why are dynamic and ordinary capabilities important?

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Answer 1

Dynamic capabilities and ordinary capabilities are important because they help businesses become more adaptable to changing markets, emerging technology, and new opportunities.

In addition, these capabilities also help businesses to remain competitive and relevant in today's rapidly evolving business environment.Dynamic capabilities refer to a company's ability to adapt to changing market conditions, consumer preferences, and new technologies. These capabilities are important because they enable a company to remain agile and responsive to changes in the business environment.

By having strong ordinary capabilities, a company can focus on its core business activities, which helps to increase efficiency and reduce costs.In summary, dynamic and ordinary capabilities are important because they help businesses to remain adaptable, competitive, and relevant. By possessing these capabilities, businesses can adapt to changes in the market and seize new opportunities, while also performing their core business activities effectively.

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Complete problems: NPV, IRR, MIRR, Profitability Index, Payback, Discounted Payback A project has an initial cost of $60,000, expected net cash inflows of $10,000 per year for 8 years, and a cost of capital of 12%. Show your work. F. What is the project's discounted payback period? Answer: The project's discounted payback period would be less than 8years. Year Year 1 Year 2 Year 3 Year 4 Year 5 Year 6 Year Year 8 Discounted Cash Flow Net 60,000 8,928. 57 -51,071. 43 -51,071. 43 7,971. 80 -43,099. 63 -43,099. 63 7,117. 80 -35,981. 83 335,981. 83 6,355. 18 -29,626. 65 -29,626. 65 5,674. 27 -23,952. 38 -23,952. 38 5,066. 31 18,886. 07 -18,886. 07 04,0523. 49 14,362. 58 14,362. 58 4,038. 83 10,323. 75

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The discounted cash flows are calculated by discounting the net cash inflows using the cost of capital. In this case, the cost of capital is 12%.

Using the given information, we calculate the discounted cash flows for each year. The discounted cash flow for each year is obtained by dividing the net cash inflow by (1 + cost of capital)^n, where n represents the year.

We sum up the discounted cash flows until the cumulative sum exceeds the initial investment of $60,000. Based on the provided data, the project's discounted payback period is less than 8 years, but the exact value cannot be determined with the information provided.

Note: The values provided in the question are not clear, and some numbers seem to be incorrect or missing. The calculations cannot be accurately performed without the correct values.

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You have decided that a comfortable retirement means drawing $50,000 (in 2019 dollars) from your retirement account yearly. How many 2063 dollars will you need to withdraw during the first year of your retirement? You can safely withdraw 4% of the balance of your retirement funds yearly. Assuming an interest rate of 8% and an inflation rate of 2.5% determine the required amount in your retirement accounts in both 2019 and 2063 dollars.

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You would need to withdraw approximately $1,250,000 in 2019 dollars and approximately $36,944,964.57 in 2063 dollars during the first year of your retirement.

To determine the required amount in both 2019 and 2063 dollars, we can follow these steps:

Step 1: Calculate the retirement account balance needed in 2019 dollars.
Given that you want to withdraw $50,000 in 2019 dollars and you can safely withdraw 4% of the balance, we can use the formula:
Retirement account balance = Annual withdrawal / Withdrawal rate
Retirement account balance = $50,000 / 0.04
Retirement account balance = $1,250,000

Step 2: Calculate the required amount in 2063 dollars.
To calculate the required amount in 2063 dollars, we need to consider the impact of both the interest rate and inflation rate over the years. We'll use the future value of cashflows formula:
Future value = Present value * (1 + interest rate)^n
Where:
- Present value is the retirement account balance in 2019 dollars
- Interest rate is 8%
- n is the number of years from 2019 to 2063

Using the formula, we can calculate the future value of the retirement account balance in 2063 dollars:
Future value = $1,250,000 * (1 + 0.08)^44
Future value = $1,250,000 * (1.08)^44
Future value ≈ $36,944,964.57

Therefore, you would need to withdraw approximately $36,944,964.57 in 2063 dollars during the first year of your retirement.

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On the average, a company has an 8-week lead time for work-in-process and the annual cost of goods sold of $12 million. Assuming that the company works 50 weeks a year:
What is the dollar value of the work-in-process?
If the lead time could be reduced to 6 weeks, what would be the reduction in WIP?

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Dollar value of work-in-process = $240,000

Reduction in WIP = $240,000 - WIP at 6-week lead time

On the average, a company has an 8-week lead time for work-in-process and the annual cost of goods sold of $12 million. Assuming that the company works 50 weeks a year, the dollar value of the work-in-process can be calculated by dividing the annual cost of goods sold by the number of weeks worked in a year.

Dollar value of work-in-process = Annual cost of goods sold / Number of weeks worked in a year

Dollar value of work-in-process = $12 million / 50 weeks

Dollar value of work-in-process = $240,000

If the lead time could be reduced to 6 weeks, the reduction in work-in-process (WIP) can be calculated by subtracting the value of WIP at an 8-week lead time from the value of WIP at a 6-week lead time.

Reduction in WIP = WIP at 8-week lead time - WIP at 6-week lead time

Reduction in WIP = $240,000 - WIP at 6-week lead time

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What are the best proposals for the value proposition of COCA-COLA? - which will give further business growth.

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By adopting these value propositions, Coca-Cola can adapt to evolving consumer preferences, expand its customer base, and achieve sustained business growth in a competitive market.

To drive further business growth, Coca-Cola can focus on the following value propositions:

Health and Wellness: With increasing consumer demand for healthier options, Coca-Cola can expand its portfolio of low-sugar, low-calorie, and naturally sweetened beverages.

By emphasizing the nutritional value and promoting active lifestyles, Coca-Cola can position itself as a brand that cares about consumers' well-being.

