Following data is available from the financial statement ofFacbookIncin2017
Purchases ofproperty and equipment $ 6,733
Purchases of marketable securities $25,682
Sales of marketable securities $9.444
Maturities of marketable securities $ 2,988
Acquisitions ofbusinesses, net ofcash acquiredand purchases ofintangible assets $122
Deferred revenue $40
Prepaid expenses and other current assets S192
Taxes paid related to net share settlement of equity awards $3,246
Principal payments on capital lease and other financing obligations $312
Repurchases of Class A common stock $1,976
What should be the net cash flows from investing activities in 2017?
$ -23,093.00
$ -22,971.00
$ -20,105.00
None of the abov

Answers

Answer 1

The correct option for the following question is option B - $ -22,971.00.

In 2017, the net cash flows from investing activities should be $ -22,971.00.The purchases of property and equipment in 2017 were $6,733.

The purchases of marketable securities were $25,682, and the maturities of marketable securities were $2,988.

The sales of marketable securities were $9,444.

The acquisitions of businesses, net of cash acquired and purchases of intangible assets were $122.

The total is -$9,994 (investing activities).The principal payments on capital lease and other financing obligations were $312. The repurchases of Class A common stock were $1,976.

The total is $2,288 (financing activities).

Deferred revenue was $40, prepaid expenses and other current assets were $192, and taxes paid related to net share settlement of equity awards were $3,246.

The total is $3,478 (operating activities).

The net cash flows from investing activities in 2017 can be computed by adding up the figures under the investing activities and subtracting them from the total sum of the financing and operating activities, i.e., ($2,288 - $9,994 + $3,478).

So, the net cash flows from investing activities in 2017 were -$22,971.00, which is option B.

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Related Questions

first, using the idea of externalities (positive and/or negative) discuss the implications of an individual who has covid-19 going on a flight to travel. who is the buyer and who is the seller fro the airplane ticket, and are there any externalities?

Answers

When an individual with COVID-19 goes on a flight to travel, it can have significant implications in terms of externalities. An externality is an unintended consequence that affects parties not directly involved.

An externality involves a cost as well as a benefit a producer generates but does not personally bear or receive. A good or service can have beneficial as well as adverse effects as a result of its production or usage.

An externality, also known as an external cost or benefit, is a consequence of another party's action that affects a third party that is unaffiliated indirectly. Externalities are unpriced items that are a part of both consumer and producer market transactions.

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Economic activity declines during these two stages of the
business cycle:
Select one:
a.
Stages 1 and 2
b.
Stages 2 and 3
c.
Stages 3 and 4
d.
Stages 1 and 4
e.
Stages 1 and 3

Answers

The answer to the question is stages 1 and 2.

There are four stages of the business cycle.

These stages are the boom, recession, trough, and expansion.

The business cycle is a graph that depicts the fluctuations of economic activity over time. These fluctuations are a normal part of an economic system.

The first stage of the business cycle is known as the expansion stage.

It's characterized by a rise in economic activity. During this stage, businesses are expanding, employment rates are increasing, and consumer spending is rising.

The second stage is called the peak.

This is the point when the economy reaches its maximum point before it begins to decline. Economic activity starts to decrease during this stage, and businesses start to reduce their output and employees.

The third stage of the business cycle is known as the recession stage.

It's characterized by a decrease in economic activity. During this stage, businesses are reducing their output and employees, and consumer spending is falling.

The fourth stage is the trough.

This is the lowest point in the business cycle. It's characterized by low economic activity. The economy is at a standstill during this stage, and businesses are not expanding or hiring employees.

economic activity declines during the first two stages of the business cycle.

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If two stocks are perfectly negatively correlated, a portfolio with equal weighting in each stock will always have a volatility (standard deviation) of 0. True False

Answers

False. If two stocks are perfectly negatively correlated, a portfolio with equal weighting in each stock will not always have a volatility (standard deviation) of 0.Explanation:In finance, correlation refers to the relationship between two variables, such as two stocks.

Correlation can be positive, negative, or zero, and its strength ranges from -1 to +1. Perfectly negatively correlated means that the two stocks have a correlation coefficient of -1, which implies that their returns move in opposite directions with equal magnitude.Investors can construct portfolios by combining different assets, such as stocks, bonds, and real estate. By combining assets with different risk and return characteristics, investors can reduce the overall risk of their portfolio while maintaining a target return level.

In this case, the formula simplifies to:V(P) = 0.5 * σ1^2 + 0.5 * σ2^2 - σ1 * σ2The standard deviation of the portfolio returns is the square root of the variance. Therefore, the volatility of the portfolio with equal weighting in each stock is given by:σ(P) = sqrt(V(P)) = sqrt(0.5 * σ1^2 + 0.5 * σ2^2 - σ1 * σ2)If the two stocks are perfectly negatively correlated, the covariance between them is negative, i.e., Cov(S1, S2) = - σ1 * σ2. Therefore, the formula for the portfolio volatility becomes:σ(P) = sqrt(0.5 * σ1^2 + 0.5 * σ2^2 + σ1 * σ2)The portfolio volatility is not zero, unless one of the standard deviations is zero. However, it is lower than the volatility of either stock, and it decreases as the correlation between the two stocks becomes more negative.

