How do investment bankers generate revenues for their firms?
A. They invest their own funds, or the funds of others, in mutual funds and commodities.
B. They earn commissions by managing the investments of insurance companies and mutual
funds.
C. They buy, at a discount, the entire issue of a new security and then sell the issue to investors
at full price.
D. They receive consulting revenues from the advice they offer the Securities and Exchange
Commission

Answers

Answer 1

Option C is the correct answer. Investment bankers generate revenues for their firms by buying the entire issue of new security (such as stocks or bonds) at a discounted price from the issuing company.

They then sell these securities to investors at the full market price, earning the difference as profit. This process, known as underwriting, allows investment bankers to facilitate the issuance of securities and raise capital for companies. They play a crucial role in connecting issuers with investors and providing expertise in pricing, structuring, and marketing securities.

Investment bankers also earn fees for providing advisory services, mergers and acquisitions, and other financial transactions.

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Related Questions

FILL THE BLANK. the export/gdp ratio has generally ___________ worldwide in recent decades.

Answers

The export/GDP ratio has generally increased worldwide in recent decades. This indicates that countries have been increasingly reliant on international trade and have experienced growth.

Over the past few decades, globalization and advancements in technology have facilitated international trade and boosted the interconnectedness of economies. As a result, many countries have witnessed a rise in their export/GDP ratio. This implies that exports, or the value of goods and services sold to foreign markets, have become a more significant component of their overall economic output. A higher export/GDP ratio often indicates economic growth, as it demonstrates a country's ability to compete in global markets and attract demand for its products or services. Additionally, it signifies a diversification of income sources and can contribute to improved living standards and economic stability.

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You have estimated the CAPM for Disney stock (DIS) and obtained the following results under the ANOVA section of Excel regression outputs: ANOVA for DIS Returns df SS Regression 1 0.1604 Residual 58 0.1969 Total 59 0.3573 What is the model fit to the data in the DIS return? Note: Write your answer in decimal (3 or more decimal places). For example, write 0.2544 instead of 25.44%

Answers

To determine the model fit to the data for Disney stock (DIS) returns, we need to calculate the coefficient of determination (R-squared) using the ANOVA results provided.

The coefficient of determination (R-squared) represents the proportion of the total variation in the dependent variable (DIS returns) that is explained by the independent variable (in this case, the CAPM model).

The formula to calculate R-squared is:

R-squared = SS Regression / SS Total

From the ANOVA results given, we can see that:

SS Regression = 0.1604

SS Total = 0.3573

Using these values, we can calculate the R-squared:

R-squared = 0.1604 / 0.3573 = 0.4486

Therefore, the model fit to the data for Disney stock (DIS) returns is 0.4486 or 44.86% (rounded to two decimal places).

Explanation: The coefficient of determination (R-squared) measures the proportion of the total variation in the dependent variable that can be explained by the independent variable(s). In this case, the R-squared value of 0.4486 indicates that approximately 44.86% of the variation in Disney stock returns can be explained by the factors included in the CAPM model. A higher R-squared value suggests a better fit of the model to the data, indicating that a larger portion of the variability in the dependent variable is accounted for by the independent variable(s).

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net marketplaces may either support contractual purchasing based on long-term relationships with designated suppliers or short-term spot purchasing. group of answer choices true false

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True. Net marketplaces may either support contractual purchasing based on long-term relationships with designated suppliers, or short-term spot purchasing.

True. Net marketplaces may support either contractual purchasing based on long-term relationships with designated suppliers or short-term spot purchasing. Contractual purchasing involves setting up agreements with suppliers for a certain period of time, usually to ensure a steady supply of goods at a set price. On the other hand, short-term spot purchasing involves buying goods as needed without any pre-existing agreement. Net marketplaces can provide a platform for both types of purchasing, allowing businesses to easily connect with suppliers and make transactions. These two types of purchasing allow businesses to choose between establishing long-term partnerships with suppliers or making one-time purchases to meet immediate needs.

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the current ratio is calculated by dividing______by_______ .
group of answer choices
a. total liabilities; total assets
b. total assets; total liabilities
c. the current assts; total current liabilities
d. total current liabilities; total current assets

Answers

The current ratio is calculated by dividing total current assets by total current liabilities.

This ratio is a measure of a company's ability to pay off its short-term obligations using its current assets. A current ratio of 1 or higher is generally considered good, indicating that a company has enough current assets to cover its current liabilities. A ratio below 1 may indicate a company's inability to meet its short-term obligations. It is important for companies to monitor their current ratio regularly to ensure they have enough liquidity to sustain their operations.
This means that the correct answer is option C. The current ratio helps determine a company's ability to pay off short-term debts using its short-term assets, such as cash, inventory, and receivables. A higher current ratio typically indicates a stronger liquidity position, which is essential for a company to meet its financial obligations.

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Gene, a real estate licensee, prefers to use electronic documents and signatures because it means he doesn't have to track people down to deliver documents or have them signed. Which of these statements is true?
Brokerage firms can require that clients accept the use of electronic documents and signatures.
Licensees can require clients to accept the use of electronic documents and signatures.
Parties to the contract decide whether or not to accept the use of electronic signatures and documents.
Some states require the use of electronic documents and signatures in real estate transactions.

Answers

The statement that is true is that parties to the contract decide whether or not to accept the use of electronic signatures and documents.

While brokerage firms and licensees may prefer to use electronic documents and signatures for convenience, it is ultimately up to the parties involved in the real estate transaction to decide whether or not they are comfortable with the use of electronic signatures and documents. It is important for all parties to be aware of their state's laws and regulations regarding electronic signatures and documents, as some states do require their use in real estate transactions. However, if a party is uncomfortable with using electronic signatures and documents, they have the right to request traditional paper documents and signatures.

