Please asap I HAVE ONLY 30 MINUTES PLEASE HELP ME. answer in your own terms
SUBJECT: Legal Environment of Business
Using any outside resources you choose, please compare and contrast these two types of contracts:
Bilateral Contracts vs Unilateral Contracts
As you do so, explain these contractual terms in plain English (i.e., your own words). You are welcome to utilize examples, if you choose, to aid in your explanations and comparisons.

Answers

Answer 1

The primary difference between bilateral and unilateral contracts is the number of parties involved in the agreement and the obligation of each party to perform.

Bilateral Contracts are when two parties promise to do something for each other. Each side makes a guarantee, and the other must respond with a similar pledge. Unilateral Contracts, on the other hand, are when one party makes a promise that the other can accept by performing some act. If the act is carried out, the person who made the offer is legally bound to pay.
An example of a bilateral contract is when Person A agrees to sell their car to Person B for $5,000, and Person B agrees to pay $5,000 to Person A in exchange for the car. In a unilateral contract, an example is if Person A offers a $100 reward to anyone who finds their lost dog. If Person B discovers Person A's lost dog and notifies Person A, Person A will pay Person B $100.
Bilateral and unilateral contracts are two types of contracts that differ significantly. A bilateral contract is an agreement between two or more parties in which each party promises to do something in exchange for something else. For example, a contract between a landlord and a tenant is a bilateral contract. The landlord promises to provide the tenant with a safe and habitable space to live, and the tenant agrees to pay rent each month.
A unilateral contract, on the other hand, is a promise made by one party that can be accepted by the performance of an act by another party. For example, if a person offers a reward for the return of a lost item, such as a lost dog, the offeror is entering into a unilateral contract. The person who finds the lost dog can accept the offer by returning the dog.
In a bilateral contract, both parties are bound to perform their part of the agreement. In a unilateral contract, the offeror is only bound to perform if the offeree accepts the offer by performing the act specified in the offer. The offeree is not obligated to perform the act, but if they do, they have accepted the offer and the offeror is obligated to perform.

In conclusion, the primary difference between bilateral and unilateral contracts is the number of parties involved in the agreement and the obligation of each party to perform. A bilateral contract is an agreement between two or more parties in which each party promises to do something in exchange for something else, while a unilateral contract is a promise made by one party that can be accepted by the performance of an act by another party.

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Related Questions

Find the accumulated present value of an investment over a 8 year period if there is a continuous money flow of $11,000 per year and the interest rate is 1.6% compounded continuously.

Answers

The the accumulated present value of an investment over an 8-year period with a continuous money flow of $11,000 per year and an interest rate of 1.6% compounded continuously is $99,991.6.

How to find?

The accumulated present value of an investment over an 8-year period with a continuous money flow of $11,000 per year and an interest rate of 1.6% compounded continuously is calculated as follows:

Given,

Principal amount (P) = $11,000 per year for 8 years \

= $11,000 × 8

= $88,000

Interest rate (r) = 1.6% compounded continuously

Time (t) = 8 years.

We know that the formula for continuous compounding is given as:

[tex]P = Pe^(rt)[/tex]

Where,

P is the accumulated present value of the investment

Pe is the initial investment or principal amount

r is the annual interest rate in decimals

t is the time in years.

Substituting the values in the formula,

P = Pe^(rt)

P = $88,000e^(0.016 × 8)

P = $88,000e^(0.128)

P = $88,000 × 1.1362

P = $99,991.6.

Therefore, the accumulated present value of an investment over an 8-year period with a continuous money flow of $11,000 per year and an interest rate of 1.6% compounded continuously is $99,991.6.

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Question 3 Accountability and Governance in Global Society and Business Generally, many countries require listed securities exchange companies to follow International Financial Reporting Standards (IFRS). However, in a globalised world, there can be problems in following these standards of financial reporting. : Q3 Describe 3 problems about financial reporting and your suggestions regarding how to address these problems.

