compared to other broadcast media, cable advertising is more likely to attract specialized audiences and encourage niche marketing. this characteristic of cable advertising is known as . group of answer choices personalcasting datacasting narrowcasting crowdcasting

Answers

Answer 1

The characteristic of cable advertising that is more likely to attract specialized audiences and encourage niche marketing is known as narrowcasting.

Compared to other broadcast media, cable advertising has the ability to target specific and specialized audiences, which is referred to as narrowcasting.

allows advertisers to tailor their messages and content to reach a specific niche market or demographic. Unlike broadcasting, which aims to reach a broad and general audience, narrowcasting focuses on delivering content and advertisements to a specific group of people who share common interest , preferences, or characteristics. This targeted approach enables advertisers to maximize the relevance and effectiveness of their advertising campaigns, as they can tailor their messages to resonate with the specific needs and interests of the niche audience. By leveraging narrowcasting, advertisers can optimize their marketing efforts by reaching the right audience and potentially achieving higher engagement and conversion rates.

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Related Questions

Online auctions have changed the way auctioneers run auctions and buyers buy on auctions. Bidders can participate in an auction from anywhere and at anytime.
Discuss the advantages and disadvantages of online auctions. (25 marks)

Answers

Online auctions have revolutionized the way auctions are conducted, making it possible for bidders to participate in an auction from anywhere and at any time.

This has brought numerous advantages and disadvantages that are discussed below.Advantages of online auctions1. Convenient: Online auctions are very convenient for bidders who can participate in an auction from anywhere and at any time. 2. Saves time: Online auctions save time since bidders don't have to spend time traveling to an auction. They can bid on items from their homes or offices. This saves a lot of time, which can be used for other activities. 3. Greater access to goods: Online auctions offer bidders greater access to goods that may not be available locally. They can bid on items from all over the world, which increases their chances of finding what they are looking for.4. Transparency: Online auctions are more transparent since all bids are recorded and can be viewed by anyone.

Disadvantages of online auctions 1. Risk of fraud: Online auctions are prone to fraud, which can lead to bidders losing their money. 2. Lack of inspection: Online auctions don't allow bidders to inspect the items they are bidding on.3. Increased competition: Online auctions have increased competition, which can drive up the price of items.

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Open interest can: Select 6 correct answerts? be greater than the daily volume of trading decrease to one be zero be re-opened become negative be preater than 1000 be lower than the dally volume of trading be closed quadruple

Answers

Open interest is the number of unsettled contracts that are held bya market participnts. It is considered to be a measure of the flow of money into the futures or options market.

Open interest can:

Be zero

Be greater than the daily volume of trading

Be lower than the daily volume of trading

Become negative

Be reopened

Be closed

Open interest can vary, and it can be higher, lower, or equal to the volume of trading. In reality, the higher the open interest, the easier it is for traders to purchase or sell an asset in the market. Open interest, on the other hand, can be negative, zero, or even re-opened in the market.

A negative open interest is when there are more contracts that have been sold than have been bought. When a contract is purchased, it is usually a long contract, and when it is sold, it is usually a short contract. Therefore, a negative open interest occurs when more short positions are opened than long positions.

The zero open interest happens when the last trade is finished, and no contract exists in the market. Hence, the open interest is zero, which means no contracts exist. The reopened open interest happens when contracts that were earlier settled are opened up again and begin trading.

Open interest can be closed when a trader closes an existing position. Finally, it's worth noting that open interest can be quadruple, which means four times greater than the previous session's closing level.

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the number of kittens in a litter is an example of a discrete variable.

Answers

The number of kittens in a litter is an example of a discrete variable.

A discrete variable is a type of variable that can only take on specific, distinct values. In the case of the number of kittens in a litter, it is a discrete variable because it can only assume whole number values. Kittens are born in whole numbers, such as 1, 2, 3, and so on, and fractional values or intermediate values between whole numbers are not possible.

Unlike continuous variables, which can take on any value within a certain range, discrete variables have a finite or countable number of possible outcomes. Each possible outcome of a discrete variable has an individual probability associated with it. In the case of the number of kittens in a litter, the probabilities would be assigned to each whole number value based on the likelihood of such occurrences.

Therefore, the number of kittens in a litter serves as an example of a discrete variable because it can only assume specific whole number values and does not have a continuous range of possible values

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Subject Personal Taxation
Please need the correct answers asap.
Thanks.
Choose the correct answer:-
i. Which
of the following statements is true of rental income:-
a.

Answers

i. Which of the following statements is true of rental income a. Rental income is taxable and must be reported on your personal tax return.

The correct answer is that rental income is taxable and must be reported on your personal tax return. Rental income includes any income received from renting out property, such as a house, apartment, or commercial space. It is considered taxable income by the tax authorities. When filing your personal tax return, you need to report the total amount of rental income you received during the tax year. Failure to report rental income accurately can result in penalties or legal consequences.

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Rental income is always tax-exempt.

b. Rental income is not subject to any deductions or allowances.

c. Rental income is taxable and should be reported on the individual's tax return.

d. Rental income is taxed at a higher rate compared to other types of income.

The correct answer is c. Rental income is taxable and should be reported on the individual's tax return.

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low-wage u.s. workers suffer from protectionism in all the industries that they don't work in, because: question 38 options: a) protectionism forces them to pay higher prices for basic necessities like clothing and food. b) protectionism will encourage foreign workers to take american jobs from american workers. c) protectionism provides a barrier to entry to the job markets that the low-wage earners want entry to. d) protectionism will prevent them from applying for those jobs in other industries.

Answers

The correct option that explains why low-wage U.S. workers may suffer from protectionism in all the industries they don't work in is option A: protectionism forces them to pay higher prices for basic necessities like clothing and food.