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Of the three primary tools the federal reserve uses to conduct monetary policy, the tool used most often is...
A.) discount policy
B.) acting as the lender of last resort
C.) setting reserve requirements
D.) check clearing
E.) open market operations

Answers

The tool used most often by the Federal Reserve to conduct monetary policy is E) open market operations.

Open market operations involve the buying and selling of government securities, such as Treasury bonds and bills, in the open market. By purchasing government securities, the Federal Reserve injects money into the economy, increasing the money supply. Conversely, selling government securities reduces the money supply. Through open market operations, the Federal Reserve aims to influence short-term interest rates and manage liquidity in the banking system.

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Intro Bill buys a single call option with an exercise price of $40 for $3.06 from Simon. Part 1 Attempt 1/2 for 10 pts. What is Simon's profit if the stock price is $0 on the expiration date of the option? 2+ decimals Submit Part 2 Attempt 1/2 for 10 pts. What is Simon's profit if the stock price is $50 on the expiration date of the option? 1+ decimals Submit Part 3 Attempt 1/2 for 10 pts. What is Simon's profit if the stock price is $100 on the expiration date of the option? 0+ decimals Submit

Answers

If the stock price is $0 on the expiration date, Simon's profit is the premium of $3.06. If the stock price is $50, Simon's profit remains the same at $3.06. However, if the stock price is $100, Simon incurs a loss of approximately -$56.94 after accounting for the premium received.

Part 1:

If the stock price is $0 on the expiration date of the option, the option becomes worthless.

Simon, who sold the option to Bill, would keep the premium of $3.06 that he received from selling the option. Simon's profit in this scenario would be the entire premium amount of $3.06.

Part 2:

If the stock price is $50 on the expiration date of the option, Bill would choose not to exercise the option since the stock price is higher than the exercise price of $40.

In this case, Simon would still keep the premium of $3.06 received from selling the option, and he would not have to deliver any shares to Bill. Therefore, Simon's profit remains the same as in Part 1, which is $3.06.

Part 3:

If the stock price is $100 on the expiration date of the option, Bill would exercise the option since the stock price is higher than the exercise price of $40.

By exercising the option, Bill can buy the shares at $40 and sell them immediately at the market price of $100, resulting in a profit of $60 per share.

However, since Simon sold the option to Bill, he would have to deliver the shares at the exercise price of $40. This means Simon would incur a loss of $60 per share.

However, since Simon received the premium of $3.06 from selling the option, his overall profit would be the premium minus the loss incurred, which is approximately -$56.94 (rounded to two decimal places).

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Utility Curve ia a graph that shows the relationship between the given utility and the corresponding monetary value: True False

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"Utility curve is a graph that shows the relationship between the given utility and the corresponding monetary value" is True. It represents how much satisfaction a person receives from consuming a particular amount of goods or services and the money spent to achieve that level of satisfaction.

Sets of indifference curves, which are utility curves of the function itself and illustrate combinations of goods that a person would accept to maintain a specific degree of satisfaction, can be used to express utility. Individual demand curves can be derived by fusing indifference curves with financial restrictions. Hence from here we can infer that Utility curve is a graph which shows how utility and corresponding monetary value are related to each other.

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On August 1, 20Y7, Rafael Masey established Planet Realty, which completed the following transactions during the month: a. Rafael Masey transferred cash from a personal bank account to an account to be used for the business in exchange for Common Stock, $17,500 b. Purchased supplies on account, $2,300. c. Earned sales commissions, receiving cash, $13,300. d. Paid rent on office and equipment for the month, $3,000. e. Paid creditor on account, $1,150. f. Paid dividends, $1,800. g. Paid automobile expenses (including rental charge) for month, $1,500, and miscellaneous expenses, $400. h. Paid office salaries, $2,800 i. Determined that the cost of supplies used was $1,050. Required: 1. Journalize entries for transactions (a) through (), using the following account titles: Cash, Supplies, Accounts Payable, Common Stock,, Dividends, Sales Commissions, Rent Expense, Office Salaries Expense, Automobile Expense, Supplies Expense, Miscellaneous Expense

Answers

(a) Cash 17,500 Common Stock 17,500

(b) Supplies 2,300 Accounts Payable 2,300

(c) Cash 13,300 Sales Commissions 13,300

(d) Rent Expense 3,000 Cash 3,000

(e) Accounts Payable 1,150 Cash 1,150

(f) Dividends 1,800 Cash 1,800

(g) Automobile Expense 1,500 Miscellaneous Expense 400 Cash 1,900

(h) Office Salaries Expense 2,800 Cash 2,800

(i) Supplies Expense 1,050 Supplies 1,050

(a) Rafael Masey transferred cash to the business in exchange for Common Stock, so we debit Cash for $17,500 and credit Common Stock for the same amount.

(b) The purchase of supplies on account for $2,300 increases the Supplies asset and creates a liability, so we debit Supplies for $2,300 and credit Accounts Payable for the same amount.

(c) The sales commissions earned and received in cash for $13,300 increase the Cash account and are recorded as revenue, so we debit Cash for $13,300 and credit Sales Commissions for the same amount.

(d) The payment of rent for the office and equipment for the month is an expense, so we debit Rent Expense for $3,000 and credit Cash for the same amount.

(e) The payment to a creditor on account reduces the liability, so we debit Accounts Payable for $1,150 and credit Cash for the same amount.

(f) Dividends paid are a distribution of profits, so we debit Dividends for $1,800 and credit Cash for the same amount.

(g) The payment of automobile expenses and miscellaneous expenses are both expenses, so we debit Automobile Expense for $1,500, Miscellaneous Expense for $400, and credit Cash for the total amount of $1,900.

(h) The payment of office salaries is an expense, so we debit Office Salaries Expense for $2,800 and credit Cash for the same amount.

(i) The determination of the cost of supplies used is an adjustment, so we debit Supplies Expense for $1,050 and credit Supplies for the same amount.