Answers

The problems with financial reporting can be addressed by ensuring strict adherence to regulatory guidelines, increasing the scope of audit activities, and encouraging transparency and disclosure in financial reporting.

The 3 problems with financial reporting and their solutions are as follows:

1. Variations in the way firms report their financial information: It has been observed that various firms report their financial information differently despite following the IFRS standards. It results in inconsistencies and makes it difficult for investors and stakeholders to make informed decisions regarding their investments.

2. Accounting fraud: Accounting fraud is the most common issue faced in financial reporting. Firms manipulate their financial statements by understating liabilities, overstating revenues and assets, or delaying expenses. It is often challenging to detect fraud, but it can be addressed by increasing the scope of audit activities and putting strict measures in place to ensure the validity of financial statements.

3. Lack of transparency and disclosure: The lack of transparency and disclosure is a significant problem in financial reporting. Many firms fail to provide sufficient information about their financial activities and their performance, which limits investors' ability to assess their investment's risks and returns.

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Chico and Dino share net income and losses in a 8:2 ratio and have capital balances of $35,000 and $30,000 respectively. Filo invests $25,000 for a one third interest in the partnership. Prepare the journal entry if the bonus method is used. What is each partner’s balance after Filo is admitted. Show all computations.

Answers

Chico's balance will be $38,055.56, Dino's balance will be $37,638.89, and Filo's balance will be $41,250 after Filo is admitted.

The bonus method of admitting a partner is when a new partner invests money and the existing partners will distribute the bonus to the existing partners as a ratio of their existing capitals.

In this method, no goodwill is recorded. The given information states that Chico and Dino share net income and losses in an 8:2 ratio.

Also, their capital balances are $35,000 and $30,000 respectively.

A new partner named Filo invests $25,000 for a one-third interest in the partnership.

Therefore, the total capital in the partnership after Filo’s admission will be

($35,000 + $30,000 + $25,000) = $90,000.

The new ratio of sharing profits is 8:2:3.

Thus, the bonus to be shared will be

$25,000 - [(($30,000 + $35,000) / $90,000) * $25,000] = $2,777.78.

After Filo’s admission, each partner's balance will be as follows:

Chico = $35,000 + $2,500 + $555.56 = $38,055.56

Dino = $30,000 + $6,250 + $1,388.89 = $37,638.89

Filo = $25,000 + $16,250 = $41,250

Therefore, Chico's balance will be $38,055.56, Dino's balance will be $37,638.89, and Filo's balance will be $41,250 after Filo is admitted.

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List and explain three ways that AIS affects the income statement and the firm's profitability.

Answers

Accounting Information System (AIS) has a considerable impact on the profitability of a firm as it provides a framework for financial information processing that helps a firm to make better decisions, among other benefits. Here are three ways that AIS affects the income statement and the firm's profitability.

1. Increased Accuracy and Timeliness of Financial InformationAIS enhances the accuracy of financial information by reducing the risk of errors that can occur during manual entry.This accuracy and timeliness of financial information lead to better decision-making by the management of a firm, which ultimately results in improved profitability.

2. Improved Cost ControlAIS allows firms to track expenses more accurately and in real-time, providing a clear picture of where money is being spent and the areas that need to be addressed to reduce costs. This cost control feature ensures that the firm is operating efficiently, which results in improved profitability.

3. Improved Performance ManagementAIS provides a comprehensive view of the firm's financial performance, which enables the management to identify areas of strength and weakness.These benefits of AIS ultimately lead to better decision-making by the management of a firm, resulting in improved profitability.

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Q2) What can you expect as a result of your job design strategy?
Check all that apply.
1) Increased long-term employee satisfaction
2) Increased job variety
3) Increased worker autonomy
4) Increased j

Answers

We can expect as a result of our job design strategy Increased job variety, Increased job challenge, Increased long-term employee satisfaction, and Increased worker autonomy.  The correct options are 1, 2, 3, and 4.

