, who was also the chair of the board of directors, to give him a heads up on what had transpired. Laskey asked John to come to his office the next day to discuss the matter. At that meeting, Laskey instructed John to go no further and tell Diane to drop the matter because of the pending bank loan. John is considering his options.
Question:
What would it take for John to qualify as a whistleblower under Dodd-Frank? How might it be affected by the court rulings in Digital Realty Trust, Incorporated v. Somers and Erhart v. BofI Holdings?

Answers

John can qualify as a whistleblower under Dodd-Frank if he reports a violation of the securities laws to the Securities and Exchange Commission (SEC).

The violation of the securities laws should be done by his company, and he must give the company time to correct the matter internally before filing with the Securities and Exchange Commission.

John may also file an action in federal court to recover whistleblower protection if he has been retaliated against. He would be entitled to double back pay, interest, and legal fees. He should file his claim within six years of the violation.

Digital Realty Trust, Incorporated v. Somers and Erhart v. BofI Holdings court rulings provide clarifications on the scope of the whistleblower protection under Dodd-Frank. It provides that whistleblower protection under Dodd-Frank does not apply to whistleblowers who have not reported to the SEC.

Therefore, internal reporting is insufficient to qualify for the anti-retaliation protection under Dodd-Frank.

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From the perspective of commuting in inner-city environments, electric scooters might be perceived by electric bike manufacturers as
Question 9 options: substitutes.
complementors.
rivals.
new entrants.

Answers

From the perspective of commuting in inner-city environments, electric scooters might be perceived by electric bike manufacturers as substitutes.

An electric scooter is a personal mobility device (PMD) that can be powered by electricity and is ideal for city transportation. It has become popular due to its ability to be used as a reliable last-mile transportation option.

They have a smaller carbon footprint than gas-powered vehicles, making them an eco-friendly choice. Electric bikes and electric scooters are substitutes when it comes to inner-city commuting.

They both have similar features and benefits such as maneuverability, efficiency, and eco-friendliness. As a result, electric bike manufacturers may perceive electric scooters as their competitors or substitutes. They might see electric scooters as a potential threat to their market share, and it might affect their business.

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The standing requirement of a lawsuit is said to be met when.
Multiple Choice
defendant denies the claims made by the plaintiff
.plaintiff and the defendant reside in the same state.
defendant replies to the complaint filed by the plaintiff.
plaintiff has a personal stake in the outcome of the case.

Answers

A lawsuit is deemed to have satisfied the standing criterion when the plaintiff has a personal interest in how things turn out. A legal notion called standing establishes whether a party has the right to request a judicial remedy.

To establish standing, a plaintiff must demonstrate that he or she has suffered a concrete and particularized injury that is causally related to the defendant's conduct and can be redressed by a favorable court decision.  The  standing requirement of a lawsuit is met when the plaintiff has a personal stake in the outcome of the case. It is essential to prove that a plaintiff has a personal stake in the lawsuit because a plaintiff must have an injury or harm that he or she is looking to resolve through a lawsuit.

Without a personal stake, or injury, a plaintiff cannot prove standing, and the case is subject to dismissal by the court. The three main components of standing are:

1. An injury that is concrete and particularized.

2. A causal connection between the defendant's conduct and the injury suffered.

3. A remedy that can be granted by the court.

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Standard deviation of the portlolio with sock A is 4. (Roound to two decimal places )

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Standard deviation is a measure of how much the returns or values of a set of data vary from the average or mean value. It is an essential tool in finance to assess the risks and uncertainties associated with an investment portfolio.

A portfolio is a collection of investments that an investor holds, such as stocks, bonds, and other securities. The standard deviation of a portfolio is calculated by taking the square root of the portfolio's variance. The variance measures the degree of dispersion of the portfolio's returns from the mean return, which is the average of the returns.

The formula to calculate the variance of a portfolio is:Variance = (w1^2 * σ1^2) + (w2^2 * σ2^2) + 2 * w1 * w2 * σ1 * σ2 * ρ1,2where: w1 and w2 are the weights of the two assets in the portfolioσ1 and σ2 are the standard deviations of the returns of assets 1 and 2ρ1,2 is the correlation coefficient between the returns of assets 1 and 2.

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Find the interest earned on a $25,000 deposit for a year at 4.5%
interest, compounded continuously.
a. $1,125.00 b. $1,230.57 c. $1,150.70 d. $26,150.70

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The interest earned on a $25,000 deposit for a year at 4.5% interest, compounded continuously is $1,125.00, option A.