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Puff Daddy wants to be sure that his lavish spending habits do not leave him bankrupt, so he will purchase an annuity. The annuity will make 25 semiannual payments of the form 6000,12000,6000,12000,…, with the first payment coming 6 months after he purchases the annuity. If the annuity pays an interest rate of 8.8 percent convertible semiannually, how much should Puff Daddy pay for this annuity?

Answers

Puff Daddy should pay approximately $116,272.35 for this annuity.

To determine the value of the annuity that Puff Daddy should pay, we can calculate the present value of the annuity using the formula for the present value of an annuity:

PV = PMT * (1 - (1 + r)^(-n)) / r

Where:

PV = Present value of the annuity

PMT = Payment amount per period (in this case, semiannually)

r = Interest rate per period (in this case, semiannually)

n = Number of periods (in this case, 25 semiannual payments)

Given that the payment pattern is 6000, 12000, 6000, 12000, and so on, we can see that Puff Daddy will receive 6000 for the first period, 12000 for the second period, and this pattern repeats every two periods. So, we can rewrite the payment pattern as 6000, 6000, 6000, ... and calculate the present value accordingly.

Using the given interest rate of 8.8% convertible semiannually, we convert it to a decimal form and divide it by 2 to get the semiannual interest rate:

r = 0.088 / 2 = 0.044

Now, we can plug the values into the formula:

PV = 6000 * (1 - (1 + 0.044)^(-25)) / 0.044

Using a calculator, the present value of the annuity is approximately $116,272.35. Therefore, Puff Daddy should pay approximately $116,272.35 for this annuity.

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All of the following activities are exempt from the requirement to provide disclosures under the Brokerage Relationship Disclosure Act, EXCEPT: (a) Sales staff at a new development center (b) Showing property to a party that is not being represented (c) A bona fide open house or model home showing that does not involve eliciting confidential information, the execution of a contractual offer or an agreement for representation, or negotiations concerning price terms, or conditions of a potential sale (d) Responding to general factual questions from a potential buyer or seller concerning properties that have been advertised for sale

Answers

The only activity that is not exempt from the requirement to provide disclosures under the Brokerage Relationship Disclosure Act is Sales staff at a new development center.

All the other activities mentioned in the question are exempt from the requirement to provide disclosures under the Brokerage Relationship Disclosure Act if the Brokerage Relationship Disclosure Act is followed appropriately. The Brokerage Relationship Disclosure Act requires.

Florida real estate licensees to provide certain disclosures regarding the nature of their brokerage relationships. The disclosure is necessary to help buyers and sellers understand the different types of agency relationships that may be available to them. The requirement of disclosures under the Brokerage Relationship.

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The only activity that is not exempt from the requirement to provide disclosures under the Brokerage Relationship Disclosure Act is Sales staff at a new development center.

All the other activities mentioned in the question are exempt from the requirement to provide disclosures under the Brokerage Relationship Disclosure Act if the Brokerage Relationship Disclosure Act is followed appropriately. The Brokerage Relationship Disclosure Act requires.

Florida real estate licensees to provide certain disclosures regarding the nature of their brokerage relationships. The disclosure is necessary to help buyers and sellers understand the different types of agency relationships that may be available to them. The requirement of disclosures under the Brokerage Relationship.

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The table shows the demand and supply schedules for shoes: The market equilibrium is: $80 and 600 pairs $70 and there is a surplus $90 and 700 pairs $100 Question 2 At a price of $60 per pair, there is a in the market. comparative advantage there is not enough information provided surplus shortage From the previous question, describe how the market equilibrium is restored. What happens to the price of a of a pair of shoes? To restore the market equilibrium, the price must As the price the quantity demanded and the quantity supplied From the previous question, describe how the market equilibrium is restored. What happens to To restore the market equilibrium, the price must As the price the quantity demanded The following questions are on the market for bacon. arket equilibrium is restored. What happens to the price of a of a ֻair of shoes? As the price and the quantity supplied [Select] From the previous question, describe how the market equilibrium is restored. What To restore the market equilibrium, the price must the quantity demanded and the quantity supplied the market equilibrium is restored. What happens to the price of a of a pair of shoes? As the price and the quantity supplied

Answers

The table below shows the demand and supply schedules for shoes:Price Quantity Demanded Quantity Supplied[tex]$70 500 900 $80 600 600 $90 700 400 $100 800 200[/tex] Market Equilibrium Price:[tex]$80,[/tex] Market Equilibrium Quantity: 600 pairs At a price of [tex]$60[/tex] per pair, there is a shortage in the market.

The quantity demanded is greater than the quantity supplied. The market will try to adjust to a new equilibrium point where the quantity supplied equals the quantity demanded.To restore the market equilibrium, the price must increase. As the price increases, the quantity demanded decreases, and the quantity supplied increases.

The market will adjust until the quantity demanded equals the quantity supplied. At a new equilibrium price of [tex]$80[/tex], the quantity supplied equals the quantity demanded. At this point, the market is in equilibrium.The price of a pair of shoes will increase to [tex]$80[/tex] in order to restore the market equilibrium.

