CLO2 C1 CLO2 C4 DPB5043: BUSINESS FINANCE QUESTION 3 SOALAN 3 a) List any THREE (3) categories of financial ratios and TWO (2) main financial statements in evaluating financial ratios. Senaraikan mana-mana TIGA (3) kategori nisbah kewangan dan DUA (2) penyata kewangan di dalam menilai nisbah kewangan. [5 marks] [5 markah] b) Anggerik Company has the following statement of the financial position ended December 31, 2014. Below are the information of Anggerik Company. Syarkiat Anggerik mempunyai penyata kedudukan kewangan seperti berikut yang berakhir pada 31 Disember 2014. Di bawah adalah maklumat Syarikat Anggerik. Anggerik Company Syarikat Anngerik Statement of Financial Position as at December 31, 2014 Penyata kedudukan kewangan pada 31 Disember 2014 RM Current Liabilities / Liabiliti (a) Semasa Long Term Debt / Hutang 25 000 Jangka Panjang (b) Common Shares / Saham Biasa Retained Earnings / (c) Pendapatan Tertahan Total Liabilities and Equity / 200 000 Jumlah Liabiliti dan Ekuiti 7 Cash/Tunai Account Receivable / Akaun Belum Terima Inventory / Inventori Fixed Asset / Aset Tetap Total Asset/Jumlah Aset RM (d) (e) 37 500 (1)

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Answer 1

Financial ratios are used to evaluate various aspects of a company's financial performance and health. They can be categorized into three main categories: liquidity ratios, profitability ratios, and solvency ratios.

The financial ratios used in short-term obligations

Liquidity ratios assess a company's ability to meet its short-term obligations and measure its liquidity position. Examples include the current ratio and the quick ratio.

Profitability ratios evaluate a company's ability to generate profits from its operations and measure its overall profitability. Examples include the gross profit margin, net profit margin, and return on equity.

Solvency ratios gauge a company's long-term financial stability and its ability to meet its long-term obligations. Examples include the debt-to-equity ratio and the interest coverage ratio.

When evaluating financial ratios, two main financial statements are commonly used. The income statement provides information on a company's revenues, expenses, and net income or loss over a specific period.

The balance sheet presents a snapshot of a company's financial position at a specific point in time, showcasing its assets, liabilities, and shareholders' equity. Both statements are crucial in analyzing a company's financial health and performance.

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Related Questions

Develop a SWOT Analysis of your organization and indicate how
each of the strengths listed can be used to gain and/or maintain
the organization’s competitive advantage.

Answers

SWOT Analysis of an organization SWOT Analysis is an acronym for Strengths, Weaknesses, Opportunities, and Threats.

A SWOT Analysis helps businesses and individuals to identify their strengths and weaknesses and their external opportunities and threats. SWOT Analysis is a process of self-evaluation that helps to identify the factors that influence a company's ability to compete with its competitors. SWOT analysis of an organization can be defined as an analytical tool that is used to identify the internal and external factors that affect the organization's performance, growth, and sustainability. The SWOT Analysis helps to determine the organization's strengths and weaknesses, as well as the opportunities and threats that it faces. The following is a sample SWOT analysis of an organization: Strengths: The strengths of an organization include its ability to develop new products, its strong brand, its experienced staff, its financial resources, and its ability to generate revenue. These strengths can be used to gain and maintain the organization's competitive advantage. Weaknesses: The weaknesses of an organization include its limited product line, its weak brand, its inexperienced staff, its poor financial resources, and its inability to generate revenue. These weaknesses can be addressed to improve the organization's competitive advantage. Opportunities: The opportunities that an organization faces include new markets, new products, new partnerships, new technologies, and new customers.

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Discuss how the stock for Tesla is trending. Explain why the
stock is in either an uptrend or downtrend.
Discuss some of the factors, including environmental,
sustainable, and governance (ESG) factors

Answers

Tesla is one of the most well-known electric vehicle manufacturers and clean energy firms in the world. Tesla's stock, on the other hand, has been on a rollercoaster journey in recent months. In January 2021, the stock hit an all-time high of $880 per share, but it has since fallen to around $700 per share.

Tesla is one of the most well-known electric vehicle manufacturers and clean energy firms in the world. Tesla's stock, on the other hand, has been on a rollercoaster journey in recent months. In January 2021, the stock hit an all-time high of $880 per share, but it has since fallen to around $700 per share. The following is an in-depth analysis of how Tesla's stock is trending.

Tesla's stock is influenced by a variety of variables, including its financial results, earnings projections, growth rates, market sentiment, and other factors. The following are the main reasons for the current decline in Tesla's stock price: Sales projections: Many analysts expect Tesla's vehicle deliveries to slow down in the second quarter of 2021, causing revenue to decline in the short term. Many investors see this as a red flag, and the market's lack of enthusiasm has resulted in a fall in the stock price. Rising competition: Tesla is no longer the only electric car manufacturer in the game. As more and more auto giants enter the electric vehicle industry, competition is increasing, which has an impact on Tesla's valuation.

Governance: Tesla's corporate governance practices, particularly the dual role of Chairman and CEO, are the subject of debate. In the past, Elon Musk has demonstrated a tendency to communicate using his social media account, which has created controversies and legal issues for the firm.Environmental, Sustainable, and Governance (ESG) FactorsTesla's environmental and sustainable credentials have aided the company in gaining popularity among millennials and Gen Z consumers who are concerned about climate change. According to some studies, green and socially responsible investments are becoming more common among young investors. As a result, Tesla's ESG scores have increased, making it a more appealing investment option for ESG investors.

However, concerns about the company's governance have tarnished its ESG reputation. The presence of a lead independent director and a board composed of more independent directors is one example of corporate governance enhancement that could be implemented. Tesla's board of directors, on the other hand, does not appear to have such safeguards in place. This has a negative impact on Tesla's ESG rating as a result. In conclusion, Tesla's stock is currently in a downtrend due to a variety of factors, including a lack of enthusiasm among investors and increased competition in the electric vehicle industry. While the firm's ESG ratings have been high in the past, governance concerns have recently surfaced.

