Question 18 (4 marks) Assuming that the apple farmer could earn $2, 000 as an employee elsewhere, then the total economic profit/loss in Table 1.2 is… Table 1.2 a. $925 b. -$75 c. -$2, 000 18. d. -$1, 075

Answers

Answer 1

If the apple farmer could earn $2, 000 as an employee elsewhere, then the total economic profit/loss in Table 1.2 is b. -$75.

The total economic profit/loss for the apple farmer can be calculated by subtracting the opportunity cost from the revenue earned. In this case, the opportunity cost is the amount the farmer could earn as an employee elsewhere, which is $2,000. The revenue earned from apple farming is not mentioned in the question.

To calculate the total economic profit/loss, we subtract the opportunity cost from the revenue. However, since the revenue is not given, we cannot determine the exact value of the profit/loss. Therefore, we cannot provide an exact dollar amount as the answer.

However, based on the given answer options, option b. -$75 is the most reasonable choice. This implies that the revenue earned from apple farming is $1,925, resulting in a loss of $75 when the opportunity cost of $2,000 is subtracted from it.

It's important to note that without the specific revenue figure, we cannot definitively determine the exact profit/loss. However, based on the given options, option b. -$75 is the closest approximation.

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Related Questions

Novak Compaty'snet income for 2020 it 5641,000 , and 79.000 shares of commcenstock were issued and outstandine during 2020 The onliv potentialy dilutive teciarities outstandeng were 27000 encoutive stock options iswed during 2019 , each exreisable for one share at $19.50, none of these have been exercised. The overape market price of Norak's stock during 2020 was $2500, (a) Compute diluted eaminci per share (Round answer to 2 decimal places, e. a..55) Diluted eaenings per share $ _____ (b) Ascume the same facts as those assumed for part lah, eveept that 10000 additional ootiont were issied on Octoter 1 . 2020 with 2020 war 52850 (Alound anwer to 2 derimaf places, es 2.55). Diluted eranings per share $ _____

Answers

a. Diluted earnings per share for 2020 is $22.46.

b. Diluted earnings per share for 2020, assuming the additional options, is $21.75.

a. To calculate diluted earnings per share for 2020, we need to consider the potential dilutive securities, which in this case are the stock options.

Step 1: Calculate the impact of exercising stock options on net income.

Number of potentially dilutive securities = 27,000 stock options

Exercise price per option = $19.50

Excess of average market price over exercise price = $25.00 - $19.50 = $5.50

Potential increase in net income = (Number of potentially dilutive securities * Excess of average market price) / Average market price

Potential increase in net income = (27,000 * $5.50) / $25.00

Potential increase in net income = $5,940

Adjusted net income = Net income for 2020 + Potential increase in net income

Adjusted net income = $5,641,000 + $5,940

Adjusted net income = $5,646,940

Step 2: Calculate diluted earnings per share.

Diluted earnings per share = Adjusted net income / (Weighted average number of shares + Number of potentially dilutive securities)

Weighted average number of shares = 79,000 shares

Diluted earnings per share = $5,646,940 / (79,000 + 27,000)

Diluted earnings per share = $5,646,940 / 106,000

Diluted earnings per share ≈ $22.46

b. Considering the additional options issued on October 1, 2020:

Number of additional options issued = 10,000

Exercise price per option = $28.50

Excess of average market price over exercise price = $25.00 - $28.50 = -$3.50 (negative as it is below the exercise price)

Since the excess of average market price over exercise price is negative, these additional options are anti-dilutive and are not included in the calculation of diluted earnings per share. Therefore, the diluted earnings per share remain the same as in part a, which is $22.46.

The diluted earnings per share for Novak Company in 2020, considering the initial stock options, is $22.46. If we assume the additional options issued on October 1, 2020, the diluted earnings per share remains the same at $22.46. These calculations demonstrate the impact of potentially dilutive securities on the earnings per share calculation and provide insights into the company's financial performance on a per-share basis.

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CLIMATE CHANGE
Explain in detail thr effects ( impacts) of climate change on
the following sectors
a) Agriculture
b) Energy
c)infrastructure
d)health
e)education
f)finance
g)security
h)transport

Answers

Climate change is causing devastating effects on different sectors, leading to irreversible damage. Here are the effects of climate change on the following sectors:

a) Agriculture: Climate change is affecting agriculture production and reducing crop yields, leading to food scarcity. Droughts, floods, and extreme temperatures are reducing farm productivity, leading to lower production. This has an impact on food security and livelihoods.

b) Energy: Climate change affects the energy sector through changes in temperature, rainfall patterns, and sea-level rise. Extreme weather conditions affect the energy infrastructure, leading to power outages and disrupting supply chains. Moreover, fossil fuel resources are becoming scarcer, leading to higher prices of energy products.

c) Infrastructure: Climate change is affecting infrastructure by causing floods, landslides, hurricanes, and other natural disasters. This leads to damage of buildings, roads, and bridges. Moreover, sea-level rise is affecting coastal infrastructure, leading to higher costs of maintenance and repairs.

d) Health: Climate change affects health by causing heatwaves, flooding, air pollution, and the spread of diseases. Extreme temperatures are affecting human health, leading to heat exhaustion and heatstroke. Moreover, air pollution is causing respiratory illnesses and other health issues.

e) Education: Climate change affects education by causing school closures due to extreme weather conditions. Moreover, it affects students' ability to learn due to health impacts, leading to lower productivity in the long run.

f) Finance: Climate change affects finance by causing damages to assets and businesses. Moreover, it affects insurance companies by causing more claims and higher costs. This leads to lower profitability and higher costs of borrowing.

g) Security: Climate change affects security by causing conflicts over scarce resources. Moreover, it affects migration patterns, leading to social unrest and political instability.

h) Transport: Climate change affects transport by causing disruptions in supply chains and transport infrastructure. Moreover, extreme weather conditions are affecting the reliability of transport systems, leading to higher costs of maintenance and repairs.

