million jobs this century, report says The U.S. has lost 3.7 million jobs since 2001 due to its trade imbalance with China, with most of the damage done to manufacturing, according to a report released Thursday. Among the study's findings: Some 1.7 million jobs have disappeared since the beginning of the financial crisis in 2008 ; of the total losses, 2.8 million, or about three-quarters, have come from manufacturing; and the deficit continues to grow, with employment taking a hit across all 50 states even as nonfarm payrolls have continued to grow. a. Suppose that the trade between U.S. and China could be modelled by the one-factor Ricardian, with two sectors as manufacturing and non-manufacturing. Explain whether the disappeared jobs in manufacturing sector is a problem and hurts the workers. State any key assumptions behind your argument. (5 marks) b. Suppose that the trade is better modelled by the Heckscher-Ohlin model, which manufacturing sector is less-skilled-worker intensive and non-manufacturing is skilledworker intensive. Explain how it would affect your answer in part a. (5 marks)
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Answer 1

a. In the one-factor Ricardian model, where trade between the U.S. and China is considered, the disappearance of jobs in the manufacturing sector can be seen as a problem for the workers affected.

The key assumption in this model is that labor is the only factor of production, and countries specialize in producing goods based on comparative advantage.

In this case, if manufacturing jobs are disappearing in the U.S. due to the trade imbalance with China, it suggests that China has a comparative advantage in manufacturing goods. This means that China can produce those goods more efficiently or at a lower cost compared to the U.S. As a result, U.S. manufacturers struggle to compete, leading to job losses in the manufacturing sector.

The disappearance of manufacturing jobs can have negative effects on workers in that sector. They may face unemployment or have to transition to other industries, which could be challenging if their skills are not easily transferable. This can lead to economic hardships, lower wages, and job insecurity for affected workers.

b. In the Heckscher-Ohlin model, where the manufacturing sector is less-skilled-worker intensive and the non-manufacturing sector is skilled-worker intensive, the impact on the answer in part a would be different.

If the trade imbalance between the U.S. and China is better explained by the Heckscher-Ohlin model, it suggests that China has a comparative advantage in producing goods that are less-skilled-worker intensive, such as manufacturing. This would lead to increased imports of those goods from China, causing job losses in the U.S. manufacturing sector, which primarily employs less-skilled workers.

However, the U.S. may benefit in terms of increased imports of goods that are skilled-worker intensive from China. This could potentially create job opportunities in the non-manufacturing sector, benefiting skilled workers in industries such as services, technology, or research and development.

Overall, the impact on the manufacturing sector and workers would still be negative, but the specific skill composition of the workforce would determine how the job losses and gains are distributed across different sectors. Skilled workers in non-manufacturing sectors may see opportunities, while less-skilled workers in manufacturing would face the challenge of unemployment or job displacement.

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The Social Security Administration increased the taxable wage base from \( \$ 117,100 \) to \( \$ 119,500 \). The \( 6.2 \% \) tax rate is unchanged. Joe Burns earned over \( \$ 120,000 \) each of the

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a)  The percent increase in the base is approximately 2.05%.

b)  Joe's increase in Social Security tax for the new year is approximately $148.80.

To calculate the percent increase in the taxable wage base, we can use the formula:

Percent Increase = (New Value - Old Value) / Old Value * 100

Substituting the given values:

New Value = $119,500

Old Value = $117,100

Percent Increase = ($119,500 - $117,100) / $117,100 * 100

Calculating the percent increase:

Percent Increase = (2400 / 117100) * 100 ≈ 2.05%

The percent increase in the base is approximately 2.05%.

To calculate Joe's increase in Social Security tax for the new year, we need to find the difference between the maximum taxable earnings under the old base ($117,100) and the new base ($119,500), and then multiply it by the tax rate of 6.2%.

Increase in Social Security tax = (New Base - Old Base) * Tax Rate

Increase in Social Security tax = ($119,500 - $117,100) * 0.062

Calculating the increase in Social Security tax:

Increase in Social Security tax = $2400 * 0.062 = $148.80

Joe's increase in Social Security tax for the new year is approximately $148.80.

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The Social Security Administration increased the taxable wage base from $117,100 to $119,500. The 6.2% tax rate is unchanged. Joe Burns earned over $120,000 each of the past two years. a. What is the percent increase in the base? (Round your answer to the nearest hundredth percent.) Percent increase % b. What is Joe's increase in Social Security tax for the new year? (Round your answer to the nearest cent.) Increase in Social Security tax

A particular LDC has a capital output ratio of 5 and a savings
ratio s=15%. If the current GDP is $1000, what will be the GDP next
year?
A. $1200
B. $850
C. $1150
D. $1030

Answers

The capital output ratio of 5 and a savings ratio of 15% indicate that the investment rate is 20% (savings ratio = investment rate). With a current GDP of $1000, the GDP next year can be calculated by multiplying the current GDP by the investment rate and adding it to the current GDP.

Given that the savings ratio is 15%, the investment rate is also 15% (since savings equal investment in this case). Therefore, the investment rate is 20% (since the savings ratio is 15%). To calculate the GDP next year, we multiply the current GDP ($1000) by the investment rate (20%), which equals $200. Adding this investment amount to the current GDP, the GDP next year is $1200. Therefore, the correct answer is A. $1200.

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- KitchenAid: Stand Mixer
Make a Introduction on - KitchenAid: Stand Mixer
For the first part of this assignment you will provide a written introduction on KitchenAid standard mixer that provides background information on the company. Your introduction should include a brief history about the company and what the company is known for.Report Template: Directions: Using the template and its prompts below, create an overview that provides information on both companies you have chosen. Your introduction should include a brief history about the company and what the company is known for. Your analysis should detail selection one of the 4 P's that you fell helped each company become successful and an explanation why. Introduction: (type your intro here, and delete this wording) Company #1 Company =2 Product: - Leteity prodacts - Raplain prodact aee - Define a ants A necha qur tat mathas - Eoglan heon ite prodocts feafuers of benefirs will fuitill thene neots Price - Price ef te modad - Ia the peice coerpetave? A Fepland Promotion - Descile ber tie protat is bever afvortises - Where a foe prealast beios promedol advatisod? - Heteify R cuplina ay curtoen peomotions. sxles, or diruls - Eagtain bers the grotact's featues x. benefits are beiag cormenicated te Gtevtomser: Place - Whove in the peofort bring solft whe is that a poed fir?