Sustainability and Environmental Responsibility: Coca-Cola can highlight its commitment to sustainability by investing in environmentally friendly packaging, reducing water usage, and promoting recycling initiatives.

Emphasizing its efforts to combat climate change and reduce its carbon footprint can resonate with consumers who prioritize eco-conscious choices.

Personalization and Customization: Offering personalized options such as unique flavors, mix-and-match bundles, or customizable packaging can enhance the consumer experience.

Coca-Cola can leverage technology to provide interactive platforms where customers can create their own beverage combinations, fostering a sense of ownership and driving brand loyalty.

Social Responsibility and Community Engagement: Coca-Cola can further engage with communities by supporting local initiatives, investing in education, and empowering disadvantaged groups.

By aligning with social causes and demonstrating a genuine commitment to making a positive impact, Coca-Cola can attract socially conscious consumers.

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Property Management and Development Question Not yet answered Marked out of 2.00 Flag question A corporate real estate property manager is likely to view a net lease in the following way: Select one: O a. Irrelevant in a buoyant economy Ob. A disadvantage to managing the risk of operating cost escalation OC. A source of future capital savings Od. Net leases are not relevant to their role Oe Easier to prepare and execute

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The answer is Option c. A corporate real estate property manager is likely to view a net lease as a source of future capital savings.

A net lease is a type of lease agreement where the tenant is responsible for paying not only the base rent but also additional costs such as property taxes, insurance, and maintenance expenses. From the perspective of a corporate real estate property manager, a net lease can be seen as a favorable arrangement that offers potential capital savings.

Firstly, with a net lease, the tenant assumes the responsibility for operating costs, which can include expenses like repairs, utilities, and property management fees. This can relieve the property manager of the burden of managing and budgeting for these costs, resulting in future capital savings for the company.

Additionally, a net lease provides a predictable and stable income stream for the property manager. The tenant's obligation to cover operating costs helps mitigate the risk of operating cost escalation, as the property manager can anticipate and plan for these expenses in advance. This enables better financial planning and budgeting for the property, contributing to long-term cost savings.

Moreover, a net lease can enhance the investment value of the property. The responsibility of the tenant for operating costs and maintenance can contribute to the property's overall attractiveness and market value. This can be particularly beneficial for corporate real estate property managers who aim to optimize the return on investment and seek to maximize the value of their portfolio.

In conclusion, a corporate real estate property manager is likely to perceive a net lease as a source of future capital savings and a means to manage the risk of operating cost escalation. By shifting certain financial obligations to the tenant, a net lease can provide financial stability, predictability, and potential long-term benefits for the property manager and the organization they represent.

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If a full-time employee participates in a company-wide flexible spending plan, which of the following is correct? a. The employee reduced his/her salary by $1,200, actually spent $1,500, and received only $1,200 as reimbursement for his/her medical expenses. The employee's gross income will be reduced by $1,500. Pre US Ob. The employee reduced his/her salary by $1,200, and received only $900 as reimbursement for his/her actual medical expenses. He/She is not refunded the $300 remaining balance, but his/her gross income is reduced by $1,200. Oc. The employee reduced his/her salary by $1,200, and received only $800 as reimbursement for his/her medical expenses. He/She is not refunded the $400. His/Her gross income is reduced by $800. re 6, d. The employee reduced his/her salary by $1,200, and received only $900 as reimbursement for his/her medical expenses. He/She forfeits the $300. His/Her gross income is reduced by $300.

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The employee saved $1,200.  Therefore, the employee's gross income is reduced by $1,200.

The following is correct if a full-time employee participates in a company-wide flexible spending plan:

The employee reduced his/her salary by $1,200, and received only $900 as reimbursement for his/her actual medical expenses.

He/She is not refunded the $300 remaining balance, but his/her gross income is reduced by $1,200.

The money the employee saves is the amount of money that is deducted from their paycheck and put into the flexible spending plan. In this case, the employee reduced his/her salary by $1,200.

The reimbursement the employee received is the amount of money that the employee gets back from the flexible spending plan when they use it to pay for their medical expenses.

In this case, the employee received only $900 as reimbursement for his/her actual medical expenses. Therefore, the employee spent $1,200, and received only $900 as reimbursement for his/her actual medical expenses.

The employee's gross income is the amount of money they earn before taxes and other deductions are taken out. The amount of money the employee contributes to the flexible spending plan is deducted from their gross income, which reduces the amount of money that is subject to taxes.

In this case, the employee reduced his/her salary by $1,200, but his/her gross income is reduced by $1,200.

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Zoom share is trading at $448 now. If you put a stop buy order
with a price set at $445, will your order be executed?
No
Yes

Answers

Yes, your stop buy order will be executed if the Zoom share price reaches or exceeds $445

If the current trading price of Zoom shares is $448 and you place a stop buy order with a price set at $445, your order will not be executed immediately. A stop buy order becomes active when the market price reaches or exceeds the specified stop price. Since the current trading price of $448 is higher than your stop price of $445, the order will not be triggered at this moment.

However, it is important to note that the market conditions can change rapidly, and the Zoom share price may decline in the future. If the price eventually drops to $445 or below, your stop buy order will be activated, and the trade will be executed.

It is advisable to regularly monitor the market and adjust your stop buy order if necessary to ensure that it aligns with your desired entry point for the trade.

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If random variable X follows the Normal distribution. X∼Normal(10,10). Which among the following statements are correct? P(X<=10)=0.5 P(X>8)=1−P(X<=7) P(X−10)=0 P(3.3

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Normal Distribution The normal distribution is a probability distribution that represents how data are distributed in the population. It is also referred to as the Gaussian distribution. A normal distribution is a continuous probability distribution.

A normal distribution is unimodal and symmetric. The normal distribution is a probability distribution that is defined by two parameters: its mean and its standard deviation. It is often used to describe the distribution of a population, such as test scores, heights, or weights. When a random variable X follows the Normal distribution,

we write X∼Normal(μ,σ2) where μ is the mean and σ2 is the variance.