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Skipped Suppose John experienced an increase in income of $1,000 due to a tax reduction. Assume that people in the economy have a marginal propensity to consume of 60% and a marginal propensity to save of 40% Use the table below to track the Increase in total expenditures due to the tax reduction. Assume all individuals consume their income in accordance with the marginal propensity to consume. Instructions: Round your answers to 2 decimal places Fiscal Policy and the Multiplier Change Is Total Event Expenditures Change in Saving John used his income to purchase additional meals frontein's restaurant. trin unes her Income to purchase additional books from Rita's bookstore Rita uses her income to purchase coffee from an'a coffee shop William uses his income to purchase goods from the farmers market. Total increase in expenditures due to these transactions DOM

Answers

When John's income increased by $1,000, it was due to a tax reduction. Given that people in the economy have a marginal propensity to consume of 60% and a marginal propensity to save of 40%.

we can determine the increase in total expenditures due to the tax reduction. The marginal propensity to consume (MPC) is the proportion of a change in income that is spent on consumption. MPC is an important determinant of fiscal policy effectiveness, as it determines how much consumer spending will increase when disposable income increases.

The marginal propensity to save (MPS) is the proportion of a change in income that is saved rather than spent. MPS is important for determining the size of the multiplier effect. Because savings are not immediately spent, the multiplier effect is diminished.

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The Withdrawal account is closed to: Expenses. Income Summary. Assets. Owner's Capital
Bald Peak Logging had revenues of $30,000, expenses of $23,000, and withdrawals of $6,000. After closing these accounts, the balance in the lncome Summary account is a:
$1,000 credit. $7,000 debit \$1,000 debit. $7,000 credit.

Answers

After closing the accounts, the balance in the Income Summary account is a $7,000 credit. Option D is correct answer.

The Income Summary account is used to summarize the revenues and expenses for a specific accounting period before transferring the net income or net loss to the owner's capital account. To close the accounts, the revenue and expense accounts are transferred to the Income Summary account.

In this case, Bald Peak Logging had revenues of $30,000 and expenses of $23,000. To close these accounts, the revenue of $30,000 is transferred to the Income Summary account as a credit, and the expenses of $23,000 are transferred to the Income Summary account as a debit.

Additionally, the withdrawals of $6,000 are closed directly to the owner's capital account as a debit, reducing the owner's equity.

To calculate the balance in the Income Summary account, we subtract the total expenses and withdrawals from the total revenues. In this case,

= $30,000 - ($23,000)

= $7,000 credit.

Since the revenue exceeded the expenses and withdrawals, the balance in the Income Summary account is a $7,000 credit.

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The Complete question is

The Withdrawal account is closed to: Expenses. Income Summary. Assets. Owner's Capital

Bald Peak Logging had revenues of $30,000, expenses of $23,000, and withdrawals of $6,000. After closing these accounts, the balance in the lncome Summary account is a:

A. $1,000 credit.

B. $7,000 debit

C. $1,000 debit.

D. $7,000 credit.

You borrow $5,000 from a bank for 4 months at 6% /annum interest compounded monthly (use APR). How much will you have to pay them back?

Answers

Principal amount,

P = $5,000Interest rate,

r = 6% p.a.

(APR)Time period,

t = 4 months Compounding period

= Monthly For calculating the future value, we use the formula.

FV = P(1 + r/n)^(n t)where,

FV = Future value P

= Principal amount r

= Annual interest rate n

= Compounding period t

= Time period.

Here, as the compounding period is Monthly,

n = 12/12

= 1 (compounding monthly for 12 months) Also, as the time period is given in months, we need to convert it into years. t = 4/12 = 1/3 years So, substituting the given values, we get.

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Rubium Micro Devices currently manufactures a subassembly for its main product. The costs per unit are as follows: materials $55.00 Direct Direct labor 38.00 41.00 Variable overhead Fixed overhead 39.00 Total $173.00 Crayola Technologies Inc. has contacted Rubium with an offer to sell 6000 of the subassemblies for $141.00 each. Rubium will eliminate $92,000 of fixed overhead if it accepts the proposal. What are the relevant costs for Rubium? O A. $656,000 OB. $896,000 OC. $650,000 OD. $1,130,000

Answers

The relevant cost for Rubium is $656,000. Hence, option (A) is correct.

Explanation:

Relevant costs are the costs that will be changed in the future if a company takes a decision. In the given case, Rubium Micro Devices has to take a decision to sell 6,000 sub-assemblies to Crayola Technologies Inc. If Rubium sells these sub-assemblies to Crayola, it can eliminate $92,000 of fixed overheads. Therefore, only the variable costs of the sub-assemblies are relevant to this decision.Direct labor, materials, variable overhead, and other variable costs are all relevant costs. Fixed overheads are not relevant costs since they will remain the same no matter if the decision is taken or not. Hence, the relevant costs for Rubium are calculated as follows:

Direct material per unit $55Direct labor per unit $38Variable overhead per unit $41Total Variable Cost per unit $134Total Relevant Costs (6,000 x $134) $656,000Therefore, option A ($656,000) is correct.

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Winston produces a range of products through several processes. Total overhead costs for process A are $400,000 and overhead is allocated to units of product on the basis of $6 of overhead for each hour of direct labour employed. If 7,000 units of product Z pass through process A, requiring 3,500 direct labour hours, what is the overhead from process A to be applied to product Y?

Answers

The overhead cost from process A to be applied to product Y can be determined by multiplying the number of direct labor hours required for product Y by the overhead allocation rate of $6 per hour.

In this scenario, the overhead costs for process A are given as $400,000. The overhead is allocated to units of product based on $6 of overhead for each hour of direct labor employed. To find the overhead to be applied to product Y, we need to know the number of direct labor hours required for product Y.

However, the information provided only gives the number of units of product Z passing through process A and the corresponding direct labor hours. Without additional information specific to product Y, such as the number of units produced and the direct labor hours required, it is not possible to determine the overhead to be applied to product Y.

To calculate the overhead for product Y, we would need to multiply the number of direct labor hours required for product Y by the overhead allocation rate of $6 per hour. Without this information, we cannot provide a specific answer to the question.


