Assets on 12/31/2021 balance sheet =$1,000M Sales on 12/31/2021 income statement =$2,000M Net Income on 12/31/2021 income statement =$50M $Dividends in 2021=$10M Account Payable =20M on 12/31/2021 balance sheet Accruals =15M on 12/31/2021 balance sheet What is the self-supporting growth rate in 2022? 2.17% 5.14% 6.15% 4.32%

Answers

Answer 1

Self-supporting growth rate is a way to assess how much a company can develop by its earnings, without outside funding. The self-supporting growth rate is determined using the retained earnings from the income statement to calculate the percentage increase in equity or assets required to achieve the growth rate.

The following is the formula used to calculate the self-supporting growth rate:Self-supporting growth rate = [(Net income - Dividends) / Equity or Assets] × 100The values are given below,Net Income on 12/31/2021 income statement = $50M$Dividends in 2021= $10MAssets on 12/31/2021 balance sheet = $1,000M.

Accounts Payable = $20MAccruals = $15MUsing the above data to determine the Self-supporting growth rate in 2022(Self-supporting growth rate = [(Net income - Dividends) / Equity or Assets] × 100)Net income = $50M - $10M = $40MEquity = Assets - Accounts Payable - Accruals= [tex]$1,000M - $20M - $15M = $965[/tex] M Self-supporting growth rate = [(Net income - Dividends) / Equity or Assets] [tex]× 100= ($40M / $965M) × 100= 4.14%[/tex] Therefore, the self-supporting growth rate in 2022 is 4.14%. Hence, the correct answer is 4.14% in the options provided.

To know more about statement visit:

https://brainly.com/question/33442046

#SPJ11


Related Questions

You have been promoted as the Quality Manager in your organization, on Monday morning your CEO needs the steps you will take to reduce operational cost by 10%. Explain how you will use the DMAIC methodology to reduce the operational cost. Include in your report: i. Define a Business case - communicate the project direction and benefits to all members. ii. Develop problem and preliminary goal statement aligned with organizational priorities. iii. Assess project scope. iv. Select project team and define roles. v. Identify the CTQ and the vital X s

for this project. vi. State the type of data (X 1

,X 2

…X N

) you will gather for your project from the DEFINE stage. What qualities would you exhibit to be successful in your company culture - as an individual and as a worker?

Answers

Answer:a

Explanation:

an approved mortgage application usually locks in an interest rate for 60-120 days. select one:

Answers

True. When a mortgage application is approved, borrowers often have the option to lock in an interest rate for 60-120 days, providing stability and protection from potential rate fluctuations during that period.

When a mortgage application is approved, it is common for the borrower to have the option to lock in an interest rate for a specific period, typically ranging from 60 to 120 days. This allows the borrower to secure a fixed interest rate during the lock-in period, protecting them from potential interest rate fluctuations.

Locking in an interest rate provides stability and certainty to the borrower, as it ensures that the rate they agreed upon at the time of application remains unchanged during the lock-in period. This can be beneficial if interest rates are expected to rise in the future.

The duration of the lock-in period may vary depending on the lender and the specific terms of the mortgage agreement. It is important for borrowers to carefully consider the lock-in period and make sure it aligns with their needs and the expected timeline for closing the mortgage transaction.

learn more about interest rate here:

https://brainly.com/question/28236069

#SPJ11

Which of the following statements is false?
A) There is a need to calculate the cost of capital for the project's cash flows if a project's risk and leverage differ from those for the firm overall.
B) There is no need to calculate the cost of capital for the project's cash flows if a project's risk and leverage are the same as those for the firm overall.
C) There is no need to calculate the cost of capital for the project's cash flows if a project's risk and leverage differ from those for the firm overall.
D) None of the above.

Answers

The false statement from the following is C) There is no need to calculate the cost of capital for the project's cash flows  It's critical to consider the expense of capital in addition to the initial cost of setting up a firm and the ongoing operational costs of maintaining it.

Capital can come in the form of debt or equity. For the project's cash flows, there is a requirement to calculate the cost of capital if the project's risk and leverage differ from those of the firm overall. The cost of capital is the total expense of obtaining the money a company requires to stay in business. The cost of capital is influenced by a variety of factors, including the amount of risk connected with the investment and the rate at which the investment will produce earnings. Companies' cost of capital calculations must take into account the economic climate in which they operate. The cost of capital can be calculated as a percentage of the total capital required by the company.Therefore, option C) There is no need to calculate the cost of capital for the project's cash flows if a project's risk and leverage differ from those for the firm overall is a false statement.

To know more about obtaining visit:

https://brainly.com/question/2075542

#SPJ11

A right granted to a seller for the unpaid sales price is known as the:

A. Privilege
B. Workman's Privilege
C. Vendor's Privilege
D. Lender's Privilege

Answers

vendor's privilege is a right granted to a seller for the unpaid sales price. It's a common law principle that gives the seller a security interest in the products sold until the payment is completed.

A vendor's privilege serves as a kind of security interest to protect the vendor's rights to the property. This is how a vendor's privilege works:As a vendor, you sell products and then offer the buyer credit with the understanding that the product will be used to secure the credit. The credit is secured by the unpaid purchase price of the items sold.The vendor is required to register this privilege in the correct register for it to become effective. If this is not done, then the purchaser's creditors may take priority over the vendor’s privilege.When a purchaser fails to pay the agreed-upon purchase price, the vendor has the right to take legal action to recover the amount owed.

To know more about vendor's visit:

https://brainly.com/question/13135379

#SPJ11

Please discuss major differences between aggregate capacity
planning and short-term scheduling

Answers

Aggregate capacity planning and short-term scheduling are two critical aspects of production planning and control. Both concepts are interconnected, yet they differ in some ways. Here are the major differences between the two:

Aggregate capacity planning : Aggregate capacity planning is an approach that determines the overall production capacity a business needs to satisfy the demand for its products or services over an extended period. The primary aim of aggregate capacity planning is to align the production capacity of the firm with its long-term strategic goals by balancing supply and demand.

Short-term scheduling : Short-term scheduling, on the other hand, is a method used to establish a detailed plan for carrying out specific production activities. It is a process that outlines the daily or weekly schedules for the production activities of a business. The primary objective of short-term scheduling is to balance capacity and demand by determining the number of products or services that the organization can produce in the short term.

Summary : In conclusion, aggregate capacity planning focuses on long-term planning by aligning supply and demand, while short-term scheduling focuses on daily and weekly scheduling to ensure that the organization can meet demand in the short term. Both concepts are essential in ensuring that production runs smoothly. However, they differ in terms of scope and time horizon.

To know more about interconnected visit :

https://brainly.com/question/4405104

#SPJ11

You want to have a maximum payment of $1000. Use Goal Seek to find what the APR has to be to achieve a $1000 payment, without changing any of the other variables. Do not edit the APR cell after running Goal Seek.

Answers

Goal Seek in Excel is used to discover a value that would produce a specific outcome. By using Goal Seek, one can easily determine the value needed to achieve the desired results.