The journal entries have been correctly recorded for the given transactions. Proper bookkeeping helps in accurately tracking the financial transactions of a business and maintaining accurate financial records.

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xyz company, a 'for-profit' business, had revenues of $16 million in 2022. expenses other than depreciation totaled 75 percent of revenues. xyz company, must pay taxes at a rate of 40 percent of pretax (operating) income. all revenues were collected in cash during the year, and all expenses other than depreciation were paid in cash. depreciation originally was $2 million; however, now the company has decided to be more conservative in its depreciation of its capital assets. xyz now has $750,000 in depreciation expense instead of $2 million. based on this change in depreciation expense, what would xyz's cash flow be?

Answers

To determine XYZ Company's cash flow based on the change in depreciation expense, we need to calculate the operating income and adjust for the new depreciation amount.

Calculate the Operating Income:

Operating income is calculated by subtracting expenses (other than depreciation) from revenues.

Operating Income = Revenues - Expenses

Operating Income = $16,000,000 - (0.75 * $16,000,000)

Operating Income = $16,000,000 - $12,000,000

Operating Income = $4,000,000

Calculate Taxes:

Taxes are calculated by multiplying the pretax (operating) income by the tax rate.

Taxes = 0.4 * Operating Income

Taxes = 0.4 * $4,000,000

Taxes = $1,600,000

Calculate Cash Flow:

Cash flow is calculated by subtracting taxes and the new depreciation expense from the operating income.

Cash Flow = Operating Income - Taxes - Depreciation Expense

Cash Flow = $4,000,000 - $1,600,000 - $750,000

Cash Flow = $1,650,000

Therefore, based on the change in depreciation expense, XYZ Company's cash flow would be $1,650,000. This represents the net cash generated by the company after considering operating income, taxes, and depreciation expense.

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Which of the following valuation models does not include a company's expected rate of return in its calculation: A. Cash Flow Approach B. Dividend Approach C. Residual Income Approach D. Buffett Valuation Method

Answers

The correct answer is Option B. Dividend Approach.The valuation model that does not include a company's expected rate of return in its calculation is the Dividend Approach.

The Dividend Approach, also known as the Dividend Discount Model (DDM), calculates the value of a company based on the present value of its expected future dividends. It assumes that the value of a company is derived solely from the dividends it generates and pays out to shareholders. The model discounts these future dividends back to the present using a required rate of return or discount rate. However, the model itself does not explicitly include the company's expected rate of return.


While the Dividend Approach is a widely used valuation model, it does not take into account a company's expected rate of return in its calculation. This approach focuses solely on the present value of future dividends and the discount rate applied to those dividends. It is important to note that other valuation models, such as the Cash Flow Approach, Residual Income Approach, and Buffett Valuation Method, do incorporate a company's expected rate of return in their calculations. These models consider various factors beyond dividends to estimate the intrinsic value of a company.

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Fitness Ltd started in business on 1 January 2009, its financial year ending 31 December. The Company purchased its fitness equipment as follows. Year Date of Purchase 2009 1-Jan 20-Oct 2010 15-Feb 20-Nov 2011 20-Mar 2012 15-May Amount ($) 80,000.00 100,000.00 70,000.00 50,000.00 100,000.00 150,000.00 The company depreciates its equipment at the rate of 10 percent per annum using the straight line method, depreciating based on assets in existence at the end of the year.

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The company depreciates its equipment at the rate of 10 percent per annum using the straight line method, depreciation based on assets in existence at the end of the year is $18,000

Fitness Ltd began operations on 1st January 2009 and purchased fitness equipment throughout various years. The company uses a straight-line depreciation method at a rate of 10% per annum, based on the assets in existence at the end of each year. To calculate depreciation for each year, multiply the total asset value at the end of that year by 10%.

For example, in 2009, the total asset value was $180,000 (80,000 + 100,000), so the depreciation expense would be $18,000 (180,000 x 0.10). Continue this process for each subsequent year, adding new asset values to the total and calculating the depreciation accordingly.

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many oscillators have similarities between them, why? a. they are all derivative of price b. they all incorporate volume c. they all use moving averages d. they are all bounded

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they are all bounded Many oscillators used in technical analysis share the characteristic of being bounded within a specific range.

These oscillators typically have upper and lower boundaries that define overbought and oversold conditions. When the oscillator reaches these boundaries, it may indicate a potential reversal or a shift in market sentiment.

While some oscillators may incorporate other elements such as price, volume, or moving averages in their calculations, the key characteristic that is common among most oscillators is that they are bounded.

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what role does values , attitude and diversity play at gusto 54 . do you consider the values attitude and diversity to be a strength or weaknesses at gusto 54?

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Values, attitude, and diversity play a significant role at Gusto 54. They are considered strengths that shape the company's culture and enhance its operations.

Gusto 54 values diversity and promotes an inclusive work environment where every employee's ideas and opinions are heard. The company's core values, such as excellence, integrity, and teamwork, guide employees' behavior and decision-making, leading to a cohesive and productive team. The positive attitude towards diversity and respect for differences enables Gusto 54 to connect with a broader range of customers and stakeholders, thereby boosting the business's growth and reputation.

In conclusion, Gusto 54 considers values, attitude, and diversity as key strengths that foster a positive culture and contribute to the company's success. By embracing these attributes, Gusto 54 has created a dynamic and vibrant workplace that encourages creativity, innovation, and collaboration among its employees.