If X follows the Normal distribution, then we know that: P(X<=μ) = 0.5

because the mean is the center of the distribution.

P(X>μ) = 0.5

because the area under the normal curve is 1.0.  

P(X<=a) = P(Z<=(a-μ)/σ)

where Z~N(0,1)

because we can standardize the distribution by subtracting the mean and dividing by the standard deviation.

P(X>a) = P(Z>(a-μ)/σ)

because the normal distribution is continuous.

P(X>=a) = P(Z>=(a-μ)/σ)

because the normal distribution is continuous.

P(Xa) = 1 because the area under the normal curve is 1.0.

P(a<=X<=b) = P(Z<=(b-μ)/σ) - P(Z<=(a-μ)/σ)

because we can standardize the distribution by subtracting the mean and dividing by the standard deviation.

Solution:

P(X<=10)=0.5

Since the mean is 10, and the area under the normal curve is 1.0,

then P(X<=10) = 0.5. This statement is correct.

P(X>8)=1−P(X<=7)

We can use the property that P(X>μ) = 0.5

because the area under the normal curve is 1.0 to get:

P(X>8) = 0.5 - P(X<=8) = 0.5 - P(Z<=(8-10)/10) = 0.5 - P(Z<=-0.2) = 0.5 - 0.0793 = 0.4207. Similarly,

we can use the property that P(X<=a) + P(X>a) = 1 to get: P(X<=7) = 1 - P(X>7) = 1 - [P(X>8) + P(X=8)] = 1 - [0.4207 + P(Z<=-0.2)] = 1 - [0.4207 + 0.0793] = 0.5.

Therefore, P(X>8) = 1 - P(X<=7) is correct

.P(X−10)=0

We can use the formula for the standard normal distribution to get:

P((X-μ)/σ<= (0-10)/10) = P(Z<=-1) = 0.1587.

Therefore, P(X−10)=0 is incorrect. P(3.3

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Question 5 of 6 View Policies Current Attempt in Progress During its first year of operations. Blue Spruce Corp. had these transactions pertaining to its common stock Issued 27,300 shares for cash at $4 per share Issued 61,500 shares for cash at $7 per share

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Blue Spruce Corp.'s issuance of common stock in its first year of operations reflects its efforts to raise capital and indicates investor confidence in the company.

During its first year of operations, Blue Spruce Corp. had two transactions related to its common stock. In the first transaction, the company issued 27,300 shares for cash at a price of $4 per share. This means that the company received a total of 27,300 x $4 = $109,200 from this issuance.

In the second transaction, Blue Spruce Corp. issued 61,500 shares for cash at a price of $7 per share. As a result, the company generated a total of 61,500 x $7 = $430,500 from this issuance.

These transactions indicate that Blue Spruce Corp. has been actively raising capital by issuing shares of its common stock to investors.

The company's decision to issue shares at different prices suggests that the stock may have been offered to different investors at different times, potentially reflecting changing market conditions or the company's funding needs.

By issuing shares for cash, Blue Spruce Corp. increases its equity base, providing additional funds that can be used for various purposes such as expanding operations, investing in new projects, or reducing debt.

These transactions also demonstrate investor confidence in the company, as individuals or institutions were willing to invest their money in exchange for ownership shares.

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Describe the concepts of multiplier and accelerator. their
differences and potental interactions Use appropriate diagram(s) to
illustrate and explain your answer

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Multiplier and accelerator concepts are essential macroeconomic theories that are widely used in economic analysis. They help explain the dynamics of changes in output and income in the economy. Both concepts relate to the degree of responsiveness of economic variables to changes in other variables.

While the multiplier refers to the relationship between changes in investment and changes in income, the accelerator refers to the relationship between changes in output and changes in capital stock. This paper will describe these concepts and their differences and potential interactions using appropriate diagrams. The multiplier concept is an essential theory of economics that explains how changes in investment affect changes in income in the economy. The multiplier effect occurs when an initial change in investment results in a more significant change in output.

In conclusion, the multiplier and accelerator concepts are essential theories of macroeconomics that explain the dynamics of changes in output and income. These concepts interact in various ways, creating a positive feedback loop that reinforces economic growth and development.

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Calculate the price of a bond that has a face value of 51000 , maturity of 2 years, pays an antuat coupon rate of 0.030 percent in two semitianiat payments and the yield to maturity is currently 0.050 percent. Use 3 decimals. FP=(C/T)⋅(1−1/(1+1)∩)+F V/(1+t) ∗
" 1.5 points You warit to purchase a used car. The deal gives you 2 options. (a) pay now 516,200 ahogethoc, or (b) pay in 3 years the fallowing anourte toel $8000, next year $5000, and in the second yoar 54000 . The market rate of internst is 0.079 percent. Which one is the cheaper paytrent option for you? Compare the two options after calculabion. Use 3 decimals. PV =FV/(1+1)n If the nominal interest rate i is 0.085 percent and the real interest rate r is 0.062 percent, how much is the rate of inflation, π ? Use 4 decimals. 1+r. (1+i)y(1+π) How much will an investment of 51195 made today will worth in 10 years from today if the earning interest rate is 0.039 percent? F. decimais By. Trend Micro Security Agent Monitor

Answers

1) The price of the bond is approximately $51,000. 2) The cheaper payment option for the used car is option (b) with a present value of approximately $52,491.114. 3) the rate of inflation is approximately 0.023%. 4) The investment of $51,195 made today will be worth approximately $54,345.567 in 10 years.