Protectionism, which involves imposing barriers such as tariffs or import restrictions, can lead to higher prices for goods and services that are produced domestically. When industries are protected from foreign competition, it reduces the options available to consumers and limits their ability to access lower-cost alternatives. As a result, low-wage workers who may already be struggling financially may experience difficulty in affording basic necessities like clothing and food, as the prices of these goods can be artificially inflated due to protectionist measures.

While options B, C, and D touch upon other aspects of protectionism, such as the impact on job opportunities and barriers to entry, option A directly addresses the specific consequence of higher prices for basic necessities that affect low-wage U.S. workers.

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Term Paper: You will pick a Fortune 500 company and complete an analysis of the company. Details will be in the portal. The grading will be 0-100 and is due the last day of class You need to pick a Fortune 500 company This needs to be submitted in PowerPoint.

1) Introduction

2) Company financial highlights for the past three years

3) An overview of ratios to a competitor and how could they be improved?

4) A review of the asset side and liability side of the balance sheet. Describe how the firm manages each side, do they take on a lot of debt? do they use debt to finance assets?

5) A recap of corporate governance. Describe how they structure this, who is involved and where can they improve.

6) A final review and any recommendations based off the material you learned in class.

Answers

To complete this term paper, you will need to select a Fortune 500 company and conduct an analysis of the company's financial performance and corporate governance practices. The paper should be submitted in PowerPoint format and include the following sections:

1) Introduction: Provide an overview of the selected company, including its industry, size, and key products or services.

2) Company financial highlights for the past three years: Present key financial data for the company, such as revenue, net income, and earnings per share, for the past three years. This will help provide a snapshot of the company's financial performance over time.

3) An overview of ratios compared to a competitor and how they could be improved: Compare the selected company's financial ratios (such as profitability ratios, liquidity ratios, and solvency ratios) to those of a competitor in the same industry. Analyze the differences and identify areas where the company could improve its financial performance.

4) A review of the asset side and liability side of the balance sheet: Examine how the company manages its assets and liabilities. Determine if the company takes on a significant amount of debt or uses debt to finance its assets. Discuss the implications of this strategy on the company's financial stability and profitability.

5) A recap of corporate governance: Describe how the company structures its corporate governance, including the composition and roles of the board of directors and key executives. Evaluate the effectiveness of the company's corporate governance practices and identify areas for improvement.

6) A final review and recommendations: Summarize the main findings from the analysis and provide recommendations based on the material learned in class. These recommendations should be actionable and aimed at improving the company's financial performance and corporate governance practices.

Remember to support your analysis with relevant examples and data from reputable sources. A well-structured and comprehensive term paper will demonstrate your understanding of the company's financial performance and the importance of effective corporate governance.

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all of the following are correct regarding additional supplementary payments except: a: supplementary payments are paid in addition to the limits of liability b: supplementary payments will increase the premiums c: supplementary payments may reimburse an employee for a day of lost wages if they have to give a deposition in court d: supplementary payments are limited to specific amounts in the contract

Answers

Supplementary payments are additional payments made to an insured party that have exceeded the limits of liability. These payments help to cover costs such as legal fees, court expenses, and lost wages that might be incurred as a result of a claim.

According to the given options, the incorrect statement regarding additional supplementary payments is: d) Supplementary payments are limited to specific amounts in the contract.Supplementary payments are not limited to a specific amount in the contract. They are paid out when an insured person exhausts the limits of liability on a policy and still has outstanding expenses.In general, supplementary payments are designed to support and ease the financial burden on the insured when making a claim. Therefore, it can be assumed that supplementary payments may increase premiums, but they are not limited to a specific amount and may cover lost wages when an employee has to give a deposition in court.

To summarize, Option d is not correct regarding additional supplementary payments. It states that the supplementary payments are limited to specific amounts in the contract. However, the remaining statements in the given options are correct, and supplementary payments are made in addition to the limits of liability and may reimburse an employee for a day of lost wages if they have to give a deposition in court.

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1. Will there be any negative effects from Greg Zehr and Tom Taylor retireing from the Amazon team? How will Amazon continue to strive withouth Greg and Tom. How long do you think it will be until they find permanant replacements for thier jobs?

2. The IPO market is currently in a massive slowdown. What are the negative effects of this slowdown? What will it take for this market to boom again?

Answers

The retirement of Greg Zehr and Tom Taylor from the Amazon team may have some negative effects, but Amazon is a large and diverse company that has strategies in place to ensure its continued success.

Here's how Amazon can strive without Greg and Tom:
a) Succession Planning: Amazon likely has a well-defined succession plan in place to identify and train suitable replacements for key positions. This ensures a smooth transition and minimizes any potential disruptions.

b) Collaborative Culture: Amazon encourages a collaborative work environment, where employees work in teams and share knowledge. This allows for the seamless transfer of expertise and minimizes the impact of individual departures.

c) Recruitment and Hiring: Amazon has robust recruitment processes to attract top talent from diverse backgrounds. They may actively search for candidates with relevant skills and experience to fill the positions left vacant by Greg and Tom.

The time it takes to find permanent replacements can vary depending on the specific roles and the availability of suitable candidates. Amazon may expedite the hiring process by utilizing their extensive network and conducting thorough interviews and assessments.

In conclusion, while the retirement of key individuals like Greg and Tom may have some impact on Amazon, the company's robust strategies and resources enable it to continue striving. Similarly, the slowdown in the IPO market can have negative consequences, but a combination of favorable economic conditions, strong company performance, and a supportive regulatory environment is necessary for its boom again.

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No More Standing is a retailer of office chairs located in San Francisco, California. Due to increased market competition, the CFO of No More Standing has grown worried about the firm's upcoming income stream. The CFO asked you to use the company financial information provided below.

Sales price $ 82.00
Per-unit variable costs:
Invoice cost 42.10
Sales commissions 18.65
Total per-unit variable costs $ 60.75
Total annual fixed costs:
Advertising $ 56,350
Rent 78,700
Salaries 226,700
Total annual fixed costs $ 361,750
The annual breakeven point, in unit sales, is:

Multiple Choice

8,024 units.

