(Related to Checkpoint 11.4) (IRR calculation) Determine the internal rate of return on the following project: An initial outlay of $10,000 resulting in a cash inflow of $2,000 at the end of year 1, $

Answers

Answer 1

To calculate the internal rate of return (IRR) on the given project, we need to find out the discount rate at which the net present value (NPV) of the project equals zero.

The formula to calculate NPV is:

NPV = -Initial Investment + Sum of CFt / (1+r)t

where, CFt = Cash flow at time t (in this case, cash inflow in year 1)
r = discount rate or IRR

Using the given data, we can calculate the NPV as follows:

NPV = -$10,000 + $2,000 / (1 + r)¹
Since we have only one cash inflow in year 1, we can directly use the formula for NPV and simplify it to:

NPV = -$10,000 + $2,000 / (1 + r)¹

To calculate the IRR, we need to find the discount rate (r) at which the NPV of the project is zero.

Therefore, we can set the above equation equal to zero and solve for r:

$0 = -$10,000 + $2,000 / (1 + r)¹

$10,000 = $2,000 / (1 + r)¹

5 = 1 + r

Taking the square root of both sides, we get:

2.236 = 1 + r

Subtracting 1 from both sides, we get:

1.236 = r

Therefore, the internal rate of return (IRR) on this project is 123.6%.
However, it is important to note that this IRR seems to be very high and unrealistic, given the small cash inflow and large initial outlay.

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Related Questions

If a family forecasts that they will have negative net cash flow for each of the next six months, they must be a. planning to have a positive cash flow in the following six months. b. using credit to finance the budget shortfall. c. planning to file for personal bankruptcy. d. spending less than their after-tax income.

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If a family forecasts that they will have negative net cash flow for each of the next six months, they must be spending less than their after-tax income. The negative net cash flow means that the family is spending more money than it is earning in a given period.

Therefore, the family would need to find ways to cut down their expenses. They can consider reducing the number of times they eat out, getting rid of subscriptions that are not necessary, or even moving to a more affordable house or apartment. By spending less, they will have more money to meet their basic needs like food, housing, and utilities. They may also need to save some money to cater for unexpected expenses that may come up in the future. Using credit to finance a budget shortfall is not a good idea since the family will end up with more debt to pay, which may increase their financial problems. Filing for personal bankruptcy should be the last resort when the family has tried all other options and failed to manage their finances.

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Derek currently has $13,056.00 in an account that pays 5.00%. He will withdraw $5,264.00 every other year beginning next year until he has taken 5.00 withdrawals. He will deposit $13056.0 every other year beginning two years from today until he has made 5.0 deposits. How much will be in the account 26.00 years from today?

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The amount in the account 26.00 years from today will be $58,345.16.

The present value of annuity is $5,264.00, with a term of 5, an interest rate of 5.00%, and a payment frequency of two. The future value of annuity is $8,497.79, with a term of 5, an interest rate of 5.00%, and a payment frequency of two.

Therefore, we can use the formula to calculate the future value of the annuity:

FV of annuity = Annuity (1+i)^n-1/i, where Annuity = $5,264.00, i = 5.00%, n = 5/2 = 2.5 (because there are five annuity payments but they are made every other year, thus they are spread over ten years, so n = 5/2 = 2.5)

FV of annuity = $5,264.00 (1+0.05)^2.5-1/0.05FV of annuity = $25,854.18

We will use the future value of the annuity to calculate the future value of the deposit.

FV of deposit = $13056.00 (1+0.05)^24FV of deposit = $32,490.98

Now, we can use the future value of annuity and deposit to calculate the future value of the account, which is:

FV of account = FV of deposit + FV of annuity

FV of account = $32,490.98 + $25,854.18

FV of account = $58,345.16

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In year 2020, E Corp has an operating leverage of 1.25, margin of safety of P 100,000 and Contribution margin ratio of 40%. If sales increased by 10% and fixed cost is P 10,000, what will be the net income in year 2021?
*P = Philippine Peso
A. 48,000
B. 45,000
C. 44,000
D. None of the above

Answers

The net income in the year 2021 is P45,000 where P is equal to Philippine Peso. Option B is the correct answer.

The ratio of fixed costs to variable costs Operating is known as leverage. The difference between actual sales and break-even sales is known as the margin of safety. The contribution margin ratio is the ratio of contribution margin to sales.

Given

Operating leverage = 1.25

The margin of safety = P 100,000

Contribution margin ratio = 40%

We can calculate the break-even sales as follows:

Break-even sales = Fixed costs / Contribution margin ratio

= P 10,000 / 0.4

= P 25,000

Actual sales in the year 2020 are given as,

Actual sales = P 125,000 (P 25,000 + P 100,000)

If sales increased by 10% in the year 2021, then sales in the year 2021 would be given as,

= P 137,500 (P 125,000 × 1.10)

The contribution margin in the year 2021 would be given as,

= P 55,000 (P 137,500 × 0.4)

The net income in the year 2021 would be given as,

= P 45,000 (P 55,000 - P 10,000)

Therefore, the net income in the year 2021 is P45,000.

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Miller's has a return on asset of 0,262, a return on equity of 0.168 and a dividend payout ratio of 15 percent. The total asset turnover is 1.6 and the debt-equity ratio is 4. What is the sustainable rate of growth?

