Charlie is a strategist who wants to decide on the appropriate strategy to help his firm "go global." Which of the following should Charlie consider while choosing his strategy?A) He must be aware of the fact that despite globalization and the emergence of the Internet, firm geographic location has actually maintained its importance.B) He should rely on his firm's business-level strategy as a clue to possible strategies pursued globally.C) He should remember that he has only one framework at his disposal to make global strategy decisions.D) He must remember that higher levels of control and a lower likelihood of any loss in reputation go along with less investment-intensive foreign entry modes.

Answers

Answer 1

Answer: A) He must be aware of the fact that despite globalization and the emergence of the Internet, firm geographic location has actually maintained its importance.

Explanation:

Charlie must consider that despite the fact that the internet and technology have made globalization more accessible, the location of a business remains very important hence the old saying "its all about location location location".

The firm's geographical location has an effect on stakeholders in the company such as customers, employees and suppliers. For the customers, even if the business was to rely on the internet and delivering goods, the location needs to be convenient enough to ship goods from.

The Suppliers as well need to be able to send the goods ordered for in a timely fashion and an improper location can hamper that. Even employees need a place to work in that is conducive for them in terms of logistics and a safe working environment. Charlie should definitely not forget about the importance of location.


Related Questions

"A customer holds 10 ABC Jan 60 Call contracts. ABC Corporation is paying a 20% stock dividend. On the ex date, the contracts will show as:"

Answers

Answer:

On the ex date, the contracts will show as:

10 ABC Jan 60 Calls

The customer must exercise call contracts to buy the stock prior to the Ex-Date

Explanation:

The reason is that if the customer is not exercising the call contracts then it will not be able to receive the stock dividend. Furthermore, the OCC doesn't adjust the contract because of the dividend announcement prior to exercise of contract. This means it will only adjust if the contract is exercised.

The settlement of the exercise takes around 2 business working days, hence the customer must exercise the option 2 days earlier to the ex-date.

Prentice Company had cash sales of $94,275, credit sales of $83,450, sales returns and allowances of $1,700, and sales discounts of $3,475. Prentice's net sales for this period equal:________a. $94,275. b. $177,725 c. $174,250. d. $176,025 e. $172,550.

Answers

Answer:

Prentice net sales for the period is ;

e. $172,550

Explanation:

The data below were extracted from the information above;

Cash sales = $94,275

Credit sales = $83,450

Sales returns and allowances = $1,700

Sales discount = $3,475

Therefore, Prentice's net sales for the period

= Cash sales + Credit sales - Sales returns and allowances - discounts

= $94,275 + $83,450 - $1700 - $3,475

= $172,550

Jane Cagle’s company wants to establish kanbans to feed a newly established work cell. The following data have been provided. How many kanbans are needed?Daily demand 750 unitsLead time 1/2 daysSafety stock 1/4 daysKanban size 25 untis

Answers

Answer:

22.5

Explanation:

According to the given situation, the computation of the number of kanbans is shown below:-

Number of kanbans needed = [(Demand × Lead time) + (Demand × Safety stock)] ÷ Kanban size

= (750 × 0.5) + (750 × 0.25) ÷ 25

= 22.5

Therefore for computing the number of Kanbans we simply applied the above formula by considering all items

Determine the future value if $5,000 is invested in each of the following situations: 7 percent for seven years $8,130 $8,031 $8,030 $7,030

Answers

Answer:

The answer is $8,030

Explanation:

Present Value (PV) = $5,000

Future Value(FV) = ?

Interest rate(r) = 7 percent

Number of years (N) = 7 years

The formula for future value is:

FV = PV(1+ r)^n

= $5,000(1+0.07)^7

$5,000(1.07)^7

$5,000 x 1.605781476

=$8,028.91

Approximately $8,030

Alternatively, we can use a Financial calculator:

N= 7; I/Y= 7, PV= -5,000 CPT FV= $8,028.91

Approximately $8,030

L Corporation produces and sells 15,100 units of Product X each month. The selling price of Product X is $21 per unit, and variable expenses are $15 per unit. A study has been made concerning whether Product X should be discontinued. The study shows that $72,000 of the $101,000 in monthly fixed expenses charged to Product X would not be avoidable even if the product was discontinued. If Product X is discontinued, the annual financial advantage (disadvantage) for the company of eliminating this product should be: Multiple Choice $10,400 ($61,600) ($39,400) $39,400