17,024 units.

29,024 units.

6,024 units.

12,024 units.

Answers

The breakeven point gives us approximately 2. 17,024 units. The correct option is 2. 17,024 units.

To calculate the annual breakeven point in unit sales, we need to determine the number of units that need to be sold in order to cover the total annual fixed costs.

Breakeven point (in units) = Total fixed costs / Contribution margin per unit

The contribution margin per unit is calculated by subtracting the total per-unit variable costs from the sales price.

Contribution margin per unit = Sales price - Total per-unit variable costs

Contribution margin per unit = $82.00 - $60.75

Contribution margin per unit = $21.25

Now, we can calculate the annual breakeven point:

Breakeven point (in units) = Total fixed costs / Contribution margin per unit

Breakeven point (in units) = $361,750 / $21.25

Calculating the breakeven point gives us approximately 17,024 units.

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Needing these 3 parts for this question please!
The owner of a specialty coffee shop wants to study the coffee purchasing habits of customers at her shop. She selects a random sample of 60 customers during a certain weel with the following results:

Answers

The owner of the specialty coffee shop conducted a survey with the purpose of studying the coffee purchasing habits of customers at her shop.

A random sample of 60 customers was selected during a certain week.

Following are the results:

Number of customers who ordered only brewed coffee - 22Number of customers who ordered only espresso - 18Number of customers who ordered both brewed and espresso coffee - 20Total number of customers surveyed - 60

The above results can be presented as a Venn diagram, with the number of customers who ordered only brewed coffee in the left circle, the number of customers who ordered only espresso in the right circle, and the number of customers who ordered both brewed and espresso coffee in the overlapping region.

According to the survey, the majority of customers surveyed ordered brewed coffee, with 22 out of 60 customers ordering only brewed coffee.

Only 18 out of 60 customers ordered only espresso, while 20 out of 60 customers ordered both brewed and espresso coffee.

The above results indicate that the specialty coffee shop should prioritize brewed coffee in their menu and promotional campaigns.

They can also consider introducing new flavors or blends of brewed coffee to attract more customers.

The survey also shows that the shop should continue offering espresso, but it may not be as popular as brewed coffee among its customers.

Therefore, they should focus on improving the quality and taste of espresso to cater to the needs of the minority of customers who prefer espresso.

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Unfortunately, your client had a relative that died overseas and he contacted you a Customs Broker/Freight Forwarder for assistance or services in importing the dead body. Briefly explain the step-by-step procedure for importing a dead body (human remains) in Jamaica.

Answers

Here is a general step-by-step procedure for importing a dead body (human remains) in Jamaica: Obtain the necessary documentation, Engage the services of a funeral home, Coordinate with the funeral home in the foreign country, Contact the relevant authorities, etc.

I'm sorry to hear about the loss of your client's relative. Importing human remains, also known as repatriating a deceased person, involves several steps and procedures. Here is a general step-by-step procedure for importing a dead body (human remains) in Jamaica:

Obtain necessary documentation: Your client will need to gather the required documentation, including the death certificate, embalming certificate, and a statement from the relevant health authority in the foreign country stating that the body is free from infectious diseases.

Engage the services of a funeral home: Your client should contact a funeral home or mortuary in Jamaica that has experience in handling international repatriation of human remains. The funeral home will guide them through the process and assist with the necessary arrangements.

Coordinate with the funeral home in the foreign country: The funeral home in Jamaica will need to communicate and coordinate with the funeral home or service provider in the foreign country where the death occurred. They will work together to ensure the proper preparation, embalming, and packaging of the body for transportation.

Contact the relevant authorities: Your client, or the funeral home on their behalf, will need to contact the relevant Jamaican authorities, such as the Ministry of Health or the Public Health Department, to inform them about the planned repatriation and seek their guidance and approval.

Obtain necessary permits and clearances: Your client will need to obtain the necessary permits and clearances from the Jamaican authorities. This may include a burial transit permit and an import permit for the human remains.

Arrange transportation: The funeral home will handle the logistics of transporting the human remains from the foreign country to Jamaica. This typically involves working with an airline or a specialized repatriation service to arrange for the transportation of the body.

Customs clearance: As a Customs Broker/Freight Forwarder, you will play a crucial role in assisting with the customs clearance process. You will need to prepare the necessary customs documentation, including the import declaration, and work with the customs authorities to ensure compliance with all applicable regulations and requirements.

Transportation to the final destination: Once the human remains have arrived in Jamaica, the funeral home will take custody and make the necessary arrangements for transportation to the final resting place, such as a cemetery or a funeral home for further services.

It's important to note that the specific requirements and procedures may vary depending on the country of origin and the regulations of the destination country. It is recommended to consult with the appropriate authorities, such as the Jamaican Ministry of Health or a licensed funeral director, to ensure compliance with all legal and regulatory obligations.

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a company obtained a short-term bank loan of $500,000 at an annual interest rate of 8%. as a condition of the loan, the company is required to maintain a compensating balance of $100,000 in its checking account. the checking account earns interest at an annual rate of 3%. ordinarily, the company maintains a balance of $50,000 in its account for transaction purposes. what is the effective interest rate of the loan?

Answers

A company obtained a short-term bank loan of 500,000 at an annual interest rate of 8%. As a condition of the loan, the company is required to maintain a compensating balance of 100,000 in its checking account.

The checking account earns interest at an annual rate of 3%. Ordinarily, the company maintains a balance of $50,000 in its account for transaction purposes.