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KitchenAid became known for its quality, durability, and variety of mixer attachments, including a pasta roller, an ice cream maker, and a meat grinder. Introduced a range of colors, which became another distinguishing feature of their mixers.

KitchenAid is a stand mixer company, that is known for the design and production of an extensive line of highly regarded products.

KitchenAid is an American brand that has been producing kitchen appliances since 1919.

The founder, Herbert Johnson, was observing a baker mixing bread dough and realised there had to be a better way to mix dough. Johnson began experimenting and created a stand mixer that could handle the job.

This invention ultimately led to the creation of the KitchenAid company, which was known for its high-quality appliances that allowed for hands-free mixing, thus freeing up cooks to work on other aspects of meal preparation.

KitchenAid became known for its quality, durability, and variety of mixer attachments, including a pasta roller, an ice cream maker, and a meat grinder.

KitchenAid also introduced a range of colors, which became another distinguishing feature of their mixers.

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Mo is smarter than Larry; that is, he has greater ability. How is Mo's demand for schooling related to Larry's demand for schooling? O Mo's schooling demand curve lies to the right of Larry's schooling demand curve. They have the same schooling demand curve, but Mo chooses more schooling along that curve. Mo's schooling demand curve lies to the left of Larry's schooling demand curve. O Mo's schooling demand curve is Larry's schooling demand curve plus the ability bias. Christy will live and work forever, A graduate fellowship waives her tuition. Christy maximizes her wealth by going to graduate school for two years. When she leaves graduate school at s-18, her wage equals O the present value of the annual wage gain over her whole career. O the interest rate. O schooling demand. O the tuition that other students pay. If everyone is identical in terms of preferences, ability, and interest rates, then more-educated workers than less-educated workers. are no better off work shorter workweeks take more leisure time consume less At least at lower grades, schooling is an investment in human capital. O a consumption good. a natural resource. O a waste of valuable resources.

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Mo's demand for schooling is related to Larry's demand for schooling in that Mo's schooling demand curve lies to the right of Larry's schooling demand curve. This indicates that Mo chooses more schooling along the same curve as Larry, reflecting Mo's greater ability or intelligence.

When we say that Mo is smarter than Larry and has greater ability, it implies that Mo has a higher potential for acquiring knowledge and skills through education. As a result, Mo's demand for schooling is expected to be higher compared to Larry.

The statement "Mo's schooling demand curve lies to the right of Larry's schooling demand curve" means that for any given level of schooling, Mo is willing to invest more time and resources in education compared to Larry. They both follow the same demand curve, reflecting their preferences for education, but Mo's position on the curve is higher, indicating a higher quantity of schooling chosen.

This difference in demand for schooling can be attributed to Mo's superior ability, which enables him to derive greater benefits from education. Mo recognizes the value of investing in human capital and chooses to acquire more education to enhance his skills and knowledge, potentially leading to higher future wages and career prospects.

In summary, Mo's demand for schooling is related to Larry's demand for schooling by having the same demand curve but with Mo choosing more schooling along that curve, reflecting Mo's higher ability and greater willingness to invest in education.

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Should employers provide some type of ranking to scoring system
as to which protected class deserves more protection or should this
be left to the government?

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The responsibility of determining the level of protection for different protected classes should primarily be left to the government rather than employers.

The government plays a crucial role in setting and enforcing anti-discrimination laws that protect individuals from unfair treatment based on their membership in a protected class. These laws are designed to ensure equal opportunities and prevent discrimination in various aspects of life, including employment. It is the government's duty to establish clear guidelines and standards to protect all individuals, regardless of their protected class, from discrimination and ensure their equal treatment under the law.

Employers, on the other hand, have the responsibility to comply with the legal requirements set by the government and create a fair and inclusive work environment. They should refrain from implementing ranking or scoring systems that prioritize one protected class over another. Such practices can potentially perpetuate discrimination and reinforce inequalities in the workplace.

By leaving the determination of protection levels to the government, a standardized approach can be established that considers the rights and needs of all protected classes equally. This approach helps promote a society that values diversity, inclusion, and equal treatment for all individuals.

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Determinant attributes can be: Dependent Price Brand Alternative

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Determinant attributes can refer to dependent attributes, price, brand, or alternative options that play a significant role in influencing consumer decisions. They are key factors considered during the evaluation and selection process of a product or service.

Determinant attributes are specific characteristics or features of a product or service that consumers consider essential when making purchasing decisions. These attributes can vary depending on the context and consumer preferences.

Dependent attributes are those that depend on other factors or variables. For example, the performance of a smartphone may depend on factors such as battery life, processing speed, and camera quality. Price is another determinant attribute, as it influences consumers' willingness to pay and their perception of value for money. Brand reputation and recognition can also be determinant attributes, as consumers may have preferences or associations with specific brands. Finally, alternative options or choices available in the market can be determinant attributes, as consumers compare and evaluate different options based on their unique features or benefits.

Understanding determinant attributes is crucial for marketers as they help identify the key factors that drive consumer decision-making and shape product positioning and marketing strategies.

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Ray Stone has $26,000 to invest in a small business venture. His partner has promised to pay him back $52,000 in five years. The annual return earned on this investment is expected to be %. (Do not include the % sign, and round it to two decimal places, e.g., 8.44)

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The expected annual return on Ray Stone's investment in the small business venture is approximately 16.97%.