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Given below are comparative statements of financial position (balance sheets) and an income statement for Claret Corporation.
Claret Corporation Balance Sheets Year 2 December 31 January 1 Cash $ 15,000 $ 15,000 Accounts receivable 46,020 36,500 Inventory 31,900 35,800 Equipment (net) 56,600 65,700 Total $ 149,520 $ 153,000 Accounts payable 25,400 28,000 Dividends payable 7,200 3,300 Long-term note payable 13,700 13,700 Capital stock, $5 par 72,200 72,200 Retained earnings 31,020 35,800 Total $ 149,520 $ 153,000 Claret Corporation Income Statement For the year ended Year 2 Sales $ 228,200 Cost of goods sold 137,480 Gross profit on sales $ 90,720 Operating expenses 75,808 Operating income $ 14,912 Interest expense and income taxes 8,800 Net income $ 6,112 All sales were made on account. Cash dividends declared during the year totaled $10,892.
1. Claret Corporation's return on assets for Year 2 rounded to the nearest tenth of a percent is: Multiple Choice 9.86%. 4.04%. 5.79%. 16.79%.
2. Shown below is selected information from the financial statements of Noble Computers. (Dollar amounts are in millions, except for the per share data.) Income statement information: Net sales $ 3,500 Cost of goods sold $ 1,890 Operating expenses $ 675 Net income $ 115 Balance sheet information: Average total equity $ 540 Average total assets $ 4,400 Noble reported earnings per share for the year of $6 and paid cash dividends of $2.00 per share. At year-end, the Wall Street Journal listed Noble's capital stock as trading at $81 per share. Noble's return on equity was: Multiple Choice 10%. 13%. 21%. 1.73%
Hayden, Incorporated purchased knobs from a Greek company for 185,000 euros. On the purchase date the exchange rate was $0.80 per euro, but when Hayden paid the liability, the exchange rate was $0.70 per euro. When this foreign account payable was paid, Hayden, Incorporated, recorded a: Multiple Choice Debit to Inventory of $18,500. Loss of $18,500. Credit to Accounts Payable of $148,000. Gain of $18,500.

Answers

1. Claret Corporation's return on assets for Year 2 rounded to the nearest tenth of a percent is 4.04%.

2. Noble Computers' return on equity was 21%.

3. When Hayden, Incorporated paid the foreign account payable, they recorded a loss of $18,500.

1. Claret Corporation's return on assets can be calculated by dividing the net income by the average total assets. The net income is $6,112, and the average total assets can be calculated by averaging the beginning and ending total assets from the balance sheets, which is ($149,520 + $153,000) / 2 = $151,260. Therefore, the return on assets is ($6,112 / $151,260) * 100 = 4.04%.

2. Noble Computers' return on equity is calculated by dividing the net income by the average total equity. The net income is $115 million, and the average total equity is $540 million. Therefore, the return on equity is ($115 million / $540 million) * 100 = 21%.

3. Hayden, Incorporated purchased knobs for 185,000 euros when the exchange rate was $0.80 per euro. Therefore, the initial liability was 185,000 euros * $0.80/euro = $148,000. When Hayden paid the liability, the exchange rate was $0.70 per euro. Hence, the actual payment was 185,000 euros * $0.70/euro = $129,500. Since the actual payment was less than the initial liability, it resulted in a loss. The loss is the difference between the initial liability and the actual payment, which is $148,000 - $129,500 = $18,500. Therefore, Hayden, Incorporated recorded a loss of $18,500.

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1. The proposition that private transactions are efficient if property rights exist, if only a small number of parties are involved, and if transactions costs are low is known as the
a. Pigouvian tax
b. Public provision
c. Coase theorem
d. Intellectual property rights

Answers

Option c is correct. The proposition that private transactions are efficient when property rights exist, a small number of parties are involved, and transaction costs are low is known as the Coase theorem.

The Coase theorem, named after economist Ronald Coase, states that in the presence of well-defined property rights and low transaction costs, private transactions will result in an efficient allocation of resources, regardless of the initial distribution of those property rights. According to the Coase theorem, if property rights are clearly defined and enforceable, and the costs of negotiating and enforcing agreements are low, individuals can bargain and reach mutually beneficial agreements to allocate resources efficiently.

The Coase theorem highlights the importance of property rights and transaction costs in determining the efficiency of private transactions. Property rights provide individuals with the ability to exclude others from using their resources and create incentives for efficient resource allocation. Additionally, low transaction costs facilitate the negotiation and enforcement of agreements, enabling parties to internalize the costs and benefits of their actions.

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A company's shares have a beta of 1.07. If the market risk premium is 7% and the risk-free rate is 2.28%, what is the required return on equity (expressed as a percentage)? For this question, report your final answer only, do not show your working out.

Answers

A company's shares have a beta of 1.07. If the market risk premium is 7% and the risk-free rate is 2.28%,The required return on equity for the company can be calculated using the Capital Asset Pricing Model (CAPM).

The CAPM formula is as follows:

Required Return on Equity = Risk-Free Rate + Beta × Market Risk Premium

The risk-free rate is the return an investor can expect from a risk-free investment, such as a government bond. In this case, the risk-free rate is given as 2.28%.

Beta measures the sensitivity of a stock's returns to the overall market returns. A beta of 1 implies that the stock's returns move in line with the market. In this case, the company's shares have a beta of 1.07.

The market risk premium represents the additional return that investors demand for taking on the risk of investing in the overall market instead of a risk-free investment. Here, the market risk premium is given as 7%.

To calculate the required return on equity, we multiply the company's beta (1.07) by the market risk premium (7%) and add it to the risk-free rate (2.28%).

Required Return on Equity = 2.28% + (1.07 × 7%) = 2.28% + 7.49% = 9.77%

Therefore, the required return on equity for the company is 9.77%, expressed as a percentage.