The effective interest rate of the loan is calculated as follows; Calculation of compensating balance Interest Foregone Interest

[tex]= 3% x $100,000 = $3,000[/tex]

Cost of Compensating Balance= Foregone Interest / (Balance – Compensating Balance

[tex])= $3,000 / ($50,000 - $100,000) = $3,000 / -$50,000 = -0.06 or -6%[/tex]

Calculation of Effective Interest Rate Effective Interest Rate = (Annual Interest / (Balance - Compensating Balance) - Cost of Compensating Balance)=

[tex](0.08 / ($500,000 - $100,000)) - (-0.06)= 0.08 / $400,000 + 0.06= 0.0002 + 0.06= 0.0602 or 6.02%[/tex]

Therefore, the effective interest rate of the loan is 6.02%.

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For several years Orbon Inc. has followed a policy of paying a cash dividend of $0.45 per share and having a 10% stock dividend. In the 2020 annual report, Orbon reported restated earnings per share for 2018 of $2.70. Required: a. Calculate the originally reported earnings per share for 2018. b. Calculate the restated cash dividend per share for 2018 reported in the 2020 annual report for comparative purposes. (For all requirements, do not round intermediate calculations. Round your answer to 2 decimal places.) a. Earnings per share b. Dividend per share

Answers

The originally reported earnings per share for 2018 is $2.70 / 110 = $0.0245.

How to find?

To calculate the originally reported earnings per share for 2018, we need to consider the cash dividend and stock dividend.

The cash dividend per share is given as $0.45.

The stock dividend is 10% of the number of shares owned.

Let's assume initially there were 100 shares.

The number of stock dividends is calculated as 10% of 100 shares, which is 10 shares.

So, the total number of shares after the stock dividend is 100 + 10 = 110 shares.

To find the originally reported earnings per share, we divide the total earnings by the number of shares.

The total earnings per share is given as $2.70.

So, the originally reported earnings per share for 2018 is $2.70 / 110 = $0.0245 (rounded to 2 decimal places).

b. To calculate the restated cash dividend per share for 2018 reported in the 2020 annual report, we need to consider the originally reported earnings per share and the cash dividend policy.

The originally reported earnings per share for 2018 is $0.0245 (rounded to 2 decimal places).

The cash dividend per share is $0.45.

To find the restated cash dividend per share, we multiply the originally reported earnings per share by the cash dividend per share.

Restated cash dividend per share = $0.0245 * $0.45

= $0.011 (rounded to 2 decimal places).

Therefore, the restated cash dividend per share for 2018 reported in the 2020 annual report is $0.011.

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If a project owner wants to create a landscape with plants that require watering, which of the following is the minimum outdoor water reduction from a baseline required for a new office project?
A. 10%
B. 40% C. 30% D. 20%

Answers

So the correct option is C. 30%. To meet the minimum outdoor water reduction requirement for a new office project, there should be a reduction of at least 30% in outdoor water usage compared to baseline.

There are various types of projects based on their nature and objectives. Some common types include:

1. Construction project: Involving the building of physical structures.

2. IT projects: Focused on developing or implementing information technology systems or software.

3. Research projects: Conducted to explore and gather new knowledge in a specific field.

4. Marketing projects: Aimed at promoting products or services and expanding market reach.

5. Infrastructure projects: Focused on developing or improving public infrastructure, such as roads, bridges, or utilities.

Each type requires specific expertise and management approaches.

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At December​ 31,2020​,Credit Valley Nissan has an Accounts Receivable balance of$101,000. Allowance for Uncollectible Accounts has a credit balance of$2,000before the​ year-end adjustment. Service revenue for 2020 was $800,000. Credit Valley estimates that bad debt expense for the year is$8,000.

Make the December 31 entry to record bad debt expense. Show how the accounts receivable and the allowance for uncollectible accounts are reported on the balance sheet. Use the reporting format​ "Accounts receivable, net of allowance for uncollectible accounts ​$—​"in 2020.

Insert the value​ you've calculated for the allowance.

(Record debits​ first, then credits. Explanations are​ required.)

Journal Entry

Date

Accounts

Debit

Credit

Dec.

31

Allowance for Uncollectible Accounts

Answers

On December 31, 2020, Credit Valley Nissan recorded a journal entry to account for the bad debt expense. The Allowance for Uncollectible Accounts was debited for $8,000 to increase the balance in the allowance account, reflecting the estimated amount of uncollectible accounts for the year. The corresponding credit was made to the Bad Debt Expense account, recognizing the expense incurred.

On the balance sheet, the Accounts Receivable is reported as "Accounts Receivable, net of Allowance for Uncollectible Accounts." The net value is calculated by subtracting the allowance for uncollectible accounts from the total accounts receivable balance. In this case, the net accounts receivable would be $101,000 - $8,000 = $93,000. This presentation provides a more accurate representation of the accounts receivable by considering the estimated uncollectible amounts.

By reporting the accounts receivable net of the allowance for uncollectible accounts, Credit Valley Nissan provides a clearer view of the amount expected to be collected from customers. This helps stakeholders assess the company's financial position and manage the potential risks associated with uncollectible accounts.

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In the market for automobiles, suppose there was a technological advance in the production process for producing automobiles. Which of the following statements correctly illustrates the effect on supply? Multiple Choice The supply curve will shift from S 1

to S 2

: The supply curve wall shif from S 2

to S 1

. There will be movement from point x to point y.

Answers

In the market for automobiles, if there is a technological advance in the production process for producing automobiles, then the-A.  supply curve will shift from S1 to S2. This is the correct statement that illustrates the effect on supply.

What is the Supply Curve?

The supply curve is a graphical representation of the relationship between the price of a commodity and the quantity supplied.

The supply curve is a line that slopes upwards from left to right, indicating that an increase in the price of a commodity results in an increase in the quantity supplied by the supplier.

Supply Curve Shifts

The supply curve shifts due to changes in supply.

The supply of a commodity can be affected by various factors, including changes in production technology, input prices, and natural disasters. As a result, the supply curve shifts to the right or left.

