________ is a metric used to assess the impact of an online ad. a) churn rate b) error rate c) click-through rate d) pagerank

Answers

Answer 1

c) click-through rate A metric is a quantifiable measurement used to assess performance, effectiveness, or impact in various fields, including business, marketing, and analytics.

A metric is a quantifiable measurement used to assess performance, effectiveness, or impact in various fields, including business, marketing, and analytics. Metrics provide objective data and insights that help evaluate progress towards goals, track performance over time, and make informed decisions. They can range from simple counts and ratios to more complex calculations and statistical indicators. Metrics serve as valuable tools for monitoring, analyzing, and optimizing processes, strategies, and outcomes. By selecting and analyzing the right metrics, organizations can gain valuable insights into their performance, identify areas for improvement, and make data-driven decisions to drive success and achieve desired outcomes.

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Related Questions

A nonparametric test used to evaluate the association between 2
ordinal-level variables is:
Kruskal-Wallis H-test
Mann-Witney U-test
Spearman’s R
Kolmogorov-Smirnov one-sample test

Answers

The nonparametric test used to evaluate the association between 2 ordinal-level variables is Spearman’s R. It is an alternate to Pearson’s correlation coefficient, used when data is not normally distributed and does not meet the parametric assumptions.

Spearman’s R is based on the ranks of the data and is used to measure the degree of association between two ordinal-level variables. It calculates the value of the coefficient, Rho, which varies between -1 and 1. A positive value indicates a direct relationship, and a negative value indicates an inverse relationship between the two variables.

The magnitude of the value indicates the strength of the association. A value of 0 indicates no association.Spearman’s R is commonly used in many fields, including sociology, psychology, economics, and medicine. It is easy to calculate and interpret and is not affected by outliers.

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what characteristic of niche sites makes the medium most appealing to marketers?

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Marketers are drawn to niche websites because they provide an excellent platform for reaching a specific demographic audience, are less expensive, have higher engagement rates, and provide more relevant advertisements.

Niche sites have several characteristics that make the medium most appealing to marketers. They are ideal for advertisers who wish to reach a specific target audience or niche group.

The characteristics of niche sites that make them most appealing to marketers are discussed below:

1. Demographic targeting: Niche websites provide advertisers with an effective platform for reaching a specific demographic target audience. This implies that advertising campaigns can be tailored to the preferences and interests of a specific demographic, which will result in higher engagement rates.

2. Lower costs: Niche websites frequently have lower costs than general websites. Advertisers can optimize their spending by focusing their advertising efforts on niche sites. This will allow them to reach a smaller but more engaged audience at a lower cost.

3. Engagement: Niche websites have a more engaged and focused audience. Visitors to these websites are more likely to be interested in the topic and content of the website, and therefore more likely to click on an ad.

4. Relevance: The ads that appear on niche websites are often more relevant to the website's topic or content. This increases the likelihood that visitors to the site will find the advertisement useful, resulting in a higher click-through rate and better conversions.

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Acquisition Entry and Consolidation Working Paper Phoenix, Inc. acquired all of the outstanding common stock of Spark Corporation for $950 million cash plus 30 million shares of Phoenix’s common stock having a market value of $25 per share. Registration fees were $5 million and merger-related consultant and legal fees were $8 million, paid in cash. Immediately prior to the acquisition, the trial balances of the two companies were as follows:
(in millions)
Phoenix
Spark
Current Assets
$2,000
$200
Plant and equipment, net
$11,900
$700
Current Liablities
($500)
($150)
Long-term Liablities
($8,000)
($300)
Common stock, $1 par
($300)
($100)
Additional paid-in capital
($4,000)
($50)
Retained Earnings
($1,100)
($300)
Totals
$0
$0
A review of fair values of Spark’s assets indicates that current assets are overvalued by $40 million, plant and equipment is over valued by $250 million, and previously unreported brand names and trademarks have a fair value of $200 million.

Answers

Acquisition Entry and Consolidation Working PaperPhoenix, Inc. acquired all of the outstanding common stock of Spark Corporation for $950 million cash plus 30 million shares of Phoenix's common stock.

paid in cash.Phoenix’s acquisition of Spark can be accounted for using the purchase method, as the acquired company's shareholders have ceded control and a new entity has been formed.

It can be stated that the purchase price was $1,725 million ($950 million + $750 million [30 million shares × $25 per share] + $5 million + $8 million). The preliminary acquisition entry would be as follows:       

The working papers of the consolidation can be illustrated in three stages as follows: (1) Elimination of Spark's Shareholders' Equity Accounting entry:   

(2) Adjustment of Spark's Fair ValuesAccounting entry:       

(3) Recording Goodwill and Consolidating the Financial Statements Accounting entry:  Therefore,

in this way, we get the Acquisition Entry and Consolidation Working Paper.

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Zach took $400,000 out of the bank and used it to start his new cookie business. The bank account pays 3 percent interest per year. During the first year of his business, Zach sold 6,000 boxes of cookies for $2.50 per box. Also, during the first year, the cookie business incurred costs that required outlays of money amounting to $9,000.

Zach's accounting profit for the year was

_________________________________________________________________________________

a. $-494,000.

b. $-6,000.

c. $6,000.

d. $12,000.

c. $6,000.

Answers

Zach took $400,000 out of the bank to start his new cookie business. The bank account pays 3 percent interest per year. During the first year of his business, Zach sold 6,000 boxes of cookies for $2.50 per box. He also incurred costs amounting to $9,000.

To calculate the interest earned on Zach's bank account during the first year, we can use the formula: Interest = Principal x Rate x Time.

The principal, in this case, is $400,000, the rate is 3 percent (or 0.03), and the time is 1 year. Plugging these values into the formula, we get: Interest = $400,000 x 0.03 x 1 = $12,000.