Here, the objective is to determine the APR needed to achieve a payment of $1000, without changing any of the other variables. The following are the required measures to complete the task:

To begin, go to the Data tab and select What-If Analysis and then Goal Seek.

Select the cell that has the payment figure you desire ($1000) as the “Set Cell.”

Select the APR cell (the cell that has the formula that calculates the APR) as the “To Value.” Excel will give you the option to alter the value to meet your needs. Press Enter once you’ve selected the values and click OK.

Now you can see the APR needed to achieve a payment of $1000, and you didn't have to modify any of the other variables.

To learn more about Goal Seek visit:

https://brainly.com/question/30404127

#SPJ11.

During 2022, as inflation continued to rise in Canada, the Canadian Central Bank , the Bank of Canada, is aggressively increasing interest rates. Do you agree with the BOC Monetary policy ? Explain why do you agree or disagree ? Also explain the effect of the present BOC monetary policy on the following markets :
1) The Consumer market.
2) The Real Estate Market.
3) The Stock Market.
4) The Labor Market
Use the tools discussed in the class such as the Supply and Demand , the Phillips curve and money supply to explain your reasons.
( minimum 1200 words and max 2500 words excluding Charts)

Answers

The Bank of Canada, in response to rising inflation in Canada, has been aggressively increasing interest rates. The Canadian Central Bank's monetary policy has advantages and disadvantages. The following will discuss the impact of the Bank of Canada's current monetary policy on the consumer market, real estate market, stock market, and labor market.

Advantages of Increasing Interest Rates:
1. Lower Inflation Rate: One of the primary advantages of higher interest rates is that it leads to a lower inflation rate. Inflation is a significant problem for an economy, and when the inflation rate is high, it leads to rising prices for goods and services.2. Increased Savings: Higher interest rates attract more investors and depositors, which leads to increased savings. This could be beneficial to the economy because it provides a pool of funds for investment in the economy.

Effects of BOC Monetary Policy on Markets
1. The Consumer Market:The Bank of Canada's current monetary policy would have an impact on the consumer market. Higher interest rates lead to a decrease in consumer spending. 2. The Real Estate Market The Bank of Canada's current monetary policy would also have an impact on the real estate market. When interest rates are high, the cost of borrowing is more expensive, leading to a decrease in demand for real estate. 3. The Stock Market:The Bank of Canada's current monetary policy would also have an impact on the stock market. When interest rates are high, borrowing becomes more expensive, leading to lower investment in the economy.

To know more about inflation visit:

https://brainly.com/question/28136474

#SPJ11

On July 1, 2019. Killeam Company acquired 148,000 of the outstanding shares of Shaun Company for $21 per share. This acquisition gave Killeam a 40 percent ownership of Shaun and allowed Killearn to significantly influence the investee's decisions. As of July 1, 2019, the investee had assets with a book value of $8 million and liabilities of $1,207.750. At the time, Shaun held equipment appraised at $166,250 more than book value; it was considered to have a seven-year remaining life with no salvage value. Shaun also held a copyright with a five-year remaining life on its books that was undervalued by $660.000. Any remaining excess cost was attributable to goodwill. Depreciation and amortization are computed using the straight-line method. Killeam applies the equity method for its investment in Shaun. Shaun's policy is to declare and pay a $1 per share cash dividend every April 1 and October 1 . Shaun's income, eamed evenly throughout each year, was $647,000 in 2019,$683,600 in 2020 , and $743,000 in 2021 . In addition, Killeam sold inventory costing $148,200 to Shaun for $247.000 during 2020 . Shaun resold $94,000 of this inventory during 2020 and the remaining $153,000 during 2021 . Required: a. Determine the equity income to be recognized by Killearn during each of these years. b. Compute Killearn's investment in Shaun Company's balance as of December 31, 2021. (For all requirements, enter your answers in whole dollars and not in millions.)

Answers

a. Calculation of Killearn's equity income to be recognized during each year: Equity income to be recognized by Killearn during 2019: Killearn has a 40% ownership interest in Shaun. So, the equity income will be:

Equity Income = Share of Shaun’s Net Income* Killearn’s ownership percentage in Shaun

Equity Income = $647,000 * 40% = $258,800

Equity income to be recognized by Killearn during 2020:

Equity Income = Share of Shaun’s Net Income* Killearn’s ownership percentage in Shaun

Equity Income = $683,600 * 40% = $273,440

Killearn also sold inventory costing $148,200 to Shaun for $247,000.

Thus, Killearn has made a profit of $98,800 (247,000 - 148,200) on the sale.

Killearn will recognize a profit of $39,520 (40% of 98,800) as equity income during 2020.

Equity income to be recognized by Killearn during 2021:

Equity Income = Share of Shaun’s Net Income* Killearn’s ownership percentage in Shaun

Equity Income = $743,000 * 40% = $297,200

Shaun has sold the remaining inventory during the year, and thus, there is no additional profit to be recognized in 2021.

b. Calculation of Killearn’s investment in Shaun Company’s balance as of December 31, 2021:

The investment in Shaun Company’s balance consists of: Initial Investment + Share of Shaun’s Net Income – Dividends Paid by Shaun – Profit on sale of inventory made by Killearn

Initial Investment = 148,000, shares * $21 = $3,108,000

Share of Shaun’s net income: 2019:

$647,000 * 40% = $258,8002020: $683,600 * 40% = $273,4402021:

$743,000 * 40% = $297,200

Total share of net income = $829,440

Dividends paid by Shaun: Shaun pays a dividend of $1 per share every year, so the total dividend paid by Shaun will be:

Dividends paid by Shaun = 148,000 shares * 2 * $1 = $296,000

Profit on sale of inventory made by Killearn:

Profit made by Killearn on the sale of inventory during 2020 = $98,800

Profit recognized as equity income = 40% of $98,800 = $39,520

Thus, Killearn’s investment in Shaun Company’s balance as of December 31, 2021:

Investment in Shaun Company’s Balance = $3,108,000 + $829,440 - $296,000 - $39,520 = $3,602,920

Therefore, the equity income to be recognized by Killearn during each year is as follows:

Equity Income to be Recognized 2019: $258,8002020; $312,9602021; $297,200

The investment in Shaun Company’s balance as of December 31, 2021 is $3,602,920.

To know more about interest visit :-
https://brainly.com/question/30393144
#SPJ11

The most traditional and popular form of active stock strategies is the selection of individual stocks believed to offer superior return-risk characteristics. Which of the following statements is not correct regarding growth stocks and value stocks?

Answers

Growth stocks refer to a company whose earnings are expected to grow at a rate above the market average. Growth stocks typically have a price-earnings (P/E) ratio that is above average. Investors typically purchase growth stocks for capital appreciation rather than dividend income.

Growth stocks provide higher capital appreciation but less dividend income to the investors. These types of stocks are primarily targeted at long-term investment horizons. Growth stocks are beneficial to the investors because they can hold their value over time. In contrast, value stocks refer to those companies whose current stock price is believed to be lower than their intrinsic value. Value stocks typically have a lower price-to-earnings ratio (P/E) than the overall market. Investors typically buy value stocks for dividend income and steady growth. These types of stocks are targeted at short-term investment horizons.Value stocks are beneficial to the investors because of their dividends, stable cash flow and stable dividends payment as the companies are usually well-established.

