Answer:
False
Explanation:
Skilles = the ability to do something well; expertise.
Results for this submission At least one of the answers above is NOT correct. (1 point) The rates of on-time flights for commercial jets are continuously tracked by the U.S. Department of Transportation. Recently, Southwest Air had the best rate with 80% of its flights arriving on time. A test is conducted by randomly selecting 10 Southwest flights and observing whether they arrive on time. (a) Find the probability that at least 3 flights arrive on time. (b) Would it be unusual for Southwest to have 2 flights arrive late? (Enter YES or NO)
a. The probability that at least 3 flights arrive on time can be calculated by finding the complement of the probability that less than 3 flights arrive on time.
b. Whether it would be unusual for Southwest to have 2 flights arrive late depends on the context and the specific criteria used to define "unusual."
a. To find the probability that at least 3 flights arrive on time, we can calculate the complement of the probability that less than 3 flights arrive on time. Let's use the binomial probability formula to calculate the probability of each scenario and then subtract it from 1. The formula is P(X ≥ k) = 1 - P(X < k), where X follows a binomial distribution. In this case, X represents the number of flights that arrive on time, and k is 3. We need to calculate the probability for 3, 2, 1, and 0 flights arriving on time and sum them up. The final result will give us the probability that at least 3 flights arrive on time.
b. To determine whether it would be unusual for Southwest to have 2 flights arrive late, we need to compare this occurrence with the overall rate of on-time flights. Southwest Air has an 80% on-time arrival rate, which means that, on average, 80 out of 100 flights arrive on time. However, to evaluate the unusualness of 2 flights arriving late, we need additional information such as the standard deviation or a specific threshold for defining what is considered unusual. Without such information, it is challenging to determine whether 2 flights arriving late is statistically significant or deviates significantly from the expected performance. Therefore, a conclusive answer regarding the unusualness of 2 flights arriving late cannot be provided without further context.
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What is a public good?
A A public good is a product or service that one consumer can prevent another consumer from using, and is not accessible without
payment
B A public good is a product or service that one consumer cannot present another consumer from using, and is accessible without
payment
C A public good is a product or service that one consumer cannot prevent another consumer from using, and is not accessible without
payment
D A public good is a product or service that one consumer can prevent another consumer from using, and is accessible without payment.
I believe your answer is B
A public good is a product or service that one consumer cannot present another consumer from using, and is accessible without payment
Which of the following accounts would normally have a credit balance and appear in the balance sheet?
A. Dividends.
B. Salary expense.
C. Revenue.
D. Uneamed revenue.
E. Accounts receivable.
The account that contains a normal credit balance & the same appears in the balance sheet is unearned revenue.
The following information is relevant:
The dividend contains the normal debit balance and the same is to be shown under the stockholder equity statement.The salary expense is to be shown under the income statement and contains a normal debit balance.The revenue is to be shown under the income statement & contains a normal credit balance.Unearned revenue is a liability account and contains a normal credit balance. Also, it is to be shown under the balance sheet.The account receivable is an asset account & it contains a normal debit balance. Also, it is to be shown under the balance sheet.Therefore we can conclude that the account that contains a normal credit balance & the same appears in the balance sheet is unearned revenue.
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4 differences between private and public enterprises
Answer:
Private enterprise refers to the enterprise owned, managed and controlled by private persons.
Public enterprise refers to the enterprise owned, manage and controlled by government.
Private enterprise main motive is earning profit.
Public enterprise main motive is to render service to general public.
Private enterprise involves no rules and regulations.
Public enterprise involves lot of rules and regulations.
Private enterprise involves funds from individuals.
Public enterprise involves funds from government.
Explanation:
Create A DFD Please
Data Flow Models (DFD) (how data will flow through the processes)
▪ One Data Flow Diagram and explanation for the flow of data in the process of
receiving service events, evaluating, and collecting information about the event
(top level)
A Data Flow Diagram (DFD) is a visual representation of the data flow through business procedures. DFD modeling employs a hierarchal technique, which breaks down a system into its most basic components. It helps to demonstrate how data flows across the system and among various parties.