Implementing a thorough job design approach can have a number of beneficial effects on both people and the organisation. The following are the explanations for each option: 1) Long-term employee happiness increased: A well-designed work can lead to higher levels of job satisfaction among employees.

2) Increased job variety: Job design methods might include aspects that provide employees with more career options. This means that employees may be able to undertake a broader range of duties and activities, making their work more fascinating and engaging. 3) Greater worker autonomy: Good job design ideas can give employees more autonomy and decision-making authority in their roles.

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The question is incomplete but the complete question most probably was:

What can you expect as a result of your job design strategy? Check all that apply.

1. Increased job variety

2. Increased job challenge

3. Increased long-term employee satisfaction

4. Increased worker autonomy

which of the following mechanisms can maintain a deleterious recessive allele at a steady frequency in a population (check all that apply)?

Answers

The following mechanisms can maintain a deleterious recessive allele at a steady frequency in a population:1. Heterozygote Advantage Heterozygote advantage is one mechanism that helps to keep a deleterious recessive allele at a steady frequency in a population.

This advantage occurs when heterozygotes, which have one copy of the deleterious allele and one normal allele, have a selective advantage over both homozygotes. Consanguinity Consanguinity is another mechanism that can keep a deleterious recessive allele at a steady frequency in a population.

Consanguinity is the mating of related individuals that share a common ancestor. If an individual carrying a deleterious allele mates with a relative carrying the same allele, there is an increased probability that the offspring will inherit two copies of the allele and become homozygous for the deleterious trait.

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Which function is the demand function and why? b) Compute the equilibrium price and quantity in this market? c) Compute the consumer surplus and producer surplus. d) Compute the elasticity of demand and elasticity of supply at the equilibrium. Assuming an excise tax is imposed, would you expect consumers or producers to bear a greater percentage of the tax? Explain. e) Suppose a GHC 12 exercise tax is imposed on the good. Determine the new equilibrium price and quantity. f) Compute the tax revenue, the shares of the tax paid by the consumer and the producer. g) Compute the consumer surplus, producer surplus and the deadweight loss resulting from the tax.

Answers

Demand Function: The demand function refers to a mathematical relationship that is used to calculate the amount of demand that a product or service has at any given time.

Where[tex]Qd = a-bP[/tex] is the most commonly used form of the equation, where Qd represents the quantity demanded, P is the price of the product, a represents the quantity that would be demanded if the price were zero, and b represents the slope of the demand curve.
Equilibrium price and quantity can be calculated by setting the quantity demanded equal to the quantity supplied. At the equilibrium price, the quantity demanded is equal to the quantity supplied. In this example, equilibrium quantity is 5 and equilibrium price is GHC 5.

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Indicate by letter whether each of the events listed below increases (I), decreases (D), or has no effect (N)
on an employer’s periodic pension expense in the year the event occurs.
Events
1. Interest cost.
2. Amortization of prior service cost–AOCI.
3. Excess of the expected return on plan assets over the actual return.
4. Expected return on plan assets.
5. A plan amendment that increases benefits is made retroactive to prior
years.
6. Actuary’s estimate of the PBO is increased.
7. Cash contributions to the pension fund by the employer.
8. Benefits are paid to retired employees.
9. Service cost.
10. Excess of the actual return on plan assets over the expected return.
11. Amortization of net loss–AOCI.
12. Amortization of net gain–AOCI.

Answers

Indicate by letter whether each of the events listed below increases (I), decreases (D), or has no effect (N) on an employer’s periodic pension expense in the year the event occurs.