So, the interest earned on Zach's bank account during the first year is $12,000.

Now let's calculate the revenue generated from selling the boxes of cookies. Zach sold 6,000 boxes at $2.50 per box. To find the total revenue, we multiply the number of boxes sold by the price per box: Revenue = 6,000 x $2.50 = $15,000.

Finally, we can calculate Zach's net income by subtracting the costs from the revenue: Net Income = Revenue - Costs = $15,000 - $9,000 = $6,000.

Therefore, Zach's net income during the first year of his cookie business is $6,000.

In summary:
- The interest earned on Zach's bank account is $12,000.
- The revenue generated from selling the boxes of cookies is $15,000.
- The net income (revenue minus costs) is $6,000.

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2. For the selected company- Amazon
a. Identify all company distribution channels based on the line of business and geography. (The organisation must have 2 separate distribution channels)
b. Analyse and break down the distribution channels
c. Evaluate the expected and current contribution of the distribution channel in the value chain.

Answers

a. Amazon, as a multinational technology company, operates through various distribution channels based on its line of business and geography. Two separate distribution channels for Amazon include e-commerce and cloud computing services.

b. The e-commerce distribution channel involves the sale and delivery of physical goods to customers. Amazon operates multiple online marketplaces across different countries, offering a wide range of products through its website and mobile application. The company manages its inventory, warehousing, and fulfillment centers to ensure efficient order processing and timely delivery.

On the other hand, Amazon's cloud computing services, known as Amazon Web Services (AWS), form a separate distribution channel. AWS provides on-demand cloud computing resources to individuals, businesses, and governments. Customers access and utilize these services remotely through the internet, enabling them to scale their operations and leverage advanced technological infrastructure.

c. The e-commerce distribution channel contributes significantly to Amazon's value chain by generating substantial revenue through the sale of physical products. It allows the company to reach a vast customer base, offer competitive pricing, and provide convenient shopping experiences. Amazon's investments in logistics and fulfillment operations further enhance its distribution capabilities.

The AWS distribution channel also plays a crucial role in the value chain, contributing a substantial portion of Amazon's overall profitability. As one of the leading providers of cloud computing services, AWS offers a wide range of scalable and cost-effective solutions. It enables businesses to innovate, develop applications, store and process data, and deploy infrastructure without significant upfront investment. AWS's contribution to Amazon's value chain extends beyond e-commerce, diversifying the company's revenue streams and leveraging its technological expertise.

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Consider an investment where $48,000 is invested for 15 years at 6% compounded continuously. How much will this investment be worth after 15 years? (Round your answer to the nearest cent.) $ What is the total amount earned in compound interest? (Round your answer to the nearest cent.) $

Answers

The total amount earned in compound interest is approximately $70,028.80.

To calculate the future value of an investment with continuous compounding, we can use the formula:

A = P × e^(rt)

Where:

A = Future value

P = Principal amount (initial investment)

e = Euler's number (approximately 2.71828)

r = Interest rate (as a decimal)

t = Time period (in years)

Principal amount (P) = $48,000

Interest rate (r) = 6% = 0.06 (as a decimal)

Time period (t) = 15 years

Using the formula, we can calculate the future value (A):

A = $48,000  × e^(0.06 × 15)

A = $48,000 × e^(0.9)

Now, let's calculate the future value:

A ≈ $48,000 × 2.4596

A ≈ $118,028.80

Therefore, the investment will be worth approximately $118,028.80 after 15 years.

To calculate the total amount earned in compound interest, we subtract the initial investment from the future value:

Total Interest = Future Value - Principal Amount

Total Interest = $118,028.80 - $48,000

Total Interest ≈ $70,028.80

Therefore, the total amount earned in compound interest is approximately $70,028.80.

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the growth in international trade has come from an increase in the international sale of goods but not services.

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The statement that the growth in international trade has come from an increase in the international sale of goods but not services is not accurate.

The growth in international trade has actually come from an increase in both the international sale of goods and services. Let me explain why: Globalization: In recent decades, globalization has led to an increase in the movement of goods and services across borders. This has been facilitated by advancements in technology, transportation, and communication. Services sector: The services sector, which includes industries like finance, tourism, and telecommunications, has experienced significant growth in international trade. For example, multinational companies providing financial services, such as banks and insurance companies, have expanded their operations globally. Similarly, tourism has become a major contributor to international trade, with people traveling abroad for leisure and business purposes.

Trade agreements: Various trade agreements, such as the World Trade Organization (WTO) and regional free trade agreements, have promoted the exchange of both goods and services among countries. These agreements aim to reduce barriers to trade, including tariffs and quotas, thereby facilitating the growth of international trade. Emerging economies: The rise of emerging economies, such as China and India, has also contributed to the growth in international trade. These countries have become major exporters of both goods and services, fueling the expansion of global trade.

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what type of discharge of debt is a QPRI??

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A QPRI stands for Qualified Principal Residence Indebtedness. It is a specific type of discharge of debt related to a principal residence. Here's how it works:

1. To qualify as a QPRI, the debt must be incurred to acquire, construct, or substantially improve the taxpayer's principal residence.
2. The discharge of debt must be related to the taxpayer's principal residence.
3. The discharge of debt must occur between January 1, 2007, and December 31, 2020.
4. The maximum amount of debt that can be discharged as QPRI is $2 million for married couples filing jointly or $1 million for single taxpayers.
5. The debt must be discharged due to a foreclosure, short sale, or loan modification.
6. The discharge of debt is excluded from the taxpayer's income, meaning they do not have to pay taxes on the forgiven amount.

It's important to note that the rules surrounding QPRI may change, so it's always a good idea to consult with a tax professional or refer to the latest IRS guidelines for the most accurate and up-to-date information.