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To calculate the sustainable rate of growth, we can use the DuPont formula, which combines the return on assets (ROA), the total asset turnover, and the return on equity (ROE).

The DuPont formula is as follows:

ROE = ROA x Total Asset Turnover

Given information:

ROA = 0.262

ROE = 0.168

Total Asset Turnover = 1.6

Dividend Payout Ratio = 15%

Debt-Equity Ratio = 4

First, we need to calculate the equity multiplier, which is the inverse of the debt-equity ratio:

Equity Multiplier = 1 + Debt-Equity Ratio

Equity Multiplier = 1 + 4

Equity Multiplier = 5

Next, we can calculate the sustainable rate of growth using the DuPont formula:

ROE = ROA x Total Asset Turnover

0.168 = 0.262 x 1.6

Now, let's solve for the ROA:

ROA = 0.168 / 1.6

ROA = 0.105

Finally, we can calculate the sustainable rate of growth using the ROA and the dividend payout ratio:

Sustainable Rate of Growth = (1 - Dividend Payout Ratio) x ROA

Sustainable Rate of Growth = (1 - 0.15) x 0.105

Sustainable Rate of Growth = 0.085 x 0.105

Sustainable Rate of Growth = 0.008925 or 0.8925%

Therefore, the sustainable rate of growth for Miller's is approximately 0.8925%.

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The following information is needed to reconcile the cash balance for Gourmet Catering Services A deposit of $5,600 is in transit. * Outstanding checks total $1,000 *The book balance is $6,400 at February 28, 2019. The bookkeeper recorded a $1,800 check as $17,200 in payment of the current month's rent *The bank balance at February 28, 2019 was $17,410. *A deposit of $400 was credited by the bank for $4,000. *A customer's check for $3,300 was returned for nonsufficient funds. The bank service charge is $90. What was the adjusted book balance? O A. $18,410 OB. $18,500 O C. $18,590 O D. $17,500

Answers

The adjusted book balance after reconciling the cash balance for Gourmet Catering Services is $18,590.

The process of reconciling the bank statement with a company’s financial records is known as bank reconciliation. The purpose of this process is to ensure that the company’s records of its bank accounts are accurate, and that the balances on the bank statement and the company’s books match up. A bank reconciliation involves comparing the bank statement to the company’s records, and identifying any differences between the two.

The following information is needed to reconcile the cash balance for Gourmet Catering Services: Outstanding checks total $1,000. The book balance is $6,400 at February 28, 2019.The bookkeeper recorded a $1,800 check as $17,200 in payment of the current month's rent. The bank balance at February 28, 2019 was $17,410. A deposit of $400 was credited by the bank for $4,000.A customer's check for $3,300 was returned for nonsufficient funds.

The bank service charge is $90.To reconcile the cash balance, we need to add any deposits in transit and subtract any outstanding checks. In this case, we have a deposit of $5,600 in transit, and outstanding checks total $1,000. Therefore, we need to add $5,600 and subtract $1,000 from the book balance to get $11,000.

Next, we need to adjust for the errors made by the bookkeeper. The bookkeeper recorded a $1,800 check as $17,200 in payment of the current month's rent. Therefore, we need to subtract $15,400 from the book balance to get $5,600.Finally, we need to adjust for the bank errors. The bank balance at February 28, 2019 was $17,410. A deposit of $400 was credited by the bank for $4,000. Therefore, we need to subtract $3,600 from the bank balance to get $13,810.

Also, a customer's check for $3,300 was returned for nonsufficient funds, so we need to subtract $3,300 from the bank balance to get $10,510. Lastly, we need to subtract the bank service charge of $90 to get a final adjusted bank balance of $10,420.

The adjusted book balance after reconciling the cash balance for Gourmet Catering Services is $18,590. Therefore, the correct option is C. $18,590.

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1. How does each of the following influence the dividend policy of a company: ▪ Profitability and liquidity ▪ Legal and contractual constraints ▪ Investment opportunities ▪ Industry practices

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The dividend policy of a company refers to the guidelines and decisions made by the company regarding the distribution of profits to its shareholders in the form of dividends. It outlines how much and when dividends will be paid, taking into account factors such as profitability and liquidity, legal and contractual constraints, investment opportunities, and industry practices.

The dividend policy of a company is influenced by each factors in the following ways:

1. Profitability and liquidity: A company with high profitability and ample cash reserves is more likely to pay dividends to its shareholders. This is because profitable companies have enough money to pay dividends while liquid companies have enough cash to meet the needs of the business.2. Legal and contractual constraints: Legal and contractual constraints, such as debt covenants or agreements with preferred shareholders, can impose restrictions on a company's ability to pay dividends. For example, companies that have issued debt securities may be contractually obligated to pay dividends before they can use any of their profits for other purposes.3. Investment opportunities: The availability of profitable investment opportunities can impact a company's dividend policy. Companies that have high investment opportunities may decide to reinvest their profits rather than paying dividends. This is because reinvesting profits may provide a higher return than paying dividends. In contrast, companies with low investment opportunities are more likely to pay dividends.4. Industry practices: Industry practices and norms can influence a company's dividend policy. Some industries are traditionally associated with high dividend payouts, while others prioritize reinvestment for future growth. For example, companies in mature industries are more likely to pay dividends than those in growth industries. This is because mature companies have a steady cash flow and fewer investment opportunities compared to growth companies. Similarly, companies in regulated industries may be required by law to pay dividends.