To know more about earnings visit:

https://brainly.com/question/30702029

#SPJ11

Chad rented his house to Patrick for a period of one year. Eight months after moving in, Patrick left the premises without informing Chad or paying him the rent due for the last four months. In order to compensate for the losses, Chad immediately rented the house to Lee. Which of the following is correct regarding the case?
Multiple Choice
It is illegal for Chad to re-rent the house.
Lee will have to pay Chad the rent amount due from Patrick.
Patrick can recover damages from Chad because the lease period is not over yet.
Chad can recover damages from Patrick even after re-renting it to Lee.

Answers

Chad can recover damages from Patrick even after re-renting it to Lee. This is the correct option regarding the given case. Chad can recover damages from Patrick even after re-renting it to Lee.

Who is a landlord?

A landlord is a person who owns land, buildings, or housing that is rented to other people, known as tenants. The landlord may own the entire property or only a portion of it. The property might be commercial or residential. The landlord's primary responsibility is to maintain the property and ensure that it is safe and habitable. In exchange, tenants pay rent to the landlord, which is usually outlined in a lease or rental agreement. Chad, the landlord in the question, rented his house to Patrick for one year.

Chad's and Patrick's Case: Chad's case is that Patrick left the premises eight months after moving in without informing Chad or paying him the rent due for the last four months. In order to compensate for the losses, Chad immediately rented the house to Lee. Chad can recover damages from Patrick even after re-renting it to Lee because Patrick violated the lease by failing to pay rent and leaving the premises early.

Even though Chad has found a new tenant, he is still entitled to the rent from the original lease until the end of the agreed-upon lease term. Chad may also be able to sue Patrick for breach of contract and recover any unpaid rent, damages to the property, and other associated expenses. Therefore, Chad can recover damages from Patrick even after re-renting it to Lee.

To know more about damages visit :

https://brainly.com/question/31927480

#SPJ11

In recent months, the Fed has been raising interest rates. Let's use the tools we've developed to analyze this contractionary monetary policy. a. When the Fed uses contractionary monetary policy, it raises the target interest rate and, thus, the cost of borrowing. Use what we learned in Chapter 3 to describe why a higher cost of boriowing slow down the economy. b. Use T-accounts to show the effect of open market sales on the balance sheets of the Federal Reserve and the banking system. Do total reserves increase or decrease? c. Use the graphical supply and demand framework for the market for reserves to show the effect of these open market sales on the federal funds rate.

Answers

a. When the Fed uses contractionary monetary policy, it raises the target interest rate and, thus, the cost of borrowing. A higher cost of borrowing leads to a decrease in investment, consumption and aggregate demand which ultimately slows down the economy.

It becomes costly for businesses to borrow funds for expansion or investment, and expensive for consumers to borrow for purchase of durable goods such as homes or cars.b. Open market sales involve the Federal Reserve selling government securities to the banking system. The banks, in turn, pay the Federal Reserve using reserves. Open market sales decrease the reserves of the banking system and the Federal Reserve. The total reserves decrease in this case. The balance sheet of the Federal Reserve looks like the following:

Assets: securities (decrease) and reserves (decrease); Liabilities: deposits of banks (decrease). The balance sheet of the banking system looks like the following: Assets: reserves (decrease); Liabilities: deposits (decrease).c. The demand curve in the market for reserves shows the quantity of reserves that banks would like to hold at a particular federal funds rate. The supply curve in the market for reserves shows the quantity of reserves supplied by the Federal Reserve at a particular federal funds rate.

To know more about economy visit ;

https://brainly.com/question/18461883

#SPJ11

Difference of information infomediaries vs. content provider in
ecommerce
Difference of Crowdsourcing vs. Crowdfunding

Answers

Information Infomediaries in e-commerce refer to platforms or services that collect, analyze, and distribute information about products, services, and consumer behavior.

Information Infomediaries in e-commerce refer to platforms or services that collect, analyze, and distribute information about products, services, and consumer behavior. They act as intermediaries between buyers and sellers, providing information such as product descriptions, reviews, ratings, comparisons, and other relevant data. Their primary focus is on organizing and presenting information to facilitate informed purchasing decisions. Examples of information infomediaries include price comparison websites, product review platforms, and online directories.

On the other hand, Content Providers in e-commerce are entities that create and supply original content to engage and attract consumers. They produce various types of content, including articles, blog posts, videos, images, and social media posts, with the aim of promoting products, building brand awareness, and driving customer engagement. Content providers focus on creating compelling and valuable content that resonates with their target audience, ultimately influencing purchasing decisions. They may include brands' own content marketing efforts, social media influencers, and professional content creators.

In summary, information infomediaries primarily focus on organizing and delivering relevant information to aid consumer decision-making, while content providers focus on creating engaging and persuasive content to promote products and brands.

To learn more about collect

https://brainly.com/question/31124028

#SPJ11

why do you think the new expended restaurants didn't succeed

Answers

Poor location: Location plays a crucial role in the success of a restaurant. If the restaurant is situated in an area with low foot traffic or limited target customers, it can negatively impact its chances of success.

Lack of market research: Insufficient market research can lead to a misunderstanding of the target market's preferences and demands. Failing to cater to the tastes, preferences, and demographics of the target customers can result in low customer turnout and ultimately, failure. Ineffective marketing and branding: A lack of effective marketing strategies and brand positioning can make it challenging for new restaurants to attract customers and build a loyal customer base. Poor visibility, ineffective advertising, or an unclear brand identity can hinder success.

Inexperienced restaurant owners or management teams may struggle with essential aspects of running a restaurant, such as menu planning, cost control, staff management, or maintaining consistent quality. This lack of expertise can contribute to the restaurant's failure.

Changing consumer trends and preferences: Consumer preferences and trends in the restaurant industry can evolve rapidly. If a new restaurant fails to adapt to changing demands or capitalize on emerging trends, it may struggle to stay relevant and attract customers.

It's important to note that each restaurant's situation is unique, and a combination of these factors or other unforeseen circumstances can contribute to its lack of success. Conducting a thorough analysis and identifying the specific challenges faced by the new restaurants can provide more insight into why they didn't succeed.

Learn more about success here:

https://brainly.com/question/10044748

#SPJ11

In regard to post-merger behavior, people who belong to high-status premerger groups are _____ to identify with the new group, and _____ to show bias against their post-merger group.

a. less likely; more likely

b. more likely; less likely

c. less likely; less likely

d. more likely; more likely

Answers

The correct answer is: a. less likely; more likely In post-merger situations, people who belong to high-status premerger groups are less likely to identify with the new group formed after the merger.