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the ______ of real estate markets contribute(s) to segmentation.

Answers

The heterogeneity of real estate markets contributes to segmentation. This refers to the diversity or differences observed within these markets, contributes to segmentation.

Real estate markets exhibit a high degree of heterogeneity, meaning they are characterized by variations and differences across different segments. Several factors contribute to this heterogeneity, leading to market segmentation. Let's explore these factors:

Location: Location is a crucial factor in real estate, as properties in different geographic areas can vary significantly in terms of desirability, amenities, access to services, and overall market conditions. Properties located in prime areas, such as city centers or upscale neighborhoods, may have higher demand and command higher prices compared to properties in less desirable locations. Thus, location-based differences contribute to market segmentation.

Property Types: Real estate encompasses a wide range of property types, including residential, commercial, industrial, and agricultural properties. Each property type has its market dynamics, demand drivers, and investment considerations. The varying characteristics and uses of these property types lead to segmentation within the real estate market.

Demand-Supply Dynamics: Real estate markets are influenced by the interplay between demand and supply. The demand for properties can vary based on factors like population growth, employment opportunities, economic conditions, and lifestyle preferences. Similarly, the supply of properties is influenced by factors such as land availability, construction activity, zoning regulations, and development trends. The dynamics of demand and supply vary across different segments, leading to market segmentation.

Market Characteristics: Real estate markets can exhibit unique characteristics based on factors such as property values, rental rates, vacancy rates, property appreciation rates, and market liquidity. These characteristics can differ between segments, such as residential, commercial, or luxury real estate, creating distinctions and segmentation within the overall real estate market.

So, the heterogeneity of real estate markets, driven by factors such as location, property types, demand-supply dynamics, and market characteristics, contributes to segmentation.

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a production planning method is based on goods being produced based on forecasted customer demand?

Answers

The production planning method that is based on goods being produced based on forecasted customer demand is known as demand planning. It is the process of estimating future customer demand for a product or service in order to plan and optimize production, inventory, and supply chain operations. Demand planning is a critical aspect of production planning because it helps ensure that the right products are produced in the right quantities at the right time to meet customer demand.

Demand planning is a complex process that involves analyzing historical sales data, market trends, customer preferences, and other factors to develop a forecast of future demand. This forecast is used to create a production plan that outlines the quantity and timing of production, inventory levels, and supply chain requirements. The goal of demand planning is to minimize inventory costs while ensuring that customer demand is met.

In conclusion, demand planning is a production planning method that is based on goods being produced based on forecasted customer demand. It is a critical aspect of production planning that helps ensure that the right products are produced in the right quantities at the right time to meet customer demand. Demand planning involves analyzing historical sales data, market trends, customer preferences, and other factors to develop a forecast of future demand, which is used to create a production plan that outlines the quantity and timing of production, inventory levels, and supply chain requirements.

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a supplier for an electronics store has introduced quantity discounts to encourage larger order quantities of cameras. the price schedule is: quantity purchased price per unit fewer than 525 $80 at least 525 $75 suppose the monthly demand at a retail store that buys from this retailer and resells is 175 units. the supplier charges a fixed cost of $180 per shipment. the cameras are expected to sell well for multiple seasons, so multiple replenishment opportunities are possible. if the holding cost is 4.0%, and the retailer implements periodic review to achieve 75% service level, how much should the retailer order if it has 525 units in stock?

Answers

The retailer should not order any additional units if it already has 525 units in stock.

To calculate the safety stock, we need to determine the standard deviation of demand during the lead time. Given that the demand is 175 units per month and the holding cost is 4.0%, we can calculate the standard deviation using the following formula:

Standard Deviation = √(Demand during lead time * Holding cost)

Standard Deviation = √(175 * 0.04) ≈ 6.65

Now, let's calculate the safety stock. The safety stock is usually determined based on the desired service level. In this case, the retailer aims for a 75% service level. To determine the safety stock multiplier corresponding to the service level, we can use statistical tables or formulas. For a 75% service level, the safety stock multiplier is typically around 0.67.

Safety Stock = Safety stock multiplier * Standard Deviation

Safety Stock = 0.67 * 6.65 ≈ 4.45

The reorder point is then calculated as:

Reorder Point = Demand + Safety Stock

Reorder Point = 175 + 4.45 ≈ 179.45

Since the retailer already has 525 units in stock, and the reorder point is lower than the current inventory level, the retailer does not need to order any additional units at this time.

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Wildhorse has three product lines in its retail stores: flipflops, sandals, and slippers. Results of the fourth quarter are presented below:
Flipflops
Sandals
Slippers
Total
Units sold
1,220
2,440
2,440
6,100
Revenue
$24,400
$48,800
$30,500
$103,700
Variable departmental costs
20,740
26,840
14,640
62,220
Direct fixed costs
1,220
3,660
2,440
7,320
Allocated fixed costs
8,540
8,540
8,540
25,620
Net income (loss)
$(6,100)
$9,760
$4,880
$8,540
The allocated fixed costs are unavoidable. Demand of individual products are not affected by changes in other product lines.
What will happen to profits if Wildhorse discontinues the Flipflops product line?
If Wildhorse discontinues the Flipflops product line profit will select an option increasedecrease by $enter a dollar amount .

Answers

Introduction Wildhorse, a retailer, has three product lines in its retail stores: flip-flops, sandals, and slippers. The results of the fourth quarter are presented in the table below. Solution. The problem states that the allocated fixed costs are unavoidable. Therefore, only the variable departmental costs and the direct fixed costs are attributed to the products.