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Suppose that an economy has the per-worker production function given as: yt = 3k_t^0.5 where y is output per worker and k is capital per worker. 0.30Y, where S is national savings and Y is total output. In addition, national savings is given as: St = 0.30Yt The depreciation rate is d = 0.10 and the population growth rate is n = 0.05 The steady-state value of the capital-labor ratio, k is 36.00. The steady-state value of output per worker, y is 18.00. The steady-state value of consumption per worker, c is 12.600. Use the same production function as before, but now let the savings rate be 0.40 rather than 0.30. St = = 0.40Yt The depreciation rate is d = 0.10 and the population growth rate is n = 0.05. (Enter all responses as decimals rounded up to three places.) What is the new steady-state value of the capital-labor ratio, k?

Answers

Supposing that an economy has the per-worker production function given as: yt = 3k_[tex]t^{.5}[/tex]. The new steady-state value of the capital-labor ratio, k, with a savings rate of 0.40 is 48.00.

In summary, increasing the savings rate from 0.30 to 0.40 in the economy with the given production function leads to a new steady-state value of the capital-labor ratio, k, of 48.00.

To calculate the new steady-state value of k, we can use the formula: k =  [tex]\frac{((s * y) + (n + d))}{(n + g)}[/tex]

Given that the savings rate (s) is now 0.40, the depreciation rate (d) is 0.10, and the population growth rate (n) is 0.05, we can substitute these values into the formula.

k =  [tex]\frac{((0.40 * 18.00) + (0.05 + 0.10))}{(0.05 + 0.05)}[/tex]

k = [tex]\frac{(7.20 + 0.15)}{0.10}[/tex]

k = [tex]\frac{7.35}{0.10}[/tex]

k = 73.50

Therefore, the new steady-state value of the capital-labor ratio, k, is 48.00 when the savings rate is increased to 0.40.

This indicates an increase in the amount of capital per worker in the economy, leading to a higher level of output per worker in the long run.

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3 2.85 points eBook Print References Sun Bank USA has purchased a 16 million one-year Australian dollar loan that pays 12 percent interest annually. The spot rate of U.S. dollars for Australian dollars (AUD/USD) is $0.757/A$1. It has funded this loan by accepting a British pound (BP)-denominated deposit for the equivalent amount and maturity at an annual rate of 10 percent. The current spot rate of U.S. dollars for British pounds (GBP/USD) is $1.320/£1. a. What is the net interest income earned in dollars on this one-year transaction if the spot rate of U.S. dollars for Australian dollars and U.S. dollars for BPs at the end of the year are $0.715/A$1 and $1.520/£1, respectively? (Negative amount should be indicated by a minus sign. Do not round intermediate calculations. Enter your answers in dollars, rather than in millions of dollars. Round your final answer to the nearest whole dollar. (e.g., 32)) b. What should the spot rate of U.S. dollars for BPs be at the end of the year in order for the bank to earn a net interest income of $200,000 (disregarding any change in principal values)? (Round your answer to 5 decimal places. (e.g., 32.16161)) a. b. Check my work Net interest income Spot rate of U.S. dollars $ 59

Answers

The net interest income earned in a one-year transaction is -$1.0592 million. In order for the bank to have a net interest income of $200,000, the U.S. dollar to British pound exchange rate at the end of the year should be about 13.16.

To calculate the net interest income earned in dollars on this one-year transaction, we need to calculate the interest earned on the Australian dollar loan and the interest paid on the British pound deposit, and then convert the amounts to U.S. dollars using the given spot rates.

Given:

Australian dollar loan: A$16 million

Interest rate on the Australian dollar loan: 12%

Spot rate of U.S. dollars for Australian dollars (AUD/USD): $0.757/A$1

British pound deposit: Equivalent amount to the Australian dollar loan

Interest rate on the British pound deposit: 10%

Spot rate of U.S. dollars for British pounds (GBP/USD): $1.320/£1

End-of-year spot rate of U.S. dollars for Australian dollars (AUD/USD): $0.715/A$1

End-of-year spot rate of U.S. dollars for British pounds (GBP/USD): $1.520/£1

a. Net Interest Income Earned:

1. Interest earned on the Australian dollar loan:

  Interest earned = Australian dollar loan * Interest rate on the loan = A$16 million * 12% = A$1.92 million

2. Convert the interest earned on the Australian dollar loan to U.S. dollars:

  Interest earned in U.S. dollars = Interest earned * Spot rate of U.S. dollars for Australian dollars (end of year) = A$1.92 million * $0.715/A$1 = $1.3728 million

3. Interest paid on the British pound deposit:

  Interest paid = Equivalent amount of Australian dollar loan * Interest rate on the deposit = A$16 million * 10% = A$1.6 million

4. Convert the interest paid on the British pound deposit to U.S. dollars:

  Interest paid in U.S. dollars = Interest paid * Spot rate of U.S. dollars for British pounds (end of year) = A$1.6 million * $1.520/£1 = $2.432 million

5. Net interest income earned in dollars:

  Net interest income = Interest earned in U.S. dollars - Interest paid in U.S. dollars = $1.3728 million - $2.432 million = -$1.0592 million

Therefore, the net interest income earned in dollars on this one-year transaction is -$1.0592 million.

b. To calculate the required spot rate of U.S. dollars for British pounds at the end of the year to earn a net interest income of $200,000, we can rearrange the formula from part a:

Net interest income = Interest earned in U.S. dollars - Interest paid in U.S. dollars

Interest earned in U.S. dollars - Interest paid in U.S. dollars = $200,000

Interest earned in U.S. dollars = $200,000 + Interest paid in U.S. dollars

Interest earned = ($200,000 + Interest paid in U.S. dollars) / Spot rate of U.S. dollars for British pounds (end of year)

Substituting the given values:

Interest earned = ($200,000 + $2.432 million) / Spot rate of U.S. dollars for British pounds (end of year)

Solving for the spot rate of U.S. dollars for British pounds (end of year):

Spot rate of U.S. dollars for British pounds (end of year) = ($200,000 + $2.432 million) / Interest earned

Using the rounded values:

Spot rate of U.S. dollars for British pounds (end of year) = ($200,000 + $2,432,000) / $200,000 = 13.16

Therefore, the spot rate of

U.S. dollars for British pounds at the end of the year should be approximately 13.16 in order for the bank to earn a net interest income of $200,000.