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A town divided into two districts, A and B, is proposing to build a new filtration system to remove some contaminant from its drinking water. The town estimates the demand by residents of the two districts to be represented by the following functions: MWTPA = 10 -0.1204 and MWTPB = 15-.18Q5, where Q is the % of the contaminant that is expected to be filtered by the system. The supply function is estimated to be MC = 4 +0.75Q. 1. a) What is the aggregate demand (MWTP) function for this public good? 2. b) Graph the aggregate MWTP and MC functions equations in the same diagram, where % filtration of the contaminant is measured on the x axis. 3. c) What is the socially efficient % filtration of the contaminant? NOTE: Do not change % into decimal form for the calculation 4. d) What is the TOTAL cost of achieving the optimal percent filtration? What TOTAL amount are residents of EACH district willing to pay for the socially efficient % filtration? Is total willingness to pay by residents of both districts considered together enough to cover total cost of supplying it? 5. e) As long as total WTP is sufficient to cover total cost, it would make sense for a private company instead of government to supply the filtration system. Do you agree with this statement? Explain.

Answers

1. The aggregate demand (MWTP) function for this public good is given by MWTP = 25 - 0.1204Q - 0.18Q^5.

The aggregate demand function is obtained by summing the individual demand functions of both districts, MWTPA and MWTPB. By adding the quantities demanded at each price level, we obtain the total willingness to pay (MWTP) for the public good.

2. Graphing the aggregate MWTP and MC functions on the same diagram, with % filtration on the x-axis, would provide a visual representation of the relationship between demand and supply. The MWTP curve would be downward sloping, reflecting the inverse relationship between price (% filtration) and quantity demanded. The MC curve, on the other hand, would be upward sloping, indicating the positive relationship between price and quantity supplied.

3. The socially efficient % filtration of the contaminant can be determined by finding the point of intersection between the aggregate MWTP and MC functions. At this point, the quantity demanded equals the quantity supplied, resulting in allocative efficiency. The socially efficient % filtration is the x-coordinate of this intersection point.

4. To calculate the total cost of achieving the optimal % filtration, we need to multiply the % filtration by the MC equation and integrate it over the appropriate range. The total amount residents of each district are willing to pay for the socially efficient % filtration can be found by substituting the optimal % filtration into their respective demand functions. Whether the total willingness to pay by residents of both districts is enough to cover the total cost depends on the specific values obtained from the calculations.

5. Considering the sufficiency of total willingness to pay, it might make sense for a private company instead of the government to supply the filtration system. However, this decision involves various other factors beyond financial considerations. The role of the government in providing public goods includes ensuring equitable access, regulation, and accountability. Additionally, the government can consider externalities and long-term societal benefits, which may not be fully captured by private companies. The decision should be made based on a comprehensive assessment of economic, social, and ethical considerations.

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: 6. (a) An energy efficient refrigration system is proposed by a vendor. The refrigration system will cost £50,000 to be installed, and will require £1,500 worth of maintenance each year for its life of 10 years. Energy costs will be £7,500 per year. A standard refrigration system will cost £40,000 and will require £1,000 worth of maintenance each year. Its energy costs will be £11,000 per year. Your company uses a discount rate of 10%. (i) Using Discount Factor Table Q6 which has been provided, calculate the LCC for both energy efficient refrigration system project and standard refrigration system project. [5 marks] (ii) Would your company invest in the energy efficient refrigration system project? Explain the reason. [2 marks] (b) A solar water heating system is being installed to a secondary school. The expected energy savings are £5,000 per year over the 10 year life of the system, with an initial investment of £30,000. (i) Using the discounted factor in Table Q6; calculate the NPV and PI at 5%, 10% and 15% discount values. [12 marks] (ii) What is the simple payback in years? [3 marks] (iii) What is the IRR value? [3 marks] Table Q6: Discount Factors Discount rate 5% 10% 12% 14% 15% 18% 0.952 0.909 0.893 0.877 0.870 0.847 0.907 0.826 0.797 0.769 0.756 0.718 0.864 0.751 0.712 0.675 0.658 0.609 0.823 0.683 0.636 0.592 0.572 0.516 0.567 0.519 0.497 0.437 0.784 0.621 0.746 0.564 0.711 0.513 0.507 0.456 0.432 0.370 0.452 0.400 0.376 0.314 0.404 0.351 0.327 0.266 8 0.677 0.467 0.645 0.424 9 0.361 0.308 0.284 0.225 10 0.614 0.386 0.322 0.270 0.247 0.191 Year 1 2 3 4567 20% 0.833 0.694 0.579 0.482 0.402 0.335 0.279 0.233 0.194 0.162

Answers

(i) Calculation of LCC for the energy efficient refrigeration system project:

Initial cost: £50,000

Maintenance cost per year: £1,500

Energy cost per year: £7,500

Discount rate: 10%

Discount factor for 10 years at 10%: 0.909

Present worth of maintenance costs over 10 years:

£1,500 × 0.909 + £1,500 × 0.909^2 + ... + £1,500 × 0.909^10

Using the formula for the sum of a geometric series, we get:

£1,500 × (1 - 0.909^10) / (1 - 0.909) ≈ £12,457.13

Present worth of energy costs over 10 years:

£7,500 × 0.909 + £7,500 × 0.909^2 + ... + £7,500 × 0.909^10

Using the formula for the sum of a geometric series, we get:

£7,500 × (1 - 0.909^10) / (1 - 0.909) ≈ £67,227.46

Total present worth of costs for the energy efficient refrigeration system:

£50,000 + £12,457.13 + £67,227.46 ≈ £129,684.59

(ii) Calculation of LCC for the standard refrigeration system project:

Initial cost: £40,000

Maintenance cost per year: £1,000

Energy cost per year: £11,000

Discount rate: 10%

Discount factor for 10 years at 10%: 0.909

Present worth of maintenance costs over 10 years:

£1,000 × 0.909 + £1,000 × 0.909^2 + ... + £1,000 × 0.909^10

Using the formula for the sum of a geometric series, we get:

£1,000 × (1 - 0.909^10) / (1 - 0.909) ≈ £8,305.66

Present worth of energy costs over 10 years:

£11,000 × 0.909 + £11,000 × 0.909^2 + ... + £11,000 × 0.909^10

Using the formula for the sum of a geometric series, we get:

£11,000 × (1 - 0.909^10) / (1 - 0.909) ≈ £75,741.19

Total present worth of costs for the standard refrigeration system:

£40,000 + £8,305.66 + £75,741.19 ≈ £124,046.85

The Life Cycle Cost (LCC) for the energy efficient refrigeration system project is approximately £129,684.59, and for the standard refrigeration system project is approximately £124,046.85.