If Wildhorse discontinues the Flipflops product line, the revenue, variable departmental costs, and direct fixed costs that would be saved are shown below: Flipflops Sandals Slippers Total Units sold1,2202,4402,4406,100Revenue$24,400$48,800$30,500$103,700

Variable departmental costs20,74026,84014,64062,220Direct fixed costs1,2203,6602,4407,320Allocated fixed costs8,5408,5408,54025,620Net income (loss)$(6,100)$9,760$4,880$8,540By discontinuing the flip-flop line, the revenue and the variable departmental costs of the company would decrease by $24,400 and $20,740.

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Define and describe an example of the unequal distribution of the risks and benefits of technological change. Find resources which provide evidence of the differential outcomes. Based on what you understand about the causes of technological change, how are they connected, or not to the consequences of technologies?
This a topic given to me for a term paper. I would like to know what are some examples of that has effects society.

Answers

The unequal distribution of risks and benefits of technological change is a phenomenon that has far-reaching consequences for different stakeholders in society. An example of this phenomenon is the gig economy, which is characterized by work arrangements that are temporary, flexible, and independent.

In the gig economy, workers provide services such as transportation, delivery, and other types of work on a freelance basis. This model of work has enabled many people to earn a living and supplement their income. However, the benefits of the gig economy are not evenly distributed among workers. Some workers earn higher wages, enjoy more autonomy, and have access to more opportunities than others.

Moreover, the risks of the gig economy are borne disproportionately by workers. For example, workers in the gig economy are not entitled to benefits such as health insurance, retirement plans, and workers' compensation. Furthermore, they are not protected by employment laws and regulations that guarantee minimum wages, maximum hours, and safe working conditions. As a result, workers in the gig economy are vulnerable to exploitation, discrimination, and other forms of abuse.

There is a growing body of evidence that demonstrates the uneven distribution of risks and benefits of the gig economy. Studies have shown that workers in the gig economy earn less than workers in traditional employment arrangements and have less access to benefits such as health insurance and retirement plans. Moreover, they are more likely to experience insecurity, stress, and burnout than other workers.

The causes of technological change are complex and multifaceted. Some of the main drivers of technological change are innovation, competition, and efficiency. Innovations in technology can create new products, services, and markets that generate economic growth and enhance social welfare. Competition among firms can drive technological change by incentivizing them to develop new technologies that reduce costs and increase productivity. Efficiency improvements can lead to technological change by enabling firms to produce more output with less input.

In conclusion, the unequal distribution of risks and benefits of technological change is a critical issue that has significant consequences for different stakeholders in society. The example of the gig economy highlights the need for policymakers to ensure that technological change benefits all members of society, not just a few privileged individuals or firms. By addressing the root causes of technological change and designing policies that promote inclusive growth and social justice, policymakers can help to create a more equitable and sustainable future for all.

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The textbook writes on page 217: "The likelihood of a mobile purchase varies significantly from one product category to another." For the purpose of this discussion, let's use convenience products, shopping products, specialty products, and unsought products as the four product categories. In your opinion, which product category (or categories) will be more suitable for mobile purchasing? Why? Please be specific and give examples.

Answers

Convenience and shopping products are more suitable for mobile purchasing due to frequent consumption and ease of decision-making.

Convenience and retail products, in my opinion, are more suited for mobile purchasing. Fast food, personal care products, and other convenience goods are regularly bought and don't need much thought. Mobile shopping is convenient and time-saving because customers can easily reorder their favorite things with only a few touches. For instance, seamless supermarket buying experiences are offered by smartphone apps like Instacart and Amazon Prime Now.

Mobile shopping is advantageous for buying goods including clothing, gadgets, and furnishings. Numerous merchants provide mobile apps with intuitive user interfaces that let users explore and buy goods while on the go. The shopping experience is often improved by the personalized recommendations and special offers offered by mobile platforms. For instance, fashion merchants ASOS and Zara provide smartphone applications that Customers can browse the newest trends, buy things, and get alerts about specials and discounts.

Due to their specialized and specialized character, specialty goods and unsought products might not be as suited for mobile purchase, although e-commerce platforms and mobile technology improvements continue to broaden the possibilities. However, due to their frequent consumption and simplicity of choice, the convenience and shopping product categories show a higher connection with mobile purchase.

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The labor force participation rate has declined over the past
decade primarily because women are dropping out of the labor
force.
TRUE OR FALSE

Answers

The statement "The labor force participation rate has declined over the past decade primarily because women are dropping out of the labor force.

11

Partially true because it is not just women who have dropped out of the labor force. The labor force participation rate has been declining over the past decade, and it is true that women have played a significant role in the decline.Women have left the labor force for a variety of reasons.

Including the desire to raise children, the lack of available childcare, and the inability to find jobs that pay enough to cover the cost of child care. However, the decline in the labor force participation rate is not just due to women. It is also due to the aging of the population and the fact that many people are retiring earlier or unable to work due to health issues.

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What is the present value of a Annuity where the investor receives $10,000 every year for 10 years and the rate of interest offered is 4.5%

Answers

The present value of the annuity is $110,185.06. An annuity is a series of equal cash flows that occur at equal intervals, such as the beginning or end of each year.

The present value of an annuity refers to the sum of the discounted cash flows over the duration of the investment. The formula for calculating the present value of an annuity is given as:

PV = A * [1 - (1 + r)^-n] / r

Where; PV = Present value of an annuity

A = The amount of each annuity payment

r = The interest rate per period

n = The total number of periods

In the question provided, the investor receives $10,000 every year for ten years. Thus, the amount of each annuity payment (A) is $10,000, and the number of annuity payments (n) is 10. The interest rate per period (r) is 4.5%.