This is because individuals from high-status groups may perceive the merger as a threat to their status and may resist integrating into the new group. Additionally, they are more likely to show bias against their post-merger group, as they may have a sense of superiority or attachment to their original high-status group. Therefore, option a, "less likely; more likely," accurately describes the typical behavior observed in post-merger scenarios involving individuals from high-status premerger groups.

learn more about:-high-status premerger here

https://brainly.com/question/31631261

#SPJ11

25. hooke company received proceeds of $377,000 on 10-year, 8% bonds issued on january 1, 2020. the bonds had a face value of $400,000, paid interest annually on december 31, and had a call price of 101. hooke uses the straight-line method of amortization. what is the amount of interest expense hooke will show in relation to these bonds for the year ended december 31, 2021?

a. $32,000

b. $30,160

c. $34,300

d. $29,700

Answers

The amount of interest expense hooke will show in relation to these bonds for the year ended december 31, 2021 is $32,000. The correct option is a.

Interest on bonds is payable annually at 8%. Interest in bonds is payable at the par value of bonds. In the given case, interest expense for the year ended December 31, 2015 is payable at 8% on $400,000

Interest Payable = 400,000 x 8% = $32,000

Bonds are often issued by corporations or governments and pay a fixed interest rate. A bond's market value fluctuates over time as it becomes more or less appealing to potential buyers. Bonds with superior quality (more likely to be paid on schedule) have lower interest rates.

Learn more about bonds, here:

https://brainly.com/question/29044708

#SPJ4

D. Net position classified either as restricted or unrestricted.and 2022 Luke spent $30,000 to install solar panels on his main home to reduce his energy cost this is the first year Luke has claimed this credit what is the maximum credit amount he can claim under the residential Energy Efficiency property credit $6,600 7,89,000 or 30,000

Answers

A restricted net position is only accessible when specific legal or contractual limitations exist. Unrestricted net position, on the other hand, is any remaining net position after the restricted net position has been taken into account.

The maximum credit amount that Luke can claim under the Residential Energy Efficiency Property credit after he spent $30,000 to install solar panels on his main home to reduce his energy cost for the first time in 2022 is $6,600.What is the Residential Energy Efficiency Property credit?The Residential Energy Efficiency Property credit is a non-refundable tax credit available for taxpayers who install qualified residential energy-efficient equipment in their primary residence.

The credit is limited to the cost of the equipment, installation fees, and related expenses, up to a maximum credit of $1,000 per year for each of the years 2006-2016.To clarify, the credit has since been expanded and is now available through 2023. Taxpayers who install qualified solar electric systems, solar water heaters, fuel cell systems, small wind turbines, or geothermal heat pumps can claim this credit.

To know more about position visit:

https://brainly.com/question/23709550

#SPJ11

Question 1: Some Canadian Labour market Data [25 marks] This question asks you to retrieve data from Statistics Canada website and conduct some basic empirical analysis. Once you have the data, any spreadsheet program, such as Microsoft Excel or Calc from the LibreOffice Suite (available freely for both Windows and Mac OS X operating systems), will work well for our purposes. Search for table 14-10-0017-01 (Labour force characteristics by sex and detailed age group, monthly, unadjusted for seasonality). You need to retrieve the following data series for the period January 2020 to August 2022: 1. Population, Canada, Both Sex, for two age groups, 15 to 64 years (working-age group) and & 64 to 69 years. 2. Unemployment Rate, Canada, Both Sex, 15 to 64 years. 3. Participation Rate, Canada, Both Sex, 15 to 64 years. 4. Employment Rate, Canada, Both Sex, 15 to 64 years. On August 10th 2022, the Toronto Star had the following headline: A higher percentage of Canadians between 15 and 64 are working now than before the pandemic-so why is there a labour shortage? a) Plot the unemployment rate, the employment rate, and the participation rate for the working-age group on the same graph. Add a secondary y-axis for the employment rate and the participation rate. [Note: Search for How to add a secondary axis on Excel]. Use your graph to confirm the first part of the headline ( A higher percentage of Canadians between 15 and 64 are working now than before the pandemic). Now, let's look at two excerpts from the article: "The 'Great Resignation' has been more of a U.S. story than a Canadian story," she said, noting the Canadian market saw workers switching jobs during the pandemic, but not entirely exiting the workforce. (Tricia Williams, director of research, evaluation and knowledge mobilization at the Future Skills Centre). b) Use your graph from part a) to discuss this statement. "We have more people exiting the labour market due to aging out than people entering the labour market due to coming of age." (Armine Yalnizyan, an economist and Atkinson Fellow on the Future of Workers) c) Find the growth rate of the population for the two groups (working-age and 64 to 69 years) during the sample period to discuss this statement.

Answers

The graph for unemployment rate, employment rate, and participation rate is given below: Explanation:As the graph depicts, the participation rate dropped dramatically during the start of the COVID-19 pandemic, particularly in March and April 2020, and then rebounded in the summer of 2020.

Despite the initial decline, the participation rate has remained reasonably constant since then. The employment rate initially fell in March and April of 2020 before beginning to recover throughout the remainder of 2020 and into 2021. However, there is a tiny dip in the summer of 2021, which is caused by the COVID-19 third wave. As of August 2022, the employment rate has almost entirely recovered to pre-pandemic levels.

The growth rate for the two groups can be calculated as follows: Growth rate of working-age group = (Population in August 2022 - Population in January 2020) / Population in January 2020

= (27,881,300 - 27,111,200) / 27,111,200 = 0.0284 = 2.84%

Growth rate of 64 to 69-year-old group =

(Population in August 2022 - Population in January 2020)

Population in January 2020 = (2,043,800 - 1,971,800) / 1,971,800 = 0.0364 = 3.64%  

The working-age group has grown by 2.84% and the 64 to 69-year-old age group has grown by 3.64% during the sample period. The data supports the statement that more people are exiting the labor market due to aging out than those joining the labor market.

To know more about employment visit:

https://brainly.com/question/17459074

#SPJ11

the ceo of the company you analyzed informs you that some of the
executive managers are getting into conflicting situations trying
to agree if they should adopt organizational change or innovation.
wh

Answers

Organizational change and innovation are necessary in any business that wants to remain competitive and successful.

While they are distinct, the two ideas are closely related and can be implemented together. It's important to understand the differences between organizational change and innovation in order to make an informed decision about which to pursue.

Organizational change refers to the process of restructuring a company's internal operations, procedures, and systems. This could include anything from implementing new technologies, changing work processes, to hiring new employees or moving to a new location. The goal of organizational change is to improve efficiency and effectiveness, reduce costs, and increase profitability.

On the other hand, innovation refers to the process of developing new products, services, or business models. Innovation can be in the form of new products that meet customer needs, improvements to existing products, or the development of entirely new products. The goal of innovation is to stay ahead of the competition, increase revenue, and attract new customers.

If some of the executive managers are getting into conflicting situations trying to agree on whether to adopt organizational change or innovation, it's important to recognize that both are necessary for success. Organizational change can help create an environment that is more conducive to innovation, while innovation can lead to organizational change by introducing new ideas and technologies.

To Know more about increase profitability.

https://brainly.com/question/31865083

#SPJ11

Laurel Enterprises expects earnings next year of $3.89 per share and has a 40% retention rate, which it plans to keep constant. Its equity cost of capital is 9%, which is also its expected return on new investment. Its earnings are expected to grow forever at a rate of 3.6% per year. If its next dividend is due in one year, what do you estimate the firm's current stock price to be? The current stock price will be $ (Round to the nearest cent.)

