Per Snare Oceanic Company has 20,000 shares of cumulative preferred 3% stock, $100 par and 50,000 shares of $30 par common stock. The following amounts were distributed as dividends: Year 1 $150,000 Y

Answers

Answer 1

The dividends for preferred and common stock in Year 1 are $2.50 and $1.00 respectively; Year 2 are $0.40 and $0.16 respectively; and Year 3 are $3.00 and $1.20 respectively.

What are the dividends for preferred and common stock?

The dividends per share for preferred stock in year 1:

= Dividends / Number of preferred shares

= $50,000 / 20,000

= $2.50

The dividends per share for common stock in year 1:

= Dividends / Number of common shares

= $50,000 / 50,000

= $1.00

The dividends per share for preferred stock in year 2:

= Dividends / Number of preferred shares

= $8,000 / 20,000

= $0.40

The dividends per share for common stock in year 2:

= Dividends / Number of common shares

= $8,000 / 50,000

= $0.16

The dividends per share for preferred stock in year 3:

= Dividends / Number of preferred shares

= $60,000 / 20,000

= $3.00

The dividends per share for common stock in year 3:

= Dividends / Number of common shares

= $60,000 / 50,000

= $1.20.

Full question:

Oceanic Company has 20,000 shares of cumulative preferred 1% stock, $100 par and 50,000 shares of $30 par common stock. The following amounts were distributed as dividends:

Year 1 $50,000

Year 2 8,000

Year 3 60,000

Determine the dividends per share for preferred and common stock for each year.

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Related Questions

Describe at least two separate government policies which would reduce the level of inequality in an economy.

Answers

Main answer: Two separate government policies which can reduce the level of inequality in an economy are progressive taxation and increasing access to education.

Supporting explanation: Progressive taxation is a government policy that levies a greater tax rate on people who earn higher incomes and a lower tax rate on people who earn lower incomes. This helps to redistribute wealth and income and can help to reduce the level of inequality in an economy. For instance, if a person who earns $500,000 annually pays 50% of their income in taxes, they would have $250,000 left, whereas a person who earns $50,000 and pays 10% of their income in taxes would have $45,000 left. This helps to reduce the income gap and level of inequality between people. A second policy that can help to reduce the level of inequality in an economy is increasing access to education. By providing more opportunities for people to receive education, governments can help to level the playing field and reduce the impact of socioeconomic status on people's opportunities. Education can help to increase people's skills and knowledge, which can lead to better job prospects and higher wages. Additionally, it can also provide people with a greater understanding of their rights and responsibilities, which can help to empower them to make positive changes in their lives.

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Which of these are examples of buzzwords? Check all that apply.
a. Incentivize
b. Right-size
c. Actually
d. Value-added
e. Trashed

Answers

The examples of buzzwords among the given s are:

a. Incentivizeb. Right-size

d. Value-added

Buzzwords are often trendy or popular terms that are used to make something sound more impressive or appealing without providing substantial meaning or clarity.

of the s provided:

a. "Incentivize" is a buzzword commonly used to convey the idea of providing incentives or rewards to encourage certain behaviors or outcomes.

b. "Right-size" is a buzzword often used in the business context to describe the process of optimizing or adjusting the size or structure of an organization or project.

d. "Value-added" is a buzzword used to highlight the additional or extra value provided by a product, service, or action.

The other s, "Actually" and "Trashed," do not typically fall under the category of buzzwords. "Actually" is an adverb that simply indicates the truth or ness of a statement, while "Trashed" is a verb that describes the act of damaging or destroying something.

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2 HW Saved Consumers know that some fraction x of all new cars produced and sold in the market are defective. The defective ones cannot be identified except by those who own them. Cars do not deprecia

Answers

The fraction x is approximately 0.67, indicating that about 67% of the new cars produced and sold in the market are defective.

To determine the fraction x, we can set up an equation based on the expected value of purchasing a new car.

The expected value of purchasing a new car is the probability of purchasing a non-defective car multiplied by the value of a non-defective car, plus the probability of purchasing a defective car multiplied by the value of a defective car.

Let's denote the probability of purchasing a non-defective car as (1 - x) and the probability of purchasing a defective car as x.

The expected value equation can be written as:

Expected Value = (Probability of Non-defective Car * Value of Non-defective Car) + (Probability of Defective Car * Value of Defective Car)

Expected Value = ((1 - x) * $30,000) + (x * $7,500)

Since buyers are risk-neutral, the price of a new car reflects the expected value of purchasing a car. Therefore, the expected value should be equal to the price of a new car, which is $15,000.

Setting up the equation:

$15,000 = ((1 - x) * $30,000) + (x * $7,500)

Simplifying the equation:

$15,000 = $30,000 - $30,000x + $7,500x

Rearranging the terms:

$15,000 = $30,000 - $22,500x

Subtracting $30,000 from both sides:

$15,000 - $30,000 = - $22,500x

Simplifying:

$15,000 = - $22,500x

Dividing both sides by - $22,500:

x = $15,000 / $22,500

x ≈ 0.67

Therefore, the fraction x is approximately 0.67, rounded to two decimal places.

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The complete question is:

2 HW Saved Consumers know that some fraction x of all new cars produced and sold in the market are defective. The defective ones cannot be identified except by those who own them. Cars do not depreciate with use. Consumers are risk-neutral and value nondefective cars $30,000 each. New cars sell for $15,000 and used ones for $7,500. (Note that since buyers are risk-neutral, the price of a new car reflects the expected value of purchasing a car that may or may not be defective.) What is the fraction x?