When interest is compounded continuously, the formula used is given as A = Pert, where A represents the amount of money accumulated at the end of the investment period, P is the principal amount, r is the annual interest rate, and t is the time in years.

The question provides us with the following information: Principal amount, P = $25,000Annual interest rate, r = 4.5%Time, t = 1 year. We will substitute these values into the formula for continuous compounding to find the amount of money earned at the end of one year :A = Pert A = 25000e^(0.045 × 1)A = 25000e^(0.045)A = 25000 × 1.046362A = $26,109.05.

The amount of interest earned is the difference between the total amount accumulated and the principal amount.

Therefore: Interest earned = Total amount accumulated - Principal Interest earned = $26,109.05 - $25,000 Interest earned = $1,109.05Since the question asks for the interest earned to the nearest cent, we will round this value to two decimal places: Interest earned = $1,109.05 ≈ $1,125.00Therefore, the answer is option A, $1,125.00.

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Differentiate between RFI and RFQ in procurement planning within
an organisation.

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RFI and RFQ are two different processes that are included in procurement planning within an organization. RFIs (Requests for Information) are sent to potential suppliers to gather information about the goods or services that they provide. RFQs (Requests for Quotations) are sent to potential suppliers to request pricing information for specific goods or services.

RFI is a document that is used to obtain information from potential vendors to get an idea of the goods or services they offer. They are often used as a pre-qualification tool to assist in the development of a shortlist of potential vendors. An RFI is used to gather details about a company's capability and the goods or services that it offers. It is typically non-binding, and it is not a request for a proposal.

RFQ, on the other hand, is a document that is used to solicit quotes from potential vendors. It includes specific product or service specifications and asks vendors to provide pricing information. RFQs are binding, and the vendors are required to provide quotes that conform to the specifications provided. RFQs are used to solicit quotes from potential vendors in a competitive bidding process, and they are used to select the best price for the goods or services required.

In conclusion, the primary difference between RFI and RFQ is that RFI is a non-binding request for information, while RFQ is a binding request for quotations. Both processes are crucial in procurement planning within an organization as they help identify potential suppliers and gather the necessary information to make an informed decision.

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N1. Assume a simple model without any government or net exports. If an increase in autonomous investment of 40 leads to an increase in consumption of 160, then the marginal propensity to save is
N2. In a model with no government or foreign sector, if saving is defined as S 200+ (0.1)Y and investment is Io=200, what is the equilibrium level of consumption?
N3. If the savings function is S- - 400+ (0.25)YD, the marginal income tax rate is t =. 0.2, and the equilibrium level of income increases by 1,000, by how much will = consumption change?
N4. In an effort to stimulate the economy in 1976, President Ford asked Congress for a $20 billion tax cut in combination with a $20 billion cut in government purchases. Do you consider this a good policy proposal? Why or why not?

Answers

N1. The marginal propensity to save is 4.

N2. The equilibrium level of consumption is 0.

N3. Consumption will change by 800.

N4. Whether the policy proposal is good or not depends on various factors and requires a thorough analysis.

N1. To find the marginal propensity to save (MPS), we divide the change in saving by the change in autonomous investment.

MPS = Change in Saving / Change in Autonomous Investment

Given that, an increase in autonomous investment of 40 leads to an increase in consumption of 160, the change in saving is 160 (since consumption and saving are inversely related).

Therefore, MPS = 160 / 40 = 4.

N2. In equilibrium, saving (S) equals investment (I). Setting S equal to I, we can find the equilibrium level of consumption (C).

S = I

200 + (0.1)Y = 200

0.1Y = 0

Y = 0

Therefore, the equilibrium level of consumption is 0.

N3. To calculate the change in consumption due to an increase in income, we need to consider the marginal propensity to consume (MPC) and the change in disposable income (YD).

MPC = 1 - MPS (since MPS + MPC = 1)

MPC = 1 - 0.2 (given the marginal income tax rate t = 0.2)

MPC = 0.8

Change in Consumption = MPC * Change in Disposable Income

Change in Consumption = 0.8 * 1,000

Change in Consumption = 800

Therefore, consumption will increase by 800.

N4. Assessing whether the policy proposal is good or not depends on various factors and perspectives.

Here are some considerations:

Fiscal Stimulus: The proposed tax cut and government purchase cut aim to stimulate the economy through increased private consumption and investment. The effectiveness of fiscal stimulus depends on the economic conditions and the magnitude of the impact.

Budgetary Impact: Implementing a tax cut and a cut in government purchases will reduce government revenue and potentially increase the budget deficit. The sustainability of the policy depends on the overall fiscal situation and the government's ability to manage the deficit.