Answers

Laurel Enterprises is expected to earn $3.89 per share next year with a retention rate of 40%, which it plans to maintain. The equity cost of capital is 9%, which is also the expected return on new investment.

Its earnings are expected to grow perpetually at a rate of 3.6% per year. If its next dividend is due in one year, what would you estimate the current stock price to be. The current price of a stock is the present value of the expected future cash flows produced by the stock.

As a result, the stock's current price is calculated using the following formula:Po = (Do (1 + g)) / (r - g)where:Po is the stock's current price. Do is the expected dividend payment in one year. g is the expected growth rate of dividends.r is the discount rate, which is the equity cost of capital in this case.

g is greater than r in this scenario, which means that the perpetual growth rate is greater than the cost of equity, resulting in a negative denominator that is impossible to solve for. As a result, the Gordon model cannot be used for this firm since it does not generate a solution.

To know more about equity cost visit:

https://brainly.com/question/14041475

#SPJ11

during which stage of new product development will management most likey consider wheter the new product will cannibalize sales of the company's existing products

Answers

The stage of new product development during which management is most likely to consider whether the new product will cannibalize sales of existing products is the "Evaluation and Analysis" stage.

The evaluation and analysis stage is a critical phase in new product development where management assesses the potential of the new product and its impact on the company's existing products and market position. During this stage, management conducts a thorough analysis of various aspects, including market demand, customer needs, competitive landscape, and financial viability. Considering whether the new product will cannibalize sales of existing products is an important consideration during the evaluation and analysis stage. Management needs to assess the potential market share the new product can capture and how it may affect sales of their current offerings. They evaluate factors such as product differentiation, target market overlap, pricing strategy, and overall market demand to determine the potential impact on existing products.

learn more about development here :

https://brainly.com/question/29659448

#SPJ11

what are potential problems associated with gathering primary data in a foreign market?

Answers

Researchers should invest in cross-cultural training, work with local partners or experts, carefully design research instruments, and consider alternative data collection methods such as online surveys or virtual interviews.

Gathering primary data in a foreign market can present several challenges and potential problems. Firstly, language and cultural barriers may impede effective communication and understanding between the researchers and the local population. This can lead to misinterpretation of responses or inaccurate data collection.

Secondly, logistical challenges may arise due to unfamiliarity with local infrastructure, transportation, and geographical conditions. These can make it difficult to reach remote areas or specific target groups, limiting the representativeness of the data.

Additionally, legal and regulatory differences in foreign markets may impose restrictions on data collection methods or require obtaining permits and approvals, adding complexity and time constraints to the process.

Another potential problem is biased or unreliable responses. Respondents may be reluctant to provide honest or accurate information due to social desirability bias, fear of repercussions, or lack of trust in the researcher's intentions.

Lastly, cost considerations should be taken into account. Conducting primary research in a foreign market can be expensive due to travel expenses, hiring local translators or interviewers, and potential delays or difficulties in data collection.

To mitigate these problems, researchers should invest in cross-cultural training, work with local partners or experts, carefully design research instruments, and consider alternative data collection methods such as online surveys or virtual interviews.

Learn more about Researchers  from the link

https://brainly.com/question/968894

#SPJ11

Overview: Many public corporations - and even a few private companies - report what they do in terms of environmental, social, and economic performance. This can be termed sustainability reporting (or triple-bottom line reporting), and represents a "self- assessment". The companies often focus on a particular product or service they offer, and discuss how this offering impacts (or benefits) the environment. However, the quality of information that is reported, how the information is assessed, and how it is presented can vary tremendously. Using a scale of 0→10, with 0 being completely inadequate, and 10 being superior, score the corporate report in matrix format (see example below). Explain what elements you reviewed and how you arrived at this score. Note that the absence of a report does NOT necessarily mean the company will score "zero". You are basically evaluating how "good" the report is. You may consider the factors discussed in class, the GRI report guidelines, and other measures provided. For example: - Is there an environmental (mission) statement? - Is there a senior company official responsible for environment or sustainability? - Does the report use an "excessive" amount of green/blue imagery? - What is reported and for how long? - ... Etc. You may argue the points however you choose, but at the very least, present the information as shown below. If you wish to weight the issues, you may do so but include an explanation of why you think your weighting is appropriate for your analysis.

Answers

Evaluating sustainability reports involves considering elements such as mission statements, senior officials, imagery, content, guidelines adherence, stakeholder engagement, and transparency.

I apologize, but as a text-based AI, I am unable to evaluate or score specific corporate reports in real-time. Evaluating a sustainability report requires a comprehensive analysis of various factors, including the content, transparency, credibility, stakeholder engagement, and adherence to reporting guidelines. It also involves understanding the specific context and objectives of the company in question.

To evaluate a corporate report, you could consider the following elements and assign scores based on the quality and extent of their presence:

1. Environmental (mission) statement: Does the report include a clear and well-defined environmental mission statement? (Score: 0-10)

2. Senior company official responsible for environment or sustainability: Is there a designated high-level executive responsible for overseeing environmental or sustainability initiatives? (Score: 0-10)

3. Use of green/blue imagery: Does the report excessively rely on imagery without providing substantive content? (Score: 0-10)

4. Content and duration of reporting: What information is covered in the report, and for how many years has the company been reporting? (Score: 0-10)

5. Adherence to reporting guidelines: Does the report align with recognized reporting frameworks such as the Global Reporting Initiative (GRI) guidelines? (Score: 0-10)

6. Stakeholder engagement: Does the report demonstrate meaningful engagement with stakeholders and incorporate their perspectives? (Score: 0-10)

7. Transparency and credibility: Is the report transparent in disclosing environmental impacts, goals, and progress? Is the information presented in a credible and verifiable manner? (Score: 0-10)

These are just a few examples of the factors that can be considered when evaluating a sustainability report. Each element can be weighted based on its importance and relevance to the specific context of the company being assessed.

It's important to note that a comprehensive evaluation of a corporate report requires a detailed analysis and a thorough understanding of the specific company, its industry, and the reporting standards. It's recommended to consult the actual report and relevant guidelines to conduct a fair and accurate assessment.

To know more about stakeholder ,click here:

brainly.com/question/30241824

#SPJ11

What the organization wants to become and the scope of the firm in terms of its product or service would be identified in the organization's ____________.
A) goals
B) objectives
C) mission statement
D) values
E) lessons learned

Answers

The correct answer is: C) mission statement

The organization's mission statement typically identifies what the organization wants to become and outlines the scope of the firm in terms of its product or service. It is a concise statement that communicates the purpose and primary goals of the organization. The mission statement provides direction and serves as a guiding principle for the organization's overall strategy and decision-making. It helps to align the efforts of employees and stakeholders towards a common vision and defines the organization's unique value proposition in the market.

learn more about:- mission statement here

https://brainly.com/question/30639230

#SPJ11

SP 23 Serial Problem Business Solutions (Algo) LO P3
Santana Rey sees that Business Solutions’s line of computer desks and chairs is popular, and she is finding it hard to keep up with demand. Santana only has 791 direct labor hours available. She must determine the best sales mix given her limited hours. Information about the desks and chairs follows.
Desks Chairs Selling price per unit $ 1,031.00 $ 362.00 Variable costs per unit 490.00 200.00 Contribution margin per unit $ 541.00 $ 162.00 Direct labor hours per unit 4 hours 3 hours
Maximum demand per quarter 173 desks 44 chairs
student submitted image, transcription available below
Required:
Determine the best sales mix and the contribution margin the business will earn at that sales mix. (Round per unit amounts to 2 decimal places.)