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Suppose during 2025 that Federal Express reported the following information (in millions): net sales of $42,500 and net income of $110. Its balance sheet also showed total assets at the beginning of the year of $27,000 and total assets at the end of the year of $23,000. Calculate the asset turnover and return on assets. (Round answersto 2 decimal places, e.g. 6.25 or 6.25%.) Asset turnover times Return on assets %

Answers

Asset Turnover and Return on Assets Asset turnover can be defined as the company's capability to use its assets to produce revenue.

It indicates the number of dollars in sales produced by each dollar of assets, which suggests that it is an efficiency ratio. It indicates the firm's capability to use its assets to produce income. ROA is calculated by dividing net income by total assets.

It evaluates how efficiently a firm is using its assets to generate earnings. It shows how much money the business makes from each dollar invested in assets, similar to asset turnover.

ROA = Net Income / Total Assets= $110 / (($27,000 + $23,000) /

2))= 110 / $25,000= 0.44 = 44%Asset turnover = Net sales / Average total

assets= $42,500 / (($27,000 + $23,000) / 2))= $42,500 / $25,000= 1.7ROA = 44%

Asset Turnover = 1.7 , the asset turnover is 1.7, and the return on assets is 44%.

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True or False? "Patient accounts receivable" belongs on the
balance sheet. Group of answer choices True False

Answers

True. Patient accounts receivable belongs on the balance sheet. A balance sheet is a financial statement that shows a company's assets, liabilities, and equity at a specific point in time.

The accounts receivable, such as patient accounts receivable, are included in the balance sheet under the current assets section. A company's accounts receivable is the money that it is owed by its clients or customers.

These receivables are recorded as an asset in the company's balance sheet until they are paid by the customers.

The accounts receivable are usually short-term assets because they are expected to be collected within a year.

The amount of accounts receivable on the balance sheet is calculated by subtracting the allowance for doubtful accounts and the bad debt reserve from the gross accounts receivable.

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Country A is a closed economy where we have :
Y = 8,000 T = 1,500
Private Savings = Y - T - C = 500
Public Savings = T - G = 200 C= G= S=I=

Answers

Where X = M = 0 since the country is closed

[tex]vI = S + (X - M)I = 700 + (0 - 0)I = 700[/tex]

Therefore, C = 5,800, G = 800, S = 700, and I = 700.

Given that, Y = 8,000, T = 1,500,

Private Savings = Y - T - C = 500 and

Public Savings = T - G = 200C = G = S = I = ?

To determine C, we can use the formula,

C = Y - T - S

Where S = (T - G) + (Y - T - C) = Public Savings + Private Savings

[tex]C = 8,000 - 1,500 - 700C = 5,800[/tex]

To determine G, we use the formula,

G = T - S

Where S = Public Savings + Private Savings

[tex]= 200 + 500 = 700G = 1,500 - 700G = 800[/tex]

To determine S, we use the formula,

[tex]S = (T - G) + (Y - T - C)S = 200 + 500S = 700[/tex]

To determine I, we use the formula,

I = S + (X - M)

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Anyone who owns bonds is subject to interest rate risk because interest rates are always changing in financial markets. The prices of bonds fluctuate with changes in interest rates, giving rise to interest rate risk. A number of relations exist between bond prices and changes in interest rates. These relations are often called the bond theorems. All of the following theorems correctly explain the relationship between interest rates and bond prices except:
Group of answer choices
The lower the coupon of a bond, the greater its interest rate risk.
The longer the maturity of a bond, the greater its interest rate risk.
If the bond yield is greater than the coupon rate, the bond sells at a premium.
When bond yields rise, bond prices fall.

Answers

Theorems correctly explain the relationship between interest rates and bond prices except "If the bond yield is greater than the coupon rate, the bond sells at a premium.

"The relationship between interest rates and bond prices is an inverse one. When interest rates rise, bond prices fall, and when interest rates fall, bond prices rise. These movements happen because higher interest rates make the bond less attractive to investors who can get higher returns on their investment elsewhere.

Similarly, if the interest rates are expected to fall, people will buy more bonds that offer a fixed rate, driving up the bond prices and lowering yields. Following are the bond theorems that explain this relationship correctly.The lower the coupon of a bond, the greater its interest rate risk.

This theorem states that the interest rate risk of a bond is inversely proportional to its coupon rate. The lower the coupon rate of the bond, the more susceptible it is to fluctuations in interest rates. Conversely, the higher the coupon rate of a bond, the lower its interest rate risk.

The longer the maturity of a bond, the greater its interest rate risk. The interest rate risk of a bond is also affected by its maturity date. Bonds that have a long maturity period, such as 30 years, are at higher risk than those that have a short maturity period, such as 5 years.When bond yields rise, bond prices fall. When the bond yields increase, the bond prices decrease. This relationship is explained by the inverse relationship between bond prices and yields. When yields go up, bond prices go down because new bonds issued by the government or corporations offer a higher yield rate and are therefore more attractive to investors.

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Company J and Company K each recently reported the same earnings
per share (EPS). Company J’s stock, however, trades at a higher
price. Which of the following statements is most correct?

Answers

The most correct statement in this scenario is that Company J has a higher P/E ratio compared to Company K. When two companies report the same earnings per share, the company with the higher stock price will have a higher P/E ratio.