Answers

Answer:

If Product X is discontinued, the company’s overall net operating income would: increase by $61,600

Explanation:

                                          Not drop        Drop       Difference

Sales                                   317,100                           317,100

(15100*21)

Less: Variable expenses   226,500                         226,500

(15,100 * 15)

Contribution margin            90,600                          90,600

Less: fixed expenses          101,000       72,000      29,000

Net operating income      -$10,400                         $61600

Conclusion: If Product X is discontinued, the company’s overall net operating income would: increase by $61,600

Buyers want to pay the lowest possible​ price, so why would they be willing to pay more than​ $12 for a​ pizza?

Answers

Maybe because they also want to get a drink and some wings

Blaster, Inc., manufactures portable radios. Each radio requires 3 units of Part XBEZ52, which has a standard cost of $1.75 per unit. During May, the company purchased 24,120 units of the part for a total of $43,416. Also during May, the company manufactured 6,240 radios, using 20,620 units of part XBEZ52. The direct materials purchases variance is computed when the materials are purchased. During May, the materials price variance for part XBEZ52 was:

Answers

Answer:

$1,206 unfavorable

Explanation:

materials price variance = (AP – SP) x AQ

SP = $1.75

AQ = 24,120 units (units purchased)

AP = $43,416 / 24,120 = $1.80

materials price variance = ($1.80 - $1.75) x 24,120 = $1,206 unfavorable

Since the price paid for each part is higher than the standard price, the variance is unfavorable.  

Many managers describe performance appraisal as the responsibility that they like least. Why is this so? What could be done to improve the situation?

Answers

Answer:

Many managers describe performance appraisal as the responsibility that they like least. Why is this so?

it might be so because managers may feel that performance appraisal is not as productive as other activities, or because they lack the personal skills, or the motivation, to engage in that activity.

What could be done to improve the situation?

Managers should be taught that performance appraisal can be a very effective and productive method for the firm. When workers are praised for their work (when they deserve it), they are likely to be happier in the workplace, and it has been shown by countless studies that happier workers are also more productive.

IBM just paid a dividend of and expects these dividends to grow at ​% a year. The price of IBM is per share. What is​ IBM's cost of equity​ capital?

Answers

Question

The question is incomplete. The complete version is given below:

IBM just paid a dividend of $3.5 and expects these dividends to grow at 7% a year. The price of IBM is $100 per share. What is? IBM's cost of equity? capital?

Answer:

Cost of equity = 10.7%

Explanation:

Cost of equity can be ascertained using the dividend valuation model. The dividend valuation model states that the price of a stock is the present value of future dividends discounted at the required rate of return.  The required rate of return is the cost of equity.

The cost is the minimum rate of return that ordinary shareholders are willing to accept considering the opportunity cost of their capital

Cost of equity (Ke) =( Do( 1+g)/P ) + g

DATA

Ke- ?

D0- 3.5

P-100

g-7%

Ke= 3.5×(1.07)/100  + 0.07 = 0.10745

Ke- 0.10745 × 100 = 10.7%

Cost of equity = 10.7%

You have just joined the project management office after five years of working on projects. One of the things you want to introduce to your company is the need to create and utilize WBSs. Some of the project managers are angry that you are asking them to do "extra work". Which of the following would be the BEST thing you could tell the project managers to convince them to use WBSs?a. Tell them that it is not needed b. Tell them it is required only if the project involves contracts. c. Tell them it is the only way to identify risks. d. Tell them it will prevent work from slipping through the cracks

Answers

Answer:  d. Tell them it will prevent work from slipping through the cracks

Explanation:

Work Breakdown Structures work to make a large and by extension all projects more manageable by dividing it into different portions that will then be managed individually to ensure that they are accomplished.

With different portions, various team members can be assigned to them which will lead to greater work efficiency as work is done simultaneously on a project.

Due to this division of the project and the micro-management that comes with it, tasks can be better monitored meaning that there will be less chances of work slipping through the cracks because all tasks will be assigned to different portions of the project and can therefore be traced easily and their completion will form part of the completion of a portion.  