Ray Stone's investment of $26,000 is expected to generate a return of $52,000 in five years. To calculate the annual return rate, we can use the formula for compound interest:

Future Value = Principal * (1 + Rate)^Time

Rearranging the formula to solve for the rate:

Rate = (Future Value / Principal)^(1/Time) - 1

Substituting the given values:

Rate = ($52,000 / $26,000)^(1/5) - 1

Simplifying the calculation:

Rate = 1.00 - 1

Therefore, the annual return rate for Ray Stone's investment is 0%, indicating that he will not earn any interest or return on his investment.

This implies that Ray Stone's partner is returning the exact amount invested without any additional profits or interest earned. While this may be considered a low return on investment, it is still a guaranteed repayment of the initial investment amount. It's important for investors to carefully consider the potential returns and risks associated with any business venture before making investment decisions.

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Several years ago, Taxpayer purchased an annuity from the Ajax Insurance Company at a cost of $100,000. The annuity provides for payments of $900 per month for a fixed period of ten years. During the current year, Taxpayer received twelve $900 payments. What amount of gross income, if any should Taxpayer report on his/her Form 1040 for the year? A. $10,000 B. 10,800 C. 5,400 D. 800 E. None of the above answers

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Taxpayer should report $10,800 of gross income on his/her Form 1040 for the year.

The annuity purchased by Taxpayer from Ajax Insurance Company provides for monthly payments of $900 over a fixed period of ten years. In the current year, Taxpayer received twelve $900 payments, totaling $10,800. Annuities are generally subject to taxation as ordinary income. The payments received from the annuity represent a return of the original investment (cost basis) and the earnings generated by the annuity. In this case,

Taxpayer's cost basis is $100,000, and the monthly payments received exceed the cost basis. Therefore, the excess amount, which is $10,800, is considered taxable income. Taxpayer is required to report this income on their Form 1040 for the year. It is important to note that the taxation of annuities depends on various factors, including the type of annuity, the payment structure, and the annuitant's tax situation. Consulting a tax professional is recommended to ensure accurate reporting of annuity income and any applicable deductions or exemptions.

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Evaluate the 4Ps of marketing plan (Product, Price, Place and Promotion) of DayTwo(a gut microbiome precision medicine company).
Require about 300 words. DO NOT COPY AND PASTE. please be precise to the question and answer in OWN WORDS.

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DayTwo, a gut microbiome precision medicine company, utilizes the 4Ps of marketing (Product, Price, Place, and Promotion) to effectively market its offerings. Let's evaluate each of these elements and their significance for DayTwo:

Product: DayTwo's product is focused on providing personalized precision medicine based on an individual's gut microbiome. Through advanced microbiome analysis, DayTwo generates personalized dietary recommendations to help manage and prevent chronic diseases such as diabetes. The product is unique and innovative, offering a personalized approach to healthcare management. DayTwo's emphasis on precision medicine sets it apart from traditional one-size-fits-all treatments.

Price: Pricing strategy is crucial for DayTwo to ensure the accessibility and affordability of its precision medicine solutions. While personalized medicine can be costly, DayTwo needs to strike a balance between the value it provides and the price it charges. It should consider factors such as research and development costs, production expenses, and competitive pricing in the healthcare market. DayTwo may adopt various pricing models, such as subscription-based plans or partnering with insurance providers to make their services more accessible.

Place: The place element involves determining the distribution channels and locations where DayTwo's product and services will be available. DayTwo can leverage various channels, including partnerships with healthcare providers, direct-to-consumer online platforms, and collaborations with pharmacies or wellness centers. The company should target areas with high prevalence of chronic diseases and ensure its services reach the intended target market effectively.

Promotion: DayTwo needs a strong promotional strategy to create awareness and generate demand for its precision medicine solutions. The company should employ a multi-channel approach, utilizing digital marketing, content creation, social media engagement, and targeted advertising to reach potential customers. Educational campaigns about the importance of gut microbiome health and personalized medicine can also be effective in building brand awareness and establishing DayTwo as a thought leader in the industry.

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Slush Corporation has two bonds outstanding, each with a face value of $23 million. Bond A is secured on the company's head office building: bond B is unsecured. Slush has suffered a severe downturn in demand, Its head office building is worth $1.03 million, but its remaining assets are now worth only $2 million. If the company defaults, what payoff can the holders of bond B expect? Note: Enter your answer in dollars, not in millions. Round your answer to the nearest whole dollar amount.

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Slush Corporation has two bonds outstanding, bond A is secured on the company's head office building while bond B is unsecured.

It is worth noting that bond A has a face value of 23 million. Its head office building is worth 1.03 million, and its remaining assets are now worth only 2 million.Slush Corporation has suffered a severe downturn in demand.

The bond holders of bond B can expect zero payoffs if Slush Corporation defaults. This is because bond A is secured on the company's head office building, and its value is 1.03 million, which is less than the value of the outstanding bond.

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On January 1, 2021, Stoops Entertainment purchases a building for $500,000, paying $100,000 down and borrowing the remaining $400,000, signing a 7%, 15-year mortgage. Installment payments of $3,595.31 are due at the end of each month, with the first payment due on January 31, 2021.

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The process described above will continue for 15 years until the mortgage is fully paid off.

Stoops Entertainment purchased a building on January 1, 2021, for $500,000. They made a down payment of $100,000 and financed the remaining $400,000 by signing a 7%, 15-year mortgage. The mortgage requires monthly installment payments of $3,595.31, with the first payment due on January 31, 2021.

The mortgage's interest rate of 7% is applied annually, but since the payments are made monthly, it needs to be converted to a monthly interest rate. To calculate the monthly interest rate, divide the annual interest rate by 12, resulting in 0.07 / 12 = 0.00583.

To determine the interest portion of the first payment, multiply the remaining loan balance ($400,000) by the monthly interest rate (0.00583), resulting in $2,332. The remaining amount of the payment, $3,595.31 - $2,332 = $1,263.31, represents the principal repayment.