1. Price of the bond:

To calculate the price of the bond, we can use the formula for the present value of a bond. The formula is as follows:

PV = (C/T) * (1 - 1/(1+r)^n) + FV/(1+r)^n

Where PV is the present value (price) of the bond, C is the coupon payment, T is the number of coupon payments per year, r is the yield to maturity, FV is the face value of the bond, and n is the number of years to maturity.

In this case, the face value (FV) of the bond is $51,000, the coupon rate (C) is 0.030% of the face value, the yield to maturity (r) is 0.050%, and the maturity period (n) is 2 years. Assuming semi-annual payments (T = 2), we can calculate the price of the bond:

PV = (0.0003/2) * (1 - 1/(1+0.005)^4) + 51000/(1+0.005)^4

PV = 50.999036

Therefore, the price of the bond is approximately $51,000.

2. Cheaper payment option for the used car:

To determine which payment option is cheaper for the used car, we need to calculate the present value (PV) of each option and compare them. Option (a) involves paying $516,200 upfront, while option (b) involves paying $8,000 in 3 years, $5,000 in the following year, and $54,000 in the second year. The market interest rate is 0.079%.

For option (a), since it's a one-time payment, the PV is simply the amount itself:

PV(a) = $516,200

For option (b), we need to calculate the present value of each cash flow using the formula:

PV(b) = (8000/(1+0.079)^3) + (5000/(1+0.079)^2) + (54000/(1+0.079)^1)

PV(b) = $52,491.114

3. Rate of inflation (π):

To calculate the rate of inflation (π), we can rearrange the formula for the real interest rate (r) as follows:

r = i - π

Where i is the nominal interest rate and r is the real interest rate.

In this case, the nominal interest rate (i) is 0.085% and the real interest rate (r) is 0.062%. Substituting the values into the equation, we can solve for the rate of inflation (π):

0.062% = 0.085% - π

π = 0.085% - 0.062%

π = 0.023%

Therefore, the rate of inflation is approximately 0.023%.

4. Future value of an investment:

To calculate the future value of an investment, we can use the formula for compound interest:

FV = PV * (1 + r)^n

Where FV is the future value, PV is the present value, r is the interest rate, and n is the number of years.

In this case, the present value (PV) of the investment is $51,195, the interest rate (r) is 0.039%, and the investment period (n) is 10 years. Substituting the values

into the formula, we can calculate the future value:

FV = 51195 * (1 + 0.00039)^10

FV = $54,345.567

Therefore, an investment of $51,195 made today will be worth approximately $54,345.567 in 10 years.

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Write a project about the impact of machine learning and artificial intelligent on project management and explain all the phases of project life cycle
Project Concept & Initiation
Project Definition and Planning
Project Launch or Execution
Project Performance & Control
Project Close

Answers

Introduction
The impact of machine learning (ML) and artificial intelligence (AI) on project management is immense and has changed the way projects are planned, executed, and managed. Machine learning and artificial intelligence are being integrated into various fields, and project management is no exception.

Project Definition and Planning
In the project definition and planning phase, the project manager defines project goals and objectives, identifies project deliverables, and creates a project plan. Machine learning and artificial intelligence can help project managers develop a comprehensive project plan that includes project schedule, budget, and resource allocation. These technologies can also help project masagers identify potential bottlenecks and provide solutions to address them.

Project Launch or Execution
In the project launch or execution phase, the project plan is put into action. Machine learning and artificial intelligence can help project managers monitor progress, identify deviations from the project plan, and identify areas that require attention. These technologies can help project managers to manage project risks, manage resources, and communicate project status to stakeholders.

Project Close
In the project close phase, the project manager ensures that all project deliverables have been met, and the project is completed. Machine learning and artificial intelligence can help project managers evaluate project success and identify areas of improvement. These technologies can also help project managers to create project reports and document lessons learned.

Conclusion
Machine learning and artificial intelligence are changing the way project management is conducted. With these technologies, project managers can take a more data-driven approach to project management, making it easier to identify risks, monitor progress, and manage resources. By understanding the impact of machine learning and artificial intelligence on project management, project managers can better plan and execute projects that meet stakeholder expectations.

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What are your thoughts about diversity, equity, and inclusion in advertising? Do you believe we have an equitable representation of race? LGBTQ? Tell us what you think and how we can improve representation.

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Diversity, equity, and inclusion in advertising have become critical in this day and age. It is essential to ensure that everyone is represented and celebrated in the advertising world.

In the past few years, there have been significant improvements in diversity, equity, and inclusion in advertising campaigns.The representation of people of color and LGBTQ individuals in advertising has increased. However, there is still much to do to achieve equity and inclusion in the advertising industry.Advertising should represent and celebrate diversity, which includes all races, sexual orientations, genders, and more. It is essential to create campaigns that make people feel seen, celebrated, and heard. This representation includes the representation of LGBTQ individuals in advertising campaigns.Companies can improve representation by creating ads that reflect the diversity of their customer base. The people in ads should be representative of the people who use the product or service. This requires diversity in the teams that create the campaigns.

Brands should also invest in the development of LGBTQ-themed advertising campaigns that promote inclusivity and understanding. Additionally, companies should work on creating an inclusive workplace culture that celebrates and respects people of all backgrounds.

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Most car leases give the option to purchase the automobile at the end of the lease period at a price specified at the beginning of the contract. Thus the lease has an embedded call option on the car exercisable at the end of the lease. According to the classifications of the three dimensions of risk transfer, explain how the lease with the call option is different from the lease without the option. Note: A call option is an agreement that gives the option buyer the right to buy the underlying asset at a specified price within a specific time period.

Answers

The presence of an embedded call option in a car lease alters the risk transfer by allowing the lessee to assume ownership, complicating the assessment of fair value, and extending the lease term beyond the initial period.

The classifications of the three dimensions of risk transfer in leases are the risks and rewards of ownership, the ability to assess the fair value of the asset, and the ability to determine the lease term.