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Imagine you are starting a small fashion e-business by setting up an online clothing store/boutique. Explain the effective social media strategies that can help you to improve social media marketing and make your business stand out.

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Effective social media strategies for a fashion e-business include creating engaging content, utilizing influencers, leveraging user-generated content, and running targeted ads to improve social media marketing and make the business stand out.

When starting a small fashion e-business and setting up an online clothing store or boutique, effective social media strategies can greatly enhance social media marketing efforts and help the business stand out in a crowded digital landscape.

Create Engaging Content: Share visually appealing and high-quality images of your clothing products, showcasing their unique features and styling possibilities. Use compelling captions, storytelling, and interactive elements such as polls, quizzes, and contests to engage and interact with your audience.

Utilize Influencers: Collaborate with influencers and fashion bloggers who have a relevant following and engage with your target audience. They can promote your clothing brand, endorse products, and provide authentic reviews, helping to increase brand visibility and reach.

Leverage User-Generated Content (UGC): Encourage customers to share photos wearing your clothing items and use a branded hashtag. Share and feature UGC on your social media platforms to foster a sense of community, trust, and social proof. UGC serves as powerful word-of-mouth marketing and allows potential customers to see your clothing in real-life settings.

Run Targeted Ads: Utilize the advertising capabilities of social media platforms to reach your target audience effectively. Utilize demographic and interest-based targeting to display ads to users who are most likely to be interested in your clothing products.

Engage and Respond: Actively engage with your social media followers by responding to comments, direct messages, and inquiries promptly. Show appreciation for positive feedback and address customer concerns or issues professionally and promptly.

Stay Consistent and Authentic: Maintain a consistent brand image and voice across your social media platforms. Showcase the unique style and personality of your clothing brand, allowing customers to connect with your values and aesthetics.

Remember, social media success takes time and effort. Continuously analyze your performance, track metrics, and adapt your strategies based on audience feedback and insights to maximize the effectiveness of your social media marketing efforts.

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Hutto Corp, has set the following standard direct materials and direct labor costs per unit for the product it manufactures. Direct materials (16 lbs. $4 por lb.) Direct labor (2 hrs. 8 $15 per hr.) $

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The total standard cost per unit is $64+$30= $94. Hence, the total standard cost per unit for Hutto Corp is $94.

Standard costs are pre-determined costs that a business expects to incur in producing its goods or services. In other words, it refers to the cost per unit that a company expects to incur for a product or service over a given period. To set standard costs, a company typically determines the cost of direct materials, direct labor, and manufacturing overhead that it expects to incur for each unit of production over a given period.

Direct material refers to the raw materials that are directly used in the production process to make a product. This cost includes the cost of purchasing raw materials, storing and managing the inventory, and processing the materials through the production process. In the given problem, the standard direct material cost per unit is 16 lbs. at $4 per lb, which means the total direct material cost per unit is 16*4= $64.

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Which of the following statements is CORRECT?
If a 10-year, $1,000 par, zero coupon bond were issued at a price that gave investors a 10% yield to maturity, and if interest rates then dropped to the point where rd = YTM = 5%, the bond would sell at a premium over its $1,000 par value.
If a 10-year, $1,000 par, 10% coupon bond were issued at par, and if interest rates then dropped to the point where rd = YTM = 5%, we could be sure that the bond would sell at a premium above its $1,000 par value.
Other things held constant, including the coupon rate, a corporation would rather issue noncallable bonds than callable bonds.
Other things held constant, a callable bond would have a lower required rate of return than a noncallable bond because it would have a shorter expected life.
Bonds are exposed to both reinvestment risk and price risk. Longer-term low-coupon bonds, relative to shorter-term high-coupon bonds, are generally more exposed to reinvestment risk than price risk.

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The correct statement is: Bonds are exposed to both reinvestment risk and price risk. Longer-term low-coupon bonds, relative to shorter-term high-coupon bonds, are generally more exposed to reinvestment risk than price risk.

This statement highlights that bonds are subject to two types of risks: reinvestment risk and price risk. Reinvestment risk refers to the potential impact of changing interest rates on the reinvestment of coupon payments, while price risk refers to the potential impact of changing interest rates on the bond's market price.

The statement further explains that longer-term low-coupon bonds are more exposed to reinvestment risk compared to shorter-term high-coupon bonds. This is because the longer duration of the bond increases the likelihood of having to reinvest coupon payments at lower prevailing interest rates, potentially leading to lower overall returns.

The other statements provided in the options are not correct or accurately represent the relationships described.

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Dane Company budgets total overhead cost of $7,200,000. The company allocates overhead cost based on 100,000 budgeted direct labor hours. The single plantwide overhead rate is:
$36 per MH.
$36 per DLH.
$72 per MH.
$72 per DLH.
None of the above.

Answers

The single plantwide overhead rate is $72 per MH.

To calculate the plantwide overhead rate, we need to divide the total overhead cost by the total budgeted direct labor hours. In this case, Dane Company budgets a total overhead cost of $7,200,000 and allocates it based on 100,000 budgeted direct labor hours.

Plantwide overhead rate = Total overhead cost / Total budgeted direct labor hours

Plantwide overhead rate = $7,200,000 / 100,000

Plantwide overhead rate = $72 per MH (per machine hour)

Therefore, the correct answer is $72 per MH.

This means that for every machine hour worked, the company applies an overhead cost of $72.

The other options, $36 per MH, $36 per DLH, and $72 per DLH, are incorrect because they do not accurately reflect the calculation based on the given information.

In conclusion, the single plantwide overhead rate for Dane Company is $72 per MH. This rate is used to allocate overhead costs based on machine hours and helps the company determine the total overhead cost associated with its manufacturing operations.

