State whether the following statements are promissory notes or not? And why? A. "I am bound to pay the sum of $500 which I received from you B. "I promise to pay (B) $500 by instalments with a provision that no payment shall be made after my death". C. "I promise to pay (B) a sum of $500 when convenient or able".

Answers

Answer 1

A promissory note is a written commitment to pay a debt. It includes a promise to repay a loan, the amount owed, the interest rate charged, and the repayment terms. It may be traded or sold by the original holder to another party.State whether the following statements are promissory notes or not.

A. "I am bound to pay the sum of $500 which I received from you."This statement is not a promissory note because it does not specify the repayment terms. It does not mention any date or time when the money will be repaid. It does not include an interest rate or any penalties for non-payment. It is merely a statement of an obligation to repay the money.B. "I promise to pay (B) $500 by instalments with a provision that no payment shall be made after my death."This statement is a promissory note because it contains a promise to pay a specified amount of money ($500) over a period of time (by instalments). It includes a provision that payments will cease upon the death of the borrower. It specifies the repayment terms, including the amount, interest rate, and payment scheduleC. "I promise to pay (B) a sum of $500 when convenient or able."This statement is not a promissory note because it does not specify the repayment terms. It does not mention any date or time when the money will be repaid.

It does not include an interest rate or any penalties for non-payment. It is merely a statement of intent to repay the money when the borrower is able to do so.

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Related Questions

Thames Cameaw's inveriary reconst for ia netal doition show the following at Jaruary 31- ff ficick the ioon to viea the accouring recerda.) Read the tecuiremedt Data table Requirement 1. How much in lawes wodks thames Compary, save by Lang the if o method venus FIFOR Saks rerenue is $7. Ata oferitng expenses are 31,400 and tha meome tax rate is 4b\%h. (Round your answer bo the neareut cent?

Answers

Revenue from Sales is $7, Offering expenses are $31,400, and the income tax rate is 4b%. We have to calculate the amount of money saved by the Thames Company using the LIFO method.

Firstly, we will calculate the gross profit. The formula for gross profit is:Gross profit = Revenue - Cost of Goods Sold.

The cost of goods sold (COGS) using LIFO would be: COGS = Beginning Inventory + Purchases - Cost of Goods SoldEnding inventory = Beginning inventory + Purchases - Cost of Goods Sold; where, Beginning inventory is the inventory that was in stock at the beginning of the period.Purchases are the inventory that was purchased during the period. The cost of Goods Sold is the cost of inventory sold during the period. The gross profit for the LIFO method would be: Gross profit = Revenue - (Beginning inventory + Purchases - Ending inventory)For FIFOR, we would use a different formula for COGS: COGS = Ending Inventory + Cost of Goods Sold - Beginning Inventory.The gross profit for the FIFOR method would be Gross profit = Revenue - COGSUsing the FIFO method, the COGS would be: COGS = Ending inventory + Cost of goods sold - Beginning inventory. COGS = $0 + COGS - $4COGS = COGS - $4.The LIFO method gives the highest COGS value and the lowest taxable income. Using the LIFO method, the COGS would be: COGS = Beginning inventory + Purchases - Ending inventoryCOGS = $5 + $4 - $0COGS = $9.The gross profit for the LIFO method would be Gross profit = Revenue - (Beginning inventory + Purchases - Ending inventory)Gross profit = $7 - ($5 + $4 - $0)Gross profit = $7 - $9. Gross profit = -$2. The company made a loss of $2 using the LIFO method. Using the FIFO method, the COGS would be COGS = Ending inventory + Cost of goods sold - Beginning inventoryCOGS = $0 + COGS - $5COGS = COGS - $5.

The gross profit for the FIFO method would be Gross profit = Revenue - COGSGross profit = $7 - (COGS - $5); Gross profit = $7 - COGS + $5. Gross profit = $12 - COGS.

The company made a profit of $12 using the FIFO method. The amount of money saved by the Thames Company using the LIFO method would be = $12 - (-$2).

Amount of money saved by the Thames Company using the LIFO method would be = $14.00 (rounded to the nearest cent). Thus, the amount of money saved by the Thames Company using the LIFO method is $14.00 (rounded to the nearest cent).

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Due to catastrophic earthquake losses, BRS Corporation, one of the oldest and largest private clients of one of your corporate clients, suddenly and unexpectedly goes bankrupt. Approximately 30% of your customer's total sales have been sold to BRS over the past years. And the amount due from BRS - none of which can be collected - equals 22% of the total accounts receivable, an amount that greatly exceeds what was decided to be approved as an appropriate provision for doubtful accounts at the end of the previous year. How will your customer write-off BRS receivables if they use the bad debt allowance method of calculating bad debts? Justify the proposed treatment?

Answers

If the customer uses the bad debt allowance method of calculating bad debts, they would write off the BRS receivables by recognizing them as an expense and reducing the accounts receivable balance.

The justification for this treatment lies in the principle of conservatism in accounting. According to this principle, it is important to recognize potential losses and risks rather than overstating assets or income. Given the sudden and unexpected bankruptcy of BRS Corporation, it becomes evident that the customer will not be able to collect the outstanding amount from BRS.
In this case, the customer has already determined an appropriate provision for doubtful accounts at the end of the previous year. However, the amount due from BRS exceeds this provision, indicating that the customer's initial estimation was not sufficient to cover the actual uncollectible amount. As a result, the customer needs to adjust the allowance for doubtful accounts to reflect the true financial impact of the BRS bankruptcy.
By writing off the BRS receivables, the customer accurately reflects the financial loss incurred due to the bankruptcy. This ensures the financial statements provide a true and fair view of the customer's financial position and performance.

Specific accounting standards and regulations may provide additional guidance on the treatment of bad debts and the estimation of the allowance for doubtful accounts. The customer should follow the applicable accounting standards in their jurisdiction and consult with their accounting professionals to ensure compliance and accuracy in their financial reporting.

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What is online retailing? What are its types and How does it work? What are the advantages of online retailing as compared to brick and mortar stores?

Answers

Online retailing is a type of electronic commerce where products and services are sold directly to consumers over the internet. Online retailing can be conducted through various channels such as online marketplaces, social media platforms, and the retailer's website.

There are mainly two types of online retailing:

Direct Retailing: This type of online retailing occurs when a manufacturer sells its products directly to the consumer without using intermediaries or middlemen.

Indirect Retailing: This type of online retailing involves an intermediary or a middleman who sells the products of different manufacturers on the same website.

Some examples of this type of online retailing include marketplaces like Amazon, eBay, and Etsy. Usually, online retailing works by setting up an online store or website where customers can browse and buy products. The store owners can use different strategies such as digital marketing, email marketing, social media marketing, and search engine optimization to attract customers to their online stores.

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1. TPSs process data using ________
A) BA
B) BI
C) OLTP
D) OLAP
2. TPS ___________ FAIS, BI systems CRM and e-commerce
A) are inputs for
B) analyze data from
C) use the output from
D) manage the processes of
3. ____________ is also called digital manufacturing
A) CRM
B) MRP
C) TPS
D) CIM
4. Bicycle manufacturers use __________ to manage inventory
A) BYOD
B) RFID
C) JIT
D) CIM

Answers

1. TPSs process data using OLTP

OLTP (Online Transaction Processing) systems process data in real-time, immediately after the transaction happens. They collect and store information that is useful for managerial decision-making.