A higher P/E ratio indicates that investors have higher expectations for the company’s future growth potential and profitability. The price-earnings ratio (P/E ratio) is a ratio that compares a company’s current stock price to its earnings per share (EPS) over the previous 12 months. A high P/E ratio could indicate that the market has high hopes for the company's growth prospects. Conversely, a low P/E ratio could indicate that the market is unimpressed with the company's growth prospects.As a result, Company J's stock is expected to grow at a faster pace in the future than Company K's stock, which has a lower stock price, but the same earnings per share. Therefore, investors are willing to pay more for Company J's stock, and it has a higher P/E ratio. It is a reflection of the market's expectation that Company J's earnings will increase at a faster rate than Company K's earnings.

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If you were a firm seeking innovation, which approach do
you think would be best? Why?
Strategic Planning
Scenario Planning
Strategy as planned Emergence

Answers

As a firm seeking innovation, the best approach to employ is strategy as planned emergence. This approach will allow a firm to adapt to changing environments while ensuring innovation is a priority.

Strategy as planned emergenceThis is a strategic approach that involves setting long-term goals but allows for adjustments as the market changes. Strategy as planned emergence allows for flexibility and improvisation by making use of the existing resources to create something new. It entails combining different ideas to form something innovative.Innovation is an essential component of business success, and firms must continuously find ways to innovate to remain relevant in the market. The strategy as planned emergence approach allows firms to remain agile and adapt quickly to the changing market.

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2. The following is an excerpt from an article published at the US Bureau Labor Statistics with regard to COVID 19 and remote work. "Businesses made many adjustments to their operations and policies during the coronavirus disease 2019 (COVID-19) pandemic. One key adjustment was shifting some employees from working in person at offices and stores to teleworking (also known as working from home or remote work). By limiting in-person contact among employees, telework allowed businesses to maintain operations and workers to remain employed. At the beginning of the pandemic, the extent of job loss was much lower for workers who were able to telework. Matthew Dey, Harley Frazis, Mark A. Loewenstein, and Hugette Sun found that, between February and April 2020, employment fell 8 percent among workers in occupations in which telework is feasible, compared with 21 percent among workers in occupations in which telework is not feasible." Please explain how likely it is that the change in the trend in remote work affects job mobility and internal migration.

Answers

The shift towards remote work is changing the way that people view job mobility and internal migration.

Prior to the COVID-19 pandemic, people often felt that they needed to be close to their job to be effective and to advance in their career.

However, as remote work becomes more common, people are realizing that they can work from anywhere and still be productive.

This is leading to more people considering moving to new areas, which can lead to greater job mobility and internal migration.

By working remotely, people are not tied to a specific geographic location, which means they can move to new areas without having to worry about finding a new job.

This is leading to greater job mobility and internal migration, as people are more willing to move to new areas to take advantage of job opportunities or to be closer to family and friends.

Overall, the shift towards remote work is likely to have a significant impact on job mobility and internal migration in the years to come.

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From the training and development perspectives, do you agree with Nik Adli when he said that the training Oviya went for was a big mistake and a waste of time? Provide THREE (3)
reasons and elaborate on them to justify your answer. (9 Marks)
b. If you were Nik Adli, what are the factors that you should consider before sending Oviya to attend the training? State and explain any THREE (3) relevant factors. (6 Marks)
c. One crucial element in any training and development program is managerial support. When Aaron Sivakumar heard Nik Ali's complaint that Oviya has not improved from the training, he
wondered whether part of the cause might be lack of support shown by Nik as Oviya's manager. Assume that you are Aaron. Explain to Nik Adli:
i. ONE (1) importance of managerial support in training. (1 Mark)
ii. Suggest TWO (2) ways through which Nik Adli can show his support to Oviya's training. (4 Marks)

Answers

a. Nik Adli said that training was a waste of time and a big mistake for Oviya. However, I disagree with this statement and Nik Adli on the grounds of three reasons. First, training and development provide a practical approach for employees to learn new skills and knowledge.

b. Before sending Oviya to attend the training, Nik Adli should consider the following three factors. Firstly, he should consider the relevance of the training to Oviya's current job. The training should be relevant to Oviya's role to make it more effective. Secondly, he should consider Oviya's learning style and her capacity to learn.

c. i. The importance of managerial support in training is that it helps the employees develop a positive attitude towards the training and the organization. When managers support the training programs, employees see that the organization values their career growth and development. They become more motivated and willing to learn, which improves the training's effectiveness.ii. Nik Adli can show his support to Oviya's training by doing the following two ways. Firstly, he can ensure that Oviya has enough time and resources to attend the training.

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Question 1: Introduction to Ops Management ⃦ Design of Product Ops & Service Ops (20 marks)


(a) Explain the main principles of any one (1) of the following concepts or frameworks: • Four (4) Vs framework of process characteristics • Four (4) types of operations performance flexibility • Four (4) perspectives on operations strategy • Innovation and design process as an operations process


(b) Discuss the different manufacturing process types in terms of their volume, variety, process flow and process tasks. Substantiate your discussion with examples.


(c) A small tailoring business makes an average of 150 garments every week (1 week = 5 working days). If a working day is 9 hours and each garment takes an average of 1. 5 hours to make, how many tailors are required? What is the throughput efficiency of the process?


(d) Differentiate between process and cell layouts in terms of their advantages and disadvantages

Answers

The terms "process layout" and "cell layout" refer to two different approaches in designing the layout of a production facility.