For subsequent payments, the interest portion and principal repayment will change as the loan balance decreases. Each month, the interest portion will be calculated by multiplying the remaining loan balance by the monthly interest rate, and the principal repayment will be the total payment minus the interest portion.

The process described above will continue for 15 years until the mortgage is fully paid off.

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McClelands theory is based on which of the following needs? Select one A. hygiene, control, and security B. achievement, power, and affiliation C stability, growth, and security D. seif-actualization, stability, and safety-security E control, status, and self-actualization
What are the two kinds of pracices associated with corporate social responsibility? Select one a. Internal and external b. Informal and formal c. Voluntary and irvoluntary d. Irride and outside e. Proastive and reactive

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1. McClelland's theory is based on the following needs Option B. Achievement, power, and affiliation.

2. There are two kinds of practices associated with corporate social responsibility, which are Option A. Internal and external practices.

1. McCleland's theory is based on the following needs Option B. Achievement, power, and affiliation.

This means that he believes these are the three main drivers of human behavior in a workplace. He believed that individuals are motivated by their need for one or more of these things. According to him, achievement, power, and affiliation are the three most important needs that drive people to work. They are motivated by the desire to achieve their goals, gain power, and have social connections. Therefore, the correct option is B.

2. There are two kinds of practices associated with corporate social responsibility, which are Option A. Internal and external practices.

Internal practices refer to the policies and procedures that are implemented within an organization to ensure that it is socially responsible. For instance, an organization may have a policy that requires its employees to recycle. External practices refer to the actions that an organization takes to show its commitment to social responsibility to the community in which it operates. For instance, an organization may donate money to a charity that is working to fight poverty.

Voluntary and involuntary practices: Voluntary practices are those that an organization undertakes without any external pressure, while involuntary practices are those that an organization is required to undertake as a result of external pressure. For instance, an organization may voluntarily adopt sustainable practices, while it may be forced to comply with environmental regulations that require it to reduce its carbon emissions. Therefore, the correct option is A.

Overall, Corporate Social Responsibility is a broad concept that includes a wide range of practices that organizations can undertake to ensure that they are socially responsible. These practices can be both internal and external, and they can be voluntary or involuntary.

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In its latest budget, the federal government has signaled it wants to create a new program called the Canada Parents Benefit or CPB for short. The purpose of the CPB is to provide financial supports to low-income parents to improve the quality of life for them and their children while also improving labour market participation by the low-income parent. The CPB will target the primary caregiver parents in their household regardless of whether they are a single parent or in a two-parent household.
The CPB will also be aimed at low-income working parents (e.g. those who make $10 per hour). Only parents who make less than $32,000 per year will be eligible for the program. If the combined total of CPB benefits and parent's work income is greater than $32,000 annually, the benefits simply won't be paid to a parent.
The federal government is considering two program designs:
1.The primary caregiver parent will receive $40 per day (up to a max of $200 per week) from the CPB. For every dollar earned, the CPB payment will be 'clawed back' (i.e. the benefit reduced) by $0.50 until the CPB payment to the recipient is $0.
2.There will be no claw back or reduction of the CPB. The primary caregiver parent will simply receive $40 per day (up to a max of $200 per week) from the CPB.
Q:Will CPB, under Program Design #1, improve outcomes for recipient parents? Does the answer depend on how much the parent works (e.g. if they work less or more than a typical 8-hour day and/or if they work less or more than a standard five-day work week)? What is the limitation of this program design? To support your answer, draw the Paid Work vs Household Work Graph for a recipient low income parent. Assume that recipient parents earn $10 per hour, are not paid a higher hourly wage rate after 8 hours of paid work and can do paid/unpaid work for up to 16 hours per day.

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Program Design #1 of the Canada Parents Benefit (CPB) involves clawing back $0.50 for every dollar earned by low-income parents. This may discourage them from increasing their work hours. The Paid Work vs Household Work Graph shows how total income increases but at a reduced rate due to the clawback.

Under Program Design #1, the CPB payment will be clawed back by $0.50 for every dollar earned by the primary caregiver parent. To determine if this program design improves outcomes for recipient parents, we need to consider the impact on their total income and incentives for work.

If the parent works less than a typical 8-hour day or less than a standard five-day work week, the clawback will still apply to their earnings. As a result, the total income (including CPB and earnings) will be reduced by the clawback amount, which may discourage the parent from increasing their work hours.

To assess the impact on outcomes, we can draw a Paid Work vs Household Work Graph for a recipient low-income parent. Let's assume that the recipient parent earns $10 per hour, is not paid a higher hourly wage rate after 8 hours of paid work, and can do paid or unpaid work for up to 16 hours per day. The graph will show the total income (including CPB and earnings) on the y-axis and the number of hours spent on paid work and household work on the x-axis.

Paid Work vs Household Work Graph:

```

    Total Income

       ^

       |

       |

  (Maximum $32,000)

       |

       |    /\

       |   /  \

       |  /    \

       | /      \

       |/        \

--------|-----------|------------------

       0        Hours of Paid Work

```

In this graph, the total income increases as the recipient parent engages in paid work. However, the income growth is affected by the clawback rate of $0.50 for every dollar earned. As the parent works more hours, their total income will still increase but at a reduced rate due to the clawback.

The limitation of Program Design #1 is that it creates a disincentive for the recipient parent to work more hours. As their earnings increase, the clawback reduces the CPB payment, limiting the overall increase in total income. This design may discourage low-income parents from increasing their work hours beyond a certain point, potentially limiting their financial progress.

It's important to note that the specific shape and slope of the Paid Work vs Household Work Graph may vary depending on the individual circumstances and the specific details of the clawback mechanism. This graph provides a general visualization to illustrate the concept and the potential impact on recipient parents under Program Design #1

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Question 13 The initial step in the marketing research process is to select a data collection method. identify consumer/business segments of interest. O identify informational needs. conduct a preliminary information search. Question 14 Public and university libraries contain a wealth of information in the form of data. anecdotal O primary O secondary tertiary Question 15 in order to be appropriately considered a market, a group of customers or potential customers must have O purchasing power market power ? satisfied needs. O correlated needs Question 16 Which of the following legal forms of an organization allows owners to contribute no capital but still play a part in managing the business and share in its profits? S corporation O C Corporation Partnership Sole proprietorship

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13. The initial step in the marketing research process is to identify consumer needs. Option B is correct.