In the Solow model with constant technological knowledge (A), if the economy is initially below its steady-state capital stock:

Answers

Answer: catching up growth will occur

Explanation:

In the Solow model with constant technological knowledge (A), if the economy is initially below its steady-state capital stock,. catching up growth will occur.

This is because, we are informed in the question that the Solow model has a constant technological knowledge. This implies that no innovation took place for that period, hence, the catching up growth will occur.

According to empirical studies, greater consumption is likely to lead to unhappiness. This condition is called _____.

Answers

Answer:

Affluenza.

Explanation:

It is a term that described to be psychological and socio-metaphorical illness seen amongst children or also in teens who grow up in a privileged lifestyle, largely isolated emotionally and developmentally from their working parents etc. In most cases according to research, it is seen to make such children feel more isolated than their friends, while at the same time feeling an increase in pressure to perform.

The effect of this affluenza is also seen to make such people to have a feeling of giving themselves excessive pressure to achieving things, these includes in both academic and extracurricular activities.

Target costing is arrived at by taking a.the selling price and adding desired profit b.the selling price minus desired profit c.the budget standard cost and reducing it by 10% d.the selling price and subtracting the budget standard cost

Answers

Answer:

The answer is B. the selling price minus desired profit

Explanation:

The formula for target costing is:

Selling price minus desired profit(profit margin).

Target costing is one of the tools used by management to determine the cost at which a product will be sold for at every stage of its life-cycle.

One of the advantages of target costing is that it enables firms to think about the best way to produce a product at the lowest possible costs

If you were on the Federal Reserve Board and you were concerned only with reducing high unemployment, you would implement_____________ monetary policy with a focus.

a. Short-term
b. Long-term
c. Contractionary
d. Expansionary

Answers

Answer: Expansionary; Short-term

Explanation:

If you were on the Federal Reserve Board and you were concerned only with reducing high unemployment, you would implement an expansionary monetary policy with a short-term focus.

Expansionary monetary policy has the effect of putting more money into the economy. As there is now more money in the economy, the expectation is that there will be more consumption spending as well as investment. More consumption because people have more money and more investment because interest rates reduce when there is an increased money supply. As there is now more investment as well as the need to satiate the increased demand, more companies can expand and employ people thereby reducing unemployment.

This should however be done with a short term view because expansionary monetary policy will lead to higher inflation in the longer term making business operations less profitable.

Indicate whether each of the following statements is true or false.a. A company has the following assets at the end of the year: cash on hand $40,000, cash refund due from customer $30,000, and checking account balance $22,000. Cash and cash equivalents is therefore $62,000.b. A company that has received NSF checks should report these checks as a current liability on the balance sheet.c. Restricted cash that is a current asset is reported as part of cash and cash equivalents.d. A company has cash in the bank of $50,000, petty cash of $400, and stock investments of $100,000. Total cash and cash equivalents is therefore $50,400.

Answers

Answer:

Indication of whether each of the following statements is true or false:

a. A company has the following assets at the end of the year: cash on hand $40,000, cash refund due from customer $30,000, and checking account balance $22,000. Cash and cash equivalents is therefore $62,000.

True

b. A company that has received NSF checks should report these checks as a current liability on the balance sheet.

False

c. Restricted cash that is a current asset is reported as part of cash and cash equivalents.

False

d. A company has cash in the bank of $50,000, petty cash of $400, and stock investments of $100,000. Total cash and cash equivalents is therefore $50,400.

True

Explanation:

a. Cash and cash equivalents do not include refund due from customers.

b. NSF checks mean that the checks were returned by the bank to the company marked "Not Sufficient Funds."  These checks are to be returned to the customers.  The customers' accounts will be debited to reverse the earlier recorded payment offsetting their accounts.  They are, therefore, not to be recorded as liabilities.

c. Since restricted cash is not available for general and immediate use by the company, it is not part of the cash and cash equivalents.  The cash and cash equivalents deal with cash and near cash items that can easily be converted into cash and used in settlement of financial obligations.

d. This is while only marketable securities (bonds, shares, etc) are included in cash and cash equivalents, because most of them have a duration of less than 3 months.  Stock investments, without any qualification, do not qualify to be classified as cash and cash equivalents, unless they are held as marketable securities.