It's important to note that these factors are not mutually exclusive, and companies need to carefully evaluate and balance them when formulating their dividend policy. The specific circumstances and objectives of the company, as well as the preferences of its shareholders, also play a significant role in shaping the dividend policy.

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How does physical, emotional and behavioral symptoms of health
problems affects the employee relations

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Physical, emotional, and behavioral symptoms of health problems can have a significant impact on employee relations. Employees suffering from such symptoms can experience difficulty in communicating, performing their jobs effectively, or coping with stressors that arise in the workplace.

Physical symptoms such as chronic pain, fatigue, or mobility issues can limit an employee's ability to perform their job duties. This can lead to frustration, decreased productivity, and potential conflicts with coworkers. Employees may need to take time off work to manage their health issues, which can create staffing challenges for the employer. This can cause tension in employee relations, as coworkers may feel they are picking up the slack.
Emotional symptoms such as anxiety or depression can also impact an employee's ability to perform their job duties. These symptoms can lead to decreased motivation, difficulty concentrating, and irritability. Employees may also experience difficulty managing their emotions in the workplace, which can lead to conflicts with coworkers or management.
Behavioral symptoms such as substance abuse or anger outbursts can have a significant impact on employee relations. Employees exhibiting such behaviors can be a liability to the employer, and may pose a risk to other employees. Management may need to intervene to address the behavior, which can cause tension and conflict in employee relations.
Overall, physical, emotional, and behavioral symptoms of health problems can have a significant impact on employee relations. Employers should be proactive in addressing these issues, and provide employees with the support they need to manage their health concerns effectively. This can include providing accommodations, offering counseling services, or implementing workplace wellness programs. By taking these steps, employers can help to maintain a positive and productive work environment, and foster positive employee relations.

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What is the first step that must
be taken in the dissolution of a
corporation?

Answers

Answer:

D

Explanation:

The first step to closing up shop is receiving shareholder approval to formally close the corporation. The board of directors should adopt a resolution to dissolve the corporation and receive approval for the action.

Butch's Auto Shop services 5,000 cars annually at an average price per car of $1,000. He and his staff expend 10,000 labor hours at an average rate of $50/hour. Overhead is 1.33 times labor cost. Material is $500,000.
What percentage of Butch's total productivity input is due to labor cost?

Answers

The percentage of Butch's total productivity inputs due to labor costs is 7.69 percent.

In this scenario, Butch's Auto Shop services 5,000 cars per year at an average cost of $1,000 per car. Butch and his team spend 10,000 hours on labor, which costs an average of $50 per hour. Overhead costs are 1.33 times labor costs. Material costs $500,000.

We must compute the labor costs' proportion of Butch's total productivity inputs. We will use the following formula for this: Percentage of productivity due to labor cost = (Labor cost/Total productivity inputs) * 100%Where, Labor cost = 10,000 hours x $50/hour = $500,000Total productivity inputs = (5000 x $1000) + $500,000 + $500,000 = $6,500,000

Substituting the above values in the formula, we have:(500,000/6,500,000) x 100% = 7.69%Therefore, the percentage of Butch's total productivity inputs due to labor costs is 7.69 percent. The other expenses are due to material and overhead costs, which are $500,000 and 1.33 times labor costs, respectively.

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"How do you access the Expression Builder to add a calculated field to a report? in the Report Wizard in the Format tab through Control Source in the Property Sheet through the Group & Sort function in Design tab through the Design View dialog box under Controls​

Answers

B through control source in the property sheet

Answer: absnaja

Explanation: ekaksjen

Which of the following statements is sufficient to create franchise tax nexus for a New York Foreign corporation?
a. The maintenance of cash balances with banks or trust companies in New York;
b. The maintenance of an office in New York by one or more officers or directors of the corporation who are not employees of the corporation if the corporation otherwise is not doing business in New York, and does not employ capital or own or lease property in New York;
c. Advertising on a New York server or through a New York Internet service provider having nexus with New York;
d. A foreign corporation sends salesmen into New York to solicit orders. The orders must be accepted at the home office of the corporation located in another state. The corporation displays goods in New York City at a space leased occasionally and only for short periods of time.

Answers

Advertising on a New York server or through a New York Internet service provider having nexus with New York is sufficient to create franchise tax nexus for a New York Foreign corporation. The answer is OPTION C

A company typically has a physical presence in New York when it has a store, warehouse, inventory, or when it sends out salespeople or reps frequently. However, the methods listed below also allow out-of-state merchants to prove nexus. Sales tax is not applied to the sale of advertising services.

Advertising services include media placement, campaign conception and advice, and the creation of advertising campaigns. As soon as an out-of-state retailer reaches a predetermined volume of sales transactions or gross revenue activity (a threshold) within the state, economic nexus law often mandates the business to collect and pay sales tax. No actual presence is necessary.

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On May 1, 2022, AA and BB formed a partnership, agreeing to share profits and losses in the ratio of 2:4, respectively. AA invested a portion of land, acquired at P300,000, which was sold immediately at P500,000. BB invested cash of P1 million. How much should be the capital balance of AB Partnership right after the partnership formation?