Now, we can calculate the present value of the annuity using the formula above:

PVA = $10,000 * [1 - (1 + 0.045)^-10] / 0.045

PVA = $10,000 * [1 - 0.5983] / 0.045

PVA = $10,000 * 11.0185

PVA = $110,185.06

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The price of good A will fall if: a. The supply of good A decreases b. The price of a substitute for good A increases c. The price of a complement for good A decreases d. The demand for good A decreases.

Answers

The price of good A will fall if the demand for good A decreases.

Ithe quantity of good A demanded by the consumers is less than the quantity of good A supplied by the producers. There will be a surplus of good A in the market, which forces the producers to reduce the price of good A to clear the surplus. Hence, the price of good A will fall due to a decrease in demand for A.

a) if the supply of good A decreases:  the price of good A will rise due to a shortage of supply in the market. Similarly,

b)  if the price of a substitute for good A increases: connsumers will switch to the substitute and demand for good A will decrease, which will cause a fall in the price of good A.

c) if the price of a complement for good A decreases:  the demand for good A will increase, and the price of good A will rise.In summary, the price of good A is determined by the forces of demand and supply in the market.

d) If the demand for good A decreases:  the price of good A will fall. On the other hand, if the supply of good A decreases, the price of good A will rise. Similarly, the price of good A will be affected by changes in the price of substitutes and complements for good A.

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Which of the following is NOT a best practice associated with social media marketing? Multiple Choice Set clearly defined and measurable goals. Do not identify which social networks you will isse. Obtain senior manogement commitment Realize that mistakes will be made.

Answers

The practice that is NOT associated with social media marketing is Do not identify which social networks you will use. Let's explain the options below:Set clearly defined and measurable goals:

Setting clear, precise, and measurable goals is the first step to creating a successful social media marketing campaign. It will provide the direction you need to create and execute a campaign that meets your company's goals and objectives.

A social media campaign can have a variety of objectives, such as increasing brand awareness, driving traffic to your website, or increasing your followers.Do not identify which social networks you will use: Before starting a social media campaign, it is essential to identify the social media channels that your target audience uses.

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Milton Corporation has 8 percent coupon bonds making annual payments with a YTM of 7.2 percent. The current yield on these bonds is 7.55 percent
How many years do these bonds have left until they mature? [hint: current yield coupon/current price]
Time until maturity
years

Answers

Milton Corporation has 8 percent coupon bonds making annual payments with a yield to maturity (YTM) of 7.2 percent. The current yield on these bonds is 7.55 percent. In this problem, we are required to calculate the time until maturity.

The formula for the bond price is:

P= 80/(1 + 0.072) + 80/(1 + 0.072)^2 + 80/(1 + 0.072)^3 + ... + 80/(1 + 0.072)^n + 1000/(1 + 0.072)^n Where:

P = Current price of the bond

Face value of the bond

= $1000r

= Yield to maturity

= 7.2%N

= Number of years until maturity

P = $1,098.93Now, we'll calculate the current yield of the bond.

= (8 / $1,098.93) x 100%Current Yield

= 0.7278 x 100%Current Yield

= 7.28%We have been given that the current yield of the bond is 7.55%.Since the current yield is higher than the coupon rate, the bond is selling at a premium.

= 80 / Price X 100%Price

= 80 / 0.0755Price

= $1,060.26Using the bond pricing formula to calculate the time until maturity:$1,060.26

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Which statement about the median weekly earnings of a worker with a doctoral degree is most accurate?

a. They are about three times the median weekly earnings of a worker with a high school diploma.
b. They are about twice the median weekly earnings of a worker with an associate's degree.
c. They are about five times the median weekly earnings of a person with less than a high school diploma.
d. They are greater than the median weekly earnings of a worker with a professional degree.

Answers

The most accurate statement about the median weekly earnings of a worker with a doctoral degree is:

d. They are greater than the median weekly earnings of a worker with a professional degree.

While it is difficult to provide precise figures without specific data, workers with doctoral degrees generally earn higher median weekly earnings compared to those with professional degrees. Professional degrees, such as medical, legal, or engineering degrees, typically offer high earning potential. However, doctoral degrees, which are research-focused and typically obtained in fields such as academia, sciences, or humanities, often lead to higher salaries due to the advanced level of education and expertise they represent. Therefore, it can be inferred that workers with doctoral degrees generally earn more than workers with professional degrees.

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Leriba Auto Company (LAC) manufactures car components and is based in South
Africa. The Company’s CEO has decided to see what opportunities there are for
exporting and establishing operations in Nigeria. Assess the country’s recent economic
conditions related to GDP, inflation, interest rates, currency value, and employment. As
a consultant of LAC, what advice would you give the CEO, based on how these
economic factors may attract or deter foreign investment
NB The following marking rubric will be used to mark this Assignment:
· content reflection demonstrated in critical thinking in terms of analysing and
applying global business concepts (55 marks)
· personal growth is demonstrated in awareness of deeper meaning through
inferences made, examples, well-developed insights, and substantial depth in
perceptions and arguments. Demonstrated also by an ability to synthesise current
experience into future implications. · Quality of evidence (sources) used for the assignment; and documentation:

Answers

The Nigerian economy has been experiencing high levels of economic growth in recent years. The country's GDP has increased significantly over the past decade, with a growth rate of around 2.27 percent in 2019. Inflation rates in Nigeria have been relatively high in recent years, with rates exceeding 11 percent in 2019. High inflation rates can deter foreign investment as they increase the cost of doing business.

Interest rates in Nigeria have been relatively stable over the past decade. In 2019, the interest rate was 13.5 percent, which is quite high compared to other developing countries. However, high-interest rates can attract foreign investment as they provide a higher return on investment.

The Nigerian currency has been volatile in recent years, with significant fluctuations against the US dollar. The currency value has been declining steadily in recent years, which can deter foreign investment as it increases the uncertainty of investing in the country.