2. TPS are inputs for FAIS, BI systems CRM and e-commerce .TPS (Transaction Processing Systems) are the primary source of input for FAIS (Functional Area Information Systems), CRM (Customer Relationship Management), BI (Business Intelligence) systems, and e-commerce. The systems mentioned above need a large amount of data that is reliable, consistent, and up-to-date.

3. CIM is also called digital manufacturing

CIM (Computer Integrated Manufacturing) is also known as digital manufacturing. The concept describes the computerization of all production processes that ensure consistency, quality, and agility. The term was coined in the 1980s and describes the use of computers in design and manufacturing processes to improve efficiency.

4. Bicycle manufacturers use JIT to manage inventory

JIT (Just-in-time) inventory management is a popular method used in the manufacturing industry. It is a technique that helps companies reduce inventory costs by producing items only when they are needed.

By doing this, bicycle manufacturers can save space, reduce inventory costs, and respond quickly to changes in demand. These systems are used by companies to store data and information in real-time.

TPS process data using Online Transaction Processing (OLTP) to immediately process the transactions. The systems mentioned in the second question use TPS as their primary source of input to ensure that the data is reliable, consistent, and up-to-date.

CIM (Computer Integrated Manufacturing) is a concept that refers to the computerization of all production processes, which ensures consistency, quality, and agility. It uses computers in the design and manufacturing process to improve efficiency.

Finally, Just-In-Time (JIT) inventory management is a popular method used by bicycle manufacturers to produce items only when they are needed. This helps to save space, reduce inventory costs, and respond quickly to changes in demand.

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What can cause transportation costs to begin to increase if a manufacturing firm adds too many distribution centers to its network? Assume demand stays constant regardless of the number of distribution centers. a) Less-than-truckload shipments make up an increasing proportion of outbound transportation mileage as more distribution centers are added. b) Customers are likely to increasingly demand higher levels of service. requiring an increase in expedited outbound less-than-truckload shipments. c) The distribution centers may no longer have the demand to support full truckload replenishment shipments from the firm's manufacturing plants, necessitating inbound less-than-truckload shipments. d) A smaller proportion of customers will receive truckload shipments directly from the firm's manufacturing locations as more distribution centers are added. Quesition 4 (3 points) Assume a manufacturer has six distribution centers in the United States, including distribution centers attached to its two manufacturing plants. Which of the following best explains how a manufacturer's total amount of inventory in its distribution network changes as it decreases the number of distribution centers that it has in its network? a) Total inventory decreases at a constant (i.e., linear) rate as more distribution centers are eliminated. b) Total inventory is uncorrelated with the number of distribution centers. c) Total inventory decreases at an increasing rate as more distribution centers are eliminated. d) Total inventory decreases at a decreasing rate as more distribution centers are eliminated.

Answers

Transportation costs can increase for manufacturing firms if more distribution centers are added to their network. There are several reasons that may lead to the increase in transportation costs. These include:Less-than-truckload shipments make up an increasing proportion of outbound transportation mileage as more distribution centers are added.

This can occur if a firm adds many small distribution centers, which might lead to frequent LTL shipments to each of these distribution centers. This is because there might not be enough products to fill a full truckload. This will, in turn, increase transportation costs.Customers are likely to increasingly demand higher levels of service, requiring an increase in expedited outbound less-than-truckload shipments.

A smaller proportion of customers will receive truckload shipments directly from the firm's manufacturing locations as more distribution centers are added. A manufacturing firm may have to add more distribution centers to reach new customers or service existing customers better. However, this may lead to a smaller proportion of customers receiving truckload shipments directly from the firm's manufacturing locations. This will increase transportation costs by requiring more expensive less-than-truckload shipments.Therefore, adding more distribution centers may lead to an increase in transportation costs for manufacturing firms.

Furthermore, the total inventory decreases at a decreasing rate as more distribution centers are eliminated. This is because if the firm decreases the number of distribution centers, it will increase the distance between the distribution centers, thereby reducing the cost of inventory. The cost of inventory will decrease,

but it will be at a decreasing rate, which means that the rate of decrease in the inventory cost will be slower as the firm decreases the number of distribution centers. Answer: D (Total inventory decreases at a decreasing rate as more distribution centers are eliminated).

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Critically discuss the following statement: "Ethics, after all, has nothing to do with management"
Corporate Governance and Sustainability

Answers

The statement that "Ethics, after all, has nothing to do with management" is a false one. This statement is a misunderstanding and lacks context. Ethics is critical, including management, as it provides guidance and sets standards for every stakeholder. Therefore, ethical behavior is necessary for sustainability and corporate governance.

Corporate governance and sustainability are both connected to the idea of business ethics and the responsible management of resources. Corporate governance refers to the framework and practices by which organizations are directed and controlled. In contrast, sustainability is about operating in a way that meets the needs of the present without compromising the ability of future generations to meet their needs. Both of these concepts are inherently ethical in nature and require a commitment to ethical behavior to achieve their goals.

Corporate governance requires organizations to operate in a transparent, accountable, and responsible manner. This requires the adoption of ethical values, standards, and principles that guide the behavior of management, employees, and other stakeholders. Sustainable organizations must operate in a way that meets the needs of the present without compromising the ability of future generations to meet their needs. Therefore, ethical behavior is necessary for sustainability, and without ethical behavior, sustainability is impossible.

In conclusion, the statement that "Ethics, after all, has nothing to do with management" is a false one. Ethics is an essential aspect of management, corporate governance, and sustainability. Ethical values, principles, and standards are necessary to guide the behavior of management, employees, and other stakeholders to operate in a transparent, accountable, and responsible manner.

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A company's intrinsic value is the present value of its expected
future free cash flows.
Select one:
True
False

Answers

While free cash flows are a critical component in determining a company's intrinsic value, it is not the sole factor. Therefore, statement is False.

The statement is incorrect. A company's intrinsic value is not solely based on the present value of its expected future free cash flows. While free cash flows are an important factor in determining the intrinsic value of a company, they are not the only consideration.

The intrinsic value of a company is a measure of its true worth or value, which takes into account various factors such as its assets, liabilities, earnings, growth prospects, competitive position, and market conditions. It is a subjective assessment of the company's potential and is often estimated through different valuation methods, including discounted cash flow (DCF) analysis.

DCF analysis involves projecting the company's future cash flows and discounting them back to the present value using an appropriate discount rate. However, this method alone may not capture the complete intrinsic value, as it does not consider other qualitative aspects of the company, such as brand value, intellectual property, management quality, and market demand for its products or services.

Other quantitative and qualitative aspects must be considered to arrive at a comprehensive assessment of a company's intrinsic value.

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A new wave-soldering machine is expected to save Burnaby Circuit Boards S15 000 per year through reduced labour costs and increased quality. The device will have a life of eight years and will have no salvage value after this time. If the company can generally expect to get 12 percent return on its capital, how much could it afford to pay for the wave-soldering machine? Gail has won a lottery that pays her S100 000 at the end of this year, S110 000 at the end of next year, $120 000 the following year, and so on, for 30 years. Leon has offered Gail S2 500 000 today in exchange for all the money she will receive. If Gail can get 8 percent interest on her savings, is this a good deal?

Answers

The calculation for the amount Burnaby Circuit Boards could afford to pay for the wave-soldering machine:

The savings per year that Burnaby Circuit Boards expects through the new wave-soldering machine is S15 000. The expected life of the wave-soldering machine is 8 years.

Which means the total savings over the period would be S15 000 x 8 = S120 000.The wave-soldering machine would have no salvage value after the 8-year period. The company requires a 12 percent return on capital. Therefore, the maximum amount the company can afford to pay for the machine is the present value of S120 000 discounted at 12 percent for eight years.