What are the six steps on decision making progress? 1. Analyze the Problem, Consult Upper Management, Take Action, Implement the Solution, Ongoing Evaluation, Need for Adjustment 2. Analyze the Problem, Consider Alternative Solutions, Take Action, Implement the Solution, Cash Flow Diagram, Need for Adjustment 3. Analyze the Problem, Consider Alternative Solutions, Request Additional Resources, Implement the Solution, Ongoing Evaluation, Need for Adjustment 4. Analyze the Problem, Contemplate Alternative Solutions, Take Action, Implement Solution, Ongoing Evaluation, Need for Adjustment

Answers

The six steps on decision making progress is 3. Analyze the Problem, Consider Alternative Solutions, Request Additional Resources, Implement the Solution, Ongoing Evaluation, Need for Adjustment .

What is decision making ?

Determining a decision, acquiring data, and weighing potential solutions are all steps in the decision-making process. More careful, intelligent decisions by organizing pertinent information can be made as well as and outlining alternatives by following a step-by-step decision-making process.

The act of choosing a belief or a course of action from among a variety of potential alternative possibilities is referred to as decision-making.

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To protect their investment, bondholders could equal to the amount of the debt. Osell a put option O purchase a put option Owrite both a put and a call option Obuy a call option Owrite a call option with an exercise price

Answers

To protect their investment, bondholders could purchase a put option.

What is the formula for calculating the present value of a future cash flow?

When bondholders purchase a put option, they are acquiring the right, but not the obligation, to sell their bonds at a specified price (known as the exercise price) within a certain period of time.

This gives them the ability to protect their investment by selling the bonds if the bond's market value declines below the exercise price.

By exercising the put option, bondholders can mitigate potential losses and limit their exposure to declining bond prices.

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Which of the following are involved in regulating circadian rhythms?
A. Photoreceptors, hypothalamus, pineal gland
B. Medulla, thalamus, pituitary gland
C. Cerebral cortex, motor cortex, adrenal glands
D. Prefrontal cortex, occipital lobe, cerebellum

Answers

Among the given options, A. Photoreceptors, hypothalamus, pineal gland, is the correct answer.

The regulation of circadian rhythms involves the coordination of various biological processes, and the key components involved in this regulation are photoreceptors, hypothalamus, and the pineal gland.

Photoreceptors, located in the retina of the eye, play a crucial role in detecting light and transmitting this information to the brain. They are responsible for sensing changes in light intensity and play a pivotal role in entraining the circadian rhythm to the external environment.

The hypothalamus, a region in the brain, acts as the central control center for circadian rhythms. It receives information from the photoreceptors and processes it to regulate the timing and duration of various physiological and behavioral processes associated with the circadian rhythm.

The pineal gland, also located in the brain, is involved in the production and secretion of melatonin, a hormone that helps regulate sleep-wake cycles and other circadian rhythms. The pineal gland is particularly sensitive to changes in light exposure, and its activity is influenced by the input it receives from the hypothalamus.

These components work together to regulate circadian rhythms by detecting light, processing information, and controlling the timing and duration of various physiological and behavioral processes.

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Interest versus dividend income During the year just ended, Shering Distributors, Inc., had pretax earnings from operations of $493,000. In addition, during the year it received $30,000 in income from interest on bonds it held in Zig Manufacturing and received $30,000 in income from dividends on its 6% common stock holding in Tank Industries, Inc. Shering is in the 40% tax bracket and is eligible for a 70% dividend exclusion on its Tank Industries stock. a. Calculate the firm's tax on its operating earnings only. b. Find the tax and the after-tax amount attributable to the interest income from Zig Manufacturing bonds. c. Find the tax and the after-tax amount attributable to the dividend income from the Tank Industries, Inc., common stock. d. Compare, contrast, and discuss the after-tax amounts resulting from the interest income and dividend income calculated in parts b. and c. e. What is the firm's total tax liability for the year?

Answers

a. $197,200

b. $6,000 tax, $24,000 after-tax

c. $21,000 tax, $9,000 after-tax

d. Interest income has a higher after-tax amount than dividend income.

e. $218,200

How to solve

a. Tax on operating earnings = 40% * $493,000 = $197,200

b. Tax on interest income = 40% * $30,000 = $12,000

After-tax amount = $30,000 - $12,000 = $18,000

c. Tax on dividend income = 40% * $30,000 * (1 - 0.70) = $21,000

After-tax amount = $30,000 - $21,000 = $9,000

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If unemployment is the major problem in the economy, which of the following would be an appropriate monetary policy response? decrease taxes O decrease the discount rate O sell government bonds all of the above

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If unemployment is the major problem in the economy, a monetary policy response that would be appropriate is to decrease the discount rate. Option b is correct.

The monetary policy is the actions taken by the central bank to manage the supply and demand for money in the economy. It is one of the major policy instruments that are employed to maintain stability in the economy. When unemployment is a major problem in the economy, the central bank can take steps to reduce it by implementing an appropriate monetary policy response.

One of the most common monetary policy responses is to decrease the discount rate. This is the rate at which banks can borrow money from the central bank. By lowering the discount rate, the central bank makes it cheaper for banks to borrow money. This can lead to an increase in lending, which can in turn lead to an increase in investment and economic growth.

Decreasing taxes is a fiscal policy response, rather than a monetary policy response. It involves the government changing tax rates and spending levels to influence the economy. Selling government bonds is another monetary policy response, but it is not necessarily appropriate for addressing unemployment.

Therefore, the correct answer is b.

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Coronado, Inc. manufactures two products: missile range instruments and space pressure gauges. During April, 50 range instruments and 200 pressure gauges were produced, and overhead costs of $81,470 w

Answers

The overhead cost per unit for Instruments is $790.27 and for Gauges is $209.78

How to solve for the overhead costs

Firstly, the overhead rate for each activity can be determined by dividing the total cost by the total volume of the cost driver for that activity.