Given below is the context level Data Flow Diagram (DFD) that demonstrates the flow of data in the process of receiving service events, evaluating, and collecting information about the event. The flow of data in the process of receiving service events, evaluating, and collecting information about the event is presented in the context level DFD, also known as a Level 0 DFD. The process begins with the initiation of an incident report, which is completed by the employee and sent to the supervisor for review.
The supervisor reviews the incident report and either forwards it to a specialist or marks it as resolved and forwards it to the records management department if no additional information is needed. Specialists analyze the incident report and provide additional information to the supervisor, who forwards it to the records management department. The records management department stores the incident report and generates a report for further analysis and decision-making.
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Which statement is true about packaging materials? A. Metals are reactive. B. Metals are the cheapest form of packaging material. C. Glass containers protect materials from direct light. D. Plastics are biodegradable.
Answer:
c
Explanation:
glass containers protect materials from direct light, cause the light pass through glass before reflecting in the glass so that is to say the light is not directly on the materials
What happens when the value of all u.s. imports is greater than the value of all u.s. exports?
When the value of all U.S. imports is greater than the value of all U.S. exports, it results in a trade deficit or a negative trade balance.
This means that the United States is importing more goods and services from foreign countries than it is exporting to them, resulting in a net outflow of money from the U.S. economy to foreign economies.
There are several potential implications of a trade deficit for the U.S. economy:
Current account deficit: A trade deficit contributes to a current account deficit, which is a measure of a country's net transactions with the rest of the world.
Foreign debt: To finance a trade deficit, the U.S. may need to borrow money from foreign countries, resulting in an increase in foreign debt.
Impact on domestic industries: A trade deficit may indicate that domestic industries are facing competition from foreign imports, which can lead to job losses and reduced competitiveness for U.S. industries.
Exchange rate effects: A persistent trade deficit can put pressure on the value of the U.S. dollar in foreign exchange markets. If the demand for U.S. dollars decreases due to the trade deficit, it can lead to a depreciation of the U.S. dollar relative to other currencies.
Economic and policy considerations: A trade deficit may prompt policymakers to consider various measures to address the imbalance, such as imposing tariffs or other trade barriers, negotiating trade agreements, or implementing domestic policies to promote export-oriented industries.
It's worth noting that trade deficits are complex economic phenomena with various causes and effects, and economists hold differing views on their implications. Some argue that trade deficits are not necessarily harmful and can be offset by other economic factors, while others raise concerns about their impact on long-term economic health.
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What is it called when managers look at the size of the variances between actual results and budgeted amounts in order to determine which variances should be investigated
Week 4 Assignment: Positioning Statement and
Motto
Use the provided information, as well as your own research, to
assess one of the stated brands (Ferrari, NutriSystem, The
Children’s Place Clothing
A positioning statement is a brief sentence that summarizes the unique selling proposition of a brand or product. It identifies how a brand is positioned in the market and how it differentiates from competitors.
A motto, on the other hand, is a brief phrase that reflects the brand’s values and personality. The given brands are Ferrari, NutriSystem, and The Children’s Place Clothing.
Ferrari is known for its luxury sports cars, and its positioning statement could be “For those who want to experience unparalleled luxury and speed.”
This statement emphasizes the exclusivity and prestige of the brand and attracts consumers who are looking for a high-performance vehicle.
NutriSystem is a weight-loss program, and its positioning statement could be “Transforming lives, one meal at a time.” This statement reflects the brand’s commitment to helping people achieve their weight loss goals through healthy eating habits.
The Children’s Place Clothing is a clothing store for kids, and its motto could be “Big Fashion, Little Prices.” This motto highlights the affordability of the brand’s products and appeals to parents who are looking for stylish and inexpensive clothing for their children.
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Megan is already looking ahead to graduation and a job, and she wants to buy a new car not long after her graduation. If after graduation she begins an investment program of $2,300 per year in an investment yielding 6 percent, what will be the value of the fund after three years? (Hint: Use Appendix A.3 (Links to an external site.) or the Garman/Forgue companion website.) Round Future value of Series of Equal Amounts in intermediate calculations to four decimal places. NO cents! DOLLARS ONLY
Answer:
$ 7,322
Explanation:
$2300 per year is an annuity investment. The formula for future annuity value is as below
FV = A × (1 + r)^n - 1 / r
Where A = amount invested periodically
r = interest rate, 6% or 0.06
n = 3 years
Fv = $2300 x{ (1 +0.6)^3 -1} /0.06
Fv = $2300 x (1.191016-1) /0.06
Fv = $2300 x ( 0.191016/0.06)
Fv = $2300 x 3.1836
Fv= $ 7,322.28
Fv= $ 7,322
The following data pertains to AAA division of JJJ Company.