Using a financial calculator or formula to find the present value of S120 000 at 12% for eight years:PMT = 0FV = 0N = 8I = 12%PV = $54,628.59Therefore, the maximum amount Burnaby Circuit Boards could afford to pay for the wave-soldering machine is S54 628.59.Gail's winning lottery pays her S100 000 at the end of this year, S110 000 at the end of next year, S120 000 the following year, and so on, for 30 years. The money Gail is receiving can be regarded as an annuity because it is a series of payments made at regular intervals.

Present value of Gail's payments:

Using a financial calculator or formula to find the present value of Gail's payments at 8%:N = 30I/Y = 8%PMT = $5,212.32PV = $70,539.14Comparing the present value of Gail's payments of S70 539.14 with the S2 500 000 Leon is offering, it's clear that Leon's offer is not a good deal.

This is because the present value of Gail's payments is much higher than the amount Leon is offering. Thus, she should decline Leon's offer.

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Explain any five (5) steps in chapter one of research report writing starting from introduction.

Answers

Chapter one of a research report is the introduction part that contains various steps. Below are the five steps of chapter one of research report writing starting from the introduction.

Step 1: Background InformationThe background information is a summary of what the study is all about, including the issue or problem the study is trying to solve. In this section, the researcher introduces the subject matter, provides a brief history of the issue or problem, and explains why the study is relevant.

Step 2: Problem StatementIn this section, the problem or issue the study intends to address is stated. It provides a clear and concise explanation of the problem or issue that the research will address. The problem statement must be well-written and precise.

Step 3: Objectives of the StudyThe objectives of the study should be clear and concise. It should include the research questions and hypotheses to be tested, the scope of the study, and the justification for conducting the research.

Step 4: Research QuestionsResearch questions are derived from the problem statement and the objectives of the study. They should be specific and well-defined to provide a clear direction for the study. The research questions should be designed to test the hypotheses and help achieve the objectives of the study.

Step 5: Significance of the Study This section of chapter one of the research report writing shows the importance of the study and how it will benefit the target audience.

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Business Solutions's second-quarter 2020 fixed budget performance report for its computer furniture operations follows. The $178,070 budgeted expenses include $123,670 in variable expenses for desks and $15,400 in variable expenses for chairs, as well as $39,000 fixed expenses. The actual expenses include $40,900 fixed expenses. List fixed and variable expenses separately

Answers

Fixed expenses: $39,000 (budgeted), $40,900 (actual)

Variable expenses: - Desks: $123,670 (budgeted) - Chairs: $15,400 (budgeted)

The fixed and variable expenses for Business Solutions' computer furniture operations are as follows:

Fixed Expenses:

- Budgeted fixed expenses: $39,000

- Actual fixed expenses: $40,900

Variable Expenses:

- Budgeted variable expenses for desks: $123,670

- Budgeted variable expenses for chairs: $15,400

Fixed expenses are costs that do not vary with the level of production or sales. In this case, the budgeted fixed expenses for the second quarter of 2020 were set at $39,000. However, the actual fixed expenses incurred during that period amounted to $40,900.

Variable expenses, on the other hand, are costs that change in direct proportion to the level of production or sales. For the computer furniture operations, the budgeted variable expenses for desks were $123,670, while the budgeted variable expenses for chairs were $15,400. It is worth noting that the report does not provide information about the actual variable expenses incurred.

To summarize, the fixed expenses for the second quarter of 2020 were $39,000 (budgeted) and $40,900 (actual). The variable expenses included $123,670 (budgeted) for desks and $15,400 (budgeted) for chairs. The report does not provide the actual variable expenses, so we can only analyze the budgeted figures in this context.


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The security market line (SML) is an equation that shows the relationship between risk as measured by beta and the required rates of return on individual securities. The SML equation is given below: Required return on Stock = Risk-free return + (Market risk premium)(Stock's beta) If a stock's expected return plots on or above the SML, then the stock's return is -Select- ✓ to compensate the investor for risk. If a stock's expected return plots below the SML, the stock's return is -Select- to compensate the investor for risk. The SML line can change due to expected inflation and risk aversion. If inflation changes, then the SML plotted on a graph will shift up or down parallel to the old SML. If risk aversion changes, then the SML plotted on a graph will rotate up or down becoming more or less steep if investors become more or less risk averse. A firm can influence market risk (hence its beta coefficient) through changes in the composition of its assets and through changes in the amount of debt it uses.

Answers

The security market line (SML) is an equation that shows the relationship between the risk of an individual security and the required rate of return.The SML can change due to expected inflation and changes in risk aversion. A firm can influence its market risk through changes in asset composition and debt usage

The equation is: Required return on Stock = Risk-free return + (Market risk premium)(Stock's beta).If a stock's expected return plots on or above the SML, then the stock's return is adequate to compensate the investor for the risk they are taking. This means that the stock is offering a return that is in line with the amount of risk involved.


On the other hand, if a stock's expected return plots below the SML, then the stock's return is not enough to compensate the investor for the risk. In this case, the stock is considered to be offering a lower return than what would be expected given its level of risk.



The SML line can change due to expected inflation and risk aversion. If inflation changes, the SML will shift up or down parallel to the old SML on a graph. This means that the required rate of return for a given level of risk will increase or decrease.



Similarly, if risk aversion changes, the SML will rotate up or down on a graph, becoming more or less steep. This means that investors' willingness to take on risk will affect the required rate of return for a given level of risk.



A firm can influence its market risk, as measured by its beta coefficient, by changing the composition of its assets and the amount of debt it uses. These changes can impact the level of risk associated with the firm's stock, and therefore its position on the SML.



In summary, the SML is an equation that relates the risk of a security to its required rate of return. Stocks that plot on or above the SML are considered to adequately compensate investors for the risk, while stocks below the SML do not.

.

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If GDP is \( \$ 30 \) trillion, how many years will it take for GDP to Increase to \( \$ 240 \) trillion If annual growth is 14 percent? Instructlons: Enter your answer as a whole number. years

Answers

It will take 16 years for the GDP to increase to $240 trillion with an annual growth rate of 14 percent.

How many years will it take for GDP to increase to $240 trillion if annual growth is 14 percent?

To calculate the number of years it will take for the GDP to increase to $240 trillion, we can use the formula for compound interest: FV=PV×(1+r)^n

Given data:

PV = $30 trillion

FV = $240 trillion

r = 0.14

Plugging values:

$240 trillion = $30 trillion × (1 + 0.14)^n

8 = (1.14)^n

Taking logarithm of both sides using the base 1.14:

log(8) = log((1.14)^n)

log(8) = n × log(1.14)

n = log(8) / log(1.14)

n = 15.87.