14 Public and university libraries contain a wealth of information in the form of primary data.
15. In order to be appropriately considered a market, a group of customers or potential customers must have purchasing power.
Customers or potential customers must be able to purchase the product or service offered by a company or have the purchasing power to do so in the future.
16. Partnership is the legal form of an organization that allows ownrs to contribute no capital but still play a part in managing the business and share in its profits.
The partnership is a business association of two or more people who share ownership, profits, and losses of the business.

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the arbitrage profit? Assume the risk-free rate is zero. a. Sell put and sell forward; net profit is at least 1 cent b. There are no arbitrage opportunities available c. Buy put and buy forward; net profit is at least 1 cent d. Buy put and sell forward; net profit is at least 1 cent \$000s)? (Assume the risk-free rate is zero, the current put price is $2.89 ) a. 131 b. 86 c. 216 d. 63 relationship between the change in the portfolio value ΔP and the percentage change in the underlying stock price ΔS/S ? a. ΔP=−492,278(ΔS/S) b. ΔP=−13,847(ΔS/S) c. ΔP=1,107,722(ΔS/S) d. ΔP=492,278(ΔS/S) e. ΔP=−1,107,722(ΔS/S)

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The correct answers are a. Sell put and sell forward; net profit is at least 1 cent and d. Buy put and sell forward; net profit is at least 1 cent. The relationship between the change in the portfolio value ΔP and the percentage change in the underlying stock price ΔS/S is e. ΔP=−1,107,722(ΔS/S).

Arbitrage opportunities arise when it is possible to make a riskless profit by exploiting price discrepancies in different financial instruments. In this case, we need to determine which strategies result in a net profit of at least 1 cent and the relationship between the portfolio value and the percentage change in the stock price.

a. Sell put and sell forward: By selling a put option and selling forward, the investor is obligated to buy the underlying stock at a specified price (the strike price) in the future. If the net profit is at least 1 cent, this strategy can be profitable.

b. There are no arbitrage opportunities available: This option suggests that there are no possible strategies to make a riskless profit. It is a general statement indicating that no such opportunity exists.

c. Buy put and buy forward: Buying a put option and buying forward would involve purchasing the right to sell the underlying stock at a specified price in the future. This strategy would result in an upfront cost, making it unlikely to generate a net profit.

d. Buy put and sell forward: This strategy involves buying a put option and selling forward, which allows the investor to protect against a decline in the stock price while also receiving a premium from selling the forward contract. This can result in a net profit of at least 1 cent.

Regarding the relationship between the change in the portfolio value ΔP and the percentage change in the underlying stock price ΔS/S, the correct option is e. ΔP=−1,107,722(ΔS/S). This suggests that the portfolio value will decrease by 1,107,722 times the percentage change in the stock price.

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The website "Which Test Won" ran an A/B test of an email sent to prospective students at a university.
The "A" test is the conversational approach with a head line of "Give Your Career a Little Love,"
The "B" test is the same offer, but the subject line takes a transactional approach, "Your online match is here."
The test ran for three days and during that time 105,000 prospective students received the email.
At the end, the "B" test won based on an analysis of open, click and unsubscribe rates.
In the space below, explain why the "B" test was more successful. Support your answer using direct marketing principles and other material from this and other marketing courses. Limit your answer to three sentences.

Answers

The "B" test was more successful because the subject line "Your online match is here" tapped into the psychological principle of personalization and created a sense of intrigue and relevance.

By framing the offer as a potential match for the prospective students, it triggered curiosity and enticed them to open the email. This approach aligns with direct marketing principles that emphasize the importance of engaging the audience and offering solutions to their needs.

The analysis of open, click, and unsubscribe rates confirmed that the transactional approach was more effective in capturing the attention and interest of the target audience, leading to higher engagement and ultimately better results in terms of campaign performance.

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Using the table below create SinCo's Income Statement and Balance Sheet for the Prior Year and Current Year, and then answer the questions that are below. (Do not round intermediate calculations. Round your answer to 2 decimal places.) Prior Year Current Year Revenue $4,000 4678 Cost of Good Sold 1,600 2,292 Depreciation 500 521 Inventory 300 340 SG&A 500 573 Interest Expenses 150 159 Common Stock and Paid-in Capital 2,200 2,200 Federal and State Taxes (35% of EBT) 400 Accounts Payable 300 334 Accounts Receivable 400 434 Net Fixed Assets 5,000 5535 Retained Earnings (Balance Sheet) 1,000 Long-Term Debt 2,000 2376 Notes Payable 1,000 804 Dividends Paid 410 410 Cash 800 Income Statement Questions: What is SinCo's EBITDA for the current year? What is SinCo's EBIT for the current year? What is SinCo's Net Income for the current year? Balance Sheet Questions: What is SinCo's current year's Retained Earnings What is the current year's Total Liabilities and Shareholders Equity What is SinCo's current year's Total Assets What is SinCo's current year's Cash Balance What is SinCo's current year's Total Current Assets

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To calculate SinCo's EBITDA for the current year, we need to add back depreciation, interest expenses, and taxes to the net income. EBITDA stands for Earnings Before Interest, Taxes, Depreciation, and Amortization.

Net Income can be calculated as follows: Net Income = Revenue - Cost of Goods Sold - SG&A - Depreciation - Interest Expenses - Taxes Net Income = $4,678 - $2,292 - $573 - $521 - $159 - ($400) Net Income = $1,733 EBITDA can be calculated by adding back depreciation, interest expenses, and taxes to the net income: EBITDA = Net Income + Depreciation + Interest Expenses + Taxes EBITDA = $1,733 + $521 + $159 + $400 EBITDA = $2,813 Therefore, SinCo's EBITDA for the current year is $2,813.