Selling price per unit: $12
Variable cost per unit: $8
Total fixed costs: $100,000
Total investment of AAA division: $400,000
How many units should AAA division sell to earn a return on investment of 10%?
a. 25,000
b. 30,000
c. 35,000
d. 40,000
e. 45,000
25,000 units are required by AAA division to sell to earn a return on investment of 10%, The correct option is option a.
To calculate the number of units AAA division should sell to earn a return on investment of 10%, we will use the following formula:
Break-Even Point (BEP) in units = Total fixed costs / (Price - Variable cost)
Let's put the values in the formula;
Total fixed costs = $100,000
Price = $12
Variable cost = $8
Price - Variable cost = $12 - $8 = $4
BEP = $100,000 / $4 = 25,000 units
Total investment of AAA division is $400,000 and the target return on investment is 10%.
Therefore, the required return on investment is 10/100 × $400,000 = $40,000
The break-even point in units is 25,000.
This means that to earn a return on investment of $40,000, AAA division needs to sell 25,000 units.
Let us do a quick check:
Profit = (Price - Variable cost) x Quantity - Total fixed costs
Profit = ($12 - $8) x 25,000 - $100,000
Profit = $4 x 25,000 - $100,000
Profit = $100,000
As we can see, the profit of $100,000 is equal to the required return on investment. Therefore, the correct answer is option A: 25,000.
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The societal marketing concept ________. - crafts messages to consumers that get them to buy products that do not meet their needs - endeavors to satisfy the needs and wants of the target market in ways that preserve and enhance the well-being of consumers and society as a whole - fills the marketplace with products that can be produced and sold cheaply - maximizes consumers' short-term values - fulfills the needs of target consumer markets more effectively than competitors
The societal marketing concept endeavors to satisfy the needs and wants of the target market in ways that preserve and enhance the well-being of consumers and society as a whole.
It involves creating products and services that meet the needs of consumers while also taking into account the impact of these products on society and the environment.This approach goes beyond simply meeting consumer needs and seeks to address broader societal concerns, such as environmental sustainability, social responsibility, and ethical considerations. It recognizes that businesses have a responsibility to use their resources in a way that benefits society as a whole, not just their own profits.Therefore, the correct answer is: "endeavors to satisfy the needs and wants of the target market in ways that preserve and enhance the well-being of consumers and society as a whole".
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A family eats at a restaurant. The bill is $42. The family leaves a tip and spends $49. 77 total. How much money does the family tip?.
If the bill was $42 and that family leaves a tip and spends $49.77 total. So, the family leaves a tip $7.77. The amount of the tip in dollars is calculated as:
= $49.77 - $42
= $7.77
Money can be described as a commodity that accepted by general consent that as a medium of economic exchange. A medium of economic exchange is the medium which values and prices are expressed.
Tip can be described as the particular sum of money that some people given to another people who offer services in hospitality. Tip is also a form of appreciation that some people give for their good services. Tips have the formal and fancier word or name that is gratuity. Word gratuity expensive variety because that word makes feels formality that suited for describing tips of the dignified. For example, gratuity used for the services in place restaurant's maître d'.
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Option 1: 1,811 square feet, 2-3 bedroom, 2 bath house that arrives in 4 modules. It includes the upgraded PEX piping and fiber cement siding that Xavier saw on the tour. The price for Option 1 would be $180 per square foot.
Option 2: 2,600 square feet, 3-4 bedroom, 3 bath house that arrives in 5 modules. It also includes the upgraded PEX piping and fiber cement siding. The price for Option 2 is $195 per square foot.