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Suppose we have a perfectly competitive coal market and suppose that demand and supply in this market are given by the following functions: Q d

=5− 2
1

P d

Q s

=−1+P s

.

a. Determine the equilibrium price per ton of coal in this market (P e

) and the quantity sold at this price (Q e

). b. Calculate the consumer surplus, producer surplus, and social welfare for this market (NOTE: don't forget to calculate social welfare after deriving consumer and producer surplus). c. A unit tax of $3/ ton is imposed on the producers of coal. Determine the new equilibrium quantity (Q e


), the effective price paid by the consumers (P d

), and the effective price received by the producers in this market (P s

). (3pt) d. Calculate the share of this tax that is paid by the consumers and the share paid by the producers (in dollars per ton). e. Calculate the consumer surplus, producer surplus, tax revenue, and social welfare under the tax (NOTE: don't forget to calculate social welfare after deriving consumer and producer surplus and tax revenue). (4pt) f. Calculate the deadweight loss resulting from this tax. g. Now suppose that, instead of a $3/ ton tax on coal producers, the government imposes a $3/ ton tax on coal consumers. What is the deadweight loss resulting from this tax? (1pt)

Answers

Given the following demand and supply functions in a perfectly competitive coal market:

Qd = 5 - 2PdQs = -1 + Ps

We can calculate the equilibrium price and quantity by equating the demand and supply functions:

[tex]Qd = Qs5 - 2Pd = -1 + Ps3 + 2Pd = PsPd = (3 - Ps)/2[/tex]

Substituting into the demand equation, we can find the equilibrium quantity:

[tex]Qe = 5 - 2(Pe)Qe = 5 - 2(3 - Ps)/2Qe = 5 - 3 + PsQe = 2 + Ps[/tex]

Thus, the equilibrium price is $1.50/ton and the equilibrium quantity is 3.5 million tons.b. Consumer surplus is given by the area under the demand curve and above the price up to the equilibrium quantity. Producer surplus is given by the area below the price and above the supply curve up to the equilibrium quantity.

Social welfare is the sum of consumer and producer surplus.Under this market equilibrium, consumer surplus is:

[tex]CS = (1/2)(5 - 1.5)(3.5) = $6.125[/tex]

millionProducer surplus is:

[tex]PS = (1/2)(1.5 - (-1))(3.5) = $5.25 millionSocial welfare is:SW = $6.125 + $5.25 = $11.375 millionc.[/tex]

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Suppose the indifference curves of an individual are all such that their slope does not depend on the individual's income but does depend on the hours of leisure consumed. For every indifference curve, MRS = l
$2156/ week ​
where l is 'nonmarket time' (leisure) in hrs/week and the maximum 'nonmarket time' (leisure) is l=98hrs/ week [see WORKED EXAMPLE Working Part-Time at University (pp. 48-49) for a justification of this number]. a. The individual's non-labour income is $600/ week. Find her reservation wage. Get the number and explain how you've got it. (3) b. Would this individual's labour supply curve be upward-sloping at every wage or backward-bending? Explain how you know.

Answers

The main answer is as follows:

a. Reservation wage refers to the lowest wage that an individual is willing to accept for working and not choosing to remain unemployed. In this scenario, the non-labour income of the individual is given by $600/week. Now, the individual has a maximum of 98 hours for nonmarket time (leisure). Therefore, the maximum amount of time left for work is 70 hours in a week (98 - 28).

The amount of nonmarket time (leisure) given up is the difference between the maximum nonmarket time and the nonmarket time that the individual desires. Therefore, the amount of nonmarket time given up is (98 - l) hours. The monetary compensation of the individual's nonmarket time given up is 2156*(98-l).The individual's total income when she is working is her wage w multiplied by the number of hours she is working (which is 70 - l hours).

Hence, her total income when she is working is given by w(70 - l).The individual will work only if her total income when working is greater than her non-labour income i.e., $600/week.

Therefore, we can say that w(70 - l) > 600 + 2156(98 - l)

Solving for the individual's reservation wage:

608 + 2156(98 - l) > w(70 - l)w < (608 + 2156(98 - l))/(70 - l)

The reservation wage is the highest wage that allows the individual to work. Therefore, we can say that the individual's reservation wage is: w = (608 + 2156(98 - l))/(70 - l) Now, substituting the values l = 28, w = 16.826. Therefore, the individual's reservation wage is $16.826 per hour.

b. In this scenario, the individual's labour supply curve would be backward-bending. This is because when the wage rate is low, the income effect is larger than the substitution effect. When the wage rate is increased, the income effect reduces, while the substitution effect increases. Eventually, there comes a point where the income effect is just equal to the substitution effect. At this point, the labour supply curve bends backward, and any further increase in the wage rate will cause the labour supply to decrease.

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Suppose that, due to the impact of Typhoon Mangkhut on Zhuhai, the price of spinach rises from 0.50 RMB to 1.00 RMB per pound and the quantity demanded falls from 1000 pounds to 400 pounds. a. Calculate the price elasticity of demand for spinach using the midpoint method in this price range (round to 1 decimal place). b. Is spinach elastic, unit elastic, or inelastic in this price range?

Answers

a. To calculate the price elasticity of demand using the midpoint method, we need to use the formula:

Elasticity = ((Q2 - Q1) / ((Q2 + Q1) / 2)) / ((P2 - P1) / ((P2 + P1) / 2))

Given:
Q1 = 1000 pounds
Q2 = 400 pounds
P1 = 0.50 RMB per pound
P2 = 1.00 RMB per pound

Using the formula, we can plug in the values:

Elasticity = ((400 - 1000) / ((400 + 1000) / 2)) / ((1.00 - 0.50) / ((1.00 + 0.50) / 2))

Simplifying the equation:

Elasticity = ((-600) / (700)) / (0.50 / (0.75))

Elasticity = (-600 / 700) / (0.50 / 0.75)

Elasticity = (-0.857) / (0.67)

Elasticity ≈ -1.28 (rounded to 1 decimal place)

b. To determine whether spinach is elastic, unit elastic, or inelastic in this price range, we can use the absolute value of the price elasticity of demand.

Since the absolute value of the elasticity is less than 1, spinach is considered inelastic in this price range.

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Two years ago, you bought 500 shares of Kayleigh Mik Co. for $25 a share with a margin of 60 percent, Currentry, the Kayleigh stock is seling for $30 a share. Assume there are no dividends and ignore commissions. Do not round intermediate calculations, Round your answers to two decimal piaces: a. Assumina that you pay cash for the stock, compute the annualized rate of refurn on this investment if you had pald cash. b. Assumina that you used the maximum leverage in buying the stock, compute your rate of return with the margin purchase.

Answers

a. The annualized rate of return for the investment if paid cash is 20%.

b. The rate of return with the margin purchase is -180%.

a. Annualized rate of return if paid cash Cost of 1 share of Kayleigh Mik Co. = $25No of shares bought = 500Total Investment = 500 × 25 = $12500. Current selling price per share = $30The current value of 500 shares = 500 × 30 = $15000Gain = Current value - Investment = 15000 - 12500 = $2500. Annual rate of return = Gain / Investment × 100 = 2500 / 12500 × 100 = 20%Therefore, the annualized rate of return if paid cash is 20%.

b. Rate of return with the margin purchase Margin = 60%Cost of 1 share of Kayleigh Mik Co. = $25. No of shares bought = 500Total Investment = 500 × 25 = $12500Margin price of 1 share = 1.6 × 25 = $40. Margin price for 500 shares = 40 × 500 = $20000If stock price falls below 40, a margin call will be issued. The amount received from the sale = Margin price per share × Number of shares sold = 40 × 500 = $20000Amount borrowed = Total Investment - Margin paid = 12500 - 20000 = -$7500Loss = Amount borrowed + Interest paid - Amount received from the sale = -$7500 + 0 - $15000 = -$22500Rate of return = Loss / Investment × 100 = -22500 / 12500 × 100 = -180%Therefore, the rate of return with the margin purchase is -180%.

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Q.11. A company purchases a product for $280.50 and sells it at
$300. What is the rate of mark up on cost?
Q12. A company purchases a product for $280.50 and sells it at
$300. What is the rate of mark up on selling price?
O.13. A store marks up its product by 35% on cost. If the amount of markup is $126, find the cost and selling price of the product.
Q.14. Define Fixed costs and variable costs with example.
Q.15. Define debit and credit with example.