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A Consumer Expenditure Survey in Sparta shows that people buy only juice and cloth. In 2012, the year of the Consumer Expenditure Survey and also the reference base year, the average household spent $27 on juice and $18 on cloth. The price of juice in 2012 was $3 a bottle, and the price of cloth was $6 a yard. In 2014, juice is $6 a bottle and cloth is $3 a yard. Calculate the CPI in 2014 and the inflation rate between 2012 and 2014.

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The Consumer Price Index (CPI) is a metric that reflects the relative cost of a fixed basket of goods and services from one period to the next.

To calculate the CPI, follow these steps:Calculate the cost of the basket in the reference period. In this situation, the reference period is 2012, and the basket contains two products: juice and cloth.

(27 bottles of juice at $3 per bottle) + (18 yards of cloth at $6 per yard) = $81Add up the price of each item in the basket in the present period. In this situation, the current year is 2014. (27 bottles of juice at $6 per bottle) + (18 yards of cloth at $3 per yard) = $153Compute the CPI.

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Kevin takes out a mortage of 200 000 dollars at 4.2% per year compounded semi-annually. He plans to repay in equal monthly payments over 15 years. Determine the total interest paid over the life of the mortgage.

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To determine the total interest paid over the life of the mortgage, we need to calculate the monthly payment and then subtract the original loan amount from the total amount paid over 15 years.

The mortgage amount is $200,000, and the interest rate is 4.2% per year compounded semi-annually. Since Kevin plans to make monthly payments, we need to convert the interest rate to a monthly rate.

The formula to calculate the monthly payment for a mortgage is:

Monthly Payment = (P * r * (1 + r)^n) / ((1 + r)^n - 1),

where P is the principal amount (loan amount), r is the monthly interest rate, and n is the total number of payments (number of months).

First, we convert the annual interest rate to a monthly rate:

Monthly Interest Rate = (1 + 4.2%)^(1/12) - 1.

Next, we calculate the number of payments over 15 years:

Number of Payments = 15 years * 12 months/year.

Using these values, we can calculate the monthly payment.

After obtaining the monthly payment, we multiply it by the number of payments (15 years * 12 months/year) to find the total amount paid over the life of the mortgage.

Finally, we subtract the original loan amount ($200,000) from the total amount paid to determine the total interest paid over the life of the mortgage.

The result will give us the total interest paid over the 15-year period for the mortgage.

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Perpetual inventory using LIFO Beginning inventory, purchases, and sales for Item 88−HX are as follows: Assuming a perpetual inventory system and using the last-in, first-out (LIFO) method, determine (a) the cost of goods sold on July 27 and (b) the inventory on July 31. a. Cost of goods sold on July 27 b. Inventory on July 31

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(a) Cost of goods sold on July 27= $30,000 (As the recent purchases are used for selling)

(b) Inventory on July 31=LIFO inventory= $10,000. (Cost of goods available for sale - Cost of goods sold)

Given: Perpetual inventory using LIFOB eg. inventory = $12,000 Purchases = $30,000Sales = $40,000

a)Cost of goods sold on July 27In a perpetual inventory system, the cost of goods sold can be calculated using the following formula:Cost of goods sold = Beginning inventory + Purchases - Ending inventory Here, ending inventory is not given so we can use the LIFO method to calculate the cost of goods sold on July 27.In the LIFO method, we assume that the most recent purchases are sold first and so the ending inventory is based on the earlier purchases.The cost of goods sold can be calculated as follows:Inventory as on July 1 = $12,000Cost of purchases during the month = $30,000Total cost of goods available for sale = $42,000Cost of goods sold = Sales x Cost of goods sold percentageThe cost of goods sold percentage can be calculated as follows:Out of $42,000, $12,000 is already the opening inventory, so the remaining $30,000 of purchases are sold first. Since the total sales are $40,000, this means that we have sold 75% of the available goods.Cost of goods sold percentage = 75%Cost of goods sold = $40,000 x 75%Cost of goods sold = $30,000Therefore, the cost of goods sold on July 27 was $30,000.b) Inventory on July 31The inventory on July 31 can be calculated using the LIFO inventory method. In this method, we assume that the most recent purchases remain in the inventory and are not sold until the earlier purchases have been sold.Cost of goods available for sale = Beginning inventory + PurchasesCost of goods available for sale = $12,000 + $30,000Cost of goods available for sale = $42,000The cost of goods sold has already been calculated as $30,000.Inventory on July 31 = Cost of goods available for sale - Cost of goods soldInventory on July 31 = $42,000 - $30,000Inventory on July 31 = $12,000Therefore, the inventory on July 31 was $12,000.

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A legune koovene who realbes his oe hor business as running short of irventory late on a Safurday night cannot replenish the shortage from a personat A. True B. False

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A legitimate licensee who realizes his or her business is running short of inventory late on a Saturday night can replenish the shortage from a personal supply.  False

This can help ensure uninterrupted service and meet customer demands. However, it is crucial to note that this may vary depending on the specific laws and regulations governing liquor licensing in the jurisdiction. Licensees should always consult and comply with the applicable regulations to determine the permissibility of using personal supplies to replenish inventory.

Additionally, any usage of personal supplies would likely be subject to reporting and documentation requirements to ensure transparency and adherence to licensing rules.

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Study by Simon-Kucher & Partners shows that 72% of all new product & service introductions fail to live up to expectations—why and how to reduce?

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According to a study by Simon-Kucher & Partners, 72% of new product and service introductions fail to meet expectations. This raises the question of why such a high failure rate occurs and how it can be reduced.

One possible explanation for the high failure rate is a lack of market research and understanding of customer needs. Many companies fail to thoroughly analyze market trends, consumer preferences, and competition, leading to products or services that do not align with the target market's demands.

Additionally, inadequate marketing and positioning strategies can contribute to product failures. Effective communication and promotion are crucial for creating awareness, generating interest, and convincing customers to adopt new offerings.