(ii) Based on the calculations, the energy efficient refrigeration system project has a higher LCC compared to the standard refrigeration system project. Therefore, considering the higher cost, it may not be advisable for the company to invest in the energy efficient refrigeration system project.

The LCC takes into account the initial investment, maintenance costs, and energy costs over the life of the system, discounted at the company's discount rate. By comparing the LCC of the two projects, we can determine which option is more cost-effective. In this case, the standard refrigeration system project has a lower LCC, indicating that it would be a more financially viable choice for the company.

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consider a perfectly competitive market where a firm faces the following revenues and costs. quantity (units) marginal cost ($) marginal revenue ($) 12 6 7 13 7 7 14 8 7 15 9 7 16 10 7 17 11 7 what production advice would you give to the owner if the firm is currently producing 14 units? [a.] decrease the quantity to 13 units. [b.]increase the quantity to 15 units. [c.] continue to operate at 14 units. [d.]increase the quantity to 16 units.

Answers

In a perfectly competitive market, a firm's objective is to maximize profits.

To determine the optimal production level, the firm should produce where marginal revenue equals marginal cost. Looking at the provided table, we can see that the marginal revenue for each additional unit produced is $7, while the marginal cost increases as the quantity produced increases.

If the firm is currently producing 14 units, the marginal cost of producing the 15th unit is $9, which is greater than the marginal revenue of $7. This means that producing the 15th unit would result in a loss for the firm. On the other hand, producing the 13th unit would result in a marginal cost of $7, which is equal to the marginal revenue of $7, resulting in no profit or loss.

Therefore, the optimal production advice would be to decrease the quantity to 13 units, as this would result in the highest profit for the firm. The answer is option [a.] decrease the quantity to 13 units.

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Washington Company had the following transactions during 2021, its first year in business: January 2 Issued 22,000 shares of $5 par common stock for $11 per share. April 3 Issued 9,000 shares of $35 par preferred stock for $67 per share. Purchased 2,200 shares of treasury stock for $23 per share. October 6 December 9 Reissued 160 shares of treasury stock for $35 per share. In addition, Washington Company had $399,000 of net income for the year and, during the year, declared and distributed a cash dividend of $93,200. Required: Prepare the stockholders' equity section of the December 31, 2021, balance sheet. Note: In the final answer, use "Additional Paid-in Capital" to combine all the additional Paid-In Capital accounts. Washington Company Stockholders' Equity December 31 (Choose one) Total Stockholders' Equity

Answers

Washington Company Stockholders' Equity - December 31, 2021:

Common Stock ($5 par value, 22,000 shares issued) | $110,000

Preferred Stock ($35 par value, 9,000 shares issued) | $315,000

Additional Paid-in Capital | $1,768,160

Treasury Stock (2,040 shares at $23) | ($46,920)

Retained Earnings | $399,000

Total Stockholders' Equity | $2,545,240

Common Stock:

The company issued 22,000 shares of $5 par common stock for $11 per share. The calculation is as follows:

22,000 shares x $5 par value = $110,000

Preferred Stock:

The company issued 9,000 shares of $35 par preferred stock for $67 per share. The calculation is as follows:

9,000 shares x $35 par value = $315,000

Additional Paid-in Capital:

Additional paid-in capital represents the amount received from the sale of stock above its par value. The calculation is as follows:

Total cash received from the issuance of common and preferred stock - Par value of common and preferred stock = Additional Paid-in Capital

($11 x 22,000) + ($67 x 9,000) - ($110,000 + $315,000) = $1,768,160

Treasury Stock:

The company purchased 2,200 shares of treasury stock for $23 per share and subsequently reissued 160 shares of treasury stock for $35 per share. The net effect is calculated as follows:

(2,200 - 160) x $23 = $46,920 (deducted from total stockholders' equity)

Retained Earnings:

The company had $399,000 of net income for the year. This amount is added to the stockholders' equity as retained earnings.

The stockholders' equity section of Washington Company's December 31, 2021, balance sheet includes common stock, preferred stock, additional paid-in capital, treasury stock, and retained earnings. The total stockholders' equity is calculated to be $2,545,240. This represents the shareholders' ownership interest in the company as of the end of the year.

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Comparing Cash Flow Streams [LO1 You've just joined the investment banking firm of Dewey, Cheatum, and Howe. They've offered you two different salary arrangements. You can have $65,000 per year for the next two years, or you can have $54,000 per year for the next two years, along with a $10,000 signing bonus today. The bonus is paid immediately, and the salary is paid in equal amounts at the end of each month. If the interest rate is 8 percent compounded monthly, what is the PV for both the options? (Do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16.) PV Option 1 Option 2

Answers

The present value (PV) for Option 1 is $117,834.41 and the present value (PV) for Option 2 is $110,798.45. In terms of present value, Option 1 has a higher value compared to Option 2.

To calculate the present value (PV) for both options, we need to discount the future cash flows to their present value using the given interest rate of 8 percent compounded monthly.