Process Layout:
- In a process layout, similar machines or operations are grouped together.
- Advantages of process layout include:

 1. Flexibility: It allows for easy rearrangement of equipment and resources to accommodate changes in production requirements.

 2. Specialization: Each department or area can focus on their specific tasks, leading to increased expertise and efficiency.

 3. Cost-effectiveness: Process layouts can be more cost-effective for businesses with diverse product lines, as they can share resources.

- However, there are also disadvantages to process layouts:
 1. Material movement: The need to transport materials between different departments or areas can lead to increased time and cost.
 2. Coordination challenges: Coordinating workflow and scheduling can be more complex due to the interdependencies between departments.

Cell Layout:
- In a cell layout, machines or workstations are arranged in a way that creates a self-contained unit or cell for a specific set of tasks.
- Advantages of cell layout include:
 1. Reduced material movement: With machines or workstations arranged in close proximity, the need for material transportation is minimized.
 2. Improved coordination: Workflow and scheduling are simplified as the cell operates as a self-contained unit.
 3. Enhanced communication: Closer proximity among workers promotes easier communication and collaboration.
- However, there are also disadvantages to cell layouts:
 1. Limited flexibility: Cell layouts may not be as adaptable to changes in production requirements compared to process layouts.
 2. Duplication of resources: Each cell may require its own set of specialized equipment, which can increase costs.
 
The choice between process layout and cell layout depends on factors such as the nature of the production process, product variety, and the level of customization required. Businesses should carefully consider their specific needs and objectives before deciding on the most suitable layout.

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If the own price elasticity of demand for a firm's product is the same across all consumers, it is not possible for the firm to practice third-degree price discrimination.
True
False

Answers

False. The correct answer is false if the own price elasticity of demand for a firm's product is the same across all consumers, it is possible for the firm to practice third-degree price discrimination.Price discrimination is a pricing strategy that entails charging different prices for the same product to different groups of customers.

In other words, different groups of people are charged different prices for the same product or service by businesses. The term "price discrimination" has a negative connotation, but it is a common and generally accepted commercial strategy. This is because some groups of customers may be willing to pay more for a product or service than others because of their different economic, demographic, or geographic characteristics.

When a company charges different prices to different groups of customers based on their willingness to pay is known as third-degree price discrimination. This type of price discrimination is possible when customers are distinguishable based on their characteristics, such as age, gender, income, or geographic location. It is common in the airline, movie theatre, and hotel industries, where prices differ depending on when the service is provided, where the service is provided, and the method used to purchase the service.

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The four broad approaches to extending a product life cycle include modifying the product, modifying the market, developing a new produ Multiple Choice creating new use situations actvertising reposiboning line extensions finding fiew customers:

Answers

Product Life Cycle (PLC) refers to the stages that a product goes through in the market before it is eventually removed from the market.

There are four broad approaches to extending a product life cycle, and they include:

Modifying the product Modifying the market Developing a new product Finding new customers Line extension is one of the strategies used to modify a product's life cycle.

It involves creating new products that are related to an existing product.

The new product is similar to the original product but has some slight variations in features, attributes, or packaging. Line extensions can help to revitalize an old product and increase its sales and revenue.

Most times, line extensions are popular with fast-moving consumer goods (FMCGs), which are products that are frequently purchased and consumed by customers.

This strategy is effective because it helps to reduce the cost of production as the company can use the same production processes and equipment, which will lead to economies of scale.

Also, creating new use situations is another approach to extending a product life cycle.

A company can identify new uses for its product to increase its sales.

The company can research and identify new markets or new groups of customers that can benefit from the product.

Then, the company can develop a marketing strategy to promote the product to the new market or customers.

Additionally, the company can reposition the product to appeal to a new group of customers.

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Using the same information as in the previous problem and in this problem we are analyzing the long-run effects of the policies studied in g ) and h ), in the case of a free floating exchange rate regime. QUESTIONS: A) Assume that the economy is at the long-run level of output when G=10 and Ms=492. In part G ) of problem 12) we studied the short run effects of an increase in government spending from G=10 to G=12. Find now the long-run equilibrium levels of output, and prices. B) Graph the short-run and long-run equilibria and explain the adjustment from the short run to the long-run occurs. C) Assume that the economy is at the long-run level of output when G=10 and Ms =92. In part H) of problem 12) we studied the short run effects of a decrease in money supply from Ms=492 to Ms=400. Find now the long-run equilibrium levels of output, and prices. D) Graph the short-run and long-run equilibria and explain the adjustment from the short run to the long-run occurs.

Answers

The long-run equilibrium levels of output and prices are (Y*, P*) = (100, 1).

The short-run equilibrium (SR) and the long-run equilibrium (LR) of the economy is represented in the following figure.

As shown in the figure, an increase in government spending from G = 10 to G = 12 shifts the aggregate demand (AD) curve to the right, from AD0 to AD1. As a result, there is a short-run increase in both output (Y) and prices (P) of the economy to (Y1, P1).In the long-run, however, the economy returns to the full-employment level of output, Y*, but at a higher price level, P*.

The adjustment from the short-run to the long-run equilibrium occurs due to the following steps. In the short-run equilibrium, Y > Y*. This causes the price level to increase. As the price level increases, the money demand (MD) curve shifts upwards. As a result, the interest rate increases. Higher interest rates cause the investment demand (I) to decrease.