Sabrina also explains that Xavier must have certain things ready ahead of time, such as electric, sewer, and water systems, as well as a foundation in place. She gives him the name of a transport company that would oversee bringing Xavier’s modules to his house site. On your math sheet, complete the following problems that will help Xavier choose from the two options Sabrina has presented him:
Math Problem 3: Calculate the total price for Option 1
Use this formula to help you solve the problem:
Total Square Feet × Number of Square Foot=Total Price
Math Problem 4: Calculate the total price for Option 2
Use this formula to help you solve the problem:
Total Square Feet × Number of Square Foot=Total Price
Xavier contacts the transport company and is put in touch with one of the drivers, Kevin. Because the modules need to be connected quickly once they reach his build site, Xavier wants to know if he can have them all delivered on the same day. Kevin says that this would be possible using one truck per module. The fee for transporting each module is 20 cents per truck per mile, plus the cost of fuel. The factory is 350 miles from Xavier’s build site, and Kevin estimates that each truck will need $500 worth of gas.
On your math sheet, complete the following problem to help Xavier find out how much he will spend on transportation costs:
Math Problem 5: Calculate Xavier’s transportation cost to have the modules delivered on the same day
Use this formula to calculate Xavier’s cost:
[(.20 × miles)+500]× number of modules
Part 2: Job Board
Xavier is excited but knows this is a huge project. Help Xavier stay organized by creating a job board for him. A job board is like a bulletin board that holds important information about a big project. This way, he can see the important aspects of his job, along with his costs. To do this, you will be taking the answers to the math questions above and creating items that Xavier can hang on his job board to remind him of the choices he should make in this project. You may select to create your job board in poster form or digitally in a word processing document. Either way, the job board should include the following pieces of content:
A rough drawing of Xavier’s lot that includes the lot measurements provided above.
Make sure that you include the total area of the lot that you calculated in Math Problem 1 somewhere on this drawing.
A sketch of the prefabricated house option that you suggest Xavier purchases (either Option 1 or Option 2).
Make sure that you include his final price that you calculated in Math Problem 3 or 4.
Also, be sure to label the upgraded technology that was included in the option you chose so that Xavier can point it out to his building inspector when the time comes.
A graphic representation (photo, clip art, etc.) of a truck with the final transportation cost on it (this is the answer to Math Problem 5).
If the price is $180 per square foot, the price of the lot will be $3,240,000
How to find the price of the lotTo calculate Xavier cost, we need to first calculate the area of the lot (trapezium)
Area of the trapzium = 1/2(a+b)h
h is the height of the trapezium
a and b are the sides
Area of the trapezium = 1/2(175+185)*100
Area of the trapezium = 1/2(360)*100
Area of the trapezium = 18000 square foot.
If the price is $180 per square foot, the price of the lot will be 18000 * 180 = $3,240,000
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if the cross-price elasticity of demand between beer and pizza is -0.31, then beer and pizza are
If the cross-price elasticity of demand between beer and pizza is -0.31, then beer and pizza are complementary goods.
This is because a negative cross-price elasticity indicates that as the price of one good increases, the demand for the other good decreases, and vice versa. This means that an increase in the price of pizza will lead to a decrease in the demand for beer, and vice versa. The negative value of the cross-price elasticity of demand indicates that the two goods are inversely related, and the absolute value of the elasticity coefficient (0.31) suggests that the relationship is moderately elastic.
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the development of a common market changes the way goods and services are traded within that market. which of the following are examples of such changes?
The development of a common market can bring about several changes in the way goods and services are traded within that market.
Some examples of these changes include:
1. Removal of Trade Barriers: The establishment of a common market often involves the removal of trade barriers, such as tariffs, quotas, and restrictions on the movement of goods and services. This allows for freer trade within the market and promotes the flow of goods and services across borders.
2. Harmonization of Regulations: In a common market, there is often an effort to harmonize regulations and standards related to goods and services. This helps to eliminate barriers to trade caused by varying regulations in different countries, making it easier for businesses to operate and trade within the market.
3. Free Movement of Labor: A common market may also facilitate the free movement of labor. This means that workers can move more easily between countries within the market to seek employment opportunities, which can have implications for the provision of services and the availability of skilled labor.
4. Common Currency: In some cases, a common market may adopt a common currency, which simplifies and streamlines financial transactions within the market. It eliminates the need for currency exchange and reduces transaction costs, making trade and commerce more efficient.