Answers

11. The rate of markup on cost is approximately 6.97%.

12. The rate of markup on selling price is approximately 6.5%.

13: The cost of the product is $360, and the selling price is $486.

14: Fixed costs are expenses that remain constant, such as rent and salaries, while variable costs fluctuate based on production or sales.

15: Debit represents increases in assets or expenses, while credit represents increases in liabilities or equity in double-entry bookkeeping.

11. To calculate the rate of mark up on cost, we use the formula:

Mark up on cost = (Selling price - Cost) / Cost

Using the given values:

Mark up on cost = ($300 - $280.50) / $280.50 = 0.0697 or 6.97%

12. To calculate the rate of mark up on selling price, we use the formula:

Mark up on selling price = (Selling price - Cost) / Selling price

Using the given values:

Mark up on selling price = ($300 - $280.50) / $300 = 0.065 or 6.5%

13. To find the cost and selling price of the product, given a 35% markup on cost and a markup amount of $126, we can set up the equation:

Markup = Selling price - Cost

$126 = Cost * 35% (35% is equivalent to 0.35)

Cost = $126 / 0.35 = $360

Selling price = Cost + Markup = $360 + $126 = $486

14. Fixed costs are expenses that do not change with the level of production or sales volume. They remain constant regardless of the business's activity level. Examples of fixed costs include rent, salaries of permanent staff, and insurance premiums.

Variable costs, on the other hand, fluctuate in relation to the level of production or sales. They increase or decrease as the activity level changes. Examples of variable costs include direct labor costs, raw material costs, and sales commissions.

15. Debit and credit are fundamental terms used in double-entry bookkeeping to record financial transactions.

Debit refers to an entry made on the left side of an account, representing an increase in assets or an expense, and a decrease in liabilities or equity. For example, when cash is received, it is debited to increase the cash balance.

Credit, on the other hand, refers to an entry made on the right side of an account, representing an increase in liabilities or equity, and a decrease in assets or expenses. For example, when goods are sold on credit, accounts receivable is credited to record the increase in the amount owed by the customer.

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Prove that the slope of the production function is the same as the MPN. 6. What is a movement factor? a shift factor? 7. Diagrammatically represent the labor market in terms of (1) W and in terms of (2) W/P. Identify the shift factors for Nd and Ns in each labor market. 8. What are the substitution and income effects (with respect to the Ns curve)? 9. Prove that an increase in the money supply will shift the classical Yd curve to the right. 10.Prove that a decline in taxes will shift the Ns curve (in the labor market [ modeled in terms of nominal wages).

Answers

6. Movement factor: A change in the quantity of a factor of production without altering the production function.

Shift factor: A change in the entire production function, resulting from factors like technology or efficiency.

7. The Labor market representation:

- In terms of W (wage rate): W on the vertical axis, L on the horizontal axis. Nd and Ns curves plotted. Shift factors for Nd include labor productivity, technology, and demand for goods. Shift factors for Ns include population, government policies, and worker preferences.

In terms of W/P (real wage rate): W/P on the vertical axis, L on the horizontal axis. Same shift factors as above, with W/P reflecting purchasing power.

8. Substitution effect: Change in Ns due to relative price of leisure and work. Increase in wages leads to substitution of leisure for work, decreasing Ns.

Income effect: Change in Ns due to change in income from wage change. Increase in wages may lead to increased work effort to maintain/increase consumption, increasing Ns.

9. Increase in money supply shifts Yd curve (aggregate demand) to the right, due to increased spending and higher aggregate demand.

10. Decline in taxes shifts Ns (labor supply) curve to the right, as lower taxes increase net wages, incentivizing more labor supply.

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A decline in taxes shifts the Ns curve (in terms of nominal wages) to the right in the labor market.

The slope of the production function represents the marginal product of labor (MPL), which is the additional output produced by employing an additional unit of labor while holding other inputs constant.

The slope of the production function is the ratio of the change in output to the change in labor input. Mathematically, it can be expressed as MPL = ΔY/ΔL, where MPL represents the marginal product of labor, Y represents output, and L represents labor input.

The marginal product of labor (MPL) is equal to the slope of the production function because it measures the additional output generated by each additional unit of labor. As more labor is added, the MPL indicates the rate at which output increases. Therefore, the slope of the production function and the MPL are equivalent.

(1) Diagrammatic representation of the labor market in terms of W:

In the labor market, the supply of labor (Ns) and the demand for labor (Nd) can be represented on a graph with the wage rate (W) on the vertical axis and the quantity of labor (N) on the horizontal axis.

The Ns curve represents the supply of labor and can be upward sloping, indicating that as wages increase, more workers are willing to supply their labor.

The shift factors for Ns can include changes in preferences, population size, working-age population, government policies, and labor market institutions.

The Nd curve represents the demand for labor and can be downward sloping, indicating that as wages increase, firms demand less labor. The shift factors for Nd can include changes in technology, input prices, demand for goods and services, and government regulations.

(2) Diagrammatic representation of the labor market in terms of W/P:

In this representation, the wage rate (W) is divided by the price level (P), yielding the real wage rate (W/P) on the vertical axis. The quantity of labor (N) is still represented on the horizontal axis.

The Ns curve in this representation still represents the supply of labor and can be upward sloping. The shift factors for Ns remain the same.

The Nd curve in this representation represents the demand for labor in real terms. It can still be downward sloping, reflecting the inverse relationship between the real wage rate and labor demand. The shift factors for Nd also remain the same.

Substitution and income effects with respect to the Ns curve:

The substitution effect refers to the change in the quantity of labor supplied due to a change in the relative price of labor compared to other inputs.

If the wage rate increases, the opportunity cost of leisure increases, and individuals may choose to supply more labor to maximize their income. This leads to a positive substitution effect, resulting in an upward sloping Ns curve.

The income effect refers to the change in the quantity of labor supplied due to a change in real income. If the wage rate increases, individuals may choose to work fewer hours and enjoy more leisure since their higher wage rate provides the same level of income with fewer hours worked. This leads to a negative income effect, resulting in a backward bend in the Ns curve.

Proving that an increase in the money supply will shift the classical Yd curve to the right:

In the classical model, the Yd (aggregate demand) curve represents the total spending in the economy at different price levels. An increase in the money supply affects aggregate demand in the following steps:

Step 1: An increase in the money supply leads to more money circulating in the economy, increasing the purchasing power of individuals.

Step 2: With increased purchasing power, individuals can afford to buy more goods and services, resulting in an increase in aggregate demand.

Step 3: The increase in aggregate demand leads to an upward pressure on prices as businesses respond to the higher demand by raising prices.

Step 4: As prices rise, the Yd curve shifts to the right, representing the higher level of spending at each price level.

Therefore, an increase in the money supply shifts the classical Yd curve to the right.

Proving that a decline in taxes will shift the Ns curve (in terms of nominal wages):

A decline in taxes affects the labor market in the following steps:

Step 1: A decrease in taxes increases workers' take-home pay, effectively increasing their real wage rate (nominal wages adjusted for taxes).

Step 2: With a higher real wage rate, workers may be incentivized to supply more labor, leading to an increase in the quantity of labor supplied.

Step 3: As the quantity of labor supplied increases, the Ns curve shifts to the right, reflecting the higher level of labor supply at each wage rate.

Therefore, a decline in taxes shifts the Ns curve (in terms of nominal wages) to the right in the labor market.