Employment in Nigeria has been a significant issue in recent years, with high levels of unemployment and underemployment. This could deter foreign investment as it increases the risk of social unrest, which can affect the stability of the investment.

Based on these economic factors, LAC's CEO should approach the Nigerian market with caution. The high inflation rates and declining currency value may increase the cost of doing business and reduce profitability. However, stable interest rates may provide an attractive investment opportunity for LAC. Additionally, the CEO should evaluate the employment situation carefully to ensure that the investment is stable and secure.

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Question 2 u A

=x A
02

y A
0.6

,u B

=x B
0.4

y B
0.6

,ω A
=(60,25),ω B
=(40,25). Consider the following pure exchange economy with different consumer preferences and endowments ( e.g., ω A

=(ω x
A

,ω y
A

)), and answer the following question: (a) Draw the Edgeworth box and the endowment point. (b) Find the contract curve y A

=f(x A

), and plot it on the graph. (c) Find the Pareto optimal allocation and price ratio for the corresponding competitive equilibrium. (d) Is the Pareto optimal allocation a fair allocation? Why?

Answers

The question pertains to a pure exchange economy with different consumer preferences and endowments. The task is to draw the Edgeworth box, find the contract curve, determine the Pareto optimal allocation, and analyze whether it is a fair allocation.

(a) The Edgeworth box is constructed by plotting the endowment points, ωA = (60, 25) and ωB = (40, 25), to form a box on a graph representing goods A and B.

(b) To find the contract curve yA = f(xA), we need to identify the points where the indifference curves of both consumers are tangent, indicating the feasible allocations that maximize one individual's utility without making the other worse off.

(c) The Pareto optimal allocation is determined by finding the point where the marginal rates of substitution (MRS) of both consumers are equal. By equating the MRS values, we can identify the optimal allocation. The price ratio can be derived from the marginal rate of substitution of the two goods in the competitive equilibrium.

(d) Whether the Pareto optimal allocation is considered fair depends on the definition of fairness being used. Pareto optimality ensures that no individual can be made better off without making another individual worse off. However, fairness is a subjective concept that extends beyond the scope of Pareto optimality.

It's important to note that a visual representation or additional context would aid in providing a more accurate and detailed response.

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What are the four ingredients used in making chocolate mousse? 2. Which scientific method is used in mixing melted chocolate and whipped cream? 3. How important is it to manage temperature in making chocolate mousse and why? 4. What is the different between a chocolate mousse served as a dessert and chocolate mousse made for a chocolate mousse cake filling?

Answers

The four ingredients used in making chocolate mousse are chocolate, eggs, sugar, and heavy cream. Emulsion method is used to mix melted chocolate and whipped cream. Temperature management is important in making chocolate mousse to achieve the desired texture. The main difference between the two is the texture and density.

1. The four ingredients used in making chocolate mousse are chocolate, eggs, sugar, and heavy cream.

2. The scientific method used in mixing melted chocolate and whipped cream is emulsion. Emulsion is the process of mixing two immiscible liquids, such as oil and water, to create a stable mixture.

3. Temperature management is crucial in making chocolate mousse because it affects the texture and consistency of the mousse. If the chocolate is too hot when mixed with the eggs and cream, it can cause the mixture to curdle or seize. On the other hand, if the chocolate is too cold, it may not mix well with the other ingredients and result in a lumpy or grainy texture.

4. The main difference between a chocolate mousse served as a dessert and a chocolate mousse made for a chocolate mousse cake filling is the texture. A mousse served as a dessert is typically lighter and fluffier, while a mousse used for filling a cake is denser and more stable to hold its shape. Additionally, a mousse used for filling a cake may have additional stabilizers, such as gelatin or cornstarch, to ensure it sets properly and can hold up the weight of the cake layers.

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On January 1, 2022. Adam Corp. changed its inventory method to FFO from tifo for both financiai and incorne tax reporting purposes. The charge rssited in a s500,00a increase in January 1,2022 inventory. Assume that the income tax rate for all years is 20%. The effect of the accounting change should be reported by Adarm in its 2022. retained earnings statement as a $400,000 addition to the beginning balance. income statement as a $400,000 cumulative effect of accounting change. retained earnings statement as a 5500,000 addition to the beginning balance: income statement as a $500,000 cumulative effect of accounting change.

Answers

The effect of accounting change should be reported by Adam Corp. in its 2022 retained earnings statement as a $400,000 addition to the beginning balance.

Moreover, it should be reported in the income statement as a $500,000 cumulative effect of the accounting change.The accounting change method that is used by companies can affect their earnings, particularly when changing from LIFO to FIFO. This is due to the fact that the inventory accounting method chosen by a company may impact its financial results and tax filings.

Thus, in January 2022, Adam Corp. changed its inventory method to FFO from TIFO for both financial and income tax reporting purposes. This caused a charge of $500,000 increase in inventory on January 1, 2022. It is assumed that the income tax rate for all years is 20%.The change in the inventory accounting method by Adam Corp.

should be reported in its 2022 retained earnings statement as a $400,000 addition to the beginning balance. This is because the company used the cumulative effect adjustment method in which it adjusts the beginning balance of the year in which the change is made.

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Blogs should include a summary, What is the topic, what and who is the reading or film about? How do you feel about the topic? how does it tie into what you have read so far in the course? To guide your responses I will also be posting questions for each topic that you should be incorporating into your post.
This Weeks Questions
What was your opinion about Seal/ Fur hunting before watching the film?
How was your reaction to the more graphic elements of the film? Why do you think the filmakers decided to keep the more gory scenes, even calling it "cute" in one scene?
Has the Film changed your opinion about hunting in the North?
Changing a people's access to traditional food can have serious consequences - what has ending the seal hunt done to the Inuit?
After watching Angry Inuk what aspects of Inuit Culture peaked your interest?
Both Vowel and Arnaquq-Baril talk about dispossession - what was the impact of relocation on Inuk people?