Multiplier Effect: The combined impact of tax cuts and reduced government purchases can have a multiplier effect on the economy, leading to increased economic activity and job creation.

The magnitude of the multiplier effect depends on the spending and saving behavior of households and businesses.

Economic Goals: The policy proposal should align with broader economic goals, such as promoting long-term growth, reducing income inequality, and maintaining price stability. The effectiveness of the proposal in achieving these goals needs to be evaluated.

Considering these factors, a thorough analysis of the economic situation, potential trade-offs, and long-term implications is necessary to determine whether the policy proposal is good or not.

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Copying another student's answers for your assignment or quiz would best illustrate what critical thinking barrier? Confirmation Bias Immediate Rewards All-or-Nothing Thinking (none of the above)

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Copying another student's answers for your assignment or quiz best illustrates the critical thinking barrier known as "Immediate Rewards". This barrier represents an obstacle that hampers one's ability to engage in critical thinking. It hinders the effective gathering and analysis of information. Another critical thinking barrier is Confirmation Bias, which involves favouring information that confirms pre-existing beliefs, and All-or-Nothing Thinking, which involves viewing situations in extreme black-and-white terms.

Copying another student's answers demonstrates the "Immediate Rewards" barrier because it offers instant gratification in the form of good grades without exerting effort. However, it undermines critical thinking and prevents individuals from learning and understanding the subject matter on their own. Immediate rewards can entice individuals to take shortcuts, such as copying someone else's work, rather than engaging in critical thinking to develop their own understanding and insights.

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What stage of bargaining—Centralized or Decentralized—will provide the optimal framework for advancing educational programs within the workplace? Justify your response.

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Decentralized stage of bargaining would provide the optimal framework for advancing educational programs within the workplace.

In a decentralized bargaining stage, both management and the union cooperate to arrive at a mutually beneficial agreement that takes into account the unique characteristics of the workplace, such as the skills and needs of its workers.

In a decentralized system, management and the union negotiate a collective bargaining agreement. The labor union in this approach provides employees with a voice in deciding how they will be compensated and how they will work. The educational programs are more easily advanced in this system because the management and the union negotiate the details of employee training and development.

It's the best bargaining system for advancing educational programs in the workplace because employees have more control over their working conditions, including pay and training. This can lead to increased motivation and job satisfaction, resulting in higher productivity.

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Why is communication within an organisation such an important part of the quality improvement process? Include an example(s) to support your answer. (10 marks)

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Communication within an organisation is an essential part of the quality improvement process. Communication refers to the act of exchanging information or ideas among individuals or groups. There are several reasons why communication within an organisation is critical to the quality improvement process.

These reasons are discussed below.

Firstly, communication is crucial in achieving the goals of the organisation. This is because it facilitates the exchange of information among employees, thereby making it easier to work towards a common goal.

Secondly, communication within an organisation helps to identify problems and challenges, and as a result, the management can take action to address these issues. Effective communication enables employees to share their opinions and ideas and contribute to the decision-making process.

Thirdly, communication helps in enhancing teamwork. This is because it promotes collaboration among employees and encourages them to work towards a common goal.

Fourthly, communication is vital in maintaining a healthy organisational culture. This is because it fosters open and honest communication among employees, which helps to build trust and respect.

As a result, employees were able to communicate more effectively, which led to faster identification and resolution of quality issues. This improved the overall quality of Toyota's vehicles and helped the company to regain its reputation as a quality car manufacturer.

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Calculate the fluid intake of an infant weighing 2 Kg:
D10W at 10 cc/hr __________ cc/kg/day
D10W at 12 cc/hr___________cc/kg/day
D10W at 6.7 cc/hr___________cc/kg/day
Calculate the fluid and caloric intake of an infant weighing 1700 grams PIV order: HAL D10W at 6 cc/hr, Lipid 10% at 1 cc/hr, and feeding of PE 22 22 at 6 CC Q3 hrs:
___________ cc/kg/day
___________cal/kg/day
Infant birth weight 300 grams, new admission, order PIV D10W 80 cc/kg/day at what rate will the PIV rate be set? _______ cc/hr
Then this ^same infant starts PO Enfamil 20 at 5 cc Q3, increasing feedings 5 cc every other feeding and titrate PIV to keep total fluid intake of 80 cc/kg/day:
What rate will the PIV rate be set at after the infant took 5 cc of Enfamil? ______ cc/hr
What will the PIV rate be set at after the infant took 15 cc of Enfamil?______ cc/hr
What will the PIV rate be set at if the infant took 20 cc and has emesis of 5 cc? ______cc/hr
What will be his full feed? _____ cc Q3 hr, ______cc Q4 hr