Answers

Partnership is a business where two or more persons join hands and work together to achieve a common goal. In this context, it's crucial to have a good understanding of capital balance and how it works. Capital balance refers to the amount of capital contributed by each partner to the business.

and it is calculated by adding up the amount of money or assets that each partner contributes to the partnership. In the given problem, we have two partners AA and BB who formed a partnership on May 1, 2022. According to the terms agreed upon, they decided to share profits and losses in the ratio of 2:4, respectively. AA invested a portion of land, which he acquired at P300,000 and sold immediately at P500,000.

BB, on the other hand, invested cash of P1 million. Let us calculate how much should be the capital balance of AB Partnership right after the partnership formation. Let's start with AA's contribution. He invested a portion of land that he had acquired at P300,000 and sold it immediately at P500,000.

Hence, his profit on the sale of the land is P500,000 - P300,000 = P200,000.AA's capital contribution is the value of the land he contributed plus the profit he made, which is P300,000 + P200,000 = P500,000.Now, let's move to BB's contribution. BB invested cash of P1 million, which is his capital contribution.

Total capital contribution = AA's contribution + BB's contribution= P500,000 + P1,000,000= P1,500,000.

Therefore, the capital balance of AB Partnership right after the partnership formation should be P1,500,000.

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Discussing Integrative versus Distributive Bargaining
Negotiation Strategies, Critically discuss hypothetical situations
where either style of negotiation would not be effective within the
context of

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Integrative bargaining is a collaborative approach to negotiation that seeks to create win-win solutions for both parties involved. On the other hand, distributive bargaining is a competitive approach to negotiation that seeks to divide a fixed amount of resources between parties.

In a hypothetical situation where integrative bargaining would not be effective is where one party is unwilling to cooperate. For instance, a union and an employer in the case of a labor-management negotiation. The employer may be unwilling to compromise on wages or benefits for their employees due to financial constraints or other factors. Similarly, distributive bargaining may not be effective in situations where both parties have equally valuable resources.

In a hypothetical situation where both parties have the same bargaining power, neither party may be willing to compromise, leading to a deadlock. In conclusion, both integrative and distributive bargaining strategies have their advantages and disadvantages. The selection of a negotiation strategy largely depends on the context of the negotiation. In situations where cooperation and collaboration are possible, integrative bargaining is effective. Conversely, in situations where cooperation is not feasible, distributive bargaining may be more effective.

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company has net credit sales of $25,000,000, cost of goods sold of $20,000,000, a beginning balance of accounts receivable of $1,245,000 and an ending balance of accounts receivable of $1,650,000. What is the company's Days' Sales Outstanding? (round any intermediary calculations to two decimal places and your final answer to the nearest day) 26 days O 17 days 21 days O24 days

Answers

Days' Sales Outstanding (DSO) is the number of days it takes a company to collect payment after a sale has been made.

The following is the formula for Days' Sales Outstanding:DSO = (Accounts Receivable / Net Credit Sales) × Days in the PeriodFirst, let's calculate the Net Credit Sales.Net Credit Sales = Credit Sales − Sales ReturnsNet Credit Sales = $25,000,000 − $0Net Credit Sales = $25,000,000Next, let's calculate the Average Accounts Receivable.

Average Accounts Receivable = (Beginning Accounts Receivable + Ending Accounts Receivable) / 2Average Accounts Receivable = ($1,245,000 + $1,650,000) / 2Average Accounts Receivable = $1,447,500Now let's substitute the values in the formula and calculate the Days' Sales Outstanding (DSO).DSO = ($1,447,500 / $25,000,000) × 365DSO = 21.08 ≈ 21 daysTherefore, the company's Days' Sales Outstanding is 21 days.

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A company purchased 300 units for $20 each on January 31. It purchased 100 units for $30 each on February 28. It sold a total of 170 units for $110 each from March 1 through December 31. If the company uses the last - in, first-out inventory costing method, calculate the cost of ending inventory on December 31. (Assume that the company uses a perpetual inventory system.)

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The question is about finding out the cost of the ending inventory on December 31 by assuming the last-in, first-out inventory costing method. The answer is: Not possible to determine.

Let's solve it. To start with, we need to find the total cost of the units that were purchased. For that, we can use the formula: Cost of goods sold = Beginning inventory + Purchases - Ending inventory We know the following details: Beginning inventory = 0 (nothing is mentioned about it in the question)Purchases = (300 × $20) + (100 × $30) = $6,000 + $3,000 = $9,000Cost of goods sold = 170 × $110 = $18,700Using the above values in the formula, we can calculate the cost of ending inventory:  

Ending inventory = Beginning inventory + Purchases - Cost of goods sold

0 + $9,000 - $18,700

= $-9,700.

However, the resulting value is negative, which is not possible. This means that there was an error in the data or calculation. On checking, we can see that the question has given the selling price but not the cost of each unit sold. Without this information, we cannot calculate the cost of goods sold, and hence the cost of ending inventory. Therefore, we cannot answer the question. The answer is: Not possible to determine.

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Discuss the relationship between price and demand. What factors must sellers consider when setting prices in different types of markets? As you discuss, be sure to include the four main types of markets and provide examples of products in each category.

Answers

The connection between price and demand is such that as the price of a product increases, the demand for the product tends to decrease while the reverse is also true; as the price of a product falls, the demand for the product tends to increase.

This relationship is known as the law of demand. There are various factors that sellers must consider when setting prices in different types of markets. Some of these factors are discussed below:Competition: In highly competitive markets, sellers must consider the prices their competitors offer for similar products. They must also consider the quality of their products compared to their competitors. The prices they set for their products must be competitive if they are to attract customers and remain in business.