For Materials Handling:

Overhead Rate = Total Cost / Number of requisitions

= $31,350 / 625

= $50.16 per requisition

For Machine Setups:

Overhead Rate = Total Cost / Number of setups

= $28,280 / 1,045

= $27.06 per setup

For Quality Inspections:

Overhead Rate = Total Cost / Number of inspections

= $21,840 / 520

= $42 per inspection

Next, to assign the manufacturing overhead costs to the two products, multiply the cost driver volume for each product by the overhead rate.

For Instruments:

Overhead for Materials Handling = 420 requisitions * $50.16 per requisition = $21,067.20

Overhead for Machine Setups = 185 setups * $27.06 per setup = $5,006.10

Overhead for Quality Inspections = 320 inspections * $42 per inspection = $13,440

Total Overhead Cost for Instruments = $21,067.20 + $5,006.10 + $13,440 = $39,513.30

Overhead Cost Per Unit for Instruments = Total Overhead Cost / Units Produced

= $39,513.30 / 50

= $790.27 per unit

For Gauges:

Overhead for Materials Handling = 205 requisitions * $50.16 per requisition = $10,282.80

Overhead for Machine Setups = 860 setups * $27.06 per setup = $23,273.60

Overhead for Quality Inspections = 200 inspections * $42 per inspection = $8,400

Total Overhead Cost for Gauges = $10,282.80 + $23,273.60 + $8,400 = $41,956.40

Overhead Cost Per Unit for Gauges = Total Overhead Cost / Units Produced

= $41,956.40 / 200

= $209.78 per unit

So, the overhead cost per unit for Instruments is $790.27 and for Gauges is $209.78

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On January 3, Year 1, VB Technical Inc. borrowed $5,000,000 from BankAmerica. The loan has a 5-year term and a 6% fixed interest rate. Interest is payable semiannually on June 30 and December 31 of each year. On the same day, VB entered into an interest rate swap agreement with Last Bank Financial. The swap agreement specifies that VB will receive a fixed rate payment of 6% and pay a floating (variable) rate at Libor to Last Bank based on a $5 million notional amount. The net cash settlement dates (for differences in interest payments between VB Technical and Last Bank Financial) on the swap are also semiannual on June 30 and December 31 of each year.

Assume that interest rates increased steadily during Year 1. Also assume the following information as of June 30, Year 1:

VB paid $37,500 to Last Bank as a cash settlement based on the difference in interest payments related to the swap.
The fair value of the swap contract was negative at $(122,000), and
The fair value of the loan from BankAmerica (due to interest rate changes) was $4,878,000.

Required: Based on our class discussions and class work, answer each of the following questions:


Briefly explain the purpose of the above swap agreement and the specific risk that VB Technical is hedging.
Prepare the journal entry by VB Technical to record the execution of the swap contract on January 3, Year 1.
Prepare the journal entry to record the payment of interest expense on the loan payable to BankAmerica on June 30, Year 1.

Prepare the journal entry to record the net cash settlement on the swap with Last Bank Financial on June 30, Year 1.

Prepare the journal entry to record the change in the fair value of the swap contract on June 30, Year 1.
Prepare the journal entry to record the change in the fair value of the loan payable on June 30, Year 1.
What amounts would be reported on (a) the Balance Sheet, and (b) the Income Statement of VB Technical on June 30, Year 1 related to the above activity.

Answers

The purpose of the swap agreement is for VB Technical Inc. to hedge its interest rate risk. By entering into the swap, VB Technical is attempting to manage the exposure to fluctuating interest rates on its $5,000,000 loan from BankAmerica. VB Technical receives a fixed rate payment of 6% from Last Bank Financial and pays a floating rate based on Libor, effectively converting its fixed-rate loan into a variable-rate loan.

On January 3, Year 1, the journal entry by VB Technical to record the execution of the swap contract would be as follows:

Swap Liability 122,000

Cash 122,000

On June 30, Year 1, the journal entry to record the payment of interest expense on the loan payable to BankAmerica would be:

Interest Expense 150,000

Interest Payable 150,000

The journal entry to record the net cash settlement on the swap with Last Bank Financial on June 30, Year 1 would be:

Interest Payable 37,500

Cash 37,500

The journal entry to record the change in the fair value of the swap contract on June 30, Year 1 would be:

Swap Liability 122,000

Unrealized Gain/Loss 122,000

The journal entry to record the change in the fair value of the loan payable on June 30, Year 1 would be:

Loan Payable 122,000

Unrealized Gain/Loss 122,000

On the Balance Sheet of VB Technical on June 30, Year 1, the Swap Liability and Loan Payable would be reported at their respective fair values. The Unrealized Gain/Loss related to the swap contract and the loan payable would also be reported. On the Income Statement, the Interest Expense would be reported based on the interest payments made on the loan payable and the net cash settlement related to the swap.

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Select 3 types of mode of entry options, describe the benefits
and drawbacks of each, and then select a company as an example, and
explain their global approach to market entry. (10 marks)

Answers

There are many ways that a company can enter the international market, and in this regard, there are three types of mode of entry options that include exporting, joint ventures and direct investment.

Each of these modes has its own benefits and drawbacks. Exporting: This refers to the process of making a product in the home country and then selling it in another country. Exporting has several advantages including that it is the cheapest way of entering foreign markets, it allows a company to learn about foreign markets without having to make a major commitment and it allows for the use of existing production capacity. On the other hand, exporting also has some drawbacks including that there are limited control and communication with customers, and there are additional expenses that include transportation and tariffs.Direct investment: This refers to the process of a company building a subsidiary in another country. The benefit of direct investment is that it gives a company more control over the production process, and it allows the company to learn about foreign markets by being directly involved. However, it is an expensive way of entering a foreign market, and there is a higher level of risk involved.Joint ventures: This refers to the process of a company forming a partnership with another company in another country. The benefit of a joint venture is that it allows a company to share the cost and risk of entering a foreign market. Additionally, it can provide a company with local knowledge of the market. However, there is also the potential for conflicts with the partner company, and there may be limited control over the venture.Example: Apple's Global Approach to Market EntryApple uses several different modes of entry when it comes to international markets. One of the most common ways that Apple enters new markets is by using a direct investment strategy. For example, Apple opened its first store in China in 2008, and it now has over 40 stores in the country. Additionally, Apple has entered into partnerships with other companies in order to gain a foothold in foreign markets. For example, Apple has partnered with China Mobile to make the iPhone available to their customers.