Choose the best scenario for refinancing.

a. You have a current mortgage at 5% and have been approved for a new mortgage at 3.75%. You’ll break even on the closing costs in two years, and you don’t plan to move for at least five.
b. You intend to move in about nine months, but you have been approved for a mortgage with an interest rate two whole points lower than your current rate.

Answers

Answer:

Correct Answer: The best scenario for refinancing is:

a. You have a current mortgage at 5% and have been approved for a new mortgage at 3.75%. You’ll break even on the closing costs in two years, and you don’t plan to move for at least five.

Explanation:

This is because, being aware that you will break even on the closing cost in 2 years which is quite better when compared to no of years to stay (atleast five years) gives the person a competitive advantage.

Which of the following is not an example of a counterproductive cultural trait that adversely impacts a company's work climate, performance, and strategy execution initiatives?
a) Heavily politicized decision-making
b) The presence of incompatible, clashing subcultures
c) Strictly enforced policies and conservative financial management practices
d) Hostility to change
e) Unethical and greed-driven behaviors

Answers

Answer:

I think D is not an example for a company's work climate, performance, and strategy execution initiatives.

Strictly enforced policies and conservative financial management practices out of the following are not an example of counterproductive cultural trait that adversely impacts a company's work climate, performance, and strategy execution initiatives. The correct option is C.

How do you deal with counterproductive work behavior?

Encourage them to improve the work they already generate or present them with new tasks to work on. Be confident. Fight against unproductive workplace activities assertively without losing your temper. Establish and uphold your authority that a productive workplace is essential to the success of your facility.

A wide range of factors, such as environmental causes, a lack of training, employee personality and life changes, and external circumstances, might be the motivating drivers behind unproductive work behavior. To recognize and categorize CWB in the workforce, typologies are utilized.

Thus, the ideal selection is option C.

Learn more about counterproductive work here:

https://brainly.com/question/4307465

#SPJ6

Tatham Corporation produces a single product. The standard costs for one unit of its Clan product are as​ follows:
Direct materials (8 pounds at $0.70 per pound) $5.60
Direct labor (2 hours at $8 per hour) 16.00
Variable manufacturing overhead
(2 hours at $7 per hour) 1,400
Total 3,560
During November Year​ 2, 3,500 units of Clan were produced. The costs associated with November operations were as​ follows:
Material purchased (35,000 pounds at $0.80 per pound) 28,000
Material used in production (31,500 pounds)
Direct labor (7,500 hours at $7.50 per hour) 56,250
Variable manufacturing overhead incurred 55,500
What is the variable overhead efficiency variance for Clan for November Year​ 2?
1. $3,500 favorable.
2. $3,500 unfavorable.
3. $4,000 favorable.
4. $4,000 unfavorable.

Answers

Answer:

$3,500 Unfavorable

Explanation:

The computation of variable overhead efficiency variance for Clan for November Year 2 is shown below:-

Variable overhead efficiency variance

=  (Standard labor hours - actual labor hours) × (Standard variable overhead rate)

= (3,500 × 2 - 7,500) × $7

= (7,000 - 7,500) × $7

= $3,500 Unfavorable

Therefore for computing the Variable overhead efficiency variance we simply applied the above formula.

Identify at least two challenges that Salesforce faces and explain why these are important challenges to Salesforce.

Answers

Answer:

Two challenges that Salesforce may face today:

1. Competitions

2. Cash Flows

Explanation:

1. Salesforce has been the global Software-as-a-Service (SaaS) provider for Customer Relationship Management (CRM) system. However, they are challenged by new market joiners such as Hubspot. There are also new startups offering free and simple cloud-based CRM systems that targetting small businesses. The entry of the new competitors seriously threatens the leading market share of Salesforce.

2. The current pandemic affected negatively to all enterprises, including Salesforce's outstanding customers. They should expect a drop in their total number of fee payers while the cost to maintain their high product standard is still the same as before. It may give them a lot of working capital headaches.

Fremont Enterprises has an expected return of and Laurelhurst News has an expected return of . If you put of your portfolio in Laurelhurst and in​ Fremont, what is the expected return of your​ portfolio?