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Which explains why specialization of labor came out of the rise of industry?

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Specialization of labor came out of the rise of industry because industrialization brought about a need for greater efficiency and productivity.

Specialization of labor refers to a method of organizing work where each worker focuses on one specific task, becoming an expert in that task. This approach increases efficiency and productivity, as each worker can perform their assigned task more quickly and accurately than if they were responsible for multiple tasks.What is the relation between specialization of labor and the rise of industry?The rise of industry and the need for mass production led to specialization of labor. As factories and other industrial operations became larger and more complex, it became necessary to break down the production process into smaller tasks that could be performed by different workers. Specialization of labor allowed factories to produce goods more quickly and efficiently, increasing productivity and profits. This approach also allowed workers to become experts in their assigned tasks, which increased their efficiency and productivity as well.

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Why do companies sometimes stock up on extra inventory? O They may be afraid of a strike in the vendor's factory. In anticipation of a rise in the cost of raw materials Surge in expected demand O For all these reasons.

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Companies sometimes stock up on extra inventory for various reasons. The most common reasons why companies stock up on extra inventory are in anticipation of a rise in the cost of raw materials and a surge in expected demand.

Additionally, companies may be afraid of a strike in the vendor's factory. Therefore, they have to stock up on extra inventory. Companies stock up on extra inventory in anticipation of a rise in the cost of raw materials. If a company anticipates that the cost of raw materials is going to increase in the near future, it may purchase more raw materials now before the price increases.

By doing so, the company can save money in the long run since it is purchasing the materials at a lower price.A surge in expected demand is another reason why companies may stock up on extra inventory. If a company expects that demand for its products will increase in the future, it may purchase extra inventory now to prepare for the increased demand.

By doing so, the company can ensure that it has enough inventory to meet the demand and avoid stockouts.Another reason why companies may stock up on extra inventory is that they may be afraid of a strike in the vendor's factory.

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The Stargate Company is contemplating the replacement of its old space-time machine with a new model costing $450,000. The old machine, which originally cost $500,000, has 5 years of expected life remaining and a current book value of $300,000 versus a current market value of $100,000. Stargate's corporate tax rate is 40 percent. If Stargate sells the old machine at market value, what is the initial after-tax outlay for the new space-time machine?

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The initial after-tax expenditure for the new space-time machine amounts to $370,000.

To calculate the initial after-tax outlay for the new space-time machine, we need to consider the tax implications of selling the old machine at market value.

The book value of the old machine is $300,000, and the market value is $100,000. Since the market value is lower than the book value, this implies a loss on the sale of the old machine.

The loss on the sale of the old machine is calculated as the book value minus the market value, which is $300,000 - $100,000 = $200,000. This loss can be used to offset taxable income and reduce the tax liability.

The tax savings from the loss on the sale of the old machine can be calculated by multiplying the loss by the corporate tax rate of 40%. Therefore, the tax savings would be $200,000 * 0.40 = $80,000.

The initial after-tax outlay for the new space-time machine is the cost of the new machine minus the tax savings from the sale of the old machine. Therefore, the initial after-tax outlay would be $450,000 - $80,000 = $370,000.

So, the initial after-tax outlay for the new space-time machine is $370,000.

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Suppose all possible investment opportunities in the world are limited to the five stocks listed in the following table. What are the market portfolio weights? Stock А. B Price/Share ($) 6.78 16.39 3.99 48.18 47.69 Number of Shares Outstanding (millions) 10 12 3 1 20 с D E Enter the percentage that each stock makes up of the total portfolio: (Round to two decimal places.) Stock % of Total (portfolio weight) A % B % с % D % E %

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Rounded to two decimal places, the market portfolio weights for the stocks are: Stock A: 5.31% , Stock B: 15.39% ,Stock C: 0.94% ,Stock D: 3.77% ,Stock E: 74.59%. To calculate the market portfolio weights for the given stocks, we need to determine the percentage that each stock makes up of the total portfolio.

First, let's calculate the total value of the portfolio by multiplying the price per share by the number of shares outstanding for each stock:

Total Value = (Price/Share * Number of Shares Outstanding)

Using the provided information, we can calculate the total value for each stock:

Stock A: Total Value A = $6.78 * 10 million

= $67.8 million

Stock B: Total Value B = $16.39 * 12 million

= $196.68 million

Stock C: Total Value C = $3.99 * 3 million

= $11.97 million

Stock D: Total Value D = $48.18 * 1 million

= $48.18 million

Stock E: Total Value E = $47.69 * 20 million

= $953.8 million

Next, we can calculate the total value of the portfolio by summing up the total values of all stocks:

Total Portfolio Value = Total Value A + Total Value B + Total Value C + Total Value D + Total Value E

Now, we can calculate the market portfolio weights by dividing each stock's total value by the total portfolio value and multiplying by 100 to convert it into a percentage:

Let's calculate the market portfolio weights:

Total Portfolio Value = $67.8 million + $196.68 million + $11.97 million + $48.18 million + $953.8 million

                    = $1,278.43 million

Market Portfolio Weight A = (Total Value A / Total Portfolio Value) * 100

                                           =($67.8 million / $1,278.43 million) * 100 ≈ 5.31%

Market Portfolio Weight B = (Total Value B / Total Portfolio Value) * 100

                                             =($196.68 million / $1,278.43 million) * 100 ≈ 15.39%

Market Portfolio Weight C =  (Total Value C / Total Portfolio Value) * 100

                                             =($11.97 million / $1,278.43 million) * 100 ≈ 0.94%

Market Portfolio Weight D = (Total Value D / Total Portfolio Value) * 100

                                            =($48.18 million / $1,278.43 million) * 100 ≈ 3.77%

Market Portfolio Weight E =  (Total Value E / Total Portfolio Value) * 100

                                          =($953.8 million / $1,278.43 million) * 100 ≈ 74.59%

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humorous messages enhance the effectiveness of an advertisement by:

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Humor has been shown to have a number of benefits when it comes to advertising, including improving communication, attracting attention, increasing retention, and reducing resistance. Humor can assist in building relationships between consumers and brands, which can lead to stronger brand loyalty.