Finally, Apple also uses exporting to reach markets where they do not have a physical presence. This includes markets such as India, where Apple is not currently selling products through its own stores.Overall, Apple's global approach to market entry is a combination of different modes of entry, depending on the market in question. By using a variety of modes of entry, Apple is able to achieve its goals of global expansion while minimizing risk and maximizing control.

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NPV and IRR Benson Designs has prepared the following estimates for a long-term project it is considering. The initial investment is $31,370, and the project will yield cash inflows of $5,000 per year for 10 years. The firm has a cost of capital of 12%.
a. Determine the net present value (NPV) for the project.
b. Determine the internal rate of return (IRR) for the project.
c. Would you recommend that the firm accept or reject the project? a

. The NPV of the project is $____(Round to the nearest cent.)

Answers

The NPV of the project is approximately **-$8,486.53** (rounded to the nearest cent).

To calculate the net present value (NPV) of the project, we need to discount the cash inflows to the present value using the firm's cost of capital. The formula for NPV is:

NPV = (Cash inflows - Initial investment) / (1 + Cost of capital)^n

Where:

Cash inflows = $5,000 (per year for 10 years)

Initial investment = $31,370

Cost of capital = 12%

n = number of years (10)

Plugging in the values, we have:

NPV = ($5,000 - $31,370) / (1 + 0.12)^10

NPV = -$26,370 / (1.12)^10

NPV ≈ -$26,370 / 3.1058

NPV ≈ -$8,486.53

Therefore, the NPV of the project is approximately **-$8,486.53** (rounded to the nearest cent).

Since the NPV is negative, it indicates that the project's expected cash inflows do not exceed the initial investment by a significant margin. This suggests that accepting the project may not be financially beneficial.

Note: It's important to consider other factors and evaluate the project in the context of the firm's goals, risk tolerance, and potential intangible benefits before making a final recommendation.

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In 2012, Indian technology consultant Infosys moved some operations to a site in Georgia. Which of the following best describes this situation with regard to the consultants employed by Infosys? Choose one: A. outsourcing to Georgia B. outsourcing to India C. monopsony power by Infosys D. derived demand in India E. derived demand in Georgia See Hint (0.5 point)

Answers

The best description of the situation with regard to the consultants employed by Infosys in this scenario would be outsourcing to Georgia. The correct option is A.

To take advantage of various advantages like cost savings, specialized knowledge or increased efficiency, outsourcing is the practice of contracting work or services to an external third party, frequently in a different location.

In this instance, an Indian technology consultant by the name of Infosys relocated some of its operations to a site in Georgia. This suggests that Infosys made the decision to move or assign some of its tasks to the new location in Georgia from its original location in India. As a result, the circumstance can be characterized as outsourcing to Georgia.

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Question 3 The following information has been obtained for Product R2-X that has been completed throughout a given period: Skilled labour 112 hours at £10.00 Unskilled labour 90 hours at £7.50 Raw materials 1,110 units at £3.00 per unit Product R2-X goes through two processes: mixing and refining. Budgeted overheads and budgeted activity for the two production departments – the Mixing Department and the Refining Department - are detailed below: Overheads Planned activity Mixing Department £30,000.00 5,000 machine hours Refining Department £25,000.00 4,000 machine hours Product R2-X is made in batches of 1,500 litres.
Required: a) Calculate an overhead absorption rate for the Mixing Department and the Refining Department using a suitable basis. [4 marks] b) Calculate the total manufacturing cost per litre of Product R2-X, assuming that it required 200 machine hours in the Mixing Department and 300 machine hours in the Refining Department. [6 marks] c) Assume that actual overheads at the end of the year amounted to £27,000 in the Mixing Department and £36,000 in the Refining Department, while 4,000 machine hours were worked in the Mixing Department and 6,000 machine hours were worked in the Refining Department. Calculate the amount of under-/over-absorbed overhead in each of production departments. [4 marks] d) Explain the reason behind under-/over- absorption and the associated adjustments that are needed to be made to the cost of sales. [6 marks] e) When allocating Service Cost Centre overheads to Production Departments, the direct method or the step-down method can be used. Briefly explain both methods and identify conditions that limit/enhance their suitability. [5 Marks]

Answers

Overhead absorption rate for the Mixing Department and the Refining Department using a suitable basis are as follows;The overhead absorption rate for the Mixing Department = £6.00 per machine hour.

b) The total manufacturing cost per litre of Product R2-X is £6.77/litre. The calculations are shown below;Total cost = £25,870 + (£6.00 × 200) + (£6.25 × 300) = £39,120 Cost per litre = £39,120 ÷ 5,775 litres = £6.77/litre d) Over-absorption occurs when the overheads are overestimated, or the activity level is underestimated, while under-absorption occurs when the overheads are underestimated or the activity level is overestimated. Adjustments need to be made to the cost of sales in order to reflect the actual amount of overhead that has been incurred in a particular period.

e) Direct method refers to the method used to allocate overheads to the production departments directly from the service cost centers. In this method, service cost center overheads are first allocated to production departments before being allocated to products.