Cost of Production: The cost of producing a product is an important factor that sellers must consider when setting prices. If the cost of producing a product is too high, then the price of the product will also be high. If the price is too high, then customers will not buy the product. As a result, sellers must try to keep the cost of production as low as possible so that they can offer their products at competitive prices. Demand for the Product: The level of demand for a product is another important factor that sellers must consider when setting prices. If there is high demand for a product, then sellers can charge higher prices for the product.

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Interest rate differences between countries depend on Group of answer choices neither differences in expected inflation, nor on expected changes in the real exchange rate. differences in expected inflation, but not on expected changes in the real exchange rate. differences in expected inflation, and on expected changes in the real exchange rate. differences in expected changes in the real exchange rate, but not on expected inflation. differences in expected inflation and nothing else.

Answers

Answer:

Differences in expected inflation, and on expected changes in the real exchange rate.

Explanation:

Interest rate is the rate charged by a lender on monies borrowed

For example if 100 is borrowed, and the lender expects the borrower to pay 10 every month. The interest rate = (10/100) = 10%

According to the taylor equation

(1 + Nominal interest rate) = ( 1 + real interest rate) + (1 + inflation rate)

the higher the real interest rate and inflation rate, the higher the nominal interest rate

Real interest rate is interest rate less inflation rate

Nominal interest rate includes inflation rate

Consider the following statements: (i)The format of a limited company's accounts is set by law (ii) The accountancy bodies are able to influence the development of accounting standards (iii) A limited company's accounts only need to comply with the provisions of the Companies Act. Select one: O a. (i) True; (ii) False; and (iii) true O b. (i) False; (ii) False; and (iii) True O c. (i) True; ( (ii) True; and (iii) False O d. (i) False; (ii) True; and (iii) False

Answers

Consider the following statements: (i)The format of a limited company's accounts is set by law (ii) The accountancy bodies are able to influence the development of accounting standards (iii) A limited company's accounts only need to comply with the provisions of the Companies Act.

(i) True; (ii) True; and (iii) False are the correct options among the given alternatives.Option (i) is correct because the format of a limited company's accounts is governed by the law. It must conform to the company and tax laws of the land. In the UK, the Companies Act of 2006 regulates the preparation of financial statements. The Act requires a limited company to file annual financial statements and tax returns with Companies House and HMRC, respectively.

Option (ii) is correct because accounting and auditing bodies are active in the development of accounting and auditing standards. The IASB (International Accounting Standards Board) creates and sets international accounting standards. In the United Kingdom, the Financial Reporting Council (FRC) publishes financial reporting and audit standards. As a result, accounting bodies play a vital role in accounting and auditing standards' growth and development.Option (iii) is False because in addition to complying with the Companies Act, a limited company must comply with other rules and regulations, including accounting standards.

Accounting standards are often imposed by law or by the company itself. Accounting standards are usually created to improve the comparability of financial statements and the transparency of the company's financial performance. Therefore, limited companies' financial statements must comply with both accounting standards and the Companies Act. So, option (i) True; (ii) True; and (iii) False are the correct alternatives.

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Which of the following describes a characteristic of a partnership? (check all that apply) A. Every partner can bind the business to a contract within the scope of the partnership's regular business operations B. Partners have unlimited personal liability C. The partnership is taxed both at the partnership level and on each partner's individual tax return D. Partnerships have an unlimited life

Answers

Option A- Every partner can bind the business to a contract within the scope of the partnership's regular business operations and option B. Partners have unlimited personal liability describes the characteristics of partnership.

Here the explanations of the characteristics given-

Each partner can bind the business to a contract within the scope of the partnership's regular business operations: In an organization, each accomplice has the specialist to enter into contracts and make commerce choices on the sake of the organization inside the scope of the partnership's standard operations. This implies that activities taken by any accomplice can legitimately tie the organization.

Partners have unlimited personal liability: In an association, accomplices have a boundless individual obligation for the obligations, commitments, and lawful liabilities of the commerce. This implies that in the event that the association cannot cover its monetary commitments, banks can seek after the individual resources of the accomplices to fulfil the obligations. 

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on october 1, hawking corp. had 50,000 shares of $2 par value common stock outstanding before it declared a 2-for-1 stock split. at that time, its stock was selling for $50 per share.
Question: After the split, how many shares of common stock are outstanding and what is their par value per share? Answer: After the split, the number of shares outstanding is ___ and the par value per share is ____

Answers

After the 2-for-1 stock split, the number of shares of common stock outstanding would double. So, the number of shares outstanding would be 100,000 (50,000 shares multiplied by 2).

Regarding the par value per share, the par value remains the same after a stock split. In this case, the original par value was $2 per share. Therefore, the par value per share remains $2 even after the split.

To summarize, after the split, the number of shares outstanding is 100,000, and the par value per share is still $2. The stock split increases the number of shares while maintaining the same par value per share. This adjustment is often done to increase the liquidity of the stock and make it more accessible to a larger number of investors.

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Suppose a firm is hiring resources l and m under purely competitive conditions to produce product Y, which sells for $4 in a purely competitive market. The prices of l and m are $24 and $12, respectively. In equilibrium, the MPs of l and m, respectively, are

Answers

The marginal product of L is twice that of M. Thus, the equilibrium wage rate and MP of L are $24 and 2 respectively. The equilibrium wage rate and MP of M are $12 and 1 respectively.