5. Increased Market Size and Access: The creation of a common market expands the market size and provides businesses with access to a larger consumer base. This can lead to increased trade volumes and opportunities for businesses to expand their operations and reach new customers.
These examples highlight some of the changes that can occur when a common market is established, promoting greater integration and facilitating trade within the market.
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You've collected the following information about caccamisse, incorporated: sales $ 255,000 net income $ 19,200 dividends $ 7,500 total debt $ 67,000 total equity $ 77,000 a. what is the sustainable growth rate for the company
The sustainable growth rate for the company can be calculated by dividing the net income by the total equity.
In this case, the sustainable growth rate of Caccamisse, Inc. would be 19,200/77,000 = 0.2485 or 24.85%. This means that the company can sustain a growth rate of 24.85% without needing to increase its debt or equity levels.
The highest rate of growth that a business or social enterprise may sustain without using more equity or debt to fund expansion is known as the sustainable growth rate (SGR). In other words, it is the rate at which the business may expand without borrowing money from other sources by using only its own internal earnings.
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Which economic indicator is most directly linked to cost of living?
The Consumer Price Index is the economic metric most closely associated with the cost of living for the ordinary person.
What is the Consumer Price Index?
The Consumer Price Index (CPI) is a statistical tool used to estimate the rate of inflation in the economy. It accomplishes this by keeping track of the costs of a variety of goods and services over a number of years to determine how those costs have changed over that time. Given that a person's cost of living is essentially the price at which they can purchase their needs and wants, the Consumer Price Index is the greatest economic indicator for displaying the cost of living of the ordinary person. These costs are displayed in the Consumer Price Index.
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Dillman Food Store developed the following information in recording its bank statement for the month of March. Balance per books March 31 $ 2,905 Balance per bank statement March 31 $10,900 1. Checks written in March but still outstanding $6,000. 2. Checks written in February but still outstanding $2,800. 3. Deposits of March 30 and 31 not yet recorded by bank $5,200. 4. NSF check of customer returned by bank $1,200. 5. Check No. 210 for $594 was correctly issued and paid by bank but incorrectly entered in the cash payments journal as payment on account for $549. 6. Bank service charge for March was $50. 7. A payment on account was incorrectly entered in the cash payments journal and posted to the accounts payable subsidiary ledger for $824 when Check No. 318 was correctly prepared for $284. The check cleared the bank in March. 8. The bank collected a note receivable for the company for $5,000 plus $150 interest revenue. Required: Prepare the bank reconciliation. DILLMAN FOOD STORE Bank Reconciliation March 31
The bank reconciliation for Dillman Food Store reveals an adjusted book balance of $8,105 and an adjusted bank balance of $1,900. There is a difference of $6,665, which can be attributed to outstanding checks, deposits in transit, an NSF check, bank service charge, etc.
The bank reconciliation process begins by comparing the balance per books and the balance per bank statement. In this case, the balance per books is $2,905, and the balance per bank statement is $10,900. The next step is to identify and adjust for any discrepancies.
Deposits in transit: These are deposits made by the company but not yet recorded by the bank. In this case, there are deposits of $5,200 made on March 30 and 31 that have not yet been recorded by the bank. Adding this amount to the balance per books, the adjusted book balance becomes $8,105.
Outstanding checks: These are checks written by the company but have not yet cleared the bank. In March, there are outstanding checks totaling $6,000 and additional checks from February totaling $2,800. Subtracting these amounts from the balance per bank statement, the adjusted bank balance becomes $1,900.
NSF check: This refers to a check that was returned by the bank due to insufficient funds. In this case, an NSF check of $1,200 was returned. Subtracting this amount from the adjusted bank balance, we arrive at $1,900.
Other adjustments include a bank service charge of $50, an incorrectly entered payment of $540 ([$824 - $284]), and an incorrectly entered check of $45 ([$594 - $549]). Finally, there is a note receivable collection of $5,150 ([$5,000 + $150]), which is added to the adjusted book balance. After making these adjustments, the corrected balances are $13,720 for the adjusted book balance and $7,055 for the adjusted bank balance. The difference between the two balances, $6,665, has been reconciled by accounting for the various factors mentioned above.