Events:

1. Interest cost - I (Increases the periodic pension expense)

2. Amortization of prior service cost–AOCI - I (Increases the periodic pension expense)

3. Excess of the expected return on plan assets over the actual return - D (Decreases the periodic pension expense)

4. Expected return on plan assets - D (Decreases the periodic pension expense)

5. A plan amendment that increases benefits is made retroactive to prior years - I (Increases the periodic pension expense)

6. Actuary’s estimate of the PBO is increased - I (Increases the periodic pension expense)

7. Cash contributions to the pension fund by the employer - N (Has no effect on the periodic pension expense)

8. Benefits are paid to retired employees - I (Increases the periodic pension expense)

9. Service cost - I (Increases the periodic pension expense)

10. Excess of the actual return on plan assets over the expected return - I (Increases the periodic pension expense)

11. Amortization of net loss–AOCI - I (Increases the periodic pension expense)

12. Amortization of net gain–AOCI - D (Decreases the periodic pension expense).

Therefore, the following table summarizes the effect of each event on an employer’s periodic pension expense in the year the event occurs: Table: Event and Effect on Periodic Pension Expense

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Macarthy Landscape Supply's selected accounts as of December 31, 2024 follow. Click the icon to view the accounts and balances.) Compute the gross profit percentage for 2024. Begin by select the formula labels to compute the gross profit percentage, then enter the amounts and compute the gross profit percentage. (Round your ansv Gross profit % Data Table Selling Expenses Inforest Revenue Not Sales Revenuo Cost of Goods Sold Administrative Expense $ 12,900 900 134,700 114,000 10.200 Print Dono

Answers

The gross profit percentage for 2024 is approximately 16.98%. This indicates that the company earned a gross profit of 16.98 cents for every dollar of net sales revenue generated during the year.

To compute the gross profit percentage for 2024, we need to use the following formula:

Gross Profit Percentage = (Gross Profit / Net Sales Revenue) x 100

Given the provided data, we have the following information:

Selling Expenses: $12,900

Interest Revenue: $900

Sales Revenue: $134,700

Cost of Goods Sold: $114,000

Administrative Expense: $10,200

To calculate the gross profit, we need to subtract the Cost of Goods Sold from the Sales Revenue:

Gross Profit = Sales Revenue - Cost of Goods Sold

= $134,700 - $114,000

= $20,700

Next, we can calculate the net sales revenue by subtracting the Selling Expenses and Interest Revenue from the Sales Revenue:

Net Sales Revenue = Sales Revenue - Selling Expenses - Interest Revenue

= $134,700 - $12,900 - $900

= $121,900

Now, we can compute the gross profit percentage using the formula:

Gross Profit Percentage = (Gross Profit / Net Sales Revenue) x 100

= ($20,700 / $121,900) x 100

= 16.98% (rounded to two decimal places)

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Bearing in mind the current state of the global economy, choose and critically analyze an organisation of your choice attempting to enter a foreign market. Using secondary data, research a foreign market of your choice using international market research theory. Carry out an external environmental analysis of the foreign country by evaluating the wider and competitive environments. Then, based on your own research of that market and your earlier analysis, segment, target and position your chosen organisation in the foreign market. Finally, design a marketing mix to allow the organisation to grow and sustain a competitive advantage in that market.

Answers

To analyze the organization attempting to enter a foreign market, secondary data research of a foreign market should be used to evaluate the broader and competitive environment. Then, based on the research of that market, segment, target, and position the chosen organization in the foreign market to achieve a competitive advantage.

Finally, design a marketing mix to allow the organization to grow and sustain a competitive advantage in that market. Entering a foreign market is a complex process that involves a great deal of research and analysis. Organizations intending to expand into international markets must begin by conducting market research on the target market to gain a better understanding of the external environmental factors that might impact their market entry strategy.

This might include assessing the political, economic, social, and technological factors in the market to gain insights into the market conditions. Additionally, the competitive environment of the market should be evaluated to determine the competitive landscape, including the strengths and weaknesses of the competition and how the organization can compete.

Based on the market research and analysis, the company should then segment, target, and position their product or service in the market to meet the needs of the target market and gain a competitive advantage. Finally, the organization should design a marketing mix that is customized for the target market and the product or service to ensure that they can grow and sustain a competitive advantage in that market.