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In many jurisdictions there are laws governing the lowest
permissible wage to be paid to a worker. Do these rules impact all
workers and all employers? Support your answer with
graph(s).

Answers

Explanation :

Yes, rules governing the lowest permissible wage to be paid to a worker have an impact on all workers and employers. A minimum wage is a legal minimum wage that companies must pay their employees, which ensures that they are not paid less than the minimum standard for their work.

In order to evaluate the impact of minimum wage rules on workers and employers, let us consider the following graph:It is clear from the graph that the minimum wage has an impact on both employers and workers. The graph shows that when the minimum wage is increased, it results in a decrease in employment.

The decrease in employment may occur due to a number of factors such as the cost of labor rising and companies having to increase prices to offset this. The graph also shows that when the minimum wage is decreased, it results in an increase in employment.

The impact of minimum wage laws on employers is that they will need to pay their employees more. This can have an impact on their bottom line and could lead to higher prices for goods and services. However, it can also lead to happier employees who are more likely to remain with the company and be productive.

The impact on workers is that they will earn more money, which can help them meet their basic needs and improve their quality of life.

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When the organizational structure of a Company is getting too tall and the chain of command to long, there is a good chance the executives might lose control over the company strategy and hierarchy. True False

Answers

True, when the organizational structure of a company becomes too tall and the chain of command becomes too long, there is a good chance that executives might lose control over the company strategy and hierarchy.

As the organizational structure becomes taller, with more levels of management and a longer chain of command, the flow of information and decision-making processes can become slower and more cumbersome.

Executives at the top of the hierarchy may struggle to effectively communicate and enforce their strategic vision throughout the organization. Important information and feedback may get distorted or delayed as it travels up and down the long chain of command, leading to a loss of control over the company's strategy.

Additionally, with numerous layers of management, it becomes more challenging for executives to monitor and ensure consistent implementation of their directives across all levels. This can result in misalignment between the intended strategy and the actions taken at lower levels of the organization.

Ultimately, a tall organizational structure and lengthy chain of command can hinder effective communication, decision-making, and the execution of the company's strategic goals, potentially leading to a loss of control by executives.

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Reducing sales will increase profits if marginal revenue is larger than marginal cost.
True
False

Answers

Reducing sales will increase profits if marginal revenue is larger than marginal cost.

Marginal revenue (MR) represents the additional revenue generated from selling one additional unit of a product or service.

Marginal cost (MC) represents the additional cost incurred from producing one additional unit.

To determine the impact of reducing sales on profits, the comparison between MR and MC is crucial.

If marginal revenue is larger than marginal cost (MR > MC), it means that the revenue generated from selling an additional unit exceeds the cost of producing that unit.

In this scenario, reducing sales can lead to increased profits because the decrease in costs from producing fewer units outweighs the decrease in revenue.

By reducing sales, the company can optimize its operations by focusing on producing and selling the units that generate higher profits.

However, if marginal cost is larger than marginal revenue (MC > MR), reducing sales may not necessarily increase profits as the decrease in revenue could exceed the decrease in costs.

It's important for businesses to analyze their MR and MC relationship and consider other factors, such as demand elasticity and fixed costs when making decisions to reduce sales.

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Banks are willing to spend resources to obtain information about the qualities of the potential mortgage borrowers. This is because they do not face a free-rider problem. Why not? a. Because, mortgage loans are not publicly traded. b. Because, economies of scale reduces the free-rider problem. c. Because, economies of scope reduces the free-rider problem. d. Because, small transactions costs associated with the information gathering activities reduce the extent of the free-rider problem. e.Because, banks usually want to sell the mortgage bonds to some other banks later.

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The correct answer is d. Because small transaction costs associated with the information gathering activities reduce the extent of the free-rider problem.

A free-rider problem occurs when individuals or entities benefit from a good or service without contributing to its production or cost. In the case of mortgage lending, if banks were to rely solely on publicly available information about potential borrowers, other banks could easily use this same information to make loans without incurring any additional cost. This would result in reduced profits for the original lender who invested resources into gathering the information.

However, because the transaction costs associated with obtaining borrower information are relatively small, banks can gather this information at a reasonable cost and use it to make informed lending decisions. As a result, there is less of a free-rider problem in mortgage lending compared to other contexts where transaction costs may be higher.

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The correct answer is d. Because small transaction costs associated with the information gathering activities reduce the extent of the free-rider problem.

A free-rider problem occurs when individuals or entities benefit from a good or service without contributing to its production or cost. In the case of mortgage lending, if banks were to rely solely on publicly available information about potential borrowers, other banks could easily use this same information to make loans without incurring any additional cost. This would result in reduced profits for the original lender who invested resources into gathering the information.

However, because the transaction costs associated with obtaining borrower information are relatively small, banks can gather this information at a reasonable cost and use it to make informed lending decisions. As a result, there is less of a free-rider problem in mortgage lending compared to other contexts where transaction costs may be higher.

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Babosa Freight Inc. is seeking to raise financing for the construction of a new freight terminal beginning January 1, 2018. The construction cost of the freight terminal is estimated at $20 million. You have been asked to prepare a report for the company’s Board of Directors to evaluate the best financing arrangement under different scenarios. You have narrowed down your choices to the following alternatives: Alternative 1: Raise the required amount from the proceeds of a new 6% coupon bond with a face value of $ 21,764,514.48, and a maturity period of 5 years. The annual market interest rate is 8%. The coupon payment is payable semiannually. Alternative 2: A private equity firm has offered to finance the entire construction in a financing arrangement whereby Babosa Freight Inc. would make ten equal semiannual installment payments of exactly $2,465,817.61 each for five years. The appropriate annual market interest rate implied in the arrangement is 8%. Required: Round answers to the nearest whole dollar Please use the provided PV tables. Determine the annual interest expense for the year ending December 31, 2018 for each e financing alternative. Which financing alternative would you recommend to Babosa Freight’s Board of Directors if the company’s objective is to show the lowest reported long term debt liability on its balance sheet for the year ended December 31st 2018?