Option 1: $65,000 per year for the next two years

PV = PV of Year 1 + PV of Year 2

PV of Year 1 = $65,000 / (1 + 0.08/12)¹² = $65,000 / (1.0066667)¹² = $61,033.34

PV of Year 2 = $65,000 / (1 + 0.08/12)²⁴ = $65,000 / (1.0066667)²⁴ = $56,801.07

PV for Option 1 = PV of Year 1 + PV of Year 2 = $61,033.34 + $56,801.07 = $117,834.41

Option 2: $54,000 per year for the next two years, along with a $10,000 signing bonus today

PV = PV of Signing Bonus + PV of Year 1 + PV of Year 2

PV of Signing Bonus = $10,000 (received immediately) = $10,000

PV of Year 1 = $54,000 / (1 + 0.08/12)¹² = $54,000 / (1.0066667)¹² = $50,783.67

PV of Year 2 = $54,000 / (1 + 0.08/12)²⁴ = $54,000 / (1.0066667)²⁴ = $50,014.78

PV for Option 2 = PV of Signing Bonus + PV of Year 1 + PV of Year 2 = $10,000 + $50,783.67 + $50,014.78 = $110,798.45

Therefore, the PV for Option 1 is $117,834.41 and the PV for Option 2 is $110,798.45.

In terms of present value, Option 1 has a higher value compared to Option 2. However, the decision between the two options may also depend on other factors such as personal financial needs, preferences, and the timing of cash flows.

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maria wants to get rid of her bookshelf. she is willing to give it away, but her neighbor offers to pay $30 for it. maria takes a: group of answer choices producer surplus loss. producer surplus gain. consumer surplus gain. consumer surplus loss.

Answers

Maria wants to get rid of her bookshelf. She is willing to give it away, but her neighbor offers to pay $30 for it. Maria takes a producer surplus gain.

Producer surplus refers to the difference between the price at which a producer is willing to sell a product and the actual price they receive for it. In this case, Maria is willing to give away her bookshelf but her neighbor offers to pay $30 for it. Since Maria is receiving payment for the bookshelf that exceeds her willingness to give it away for free, she experiences a producer surplus gain.

Consumer surplus, on the other hand, refers to the difference between the price consumers are willing to pay for a product and the actual price they pay. Since Maria was initially willing to give away the bookshelf, there is no consumer surplus gain or loss in this scenario.

In summary, Maria's acceptance of $30 for the bookshelf results in a producer surplus gain as she receives more than her willingness to part with the item for free.

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Consider an investment bank whose demand for financial assets F
is described by the following: , where e is equity (net worth) of
the investment bank, z is a measure of the risk level in the
economy,

Answers

The demand for financial assets (F) by an investment bank can be described by the equation:

F = e * z

In this equation, e represents the equity or net worth of the investment bank, while z is a measure of the risk level in the economy. The relationship between these variables indicates that as the equity of the investment bank increases, its demand for financial assets also increases. This suggests that a higher level of equity provides the investment bank with more resources to invest and acquire financial assets.

Additionally, the inclusion of the risk measure (z) implies that the investment bank's demand for financial assets is influenced by the level of risk in the economy.

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Epesi, Inc. has two independent divisions: the Water Division manufactures bottled purified water and the Pop Division manufactures bottled soda drinks. It has no defective products.
Looking into the sales variances for the year of 2020, Epesi found that, for Epesi as a whole, the static- budget total contribution margin is $3,060,000, total budgeted units sold are 400,000 units, total sales quantity variance is $1,530,000 (F).
For the Water Division, the budgeted contribution margin per unit is $6 and actual sales-mix is 40%.
For the Pop Division, the budgeted contribution margin per unit is $9.
Required:
Compute the sales quantity variance and the sales mix variance for the Pop Division and explain what insights these 2 variances suggest about Pop Division’s actual sales performance in the year of 2020.

Answers

Sales mix variance of Pop Division = -$432,000 (F)

Sales quantity variance of Pop Division = -$720,000 (F)

The negative sign before the variances indicates an unfavorable variance. It suggests that the Pop Division’s actual sales performance in the year of 2020 is not up to the mark.

Given that Epesi, Inc. has two independent divisions: the Water Division and the Pop Division. Epesi found that for Epesi as a whole, the static-budget total contribution margin is $3,060,000, total budgeted units sold are 400,000 units, and the total sales quantity variance is $1,530,000 (F).

For the Water Division, the budgeted contribution margin per unit is $6, and the actual sales-mix is 40%. For the Pop Division, the budgeted contribution margin per unit is $9. Calculation of sales mix variance for the Pop Division is given below:

Selling price of Pop division = $9The actual sales mix of the Pop Division is not given in the question, so it has to be computed using the information provided:

Let the actual sales of the Pop Division be x.

Therefore, the actual sales mix of the Pop Division = actual sales of the Pop Division / total actual sales

The total actual sales are 400,000 units (from the question).

The actual sales of the Water Division = total actual sales × actual sales mix of the Water Division= 400,000 units × (1 - 0.40) = 240,000 units

The actual sales of the Pop Division = total actual sales - actual sales of the Water Division= 400,000 units - 240,000 units = 160,000 units

The actual sales mix of the Pop Division = actual sales of the Pop Division / total actual sales= 160,000 units / 400,000 units = 0.4 or 40%

Budgeted sales mix of Pop division = 100% - actual sales mix of Water division= 100% - 40% = 60%

Budgeted sales of Pop division = Budgeted total sales × Budgeted sales mix of Pop division= 400,000 × 0.60 = 240,000 units

Budgeted contribution margin of Pop division = $9

Budgeted total contribution margin of Pop division = Budgeted contribution margin of Pop division × Budgeted sales of Pop division= $9 × 240,000 = $2,160,000

Actual contribution margin of Pop division = Actual sales of Pop division × Budgeted contribution margin per unit= 160,000 × $9 = $1,440,000

Sales mix variance of the Pop Division = (Actual sales mix of Pop Division - Budgeted sales mix of Pop Division) × Budgeted total contribution margin of Pop Division

Sales mix variance of Pop Division = (0.4 - 0.6) × $2,160,000

Sales mix variance of Pop Division = -$432,000 (F) Calculation of Sales Quantity Variance for the Pop Division is given below:

Selling price of Pop division = $9Actual sales of Pop division = 160,000 units

Budgeted contribution margin per unit of Pop division = $9

Budgeted contribution margin of Pop division = Budgeted contribution margin per unit of Pop division × Actual sales of Pop division= $9 × 160,000 = $1,440,000

Actual contribution margin of Pop division = Actual sales of Pop division × Budgeted contribution margin per unit= 160,000 × $9 = $1,440,000

Budgeted total contribution margin of Pop Division = $2,160,000 (from above)

Actual total contribution margin of Pop Division = $1,440,000 (from above)

Sales quantity variance of Pop Division = (Actual sales of Pop Division - Budgeted sales of Pop Division) × Budgeted contribution margin per unit

Sales quantity variance of Pop Division = (160,000 units - 240,000 units) × $9

Sales quantity variance of Pop Division = -$720,000 (F)

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an employee earns $8,000 in the first pay period. the fica social security tax rate is 6.2%, and the fica medicare tax rate is 1.45%. what is the employee's fica taxes responsibility?