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The ___________________Party believes in individual freedom and that the only purpose of government is to protect this freedom.
Group of answer choices
Democratic
Socialist
Libertarian
Communist
Write a brief PESTLE Analysis for the Text Book Industry.
The PESTLE analysis for the textbook industry reveals a complex set of factors affecting its operations. Political, economic, sociocultural, technological, legal, and environmental factors impact the industry's growth, adaptation to digital transformation, changes in consumer behavior, government regulations, and sustainability practices.
The textbook industry is influenced by various external factors, and conducting a PESTLE analysis helps identify and understand these factors. On the political front, government policies and regulations can significantly impact the industry. For instance, changes in education policies may lead to shifts in curriculum requirements, affecting the demand for textbooks. Economic factors such as inflation, exchange rates, and income levels also play a crucial role. Economic downturns can lead to reduced consumer spending, potentially impacting textbook sales.
The sociocultural aspect is essential to consider as well. Changing attitudes towards education, preferences for digital learning materials, and increasing awareness of environmental issues can all shape the demand for textbooks. Technological advancements have transformed the industry, with digital platforms and e-books gaining popularity. This shift requires textbook publishers to adapt their business models and invest in digital content and platforms.
Legal factors, including copyright laws and intellectual property protection, are critical considerations for the industry. Publishers need to ensure compliance and protect their content from unauthorized distribution. Environmental concerns are becoming increasingly important, leading to a growing emphasis on sustainable practices and eco-friendly materials within the textbook industry.
In conclusion, the textbook industry operates within a dynamic external environment shaped by political, economic, sociocultural, technological, legal, and environmental factors. Understanding and responding to these factors are essential for industry players to remain competitive and meet the evolving needs of students and educators.
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how does throwaway culture impact the environment
Answer: It has impacted the environment in a negative way.
Explanation: This type of culture has negatively impacted the environment since nowadays a series of objects are created with various natural resources in order for people to use them but get rid of them once and for all. This is bad for the planet as several of these objects take time to break down and end up becoming harmful to the environment.
1. In 4-5 sentences, summarize the conception, hurdles, and
implementation of the Central Valley
Project.
2. Did companies or individual farmers end up receiving the CVP
water? How did they get around
1. The Central Valley Project (CVP) is a large-scale water management system in California, conceived in the early 20th century to address the water needs of the agricultural sector and urban areas.
The project faced various hurdles, including securing funding, acquiring land and water rights, and addressing environmental concerns. It was implemented through the construction of dams, reservoirs, canals, and pumping stations to store and distribute water across the Central Valley.
The CVP transformed the region by providing irrigation water for farming, municipal water supply, flood control, and hydropower generation, but also faced criticism for its impact on ecosystems and wildlife habitats.
2. Both companies and individual farmers ended up receiving CVP water. The water was distributed through contracts with the federal government, allowing water users to purchase or lease water allocations. Companies and farmers had to comply with regulations and obtain water rights to access CVP water.
They also had to pay for the water used based on their water rights or through contractual agreements.
The allocation of CVP water involved balancing the needs of various stakeholders, including agricultural, municipal, and industrial users.
Over time, water allocation and distribution methods have evolved, taking into account factors such as water availability, changing regulations, and environmental considerations.
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grade 10 business studies project
PROJECT 1. Nature and Significance of Management
PROJECT 2 - Principles of Management
PROJECT3 - Business Environment
PROJECT 4 - Planning
PROJECT 5 - Organising
PROJECT 6 - Staffing
PROJECT 7 - Directing
PROJECT 8 - Controlling
PROJECT 9 - Financial Management
PROJECT 10 - Financial Markets
PROJECT 11 - Marketing
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The socially optimal quantity of pollution is:_________.
a. the amount of pollution society would choose if the marginal social cost of pollution were zero.
b. the amount of pollution society would choose if all costs and benefits were fully accounted for. zero.
c. the amount of pollution society would choose if the marginal social benefit of pollution were zero.
Based on standard practices, the socially optimal quantity of pollution is "the quantity whose marginal social cost equals the marginal social benefit."
What is the socially optimal quantity?The socially optimal quantity is the term used to describe output quantity that reveals equilibrium between the costs and benefits of social conditions.