Humorous messages are an important aspect of advertisements. It's been demonstrated that humor can enhance an advertisement's efficacy in a variety of ways. Humor has been shown to have a number of benefits when it comes to advertising, including improving communication, attracting attention, increasing retention, and reducing resistance.

Humor can assist in building relationships between consumers and brands, which can lead to stronger brand loyalty. Humorous messages can make the advertisement more effective by appealing to customers' emotions, improving recall, and providing a memorable experience, as described below:

Appealing to emotionsHumor has a unique way of appealing to customers' emotions, which can help them relate to the advertisement more. By invoking emotions, advertisements can make a strong connection with their audience. Advertising, when mixed with humor, has the potential to elicit positive emotions and strengthen brand recognition by creating a lasting memory. For example, Geico's funny commercials that star a gecko have become a symbol for the company and are instantly recognized.

Increasing recallHumorous messages are remembered more easily than serious or informative messages. When people are amused, they are more likely to pay attention, which aids in message retention. As a result, the ad stays in the viewer's mind for a longer period. Thus, humorous messages will make it easier for the customer to remember the advertisement.

Providing a memorable experienceHumor can also provide a memorable experience for consumers. Because funny advertisements are more enjoyable to watch, they are more likely to be remembered. The advertisement that gives a good laugh to the viewers is more likely to be talked about and shared. As a result, humorous messages can help the advertisement become more viral and attract more viewership.

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Why Do Capital Expenditures Increase An Organization's Assets (pp&e), While Other Expenditures, Like Paying Taxes, Employee Salaries, Utility Bills, Etc. Do Not Increase An Organization's Asset Base, But Instead Show Up As Expenses On The Income Statement That Reduce Equity Via Retained Earnings?

Answers

Capital expenditures, also known as CapEx, refer to expenditures made by an organization to acquire, improve, or maintain long-term assets such as property, plant, and equipment (PP&E). These expenditures are typically made with the intention of generating future benefits and enhancing the organization's productive capacity.

The reason capital expenditures increase an organization's assets (PP&E) is that they are considered investments in long-term assets that have the potential to generate economic benefits over an extended period of time. These assets are expected to contribute to the organization's revenue generation and profit-making capabilities.

On the other hand, expenditures such as paying taxes, employee salaries, utility bills, and other operating expenses are considered day-to-day expenses incurred in the regular course of business operations. These expenses are necessary to maintain ongoing business activities and generate revenue in the short term.

While operating expenses are necessary for the organization's day-to-day operations, they do not typically result in the acquisition or enhancement of long-term assets. Instead, they are recognized as expenses on the income statement in the period they are incurred. This recognition of expenses reduces the organization's equity via retained earnings, as these expenses are subtracted from revenue to determine the organization's net income or loss.

In summary, capital expenditures increase an organization's assets because they represent investments in long-term assets with future economic benefits, while other expenditures, such as operating expenses, are recognized as expenses on the income statement and do not increase the organization's asset base.

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To determine which variables relate to which factors, a researcher would use:

a. Factor loadings
b. Beta cieffucuents
c. Eigen values
d. Communalities

Answers

Factor loadings are used to determine the relationship between variables and factors in a factor analysis. Option A is the correct answer.

Factor analysis is a statistical technique used to uncover underlying factors or dimensions that explain the pattern of correlations among a set of observed variables.

Factor loadings indicate the strength and direction of the relationship between each variable and the underlying factor. Higher factor loadings indicate a stronger relationship between the variable and the factor. By examining the factor loadings, researchers can identify which variables are most strongly related to each factor.

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what is the notion (Concept) of strategic planning on the
corporate planning?

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Strategic planning refers to the process of defining and mapping out an organization's plans for achieving its objectives.

Strategic planning provides a structure for the entire organization's operations and goals, identifying strengths and weaknesses and outlining how to capitalize on opportunities while overcoming threats. Therefore, strategic planning is a crucial component of corporate planning. Corporate planning, as the name implies, involves the development of long-term strategies that help a business accomplish its objectives. Strategic planning provides a framework for corporate planning by identifying the resources required to achieve an organization's goals and objectives. It enables corporations to define and align their goals, objectives, and strategies while providing the foundation for long-term success.

In essence, strategic planning provides the means to achieve corporate planning by identifying the necessary resources, prioritizing efforts, and providing direction for the organization's future. It ensures that all parties understand the organization's vision, values, and goals and that they are working together to achieve those objectives. Therefore, strategic planning is crucial to a company's success by providing direction and focus while promoting communication, coordination, and teamwork among all involved parties.

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Summarize Fama and French’s findings from their five-factor
model. Compare this new model with the older CAPM and the
Fama-French three-factor models.

Answers

Fama and French's Five-Factor Model The Fama-French Five-Factor Model is an extension of the Fama-French Three-Factor Model, which adds two additional factors to the equation.

The Fama-French Three-Factor Model added market risk, book-to-market ratios, and small stock premiums to the CAPM equation. Their findings from Fama and French's five-factor model are:

1. The model provides a better fit to the empirical data.

2. The high loading of the two new factors SMB and HML reveals that they are major risk factors, as they have a significant impact on expected returns.

3. Size and value premiums are prevalent in stock markets worldwide.

4. Both high and low-beta stocks have higher average returns than those predicted by the CAPM.

5. The effects of all factors remain stable over time. The Five-Factor Model from Fama and French compares the traditional CAPM model and the Fama-French three-factor model to reveal how size, value, profitability, and investment have an impact on expected stock returns.

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explain the impact of inflation in the host country on a foreign
subsiadary's net present value analysis (npv)

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Inflation in the host country has a direct impact on a foreign subsidiary's net present value analysis (NPV).