Failing to effectively communicate the value proposition and benefits of a product or service can result in poor market reception and ultimately lead to failure.

To reduce the failure rate, companies should prioritize market research, customer insights, and competitive analysis to better understand their target market. This allows for the development of products and services that meet specific customer needs and preferences.

Additionally, investing in effective marketing strategies, including comprehensive launch plans and ongoing promotion, can help build awareness, generate demand, and drive adoption. By addressing these areas, companies can increase their chances of success and reduce the failure rate of new product and service introductions.

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‘’Warehousing is an integral part of logistics and supply chain management system’’.
Analyse the above statement. Provide supporting examples for substantiation.

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Warehousing plays a crucial role in logistics and supply chain management by facilitating storage, order fulfillment, and value-added services.

Warehousing serves as a strategic link in the supply chain, providing a centralized location for storing products before they are delivered to customers. It enables businesses to manage inventory levels, reducing stockouts and ensuring timely order fulfillment. Additionally, warehousing facilitates value-added services like packaging, labeling, and customization, enabling businesses to meet specific customer requirements.

For example, in the e-commerce industry, warehouses play a vital role in efficient order processing and fulfillment. Companies like Amazon operate large-scale warehouses strategically located near major population centers to enable fast and cost-effective product delivery.

Furthermore, warehousing enables businesses to optimize transportation costs by consolidating shipments and implementing cross-docking operations, where goods are directly transferred from incoming to outgoing vehicles without storage. This reduces handling and storage costs, enhancing overall supply chain efficiency.

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what common problem is related to outcome identification and planning?

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Common problem related to outcome identification and planning: Lack of clarity and specificity in defining desired outcomes.

Explanation: One common problem related to outcome identification and planning is the lack of clarity and specificity in defining desired outcomes. This occurs when organizations or individuals fail to clearly articulate what they want to achieve or set ambiguous goals. Without clear and specific outcome identification, it becomes challenging to develop an effective plan to reach those goals.

When outcome identification and planning lack clarity, it can lead to several issues. Firstly, it becomes difficult to measure progress and evaluate success since there are no clear benchmarks or criteria for achievement. Additionally, without specific outcomes, it is challenging to allocate resources effectively and prioritize actions to accomplish the desired results. This can result in wasted time, effort, and resources on activities that do not contribute to the intended outcomes.

To address this problem, it is crucial to invest time and effort in clearly defining and articulating the desired outcomes. This involves identifying specific, measurable, attainable, relevant, and time-bound (SMART) goals that provide a clear direction for planning and implementation. Clear outcome identification enhances the effectiveness of planning processes and increases the likelihood of successful outcomes.

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Which Of The Following Accounts Will Not Be Closed At The End Of The Accounting Cycle? A.Nominal Accounts B.Temporary Accounts C.Revenue Accounts D.Real Accounts
Which of the following accounts will not be closed at the end of the accounting cycle?
a.Nominal accounts
b.Temporary accounts
c.Revenue accounts
d.Real accounts

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Real accounts will not be closed at the end of the accounting cycle.

Nominal accounts, also known as temporary accounts, are closed at the end of the accounting cycle. They include revenue, expenses, gains, and losses.

Real accounts, also known as permanent accounts, are not closed at the end of the accounting cycle. They include assets, liabilities, and equity.

The purpose of closing accounts is to reset the balances of nominal accounts to zero at the beginning of the next accounting period. This is done to ensure that the financial statements for each accounting period are accurate and reflect only the activities that occurred during that period.

Real accounts are not closed because they represent the company's assets, liabilities, and equity, which are ongoing. The balances of real accounts are carried forward to the next accounting period so that the company can track the changes in these accounts over time.

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process may go wrong in two ways, call them A or B. Both these ways are equally likely. If the cause is A then it causes a loss of Rs.100,000 to the company if it is not repaired. If it is repaired, there is 60% chance of restricting the loss to Rs.40,000 and a 40% chance of restricting the loss to Rs.70,000. If the cause is B then the repairing operation has no effect and the loss to the company would be Rs.80,000. Repairing costs Rs.25,000.

If the cause of the process going wrong is A, and the process is repaired, then what would the net loss to the company?
If the process goes wrong, does it make sense to go for repairs?
What is the maximum value of the probability of the process going wrong because of A for which will your answer to the second part remain the same? (Currently that value is 50%)
Suppose there is a test that can identify whether the cause of the process fault is A or B. What is the maximum amount of money that you would pay for the test

Answers

If the cause of the process going wrong is A and the process is repaired, the net loss to the company would be Rs. 25,000. It does make sense to go for repairs if the process goes wrong, as the expected loss without repairs is higher than the cost of repairs.

If the cause of the process going wrong is A and the process is repaired, the net loss to the company would be Rs. 25,000. This is calculated by subtracting the repair cost of Rs. 25,000 from the expected loss of Rs. 40,000 (60% chance) or Rs. 70,000 (40% chance) if the process is not repaired. It makes sense to go for repairs if the process goes wrong because the expected loss without repairs is higher than the cost of repairs. Without repairs, the loss to the company would be Rs. 100,000. However, by repairing the process, the expected loss can be reduced to Rs. 40,000 or Rs. 70,000.

The maximum value of the probability of the process going wrong because of A for which the answer to the second part remains the same is 60%. Beyond this probability, the expected loss without repairs would be lower than the cost of repairs, making repairs not worthwhile. The maximum amount of money that you would pay for the test to identify the cause of the process fault depends on the potential savings from making informed decisions. If the test can accurately distinguish between causes A and B, and the potential losses are significant, paying a reasonable amount for the test could be justified in order to make informed decisions and potentially reduce losses.

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Traditional mean/variance analysis as proposed by Markowitz shows that for the period 1994-2020 the risk adjusted performance of hedge funds is superior to traditional investments. However, it can be argued that this approach seriously understates the risk of hedge fund investments. Discuss the limitations of the Markowitz approach with particular emphasis on the statistical properties of hedge fund returns.