Answers

If the infant takes 20 cc and has emesis of 5 cc, the PIV rate would be set at:

PIV rate (in cc/hr) = (80 cc/kg/day - 20 cc + 5 cc) * 24 hours / 0.3 kg

The full feed for the infant would be:

Full feed = 5 cc Q3 hr + 5 cc Q3 hr + 10 cc Q3 hr + 10 cc Q3 hr = 30 cc Q3 hr

Full feed = 5 cc Q4 hr + 5 cc Q4 hr + 5 cc Q4 hr + 5 cc Q4 hr = 20 cc Q4 hr

To calculate the fluid intake of an infant, we can use the following formulas:

Fluid intake (in cc/kg/day) = Rate (in cc/hr) * 24 hours / Weight (in kg)

Fluid and caloric intake for an infant weighing 1700 grams with the following orders:

PIV order: HAL D10W at 6 cc/hr

Lipid 10% at 1 cc/hr

Feeding of PE 22 22 at 6 cc Q3 hrs

Fluid intake (in cc/kg/day) = (6 cc/hr + 1 cc/hr + 6 cc Q3 hrs * 8 feeds) * 24 hours / 1.7 kg

Caloric intake (in cal/kg/day) = (6 cc/hr * 3.4 cal/cc + 1 cc/hr * 1.1 cal/cc + 6 cc Q3 hrs * 8 feeds * 20 cal/cc) * 24 hours / 1.7 kg

For an infant with a birth weight of 300 grams, the PIV rate would be set at:

PIV rate (in cc/hr) = 80 cc/kg/day * 24 hours / 0.3 kg

After the infant takes 5 cc of Enfamil, the PIV rate would be set at:

PIV rate (in cc/hr) = (80 cc/kg/day - 5 cc) * 24 hours / 0.3 kg

After the infant takes 15 cc of Enfamil, the PIV rate would be set at:

PIV rate (in cc/hr) = (80 cc/kg/day - 15 cc) * 24 hours / 0.3 kg

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The finance department has been directed to reduce the cash-to-cash cycle time to 33.1 days.
You are the accounts payable manager and need to reduce the AP balance to achieve that goal. Given the following information, what must your AP balance be?
Days in the period: 26
Sales: $6,039,686
Inventory: $2,327,844
AR: $5,258,333
Cost of Sales: 70
(Your answer should be in whole dollars)

Answers

The finance department has been directed to reduce the cash-to-cash cycle time to 33.1 days. As the accounts payable manager, it is my responsibility to reduce the AP balance to achieve that goal.

The AP balance required can be calculated using the following formula:AP Balance = (COGS / Days in period) * Accounts payable turnoverAccounts Payable turnover = (COGS / Average AP Balance)From the given data:Sales = $6,039,686Inventory = $2,327,844AR = $5,258,333Cost of Sales = 70Days in the period = 26COGS = Sales * Cost of Sales%COGS = $6,039,686 * 70/100 = $4,227,780Accounts Receivable Turnover = (COGS / Average Accounts Receivable).

This means that we need to reduce the number of days it takes to pay our vendors. The accounts payable balance can be calculated as follows:Days payable outstanding (DPO) = 365 / Accounts Payable TurnoverDPO = 365 / 12.2 = 29.918AS we need to reduce the DPO to 33.1 days, we will take it as 33 days.Therefore, $4,861,880 / 33 * 26 = $3,814,366 must be the AP balance in order to achieve the goal of reducing the cash-to-cash cycle time to 33.1 days.

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Joy plc reports the following contribution margin income statement for the month of November. The company would purchase new machinery that reduce its variable cost per unit by $2 but increase fixed costs by 15%. Prepare and comment the projected contribution margin income statement for Joy plc if it purchases the new equipment (the sales level remains unchanged).

Answers

Sales remain unchanged, variable costs per unit are reduced by $2, and fixed costs increase by 15% for Joy plc's projected contribution margin income statement with new equipment.

Projected Contribution Margin Income Statement for Joy plc (with new equipment):

Sales: Unchanged

Variable Costs per Unit: Reduced by $2

Fixed Costs: Increased by 15%

Comment: The projected contribution margin income statement for Joy plc, assuming the purchase of new equipment, would reflect changes in variable costs per unit and fixed costs while keeping the sales level constant. The impact of these changes can be summarized as follows:

   Sales: The sales figure remains unchanged as mentioned in the scenario.