Answers

Santana Rey is having a hard time keeping up with the demand as the line of computer desks and chairs of Business Solutions is popular. Santana only has 791 direct labor hours available.

She must decide on the best sales mix that can be created using her limited hours. Information about the desks and chairs is given in the table below: Desks Chairs Selling price per unit

$ 1,031.00 $ 362.00 Variable costs per unit $ 490.00 $ 200.00

Contribution margin per unit $ 541.00 $ 162.00

Direct labor hours per unit 4 hours 3 hours Maximum demand per quarter 173 desks 44 chairs The best sales mix can be determined through linear programming. The contribution margin per unit can be calculated as follows :

Contribution Margin = Selling price per unit - Variable cost per unit

For desks: Contribution Margin per unit = $1,031 - $490 = $541

For chairs: Contribution Margin per unit = $362 - $200 = $162

Let's assume that the company sells x desks and y chairs. The total number of direct labor hours used can be expressed as follows:4x + 3y ≤ 791The maximum demand per quarter is given as follows

The corner points for the graph are:

(0, 0), (173, 0), and (106.75, 44)

By substituting each of these corner points in the objective function, we get:

Point (0, 0) → Z = $0Point (173, 0) → Z = $93,493Point (106.75, 44) → Z = $76,607

The best sales mix would be 106.75 desks and 44 chairs. At this sales mix, the contribution margin would be $76,607.

To know more about demand visit:

https://brainly.com/question/30402955

#SPJ11

true or false the font you use can make your work look businesslike or casual.

Answers

the answer will be TRUE , you’re welcome

4.) The TP had the following personal expenses:
Real Property Taxes $ 4,900
2021 State income tax withholdings $ 3,200
Personal Property Taxes on family car:
[(2% x FMV of car ($35,000) + flat fee of $100)] = $ 800
Medical Bills $10,500
Home Mortgage Interest (from Form 1098) $ 9,600
Charitable contributions - public charities $ 3,000 (cash)
They made quarterly estimated payments toward their 2021 state income taxes: 4/15/21 - $500; 6/14/21 - $500; 9/14/21 - $500; 1/15/22 - $500.
If the TP’s AGI was $100,000, which of the following is correct?
Form 1040, Line 12 would be $25,600
Schedule A, Line 8b would be $9,600.
Schedule A, Line 5e would be $10,250.
Schedule A, Line 4 would be $3,750.
8.)If the TP in question 4 above had the filing status of married filing jointly, the amount on Form 1040, Line 12 (that is, Line 12c) should be:
$27,050.
$26,750.
$25,600.
$26,450.

Answers

The correct option is  $25,600.Explanation:In the given situation, the AGI (Adjusted Gross Income) of the TP is $100,000, and the TP made quarterly estimated payments toward their 2021 state income taxes:

4/15/21 - $500; 6/14/21 - $500; 9/14/21 - $500; 1/15/22 - $500.Real Property Taxes = $ 4,900State income tax withholdings = $ 3,200Personal Property Taxes on family car = $ 800Medical Bills = $10,500Home Mortgage Interest (from Form 1098) = $ 9,600Charitable contributions - public charities = $ 3,000 (cash)In order to determine the answer to this question, it's important to understand how each of these values is treated under the tax system. These items are recorded on Schedule A and used to itemize deductions, which can be subtracted from the TP's AGI to reduce taxable income.Schedule A, Line 4, would represent the total sum of the amount of taxes paid, which is $ 4,900 + $ 3,200 + $ 800 = $ 8,900Schedule A, Line 5e would represent the total sum of the amount paid for other state and local taxes, which is zero.Schedule A, Line 8b would represent the total amount paid for home mortgage interest, which is $ 9,600.The total amount of deductions that can be claimed by the TP is $ 8,900 + $ 10,500 + $ 9,600 + $ 3,000 = $ 32,000. Since this amount is greater than the standard deduction ($ 25,100 for married filing jointly), the TP should choose to itemize their deductions. Therefore, the Schedule A, Line 8b would be $ 9,600, Schedule A, Line 4 would be $ 8,900, and Schedule A, Line 5e would be zero. Finally, Form 1040, Line 12c would be $100,000 - $ 32,000 = $ 68,000, and Line 12 would be $25,100 + $ 32,000 = $ 57,100.Now, let's consider the filing status of married filing jointly.In this case, the standard deduction for the TP is $ 25,100, and the amount of taxable income is $ 100,000 - $ 32,000 - $ 500 - $ 500 - $ 500 - $ 500 = $ 66,000. Thus, the amount on Form 1040, Line 12 (that is, Line 12c) should be $ 66,000, and Line 12 would be $ 25,100 + $ 32,000 = $ 57,100. Therefore, the correct answer is $ 25,600 (Line 12) when the TP is filing jointly.

 

learn more about income here:

https://brainly.com/question/14732695

#SPJ11

Paul Sabin organized Sabin Electronics 10 years ago to produce and sell several electronic devices on which he had secured patents. Although the company has been fairly profitable, it is now experiencing a severe cash shortage. For this reason, it is requesting a $500,000 long-term loan from Gulfport State Bank, $100,000 of which will be used to bolster the Cash account and $400,000 of which will be used to modernize equipment. The company’s financial statements for the two most recent years follow:





Sabin Electronics


Comparative Balance Sheet


This Year Last Year


Assets


Current assets:


Cash $ 70,000 $ 150,000


Marketable securities 0 18,000


Accounts receivable, net 480,000 300,000


Inventory 950,000 600,000


Prepaid expenses 20,000 22,000


Total current assets 1,520,000 1,090,000


Plant and equipment, net 1,480,000 1,370,000


Total assets $ 3,000,000 $ 2,460,000


Liabilities and Stockholders' Equity


Liabilities:


Current liabilities $ 800,000 $ 430,000


Bonds payable, 12% 600,000 600,000


Total liabilities 1,400,000 1,030,000


Stockholders' equity:


Common stock, $15 par 750,000 750,000


Retained earnings 850,000 680,000


Total stockholders’ equity 1,600,000 1,430,000


Total liabilities and stockholders' equity $ 3,000,000 $ 2,460,000




Sabin Electronics


Comparative Income Statement and Reconciliation


This Year Last Year


Sales $ 5,000,000 $ 4,350,000


Cost of goods sold 3,875,000 3,450,000


Gross margin 1,125,000 900,000


Selling and administrative expenses 653,000 548,000


Net operating income 472,000 352,000


Interest expense 72,000 72,000


Net income before taxes 400,000 280,000


Income taxes (30%) 120,000 84,000


Net income 280,000 196,000


Common dividends 110,000 95,000


Net income retained 170,000 101,000


Beginning retained earnings 680,000 579,000


Ending retained earnings $ 850,000 $ 680,000




During the past year, the company introduced several new product lines and raised the selling prices on a number of old product lines in order to improve its profit margin. The company also hired a new sales manager, who has expanded sales into several new territories. Sales terms are 2/10, n/30. All sales are on account.