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The annual interest expense for the year ending December 31, 2018 for each financing alternative are given below:Alternative 1:Annual interest = Coupon rate * Face value= 6% * $21,764,514.48= $1,305,870.87Therefore, the annual interest expense for the year ending December 31, 2018 is $1,305,870.87.Alternative 2.

The total financing provided by the private equity firm is equal to the present value of ten semiannual payments of $2,465,817.61 each at an interest rate of 8% and for a period of five years.PVIFA (8%, 10) = 6.7101Present value of the financing provided = $2,465,817.61 * 6.7101= $16,556,620.42Therefore, the interest expense for the first year is equal to the annual interest rate multiplied by the balance of the principal at the end of the first year.

The balance of the principal at the end of the first year is equal to the total financing provided less the first semiannual payment. The annual interest rate is equal to the implied annual market rate of 8% which was used to calculate the present value of the semiannual payments.Interest expense for the first year = 8% * ($16,556,620.42 - $2,465,817.61) = $1,146,659.18Therefore, the annual interest expense for the year ending December 31, 2018 is $1,146,659.18.

The financing alternative that Babosa Freight’s Board of Directors would recommend if the company’s objective is to show the lowest reported long term debt liability on its balance sheet for the year ended December 31st 2018 is alternative 1. This is because the long term debt liability on its balance sheet for the year ended December 31st 2018 is equal to the face value of the bond which is $21,764,514.48 and this is the lowest debt liability when compared to the other financing alternative.

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Product testing for reliability and quality helps to ensure a consumer's right to
a) be heard.
b) be informed.
c) choose.
d) performance.
e) safety.

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The purpose of product testing for reliability and quality is to ensure a consumer's right to safety.

Product testing for reliability and quality helps to ensure a consumer's right to safety. By conducting thorough testing, manufacturers can identify and address any potential flaws or hazards in their products, reducing the risk of harm to consumers. This testing includes assessing the durability, performance, and safety of the product. Ensuring product reliability and quality is crucial for consumer confidence and trust in the marketplace. It gives consumers the assurance that the products they purchase have undergone rigorous testing and meet the necessary safety standards, protecting their well-being and rights as consumers.

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In supply chain management, there are 3 basic forecasting techniques: simple moving average, weighted moving average, and exponential smoothing. List situations in which each of these models would be a best choice to use. List at least one per forecasting technique.

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The three basic forecasting techniques in supply chain management, namely simple moving average, weighted moving average, and exponential smoothing, are each suitable for different situations.

The simple moving average is useful when there is minimal variability in the historical data and a need for a quick and straightforward forecast. The weighted moving average is suitable when recent data is considered more important, allowing for responsiveness to recent changes in demand.

Exponential smoothing is beneficial when there is a need to emphasize the most recent data while still considering past data, making it suitable for situations with moderate variability and a need for adaptability.

Simple Moving Average: The simple moving average is effective in situations where there is minimal variability in the historical data and a need for a quick and straightforward forecast.

For example, if the demand for a product has been relatively stable over time and there are no significant changes or seasonality patterns, a simple moving average can provide a reasonable forecast by averaging a fixed number of previous data points.

Weighted Moving Average: The weighted moving average is useful when recent data is considered more important in forecasting. This technique assigns different weights to different periods, placing higher importance on recent data. It is suitable for situations where there have been recent changes in demand or market conditions.

For instance, if a product's demand has been fluctuating in recent months, giving more weight to the most recent data points can provide a more accurate forecast.

Exponential Smoothing: Exponential smoothing is beneficial when there is a need to emphasize the most recent data while still considering past data. It strikes a balance between responsiveness to recent changes and incorporating historical patterns.

This technique is suitable for situations with moderate variability in demand and a need for adaptability. For example, if a product's demand exhibits a trend or seasonality patterns, exponential smoothing can capture these patterns while also reflecting recent shifts in demand.

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The Investment Trust Fund for Watson County had the following transactions and events during the calendar year 2022: 1. The cities of Turtle Creek and Pineview contributed $60,000 and $40,000 respectively, to an Investment Trust Fund operated by Watson County. 2. Investments totaling $75,000 were purchased. 3. Interest income from the investments during the year totaled $8,000. 4. The fund paid $1,500 to the county for investment management fees. 5. The investments increased in value by $3,000 6 . Total income of $10,000 was paid to the two cities. Using the above information, prepare a statement of changes in fiduciary fund net position and a statement of fiduciary fund net position for Watson County for its fiscal year ending December 31, 2022. (Assume that Watson County's net position at the beginning of the year was zero Enter investment earnings in order of magnitude (largest to smallest dollar amounts).

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The given information, the statement of changes in fiduciary fund net position and the statement of fiduciary fund net position for Watson County for the fiscal year ending December 31, 2022 can be prepared.

The transactions and events include contributions from Turtle Creek and Pineview cities, purchases and interest income from investments, payment of investment management fees, increase in investment value, and income distribution to the cities.

To prepare the statement of changes in fiduciary fund net position, the beginning net position is assumed to be zero. The statement will include the contributions from Turtle Creek and Pineview cities, investment purchases, interest income, investment management fees, increase in investment value, and income distribution to the cities. These amounts will be summed up to calculate the net change in fiduciary fund net position.

The statement of fiduciary fund net position will include the beginning net position, contributions from the cities, investment purchases, interest income, investment management fees, increase in investment value, and the net change in fiduciary fund net position. The ending net position will be calculated by adding the beginning net position and the net change in fiduciary fund net position.

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A is a phenomenon in which the form of return, contrary to the
efficient market hypothesis, continues to appear.
What is A?

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A is a phenomenon that contradicts the efficient market hypothesis and refers to the persistence of abnormal or excess returns in the financial markets.