   Variable Costs per Unit: With the new equipment, the variable cost per unit is reduced by $2. This means that for each unit sold, the company would save $2 in variable costs.

   Fixed Costs: The fixed costs increase by 15% due to the purchase of new machinery. This indicates that the company would incur higher fixed expenses.

These changes would result in an updated contribution margin income statement for Joy plc. However, since the specific values for sales, variable costs, and fixed costs are not provided in the question, a detailed statement cannot be prepared. Nonetheless, it can be inferred that the purchase of new equipment would likely improve the contribution margin due to the reduction in variable costs per unit, although the increase in fixed costs should also be considered for a comprehensive analysis.

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To prepare 1-7 pages of the analysis on the Relationship of Consumer Purchase Behaviour toward the McDonald

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To prepare an analysis of the Relationship of Consumer Purchase Behaviour toward the McDonald's, there are several terms that can be included in your answer, such as Marketing strategies, Market research.

Here's how you can structure your analysis:

Introduction: Begin with an introduction to McDonald's and its importance in the fast-food industry. Discuss the purpose of the analysis and outline the key points to be covered.

Market research: The market research methods used to gather data on consumer behavior toward McDonald's. This could include surveys, focus groups, and observation studies.Consumer behavior: Discuss the factors that influence consumer behavior when it comes to choosing McDonald's over other fast-food chains. This could include factors such as price, convenience, and quality.

Marketing strategies: Evaluate the marketing strategies used by McDonald's to appeal to consumers. This could include advertising campaigns, promotions, and social media.Brand image: Analyze McDonald's brand image and how it impacts consumer behavior. This could include discussing the company's reputation, values, and messaging.Market segmentation: Discuss the different segments of the market that McDonald's targets and how this affects consumer behavior. This could include demographics such as age, income, and geographic location.Competitive analysis: Evaluate the competition that McDonald's faces in the fast-food industry and how this impacts consumer behavior. This could include discussing other fast-food chains such as Burger King, KFC, and Subway.

Conclusion: Sum up the key points discussed in the analysis and offer recommendations for how McDonald's can improve its marketing strategies to better appeal to consumers.

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Target Inventory Warning Portends Retail Bloodbath, WSJ, June 7, 2022 The retailer on Tuesday lowered its operating margin guidance for its second quarter to 2% less than half the margin it telegraphed three weeks ago. The company said it is taking actions to "right-size" its inventory, which will involve more discounts and canceling orders. With reference to the disruptions caused by the COVID-19 pandemic briefly discuss the challenges retail companies are facing with respect to their inventory management. Short Answer Toolbar navigation BIUS = |0|0 קוון I!!! IMI > 57 ку JPMorgan's Jamie Dimon Says Pandemic is Moving to the Rearview Mirror (October 13, 2021) JPMorgan's third-quarter profit rose 24%, though that was largely thanks to a release of rainy-day funds socked away during the pandemic's darkest days. Revenue was up just 1% and below Wall Street expectations. Bank earnings have been on a wild ride since last year. Early in the pandemic, the firms stockpiled billions of dollars to prepare for the coronavirus recession, sending profits sharply lower. But the economy bounced back much more quickly than expected. Banks have been releasing those reserves for several quarters, sending their profits sharply higher. Now investors are trying to figure out what the new normal looks like for the industry. With reference to the accounting for allowance for credit losses (doubtful accounts), briefly explain how JPMorgan posted a substantial increase in net profits from the prior year in spite of revenues only increasing by 1%. Short Answer Toolbar navigation BI US ≡≡ Ev

Answers

The COVID-19 pandemic created volatile consumer demand and supply chain disruptions, making it challenging for retailers to accurately forecast and manage inventory levels, resulting in stockouts and excess inventory that affected profitability.

The disruptions caused by the COVID-19 pandemic have presented significant challenges for retail companies in terms of inventory management. One major issue has been the volatility in consumer demand.

Lockdowns, social distancing measures, and shifting consumer behavior have led to unpredictable fluctuations in product demand. Some retail sectors, such as apparel and luxury goods, experienced a sharp decline in sales as consumers prioritized essential items and reduced discretionary spending.

On the other hand, sectors like home fitness equipment and home office supplies saw a surge in demand. These sudden shifts in demand patterns made it difficult for retailers to accurately forecast and manage their inventory levels.

Supply chain disruptions also played a role in inventory challenges. Global lockdowns and restrictions led to factory closures, transportation delays, and shortages of raw materials, making it challenging for retailers to maintain sufficient inventory levels.

This led to stockouts of popular items or excess inventory of slow-moving products, both of which negatively impact profitability.

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