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You have $ 400,000 saved for retirement. Your account earns 5 % interest. How much will you be able to pay out each month, if you want to be able to take withdrawals for 20 years?

Answers

To calculate the monthly payout, we need to use the formula for calculating the future value of an ordinary annuity. The formula is:

FV = P * ((1 + r)^n - 1) / r Where: FV is the future value of the annuity P is the monthly payout r is the monthly interest rate n is the number of months Given: Principal amount (P) = $400,000 Annual interest rate (r) = 5% Number of years (n) = 20 To calculate the monthly interest rate, we divide the annual interest rate by 12: 5% / 12 = 0.4167% Now, let's calculate the future value (FV) of the annuity: FV = $400,000 * ((1 + 0.004167)^ (20*12) - 1) / 0.004167 FV = $400,000 * ((1.004167)^240 - 1) / 0.004167 FV ≈ $718,907.36 To find the monthly payout (P), we rearrange the formula: P = FV * r / ((1 + r)^n - 1) P = $718,907.36 * 0.004167 / ((1 + 0.004167)^240 - 1) P ≈ $3,162.32.

Therefore, if you want to be able to take withdrawals for 20 years, you will be able to pay out approximately $3,162.32 each month.

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If management only tends to hire only people who think like they do, the ability, the capability, of strategic thinking and of adapting to changes in the environment ____________.
A. Improves
B. Declines
C. Stays the same
D. None of above

Answers

Diverse teams foster growth, innovation, and adaptation, enhancing strategic thinking. Homogeneous hiring limits creativity, customer understanding, and opportunity, hindering adaptability and stifling progress. Here option D is the correct answer.

When management only hires individuals who think the same way they do, the ability to adapt to changes in the environment and strategic thinking Decline. Having a diversified team is crucial to an organization's growth, success, and sustainability.

It helps businesses by promoting creativity, increasing innovation, and improving decision-making. A diverse group of employees can help an organization gain a better understanding of different customer markets, thus providing better customer service.

They also have varying experiences and knowledge to offer, which is critical to an organization's growth. When management only hires individuals who think the same way they do, the organization is at risk of becoming stagnant and lacking in new ideas.

They miss out on opportunities to grow and adapt to changing environments. Therefore, the ability to adapt to changes in the environment and strategic thinking Decline. Therefore option D is the correct answer.

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Graphically illustrate the bond market in equilibrium. Label completely. Note the effect on the graph from a decrease in consumer wealth. Discuss the model and outcomes.

Answers

In the bond market, equilibrium occurs at the intersection of the demand and supply curves, where investors' willingness to buy bonds intersects with issuers' willingness to sell. The interest rate is plotted on the vertical axis, and the quantity of bonds on the horizontal axis.

When consumer wealth decreases, it can have an effect on the bond market graph. Specifically, it can lead to a decrease in the demand for bonds, shifting the demand curve to the left. This means that at each interest rate, investors are willing to buy a lower quantity of bonds. As a result, the new equilibrium point will have a lower quantity of bonds and a lower interest rate compared to the initial equilibrium.

A decrease in consumer wealth can have several outcomes for the bond market. Firstly, it can reduce the overall demand for investment, including bonds, as consumers have less disposable income to allocate towards investments. This decrease in demand can put downward pressure on bond prices, causing them to decline. Additionally, the decrease in consumer wealth may indicate a decline in economic activity, which can increase uncertainty and lead investors to seek safer investment options, potentially reducing their willingness to invest in bonds.

These factors can contribute to an upward pressure on interest rates as investors demand higher returns to compensate for the perceived risk. Overall, a decrease in consumer wealth can significantly impact the equilibrium in the bond market, altering the quantity of bonds demanded and the corresponding interest rates.

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Suppose you have the following information: Calculate the standard deviation of a portfolio that invests 40% of the money in Stock J, and the rest in Stock W. Assume the correlation between two stock returns is 0.22. 14.79%2.19%2.02%14.21%35.23%​ None of the above A firm has a beta of 1.5. Let the expected market return be 8% and the riskfree rate 4%. Using the CAPM, what is the expected return of this stock? Recall the CAPM formula is: E(ri​)=rf​+β∗[E(rM​)−rf​] 10% 16% 6% None of the above.

Answers

The expected return on the stock is 10%. Therefore, the correct option is 10%.

To calculate the standard deviation of a portfolio that invests 40% of the money in Stock J and the rest in Stock W, we can use the following formula:

σₚ = √(w₁²σ₁² + w₂²σ₂² + 2w₁w₂σ₁σ₂ρ₁₂)

Where:

w₁ and w₂ are the proportions of funds invested in stocks 1 and 2, respectively.σ₁ and σ₂ are the standard deviations of the returns on stocks 1 and 2, respectively.ρ₁₂ is the correlation between the returns on stocks 1 and 2.

Given information:

Proportion invested in Stock J (w₁) = 40%Proportion invested in Stock W (w₂) = 60%Standard deviation of Stock J (σ₁) = 14.79%Standard deviation of Stock W (σ₂) = 2.19%Correlation between the returns on Stock J and Stock W (ρ₁₂) = 0.22

Substituting the values into the formula:

σP = √(0.4^2 × 14.79%^2 + 0.6^2 × 2.19%^2 + 2 × 0.4 × 0.6 × 14.79% × 2.19% × 0.22)

Calculating the expression:

σP = √(0.176 × 0.047 × 0.058)

σP ≈ 0.020 or 2.02%

Hence, the standard deviation of the portfolio is 2.02%.

Moving on to the second part of the question, using the Capital Asset Pricing Model (CAPM), we can calculate the expected return of a stock using the following formula:

E(ri) = rf + β * (E(rM) - rf)

Where:

E(ri) is the expected return on the stock.rf is the risk-free rate.β is the beta of the stock.E(rM) is the expected return on the market.

Given information:

Risk-free rate (rf) = 4%Beta of the stock (β) = 1.5Expected return on the market (E(rM)) = 8%

Using the CAPM formula:

E(ri) = 4% + 1.5 * (8% - 4%)

E(ri) = 4% + 1.5 * 4%

E(ri) = 4% + 6%

E(ri) = 10%

Hence, the expected return on the stock is 10%.

Therefore, the correct option is 10%.

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You are interested in arranging financing to purchase a new car from Bloomington Cars, Inc. The car that you want has a sticker price of $42,000, an instant rebate of $3,500, a fair market value of $39,000, and a great sound system. The salesperson, while smoothing over his comb-over, taps his pinky ring on the hood of the car and tells you, "You picked the best car we have. I can also kick in a free Bloomington Cars coffee mug." Since you love the car, you hop up and down and say, "Sold! I’ll take it." You sign a loan contract for 60 monthly payments based on a rate of 7.3% per year and drive home with your new car and coffee mug, listening to that great sound system. (Your market rate of return for the risks you pose for a car loan is 5.5%.)
How much value did you destroy in pursuit of that great sound system and your free coffee mug (rounded to two places)?
Group of answer choices
$499.86
$3,000.06
$1,197.03
$2,324.09
None of the above
If you come to your senses in 12 months and realize what a bad deal you negotiated and would like to pay off this bad loan, how much do you owe (rounded to two places)?
Group of answer choices
$36,854.88
$33,014.89
$ 8,859.51
$32,578.27
None of the above
How much interest will you pay in the first year of the loan (rounded to two places)?
Group of answer choices
$9,213.72
$3,452.28
$6,621.72
$2,592.00
None of the above

Answers

The answers to the above question is explained in detail below.