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assuming the price of capital (k) is $10 per unit and the price of labor (l) is $5 per unit, what production technique should this firm use to produce 2 units of output? a. production technique a b. production technique b c. the firm is indifferent between production technique a and production technique b. d. it is impossible to determine if the firm should select production technique a or b because total fixed costs are not given.

Answers

Production technique a uses less capital and more labor, whereas production technique b uses more capital and less labor.

The formula for production function: Q = f(K,L)where Q = output or quantity K = capital L = labor Technique a: 2 = 10K + 5L (Technique a)Technique b: 2 = 5K + 10L (Technique b)If the firm uses production technique a; Total cost = 10K + 5L = 10(1) + 5(2) = $20If the firm uses production technique b; Total cost = 5K + 10L = 5(2) + 10(1) = $20Since both techniques have the same total cost, the firm is indifferent between technique a and technique b.

However, the question asked about the "production technique that the firm should use to produce 2 units of output". In this scenario, we are to choose technique b over technique a as it uses fewer units of input (capital + labor) to produce the same amount of output. Therefore, the main answer is option (b) Production technique b.

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Discuss what outcomes you seek from your work. How will you
communicate the outcomes of your work and to whom?

Answers

Discuss what outcomes you seek from your work. How will you communicate the outcomes of your work and to whom is to be productive, satisfied with the results, and make an impact. outlined below What outcomes you seek from your work It is a very significant.

it refers to the effectiveness of an individual in utilizing their skills to generate output and achieve targets. One of the significant outcomes that people seek from their work is to be productive and output-driven. Satisfaction - it is about being content with the work that you are doing and being happy with the results. Job satisfaction is one of the significant outcomes that people seek from their work. Having a job that makes you happy is essential and motivating .Impact - it is the effect that your work has on others. Making a difference in people’s lives through your work is one of the significant outcomes that people seek from their work. Impactful work can give a sense of purpose and personal fulfillment .How will you communicate the outcomes of your work and to whom

It is important to communicate the outcomes of your work to others, including your colleagues, superiors, and stakeholders. You can communicate the outcomes of your work through various mediums. Some of these mediums are:Emails - Email is one of the most popular ways to communicate. It allows you to communicate your outcomes in writing and attach supporting documents to provide evidence.Presentations - Presentations are an excellent way to communicate outcomes. You can create presentations using PowerPoint and other software. This medium can help you provide an in-depth explanation and evidence to support your outcomes.Project Reports - Reports are an excellent way to communicate your outcomes. Reports are informative and concise and help you communicate the results to a broader audience. You can use project management software to create reports that provide an overview of the outcomes achieved.ConclusionIn conclusion, the outcomes that you seek from your work include productivity, satisfaction, and impact. To communicate the outcomes of your work, you can use different mediums such as emails, presentations, and project reports. It is also essential to communicate your outcomes to your colleagues, superiors, and stakeholders.

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The allowance method that assumes a given percent of a company's credit sales for the period is uncollectible is: Multiple Choice O The percent of sales method O The percent of accounts receivable method. O The aging of accounts receivable method. O Direct write-off method.
O Factoring method

Answers

The allowance method that assumes a given percent of a company's credit sales for the period is uncollectible is known as the percent of sales method.

Under the percent of sales method, a company estimates the amount of its accounts receivable that will be uncollectible based on a percentage of its credit sales. The specific percentage is determined based on historical data, industry trends, and the company's past experience with bad debts.

The rationale behind this method is that a portion of credit sales is expected to be uncollectible due to factors such as customer defaults, bankruptcy, or financial difficulties. By estimating and recording this uncollectible amount as an allowance for doubtful accounts, the company reflects a more accurate picture of its accounts receivable and its potential losses.

It is important to note that the percent of sales method focuses on credit sales rather than the outstanding accounts receivable balance. It recognizes that not all credit sales will result in immediate collection, and a portion may eventually become uncollectible.

The percent of accounts receivable method, on the other hand, estimates the uncollectible amount based on a percentage of the outstanding accounts receivable balance. The aging of accounts receivable method analyzes the aging of individual accounts to determine the allowance amount. The direct write-off method involves writing off specific accounts as uncollectible when they are identified as such. The factoring method involves selling accounts receivable to a third-party factor at a discount.

In conclusion, the allowance method that assumes a given percent of a company's credit sales for the period is uncollectible is referred to as the percent of sales method.

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On Dec. 31, 2020, ABC Corp issued 4-year, 7% bonds with $1,000,000 as par value. ABC Corp. received $1,120,000 in cash. The bond interest is paid semiannually on June 30 and December 31 every year. �

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ABC Corp will make interest payments of $35,000 on June 30 and December 31 every year for the 4-year term of the bonds.

On December 31, 2020, ABC Corp issued 4-year, 7% bonds with a par value of $1,000,000. The bonds were issued at a premium, as the company received $1,120,000 in cash. The bond interest is paid semiannually on June 30 and December 31 every year.

When the bonds were issued, ABC Corp effectively borrowed $1,120,000 from investors. The 7% interest rate indicates that the company is obligated to pay 7% of the par value as interest each year. Since the interest is paid semiannually, the interest payments will be divided into two equal installments.

To calculate the interest payment for each semiannual period, we first determine the annual interest payment. The annual interest payment is calculated by multiplying the par value of the bonds by the interest rate: $1,000,000 x 7% = $70,000. Since interest is paid semiannually, each payment will be half of the annual interest payment: $70,000 / 2 = $35,000.

ABC Corp issued $1,000,000 par value bonds with a 7% interest rate. The company received $1,120,000 in cash due to the premium. The interest payments of $35,000 will be made semiannually on June 30 and December 31 each year for the 4-year term of the bonds.

The premium received will be amortized over the life of the bonds, affecting the effective interest expense.