Therefore when the quantity of pollution whose marginal social cost equals the marginal social benefit occurs, this is a socially optimal quantity of pollution.
Hence, in this case, it is concluded that the correct answer is the quantity whose marginal social cost equals the marginal social benefit.
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Watchez Corporation has recently launched a high-end watch. What kind of corporate financial planning must it take into account?
A)ways to curb variable expenses
B)ways to offset the limited economic benefits
C)ways to reduce fixed expenses
D)ways to reduce labor turnover
The best corporate financial planning to be taking into account for the product launch is the ways to curb variable expenses.
What is the reason for curbing of variable expenses?In a manufacturing process, it is known that the variable expenses flunctuates to any level and can lead to high cost of operation if care are not exercise by the firm.
Hence, in order to remain at profitable level, the best financial planning for the product launch is the ways to curb variable expenses.
Therefore, the Option B is correct.
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shannon industries is considering a project which has the following cash flows: year cash flow 0 ??? 1 $2000 2 $3000 3 $3000 4 $1500 the project has a payback period of 2.5 years and the firm's cost of capital is 12 percent. what is the project's net present value (i.e., npv)? question 2 options: $ 577.68 $ 765.91 $1,049.80 $2,761.32 $3,765.91
The project's net present value (NPV) is $1,275.31.
To calculate the net present value (NPV) of the project, we first need to determine the initial cash outflow (cash flow at year 0) that is required for the project. We know that the payback period of the project is 2.5 years, which means that the initial cash outflow occurs sometime before the end of year 2.5. Assuming that the cash flows are evenly distributed over each year, we can calculate the initial cash outflow as follows:
Initial cash outflow = -$2,000 - ($3,000 / 2) = -$3,500
Next, we can calculate the present value of each year's cash flow using the firm's cost of capital of 12 percent:
Year 1: $2,000 / (1 + 0.12)^1 = $1,785.71
Year 2: $3,000 / (1 + 0.12)^2 = $2,227.03
Year 3: $3,000 / (1 + 0.12)^3 = $1,865.23
Year 4: $1,500 / (1 + 0.12)^4 = $897.34
Finally, we can calculate the NPV of the project by summing the present values of each year's cash flow and subtracting the initial cash outflow:
NPV = $1,785.71 + $2,227.03 + $1,865.23 + $897.34 - $3,500 = $1,275.31
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Bill wants to prepare his own taxes but wants a bit more guidance. He wants to file taxes without having to spend much money. What is his BEST option for filing taxes?
A. Prepare his taxes on her own.
B. Prepare his taxes with using an electronic tax program.
C. Hire someone to prepare his taxes.
Answer: B. Prepare his taxes with using an electronic tax program.
Explanation: had this question and got it correct!
Donald Trump wanted to pull us out of the WTO because he thought China was cheating. Would you stay in or leave?
Answer: I hate Trump and would make him eat tortilla chip vertically :/
Explanation:
Rashad is risk averse and has $4,500 with which to make a financial investment. He has three options. Option A is a risk-free government bond that pays 8 percent interest each year for two years. Option B is a low-risk stock that analysts expect to be worth about $5,248.80 in two years. Option C is a high-risk stock that is expected to be worth about $6,122.20 in four years. Rashad should choose
A.either A or B because they are the same to him.
B.option A.
C.option C.
D.option B.
Answer:
Option A
Explanation:
Rashald should choose option A because it is low-risk, therefore guaranteeing to have $5,248.80 in two years.
Since Rashad is risk-averse, he should choose B. option A.
The investment in risk-free government bonds offers Rashad the best investment vehicle that meets his risk profile.
A risk-averse investor does not want increased returns to compensate for the higher risk in an investment.
Data and Calculations:
Total investment funds = $4,500
Rashad's risk profile = risk averse
Investment Options:
Option A Option B Option C
risk-free low-risk high-risk
government bond Stock Stock
Interest rate 8%
Investment period 2 years 2 years
Investment balance $5,200 $5,248.80 $6,122.20
Total return on investment $720 ($360 x 2) $748.80 $1,622.20
Thus, the best option for Rashad is Option A.
Read more about investment risk profiles at https://brainly.com/question/19369149 and https://brainly.com/question/18752924