The increase in inflation in the host country will lead to a decrease in the value of the currency of the host country in relation to the currency of the parent company.

The impact of inflation on a foreign subsidiary's net present value analysis (NPV) is that it leads to a reduction in the value of cash flows generated by the subsidiary, causing a decrease in the net present value of the subsidiary.

This occurs because inflation reduces the purchasing power of money, resulting in increased costs for the subsidiary, including production costs, transportation costs, and other operational expenses

.In a net present value analysis, the NPV of a foreign subsidiary is calculated by discounting future cash flows from the subsidiary to the present using an appropriate discount rate

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Which of the following statement regarding the R-square of the multiple regression analysis is NOT true?
1. identified as one of the outputs of regression analysis 2. assumes values from 0 to 1 3. provides a measure of percentage of the variation in the dependent variable that is explained by the variation in the independent variables 4. analyst wants to have R^2 close to 1

Answers

The statement "analyst wants to have R^2 close to 1" regarding the R-square of the multiple regression analysis is NOT true.What is R-squared?The coefficient of determination, denoted as R-squared or R², is a statistical measure that examines how well a regression model fits the observed data.

The R-squared value ranges from 0 to 1. The closer the value is to 1, the better the regression model fits the observed data.However, having an R-squared value close to 1 is not always desirable. While a high R-squared value may indicate that the model is a good fit for the data, it does not necessarily imply that the model is useful for predicting new data points. In such instances, a low R-squared value may indicate that the model is a better fit for the observed data.What is the main answer to this question?

The statement that "analyst wants to have R^2 close to 1" regarding the R-square of the multiple regression analysis is NOT true. The R-squared value ranges from 0 to 1, and the value of 1 indicates the perfect fit. Although it's ideal to have an R-squared value near to 1, it's not always the case. The R-squared value's main function is to evaluate how well the regression model suits the observed data, and it's not a measure of how useful it is for predicting new data points.

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briefly discuss the straight rebuy and modified rebuy strategies. what are the similarities and differences? when might it be beneficial to use one approach over the other?

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Modified rebuy is a scenario in which the buyer modifies the order while Straight rebuying is when a customer orders the same goods again without doing any research or thinking about different providers.

Modified rebuy may necessitate further investigation or analysis. There are several similarities between straight rebuy and modified rebuy buying scenarios. The business decides to place a different order with the same provider despite doing it twice.

In a straight rebuy, the reorder specifications match precisely the last order's specs. There is no time for delays, miscommunication, or uncertainty. In a modified rebuy, the corporation places a new order with the same supplier while changing a few details of the original order. It may be in terms of delivery speed, packing, quality, or design.

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What is the demographic and rockclimbing profile (meaning what type(s) of climbing do they typically engage in and how often do they engage in it) of Extreme Exposure's members? Question 2: How do members rate Extreme Exposure's various climbing facilities? Construct that Question 3: What are members' opinions of cost of the Extreme Exposure membership fee that they pay? Construct that.

Answers

The first question seeks to gather information about the demographic characteristics and climbing preferences of Extreme Exposure's members.

Demographic information may include age, gender, location, and other relevant details that provide an understanding of the member base. Additionally, it aims to explore the types of climbing activities that members typically engage in, such as sport climbing, bouldering, traditional climbing, or indoor climbing.

The question also inquires about the frequency of their climbing activities, whether they climb occasionally, weekly, or more frequently.

The second question focuses on assessing members' satisfaction with Extreme Exposure's climbing facilities.

It aims to gather feedback on various aspects of the climbing facilities, such as the quality of equipment, safety measures, cleanliness, layout, and accessibility. By asking members to rate these facilities, the company can gain insights into areas of strength and potential areas for improvement.

The third question explores members' opinions regarding the cost of the Extreme Exposure membership fee.

It aims to gather feedback on whether members perceive the fee as reasonable and whether they feel it offers good value for the services and facilities provided. By understanding members' opinions on the cost, the company can assess the competitiveness of their pricing strategy and make adjustments if necessary to meet members' expectations.

Overall, these questions provide valuable insights into the demographic profile, satisfaction with facilities, and perceptions of the membership fee among Extreme Exposure's members. This information can help the company tailor its offerings to better meet the needs and preferences of its members, leading to improved customer satisfaction and loyalty.

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FILL THE BLANK. 2. Hill and Helmers discuss the ways that the meaning of the Ground Zero Spirit, taken in the rubble of the twin towers on September 11, 2001, is influenced by audience's earlier understandings of the Flag Raising at Iwo Jima, taken during World War II. This is an example of the _____________ constitution of meaning.

A. symbolic

B. intertextual

C. ideological

D. compositional

Answers

This is an example of the intertextual. constitution of meaning. B. intertextualC. Option B

What is intertextual constitution?

The intertextual constitution of meaning refers to how the meaning of a text or cultural artifact is shaped by its relationship and connections to other texts or cultural references.

In the given scenario, Hill and Helmers discuss how the meaning of the Ground Zero Spirit photograph taken on September 11, 2001, is influenced by the audience's prior knowledge and understanding of the Flag Raising at Iwo Jima photograph taken during World War II.

The Flag Raising at Iwo Jima photograph is a well-known and iconic image that carries historical and symbolic significance. It represents American patriotism, unity, and resilience.

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The internet has enabled a number of innovative businesses to emerge. Give 3 such examples explaining why you feel they are particularly innovative (you are advised NOT to use well known, online businesses like Amazon etc. unless you can demonstrate that they are particularly innovative).

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Airbnb revolutionized the hospitality industry by connecting hosts and guests through a peer-to-peer accommodation marketplace. Stripe simplified online payment processing for businesses, while Coursera provided accessible online learning opportunities with partnerships with top institutions. These innovative businesses leveraged technology to disrupt traditional industries, offering unique experiences, seamless payments, and remote education. Their success stems from their ability to provide convenience, accessibility, and personalized solutions in the online space.