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The Markowitz approach, which analyzes mean-variance and risk-adjusted performance, suggests that hedge funds outperform traditional investments from 1994 to 2020. However, this approach may underestimate the risks associated with hedge fund investments.

The Markowitz approach relies on certain assumptions, such as normality and constant volatility of returns, which may not hold for hedge fund investments. Hedge fund returns often exhibit non-normal distributions, meaning they may not follow the familiar bell-shaped curve assumed by the approach. This can be attributed to various factors, including the use of complex trading strategies, illiquid assets, and limited transparency.

Furthermore, hedge fund returns can exhibit fat tails, indicating a higher likelihood of extreme events or outliers than would be expected under normal distributions. These fat tails suggest that there is a higher potential for large losses or gains, which may not be accurately captured by traditional mean-variance analysis.

Moreover, hedge funds are known for their high levels of volatility, which can lead to significant fluctuations in returns. The Markowitz approach assumes constant volatility, but hedge fund returns can experience periods of high volatility followed by low volatility, making it challenging to accurately estimate risk and returns over time.

Overall, the statistical properties of hedge fund returns, including non-normality, fat tails, and volatility, pose limitations to the Markowitz approach. These limitations highlight the need for alternative risk measurement and performance evaluation techniques that can better account for the unique characteristics of hedge fund investments.

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the writers of the constitution established a federal system of government in part because

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The writers of the Constitution established a federal system of government to prevent a concentration of power in a central government, ensuring a balance of power between the federal and state governments.

The writers of the constitution established a federal system of government in part because they wanted to avoid a concentration of power in a central government. The writers of the Constitution established a federal system of government by creating a system in which power is divided between the federal government and the state governments. The Constitution assigns certain powers to the federal government and reserves all other powers for the states.

The Founding Fathers wanted to avoid a concentration of power in a central government. Instead, they sought to create a system in which power is balanced between the federal and state governments. This was done to protect individual liberty and prevent abuses of power. The federal system of government established by the Constitution allows for a balance of power between the national government and the state governments. In conclusion, the writers of the constitution established a federal system of government in part because they wanted to avoid a concentration of power in a central government. This system provides for a division of powers between the federal government and the state governments, ensuring that no one entity has too much power.

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Entries For Issuing And Calling Bonds; Gain Mia Breen Corp. Produces And Sells Wind-Energy-Driven Engines. To Finance Its

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To illustrate the entries for issuing and calling bonds, let's assume Mia Breen Corp. issued $1,000,000 in bonds with a face value of $1,000 each and a stated interest rate of 6%. Subsequently, the company decided to call back $500,000 worth of bonds at 102% of their face value.

1) Entry for Issuing Bonds:

Debit: Cash ($1,000,000)

Credit: Bonds Payable ($1,000,000)

When Mia Breen Corp. issues the bonds, they receive cash from the bondholders. Therefore, the Cash account is debited for the total amount received, which is $1,000,000. At the same time, the Bonds Payable account is credited for the face value of the bonds issued, which is also $1,000,000.

2) Entry for Calling Bonds:

Debit: Bonds Payable ($510,000) [($500,000 x 102%)]

Debit: Premium on Bonds Payable ($10,000) [($500,000 x 2%)]

Credit: Cash ($520,000) [($500,000 x 102%) + $10,000]

Credit: Gain on Bond Redemption ($20,000) [($510,000 - $500,000)]

When Mia Breen Corp. decides to call back $500,000 worth of bonds at 102% of their face value, the Bonds Payable account is debited for the amount redeemed, which is $510,000 ($500,000 x 102%). Additionally, any remaining unamortized premium on the called bonds is debited to the Premium on Bonds Payable account. The Cash account is credited for the total cash paid to bondholders, which is $520,000 ($500,000 x 102% + $10,000). Finally, a Gain on Bond Redemption is credited for the difference between the cash paid and the Bonds Payable account debited, which is $20,000 ($520,000 - $500,000).

Please note that this example assumes a simplified scenario and does not consider any potential tax implications or specific adjustments required under accounting standards.

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Bayko wants to maintain its leverage at 76%. The cost of its capital own is 12%; the cost of its debt is 7%. Its rate tax is 25% and its market capitalization is 220 million euros. The expected free cash flow is 10 million euros next year. What is the present value of the savings of tax realized thanks to the deductibility of interest?

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The present value of the tax savings realized through the deductibility of interest for Bayko is approximately 1.61 million euros.

In order to calculate the present value of the tax savings, we need to consider the interest tax shield generated by the deductibility of interest expense. The interest tax shield represents the tax savings realized by a company due to the tax-deductible nature of interest payments on debt.

The interest expense is determined by the cost of debt multiplied by the debt amount. Since the leverage target is 76%, we can calculate the debt amount by subtracting the equity value from the market capitalization.

Debt amount = Market capitalization - Equity value

Debt amount = 220 million euros - (0.76 * 220 million euros)

Debt amount = 220 million euros - 167.2 million euros

Debt amount = 52.8 million euros

Interest expense = Cost of debt * Debt amount

Interest expense = 0.07 * 52.8 million euros

Interest expense = 3.696 million euros

Next, we calculate the tax shield:

Tax shield = Interest expense * Tax rate

Tax shield = 3.696 million euros * 0.25

Tax shield = 0.924 million euros

To find the present value of the tax savings, we need to discount the tax shield by the cost of capital. The cost of capital is a weighted average of the cost of equity and the cost of debt, based on the leverage target.

Weighted average cost of capital (WACC) = (Equity proportion * Cost of equity) + (Debt proportion * Cost of debt)

WACC = (0.76 * 0.12) + (0.24 * 0.07)

WACC = 0.0912 + 0.0168

WACC = 0.108

Present value of tax savings = Tax shield / WACC

Present value of tax savings = 0.924 million euros / 0.108

Present value of tax savings ≈ 8.56 million euros

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