The supply curve shifts to the right when supply increases, and it shifts to the left when supply decreases. This shift of the curve occurs when there is a change in one or more of the determinants of supply.

Therefore, in the market for automobiles, a technological advance in the production process for producing automobiles will cause the supply curve to shift from S1 to S2.

Hence, option A. is correct.

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Consider the same pedestrian foot over the bridge project and answer the following:
a. As the sole accountable person, it is challenging to manage the project efficiently. Therefore, you may have to decentralize the roles and activities associated with the project to the other stakeholders. Considering the decentralization of the accountability, create a RACI model to manage the progress and maintain the specified quality of the project.
b. Create an estimated budget for the project. (you may consider hypothetical data)

Answers

a.RACI stands for Responsible, Accountable, Consulted, and Informed. Each task in the project should be assigned one of these roles. Here is an example RACI model for the pedestrian foot over the bridge project:

Task| Responsible| Accountable| Consulted| Informed
---|---|---|---|---
Develop project scope| Project manager| Executive sponsor| Stakeholders, project team| N/A
Create project schedule| Project manager| Project sponsor| Stakeholders, project team| N/A
Determine project budget| Finance team| Project sponsor| Stakeholders, project team| N/A
Design pedestrian bridge| Architect| Project sponsor| Stakeholders, project team| N/A
Obtain necessary permits| Project manager| Executive sponsor| City officials, project team| N/A
Select construction company| Project manager| Project sponsor| Contractors, project team| N/A
Construct pedestrian bridge| Contractors| Project sponsor| Project manager, project team| N/A
Monitor progress| Project manager| Project sponsor| Stakeholders, project team| N/A
Close project| Project manager| Executive sponsor| Stakeholders, project team| N/A.

In order to manage the progress and maintain the specified quality of the pedestrian foot over the bridge project, decentralizing accountability is an effective method. A RACI model can be used to ensure that the right people are assigned the right roles.

b. Creating an estimated budget for the pedestrian foot over the bridge project will require the consideration of hypothetical data such as the type of bridge, length, and location. However, some key expenses that can be estimated include the following:
- Materials (e.g. concrete, steel): $500,000
- Labor (e.g. construction workers, engineers): $300,000
- Permits and fees: $50,000
- Equipment (e.g. cranes, trucks): $100,000
- Contingency fund (for unexpected expenses): $50,000
The total estimated budget for the pedestrian foot over the bridge project would be $1,000,000.

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1. Which kind of data would be the easiest way to obtain information about the content of dreams?
2. Most important advantage of B data is I tthaaatt they are based on what?

Answers

1. The easiest way to obtain information about the content of dreams is through self-reporting or subjective accounts provided by individuals who experienced the dreams.

2. The most important advantage of B data is that they are based on behavior or observations of individuals in real-world settings.

1. The easiest way to obtain information about the content of dreams is through self-reporting or subjective accounts provided by individuals who experienced the dreams. This type of data collection relies on the individual's own recollection and description of their dream experiences. Self-reporting methods include methods such as dream diaries or dream journals, where individuals record their dreams upon waking. They can also provide verbal or written descriptions of their dreams through interviews or surveys specifically designed to gather dream-related information.

While self-reporting provides valuable insights into the content of dreams, it is important to note that dream recall can be subjective and influenced by factors such as individual memory, attention, and personal interpretation. Dreams are often fleeting and may fade from memory quickly, so capturing detailed and accurate accounts can be challenging. Additionally, dreams are highly personal experiences, and individuals may have varying degrees of recall or ability to articulate their dream content.

2. The most important advantage of B data is that they are based on behavior or observations of individuals in real-world settings. B data, also known as behavioral data, are obtained by directly observing and recording people's actions, choices, or performance in natural or controlled environments. These data provide objective evidence of actual behaviors rather than relying on self-report or subjective accounts.

The key advantage of B data is their objectivity and reliability. They offer an external perspective on people's actions and can be used to study various aspects of human behavior, such as decision-making, problem-solving, social interactions, and performance in different tasks or situations. B data are less influenced by memory biases or individual interpretations compared to self-reported data.

Furthermore, B data often allow for quantitative analysis and statistical inference, enabling researchers to identify patterns, correlations, and cause-effect relationships in behavior. They provide a solid foundation for making empirical observations and drawing meaningful conclusions.

However, it's important to note that B data have their limitations as well. They may not capture the full complexity of human experience, emotions, or subjective factors that influence behavior. Additionally, ethical considerations must be taken into account when collecting behavioral data, ensuring informed consent, privacy protection, and adherence to ethical guidelines.

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The cost for a business to buy an item is $100, and it is marked up by 10% of cost. During a sale it is marked down by 10% of selling price. • Both on-sale price and cost are $99 • The on-sale price is less than cost • The on-sale price is the same as the cost
• Both on-sale price and cost are $110

Answers

The two options that are consistent with the given information are; B) The on-sale price is less than the cost.C) The on-sale price is the same as the cost.

Given that the cost for a business to buy an item is $100, it is marked up by 10% of cost.

During a sale it is marked down by 10% of the selling price.

We need to determine the four options (A, B, C, D) that are consistent with the given information.

A) Both on-sale price and cost are $99:

On-sale price = Cost - Mark up price

= 99 - (10/100) × 100

= $89.10

Let’s calculate the new price during the sale;

Selling price = On-sale price + Discount

= 89.10 - (10/100) × 89.10

= $80.19

Hence, option A is not consistent with the given information.

B) The on-sale price is less than cost:

This is true. Option B is consistent with the given information.

C) The on-sale price is the same as the cost:

This is false. The on-sale price is less than the cost.

Option C is not consistent with the given information.

D) Both on-sale price and cost are $110:Cost = $100;

On-sale price = $110 - (10/100) × 110

= $99

Let’s calculate the new price during the sale;

Selling price = On-sale price + Discount

= 99 - (10/100) × 99

= $89.10

Hence, option D is not consistent with the given information.