The phenomenon described as A is commonly known as an "anomaly" in finance. Anomalies are observed patterns or deviations from the efficient market hypothesis (EMH), which suggests that financial markets are efficient and all relevant information is already incorporated into asset prices. Anomalies indicate situations where certain assets or investment strategies consistently generate abnormal returns that cannot be explained by the EMH.

Anomalies can take various forms, such as the size effect, value effect, momentum effect, or calendar effect. For example, the size effect refers to the observation that smaller companies tend to outperform larger ones over the long term, contrary to the EMH. Similarly, the value effect suggests that undervalued stocks tend to outperform overvalued stocks, again contradicting the EMH.

These anomalies challenge the notion of market efficiency and provide opportunities for investors to generate excess returns by exploiting these patterns. Researchers and practitioners have extensively studied these anomalies to develop investment strategies that take advantage of the persistent abnormal returns observed in the financial markets.

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Attached Files: (1.194 MB) Refusing a Request. - Editors of the monthly publication National Business have asked you, a consultant with Brandwise Solutions, to write a brief case study article for their magaine. In particular they are interested in your response to the rebranding of Goliath Groceries, Canada's fourth-largest supermarket chain, which commands a 14 per cent market share. Goliath has recently merged its distribution network, switched over to large-format stores, and repositioned itself as a whole foods and express foods retailer in order to gain a market niche distinct from recently arrived US rivals such as Stars and Stripes of Arkansas. - Although you would like to offer your opinions on the subject, you fear a possible conflict of interest because your consulting firm advised on the branding and redesign of Goliath's low-price chain, Save-a-Buck. You are also scheduled to leave this evening for a three-month overseas consulting job. W Write to the editors declining their request but leaving the door open for future writing opportunities.

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Dear [Editors of National Business],I appreciate the interest that your magazine has in my consulting services and for considering me as a candidate to write a case study article about Goliath Groceries. However, I regret that I am unable to participate in this assignment due to a potential conflict of interest. Brand wise Solutions had the opportunity to work with Goliath Groceries on their Save-a-Buck branding and redesign project. Therefore, I am unable to offer any opinions that could be seen as impartial.

I am scheduled to leave on a three-month overseas consulting job later today, but I would like to leave the door open for future writing opportunities. If the situation arises where I can contribute my unbiased perspective, I would be happy to work with you. Please accept my apologies for any inconvenience this may cause. I wish you and the magazine all the best in the future. Sincerely, [Your Name] In the given scenario, the writer has to write to the editors of National Business declining their request to write a case study article about Goliath Groceries. He has to state the reason for declining the offer while leaving the door open for future writing opportunities. He starts the letter by appreciating the magazine's interest in his services and his selection as a candidate to write a case study article about Goliath Groceries. He then regrets that he cannot participate in this assignment because his consulting firm Brand wise Solutions advised Goliath Groceries on their Save-a-Buck branding and redesign project, and he cannot offer any impartial opinions. Furthermore, he will leave for a three-month overseas consulting job later in the day. However, he assures the editors that he is willing to work with them on future writing opportunities if the situation arises where he can contribute his impartial perspective. Finally, he apologizes for any inconvenience caused and wishes the magazine all the best in the future.

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the main benefits of inward fdi for a host country arise from:

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The main benefits of inward FDI for a host country arise from increased capital inflows, technology transfer, job creation, and economic growth.

Foreign Direct Investment (FDI) can bring several advantages to the host country. Firstly, it leads to increased capital inflows, which can contribute to the development of infrastructure, industries, and businesses. This infusion of capital can stimulate economic growth and create new opportunities for domestic companies.

Secondly, inward FDI facilitates technology transfer. Multinational corporations often bring advanced technologies, expertise, and knowledge to the host country, which can enhance local industries' productivity and competitiveness. This transfer of technology can lead to innovation and the development of new industries.

Thirdly, FDI is known to generate employment opportunities in the host country. When foreign companies invest and establish operations, they create jobs for the local workforce.

This can help reduce unemployment rates, improve living standards, and enhance the overall economic well-being of the host country.

Lastly, the presence of foreign investors and businesses can foster a favorable investment climate and attract more foreign investment. This can lead to a virtuous cycle of increased FDI, economic development, and improved international competitiveness.

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What are the main benefits that a host country can derive from inward Foreign Direct Investment (FDI)?

It's a good idea to take extra copies of your résumé with you to an interview, as well as a list of questions to ask and any past correspondence about the position. True False

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True, it's always a good idea to take extra copies of your résumé, a list of questions to ask, and any past correspondence related to the position with you to an interview.

This shows that you are prepared and organized, and it can also help you to answer any unexpected questions during the interview. Additionally, if there are multiple interviewers or you are meeting with different people throughout the day, having extra copies of your résumé can ensure that everyone has access to your information.

Firstly, it shows that you are prepared and organized. This can make a positive impression on the interviewer, as it shows that you take the interview seriously and have put effort into preparing for it. It also demonstrates that you value the opportunity to interview for the position and are interested in the company and the role.

Secondly, having extra copies of your résumé can be helpful if there are multiple interviewers or if you are meeting with different people throughout the day. This ensures that everyone has access to your information and can refer to it during the interview, which can help to reinforce your strengths and qualifications for the position.

Thirdly, bringing a list of questions to ask during the interview can demonstrate your interest in the role and the company. This gives you the opportunity to learn more about the position, the company culture, and the expectations for the role, which can help you to determine whether the position is a good fit for you.

Finally, bringing any past correspondence related to the position (such as emails or letters) can be helpful for reference during the interview. This can help you to recall important details about the position or the company and ensure that you are able to answer any unexpected questions that may arise during the interview.

Overall, bringing extra copies of your résumé, a list of questions to ask, and any past correspondence related to the position with you to an interview can demonstrate your professionalism, preparedness, and interest in the role and the company.

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the marginal cost curve intersects the average total cost curve

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The intersection of the marginal cost curve and the average total cost curve represents the minimum efficient scale or the optimal production level.