1. Airbnb: The innovative aspect of Airbnb lies in its peer-to-peer accommodation marketplace, disrupting the traditional hospitality industry by allowing individuals to rent out their properties. It leverages technology to connect hosts and guests, offering unique and personalized lodging experiences.

2. Stripe: Stripe is an innovative online payment processing platform that simplifies the process of accepting payments for businesses. It provides a seamless and developer-friendly solution, allowing businesses to easily integrate payment capabilities into their websites or applications, streamlining the payment process for both merchants and customers.

3. Coursera: Coursera is an innovative online learning platform that partners with top universities and organizations to offer a wide range of courses and degrees online. It brings education to a global scale, providing accessible and flexible learning opportunities for individuals worldwide, enabling them to upskill, gain knowledge, and pursue their educational goals remotely.

These examples demonstrate innovation through their disruptive business models, use of technology, and the transformation of traditional industries to offer unique services and opportunities in the online space.

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The Sturdy Construction Company Limited has undertaken the construction of flyover. The value of the contract is Rs. 12,50,000 subject to a retention Of 20% until one year after the certified corapletion of the contract, and final approval of the corporation's engineer. The following are the details as shown in the books 31st March 2021 Labour on site Rs. 4,05,000 Material direct to site less returns Rs. 4,20,000 Material received from stores Rs. 81,200 Hire and use of plant - plant upkeep account Rs. 12,100 Direct expenses Rs. 23,000 General overheads allocated to the contract Rs. 37,100 Material in and on 31st March 2021 Rs. 6,300 Wages accrued/outstanding on 31st March 2021 Rs. 7,800 Direct expenses accrued/outstanding on 31st March 2021 Rs. 1,600 Work not yet certified by the Corporation Engineer Rs. 16,500 Amount certified by the Corporation Engineer Rs. 11,00,000 Cash received on account Rs. 8,80,000.

Prepare:
(a) Contract account
(b) how the relevant items would appear in the Balance Sheet.

Answers

The Contract Account for the Sturdy Construction Company Limited's flyover project shows a total of Rs. 12,96,000 in debits and credits, including various expenses, materials, and certifications. The Balance Sheet reflects Rs. 4,59,400 in liabilities and Rs. 15,26,800 in assets, encompassing items such as retention, accrued expenses, work in progress, and cash receivable.

How do you prepare the Contract Account and Balance Sheet for Sturdy Construction Company's flyover project?

(a) Contract Account:

Contract Account

Particulars               |   Debit         |   Credit

------------------------------------------------------------------------------------

Labour on site                     |   Rs. 4,05,000   |

Material direct to site           |   Rs. 4,20,000   |

Material received from stores     |   Rs. 81,200     |

Hire and use of plant              |   Rs. 12,100     |

Direct expenses                    |   Rs. 23,000     |

General overheads allocated       |   Rs. 37,100     |

Material in and on site            |   Rs. 6,300      |

Wages accrued/outstanding         |   Rs. 7,800      |

Direct expenses accrued/outstanding|   Rs. 1,600      |

Work not certified                  |                  |   Rs. 16,500

Amount certified                     |                  |   Rs. 11,00,000

Cash received on account        |                  |   Rs. 8,80,000

Retention amount                     |                  |   Rs. 2,50,000

                                                                                _______

Total                                  |   Rs. 12,96,000 |  Rs. 12,96,000

Note: Retention amount is calculated as 20% of the contract value (Rs. 12,50,000 * 20% = Rs. 2,50,000).

(b) Balance Sheet:

Liabilities                      |     Amount (Rs.)   |      Assets                |    Amount (Rs.)

------------------------------------------------------------------------------------------------------

Current Liabilities:                                   |                          |

  Retention                        |     2,50,000      |  Work in Progress       |     8,46,500

  Wages Accrued/Outstanding |     7,800             |                              |    

  Direct Expenses Accrued/Outstanding | 1,600   |                            |    

Long-Term Liabilities:                               |                           |

  Retention (Due after one year) |    2,50,000    |                             |

                                                           |                           |

Shareholders' Equity:                               |                           |

  Capital                                 |                       |                             |    

  Retained Earnings                    |                      |                             |

Current Assets:                                        |                           |

  Material in and on site               |   6,300        |                            |

  Cash Receivable on account   |   8,80,000   |                            |

                                                           |                           |

Total Liabilities                                | 4,59,400         |   Total Assets         |  15,26,800

Note: The figures in the Balance Sheet represent the relevant items related to the construction contract. Other balance sheet items such as capital, retained earnings, and additional assets and liabilities have not been provided in the given information.

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A report that is used primarily for strategic decision making is called a(n) ____ report.A) executive B) summary C) key item D) exception

Answers

A report that is used primarily for strategic decision making is called an executive report.

Executive summaries are frequently created for top-level executives, department heads, and supervisors in businesses and organizations so they may rapidly access crucial information and make decisions.

The key aspects of a longer report are outlined in an executive summary. Often, it is designed to be shared with others who might not have the time to read the complete report. The executive summary alone should be sufficient for the reader to reach a conclusion. The report's main elements have to be summed up in an executive summary. The report's goals should be reaffirmed, its key ideas should be emphasized, and any findings should be discussed.

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On May 10, Ayayai Corp. issues 3,200 shares of $6 par value common stock for cash at $15 per share. Prepare a tabular summary to record the issuance of the stock. Include margin explanations for the changes in revenues and expenses. (If a transaction causes a decrease in Assets, Liabilities or Stockholders' Equity, place a negative sign for parentheses) in front of the amount entered for the particular Asset, Liability or Equity item that was reduced.) Assets Liabilities Paid-in-Capital PIC in Exce Common Stock Par Value Cash $ $ May 10 On May 10, Ayayai Corp. issues 3,200 shares of $6 par value common stock for cash at $15 per share. Prepare a tabular summary to record the issuance of the stock. Include margin explanations for the changes in revenues and expenses. (If a transaction causes a decrease in Assets, Liabilities or Stockholders' Equity, place a negative sign for parentheses) in front of the amount entered for the particular Asset, Liability or Equity item that was reduced.) Stockholders' Equity Retained Earnings renue Expense Dividend $ Paid-in-capital in excess of common stock Common stock Paid-in-capital in excess of preferred stock Dividends Interest expense Preferred stock e Textbook and Media Arraunts

Answers

The tabular summary to record the issuance of the stock:

Account Debit Credit Explanation

Cash $48,000 - Cash is increased by the amount of cash received from the issuance of stock.