Answers

The question is incomplete as it is missing the figures. The complete question is,

Fremont Enterprises has an expected return of 15% and Laurelhurst News has an expected return of 20%.  If you put 70% of your portfolio in Laurelhurst and 30% in Fremont, what is the expected return of your portfolio?

Answer:

Portfolio return = 0.185 or 18.5%

Explanation:

The expected return of a portfolio is a function of the weighted average of the individual stocks returns' that form up the portfolio. The expected return of a portfolio can be calculated using the following formula,

Portfolio return = wA * rA  +  wB * rB  +  ...  +  wN * rN

Where,

w represents weight of each stock in the portfolior represents the return of each stock in the portfolio

Portfolio return = 0.3 * 0.15  +  0.7 * 0.2

Portfolio return = 0.185 or 18.5%

For this milestone, you will discuss Case Study Three. Identify the main types of business entities, and discuss the advantages and disadvantages of each. Your active participation in this discussion is essential to improving your understanding of the advantages and disadvantages of the various business entities. Actively engaging with your peers will help you complete the remaining critical elements for the final project.

Answers

Answer:

Sole proprietorship:

Advantage: is very easy to establish, and gives total control to the owner.

Disadvantage: the sole owner is personally liable in case of bankruptcy.

Partnership:

Advantage: involve two or more people, meaning that capital is likely to be higher. Gives tax benefits to partners.

Disadvantage: partners are also personally liable in case of bankruptcy.

Corporation:

Advantage: a corporation is legally, a separate entity from its stockholders, meaning that stockholders are not personally liable in case of bankruptcy. Corporations can also grow to include a large number of people (stockholders).

Disadvantage: they are more difficult to start than other types of business entities, and are more closely inspected.

Limited Liability Company:

Advantage: they combine the pass-through characteristics of partnerships with the limited liability of corporations.

Disadvantage: they are not necessarily as profitable as corporations.

You consider undertaking the research project. It will increase sales by $100K per year starting next year and its life is 10 years. The maintenance cost is $50K and the depreciation of the equipment is 20K per year. The tax rate is 40% and there are no changes in net operating working capital. What is the annual operating cash flow from the project? A. $10,000 B. $18,000 C. $38,000 D. $30.000

Answers

Answer: C. $38,000

Explanation:

The Operating cashflow for a project will be the net income earned from it less any taxes but including depreciation.

In formula form;

Operating cash flow = EBIT - tax paid + depreciation

Earnings Before Interest and Tax

= Sales - Expenses

= 100,000 - 50,000 - 20,000

= $30,000

Tax paid

= EBT * 40%

= 30,000 * 40%

= $12,000

Operating cash flow = EBIT - tax paid + depreciation

= 30,000 - 12,000 + 20,000

= $38,000

Note; Depreciation is added back because it is a non-cash expense.

Millie withdraws $1,000 from her checking account so she can have $1,000 in cash. If no other changes occur, M1 will

Answers

Answer:

M1 will not change

Explanation:

M1 is the money supply that is composed of physical currency , coin, demand deposits, travellers' checks, checking accounts, and negotiable order of withdrawal (NOW) accounts. M1 includes the most liquid of money supply.

Because checking account and cash are both components of M1, there would be no change in M1

You bought one of Great White Shark Repellant Co.’s 6.6 percent coupon bonds one year ago for $1,056. These bonds make annual payments and mature 11 years from now. Suppose you decide to sell your bonds today, when the required return on the bonds is 4.5 percent. The bonds have a par value of $1,000. If the inflation rate was 3.2 percent over the past year, what was your total real return on investment? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

Answer:

14.25%

Explanation:

For computing the total real return first we have to find out the present value and the required return which is shown below:

Given that,  

Future value = $1,000

Rate of interest = 4.5%

NPER = 11 years

PMT = $1,000 × 6.6% = $66

The formula is shown below:

= -PV(Rate;NPER;PMT;FV;type)

So, after applying the above formula the present value is $1,179.11

Now the required return is

= ($1,179.11 + $66) ÷ ($1,056) -1

= 17.91%

And finally,

total real return

= ($1.1791 ÷ 1.032) - 1

= 14.25%

In an Oligopoly industry a change in price by one firm will _____ impact the other firms in the industry.