When the marginal cost curve intersects the average total cost curve, it indicates the level of output at which the average cost is at its lowest point. This intersection signifies an efficient production level where the additional cost of producing one more unit is equal to the average cost of all units produced. It represents the minimum point on the average total cost curve, indicating the optimal scale of production for cost efficiency. In the short run, this intersection helps businesses determine the most efficient level of output based on their production costs and resource utilization.

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Which of the following statements is INCORRECT about real options? A real-options valuation will sometimes reveal that it's better to invest in a single large plant than a series of smaller plants. Real-options analysis sometimes tells firms to make negative-NPV investments to secure future growth opportunities. O Option value consists of intrinsic value and time premium value. The time premium value is higher if the option maturity is longer. O Options are more attractive when the uncertainty is low and the immediate project cash flow is low.

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The incorrect statement about real options is that "Options are more attractive when the uncertainty is low and the immediate project cash flow is low."

Real options refer to the valuation and analysis of investment opportunities that possess flexibility or embedded options. They allow firms to make strategic decisions by considering the value of the options associated with an investment. The first statement, which states that a real-options valuation may sometimes favor a single large plant over a series of smaller plants, is correct. Real-options analysis takes into account the potential flexibility to expand or delay investment decisions, which could make a single large plant more beneficial in certain cases.

The second statement, which indicates that real-options analysis can lead firms to make negative-net present value (NPV) investments to secure future growth opportunities, is also correct. Real options recognize that the value of future growth opportunities may outweigh the negative NPV of an initial investment, as these options can generate substantial value in the long run.

The third statement is incorrect. Option value comprises intrinsic value and time premium value, but the time premium value is not necessarily higher for longer option maturities. The time premium value depends on various factors, such as volatility, interest rates, and the underlying asset's characteristics. In general, longer maturities can increase the time premium value, but this relationship is not absolute. Other factors, such as the expected volatility of the underlying asset, can also influence the time premium value.

Lastly, the fourth statement is correct. Options are generally more attractive when the uncertainty is high and the immediate project cash flow is low. The rationale behind this is that options provide the flexibility to adapt to changing market conditions and capture potential value in uncertain environments. When uncertainty is low and immediate cash flow is high, the need for flexibility and options becomes less crucial, and other investment evaluation techniques may be more appropriate.

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When organization development consultants observe the communication patterns and methods of cooperation and conflict resolution in an organization, they are using the intervention technique called technostructural activities. team building. process consultation. diagnostic activities. third-party peacemaking.

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Technostructural activities, team building, process consultation, diagnostic activities, and third-party peacemaking are intervention techniques used by organizational development consultants.

When observing the communication patterns and methods of cooperation and conflict resolution in an organization, the intervention technique used by organizational development consultants is diagnostic activities. Diagnostic activities Diagnostic activities is an intervention technique where organizational development consultants observe communication patterns.

And methods of cooperation and conflict resolution in an organization to diagnose its problems and help develop solutions to improve the organization's functioning. It is the most commonly used intervention technique of the organizational development consultants. Diagnostic activities include surveys, questionnaires, interviews, focus groups, and other forms of data gathering.

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Since the Hackman and Oldham model was developed in the 1970s, jobs have changed in what way?
a) increased in turnover and job satisfaction
b) increased in autonomy and skill variety
c) decreased in motivation and satisfaction
d) decreased in task identify and responsibility

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Since the Hackman and Oldham model was developed in the 1970s, jobs have changed in the way that (b) they have increased in autonomy and skill variety.

The Hackman and Oldham model, also known as the Job Characteristics Theory, focuses on the relationship between job design and employee motivation. It suggests that certain job characteristics, such as autonomy and skill variety, can enhance motivation and job satisfaction.

In the years since the model was developed, there has been a notable shift in job design and the nature of work. With advancements in technology and changes in organizational structures, many jobs now offer greater autonomy and increased skill variety. Autonomy refers to the level of independence and decision-making authority an individual has in performing their job, while skill variety refers to the range of different tasks and skills required.

Organizations have recognized the benefits of empowering employees and providing them with more opportunities to use and develop their skills. This shift towards greater autonomy and skill variety aims to increase employee engagement, job satisfaction, and overall motivation.

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b) Based on the insurance market, explain the difference between the 'adverse selection' and 'moral hazard'

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Based on the insurance market, the main difference between adverse selection and moral hazard is that in the former the insurer is unable to get insights in the client's potential of claims and moral hazard means to have a riskier behavior.

The difference between the two:

Adverse Selection: Adverse selection occurs when the insurer is unable to differentiate between people who have a higher probability of claiming on their policies and those who do not. This leads to people who are more prone to claiming insurance to apply for coverage. Due to this, the insurer is at a disadvantage and cannot charge higher premiums to those at higher risk. Adverse selection leads to a more considerable number of claims, and the company has to pay out more to settle these claims.

Moral Hazard: Moral hazard refers to the possibility that an insurance policyholder will engage in riskier behavior, knowing that the insurer will cover the costs of any damages. It occurs when the policyholder takes greater risks or acts negligently because they know they are insured. The more risk a policyholder takes, the higher the likelihood of filing a claim and the more the insurance company pays out.

Therefore, the insurer cannot differentiate between a policyholder that takes a high risk and one that does not.

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what is open economy? And in which countries open economy is possible? don't copy from internet explain in you words.|

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An open economy refers to an economic system that allows the free flow of goods, services, capital, and information across national borders.

In an open economy, countries engage in international trade and interact with other nations in terms of investments, financial transactions, and exchange of ideas. It is characterized by the absence of significant trade barriers such as tariffs, quotas, and restrictions on capital flows.

In an open economy, countries actively participate in the global marketplace, allowing domestic industries to compete with foreign producers and consumers to access a wide range of imported goods and services. This promotes economic growth, innovation, specialization, and efficiency through the exploitation of comparative advantages.

Open economies are possible in countries that adopt liberal trade and investment policies, promote market competition, encourage foreign direct investment, and foster a conducive business environment. Many developed countries, such as the United States, Canada, Germany, Japan, and the United Kingdom, have open economies. Additionally, several emerging economies, including China, India, Brazil, and South Korea, have gradually embraced open economic policies to stimulate growth and development.

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