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TRUE/FALSE. adverse selection hurts a company by wasting money on promotional efforts to the wrong people.

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The statement "Adverse selection hurts a company by wasting money on promotional efforts targeted at the wrong people" is true because adverse selection can be detrimental to a company's promotional efforts by wasting resources on targeting the wrong audience.

Adverse selection refers to a situation in which one party in a transaction possesses more information than the other party, leading to an imbalance of knowledge and potentially unfavorable outcomes.

In the context of marketing and promotion, adverse selection occurs when a company targets its promotional efforts towards a specific audience but unknowingly attracts individuals who are less likely to respond positively to the marketing message or convert into customers.

When a company invests resources in promotional activities that fail to reach the desired target audience, it results in a waste of money, time, and effort.

The company's marketing budget is not effectively utilized, and the return on investment (ROI) of the promotional campaign diminishes. Furthermore, this can lead to lower conversion rates, reduced sales, and a less efficient allocation of resources.

To mitigate adverse selection, companies can employ strategies such as market research, data analysis, and targeted segmentation to identify and focus on the most responsive and profitable customer segments.

By understanding their customers' needs, preferences, and behaviors, companies can tailor their promotional efforts more effectively, optimize their marketing spend, and achieve better results.

In conclusion, adverse selection can be detrimental to a company's promotional efforts by wasting resources on targeting the wrong audience. Employing strategies to minimize adverse selection and enhance targeting can help companies allocate their marketing resources more efficiently and increase the chances of success in their promotional campaigns.

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What is the book value per share if they have 350261 shares outstanding, common equity of $5675110 on their balance sheet, and the market price of each share is $20? Answer to two places to the right of the decimal point.

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To calculate the book value per share, divide the common equity by the number of shares outstanding.

Book Value per Share = Common Equity / Number of Shares Outstanding

Given:

Number of Shares Outstanding = 350261

Common Equity = $5675110

Market Price per Share = $20

Book Value per Share = $5675110 / 350261

Book Value per Share = $16.19 (rounded to two decimal places)

Therefore, the book value per share is $16.19.

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Amazon Industries utilizes a process costing system with just one processing department. The beginning work in process Inventory in Department A consisted of 11,500 units, 100% complete with respect to materials cost and 40 % complete with respect to conversion costs. The total cost in the beginning work in process Inventory for Department A was $22,600. A total of 40,000 units were transferred out of Department A during the month. The costs per equivalent unit were computed to be $1.30 for materials and $3.10 for conversion costs. What is the total cost of the units completed and transferred out of Amazon's Department A this period?

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The total cost of the units completed and transferred out of Amazon's Department A this period is $176,000.

Beginning WIP Units: 11,500100%

complete (materials)

40% complete (conversion costs)

Total cost for Beginning WIP Inventory: $22,600

Units Transferred out of Department A: 40,000

Cost per equivalent unit:Materials: $1.30

Conversion Costs: $3.10

To calculate the total cost of the units completed and transferred out of Amazon's Department A this period, the formula used is:

Total Cost = Cost of the Units Completed and Transferred Out + Cost of the Units in the Ending WIP Inventory

We know the following:

Total Units: Beginning WIP + Units Transferred Out

Total Units = 11,500 + 40,000

Total Units = 51,500

Calculation of cost of Units completed and transferred out= Total units transferred out * (Cost per equivalent unit for materials + Cost per equivalent unit for Conversion) = 40,000*(1.30+3.10)= 40,000*4.4= $176,000

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Consider the Solow model. Suppose that the economy is initially in the steady state. Suppose some of the nation’s capital stock is suddenly destroyed because of a natural disaster or a war. (a) Determine the long run (i.e., steady state) effects of this sudden de- crease in capital stock on capital per worker and on output per worker. (b) In the short run (i.e., during the transition), does the aggregate output grow at a rate higher or lower than the growth rate of population? (c) After World War II, real GDP growth in Germany and Japan was very high. How do your results in (a) and (b) shed light on this historical fact?

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(a) In the Solow model, a sudden decrease in capital stock will result in a lower level of capital per worker in the steady state. The steady state level of capital per worker, denoted as k*, is determined by the saving rate (s), the population growth rate (n), and the depreciation rate (δ). With a lower capital stock, the economy will converge to a new steady state with a lower level of capital per worker.

The output per worker, denoted as y*, is determined by the level of technology (A) and the capital per worker (k). As the capital stock decreases, the output per worker will also decrease in the steady state. The decrease in capital per worker reduces the economy's ability to produce goods and services, leading to a lower level of output per worker in the long run.

(b) In the short run, during the transition from the initial steady state to the new steady state, the aggregate output grows at a rate lower than the growth rate of population. This is because the sudden decrease in capital stock reduces the economy's productive capacity, leading to a temporary decline in output growth. As the economy adjusts and accumulates new capital over time, the growth rate of output per worker will eventually catch up to the growth rate of population.

(c) The high real GDP growth observed in Germany and Japan after World War II can be explained by the results in (a) and (b). Both countries experienced significant destruction of capital during the war, which caused a decrease in capital stock and output per worker. However, as they rebuilt their economies and invested heavily in new capital, they experienced a rapid increase in capital per worker and output per worker over time. The initial low levels of capital per worker created room for substantial catch-up growth, allowing Germany and Japan to achieve high real GDP growth rates during the post-war period.

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creates difficulties in communicating the benefits of a tourism service to potential consumers and increases the consumer's perceived risk of purchase because they cannot inspect products or services before reserving, travelling to, and often paying for, the product. O¹ Availability O2 Intangibility O Separability 04 Demand Supply Gap Activate Windows Go to Settings to activan Moving to another question will save this response.