Common Stock $19,200 - Common stock is increased by the par value of the stock issued.

Paid-in-Capital in Excess of Par Value - Common Stock $28,800 - Paid-in-capital in excess of par value is increased by the amount of the proceeds from the issuance of stock in excess of the par value.

Ayayai Corp. issues 3,200 shares of $6 par value common stock for cash at $15 per share. The total proceeds from the issuance of stock is $48,000. The par value of the stock is $19,200. The excess of the proceeds over the par value is $28,800. This excess is credited to Paid-in-Capital in Excess of Par Value - Common Stock.

The issuance of the stock increases the company's assets (cash) and equity (common stock and paid-in-capital in excess of par value - common stock). The increase in assets is offset by the increase in equity. There is no impact on revenues, expenses, or dividends.

The issuance of stock is a common way for companies to raise capital. When a company issues stock, it is essentially selling ownership in the company to investors. The investors who purchase the stock become shareholders and are entitled to a share of the company's profits.

The amount of cash that a company receives from the issuance of stock is typically greater than the par value of the stock. This is because the market price of the stock is often higher than the par value. The excess of the proceeds over the par value is credited to Paid-in-Capital in Excess of Par Value. This account represents the amount of money that the company has raised from investors above and beyond the par value of the stock. The Paid-in-Capital in Excess of Par Value account can be used by the company for a variety of purposes, such as:

Reinvesting in the business

Paying off debt

Making acquisitions

Issuing dividends to shareholders

The issuance of stock is a significant event for a company. It can have a major impact on the company's financial statements and its future prospects.

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Jobs, Alford, and Norris formed the JAN Partnership by making capital contributions of $150,000, $100,000, and $250,000, respectively on January 7, 2019. They anticipate annual net incomes of $240,000

Answers

Jobs, Alford, and Norris formed the JAN Partnership by making capital contributions of $150,000, $100,000, and $250,000, respectively on January 7, 2019. Jobs would receive 30% of $240,000, which is $72,000. Alford would receive 20% of $240,000, which is $48,000, while Norris would receive 50% of $240,000, which is $120,000.

The JAN Partnership was established by Jobs, Alford, and Norris on January 7, 2019, by contributing $150,000, $100,000, and $250,000, respectively, and they anticipate annual net incomes of $240,000.In a partnership, capital contributions are made by the partners. The quantity of capital that each partner contributes is recorded in the partnership accounts. These accounts are utilized to determine each partner's share of the profits or losses earned by the partnership. Jobs, Alford, and Norris contributed $150,000, $100,000, and $250,000, respectively, to the JAN Partnership. As a result, the entire capital contribution to the partnership is $500,000. Each partner's share of the profits or losses will be determined based on their capital contribution ratio. This ratio can be found by dividing each partner's capital contribution by the total capital contribution of all partners, or $500,000 in this case.Job's contribution is $150,000/$500,000, which equals 0.30. Alford's contribution is $100,000/$500,000, which equals 0.20.Norris' contribution is $250,000/$500,000, which equals 0.50. Their capital contribution ratio will be: Jobs = 30%, Alford = 20%, Norris = 50%.If the partnership has an annual net income of $240,000, it will be divided among the partners in accordance with their capital contribution ratio. Therefore, Jobs would receive 30% of $240,000, which is $72,000. Alford would receive 20% of $240,000, which is $48,000, while Norris would receive 50% of $240,000, which is $120,000.

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Sharon is considering the purchase of a car. After making the down payment, she will finance $10,270. Sharon is offered three maturities. On a four-year loan, Sharon will pay $236.51 per month. On a five-year loan, Sharon's monthly payments will be $193.81. On a six-year loan, they will be $165.40. Sharon rejects the four-year loan, as it is not within her budget. So, Sharon would pay $1,358.60 in interest over the life of the five-year loan. On the six-year loan, Sharon would pay $1,638.80 in interest. If Sharon had been able to afford the four-year loan, how much interest would she have saved compared to the five-year loan? The interest Sharon would have paid on the four-year loan is $ __________.

Answers

Sharon is considering the purchase of a car. After making the down payment, she will finance $10,270. She is offered three maturities. On a four-year loan, Sharon will pay $236.51 per month. On a five-year loan, Sharon's monthly payments will be $193.81.

Sharon is considering the purchase of a car. After making the down payment, she will finance $10,270. She is offered three maturities. On a four-year loan, Sharon will pay $236.51 per month. On a five-year loan, Sharon's monthly payments will be $193.81. On a six-year loan, they will be $165.40. She rejects the four-year loan, as it is not within her budget. Therefore, Sharon would pay $1,358.60 in interest over the life of the five-year loan. On the six-year loan, Sharon would pay $1,638.80 in interest.