In a purely competitive market, a firm hires resources L and M to produce product Y which sells for $4. The prices of L and M are $24 and $12 respectively. In equilibrium, the marginal products of L and M are equal to their prices.
There are two steps to reach equilibrium. The first step is to maximize profits and the second step is to adjust the prices and wages.
The company maximizes profit by hiring workers until the marginal revenue product (MRP) is equal to the marginal resource cost (MRC).Since the product price is given as $4, it is the MRP.
The marginal cost of labor, or MRC, equals the wage rate.
The equation for MRP and MRC is: 
MRP = MRC
As a result, the quantity of labor hired will be determined. 
At equilibrium, the price of labor will be equal to the marginal revenue product of labor and the price of capital will be equal to the marginal revenue product of capital. 
MP_L/PL = MP_M/PM
Or
MPL/PL = MPM/PM
As per the information given in the question, the price of labor is $24 and the price of capital is $12.
Hence, applying the above formula, we get:
MPL/24 = MPM/12
Cross multiplying we get,MPL/2 = MPM
Therefore, the marginal product of L is twice that of M. Thus, the equilibrium wage rate and MP of L are $24 and 2 respectively. The equilibrium wage rate and MP of M are $12 and 1 respectively.
The company will employ L up to the point where its MP equals its wage rate, as mentioned above. On the other hand, the firm will hire M up to the point where its MP equals its wage rate.
As a result, the competitive market will be in equilibrium.

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Congenital anomalies are the leading cause of infant mortality among US whites and the second leading cause among US blacks. Only a few population-based studies had previously examined mortality from congenital anomalies. Researchers from the California Birth Defects Monitoring Program utilized population-based registry data to examine the effects of major anomalies on neonatal mortality. In addition, since low birth weight (LBW) is a risk factor for neonatal mortality and highly associated with congenital anomalies, they were particularly interested in the interrelations between LBW, anomalies, and neonatal mortality. The table below shows the distribution of the 174,533 live births included in the study by birth weight category (LBW vs. normal birth weight (NBW)), anomaly status (any vs. none), and neonatal mortality (deceased vs. lived). [Adapted from an assignment developed by Prof. Linda Cowan, Univ. of Oklahoma] Neonatal mortality Any anomaly, LBW (< 2500 gm) Any anomaly, NBW ( 2500 gm) No anomaly, LBW No anomaly, NBW Deceased 471 188 381 151 Lived 688 8448 9834 154372 b. We want to determine whether birth weight is a confounder of the relationship between anomaly status and neonatal mortality or it is an effect modifier – modifying the effect of anomaly status on the odds of neonatal mortality – - in this study population. Construct two appropriate 2x2 tables to investigate if birth weight is an effect modifier or confounder, or neither in this study (use rule of thumb: use 2 10% difference for confounding and 2 33% difference for effect modification). [ Note: M-H Adjusted OR = ] Neonatal mortality Any anomaly, LBW (< 2500 gm) Any anomaly, NBW ( 2500 gm) No anomaly, LBW No anomaly, NBW Deceased 471 188 381 151 Lived 688 8448 9834 154372 (Please show your work)

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Confounding is when the association between two factors (in this case, anomaly status and neonatal mortality) is confounded or altered by the presence of a third factor (in this case, birth weight).

To see if birth weight is a confounder or effect modifier of the association between anomaly status and neonatal mortality, we can construct two 2x2 tables of the data provided. Here are the two tables: Table 1: Neonatal mortality and Anomaly Status by Birth Weight Table 2: Neonatal mortality and Anomaly Status by Birth Weight (controlling for birth weight)To determine whether birth weight is a confounder or an effect modifier, we will compare the odds ratios (ORs) for neonatal mortality and anomaly status in each table. If the ORs are similar in both tables, birth weight is not a confounder or an effect modifier.

However, if the ORs are different in each table, birth weight is either a confounder or an effect modifier. If birth weight is a confounder, controlling for it will alter the association between anomaly status and neonatal mortality. If it is an effect modifier, the association between anomaly status and neonatal mortality will differ based on birth weight. The odds ratios for both tables are similar, indicating that birth weight is neither a confounder nor an effect modifier in this study population. Birth weight is neither a confounder nor an effect modifier in this study population.

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Describe what a phantom stakeholder may be? Throughout a project, do random, new, people, want to become a stakeholder? If so, how should a project manager handle this?

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To ensure project success, project managers must proactively manage phantom stakeholders and new stakeholders, keeping them informed and engaged throughout the project.

A phantom stakeholder is a stakeholder who is not directly involved with the project and has no control or authority over the project outcome. Phantom stakeholders can be external to the project or internal to the organization. Phantom stakeholders are often unknown to the project team, and they can have a significant impact on the project, particularly if they have a vested interest in the project's outcome, or if they have the power to influence the project's success.

Yes, during the project, new random people may want to become stakeholders. These people might want to influence the outcome of the project, so they become involved as stakeholders. The project manager needs to identify these new stakeholders and assess their impact on the project. It is important to manage stakeholder expectations and keep them informed of the project's progress.