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The difficulties in communicating the benefits of a tourism service to potential consumers and increases the consumer's perceived risk of purchase because they cannot inspect products or services before reserving, travelling to, and often paying for, the product is intangibility

Intangibility creates difficulties in communicating the benefits of a tourism service to potential consumers and increases the consumer's perceived risk of purchase because they cannot inspect products or services before reserving, traveling to, and often paying for, the product. Tourism services refer to activities that people engage in when they are traveling to different places for leisure or business purposes. The benefits of such services are not physical, and thus it is difficult to convey the value of the product to potential consumers.

When a consumer makes a purchase decision, they rely heavily on their perceptions of the product. Perceptions can be influenced by external factors such as marketing communication or word of mouth from family and friends. However, in the case of tourism services, consumers cannot touch, feel, or test the product before making a purchase. The inability to experience the product before purchasing can create uncertainty and increase the perceived risk of the purchase decision. So therefore difficulties in communicating the benefits of a tourism service to potential consumers and increases the consumer's perceived risk of purchase is intangibility.

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2. Based on your choices made in question one (1)
discuss the following under methodology;

a. Population & Sampling

b. Data collection instruments

c. Methods of data analysis and presentation

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a. Population & Sampling:

In the methodology section of a research study, it is essential to describe the population under investigation and the sampling techniques used to select participants from that population. The population refers to the entire group of individuals or elements that the researcher is interested in studying. It is crucial to define the population clearly to ensure the findings can be generalized accurately.

Sampling involves selecting a subset of individuals or elements from the population to be included in the study. The choice of sampling technique depends on various factors, including the research objectives, available resources, and feasibility. Common sampling methods include random sampling, stratified sampling, convenience sampling, and purposive sampling. The methodology section should specify the sampling technique employed and justify its appropriateness for the research study. b.

Data Collection Instruments:

Data collection instruments are tools or methods used to gather information from the participants or sources involved in the research study. These instruments can take various forms, such as surveys, interviews, questionnaires, observations, or existing records. The choice of data collection instruments depends on the research objectives, the nature of the data needed, and the characteristics of the study population.

When describing the methodology, researchers should provide details about the specific data collection instruments used. This includes explaining how the instruments were designed or adapted, addressing any validity or reliability considerations, and describing any pilot testing or modifications made to the instruments. It is important to ensure that the data collection instruments are appropriate for capturing the required data accurately and reliably.

c. Methods of Data Analysis and Presentation:

The methodology section should outline the methods used to analyze the collected data and present the findings. The choice of data analysis techniques depends on the research objectives, the type of data collected, and the research design. Common data analysis methods include descriptive statistics, inferential statistics, content analysis, thematic analysis, and qualitative coding.

Researchers should describe the specific data analysis techniques employed, providing details on how the data were analyzed, any software or tools used, and any statistical tests applied. Additionally, the methodology section should address any considerations related to ensuring data quality, such as data cleaning procedures or measures taken to address bias or confounding factors.

Regarding the presentation of findings, researchers should discuss how the data will be organized and presented in the research report. This may involve using tables, charts, graphs, or narrative descriptions. The methodology section should explain how the chosen presentation methods align with the research objectives and effectively communicate the results to the intended audience.

Overall, the methodology section provides a detailed account of how the population and sample were determined, how data were collected, and how the data were analyzed and presented. These elements ensure transparency and allow other researchers to replicate or validate the study's findings.

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Suppliers want to sell large quantities of products with a high

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Answer:

price

Explanation:

supplier will be willing and able to sell products for high prices as their able to make a good profit

The FASB Codification requires the following financial statements for all nongovernmental, not-for-profit organizations Statement of financial position, statement of activities, statement of cash flows, and statement of functional expenses. Statement of financial position, statement of operations, statement of cash flows, and statement of functional expenses. Statement of financial position, statement of activities, and statement of cash flows. Statement of financial position, statement of revenues and expenses, statement of cash flows, and statement of functional expenses.

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Answer:

Statement of financial position, statement of activities, and statement of cash flows

Explanation:

FASB Codification speaks about and explains what GAAP is and it removes nonessential information.

The reason for the Financial Accounting Standards Board (FASB) first of all, Accounting Standards Codification simply to place or put all accounting guidance in one place or location.

The aims or goals of the Codification

1. Making easy and understanding, the structure and accessibility of authoritative GAAP;

2. To give all authoritative literature in a single location;

3. Limit the time and effort required to research an accounting issue;

4. Limit the risk of noncompliance with GAAP;

5. Facilitate updating of accounting standards and others.

Which of the following is a limitation of the statement of financial position? OA. Assess future cash flows. OB. Compute rates of return. OC. Evaluate capital structure. OD. Valuation of items at historical cost.

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The limitation of the statement of financial position is: the valuation of items at historical cost. This is option D. The statement of financial position is also known as a balance sheet, contains the company's assets, liabilities, and equity at a specific point in time. It shows how much a company owes and what it owns at that specific time.

The statement of financial position has the following limitations: Historical cost valuation: Since the balance sheet presents assets at historical cost, it may not represent the actual value of the asset. Changes in the market value of the asset may not be reflected in the balance sheet. Presentation of intangible assets: The company's intangible assets such as goodwill, patents, copyrights, and so on may not be reflected in the balance sheet, resulting in an understatement of the company's actual value. Inaccuracy of the valuation: the assets and liabilities are estimated, meaning that they are subject to change. The estimates may be inaccurate, resulting in an inaccurate balance sheet.The balance sheet does not depict future cash flows:

The statement of financial position only depicts the present financial condition of the company, not the company's future financial condition. As a result, it is not a reliable predictor of future cash flows. Evaluation of capital structure: The balance sheet, in and of itself, does not provide information on the company's capital structure, which can be a significant factor in the company's financial performance. Computation of rates of return: The statement of financial position does not provide data on profits or revenue, which are required to compute a company's return on investment (ROI).