The two options that are consistent with the given information are;B) The on-sale price is less than cost.C) The on-sale price is the same as the cost.

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Bay Transport Systems​ (BTS) currently has $ 60 million in debt outstanding. In addition to 7.5 % ​interest, it plans to repay 4 % of the remaining balance each year. If BTS has a marginal corporate tax rate of 35 %​, and if the interest tax shields have the same risk as the​ loan, what is the present value of the interest tax shield from the​ debt?

Answers

The present value of the interest tax shield from the debt is $17,959,487.

When a company incurs interest payments on its debt, the interest tax shield lowers its taxes, thus reducing its after-tax cost of debt. The interest tax shield can be calculated by multiplying the interest paid on debt by the corporation's tax rate.

BTS (Bay Transport Systems) has the following details;

Debt Outstanding (D) = $60 million

Interest rate (i) = 7.5%

Payment of principal amount each year (pp) = 4%

Remaining balance (r) = (1 - pp) × D

= 0.96 × $60 million

= $57.6 million

Marginal corporate tax rate (T) = 35%

To calculate the present value of the interest tax shield, we need to calculate the present value of each year's tax shield due to interest payments and then sum these present values.

The present value of the interest tax shield can be calculated using the formula;

PV(Tax Shield) = Tc × i × D / (1 - (1 + i)^(n+1) / (1 + i))

where n is the number of years over which the interest is paid.To calculate the number of years, we divide the remaining balance by the annual payment of the principal amount.

n = r / (pp × D)

= $57.6 million / (0.04 × $60 million)

= 24 years

Therefore, the present value of the interest tax shield can be calculated as follows;

PV(Tax Shield) = 0.35 × 0.075 × $60 million / (1 - (1 + 0.075)^(24+1) / (1 + 0.075))

PV(Tax Shield) = $17,959,487

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aylor is the president and sole shareholder of boxer, incorporated, a regular corporation. the corporation reported taxable income of $435,000 after deducting taylor's $800,000 salary. if the irs disallowed $550,000 of the salary as unreasonable compensation, the corporation's regular income tax will change by a: multiple choice

Answers

The regular income tax for the corporation would decrease.apologies for the brevity.

the corporation's regular income tax will change by a:

b. decreas

the disallowance of $550,000 of taylor's salary as unreasonable compensation would reduce the deductible expenses for the corporation. as a result, the taxable income of the corporation would increase, leading to a higher tax liability. when the irs disallows a portion of the salary as unreasonable compensation, it means that they consider that portion to be excessive and not justified based on the services provided. the disallowed amount is added back to the corporation's taxable income.

in this case, the corporation reported taxable income of $435,000 after deducting taylor's $800,000 salary. however, if the irs disallowed $550,000 of the salary as unreasonable compensation, it means that only $250,000 of the salary would be considered reasonable and deductible.

as a result of this adjustment, the corporation's taxable income would increase by $550,000, resulting in a higher tax liability.

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A fast food restaurant currently has 50 employees. Consider that each robot cannot work alone and instead requires exactly 2 workers to be functional. a. Which type of production function would best describe this scenario and why? (Leontief, Cobb-Douglas, Linear) (2) b. From a., assume the restaurant had been using the profit-maximizing number of robots and workers before. How would an increase in the cost of labor impact the optimal mix of capital and workers? (3) c.Consider instead this instead: robots can replace some workers. The first robot could replace 15 workers but the second only 9 workers and the third only 6 workers, and so forth. What production function is this (Leontief, Cobb-Douglas, Linear)? How would an increase in the cost of labor affect the optimal mix of capital and workers?

Answers

In this scenario, a Leontief production function would best describe the relationship between labor and capital because each robot requires exactly 2 workers to be functional.

If the cost of labor increases, the optimal mix of capital and workers would remain the same since the robots cannot replace any workers.

However, if the robots could replace a specific number of workers, this would be a Leontief production function as well.

In that case, an increase in the cost of labor would lead to a reduction in the number of workers replaced by each robot, affecting the optimal mix of capital and workers.

a. A Leontief production function would be the most suitable for this scenario because each robot requires exactly 2 workers to be functional. The Leontief production function assumes a fixed ratio between inputs, meaning that the output is determined by the minimum amount of labor and capital required. In this case, the output of the fast food restaurant is limited by the number of workers available to operate the robots, and each robot requires a fixed number of workers (2) to function.

b. If the restaurant had been using the profit-maximizing number of robots and workers before, an increase in the cost of labor would not impact the optimal mix of capital and workers. Since the robots require exactly 2 workers, the ratio of labor to capital is fixed, and the cost of labor does not affect the production decision. The restaurant would continue using the same number of robots and workers as before.

c. If the robots can replace a specific number of workers, this would still be described by a Leontief production function. However, the number of workers that can be replaced by each robot would vary. In this case, an increase in the cost of labor would impact the optimal mix of capital and workers. As the cost of labor increases, it becomes less cost-effective to replace workers with robots. The restaurant would reduce the number of workers replaced by each robot, adjusting the mix of capital and labor to optimize production costs.

In summary, a Leontief production function would best describe the scenario where each robot requires exactly 2 workers. If the robots can replace a specific number of workers, it would still be a Leontief function. An increase in the cost of labor would impact the optimal mix of capital and workers by reducing the number of workers that can be replaced by each robot.

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lucy, inc. owns 100% of the 40,000 outstanding shares of ricardo, inc. lucy currently carries the investment in ricardo account at $490,000 using the equity method of accounting. the carrying value of ricardo equals the fair value. ricardo issues 10,000 new shares to the public at $15.75 per share. lucy does not purchase any of the new shares. answer the following two questions: what is lucy's new ownership percentage after the new share issuance?