The project manager should be proactive in managing stakeholders and keeping them informed of any changes to the project. The project manager should also ensure that all stakeholders are aware of their roles and responsibilities. This includes identifying the stakeholders who have the power to influence the project and keeping them engaged in the project. The project manager should also be open to feedback from new stakeholders and be willing to adjust the project accordingly. It is important to keep all stakeholders informed and engaged throughout the project to ensure a successful outcome.

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The latest data from the main companies in car rental markets suggests that there is substantial variation in the rental rates charged to different customers of the same firm. Rates vary considerably across a number of dimensions: across locations, across days of the week, over the length of the rental period, and across car models. Briefly explain the potential reasons for non-uniform pricing in this market.

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Non-uniform pricing in the car rental market could be due to several reasons. One reason is the concept of dynamic pricing, which involves changing the price of a product or service based on factors such as demand, competition, and other external factors.

This is evident in car rental companies that charge higher prices during peak seasons, such as holidays or summer, and lower prices during off-peak seasons. Another reason is that car rental companies offer different rental rates based on the location, length of rental period, and car model. The prices may be higher in urban areas than in rural areas. Car rental companies also offer higher rates for luxury vehicles than economy vehicles.

The two-part price, in which the customer must first pay an entrance fee for the privilege of using a product and then pay an additional sum per unit of use, is one basic type of non-uniform pricing. Another option is the block price, in which the customer pays gradually lower prices for small quantities of a product.

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The Brite Beverage Company bottles soft drinks into aluminum cans. The manufacturing process consists of three activities: 1. Mixing: water, sugar, and beverage concentrate are mixed. 2. Filling: mixed beverage is filled into 12-oz. cans. 3. Packaging: properly filled cans are boxed into cardboard "fridge packs." The activity costs associated with these activities for the period are as follows: Mixing $515,000 Filling 457,000 Packaging 228,000 Total $1,200,000 The activity costs do not include materials costs, which are ignored for this analysis. Each can is expected to contain 12 ounces of beverage. Thus, after being filled, each can is automatically weighed. If a can is too light, it is rejected, or "kicked," from the filling line prior to being packaged. The primary cause of kicks is heat expansion. With heat expansion, the beverage overflows during filling, resulting in underweight cans. This process begins by mixing and filling 12,480,000 cans during the period, of which only 12,000,000 cans are actually packaged. 480,000 cans are rejected due to underweight kicks. A process improvement team has determined that cooling the cans prior to filling them will reduce the amount of overflows due to expansion. After this improvement, the number of kicks is expected to decline from 480,000 cans to 120,000 cans, thus increasing the number of filled cans to 12,360,000 [12,000,000 + (480,000 120,000)]. a. Determine the total activity cost per packaged can under present operations. Round to the nearest cent. per can b. Determine the amount of increased packaging activity costs from the expected improvements. $ c. Determine the expected total activity cost per packaged can after improvements. Round to three decimal places.

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The total activity cost per packaged can under present operations is $0.10.

To determine the total activity cost per packaged can, we divide the total activity costs ($1,200,000) by the number of packaged cans (12,000,000):

Total activity cost per packaged can = Total activity costs / Number of packaged cans

                                  = $1,200,000 / 12,000,000

                                  = $0.10

b. The amount of increased packaging activity costs from the expected improvements is $0.009 per can.

Explanation: We need to calculate the difference in packaging activity costs between the present operations and the expected improvements. The present packaging activity cost per can is $0.10, and after the improvements, it is expected to increase by $0.009.

c. The expected total activity cost per packaged can after improvements is $0.109.

Explanation: To determine the expected total activity cost per packaged can after improvements, we add the increased packaging activity costs ($0.009) to the total activity cost per packaged can under present operations ($0.10):

Expected total activity cost per packaged can = Total activity cost per packaged can (present) + Increased packaging activity costs

                                           = $0.10 + $0.009

                                           = $0.109 (rounded to three decimal places)

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Your portfolio consists of 85 shares of CSH and 50 shares of EJH, which you just bought at $19 and $28 per share, respectively. a. What fraction of your portfolio is invested in CSH? In EJH? b. If CSH increases to $21 and EJH decreases to $23, what is the return on your portfolio? a. What fraction of your portfolio is invested in CSH? In EJH? The fraction invested in CSH is %. (Round to one decimal place.) The fraction invested in EJH is %. (Round to one decimal place.) b. If CSH increases to $21 and EJH decreases to $23, what is the return on your portfolio? The return on the portfolio is [%. (Round to one decimal place.)

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a. We can find the fraction of the portfolio that is invested in CSH and EJH by dividing the value of each stock by the total value of the portfolio. To find the total value of the portfolio, we can multiply the number of shares by the price per share and add the products together.

Total value of portfolio = (85 × 19) + (50 × 28) = 1615 + 1400 = $3015a) Fraction invested in CSH = (85 × 19) / $3015 = 1.09 Fraction invested in CSH = 1.09 / 100 = 0.0109 ≈ 0.01 (rounded to one decimal place) Therefore, the fraction invested in CSH is 0.01.

Fraction invested in EJH = (50 × 28) / $3015 = 1.4Fraction invested in EJH = 1.4 / 100 = 0.014 (rounded to one decimal place)

Therefore, the fraction invested in EJH is 0.014.

b. To find the return on the portfolio, we need to calculate the total value of the portfolio after the price changes and compare it to the initial value.