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Suppose that you have just borrowed $150,000 in the form of a 15-year mortgage. The loan has an annual interest rate of 8% with monthly payments and monthly compounding.
What will your monthly payment be for this loan?
What will the balance on this loan be at the end of the 7th year?
How much of the 37th payment will consist of interest?
How much principal will you pay in the 5th year of this loan?
How much interest will you pay in the first 6 years of the loan?

Answers

For the loan of [tex]$150,000[/tex] in the form of a 15-year mortgage at 8% annual interest rate with monthly payments and monthly compounding, the monthly payment can be calculated as follows:

Monthly interest rate = Annual interest rate / 12

= 8% / 12 = 0.006666667

Present value of mortgage = [tex]$150,000[/tex]Number of monthly payments

= 15 x 12

= 180Using the above figures, the monthly payment can be calculated using the formula for monthly payment on a mortgage, which is:

M = [tex]P [ i(1 + i)n ] / [ (1 + i)n – 1[/tex]]Where M

= monthly payment, P

= present value of mortgage, i

= monthly interest rate and

n = number of monthly payments

M = 150000 [0.006666667(1 + 0.006666667)180] / [(1 + 0.006666667)180 – 1]

≈ [tex]$1,476.63[/tex]

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Find the indicated probabilities. If convenient, use technology or Table 2 in Appendix B.
Second-Hand Fashion Fourteen percent of consumers have tried to purchase clothing second-hand rather than new in the past year. You randomly select 11 consumers. Find the probability that the number who have tried to purchase second-hand rather than new clothing is (a) exactly one, (b) at most five, and (c) more than three. (Source: Fashion Revolution)
Workplace Drug Testing Five percent of the U.S. workforce test positive for illicit drugs. You randomly select 14 workers. Find the probability that the number who test positive for illicit drugs is (a) exactly two, (b) more than two, and (c) from two to five. (Source: Quest Diagnostics)

Answers

(a) For the second-hand fashion scenario: (a) The probability of exactly one consumer out of 11 having tried to purchase second-hand clothing can be calculated using the binomial probability formula.

Assuming independence and a success probability of 0.14 (14%), the calculation is as follows:

[tex]P(X = 1) = (11 choose 1) * (0.14)^1 * (0.86)^10 ≈ 0.3524[/tex]

Therefore, the probability that exactly one consumer out of the 11 selected has tried to purchase second-hand clothing is approximately 0.3524.

(b) To find the probability of at most five consumers, we sum the probabilities of having exactly zero, one, two, three, four, and five consumers:

[tex]P(X ≤ 5) = P(X = 0) + P(X = 1) + P(X = 2) + P(X = 3) + P(X = 4) + P(X = 5)[/tex]

Using the binomial probability formula for each term and calculating the sum, we find the probability to be approximately 0.9887.

(c) To calculate the probability of more than three consumers, we can subtract the cumulative probability of having three or fewer consumers from 1:

[tex]P(X > 3) = 1 - P(X ≤ 3)[/tex]

Using the same approach as in part (b), the probability of more than three consumers is approximately 0.4537.

(a) The probability of exactly one consumer trying second-hand fashion is found by applying the binomial probability formula, considering the success probability and the number of trials.

(b) To find the probability of at most five consumers, we sum the probabilities of the individual cases where there are zero, one, two, three, four, or five consumers who have tried second-hand fashion.

(c) The probability of more than three consumers is calculated by subtracting the cumulative probability of having three or fewer consumers from 1. This gives us the probability of having four, five, six, seven, or more consumers who have tried second-hand fashion.

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What pricing formula does SLGA follow to arrive at the final price that the end consumer pays? Using concepts discussed in our Price and Place lectures, identify which pricing strategy and marketing channel they use. Please explain.

Answers

SLGA uses a cost-based pricing formula for alcoholic beverages and operates through a direct distribution channel for consistency and control.

The Saskatchewan Liquor and Gaming Authority (SLGA) follows a cost-based pricing formula to arrive at the final price that the end consumer pays for alcoholic beverages. This pricing strategy considers the cost of production, distribution, and other associated expenses, and adds a predetermined markup to determine the selling price.

By using a cost-based pricing approach, SLGA ensures that the price of alcoholic beverages covers the expenses incurred in sourcing, storing, distributing, and selling the products while also generating a reasonable profit margin. This method allows SLGA to maintain control over pricing and ensure consistency across their product offerings.

In terms of the marketing channel, SLGA primarily operates through a direct distribution channel. They procure alcoholic beverages from various producers and suppliers and distribute them through their own retail stores. This means that SLGA has direct control over the distribution and retailing of the products, allowing them to establish and maintain their pricing strategy effectively.

By utilizing a direct distribution channel, SLGA can ensure efficient inventory management, consistent pricing across their retail stores, and direct interaction with customers. This direct control over the distribution and pricing helps SLGA maintain regulatory compliance, enforce responsible sales practices, and provide a standardized customer experience.

Overall, SLGA follows a cost-based pricing formula, considering the expenses incurred in the production and distribution of alcoholic beverages, to determine the final price paid by the end consumer. They employ a direct distribution channel, allowing them to have direct control over the distribution and retailing of the products, ensuring consistency and regulatory compliance.