Answers

An employee earns $8,000 in the first pay period. Their FICA taxes responsibility consists of two components: Social Security tax at 6.2% and Medicare tax at 1.45%. To calculate their total FICA taxes, apply these rates to their earnings.

To calculate the employee's FICA (Federal Insurance Contributions Act) taxes responsibility, we need to determine the amounts for Social Security and Medicare taxes based on the provided earnings.

Social Security Tax:

The FICA Social Security tax rate is 6.2%. To calculate the Social Security tax amount, we multiply the earnings by the tax rate.

Social Security tax = Earnings * Social Security tax rate

Social Security tax = $8,000 * 0.062 = $496

Medicare Tax:

The FICA Medicare tax rate is 1.45%. To calculate the Medicare tax amount, we multiply the earnings by the tax rate.

Medicare tax = Earnings * Medicare tax rate

Medicare tax = $8,000 * 0.0145 = $116

$8,000 * 6.2% = $496 for Social Security and $8,000 * 1.45% = $116 for Medicare. The employee's total FICA taxes responsibility for this pay period is $496 + $116 = $612.

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Jade had to travel 1500 miles from Istanbul to Paris. She had only $200 with which to buy first-class and second-class tickets on the Orient Express. The price of first-class tickets was $.20 per mile and the price of second-class tickets was $.10 per mile. She bought tickets that enabled her to travel all the way to Paris with as many miles of first class as she could afford.
After she boarded the train, she discovered to her amazement that the price of second-class tickets had fallen to $.05 per mile while the price of first-class tickets remained at $.20 per mile. She also discovered that on the train it was possible to buy or sell first-class tickets for $.20 per mile and to buy or sell second-class tickets for $.05 per mile.
Jade had no money left to buy either kind of ticket, but she did have the tickets that she had already bought.
1st attempt
Part 1 (7 points)
See Hint
On the graph below, show the combinations of tickets that she could afford at the old prices by drawing her budget line using the line tool. Then, use the line tool again to show the combinations of tickets that would take her exactly 1500 miles. Finally, use the point tool to mark the bundle that she chose with the old prices.
To refer to the graphing tutorial for this question type, please click here.
Part 2 (7 points)
See Hint
On the graph below, draw a line using the line tool to show all the combinations of first-class and second-class travel that Jade can afford when she is on the train, by trading her endowment of tickets at the new prices that apply on board the train. Then, use the line tool again to show the combinations of tickets that would take her exactly 1500 miles. Finally, use the point tool to mark the bundle that she chooses with the new prices, given that she still wants to travel as much as she can with first-class miles.

Answers

The graphing exercise described cannot be completed as this is a text-based platform and does not support graphical representation.

As an AI text-based model, I am unable to draw or create graphical representations. However, I can provide an explanation of the situation.

At the old prices, Jade's budget of $200 would allow her to buy 1000 miles of first-class travel ($.20/mile x 1000 miles = $200). Since she wanted to travel as much as she could with first-class miles, she would choose to purchase 1000 miles of first-class tickets.

When the prices changed on the train, Jade still had her previously purchased tickets. The new prices allowed her to buy second-class tickets for only $.05 per mile. Jade would look to maximize her travel with first-class miles, so she would sell her first-class tickets at the on-board price of $.20 per mile and buy second-class tickets at the reduced price of $.05 per mile.

The exact combination of first-class and second-class tickets that Jade would choose with the new prices would depend on the specific mileage breakdown and the exchange rates on the train. Without detailed information on the mileage of the previously purchased first-class tickets and the specific on-board exchange rates, it is not possible to determine the exact bundle Jade would choose at the new prices.

Conclusion:

Due to the limitations of the text-based format, the graphical exercise cannot be completed here. However, based on the given information, Jade would have initially bought 1000 miles of first-class tickets with her $200 budget. On the train, with the new prices, Jade would sell her first-class tickets and buy second-class tickets to maximize her travel with first-class miles. The specific combination of tickets she would choose at the new prices cannot be determined without more information.

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If you have a $216,000, 30-year, 5 percent mortgage, how much of your first monthly payment of $1161 would go toward principal Multiple Choice a. $10.000.00 b. $0.00 525100 c. $520000 d. $595760

Answers

The amount of your first monthly payment of $1161 that would go toward the principal is $520000 (option c).

For a loan of $216,000 with 5% annual interest rate, the monthly interest rate is calculated by dividing the annual rate by 12, which gives 0.0041667.

The monthly payment for a 30-year loan with a 5% annual interest rate is $1,161.08.For the first payment, interest on the loan is calculated based on the amount of the loan that hasn't been paid yet, which is the entire loan amount of $216,000, so the interest for the first payment is: $216,000 × 0.0041667 = $900.

Since the total monthly payment is $1,161.08 and $900 of that goes toward interest, the amount that goes toward principal is: $1,161.08 - $900 = $261.08.To determine how much of that payment goes to principal, you will need to subtract the amount that goes toward interest, which is $900, from the total payment, which is $1,161.08. So,$1,161.08 - $900 = $520000 The correct option is c.