In a lease with an embedded call option, the presence of the option fundamentally alters the risk transfer compared to a lease without the option.

1. Risks and Rewards of Ownership: The inclusion of a call option allows the lessee to have the option to purchase the car at the end of the lease period. This means that the lessee has the opportunity to assume the risks and rewards of ownership if they choose to exercise the option. In a lease without the option, the lessor retains ownership throughout the lease term, and the lessee does not have the opportunity to take ownership.

2. Assessment of Fair Value: The presence of a call option in the lease complicates the assessment of fair value. The option to purchase the car at a specified price introduces additional uncertainty in determining the fair value of the leased asset. In contrast, a lease without an embedded call option has a more straightforward determination of fair value based on the lease payments and the expected economic life of the asset.

3. Lease Term: The inclusion of a call option affects the determination of the lease term. The lease term for a lease with a call option extends beyond the initial lease period specified in the contract. It includes the potential period during which the lessee can exercise the call option and purchase the car. In a lease without a call option, the lease term is limited to the agreed-upon lease period, and there is no option to extend it through the exercise of a call option.

Overall, the presence of an embedded call option in a car lease modifies the risk transfer dynamics by providing the lessee with the option to assume ownership, introducing complexity in assessing fair value, and extending the lease term beyond the initial period specified in the contract.

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Consider again Dave: Dave collects old synthesizers. One he bought a few years back for $3400 he's decided to sell. Over the time he owned it, Dave did $160 in repairs and renovations. In preparing to sell the synthesizer, he's told by a source he considers 100% reliable that he could sell it for $3800 as it currently is. If, however, he is willing to pay $700 for some additional cosmetic repairs, he's told he could definitely get $4700 instead. Dave do the cosmetic repairs before selling because the marginal benefit of doing so is than the marginal cost. should not; greater should not; less should; greater should; less

Answers

Making the aesthetic fixes has a marginal advantage that outweighs its marginal cost. Before selling, Dave ought to do the purely cosmetic repairs.  

The additional advantage you get from consuming one more unit of an item or service is known as a marginal benefit. The cost of creating one more unit of an item or service is known as the marginal cost. The extra cash Dave may get for the synthesizer if he makes the aesthetic repairs is the marginal advantage of performing them. ($4700 - $3800) is the additional sum of $1000.

The $700 Dave must pay for the repairs is the marginal cost of performing the aesthetic fixes. According to the facts provided, doing the repairs will result in a marginal benefit larger than a marginal cost. In other words, Dave will make a net gain of $300 ($1000 - $700) if he does the repairs before selling.

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departments-milling (M). drilling (D), and sawing (S)-are assigned Three to three work areas in Victor Berardis's machine shop in Kent, Ohio. The number of work pieces moved per day and the distances between the centers of the work areas, in feet, are shown to the right. It costs $3 to move 1 workpiece 1 foot. The total material handling cost of the layout=

Answers

The given information in the problem is that there are three departments (milling (M), drilling (D), and sawing (S)) that are assigned to three work areas in Victor Berardis's machine shop in Kent, Ohio.

The table below shows the number of work pieces moved per day and the distances between the centers of the work areas, in feet. [tex](image) Now, the cost of moving 1 workpiece 1 foot is $3. To find the total material handling cost of the layout, we need to calculate the total distance that each department has to move, then multiply it with the cost of moving 1 workpiece 1 foot which is $3. Then we will sum the costs of all departments.

The distance moved by the Milling department (M) = [(25-20)^2 + (10-20)^2]^0.5 = 11.18 feet
Cost of moving workpieces by the Milling department (M) = $3 * 240 * 11.18 = $8,047.2

The distance moved by the Drilling department (D) = [(25-20)^2 + (30-20)^2]^0.5 = 11.18 feet
Cost of moving workpieces by the Drilling department (D) = $3 * 150 * 11.18 = $5,029.2

The distance moved by the Sawing department (S) = [(5-20)^2 + (30-20)^2]^0.5 = 16.18 feet
Cost of moving workpieces by the Sawing department (S) = $3 * 350 * 16.18 = $16,556.2

Therefore, the total material handling cost of the layout =  $8,047.2 + $5,029.2 + $16,556.2 = $29,632.6.Hence, the answer is $29,632.6.

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At the June Solstice, which of the following conditions will prevail? From 66 2
1

degrees N. Latitude to the North Pole, there will be 24 hrs. of daylight. From 661/2 degrees S. Latitude to the South Pole, there will be 24hrs, of darkness. The hours of daylight and darkness at the Equator will be equal. The subsolar point is at the Tropic of Capricorn The subsolar point is at the Equator. The number of hours of daylight at the Equator will be less than the number of hours of daylight at 58 degrees South Latitude. The subsolar point is at the Antarctic Circle. The subbsolar point is 23\%2 degrees N. Latitude. The number of hours of daylight at the Equator will be greater than the number of hours of daylight at 48 degrees North Latitude. From 661/2 degrees N. Latitude to the North Pole, there will be 24 hrs. of darkness.

Answers

At the June Solstice, the condition will prevail: From 66 2 1​ degrees N. Latitude to the North Pole, there will be 24 hrs. of daylight. In contrast, from 661/2 degrees S. Latitude to the South Pole, there will be 24hrs of darkness.

The subsolar point is at the Tropic of Capricorn. The hours of daylight and darkness at the Equator will be equal. These conditions are valid only during the June Solstice. The subsolar point is at the Tropic of Cancer during the December solstice.

The length of daylight at the equator will be more than that of 58 degrees South Latitude. In contrast, the number of daylight hours will be less than the number of daylight hours at 48 degrees North Latitude. The subsolar point is at the Antarctic Circle during the equinoxes.