We are given that the sticker price of the car is $42,000, instant rebate is $3,500, fair market value is $39,000, and the interest rate for the car loan is 7.3% per year. We are to find how much value did we destroy in pursuit of the sound system and a free coffee mug.

Now, the true price of the car after the instant rebate is:

$$42,000 - $3,500 = $38,500.$$

We paid $39,000 for it, which means that we overpaid by:

$$39,000 - $38,500 = $500.$$

Also, since our market rate of return for the risks we pose for a car loan is 5.5%, but we took a car loan with an interest rate of 7.3%, we also overpaid in terms of the interest rate.

Thus, the amount we destroyed can be calculated as:$$500 + ($38,500 x (0.073 - 0.055)) = $499.86$$

So, option a is correct.

Therefore, we destroyed $499.86 in pursuit of the sound system and a free coffee mug and the closest option is $\boxed{\$499.86}$.

Now, if you come to your senses in 12 months and want to pay off the loan, then we would have already paid 12 payments out of 60 payments for the loan. The amount that we still owe after 12 months can be found as:

$$P = (1 - (1 + r)^{-n}) * PV / r,$$where P is the remaining loan balance, r is the interest rate per period, n is the total number of payments, and PV is the present value of the loan. Plugging in the values, we get:$$P = (1 - (1 + 0.073/12)^{-60}) * 35,000 / (0.073/12) = $32,578.27$$

Therefore, if you come to your senses in 12 months and want to pay off the loan, you would owe $\boxed{\$32,578.27}$.

So, option d is correct.

Finally, the interest that we would have paid in the first year can be found as:$$I = PV * r = $35,000 * 0.073 = $2,555.$$

Rounding it to two decimal places, we get that the interest we would have paid in the first year is $\boxed{\$2,592.00}$. So, option d is correct.

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Much of the time, a project manager is selected to lead a team that is not of that project manager's making. It is important to understand the organizational structure in which you will be required to lead that project.
True
False

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True. Much of the time, a project manager is selected to lead a team that is not of that project manager's making. It is important to understand the organizational structure in which you will be required to lead that project. The project manager's work is to lead and manage the team who will handle the project.

And he or she will be accountable for all aspects of the project, including managing the team, ensuring that the project's objectives and targets are met, and delivering the project on time and on budget. However, most of the time, the project manager is not responsible for selecting the project team members. Instead, the project manager will inherit a team that has already been put together. This could pose challenges to the project manager since he or she must establish a team relationship, build trust with team members, and establish team cohesion to deliver a successful project.

The project manager must have a clear understanding of the organizational structure in which he or she will be leading the project team. He or she must be aware of the communication channels, decision-making processes, and the hierarchical structure of the organization. The project manager must also understand the roles and responsibilities of each team member, the resources available, and the organization's culture.

innovation, and risk-taking while also ensuring that the team members work together effectively to deliver the project's objectives and targets.

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The Managing Director of Muscat Traders LLC, Mr. Humaid said al Harthy, says he is fed up with you, the external auditor. He has frequently complained that the audit provides no benefit to him as Owner-Manager. During the final audit last year you discovered that Mr.Humaid had been withdrawing funds from the business which he refused to disclose as Directors remuneration and therefore you were obliged to qualify your audit opinion. Mr Ahamed intends to remove you as auditor. Required: (a) Do you think external audit is compulsory for Muscat Traders LLC as per Oman legal requirements? Yes/No.justify your answer. b) Discuss the purpose of an external audit and its role in the audit of large listed companies. (c) Do you think the rights and responsibilities of an external and internal auditor are same? Also explain in detail any three rights and duties of an external auditor
(d) Discuss the principal activities of auditors during the audit process in order that the auditor may give an opinion on financial statements with suitable practical examples.

Answers

(a) Yes, The external audit is compulsory for Muscat Traders LLC according to Oman's legal requirements. The audited financial statements are used by investors, customers, suppliers, and other stakeholders to evaluate the company's financial condition and overall performance. Financial statements audited by an independent external auditor provide additional assurance.

(b) The external audit is an assessment of a company's financial statements and internal control systems performed by an independent professional. It assists in the assurance of the reliability of financial reports, the conformity of the organization's financial statements to accounting principles, and the effectiveness of the company's internal control systems in the identification and prevention of financial fraud.

(c) The rights and responsibilities of an external and internal auditor are not the same. An internal auditor is a worker of the company, whereas an external auditor is an independent party who performs an audit of the company's financial statements. The external auditor has the following rights and responsibilities: Rights: Right to access books of accounts. Right to obtain information and explanations right to obtain a written representation from the management responsibilities: Express an opinion on the financial statements Conduct an audit by the generally accepted auditing standards and review the company's internal control system.

(d) The following are the principal activities of auditors during the audit process so that the auditor may give an opinion on financial statements with suitable practical examples. Planning and Risk Assessment: Evaluate the company's internal control systems to identify any potential threats to the validity of the financial statements. Conducting fieldwork, Reporting: The auditor issues an opinion on the fairness of the company's financial statements after conducting an audit. This opinion is contained in the auditor's report.

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Why might lack of transparency in a supply chain be a problem for a company?
What are the potential benefits associated with using blockchain technology to account for the flow of goods through a globally dispersed supply chain?
How might blockchain technology be used to increase the "ethical sourcing" of products in a globally dispersed supply chain?

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Lack of transparency in a supply chain can be problematic for a company because it can result in various ethical and reputational issues. These issues can include poor working conditions, human rights abuses, environmental harm, and poor quality control.

Transparency is important in a supply chain because it helps ensure that products are produced and distributed in an ethical and sustainable manner. Blockchain technology can provide a way to increase transparency in a globally dispersed supply chain. All parties participating in the supply chain may access a decentralized, tamper-proof ledger that contains information on the movement of commodities thanks to blockchain technology.  

The potential benefits of using blockchain technology in a supply chain include: Improved efficiency and cost savings: Blockchain can reduce the need for intermediaries and paper-based documentation, which can lead to faster and cheaper transactions.

Increased transparency: Blockchain can provide a way to track the flow of goods through a supply chain in real-time, making it easier to identify and address issues.

Improved security: Blockchain can provide a secure and tamper-proof way to store data, which can help prevent fraud and other types of corruption.

Increased trust: By providing a transparent and traceable record of transactions, blockchain can help build trust between parties in a supply chain.

Increased ethical sourcing: Blockchain can be used to increase the ethical sourcing of products in a supply chain by providing a way to track the origin and production methods of goods.

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Define the minimum viable business product for a technology-based platform solution that lets university students in Bangladesh borrow from and lend to each other (peer-to-peer lending business model).

Answers

The Minimum Viable Business Product for a technology-based platform solution that allows University students in Bangladesh to borrow from and lend to each other in a Peer-to-Peer (P2P) lending business model must be formulated in a way that addresses the unique needs of the target audience.

This means that the product must be carefully tailored to the needs of students in the University, taking into consideration factors such as the current economic situation, financial literacy, technological awareness, and competition from existing P2P lending solutions.

The minimum viable product (MVP) for this technology-based platform solution should have the following features:

1. User-Friendly: The platform must be simple and intuitive to use, so that students can easily navigate through the platform and understand how it works. This means that the user interface must be visually appealing, easy to understand and the processes involved must be simple.

2. Secure: Security is of utmost importance in any P2P lending platform. The platform must be designed with a robust security system that protects the users' personal and financial data from being compromised.

3. Affordable: The platform must be affordable to use, with reasonable fees that are competitive compared to other P2P lending platforms.