Answers

To determine Lucy's new ownership percentage after the new share issuance, we need to calculate the total number of shares outstanding for Ricardo, Inc. both before and after the issuance. , after the new share issuance, Lucy's new ownership percentage in Ricardo, Inc. is 80%.

Given information:

- Lucy, Inc. owns 100% of the 40,000 outstanding shares of Ricardo, Inc.

- Ricardo issues 10,000 new shares to the public at $15.75 per share.

Total shares outstanding before the issuance: 40,000

Total shares outstanding after the issuance: 40,000 (existing shares) + 10,000 (newly issued shares) = 50,000

Lucy's ownership percentage after the new share issuance can be calculated as the number of shares owned by Lucy divided by the total number of shares outstanding.

Lucy's new ownership percentage = (Number of shares owned by Lucy / Total shares outstanding) * 100

Lucy's new ownership percentage = (40,000 / 50,000) * 100

Lucy's new ownership percentage = 80%

Therefore, after the new share issuance, Lucy's new ownership percentage in Ricardo, Inc. is 80%.

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balance sheet and income statement data indicate the following: line item description amount bonds payable, 10% (due in 2 years) $895,000 preferred 5% stock, $100 par (no change during year) 230,600 common stock, $50 par (no change during year) 1,811,900 income before income tax expense 343,693 income tax expense 71,845 common dividends paid 90,595 preferred dividends paid 11,530 based on the data presented, what is the times interest earned ratio? round your answer to two decimal places.

Answers

The time's interest earned ratio cannot be determined with the given information.

The time's interest earned ratio is a measure of a company's ability to cover its interest payments with its operating income. To calculate this ratio, we need two pieces of information: income before income tax expense and interest expense. However, the given information does not include the interest expense, which is necessary to calculate the time's interest earned ratio.

The formula for calculating the time's interest earned ratio is:

Times Interest Earned Ratio = Income Before Income Tax Expense / Interest Expense

Since the interest expense is not provided in the data, we cannot calculate the time's interest earned ratio.

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Marigold Toys has actual sales of $406000 and a break-even point of $280140. What is its margin of safety ratio?
31%
44.9%
69%
245%


Answers

If Marigold Toys has actual sales of $406000 and a break-even point of $280140, then its margin of safety ratio is A. 31%.

What is it and how to find?

The margin of safety ratio is a measure of how far actual sales exceed the break-even point. It is calculated by subtracting the break-even point from actual sales, dividing the result by actual sales, and multiplying by 100 to express it as a percentage.

In this case, Marigold Toys has actual sales of $406,000 and a break-even point of $280,140. To calculate the margin of safety ratio, we can use the following formula:

Margin of Safety Ratio = (Actual Sales - Break-even Point) / Actual Sales * 100

Plugging in the given values:

Margin of Safety Ratio = ($406,000 - $280,140) / $406,000 * 100

Simplifying the equation:

Margin of Safety Ratio = $125,860 / $406,000 * 100

Calculating the ratio:

Margin of Safety Ratio = 0.309 * 100

Margin of Safety Ratio = 30.9%

Therefore, the margin of safety ratio for Marigold Toys is 30.9%.

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Which of the following below increases cash? A. depreciation expense B. acquisition of treasury stock C. borrowing money by issuing a six-month note D. the declaration of a cash dividend

Answers

C. borrowing money by issuing a six-month note increases cash.

Borrowing money by issuing a note increases cash because it involves receiving funds from a lender, which increases the cash balance of the borrowing entity. This is a form of external financing that adds cash to the company's available funds.

A. Depreciation expense does not increase cash. Depreciation is a non-cash expense that reflects the allocation of the cost of an asset over its useful life. It reduces the reported net income but does not impact cash flow.

B. Acquisition of treasury stock typically involves using cash to buy back shares of a company's own stock. This reduces the cash balance rather than increasing it.

D. The declaration of a cash dividend reduces cash because it involves distributing cash to shareholders as a return on their investment.

Therefore, the correct answer is C. borrowing money by issuing a six-month note.

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In which of the following types of market structure would the firmsnever pay for advertising for their firm’s individual productiona.perfect competition b.monopolisticcompetition.c.oligopoly.d.monopoly.

Answers

Firms in a perfect competition would never pay for advertising for their individual production.Perfect competition is a market structure in which numerous small firms are present and no single firm can control the price of the product.

There are also a large number of buyers in the market. In a perfect competition, advertising is not necessary for a firm’s individual production as it will not affect the market price. This is because the price is determined by the market demand and supply forces.

The characteristics of a perfectly competitive market include the following:There are numerous buyers and sellers, and no single seller has a significant market share. In other words, all the firms produce identical products that are indistinguishable from each other.

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During the year, the company produced and sold 60,000 units of the product at a selling price of \( \$ 7.00 \) per unit. The company had no inventory at the beginning of the year. Required: Prepare a

Answers

Given data: During the year, the company produced and sold 60,000 units of the product at a selling price of $7.00 per unit. The company had no inventory at the beginning of the year.

We have to prepare a statement of Cost of Goods Sold.

Here, we will be using the formula:

Cost of Goods Sold

= Beginning Inventory + Purchases – Ending Inventory.

Initially, there is no inventory at the beginning of the year. So, the formula becomes:

Cost of Goods Sold

= 0 + Purchases – Ending Inventory Now, we have to find the Purchases.

We know that 60,000 units were sold during the year at a selling price of $7.00 per unit. Hence, the total revenue earned during the year will be: $7.00 × 60,000 units = $420,000Now, we need to find the cost of the goods that were sold. It includes the cost of the raw materials, cost of labor, and manufacturing overheads. This is also known as the cost of goods manufactured (COGM). To calculate COGM, we need to consider the total cost of the direct materials used, direct labor cost, and manufacturing overhead cost. COGM is given by the formula: COGM = Beginning Inventory of WIP + Manufacturing Costs – Ending Inventory of WIP The beginning and ending inventories of work in progress are assumed to be zero. Thus, the formula becomes: COGM = Manufacturing Costs Manufacturing costs include direct material, direct labor, and manufacturing overhead costs. We will now calculate these costs. Direct Materials: No information is given about the number of raw materials purchased or used during the year. Hence, we will assume that all materials were used in production. Therefore, the cost of raw materials will be equal to the cost of goods sold. We can use the given selling price and the total number of units sold to find the cost of goods sold.