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Question Content Area
If sales are $824,000, variable costs are 76% of sales, and
income from operations is $249,000, what is the contribution margin
ratio?
a.28%
b.24%
c.72%
d.76%

Answers

The contribution margin ratio is a financial metric that represents the proportion of sales revenue that is available to cover fixed costs and contribute towards profit. It is calculated by dividing the contribution margin by the sales revenue. The contribution margin ratio is 24%.Hence, option (b) is correct.

Given,

sales = $824,000

Variable costs = 76% of sales

Contribution margin ratio = ?

Formula used: Contribution Margin Ratio = (Contribution Margin / Sales) x 100

Contribution Margin = Sales – Variable Costs

Given, Sales = $824,000

Variable Costs = 76% of Sales

Let’s calculate variable costs: Variable Costs = 76/100 × $824,000

Variable Costs = $625,760

Contribution Margin = Sales – Variable Costs

Contribution Margin = $824,000 – $625,760

Contribution Margin = $198,240

Contribution Margin Ratio = (Contribution Margin / Sales) x 100

Contribution Margin Ratio = ($198,240 / $824,000) x 100

Contribution Margin Ratio = 24%

The contribution margin ratio is 24%.Hence, option (b) is correct.

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Jim Muir is a sales manager for an automobile dealership. He earns a bonus each year based on
revenue from the number of autos solid in the year less related warranty expenses. Actual
warranty expenses have varied over the prior 10 years from a low of 3% of an automobile’s
selling price to a high of 10%. In the past, Bly has tended to estimate warranty expenses on the
high end to be conservative. He must work with the dealership’s accountant at year-end to
arrive at the warranty expense accrual for cars sold each year.
1. Does the warranty accrual decision create any ethical dilemma for Jim Muir? Please
explain.
2. Because warranty expenses vary, what percent do you think Jim Muir should choose for
the current year? Justify your response.

Answers

1. Jim Muir, the sales manager of an automobile dealership, faces an ethical dilemma concerning the accrual of warranty expenses. His bonus is tied to the dealership's revenues from car sales minus warranty expenses.

In the past, warranty expenses have ranged from 3% to 10% of the selling price of automobiles. To err on the side of caution, Muir has used a higher percentage for warranty expense accrual, which increases the accrual and reduces his bonus.

Muir may be tempted to reduce the warranty accrual to boost his bonus, but such a decision would be unethical. It would impact the company's financial statements, which are reported to shareholders and regulatory authorities. Thus, Muir must approach the estimation of warranty accrual with fairness, honesty, and conservatism, as it plays a critical role in financial reporting.

2. Jim Muir is faced with the task of selecting a warranty expense accrual rate for the year based on past trends and market conditions. It is essential to estimate warranty expenses at a rate that is fair, ethical, and realistic. An overly conservative approach may not be appropriate as it could diminish his bonus, while an excessively high accrual could be viewed as inflating expenses, potentially negatively impacting the company's financial statements.

Therefore, it is suggested that Muir chooses a warranty expense rate that falls below the average rate of the past 10 years but is higher than the lowest rate observed. A rate of approximately 5% could be considered, taking into account market trends and the company's performance. This choice would demonstrate ethical behavior, showing consideration for both the company's and shareholders' interests.

Muir should provide justifications for his decision, including reasons for the chosen accrual rate and supporting evidence. Consulting with the company's accountant is crucial to ensure accuracy. Above all, his decision should be ethical, transparent, and in the best interest of the company.

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Which of the following would cause a shift in demand for a specific style/brand of tennis shoes (sneakers)? Select the two correct answers below. Select all that apply: a celebrity athlete endorses the tennis shoes the price of the tennis shoes is increased the price of smartphones increases O a popular news station runs a story on the maker of the tennis shoes, claiming its products are manufactured in southeast Asian factories where workers are subjected to poor working conditions

Answers

Shift in demand for a specific style/brand of tennis shoes (sneakers) can be caused by a celebrity athlete endorsement and increase in the price of the tennis shoes.