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Additive manufacturing will change Caterpillar's spare parts supply chain. True False

Answers

True.

Additive manufacturing, also known as 3D printing, has the potential to significantly impact Caterpillar's spare parts supply chain. With additive manufacturing, it becomes possible to produce spare parts on-demand, closer to the point of need, without the need for traditional manufacturing and distribution processes. This can lead to benefits such as reduced lead times, lower inventory costs, and increased flexibility in responding to customer demands. Caterpillar and other companies in various industries are exploring the use of additive manufacturing to transform their supply chains and optimize the availability and delivery of spare parts. Therefore, the statement is true.

The supply chain for Caterpillar's replacement parts could be severely impacted by additive manufacturing, often known as 3D printing. With additive manufacturing. This statement is True.

Spare parts can be produced on-demand, closer to the location where they are needed, without the need of conventional production and delivery procedures. Benefits from this include shorter lead times, cheaper inventory, and more flexibility in meeting client requests. Caterpillar and other businesses from a variety of sectors are investigating the use of additive manufacturing to revamp their supply chains and improve the accessibility and delivery of spare parts. The assertion is accurate as a result.

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conversion optimization can positively impact your return on investment. T/F

Answers

It is true that Conversion optimization is the process of increasing the percentage of website visitors who complete a desired action, such as making a purchase or filling out a form.

By optimizing your website for conversions, you can improve the user experience, make it easier for visitors to find what they are looking for, and ultimately increase the likelihood of them taking the desired action. This can lead to a higher return on investment (ROI) for your business, as you are able to generate more leads or sales from the same amount of website traffic. Additionally, conversion optimization can help you to identify and fix issues with your website that may be hindering conversions, which can ultimately improve your overall website performance and ROI.

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explain how mass production led to the spread of capitalism beyond the agricultural aspects of europe's economy.

Answers

Mass production played a crucial role in spreading CAPITALISM beyond the agricultural aspects of Europe's economy by revolutionizing the manufacturing sector.

Here's an explanation of how this happened:

1. Increased productivity: Mass production techniques, such as the assembly line, enabled manufacturers to produce goods at a much higher rate and with greater efficiency. This led to a significant increase in productivity, allowing more goods to be produced in a shorter amount of time. As a result, manufacturers could meet growing consumer demands and expand their market reach.

2. Lower production costs: Mass production techniques, combined with technological advancements and economies of scale, resulted in lower production costs per unit. The ability to produce goods in large quantities and take advantage of cost-saving measures, such as specialized machinery and division of labor, reduced the per-unit cost of production. Lower costs made goods more affordable and accessible to a wider population, fueling demand and stimulating economic growth.

3. Standardization and uniformity: Mass production required the standardization of parts and components, ensuring interchangeability and compatibility. This standardization not only improved manufacturing efficiency but also facilitated the development of broader supply chains and distribution networks. It allowed for the integration of different industries, as manufacturers could rely on standardized inputs from various suppliers, further accelerating economic interdependence.

4. Expansion of markets: The increased availability and affordability of goods produced through mass production led to the expansion of markets. As more people could afford these goods, consumer demand surged. This created opportunities for entrepreneurs and businesses to tap into new markets and establish a wider customer base. The growth of markets fueled competition and innovation, driving further economic development.

5. Capital accumulation and investment: Mass production required significant investments in machinery, infrastructure, and technology. This led to the accumulation of capital, as successful manufacturers reinvested profits into expanding production capacity. Capital accumulation and investment fostered entrepreneurship, job creation, and economic expansion. It also contributed to the development of financial institutions and capital markets, enabling further investment in various sectors of the economy.

6. Rise of industrialization: Mass production was closely tied to the rise of industrialization, transforming Europe's economy from primarily agrarian to industrial. The concentration of production in factories and the emergence of industrial cities shifted the economic landscape, as manufacturing became a dominant force and source of employment. Industrialization fueled urbanization, population growth, and social changes, leading to the development of a capitalist society.

In summary, mass production revolutionized manufacturing, increasing productivity, lowering costs, standardizing production, expanding markets, and fostering capital accumulation. These factors collectively propelled the spread of capitalism beyond agriculture, paving the way for industrialization and the transformation of Europe's economy into a capitalist system.

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the cost of producing a barrel of oil from shale can range from $25 to $95. as demand for oil has increased and pushed up prices, more oil shale projects have become profitable and come online. this is an example of the:

Answers

This is an example of the supply response to increased demand in the oil shale industry.

The cost of producing a barrel of oil from shale ranging from $25 to $95 indicates the cost variability associated with extracting oil from shale formations. As demand for oil increases and pushes up prices, the higher price levels make previously unprofitable shale oil projects economically viable. This creates an incentive for oil shale producers to bring more projects online and increase production. As more oil shale projects come online, the industry's overall production capacity grows, contributing to meeting the rising demand for oil. This dynamic interaction between demand and supply in the oil shale sector demonstrates how market forces drive the expansion and profitability of projects based on changing price conditions. Overall, the increased profitability and initiation of more oil shale projects in response to increased demand illustrate the supply response to market conditions, showcasing how the industry adapts and expands production to meet the growing needs of the market.

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Consciously ejecting unwanted mental events from awareness is known as
a. repression.
b. inner directedness.
c. outer directedness.
d. suppression.

Answers

The correct option is d. suppression. So d is the correct one.

This is a defense mechanism in which an individual consciously chooses to push unwanted thoughts, feelings, or memories out of their awareness. Unlike repression, which is an unconscious process, suppression is a conscious decision to avoid dealing with the unwanted mental event. It is important to note that while suppression may provide temporary relief, it can lead to long-term negative consequences such as increased anxiety and decreased mental health. It is important for individuals to develop healthy coping mechanisms that allow for the processing and addressing of unwanted thoughts and feelings, rather than simply pushing them away.

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