Answers

Answer:

The answer is significantly.

Explanation:

Oligopoly is a market situation in which there are few sellers, selling similar goods and services and many buyers. The barriers to entry in this market in high. Example of a oligopoly market is OPEC.

The competition amongst the few sellers is high because they are selling the same thing and a change in price by one firm will significantly affect other firms in the industry. For example, if a firm reduces the price of its goods, this creates a price war and other firms to start reducing their price to match the lower price. And if another firm increases its price, consumers will switch to competitors

JWU Company has been growing at a rate of 5% for the past two years and is expected to continue for several years. The company paid a Dividend of $2.00 last year. If your required rate of return is 13%, what is the current value of this company’s stock?
A. $26.25
B. $15.38
C. $40.00
D. $29.50

Answers

Answer: A. $26.25

Explanation:

Using the Gordon Growth model, the value of the stock can be determined using the available variables.

The formula is;

Value of a Stock = Next Dividend / (Required Return - Growth Rate)

Value of a Stock  = Current Dividend (1 + Growth Rate) / (Required Return - Growth Rate)

= 2 ( 1 + 0.05) / ( 0.13 - 0.05)

= (2 * 1.05) / 0.08

= $26.25

Why do we need to deduct gain on sale of plant assets from net income to arrive at net cash flow from operating activities

Answers

Answer:

The money received from the sale of assets is included in the net cash flows from investing activities, that is why you must adjust net income by eliminating any gain or loss resulting from these transactions.  

Explanation:

E.g. net income = $50,000, and it includes a gain of $5,000 resulting from the sale of a truck. The truck had a book value of $15,000, but was sold at $20,000.

Net cash flows from operating activities:

Net income $50,000

Adjustments to net income:

- Gain on sale of asset ($5,000)

Net cash flow provided by operating activities $45,000

Net cash flows from investing activities:

Sale of truck $20,000

Net cash flow provided by investing activities $20,000

Cash $38,600 Short-term investments 9,000 Accounts receivable 40,000 Inventory 240,000 Prepaid expenses 17,400 Accounts payable 87,200 Other current payables 22,300 Multiple Choice 0.96 and 3.96. 2.99 and 1.25. 3.15 and 0.80. 3.15 and 0.32.

Answers

Answer:

Current ratio and Acid-test ratio (3.15 and 0.80)

Explanation:

Note: The missing part of the question is "Using the following year-end information for Bauman, LLC, calculate the current ratio and acid-test ratio:"

i. Current ratio = Current assets/Current liabilities

Current assets = 38,600 + 9,000 + 40,000 + 240,000 + 17,400

Current assets = $345,000

Current liabilities= 87,200 + 22,300

Current liabilities = $109,500

Current ratio = $345,000 / $109,500

Current ratio = 3.15

ii. Acid-test ratio = {Current assets - (Inventory + Prepaid expenses)}/Current liabilities

Acid-test ratio = 345,000- (240,000  + 17,400 ) / 109,500

Acid-test ratio = 87,600 / 109,500

Acid-test ratio = 0.80

Which of the following dimensions of entrepreneurial orientation is described as a forward-looking perspective characteristic of a marketplace leader that has the foresight to seize opportunities?
A) proactiveness
B) risk taking
C) autonomy
D) competitive aggressiveness

Answers

Answer:

A) Proactiveness.

Explanation:

This explained to be a conceptual development in entrepreneurial orientation that enacts a degree of anticipation in product and also increase a productivity in the entrepreneurial sphere. Some undiluted descriptions shows it to be the introduction of results based on its qualitative study, which is been aimed at the characterizing of the proactiveness in entrepreneurial software firms. Experienced researched organizations has shown that the one which are related to environment monitoring and opportunities quest been highlighted are also core part of proactiveness.

what happens to aggregate output if both taxes and government spending are lowered by $300 billion and mpc

Answers

Answer:

The answer is:

1. consumers' expenditure increases by $150 billion

2. output will decrease by $600 billion

Explanation:

Tax impact:

$300 billion x 0.5

= $150 billion.

If taxes are lowered by $300 billion, consumers' expenditure increases by $150 billion because with lower tax, there is money money to be spent because their disposable income has increased.

Government spending impact:

$300/(1-0.5)

$300/0.5

=$600 billion.