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percent return on its capital, how much could it afford to pay for the wave-soldering machine? Click the icon to view the table of compound interest factors for discrete compounding periods when i=12%. Burnaby Circuit Boards could afford to pay: (Round to the nearest dollar as needed.)

Answers

If the company is to earn 10% compounded annually and the machine should cost at most 15,000.

Future Value[tex](FV) = P(1+i)^n[/tex] where,

FV = Future value of investment P = Present value of investment i = interest rate n = number of compounding periods First, let's find out the number of years required to achieve a 10% return on the capital invested.

We can do this by using the compound interest formula as follows:

[tex]110P = P(1 + 0.10)^n110 = 1.1^n[/tex] Taking the natural log on both sides,

[tex]ln(110) = ln(1.1^n)n*ln(1.1) = ln(110)n = ln(110)/ln(1.1)n = 7.27[/tex] years Now, we have to find the value of the investment that will grow to the amount we need in 7.27 years. Let that amount be

[tex]FV.FV = P(1+i)^nP = FV/(1+i)^nP = FV / (1.10)^7.27[/tex], then:

[tex]FV = $15,000P = $15,000 / (1.10)^7.27P = $6,136.08[/tex].

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All of the following are improper check writing procedures EXCEPT
a. postdate all of your checks
b. avoid making checks payable to "Cash"
c. overdraw your account whenever possible.
d. write your checks in pencil

Answers

The only option that is not an improper check writing procedure is d, write your checks in pencil.

Postdating a check means writing a check with a date in the future. This is not a good idea because it can lead to confusion and problems if the check is cashed before the date.

Making a check payable to "Cash" means that anyone can cash the check, which is a security risk.

Overdrafting your account means writing a check for more money than you have in your account. This can lead to fees and penalties from your bank.

Writing a check in pencil is not a good idea because it can be easily erased or altered. This could lead to fraud or other problems.

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. Consider our IS/LM/BOP analysis. Suppose also that we are in a fixed price, flexible exchange rate setup. Suppose the capital account is highly interest sensitive (such that the BOP curve is flatter than the LM curve). The effect of an increase in the government spending (if expected to be a temporary change) on equilibrium national income, Y would be lessened by the resulting appreciation of the domestic currency. would be 0. none of the other options. would be to decrease it. would be strengthened by the resulting depreciation of the domestic currency.

Answers

The correct option is that the effect of an increase in the government spending (if expected to be a temporary change) on equilibrium national income, Y would be lessened by the resulting appreciation of the domestic currency.

An increase in government spending can help stimulate the economy, especially when it's done at a time when the economy is not operating at full potential. However, the effects of government spending are influenced by various other factors such as the exchange rate, interest rates, and the overall health of the economy itself. Suppose the capital account is highly interest-sensitive (such that the BOP curve is flatter than the LM curve). The effect of an increase in government spending (if expected to be a temporary change) on equilibrium national income, Y would be lessened by the resulting appreciation of the domestic currency.In an IS/LM/BOP model, a flatter BOP curve implies that an increase in the interest rate differential or capital account is more likely to reduce net exports than it is to increase the financial inflow required to finance it. As a result, the BOP curve is flatter than the LM curve. This indicates that, in a fixed-price, flexible exchange rate setting, the exchange rate will appreciate less than the interest rate differential, resulting in lower net exports and hence lower aggregate income.

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Short paper # 1 must include at least one student-generated
relevant graph.
The topic is Minimum Wage in the US

Answers

The minimum wage is the least amount of money an employee can legally receive from their employer for the work they do. The minimum wage is established by law and varies from state to state.

Since the 1970s, the federal minimum wage has been $7.25 per hour, but many states have increased their minimum wages beyond the federal minimum. Since its last increase in 2009, efforts to increase the federal minimum wage have been unsuccessful.

A student-generated graph of the minimum wage in the United States is a helpful tool for understanding the history of the minimum wage.

The graph should show the minimum wage adjusted for inflation over time, allowing for comparison between different years. The graph will show how the minimum wage has changed over time, how it has affected workers' income, and how it has affected the economy as a whole.

The graph can be used to show how changes in the minimum wage have affected different groups of workers. For example, the graph could show how the minimum wage has affected low-income workers compared to high-income workers.

The graph could also show how the minimum wage has affected workers in different industries.

In conclusion, a student-generated graph is an essential tool for understanding the history of the minimum wage in the United States. The graph can show how the minimum wage has changed over time, how it has affected workers' income, and how it has affected the economy as a whole.

Additionally, it can show how changes in the minimum wage have affected different groups of workers, making it a useful resource for policymakers, researchers, and students.

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A major vehicle for evaluation is the __________, which is a more or less formal inquiry into any aspect of the project.
a) ethical audit
b) project audit
c) moral compass
d) technical audit

Answers

A major vehicle for evaluation is the project audit, which is a more or less formal inquiry into any aspect of the project.

A project audit is a systematic examination or evaluation of a project to assess its progress, performance, and adherence to project objectives, plans, and standards. It is a comprehensive review that can be conducted at different stages of the project lifecycle. The purpose of a project audit is to identify strengths, weaknesses, risks, and areas for improvement in order to enhance project efficiency and effectiveness. It helps stakeholders gain insights into the project's performance, identify potential issues, and make informed decisions for project management and future endeavors. An ethical audit, moral compass, and technical audit may also be relevant in specific contexts but do not encompass the broad evaluation of all project aspects.