Answers

Blogs should include a summary to ensure that readers know what the topic of the blog is. It should also contain information about the reading or film that the blog post is about. To guide your responses, there are questions for each topic that should be included in your post.

Angry Inuk is a film that explores the impact of seal and fur hunting on the Inuit people of Canada. Before watching the film, my opinion of seal and fur hunting was that it was unnecessary and cruel. However, after watching the film, I have a better understanding of the importance of seal and fur hunting to the Inuit people. The film has changed my opinion about hunting in the North as it has shown me that it is an essential part of Inuit culture.Changing a people's access to traditional food can have serious consequences. In the case of the Inuit, ending the seal hunt has had a devastating impact on their culture and way of life. Inuit people have been forced to give up their traditional way of life and rely on imported food, which is often unhealthy and expensive. The film Angry Inuk has shown me the importance of preserving traditional hunting practices and the impact that they can have on a community.In terms of Inuit culture, I was most interested in the importance of seal hunting and the impact that it has on Inuit communities.

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a major retailer sending out a monthly e-mail highlighting its current sales promotions is an example of ______. multiple choice question. blogging event marketing e-mail promotion sampling

Answers

The example of a major retailer sending out a monthly email highlighting its current sales promotions is an example of an e-mail promotion.

E-mail promotion refers to the practice of using email as a marketing tool to communicate promotional messages and offers to customers or subscribers. It involves sending targeted emails to a specific audience with the aim of promoting products, services, or special offers.

In the given example, the major retailer is utilizing email as a means to inform its customers about the current sales promotions. By sending out monthly emails, the retailer can showcase the latest discounts, deals, or special offers available in their stores or online. This allows them to reach a wide audience directly in their inboxes, keeping customers informed and potentially driving sales.

E-mail promotion is a cost-effective and efficient way to engage with customers, nurture relationships, and generate sales leads. It offers the opportunity to tailor messages based on customer preferences, segment the audience, and track the effectiveness of email campaigns through metrics such as open rates, click-through rates, and conversion

rates.

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What is the first step you should take if you realize that you are not going to be able to make a debt payment? Contact a Licensed Insolvency Trustee Contact the creditor and see if they can work with you to come up with some payment alternatives. Declare bankruptcy File a consumer proposal with the creditor to reduce the debt

Answers

If you realize that you are unable to make a debt payment, the first step you should take is to contact the creditor and discuss your situation with them.

It's important to communicate with your creditor as soon as possible to explain your financial difficulties and explore potential alternatives.

When you contact the creditor, you can explain your current financial situation and express your inability to make the scheduled payment.

In some cases, the creditor may be willing to work with you to develop a modified payment plan, offer a temporary payment deferral, or provide other alternatives that can help you manage your debt.

It's generally advisable to try resolving the issue directly with the creditor before considering more drastic measures such as declaring bankruptcy or filing a consumer proposal.

These options should typically be considered as a last resort when all other possibilities have been explored and are not feasible.

If you find it challenging to negotiate with your creditor or your financial situation is more complex, you may consider seeking professional advice from a Licensed Insolvency Trustee (formerly known as a bankruptcy trustee).

They are licensed professionals who can provide guidance and help you explore all available options, including bankruptcy or a consumer proposal, based on your specific circumstances.

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Greta has risk aversion of A=3 when applied to return on wealth over a one-year horizon. She is pondering two portfolios, the S&P 500 and a hedge fund, as well as a number of one-year strategies. (All rates are annual and continuously compounded.) The S&P 500 risk premium is estimated at 9% per year, with a standard deviation of 23% . The hedge fund risk premium is estimated at 11% with a standard deviation of 38% . The returns on both of these portfolios in any particular year are uncorrelated with its own returns in other years. They are also uncorrelated with the returns of the other portfolio in other years. The hedge fund claims the correlation coefficient between the annual return on the S&P 500 and the hedge fund return in the same year is zero, but Greta is not fully convinced by this claim. What should be Greta's capital allocation? (Do not round your intermediate calculations. Round your answers to 2 decimal places.)
A pension fund manager is considering three mutual funds. The first is a stock fund, the second is a long-term bond fund, and the third is a money market fund that provides a safe return of 5%. The characteristics of the risky funds are as follows: Expected Return Standard Deviation Stock fund (S) 17% 30% Bond fund (B) 11% 22% The correlation between the fund returns is 0.10. You require that your portfolio yield an expected return of 14%, and that it be efficient, that is, on the steepest feasible CAL. a. What is the standard deviation of your portfolio? (Round your answer to 2 decimal places.) b. What is the proportion invested in the money market fund and each of the two risky funds? (Round your answers to 2 decimal places.)

Answers

In the first scenario, Greta is considering two portfolios: the S&P 500 and a hedge fund, along with various one-year strategies. Greta has a risk aversion parameter, A=3.

The S&P 500 has an estimated risk premium of 9% per year, with a standard deviation of 23%, while the hedge fund has a risk premium of 11% and a standard deviation of 38%.

The returns on both portfolios in any given year are uncorrelated with their own returns in other years, and they are also uncorrelated with each other.

To determine Greta's capital allocation, we need to calculate the capital allocation line (CAL) and find the point where it is steepest, representing the highest risk-adjusted return.

Since the returns of the two portfolios are uncorrelated, the optimal allocation can be found by solving a simple optimization problem.

In the second scenario, the pension fund manager is considering three mutual funds: a stock fund, a long-term bond fund, and a money market fund with a safe return of 5%.

The expected returns and standard deviations of the stock and bond funds are given. The correlation between the fund returns is 0.10.