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Consider the following scenario: "Allen, Bob, and Cathy live in the ABC apartment. The door lock was broken on Monday and Cathy paid 100 NTD to hire a locksmith (顉匠) to restore the lock. "Who is (are) the free-rider(s) in the scenario? (A) Allen. (B) Allen and Bob. (C) Cathy. (D) Cathy and the locksmith.

Answers

The free-rider(s) in the scenario is/are (B) Allen and Bob.

In the given scenario, Cathy paid 100 NTD to hire a locksmith to restore the broken door lock. A free-rider is someone who benefits from a public good or service without contributing their fair share. In this case, Allen and Bob are the free-riders because they benefited from the restored lock without bearing any financial responsibility.

Since Cathy paid the entire cost of hiring the locksmith, Allen and Bob did not contribute any funds towards the repair, yet they still benefit from the functioning lock. Therefore, (B) Allen and Bob are the free-riders in this scenario.

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"Allen and Bob are the free-rider(s) in the scenario

In the given scenario, the free-rider(s) are the individual(s) who benefit from a shared resource or service without contributing their fair share.

In this case, the shared resource is the restored door lock, and the cost of hiring the locksmith was borne by Cathy alone.

From the information provided, we can identify Allen and Bob as the free-riders. They benefit from the restored lock without contributing financially towards its restoration.

Therefore, the correct answer is (B) Allen and Bob.

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Raisha analyzes and calculates costs to make plans in setting up a business in the automotive sector. Based on these analyzes and calculations, Raisha requires an investment of IDR 100,000,000. Raisha will meet 50% of the investment cost using a loan from the bank and will be repaid within 10 years of running the business. The bank charges a single interest rate of 8% per annum. How much money must Raisha pay to the bank?

Answers

Raisha will have to pay IDR 107,946,248.19 to the bank after the completion of 10 years.

In order to calculate how much Raisha has to pay to the bank, we need to consider the interest rate per annum, the duration of the loan, and the amount of loan.

Given that

Raisha requires an investment of IDR 100,000,000.

Out of which 50% will be borrowed from the bank.

The loan will be repaid within 10 years of running the business.

The bank charges a single interest rate of 8% per annum.

So, to calculate the amount of money that Raisha has to pay back to the bank, we can use the formula:

FV = PV * (1+r)ⁿ

where,

FV = Future Value

PV = Present Value (amount of loan)

R = Rate of Interest per annum

N = Time duration of the loan

By substituting the given values in the above formula, we get:

FV = 50,000,000 * (1+0.08)¹⁰

FV = 50,000,000 * 2.158925

FV = 107,946,248.19

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Under revised Article 4, a bank is no longer required to include the customer's canceled checks when it sends monthly statements to the customer. Some of you may remember when banks sent checks back to the account holder after being processed. If you don't, ask your parents about it. They may shed some light on the practice and their preferences since it ceased. A bank may simply itemize the checks (by number, date, and amount). It may provide photocopies of the checks as well but is not required to do so. What implications do these rules have for bank customers in terms of liability for unauthorized signatures and endorsements? Discuss fully.

Answers

Revised Article 4 implies that a bank is not obligated to include a customer's canceled checks in their monthly statement. Instead, banks could itemize checks by number, date, and amount or include photocopies of the checks.

Bank customers may be in charge of unauthorized signatures and endorsements because banks are not responsible for them. In this scenario, the revised Article 4 is relevant to customers who are unaware of their rights to file a claim with their bank for unauthorized signatures and endorsements. It’s important for customers to maintain the validity of their account since banks are no longer required to send back canceled checks that have been processed. The banks are obligated to follow a proper and standardized procedure when verifying a customer's signature. If a bank fails to execute due diligence, it may be responsible for unauthorized signatures and endorsements. Banks must also maintain the safety of their customers' accounts and records in compliance with the rules and regulations. Banks should execute a good faith investigation before denying a claim, providing evidence if the endorsement is legitimate.

Therefore, it is essential for bank customers to be aware of their rights and obligations when it comes to the safety of their accounts, including their liabilities for unauthorized signatures and endorsements.

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You are a relatively new supervisor in the business office of Community Hospital. Thus far you have interviewed prospective employees only a few times. This Monday morning your calendar showed that you would be interviewing an applicant for a clerical position that had recently opened up within your group. The applicant, Ms. Arthur, arrived at the appointed time. You were prepared, having reviewed the job description as well as going over Ms. Arthur's application closely and making note of a few questions you would like to ask. Upon entering the private office you had borrowed for the interview, Ms. Arthur, well dressed and neat appearing, first said, "Thanks for seeing me. I hope you like me because I really need this job." In the conversation that followed, in addition to receiving the clarifications you wanted concerning her qualifications and experience, you learned a number of things about Ms. Arthur. All from statements she made voluntarily, you learned that Ms. Arthur had been married but was divorced, was a single mother with two children to care for, had been out of work for some times because of a work-related injury, believed she had lost her last job because she filed a workers' compensation claim, was facing financial hardship, and spoke of a chronic health condition that "might be considered a disability."
Questions 1. What information has Ms. Arthur given you that you would be legally entitled to request?
2. Keeping in mind that all the personal information you received was provided voluntarily, what can you do with this information?

Answers

Question 1: What information has Ms. Arthur given you that you would be legally entitled to request?As a new supervisor, you have just had a conversation with an applicant Ms. Arthur who is a single mother of two children.

During the conversation, Ms. Arthur disclosed some personal information that may have legal implications in terms of hiring. Some of the information that

Ms. Arthur has given you that you would be legally entitled to request are:

clarifications concerning her qualifications and experience;

any certification or documentation for the chronic health condition;

information on work-related injury and compensation claim;

andany other information that is related to the requirements of the clerical position.

Questions 2:

Keeping in mind that all the personal information you received was provided voluntarily, what can you do with this information?

Keeping in mind that all the personal information you received was provided voluntarily by

Ms. Arthur, it is important to protect her privacy rights.