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Suppose that the firm operates in a perfectly competitive market. Themarket price of his product is $4. The firm estimates its cost ofproduction with the following cost function:TC=50+20q-5q2+0.33q3a. What level of output should the firm produce to maximize its profit?b. Determine the level of profit at equilibrium.c. What minimum price is required by the firm to stay in the market?

Answers

The minimum price that is required by the firm to stay in the market is $4.

Level of output that the firm should produce to maximize its profit is 10 units. (When the firm is maximizing its profit, Marginal Cost (MC) = Marginal Revenue (MR))

At equilibrium, the level of profit is $30. (Given that at equilibrium, Profit (π) = TR - TC, where TR = Total Revenue)

The minimum price that is required by the firm to stay in the market is $4. It is because, in a perfectly competitive market, the firm is a price-taker. The price is determined by the intersection of demand and supply forces in the market. The given price of $4 is the market price that is prevailing in the market. The firm can sell any amount of output at that price. So, the minimum price that is required by the firm to stay in the market is $4.

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1. What is meant by partnership property.
2. The effect of the mannequins not being partnership property.
3. The steps that can be taken to dissolve the partnership including what would happen to the mannequins upon dissolutio

Answers

1. Partnership property is the property that is owned by a partnership and is intended for use in the partnership business. It includes assets such as real estate, equipment, inventory, and any other property used in the operation of the partnership.

2. If the mannequins are not partnership property, they will not be included in the partnership assets and will not be subject to the same rules and regulations that apply to partnership property. This means that they may be treated differently in the event of dissolution or bankruptcy.

3. To dissolve a partnership, the partners must agree to terminate the partnership and wind up its affairs. This involves distributing the partnership assets and paying off any outstanding debts. If the mannequins are partnership property, they will be included in the assets to be distributed. If they are not partnership property, they may be treated as the personal property of one or more of the partners and may need to be sold or otherwise disposed of separately.

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You are the manager of a monopoly, and your analysts have estimated your demand and cost functions as P=500−2Q and qQ ) = 2,000+2Q 2
, respectively. a. What price-quantity combination maximizes your firm's profits? Instructions: Round your response to the nearest penny (two decimal places? Price: $ Quentity: units b. Calculate the maximum profits. Instructions: Round your response to the nearest penny (two decimal placesk. 5 c. Is demand elastic, inelastic, or unit elastic at the profit-maximizing price-quantify combination? Eiastic inelastic Unit elastic d. What price-quantily combination maximizes revenue? Instructions: Round your response to the nearest penny (two decimal places). Price: $ Quantity? units c. Is demand elastic, inelastic, or unit elastic at the profit-maximizing price-quantity comblnation? Elastic Inelastic Unit elastic d. Whot price-quantity combination maximizes revenue? Instructions: Round your response to the nearest penny (two decimal places). Price: $L Quentity: Quenits e. Colculate the maximum revenues. Instructionst Round your response to the nearest penny (two decimal places). C. Is demond elastic, inelastc, or unit elastic at the revenue-maximizing price-quantity combination? Elastic Inelastic Unit elastic

Answers

Price-quantity combination that maximizes a firm's profits is $250 and 125 units. When estimating the monopoly's demand and cost functions as P = 500 - 2Q and C(Q) = 2,000 + 2Q² respectively.

The price-quantity combination that maximizes the monopoly's profits is determined by taking the first derivative of the profits equation and equating it to zero to obtain the quantity demanded that maximizes the company's profits. Hence, P(Q) = R(Q) - C(Q) = (500 - 2Q)Q - [2,000 + 2Q²].

Therefore, P(Q) = -2Q² + 498Q - 2,000. Then, P'(Q) = -4Q + 498 = 0. Solving for Q, we have; Q = 124.5 units (approx.)The optimal price-quantity combination is where P = 500 - 2Q = 500 - 2(124.5) = $251 and Q = 124.5 units. Thus, the price-quantity combination that maximizes a firm's profits is $250 and 125 units.  

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help pls!
Which of the following capital budgeting methods is the most suited to give correct and reliable decisions for most types of projects? Sensitivity analysis method Internal Rate of Return (IRR) Method

Answers

The Internal Rate of Return (IRR) method is generally considered more suited to give correct and reliable decisions for most types of projects compared to the Sensitivity Analysis method.

The IRR method calculates the rate of return at which the net present value (NPV) of a project becomes zero. It takes into account the time value of money and provides a percentage return that the project is expected to generate. The IRR method considers the entire cash flow pattern over the project's life, making it a comprehensive evaluation technique. It is widely used in capital budgeting and helps assess the profitability and viability of an investment.

On the other hand, sensitivity analysis involves analyzing the impact of variations in different project parameters (such as sales volume, cost of inputs, or interest rates) on the project's financial outcomes. While sensitivity analysis provides valuable insights into the project's sensitivity to changes in specific variables, it may not capture the holistic financial performance of the project. It is a useful tool for assessing the project's vulnerability to certain factors but may not provide a definitive decision criterion on its own.

Therefore, the IRR method is generally considered more reliable and suitable for making correct decisions for most types of projects, as it accounts for the project's cash flows over time and incorporates the time value of money.

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