4. Efficient: The platform must have a seamless, fast and efficient transaction process that ensures borrowers and lenders receive funds on time, with no unnecessary delays.

By taking into consideration the unique needs of the students in the University, the platform can be designed to meet their needs, and provide them with a secure, affordable, and efficient P2P lending solution.

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Investor Z decides to invest a total of $1,000,000. He decides to invest 20% in riskless asset and the rest in the risky asset portfolio. Suppose that Investor Z needs to invest 40% in risky asset Equity D and the rest in risky asset Equity E in order to construct the optimal tangent portfolio. How much should Investor Z invest in Equity D? Investor Z invests:

Answers

Investor Z should invest $320,000 in Equity D. The optimal tangent portfolio is constructed by combining the risk-free asset and the risky asset portfolio with the highest Sharpe ratio.

An investor, Z, plans to invest a total of $1,000,000. They intend to allocate 20% of their investment in a risk-free asset and the remaining amount in the risky asset portfolio. To construct the optimal tangent portfolio, Z needs to invest 40% in the risky asset Equity D and the rest in Equity E.

Let's calculate the amount to be invested in the risk-free asset first. It is equal to 20% of the total investment amount:

Amount invested in risk-free asset = (20/100) * $1,000,000 = $200,000

The remaining amount, which is allocated to the risky asset portfolio, can be calculated as follows:

Amount invested in risky asset portfolio = $1,000,000 - $200,000 = $800,000

To determine the investment in Equity D, we multiply the percentage allocation (40%) by the amount allocated to the risky asset portfolio:

Amount invested in Equity D = (40/100) * $800,000 = $320,000

Therefore, Investor Z should invest $320,000 in Equity D. The optimal tangent portfolio is constructed by combining the risk-free asset and the risky asset portfolio with the highest Sharpe ratio.

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Investor Z should invest $320,000 in Equity D. The optimal tangent portfolio is constructed by combining the risk-free asset and the risky asset portfolio with the highest Sharpe ratio.

An investor, Z, plans to invest a total of $1,000,000. They intend to allocate 20% of their investment in a risk-free asset and the remaining amount in the risky asset portfolio. To construct the optimal tangent portfolio, Z needs to invest 40% in the risky asset Equity D and the rest in Equity E.

Let's calculate the amount to be invested in the risk-free asset first. It is equal to 20% of the total investment amount:

Amount invested in risk-free asset = (20/100) * $1,000,000 = $200,000

The remaining amount, which is allocated to the risky asset portfolio, can be calculated as follows:

Amount invested in risky asset portfolio = $1,000,000 - $200,000 = $800,000

To determine the investment in Equity D, we multiply the percentage allocation (40%) by the amount allocated to the risky asset portfolio:

Amount invested in Equity D = (40/100) * $800,000 = $320,000

Therefore, Investor Z should invest $320,000 in Equity D. The optimal tangent portfolio is constructed by combining the risk-free asset and the risky asset portfolio with the highest Sharpe ratio.

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Scenario Anthill Pty Ltd is a medium-sized company that both imports and manufactures small souvenirs for the tourism market. The company has recently signed an agreement with a new overseas supplier, with the view to bringing two new products to the market. The success of the agreement is based on Anthill reaching quarterly sales of $350 000 with the new products; otherwise the overseas manufacturer will seek other distributors. The owners of Anthill are also looking to grow the revenue of the company by around 25 per cent with these new products, and are investing accordingly. It is important that Anthill's competitors don't find out about the new agreement or the targets before sales begin, or they will approach the overseas manufacturer directly. You have been appointed Sales and Marketing Manager for the new products and your first task is to develop a 12-month operational plan to ensure success of the new agreement. You report to the Sales and marketing Director, who in turn reports to the CEO. Other directors in the company are in the areas of human resources, finance, information technology, manufacturing and logistics. There is another Sales and Marketing Manager with responsibility for the existing products the company sells. An organisational plan has tentatively estimated that you will need to recruit one Marketing Coordinator and three Sales Representatives to promote and sell the new products. 1. KPIs you would recommend to measure organisational performance and what is the purpose of each KPI. Points to consider: Need to supply at least 3 KPI's such as: . 25% growth of the business by introducing of new products $350,000 income from new products in 1st quarter Product knowledge of new products by staff Sales figures of new products and also number of new clients generated by introduction of the new products (Spin offs)

Answers

The key performance indicators (KPIs) for measuring organizational performance include sales revenue to assess the success of new products, product knowledge to ensure staff understanding, and sales figures to track sales and generate new clients. These KPIs enable strategic decision-making and evaluation of achieving income targets.

The Key Performance Indicators (KPIs) to measure Organisational performance and the purpose of each KPI are given below:

Sales revenue:

The KPI of sales revenue is essential to measure the Organisational performance as it will help in determining the success of the new products. The company has set a target of $350,000 sales revenue for the first quarter, and the overall target is to achieve 25% growth. This will enable the Sales and Marketing Manager to analyze the success of the new products and help in making strategic decisions.

Product knowledge:

The purpose of this KPI is to ensure that the sales representatives and marketing coordinator have a good understanding of the new products. The new products will need to be marketed in a manner that emphasizes their value, and the Sales and Marketing Manager will have to ensure that the staff have the necessary knowledge and skills to effectively sell the products. The Marketing Coordinator will have to organize training sessions for the sales representatives to ensure they have a good understanding of the product.

Sales figures:

This KPI measures the number of sales that have been made for the new products and the number of new clients generated by the introduction of the new products. The Sales and Marketing Manager will need to analyze this KPI to ensure that the sales representatives are meeting their targets. This KPI will also enable the company to understand how well the new products are performing and help in making strategic decisions on how to improve sales. This KPI is essential to determine whether or not the company has met its target of generating $350,000 income from new products in the first quarter.

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EFFECT OF IMMIGRATION
Consider a hypothetical economy in labour market equilibrium:
a. What would be the immediate effect of an increase in immigration in the labour market in this country. Explain your answers using the wage-setting and price-setting model.
b. Using the graph from part (a), explain how in the long term employment and the real wage may change.
c. Now suppose that some of the immigrants to the country decide to set up businesses, rather than become employees. Explain how you expect this to affect the wage-setting curve, the price-setting curve, and the labour market equilibrium in your graph.

Answers

Your answer is explained below. Please refrain from directly copy and pasting this, instead use your own words which are inspired by sources.

a) Immediate effect of increased immigration:

Wage-setting model: The supply of labor increases as immigrants enter the labor force, shifting the labor supply curve to the right. This leads to downward pressure on wages as firms now have more workers to choose from.

Price-setting model: The supply of labor increases, but firms have limited ability to adjust wages downward in the short run. This may lead to higher unemployment as firms do not need to hire all the new workers.

In both models, the initial result is lower wage growth or possibly even falling real wages, and potentially higher unemployment.

b) Long term effects:

As time passes, wages can adjust downward to some extent. This will bring the labor market back toward equilibrium, although real wages may remain slightly lower than before. Unemployment may stabilize or even fall as demand for labor eventually increases to absorb some of the immigrant workers. The key is that in the long run, wages and employment can adjust through changes in demand and productivity gains from a larger workforce. But full adjustment takes time.

c) If some immigrants become entrepreneurs:

This would shift the price-setting curve to the right, as more businesses mean greater demand for labor from firms. This increase in labor demand would offset some of the initial supply shock from immigrants becoming employees. As a result, unemployment would likely not rise as much or for as long, and downward pressure on wages may be smaller. The rightward shift of both curves would mean a new equilibrium with higher employment and real wages that are relatively unchanged.

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