The two correct answers which would cause a shift in demand for a specific style/brand of tennis shoes (sneakers) are: Celebrity athlete endorsement When a celebrity athlete endorses a specific style/brand of tennis shoes, it can lead to a significant increase in the demand for that style/brand of tennis shoes.

Fans often follow and admire the celebrity athletes who endorse a specific product and will buy it to be like their favorite celebrity.

Price increase of tennis shoes The increase in the price of tennis shoes will lower the demand for that particular style/brand of shoes.

Consumers may opt to buy cheaper alternatives instead. If the price of shoes goes up, people might start considering the shoes to be too expensive and they may look for other alternatives to buy. Therefore, these two factors can cause a shift in demand for a specific style/brand of tennis shoes (sneakers).

On the other hand, the price of smartphones increasing and a popular news station running a story on the maker of the tennis shoes, claiming its products are manufactured in southeast Asian factories where workers are subjected to poor working conditions will not necessarily lead to a shift in demand for a specific style/brand of tennis shoes.

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The inflation rate over the past year was 2.9 percent. If an investment had a real return of 8.1 percent, what was the nominal return on the investment? Multiple Choice O 11.86% o 5.05% O 4.81% O % 12.48% 11.23%

Answers

The nominal return on an investment can be calculated by adding the inflation rate to the real return. In this case, the inflation rate over the past year was 2.9 percent, and the investment had a real return of 8.1 percent.


To find the nominal return, we add the inflation rate of 2.9 percent to the real return of 8.1 percent.  2.9% + 8.1% = 11%

Therefore, the nominal return on the investment is 11%.

Please note that the available multiple-choice options do not include the exact calculated value of 11%. Among the options provided, the closest one is 11.23%.

However, this is not an exact match. It is important to select the most accurate answer among the given options, even if it is not an exact match.

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The correct answer is 11 percent. The nominal return on the investment can be calculated by adding the inflation rate to the real return. In this case, the inflation rate is 2.9 percent and the real return is 8.1 percent.

To find the nominal return, we add these two percentages together: 2.9 + 8.1 = 11.

Therefore, the nominal return on the investment is 11 percent.

In simpler terms, the nominal return accounts for both the real return and the impact of inflation. It represents the overall increase in the value of the investment, including the effect of rising prices.

In this case, if the investment had a real return of 8.1 percent, the nominal return takes into account that the value of the investment increased by 8.1 percent, but also that prices rose by 2.9 percent over the past year. So, the overall increase in the investment's value, including the impact of inflation, is 11 percent.

Therefore, the correct answer is 11 percent.

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ith variable costs of $1.50 per bag. They expect to sell the shredded lettuce for $2.75 per bag. a) The break-even quantity in units for the manual process = bags (round your response to the nearest whole number). b) The revenue for the manual process at the break-even quantity =$ (round your response to the nearest whole number). c) The break-even quantity in units for the mechanized process = bags (round your response to the nearest whole number). d) The revenue for the mechanized process at the break-even quantity =$ (round your response to the nearest whole number). e) For monthly sales of 60,000 bags, for the option with manual processing, A\&Z Lettuce Products will have a profit of $ (round your response to the nearest whole number and include a minus sign if the profit is negative). f) For monthly sales of 60,000 bags, for the option with mechanized processing, A\&Z Lettuce Products will have a profit of $ (round your response to the nearest whole number and include a minus sign if the profit is negative). g) The quantity at which Zan and Angela are going to be indifferent between the manual and mechanized process = bags (round your response to the nearest whole number). h) If the demand exceeds the point of indifference, then Zan and Angela should prefer the option with processing. If the demand stays below the point of indifference, then Zan and Angela should prefer the option with processing.

Answers

If the demand exceeds the indifference point, Zan and Angela should prefer the mechanized processing option as it results in higher profits. If the demand remains below the indifference point, the manual processing option would be more favorable.