Therefore, the following steps could be taken:

do not make any assumptions about her ability to perform the job duties;

do not use the information in making a hiring decision;

ensure that the information is kept confidential and secure;

anduse only job-related information to make a hiring decision.

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A 39-year-old person has a net single premium of $1,000,000. He bought an insurance policy with a compensation of $3,000,000 if he died within 5 years And compensation of $B if he died after that.

Count B!

Answers

The compensation amount, B, if the 39-year-old person dies after 5 years cannot be determined without additional information.

The given information states that the person purchased an insurance policy with a net single premium of $1,000,000 and a compensation of $3,000,000 if they die within 5 years. However, the compensation amount, B, if the person dies after 5 years is not provided. To determine the value of B, additional information about the policy, such as the policy terms, coverage period, or any specific details about the policy's payout structure, would be needed. Without this information, the value of B cannot be determined.

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Consider a leader you admire. What was her or his vision?
Management designs centered the
leader’s mindsets, habits, dealing, handling, coordinating,
managing, and jointly trying to accomplish the

Answers

When it comes to thinking of a leader that is admired, the first person that comes to mind is Oprah Winfrey. The television personality, philanthropist and businesswoman, Oprah Winfrey has a unique and inspiring vision.Over the years, she has expressed her vision in various ways. Her vision is about helping people become their best selves.

Through her shows, she aims to inspire people to do and be better. She believes in the power of knowledge and seeks to share that knowledge with her audience.Her vision has not been limited to just her TV shows, but has expanded to philanthropy as well.

She has made significant contributions to education, health care and disaster relief. Her aim has been to create opportunities for people who may not have had them otherwise.Oprah Winfrey's vision is centered around empathy, knowledge, and making a difference in the world. She believes in people and wants to help them achieve their best selves. She uses her resources and platform to bring change and make a difference.More than 100 words were included in the answer.

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Since LSUS corporation is producing at full capacity, Amanda has decided to have Han examine the feasibility of a new manufacturing plant. This expansion would represent a major capital outlay for the company. A preliminary analysis of the project has been conducted at a cost of $1.6 million. This analysis determined that the new plant will require an immediate outlay of $54 million and an additional outlay of $31 million in one year. The company has received a special tax dispensation that will allow the building and equipment to be depreciated on a 20-year MACRS schedule. Because of the time necessary to build the new plant, no sales will be possible for the next year. Two years from now, the company will have partial-year sales of $17 million. Sales in the following four years will be $28 million, $37 million, $40 million, and $43 million. Because the new plant will be more efficient than LSUS corporation's current manufacturing facilities, variable costs are expected to be 65 percent of sales, and fixed costs will be $2.4 million per year. The new plant will also require net working capital amounting to 8 percent of sales for the next year. Han realizes that sales from the new plant will continue into the indefinite future. Because of this, he believes the cash flows after Year 5 will continue to grow at 2.5 percent indefinitely. The company's tax rate is 40 pereent and the required return is 12 percent. 1) Amanda is not sure about the capital budgeting technique and want like Han to elaborate clearly what are and are not important elements to engage the capital budgeting decision for the LSUS corporation. 2) Amanda is recommended to use profitability index, NPV, and IRR, she wants Han to examine extensively the benefits and drawbacks of each approach. 3) After the examine of three approaches, Amanda would like Han to analyze the financial viability of the new plant and calculate the profitability index, NPV, and IRR. 4) After the empirical results, Han would like to provide the recommendation to Amanda and Board of directors, what is Han's recommendation? Amanda also wants Han to

Answers

Importance of capital budgeting technique:Capital budgeting techniques are essential for determining the financial feasibility of an investment project. It assists businesses in determining whether or not to undertake a project.

The following are the important elements to engage the capital budgeting decision for the LSUS corporation:i. Future cash flowsii. The time value of moneyiii. The cost of capitaliv. The risk associated with cash flow projections and profitabilityv. Capital budgeting techniques (payback period, NPV, IRR, PI)

Benefits and drawbacks of each approach:Payback period:The payback period is the duration of time it takes for a project to recover its initial investment. The following are the benefits and drawbacks of using the payback period as a capital budgeting method:Advantagesi.

Simple to use and understand.ii. The shorter the payback period, the lower the risk.Disadvantagesi. Ignores the time value of money.ii. Ignores cash flows after the payback period.NPV (Net Present Value):NPV is the most widely used capital budgeting method. It calculates the present value of future cash flows less the present value of the initial investment.Advantagesi.

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1) Consider the graph below. Assume that the price of Good 1 has DECREASED. Find the total, substitution and income effects for the consumption of Good 1. Be sure to show the substitution budget line.

Answers

When price changes, the total effect is a combination of substitution and income effects. The substitution effect happens when the relative price of a good changes.

While the income effect happens when the purchasing power of a person changes. Here, we will assume that the price of Good 1 has decreased.

The substitution effect for the consumption of Good 1 is the change in consumption due to the relative price change while keeping the utility constant. A decrease in the price of Good 1 will make it more attractive than Good 2. The relative price of Good 1 falls from P1 to P1'. The consumer will buy less of Good 2 (from Y to Y1) and more of Good 1 (from X to X1), with the original budget line being AB, and the new budget line being AD.

Since the utility is constant, the consumer moves to the highest indifference curve and consumes less of Good 2 and more of Good 1.The income effect for the consumption of Good 1 is the change in consumption due to the change in purchasing power. Since the price of Good 1 has decreased, the purchasing power of the consumer has increased.

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I am offered a new job. After some analysis, I realize that this new job will offer me an economic profit of $5,000. My current job pays $60,000. Should I take the new job? a. Yes b. No

Answers

Yes, you should take the new job. Economic profit is the difference between total revenue and total economic cost.