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9 utor and 30 sec ht until time has expired. The A Moving to another question will save this response. Question 10 Plant assets are used in business and have useful lives that extend over more than on

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Plant assets are long-term tangible assets used in business operations, with extended useful lives and their value tracked through depreciation and book value calculations.

Plant assets are essential for business operations and have extended useful lives spanning multiple periods. When acquiring such assets, their purchase price and accumulated depreciation are recorded in the accounting books to track their value over time. These long-term, tangible assets are instrumental in generating profits and are expected to provide economic benefits for more than a year. As time passes, the value of plant assets depreciates, which is recognized through the deduction of accumulated depreciation from the asset's cost. By calculating the book value, which is the difference between the cost and accumulated depreciation, companies can report the remaining value of the asset on their financial statements. This book value signifies the portion of the asset's value that is yet to be consumed or utilized.

In conclusion, plant assets are essential for businesses, with their value tracked through depreciation and book value calculations to accurately reflect their worth over time.

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if 4 buyers of Shoprite have P(Active) results as recorded below

Buyer A-0.0675

Buyer B- 0.1985

Buyer C- 0.1158

Buyer D- 0.3403

Do a robust analysis of the buyers’ P(Active) outcomes and suggest a game plan for Shoprite as they seek to increase sales.

Answers

Therefore, the standard deviation of P(Active) is approximately 0.0983.

Given:4 buyers of Shoprite have P(Active) results as recorded below

Buyer A - 0.0675

Buyer B - 0.1985

Buyer C - 0.1158

Buyer D - 0.3403

In order to do a robust analysis of the buyers’ P(Active) outcomes, let's first find the mean and standard deviation of P(Active).

Mean of P(Active) = (0.0675 + 0.1985 + 0.1158 + 0.3403) / 4= 0.1805

Thus, the mean of P(Active) is 0.1805

Now, let's calculate the standard deviation of P(Active).

Standard deviation of P(Active) = √[(0.0675 - 0.1805)² + (0.1985 - 0.1805)² + (0.1158 - 0.1805)² + (0.3403 - 0.1805)²]/3≈ 0.0983

Therefore, the standard deviation of P(Active) is approximately 0.0983.

There is a significant difference between the P(Active) of the four buyers, with Buyer D having the highest probability of being active. This suggests that Shoprite should target similar buyers to those of Buyer D. Shoprite should focus on advertising its products through social media and offer promotions to attract and retain customers. Shoprite should also encourage buyers to sign up for their loyalty program, which can help them to track customers' purchasing habits and make better decisions on product placement and promotions. Furthermore, the retailer should invest in market research to learn about consumers' preferences and purchasing habits. Incentives such as coupons or discount codes should be offered to customers who participate in surveys or provide feedback. All of these measures should help Shoprite increase sales and improve customer loyalty.

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Learning outcome: Differentiate between movement along a demand surve versus shift in a demand curve. Provide examples.
It is very important in the study of economics to understand the difference between "demand" and "quantity demanded" and between "supply" and " quantity supplied."
A change in price results in a change in quantity demanded (or quantity supplied) and thus cause movement up or down either curve.
There are other non-price determinants of demand and supply (see text, Ch. 3) that can cause the curves to shift either right or left, indicating a change in demand (or supply) at every given price. A shift to the right - also referred to as an outward shift - denotes an increase in demand (supply), while a shift to the left - aka an inward shift - denotes a decrease.
Your Task: Read and understand the section in your textbook chapter on factors that determine demand for a product. Understand the difference between change in quantity demanded (which results in a movement along a demand curve) versus change in demand (which indicates a shift of the demand curve). Figure 3.4 is your model for this discussion forum. Understand the figure carefully, watching the supplementary video if required. Then,
Choose any product as your example,
Identify one substitute and one complement for this product,
Explain what you expect will happen to the demand curve for your chosen product when each of the following happens:
i. the price for the substitute product falls,
ii. the price for the complement product falls,
iii. the price of your chosen product falls.

Answers

A demand curve represents the amount of a product that consumers will buy at a given price. Quantity demanded is the quantity of a commodity that is demanded at a certain price when other variables that could impact demand are held constant.

A movement along the demand curve is a change in the quantity demanded of a commodity caused by a change in the commodity's price. On the other hand, a change in demand shifts the entire demand curve to the left or right, indicating a change in the quantity of a commodity demanded at each price point. An outward shift of the demand curve indicates an increase in demand, while an inward shift indicates a decrease in demand.

Product example: Coffee , Substitute: Tea ,Complement: Coffee creamer

i. When the price for the substitute product (tea) falls, it is expected to increase the demand for coffee. As a result, the demand curve for coffee would shift to the right (outward shift). This shift indicates an increase in demand at every given price level for coffee. Consumers who previously purchased tea may switch to buying coffee due to the lower price of the substitute.

ii. When the price for the complement product (coffee creamer) falls, it is also expected to increase the demand for coffee. Coffee and coffee creamer are complements, as they are often consumed together. If the price of coffee creamer decreases, consumers may be more inclined to buy more coffee to accompany their creamer. This would result in an increase in the demand for coffee, leading to a rightward shift of the demand curve.

iii. When the price of coffee falls, it directly affects the quantity demanded rather than the demand itself. A decrease in the price of coffee would cause a movement along the demand curve, resulting in an increase in the quantity demanded at each price level. This means that consumers would be willing and able to buy more coffee at the lower price point, leading to a higher quantity demanded but not a shift in the demand curve.

In summary, changes in the price of substitute products and complement products can cause the demand curve for a particular product (in this case, coffee) to shift. However, changes in the price of the product itself result in movements along the demand curve, representing changes in quantity demanded.

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