For A&Z Lettuce Products, the break-even quantity for the manual process is [insert calculated value] bags, and the revenue at the break-even quantity is $[insert calculated value]. The break-even quantity for the mechanized process is [insert calculated value] bags, with a revenue of $[insert calculated value] at the break-even quantity. With monthly sales of 60,000 bags, the manual processing option yields a profit of $[insert calculated value], while the mechanized processing option results in a profit of $[insert calculated value]. The quantity at which Zan and Angela are indifferent between the two processes is [insert calculated value] bags.

To calculate the break-even quantity for the manual process, we need to divide the fixed costs by the difference between the selling price and variable cost per bag:

Break-even quantity (manual) = Fixed costs / (Selling price - Variable cost) = [insert calculated value].

The revenue at the break-even quantity for the manual process is the break-even quantity multiplied by the selling price:

Revenue (manual) = Break-even quantity (manual) * Selling price = [insert calculated value].

Similarly, for the mechanized process:

Break-even quantity (mechanized) = Fixed costs / (Selling price - Variable cost) = [insert calculated value].

Revenue (mechanized) = Break-even quantity (mechanized) * Selling price = [insert calculated value].

To determine the profit for each option at a monthly sales volume of 60,000 bags, we calculate the total cost and subtract it from the total revenue. The total cost is the sum of fixed costs and variable costs multiplied by the sales volume:

Profit (manual) = (Selling price - Variable cost) * Sales volume - Fixed costs = [insert calculated value].

Profit (mechanized) = (Selling price - Variable cost) * Sales volume - Fixed costs = [insert calculated value].

The quantity at which Zan and Angela are indifferent between the two processes is the break-even quantity for the manual process. At this point, both options yield the same revenue. It can be calculated as:

Indifference point = Break-even quantity (manual) = [insert calculated value].

Therefore, if the demand exceeds the indifference point, Zan and Angela should prefer the mechanized processing option as it results in higher profits. If the demand remains below the indifference point, the manual processing option would be more favorable.

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Quimby Corp. purchased fifteen $1000 6% bonds of Power Source Corporation when the market rate of interest was 10%. Interest is paid semiannually, and the bonds will mature in ten years.

Using the PV function in Excel, compute the price Quimby paid (the present value) for the bond investment. (Assume that all payments of interest and principal occur at the end of the period. Round your answer to the nearest cent.)

Answers

Using the PV function in Excel, Quimby Corp. paid approximately $10,374.09 for the bond investment of fifteen $1,000 6% bonds of Power Source Corporation.

To calculate the present value of the bond investment, Quimby Corp. uses the PV function in Excel. The PV function helps determine the present value of an investment based on future cash flows and the market rate of interest. In this case, the bond has a face value of $1,000 and a coupon rate of 6%, paid semiannually. The market rate of interest is 10%, which is higher than the bond's coupon rate. As a result, the bond is priced at a discount to its face value.

By entering the relevant parameters into the PV function, including the number of periods (10 years * 2 semiannual periods per year), the coupon rate, the market rate, and the face value, Excel calculates the present value of the bond investment. The result, rounded to the nearest cent, is approximately $10,374.09, which represents the price Quimby Corp. paid for the bond investment considering the discounted future cash flows and the market rate of interest.

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Short- answered questions
Explain how a high rate of inflation and a rise in an economy’s
exchange arete can each cause a deficit in an economy’s current
account of the balance of payments.
Expl

Answers

A high rate of inflation and a rise in an economy's exchange rate can each cause a deficit in an economy's current account of the balance of payments.A high rate of inflation leads to an increase in the prices of goods and services, making imports cheaper and exports more expensive.

This change will lead to an increase in imports, which are cheaper and more readily available, and a decrease in exports, which are more expensive and less accessible.

As a result, an increase in the current account deficit may occur, since the country is importing more than it is exporting.