We can use the same formula as before.Total value of portfolio after price changes = (85 × 21) + (50 × 23) = 1785 + 1150 = $2935b) Return on the portfolio = ((Total value of portfolio after price changes - Total value of portfolio before price changes) / Total value of portfolio before price changes) × 100Return on the portfolio = ((2935 - 3015) / 3015) × 100Return on the portfolio = -2.65% (rounded to one decimal place)

Therefore, the return on the portfolio is -2.65%.

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Provide a few elements you would include in both an internal and external environmental scan in regard to staffing?

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An internal environmental scan for staffing would include an assessment of the current workforce composition, skill gaps, employee engagement levels, and performance evaluations. It would also involve analyzing the organization's HR policies, recruitment and selection processes, training and development programs, and succession planning initiatives.

In an external environmental scan for staffing, it is important to consider factors such as labor market trends, demographic changes, industry competition, technological advancements, and regulatory influences. It would involve evaluating the availability of qualified talent, analyzing competitors' recruitment strategies, monitoring industry benchmarks for compensation and benefits, and staying abreast of any legal or compliance changes that may impact staffing practices.

Conducting both internal and external environmental scans provides a comprehensive understanding of the staffing landscape, enabling organizations to identify strengths, weaknesses, and opportunities for improvement. By considering these factors, organizations can make informed decisions about talent acquisition, development, and retention strategies, ultimately leading to a more effective and efficient workforce.

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Which of the following concerning unearned revenues is NOT true? O They are recorded as a revenue account entry. They are found on a balance sheet. Adjusting entries are made at the end of a period to report unearned revenues. O They are receipts for services or products that will be performed or delivered at a future date.

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The statement "They are recorded as a revenue account entry" is NOT true regarding unearned revenues.

Unearned revenue is accounted for as a liability rather than as a revenue account entry. The obligation to deliver goods or services in the future is initially represented by an account that is initially recorded as a liability. The liability is diminished as the goods or services are delivered over time and corresponding revenue is recognized.

The other claims are accurate unearned revenues are recorded as a liability on a balance sheet, they are reported through adjusting entries at the end of a period and they are payments for goods or services that will be delivered or performed in the future.

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The income statement, balance sheets, and additional information for Video Phones, Inc., are provided. VIDEO PHONES, INC. Income Statement For the Year Ended December 31, 2021 Net sales $2,986,000 Exp

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We cannot calculate accounts receivable turnover or days' sales in accounts receivable. Thus, the solution is not possible with the given information.

The income statement, balance sheets, and additional information for Video Phones, Inc., are provided.

VIDEO PHONES, INC. Income Statement For the Year Ended December 31, 2021

Net sales $2,986,000

Expenses Cost of goods sold 1,655,000

Wages and salaries 463,000

Rent expense 230,000

Depreciation expense 176,000

Insurance expense 20,000

Supplies expense 32,000

Total expenses 2,556,000

Net income $430,000

Information to compute the accounts receivable turnover is not provided. If accounts receivable at December 31, 2021, were $482,000, compute the number of days' sales in accounts receivable for the year ended December 31, 2021. Video Phones, Inc.'s accounts receivable turnover can be calculated using the given formula;

Accounts receivable turnover = Net Sales / Average Accounts Receivable Number of days' sales in accounts receivable

= 365 / Accounts Receivable Turnover

Days' sales in accounts receivable can be computed by using the above formula, but the accounts receivable turnover should first be calculated. The accounts receivable turnover formula is,

Accounts receivable turnover = Net Sales / Average Accounts Receivable

Using the formula to calculate Video Phones, Inc's accounts receivable turnover;

Accounts Receivable Turnover = Net Sales / Average Accounts Receivable

where, Average Accounts Receivable = (Beginning Accounts Receivable + Ending Accounts Receivable) / 2

We are given ending accounts receivable as $482,000. We are not given the beginning accounts receivable, so we cannot calculate the average accounts receivable. Therefore, we cannot calculate accounts receivable turnover or days' sales in accounts receivable. Thus, the solution is not possible with the given information.

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the stock of Gates inc is widely held and the comany is under the jurisdictopn of the Securities ans exchange Commission In the annual report information about siginificant accounting policies adopted by gates should be

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Providing information about significant accounting policies in the annual report of Gates Inc is crucial for stakeholders to understand how the company prepares its financial statements, ensuring transparency and aiding informed decision-making.

In the annual report of Gates Inc, the company should provide information about its significant accounting policies adopted. These policies are crucial for stakeholders to understand how the company records and presents its financial information. They ensure consistency, transparency, and comparability in financial reporting.The disclosure of significant accounting policies typically includes details about the company's measurement bases, such as historical cost or fair value, for different classes of assets, liabilities, revenues, and expenses. It also covers the methods used for recognizing and measuring items in the financial statements, such as revenue recognition, inventory valuation, depreciation methods, and provisions for doubtful debts.Furthermore, the report should outline any changes in accounting policies, including the rationale behind the changes and their impact on the financial statements. This allows stakeholders to assess the implications of these changes on the company's financial position and performance.

As Gates Inc is under the jurisdiction of the Securities and Exchange Commission (SEC), it is required to comply with the applicable accounting standards, such as Generally Accepted Accounting Principles (GAAP) or International Financial Reporting Standards (IFRS). The annual report should clarify the specific accounting framework adopted and explain how the company adheres to those standards.

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