Required:



1. To assist in approaching the bank about the loan, Paul has asked you to compute the following ratios for both this year and last year:



a. The amount of working capital.



b. The current ratio.



c. The acid-test ratio.



d. The average collection period. (The accounts receivable at the beginning of last year totaled $250,000. )



e. The average sale period. (The inventory at the beginning of last year totaled $500,000. )



f. The operating cycle.



g. The total asset turnover. (The total assets at the beginning of last year were $2,420,000. )



h. The debt-to-equity ratio.



i. The times interest earned ratio.



j. The equity multiplier. (The total stockholders’ equity at the beginning of last year totaled $1,420,000. )





2. For both this year and last year:



a. Present the balance sheet in common-size format for both this year and last year.



b. Present the income statement in common-size format down through net income for both this year and last year

Answers

To approach the bank about the loan, several financial ratios need to be computed for both this year and last year for Sabin Electronics. These ratios include working capital, current ratio, acid-test ratio, average collection period, average sale period, operating cycle, total asset turnover, debt-to-equity ratio, times interest earned ratio, and equity multiplier. Additionally, the balance sheet and income statement need to be presented in common-size format for both years.

1. Financial Ratios:

a. Working capital: This is calculated by subtracting current liabilities from current assets.

b. Current ratio: This ratio is determined by dividing current assets by current liabilities.

c. Acid-test ratio: Also known as the quick ratio, it is computed by dividing quick assets (current assets excluding inventory) by current liabilities.

d. Average collection period: It is found by dividing accounts receivable by average daily sales.

e. Average sale period: Calculated by dividing inventory by average daily cost of goods sold.

f. Operating cycle: The sum of the average collection period and average sale period.

g. Total asset turnover: Calculated by dividing net sales by average total assets.

h. Debt-to-equity ratio: This ratio is determined by dividing total debt by total equity.

i. Times interest earned ratio: Computed by dividing net operating income by interest expense.

j. Equity multiplier: This ratio is found by dividing total assets by total equity.

2. Common-size Statements:

a. The balance sheet in common-size format expresses each item as a percentage of total assets.

b. The income statement in common-size format presents each item as a percentage of net sales.

To know more about financial ratios here: brainly.com/question/31531442

#SPJ11

The following data is available about the customers’ desires for a product and the product specifications to meet the customers’ desires, which are:
Product
Specifications
_______________________
Client's
requirements
Electric Power
Requirements
aluminum components automatic focus automatic display automatic stirring design rank of
importance to
the customer
light weight 1 4 2 3
Ease of use 2 3 2 2 4 3
Reliability 3 4 4 3 5
Ease of installation 3 2
No double display 5 4
Rank of importance to the organization
Required:
A- Calculate the rank of importance to the organization?
B- Ranking the priority of the organization, giving justifications?
note:

Answers

A. Calculation of the rank of importance to the organization The table below illustrates the rank of importance of customers' requirements and product specifications for the organization.

Rank of Importance to the Organization Product Specifications Customer Requirements Product Specifications Rank Aluminum Components1Light Weight Rank of Importance to the Customer Ease of Use2No Double Display Rank of Importance to the Customer Automatic Stirring2Ease of Use Ease of Installation3DesignReliability3ReliabilityAutomatic Display4Automatic Focus4Electric Power Requirements5B. Prioritization of the Organization, Giving Justifications1.

The organization should prioritize the reliability of the product specifications because it is of utmost importance to both the organization and the customer.2. The ease of use is also a top priority to customers, hence it should be given high priority by the organization.3. The organization should also prioritize the electric power requirements because it is of high importance to customers.4. Automatic stirring and double display should be given medium priority because they are essential to the customer. However, automatic display should be of less priority to the organization.

To know more about Calculation  visit :

https://brainly.com/question/30781060

#SPJ11

given the following data, calculate gdp: wages = $500 government spending = $2,500 private investment = $2,100 rent = $100 consumer spending = $7,800 net exports = $300

Answers

The GDP is $13,300.

The Gross Domestic Product (GDP) is calculated as the total market value of all goods and services produced within a country during a given period of time. The GDP is calculated to help determine the economic growth of a country, as well as to determine the standard of living of its citizens.

To calculate the GDP, one needs to add up all of the final goods and services produced in an economy during a particular period. Here's how to calculate the GDP using the data given:

wages = $500

government spending = $2,500

private investment = $2,100

rent = $100

consumer spending = $7,800

net exports = $300

To calculate the GDP, we need to add up all the values:

GDP = Wages + Government Spending + Private Investment + Rent + Consumer Spending + Net Exports

GDP = $500 + $2,500 + $2,100 + $100 + $7,800 + $300

GDP = $13,300

Therefore, the GDP is $13,300. This implies that the total market value of all goods and services produced within the economy is $13,300.

Learn more about the Gross Domestic Product (GDP) from the given link-

https://brainly.com/question/31199521

#SPJ11

15.
Suppose sudden and unexpected (but from a reputable source) news
headlines announce a substantial drop in the demand for a firm's
products. Which of the following will likely be true?

Answers

If a sudden and unexpected (but from a reputable source) news headlines announce a substantial drop in the demand for a firm's products, it is likely to experience a decrease in its production costs. It is also likely that the supply will exceed the demand, which leads to a surplus.

This, in turn, will cause the price of the products to decrease.The firm will also have to reduce its output in the short run. The fall in demand can lead to lower profits or even losses for the firm. This will force the firm to reduce its labor force and investments. A drop in demand can also lead to reduced economic activity in the region or even the whole country.The firm may also be required to adjust its marketing strategy to increase demand for its products. For example, it may have to undertake aggressive marketing campaigns to promote its products.

Alternatively, the firm can also opt to discontinue the production of products with low demand to minimize losses.In conclusion, sudden and unexpected (but from a reputable source) news headlines announce a substantial drop in the demand for a firm's products leads to a fall in profits, excess supply, reduced economic activity, and a drop in price.