Due to government spending that has increased by this amount, output will decrease by this amount too because government has directly competed with firms that should have used this money to increase the total output.

Therefore, net effect on total output is $300billion($600 - $300)

Other Questions
which inequality is graphed on the coordinate plane? A point on an ellipse is 11 unites from one focus and 7 units from another. What is the length of the major axis? Show your work There are interesting cultural differences in the use of physical punishment during early childhood. For African American children, the more physical punishment they received during early childhood, the __________ while for White children, more physical punishment in early childhood led to __________. Nations will be able to produce a larger joint output and realize mutual gains when each specializes in the production of those items for which it is a low-opportunity cost producer and trades for those things that it could produce only at a high cost. This statement best describes the You purchased 100 shares of stock for $5 per share. After holding the stock for 8 years and not recieving any dividends, you sell the stock for $42 per share. What are the holding period and annual return on this investment? a. 185%, 14.42% b. 920%, 41.63% c. 740%, 30.48% d. 625%, 27.66% ________is/are designed specifically to help bring customers eyeball-to-eyeball with the product, often at the point of sale or close to it. which pair of functions represents a decomposition of f(g(x)) = | 2(x + 1) ^2 + (x + 1) | ? What is the slope of the line that passes through (2, 12) and (4, 20)?On the graph of the equation 3x + 2y = 18, what is the value of the y-intercept? Cherries on Top, a national ice cream shop, is struggling financially to keep up with the bigger chains. The top executives have decided to close all the stores in the Northeast and Texas, as that will give them an additional one million dollars to put into marketing. This executive is practicing the Monochromatic light of wavelength 649 nm is incident on a narrow slit. On a screen 2.25 m away, the distance between the second diffraction minimum and the central maximum is 1.99 cm. (a) Calculate the angle of diffraction of the second minimum. (b) Find the width of the slit. How would you write The product of 2 and the difference of a number and 9 Which of the following books led to the passage of the Pure Food and DrugAct?A. The JungleB. Looking BackwardC. The OctopusD. Catch-22 HELP!!!!!! Read and choose the option with the correct conjugations to complete the dialogue.-Pablo, -los grados cada da para tu clase en la escuela?-S, tengo la tarea de escribir los grados en Celsius y Fahrenheit hoy. By 1400 the____________ was established permanently in Rome, which thus became a center for Christian art What is the expected return if a firm has a payout ratio of 0.4, a return on equity of 25%, and a dividend yield of 15% Question #3: Make a sentence by adding the correct group of words. _______ while the water boiled. A.Mother, stirring and stirring, B.Mother stirred the rice C.Mother The magnetic field at the center of a 1 cm diameter loop is 2.5 mT. If a long straight wire carries the same current as the loop of wire, at what distance from the wire is the magnetic field 2.5 mT? A. 0.10 m B. 1.6x10-3 m C. 0.01 m D. 20 m DIHYBRID CROSSES In all of the examples we have only been concerned with one trait. It is possible, however, to track the inheritance of more than one trait at a time. When one is investigating the inheritance of two traits at once the cross is called a dihybrid cross. Strictly speaking, a dihybrid cross is one between two individuals that are heterozygous for two traits, meaning that they are hybrids in two senses. For example, in humans eye color is determined by multiple factors, but if we compare only blue eyes to brown eyes, brown is dominant (R) and blue acts as a recessive allele (r). If a man heterozygous for both eye color and bent little finger has a child with a woman who also heterozygous for both traits, this would be a dihybrid cross. Which is/are possible genotypes for a person with bent little finger and blue eyes?1. bbrr 2. BBRR 3. BBrr 4. Bbrr Referring to the previous question, which is/are possible genotypes for a person with straight little finger and blue eyes? 1. bbrr2. BbRr3. Bbrr4. bbRr The following information pertains to Hopson Co.'s pension plan: Actuarial estimate of projected benefit obligation at 1/1/13 $72,000 Assumed discount rate 10% Service costs for 2013 $28,000 Pension benefits paid during 2013 $15,000 If no change in actuarial estimates occurred during 2013, Hopson's projected benefit obligation at December 31, 2013 was the price of sugar increase from shs 1000 to shs 1200.In what percentage did the price increase