To construct an efficient portfolio that yields an expected return of 14% on the steepest feasible CAL, we need to find the optimal allocation to each fund.

By utilizing the principles of portfolio theory, we can determine the proportion invested in the money market fund and each of the risky funds to achieve the desired portfolio characteristics.

Please note that the calculations for both scenarios involve mathematical equations and optimization techniques, which cannot be fully presented within the word limit of 150 words.

However, these problems can be solved using portfolio theory, asset allocation models, and optimization methods.

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3. The impact of technology on internal controls includes which of the following: . Reduced processing errors Elimination of the need for regular audits Elimination of the need to bond employees . More efficientseparation of duties Elimination of fraud

Answers

Reduced processing errors: Technology can automate various processes, reducing the chances of human errors in data entry or calculations.

More efficient separation of duties: Technology enables the implementation of stricter segregation of duties, where different individuals have distinct roles and responsibilities. This helps prevent fraud and errors by ensuring that no single person has complete control over a process. For example, an accounting system can restrict access to sensitive financial data, limiting unauthorized changes or manipulation.


It's important to note that while technology can enhance internal controls, it doesn't eliminate the need for regular audits. Audits provide independent verification and ensure that controls are functioning effectively. Moreover, technology doesn't eliminate the need to bond employees, as bonding provides financial protection in case of employee misconduct.

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you earn $30,000 per year, and the federal tax rate is 10 percent. your net income is (5 points)

Answers

The federal tax rate for an individual is 10% on $30,000 annual income. Let us calculate the net income. We can find the tax amount by multiplying the tax rate by the income amount.

The tax amount will be[tex]$30,000 x 10/100 = $3,000[/tex]. Now, we can find the net income by subtracting the tax amount from the annual income. Hence, the net income will be [tex]$30,000 - $3,000 = $27,000[/tex].The net income is the amount of money that a person receives after the taxes are deducted from their gross pay.

It is calculated by subtracting the taxes, including federal, state, and local taxes, and any other deductions from the gross pay. In this case, the gross pay is $30,000, and the federal tax rate is 10%. The net income is $27,000.The formula for calculating the net income is:[tex]Net Income = Gross Pay - (Taxes + Deductions)[/tex]

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Other Questions
Considering how monitoring methodologies work, answer the following question regarding the two monitoring methodologies below:A. Anomaly monitoring.B. Behavioural monitoring.Using a comprehensive example, which of the two methodologies has the potential to be chosen over the other and why? In your answer, also state one example of when each of the methodologies is used and useful.(5)Q.4.2 Packets can be filtered by a firewall in one of two ways, stateless and stateful packet filtering.Which type of filtering would you use to stop session hijacking attacks and justify your answer? (4)Q.4.3 ABC organisation is experiencing a lot of data breaches through employees sharing sensitive information with unauthorised users.Suggest a solution that would put an end to the data breaches that may be experienced above. Using examples, explain how the solution prevents data breaches. (6) Complete the body of the following method that reverses a List. If the contents of the List are initially: bob, fran, maria, tom, alice Then the contents of the reversed List are: alice, tom, maria, fran, bob Notice that this is a void method. You must reverse the given list ("in place") and not create a second list that is the reverse of the original list. void reverse (List someList) \{ // fill in the code here \} Your method can use ONLY the List operations add, remove, and size. What is the big-O running time of this operation if the List is an ArrayList? Explain and justify your answer. What is the big-O running time of this operation if the List is an LinkedList? Explain and justify your answer. A major factor influencing your choice of clothing for work should bethe products and services offered by your employer sayuri is constructing her identity. based on eriksons theory, this process involves how do the diagnostic criteria for posttraumatic stress disorder (ptsd) in preschool children differ from those for ptsd in individual older than 6 years? During initial client contact, Personal Trainers should provide a service introduction packet that contains a Health History Evaluation, Medical Clearance Form (if needed), Informed Consent, and:a) The Client-Personal Trainer Agreement.b) PAR-Q.c) Workout template.d) Nutrition handouts. Dr. Wahl made a cup of coffee and she likes to drink it as soon as it cools to 130 F. The coffee is 194 ^0 F when she places the coffee on the counter to cool and after one minute, the coffee is 168 F. If the ambient temperature is a constant 70 F, how long until she drinks the coffee? The Mathematics behind the Model: In this problem we use Newton's Law of Cooling which states that the rate at which the temperature of the coffee is changing is proportional to the difference between the ambient temperature and the temperature of the coffee. The idea of proportionality is a common one in mathematics so we can review it here: a quantity z is (directly) proportional to x if z=kx, for some constant k. Let's fix a common notation for our work. Let T(t) be the temperature in degrees Fahrenheight of the coffee at time t in minutes. Let A represent the ambient air temperature and k be the constant of proportionality. 1. Write the differential equation that expresses Newton's Law of Cooling: the rate at which the temperature of the coffee is changing is proportional to the difference between the ambient temperature (A) and the temperature of the coffee (T). Hint: Use the symbols dT/dt,k,T and A. 2. What is the dependent variable in this differential equation? 3. What is the independent variable in this differential equation? 4. What is the value of the constant A ? Replace A in your differential equation and write the differential equations here. 5. This equation is separable. To solve it, separate (the variables T and t ) and integrate! Without using logarithms, write the function T(t) that solves the differential equation here. Your answer will include constants C _1 =e ^C (where C is the constant of integration) and k. 6. What are the values of T(0) and T(1) ? 7. Use the data points T(0) and T(1) to determine the two constants and write T(t) again here. 8. How much total time passes until she should begin drinking the coffee? Please answer in minutes and seconds to the nearest second. Give five examples of business process implementation using artificial intelligence andGive five examples of business process improvement using software applications. 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