To know more about production costs visit :

https://brainly.com/question/24086530

#SPJ11

Other Questions
Sally's assessable income for \( 2021 / 22 \) is \( \$ 30100 \). She has \( \$ 536 \) allowable deduction. How much is Sally's individual income tax payable? Taxable Income Tax on this income A student's course grade is based on one midlerm that counts as 10% of his final grade, one class project that counts as 20% of his final grade, a set of homework assigninents that counts as 45% of his final grade, and a final exam that counts as 25% of his final grade his midterm score is 69. his project score is 80 , his homework score is 75 , and his final exam score is 61 What is his overall final score? What letter grade did he earn (A,B,C,D, or F)? Assume that a mean of 90 or above is an A, a mean of at least 80 but less than 90 is a B. and so on. His overal final score is (Type an integer or a decimal Do not round) the second step in the problem-solving process is to plan the ____, which is the set of instructions that, when followed, will transform the problems input into its output. Create the following 3 classes in separate files: a. Animal in file animal_file.py i. accepts and stores id and age through its constructor ii. print_data() method that prints id and age b. Tiger as subclass of Animal in file tiger_file.py i. accepts and stores id, age and stripe_count through its constructor. Passes id and age to superclass constructor and stores stripe_count in itself ii. make_voice() method that prints 'chuff' to console iii. print_data() method that first calls print_data() method of superclass and then prints stripe_count c. Lion as subclass of Animal in file lion_file.py i. accepts and stores id, age and pride_population through its constructor. Passes id and age to superclass constructor and stores pride_population in itself ii. make_voice() method that prints 'roar' to console ii. make_voice() method that prints 'chuff' to console iii. print_data() method that first calls print_data() method of superclass and then prints stripe_count c. Lion as subclass of Animal in file lion_file.py i. accepts and stores id, age and pride_population through its constructor. Passes id and age to superclass constructor and stores pride_population in itself ii. make_voice() method that prints 'roar' to console iii. print_data() method that first calls print_data() method of superclass and then prints pride_population main() Company JKW is listed in the Johannesburg stock Exchange as wellas the London Stock exchange.What type of corporate governance model is it likely to befollowing?(2 Marks)Gi Bard Inc. is currently comparing a potential implementation of Activity-Based Costing (ABC) with their current use of traditional costing and comparing the results. Bard creates two products: Candy Bars, 60,000 units; and lollipops, 82,000 units. Under ABC, Manufacturing Overhead (MOH) is allocated at $43,877.44 to candy bars and $32,781.90 to lollipops. Under traditional costing, MOH is allocated at $46,707.87 to candy bars and $29,915.47 to lollipops. Which of the following statements is correct?Unit cost will be higher for lollipops under traditional costing than ABC.Unit cost will be lower for candy bars under ABC than traditional costing.Unit cost will be lower for candy bars under traditional costing than ABC.Unit cost will be lower for lollipops under ABC than traditional costing. On average, police departments have 1.99 police officers (SD = 0.84) per 1,000 residents. The Bakersfield Police Department (BPD) has 2.46 police officers per 1,000 residents. answer the following questions:i. Convert the BPD police officer rate to a z score.ii. Find the area between the mean across all police departments and the z calculated in i.iii. Find the area in the tail of the distribution above z.SHOW ALL WORK! You answer is incorrectCarla Vista Potions, Inc. a pharmaceutical company, bought a machine at a cost of $2 million five years ago that produces pain-reliever medicine. The machine has been depreciated over the past five years, and the current book value is $824,000. The company decides to sell the machine now at its market price of $1 million. The marginal tax rate is 30 percentWhat are the relevant cash flowsRelevant cash flow $How do they change if the market price of the machine is $600.000 instead?Relevant cash flow3 Assignment For this assignment, use the IDE to write a Java program called "Helloworld" that prints "Hello, world!" (without the quotation marks) to the output window. Then, export the project as a zip file (named HelloWorld.zip) and then upload it to Canvas, following the submission instructions above. A nuclear power plant has the following name plate information: electric power generation capacity 1.1 GWe, with thermal to electrical conversion efficiency of 33.33%. The reactor core consists of 110 metric tons of 100% pure UO2. The uranium in UO2 is enriched in 235U to 5% and the rest is 238U. Typically, in a nuclear power plant a single fission releases 200 MeV of thermal energy. Note that 1 eV = 1.6 X 10-19 J.Now answer the following questions:How much thermal power (GW) is needed to produce the rated electric power? (Points 3) (i) 1.3 (ii) 2.3 (iii) 3.3 (iv) 4.3 (v) 5.3What is the rate of fission (fissions/sec, approx.) reaction necessary to produce this power? (Points 3) (i) 10^5 (ii) (ii) 10^10 (iii) 10^15 (iv) 10^20 (v) 10^25How much is the molecular weight of fuel (g/mole, approx..). (Points 3) (i) 32 (ii) 235 (iii) 238 (iv) 270 (v) 300What is the number of 235U moles (approx.) in the fuel/core. (Points 3) Ans. (i) 10382 (ii) 15382 (iii) 20382 (iv) 25382 (v) 30382 which of the following is the best explanation for why more great natural disasters are predicted to occur in the near future? a) There are more and more earthquakes and volcanic eruptions every year due to plate tectonics.b) The world economy is declining, and building standards are getting worse.c) Population growth, particularly in areas vulnerable to natural disasters, means that fatalities will be high.d) Global climate change means that earthquakes will become more frequent and stronger in intensity. please help!! need it fast, will give brainliest!! and pls show work !!Find the measure of angle AEB what eye disorder would contraindicate long-term use of ophthalmic corticosteroids? 3. Which version of The War of the Worlds, the novel by H. G. Wells or the radio dramatization by Orson Welles, is more realistic? Explain how the medium in which a story is presented affects whether audiences interpret the story as truth or fiction. Illustrate your answer using multiple pieces of evidence from the novel and the radio play. (30 points) Rubric: Response includes an introduction, body paragraphs, and a conclusion. Response takes a clear stance on the question posed in the prompt. Response provides multiple, detailed examples from both texts that support the argument. Response is organized, clear, and free of careless errors. Complete the following problems. Credit will only be given if you show your work. All answers should contain the correct number of significant figures. 1. An average person contains 12 pints of blood. The density of blood is 1.060 g/cm3. How much does your blood weigh in pounds? 2. At a pet store 1 notice that an aquarium has an advertised size of 0.50ft3. How many gallons of water will this aquarium hold? 3. One bag of Frito's corn chips contains 84 grams of corn. In the state of Arkansas, one bushel of corn is 56lbs. There are 170 bushels of corn produced per acre. One acre of corn has 30,000 ears of com. How many bags of Frito's can be produced from one ear of corn? 4. Codeine, a powerful narcotic, is often given after a surgical procedure. The codeine you obtain from the drug cabinet is 2.5mg/mL. How many mL would you administer to a patient if they needed to receive only 1.75mg of codeine? question 21 pts a random sample of size 13 is selected from men with hypertension. for each person, systolic blood pressure was measured right before and one hour after taking the medicine. the mean reduction of the blood pressures was 10.1 and the standard deviation of the difference was 11.2. in testing if there is sufficient evidence to conclude that the hypertension medicine lowered blood pressure, what is the p-value (round off to fourth decimal place)? assume normal population. abnormal forced extension beyond normal range of motion is called __________. Calvin cycle (light-independent reaction) of photosynthesis is NOT: a.Endergonic b.Anabolic c.ATP & NADPH dependent d.Exergonic walter b. cannon coined the term _________ to describe the process of maintaining the internal environment in a relatively constant condition. Find the lowest common denominator. 4/9=+5/18=