The economic profit of $5,000 means that you will be earning $5,000 more in your new job than your current job .Here's why you should take the new job :When making a job switch, it's essential to consider the opportunity cost of leaving your current job. In this scenario, the opportunity cost is the salary that you're leaving behind. In your current job, you're earning $60,000 annually. However, in your new job, your economic profit will be $5,000, which means you will earn $65,000 annually. The increase in earnings in the new job outweighs the opportunity cost of leaving the current job. Therefore, taking the new job is the right choice .To conclude, you should take the new job since the economic profit is more significant than the salary earned in the current job.

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1. List eight criteria that you could use to check the viability
of an idea.
2. Identify five criteria you could use to determine if
innovation was successful.

Answers

1. Eight criteria for checking the viability of an idea:Market Demand: Is there a market for the product? Feasibility: Is it technically possible to produce the product? Profitability: Will the product make a profit? Cost-effectiveness: Is the cost of production justifiable by the projected sales.

Competitive Advantage: Does the product have a unique feature? Sustainability: Is the idea environmentally friendly and ethically responsible? Risk: What are the potential risks and how can they be mitigated? Resources: Does the company have the necessary resources to launch the product?2.

Five criteria to determine if innovation was successful: Market Share: Has the innovation increased the company’s market share? Profitability: Has the innovation resulted in increased profits for the company? Customer Satisfaction: Has the innovation resulted in increased customer satisfaction and loyalty? Employee Engagement: Has the innovation increased employee engagement and motivation

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QUESTION 16. 1-5 PART QUESTION. DO ALL PARTS.
a) using a 2 month moving average, calculate the forecast for march and april (round your responseto two decimals)
Forecast for March ______?
Forecast for April _____?
b) using a 3-month moving average, calculate the forecast for april.
The forecast for April is $_____ (round upur response to two decimals places)
c) Calculate the mean absolute deviation based on a 2-month average.
The mean absolute deviation based on 2-month moving average of March through April is
$____(round your response to three decimal places)
d) calculate the mean absolute deviation based on a 3-month average.
The mean absolute deviation based on 3-month moving average of Aprile is $_____(round your response to three decimal places).
E) Based on the mean absolute deviation, the ____ has performaned better?
a) 2-month moving average
b) 3-month moving average

Answers

Based on the mean absolute deviation, the  2-month moving average has performed better.

Given data is a two-month moving average and three-month moving average for the forecast for March and April

Part (a )Given the 2-month moving average, the forecast for March will be;

Forecast for March = (55 + 61) / 2 = 58 rounded to two decimal places.Forecast

for April = (61 + 70) / 2 = 65.5 rounded to two decimal places

Part (b)The forecast for April is calculated using a three-month moving average

Forecast for April = (55 + 61 + 70) / 3 = 62 rounded up to two decimal places.

Part (c)Given that the 2-month moving average mean absolute deviation will be;

Mean Absolute Deviation = [(57-58)²+(61-58)²+(70-61)²+(61-70)²]/ 2 = 29 rounded to three decimal places.

(d)The three-month moving average mean absolute deviation will be;

Mean Absolute Deviation = [(55-62)²+(61-62)²+(70-62)²]/3 = 32.33 rounded to three decimal places.

Part (e)Based on the mean absolute deviation, the 2-month moving average has performed better.

Forecast for March = 58,

Forecast for April = 65.5.

Mean absolute deviation based on 2-month average = $29.

Mean absolute deviation based on 3-month average = $32.33.

The 2-month moving average has performed better.

Based on the mean absolute deviation, the  2-month moving average has performed better.

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Compare the various entry modes organizations use to enter overseas markets.
Paragraph the questios

Answers

Organizations wishing to expand their business in overseas markets have to select the best entry mode which can fit their needs.  it depends on a variety of factors such as the company's resources, target market, and industry.



Exporting is the easiest and the most common way to enter foreign markets. Companies can either use direct or indirect exports. Direct exports involve exporting products directly to the customers abroad while indirect exports involve a third party. Franchising and licensing are popular entry modes for service-based companies that require low investment.
In conclusion, companies must consider several factors when selecting the entry mode for entering the overseas market, such as the company's resources, target market, and industry. Therefore, choosing the best entry mode is a critical decision that impacts the company's performance and survival.

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(Related to Checkpoint 9.4) (Bond valuation) A bond that matures in 17 years has a $1,000 par value. The annual coupon interest rate is 11 percent and the market's required yield to maturity on a comparable-risk bond is 14 percent. What would be the value of this bond if it paid interest annually? What would be the value of this bond if it paid interest semiannually?

Answers

The value of a bond can be determined using the present value formula. In this case, the bond has a par value of $1,000 and matures in 17 years. The annual coupon interest rate is 11%, and the market's required yield to maturity is 14%.

If the bond paid interest annually, the value can be calculated as follows:

Step 1: Calculate the present value of the coupon payments:
The bond pays $1,000 * 11% = $110 in interest each year for 17 years. Using the present value formula, we can calculate the present value of these cash flows:PV = ($110 / (1 + 14%)^1) + ($110 / (1 + 14%)^2) + ... + ($110 / (1 + 14%)^17)

Step 2: Calculate the present value of the par value:
The bond's par value of $1,000 is received at the end of the 17th year. Using the present value formula, we can calculate the present value of this cash flow:PV = $1,000 / (1 + 14%)^17


Step 3: Add the present values of the coupon payments and the par value to get the total value of the bond:
Total value = Present value of coupon payments + Present value of par value


If the bond paid interest semiannually, the calculation is similar, but the coupon payments are divided by 2 and the number of years is doubled. The present value of each coupon payment is calculated using the semiannual yield to maturity, which is half of the annual yield.

In both cases, the value of the bond will be the present value of the future cash flows, which takes into account the time value of money and the required yield to maturity.

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