Cost of Goods Sold

= Selling Price × Number of Units Sold$420,000 = $7.00 × 60,000 units.

Therefore, the cost of the raw materials used during the year is $420,000. Direct Labor: No information is given about the total cost of direct labor. Hence, we will assume that it is 30% of the manufacturing overhead cost. Manufacturing overhead cost is calculated in the next step. Manufacturing Overhead Cost: No information is given about the total manufacturing overhead cost. Hence, we will assume that it is equal to 60% of the total manufacturing cost. Total manufacturing cost is the sum of the cost of direct materials and direct labor.

Total manufacturing cost is given by: Total Manufacturing Cost = Direct Material Cost + Direct Labor Cost.

Therefore, Direct Labor Cost

= 30% of Total Manufacturing Cost Manufacturing Overhead Cost

= 60% of Total Manufacturing Cost.

Total Manufacturing Cost = Direct Material Cost + Direct Labor Cost

= $420,000 (Direct Material Cost) + 0.3 × Total Manufacturing Cost

= $420,000 + 0.3 × ($420,000 + Direct Labor Cost)

= $420,000 + 0.3 × ($420,000 + 0.3 × Total Manufacturing Cost)

Solving for Total Manufacturing Cost, we get:

Total Manufacturing Cost

= $600,000Manufacturing Overhead Cost = 60% × $600,000= $360,000Now, COGM

= Manufacturing Costs

= Direct Material Cost + Direct Labor Cost + Manufacturing Overhead Cost

= $420,000 + 30% of Total Manufacturing Cost + $360,000= $420,000 + $180,000 + $360,000= $960,000.

Thus, the cost of goods sold is Cost of Goods Sold = Purchases – Ending Inventory$960,000 = Purchases – Ending Inventory The statement of Cost of Goods Sold for the given year is prepared. The cost of goods sold is $960,000. We assume that there was no beginning inventory of raw materials, work in progress, or finished goods.

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which are payout and growth rate ratios? group of answer choices internal growth rate retention ratio dividend payout ratio sustainable growth rate

Answers

The payout ratios mentioned are the dividend payout ratio and the retention ratio, while the growth rate ratios are the internal growth rate and the sustainable growth rate. The retention ratio reflects the percentage of earnings retained by the company for growth and expansion.

The payout and growth rate ratios mentioned in the options are as follows:

Dividend Payout Ratio: The dividend payout ratio is a financial ratio that indicates the proportion of earnings paid out as dividends to shareholders. It is calculated by dividing the dividends paid by the net income of the company. The dividend payout ratio reflects the percentage of profits distributed to shareholders as dividends, and the remaining portion is retained by the company for reinvestment or other purposes.

Retention Ratio: The retention ratio, also known as the plowback ratio or retention rate, is the proportion of earnings that a company retains for reinvestment in its business rather than distributing them as dividends. It is calculated by subtracting the dividend payout ratio from 1 or dividing the retained earnings by the net income.

The other two ratios mentioned in the options are:

Internal Growth Rate: The internal growth rate is a measure of a company's ability to grow its operations using only internal resources (i.e., without external financing or additional equity issuance). It is calculated by multiplying the company's return on assets (ROA) by its retention ratio. The internal growth rate represents the maximum rate at which a company can grow its sales, earnings, and assets without the need for external funding.

Sustainable Growth Rate: The sustainable growth rate is a financial metric that determines the maximum rate at which a company can grow its sales, earnings, and dividends while maintaining its target capital structure and financial stability. It takes into account the company's profitability, dividend payout ratio, and its ability to generate internal funds for growth. The sustainable growth rate helps assess the company's long-term growth potential without relying on excessive debt or equity issuance.

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Suppose the spot exchange rate S(NZD/AUD) is 1.1000 (NZD per AUD). What is the real exchange rate, Q(NZD/AUD), if the price level in New Zealand is 103 as compared to 112 in Australia? Note: NZD = New Zealand Dollars; AUD = Australian Dollars. Show all workings. Keep your answer to four decimal places. Interpret your answer with respect to the perspective of an Australian citizen buying goods in New Zealand with Australian Dollars (AUD).

Answers

Australian citizen buying goods in New Zealand with Australian Dollars (AUD) will get 1.1466 NZD for 1 AUD. This means, the goods in New Zealand will be cheaper for Australian citizen as the Australian dollar has more purchasing power in New Zealand.

Given data:

Spot exchange rate S(NZD/AUD) = 1.1000

Price level in New Zealand = 103

Price level in Australia = 112

We need to find:

Real exchange rate, Q(NZD/AUD)

Real exchange rate formula: [tex]$Q=\frac{S}{\left(\frac{P_{NZ}}{P_{AUS}}\right)}$[/tex]

Where,

S = spot exchange rate

Q = real exchange rate

[tex]$P_{NZ}$[/tex] = Price level in New Zealand

[tex]$P_{AUS}$[/tex] = Price level in Australia

Putting the values in the formula:

[tex]Q(NZD/AUD) = S(NZD/AUD) / $\left(\frac{P_{NZ}}{P_{AUS}}\right)$[/tex]

[tex]Q(NZD/AUD) = 1.1000 / $\left(\frac{103}{112}\right)$[/tex]

Q(NZD/AUD) = 1.1466 (approx)

Therefore, the real exchange rate is 1.1466 NZD per AUD.

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