Interest is a fee charged by a lender to a borrower for the use of their money. In this case, it is the fee that Sharon has to pay on the loan she takes out for her car purchase. A down payment, on the other hand, is a part of the purchase price of a property or vehicle that is paid upfront, reducing the amount of the loan needed. This is money that Sharon will have to pay towards the car purchase before the rest of the money is financed. The interest that Sharon would have paid on the four-year loan can be calculated as follows: Since she is financing $10,270, the total interest she pays on the loan is given as:

Loan amount × Interest rate × Time period= $10,270 × Interest rate × 4Interest rate × 4= Total interest paid / $10,270

Therefore, Interest rate for four-year loan= $1,358.60 / $10,270 = 0.132

The interest Sharon would have paid on the four-year loan is:

Interest rate × Loan amount × Time period= 0.132 × $10,270 × 4= $5,410.08

Therefore, Sharon would have paid $5,410.08 in interest on the four-year loan. To find out how much interest she would have saved compared to the five-year loan, we can subtract the amount of interest she would have paid on the four-year loan from the amount of interest she actually paid on the five-year loan: Interest saved = Interest on 5-year loan - Interest on 4-year loan= $1,358.60 - $5,410.08= -$4,051.48

Since the answer is negative, it means that Sharon would not have saved any interest by taking out the four-year loan instead of the five-year loan. Therefore, the interest Sharon would have paid on the four-year loan is $5,410.08.

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Booher Book Stores has a beta of 0.5. The yield on a 3-month T-bill is 3% and the yield on a 10-year T-bond is 7%. The market risk premium is 4.5%, and the return on an average stock in the market last year was 14%. What is the estimated cost of common equity using the CAPM? Round your answer to two decimal places.

Answers

The estimated cost of common equity using the CAPM is 0.08 or 8%.

The CAPM stands for the capital asset pricing model. It is utilized for determining the required return on an equity investment that is risk-free and for taking into account the risk incurred by a specific investment. CAPM (Capital Asset Pricing Model) is used for determining the required return on an equity investment that is risk-free and for taking into account the risk incurred by a specific investment.

The calculation of the cost of equity using the CAPM is given below:$$r_{e}=r_{f}+\beta \times (r_{m}-r_{f})$$Where; $r_{e}$= cost of equity, $r_{f}$= risk-free rate of return, $\beta$= beta, $r_{m}$= expected return of market now, let's put the given values in the above formula to calculate the cost of equity:$$r_{e}=0.03+0.5(0.14-0.03-0.045)$$On solving this, we get:$$r_{e}=0.08$$Therefore, the estimated cost of common equity using the CAPM is 0.08 or 8%.

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Explain asset management's relation to a corporations’ bottom
line.

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Asset management is a process that aids businesses in maintaining the value of their assets over time. The main objective of this process is to maximize the use of assets, optimize their life cycle costs, and ultimately increase the overall value of the business. Companies frequently use asset management software to track assets and assess their worth. Here are a few ways in which effective asset management relates to a company's bottom line:

Maintenance costs: When a corporation effectively manages its assets, it may anticipate potential problems and take steps to prevent them. This lowers maintenance expenses, reducing the firm's total expenditure and increasing its profitability.
Increased efficiency: A well-managed asset portfolio aids businesses in achieving better efficiency levels, which translates to higher profit margins. A business's operations are streamlined, lowering operating costs and increasing overall revenue.
Lifecycle costs: The cost of an asset over its entire life cycle is its life cycle cost. This includes installation, maintenance, and replacement expenses. Effective asset management can reduce the total life cycle cost of assets, leading to increased profits.
Asset utilization: Businesses must properly utilize their assets to achieve optimal efficiency. This requires regular monitoring and tracking of the assets, which is accomplished using asset management systems. Improved asset utilization can lead to increased productivity and higher profit margins.
In conclusion, asset management and the corporation's bottom line are strongly related. When a company manages its assets efficiently, it can save money on maintenance and lifecycle expenses, increase efficiency, and improve asset utilization, all of which can lead to increased profitability. Therefore, the significance of effective asset management cannot be overstated.

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Consider an investment costs $ 100,000 and has Cash inflow of $25,000 for 5 years. The а every year reemited Payback return is 9%, and out off. is 4 years. What is the discounted payback period?

Answers

The discounted payback period is 4 years.

To calculate discounted payback period, we need to calculate the present value of each cash inflow.

Present value of a cash inflow = Cash inflow ÷ (1 + r)ⁿ

where, r = Payback return

n = number of years

Let's calculate the present value of cash inflow for each year:

Year 1: $25,000 ÷ (1 + 0.09)¹ = $22,935.78

Year 2: $25,000 ÷ (1 + 0.09)² = $20,985.40

Year 3: $25,000 ÷ (1 + 0.09)³ = $19,267.68

Year 4: $25,000 ÷ (1 + 0.09)⁴ = $17,759.12

Year 5: $25,000 ÷ (1 + 0.09)⁵ = $16,439.25

To calculate discounted payback period, we need to calculate the cumulative present value of cash inflow. We keep adding the present values of cash inflow until it is greater than or equal to the initial investment.

Year 1: $22,935.78

Year 2: $43,921.18

Year 3: $63,188.86

Year 4: $80,947.98

Year 5: $97,387.23

We can see that discounted cash inflow is greater than the initial investment after Year 4. So, the discounted payback period is 4 years.

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A bond with a face value of $10,000 pays interest of 2% per year. This bond will be redeemed at its face value at the end of nine years. How much should be paid now for this bond when the first interest payment is payable one year from now and a 4% yield is desired? Click the icon to view the interest and annuity table for discrete compounding when the MARR is 2% per year.

Answers

A bond with a face value of $10,000 pays interest of paid now for this bond when the first interest payment is payable one year from now and a 4% yield is 2% per year. This bond will be redeemed at its face value at the end of nine years.

The first interest payment is payable one year from now and a 4% yield is desired.To find: how much should be paid now for this bond.Formula: PV

= [I x (1 - 1 / (1 + r)n)] / r + FV / (1 + r)nWhere:PV

= Present ValueI

= Interest payment per year FV

= Face value of the bond n

= Number of years

= discount rate / yield rate PV

= [200 x (1 - 1 / (1 + 0.04)9)] / 0.04 + 10000 / (1 + 0.04)9PV

= $7,414.27Hence, $7,414.27 should be paid now for this bond when the first interest payment is payable one year from now and a 4% yield is desired.

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