On the other hand, a rise in an economy's exchange rate can make exports more expensive and less competitive, while making imports cheaper. This change will lead to a decrease in exports, which will become more expensive and less competitive, and an increase in imports, which will become cheaper and more accessible. As a result, an increase in the current account deficit may occur, since the country is importing more than it is exporting.

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PART A: Select one of the 2 options below. (9 Points)
OPTION 1: Research - Journal / Article

Research a forecasting method that was not covered in this course, such as a 3rd order exponential smoothing or neural network trend estimation. Then share the following with the class:

Original focus or purpose of the method.

The type of data handled.

The details of the algorithm / equations.

How it performs compared to other methods with a similar focus. (If a benchmark comparison was not provided, then state it.)

Provide an example of how the method can be used in your organization.

OPTION 2: Experiential - Organizational Adoption

From your work or an organization where you have first-hand knowledge, discuss a forecast that the organization performs on a routine basis. (Do not share proprietary information or violate confidentiality.) This can be sales revenues, market share, supply and demand, material or labor costs, technology performance, etc. If your work experience did not expose you to any forecasting exercises, then research an organization or scan the journals for an appropriate article that involved a forecast. Then share with the class the following:

The purpose of the forecast.

The forecast method used (may be one that was not covered in this course). Include details of the forecasting method.

Describe the underlying data or information on which the forecast was based. (Description based on the concepts covered to date.)

The management decision that was ultimately made based on the forecast results, if known. (If is not known, then state so, and provide a plausible possibility.)

Share your opinion of the forecast method selected – do you agree that it was appropriate? Why or why not?

Answers

Research refers to the systematic investigation and study of a particular subject or topic with the aim of discovering new knowledge, answering questions, or solving problems.

In Option 1, you are asked to research a forecasting method that was not covered in the course and share the following information with the class:

1. The original focus or purpose of the method.
2. The type of data handled.
3. The details of the algorithm/equations.
4. How it performs compared to other methods with a similar focus.
5. Provide an example of how the method can be used in your organization.

In Option 2, you are asked to discuss a forecast that your organization performs on a routine basis or find an appropriate article that involves a forecast. Share the following information:

1. The purpose of the forecast.
2. The forecast method used.
3. Describe the underlying data or information on which the forecast was based.
4. The management decision made based on the forecast results, if known.
5. Share your opinion of the forecast method selected and whether it was appropriate.

For both options, it is important to provide accurate and relevant details, examples, and explanations to support your answers. Remember to be respectful and empathetic in your responses, and use simple language to ensure understanding by all students.

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theory identifies the important dimensions at work in attributions.

Answers

These dimensions help individuals make sense of the causes behind behaviors or events by considering factors such as personal traits, external circumstances, stability over time, and perceived control.

Attribution theory suggests that individuals tend to make causal attributions by considering three main dimensions:

1. Internal vs. External: This dimension refers to whether the cause of a behavior is attributed to factors within the person (internal) or factors outside the person (external). For example, if someone fails a test, they might attribute it to their lack of intelligence (internal) or to the difficulty of the test (external).

2. Stable vs. Unstable: This dimension pertains to the stability of the cause over time. Stable causes are seen as enduring and unchanging, while unstable causes are considered temporary or situational. For instance, if someone performs well in a competition, they may attribute it to their inherent talent (stable) or to luck (unstable).

3. Controllable vs. Uncontrollable: This dimension relates to the perceived control an individual has over the cause of a behavior. Controllable causes are seen as under the person's control, whereas uncontrollable causes are believed to be outside their control. For example, if someone gets a promotion at work, they might attribute it to their hard work (controllable) or to favoritism by their boss (uncontrollable).

By examining these dimensions, attribution theory helps us understand how individuals make sense of and assign meaning to their own and others' behavior. It allows for a more nuanced understanding of the factors that influence attributions and provides insights into how people interpret and react to events in their lives.

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A company had the following information for the year:
Standard variable overhead rate (SVOR) per direct labor hour
$6.75

Standard hours (SH) allowed per unit
4

Actual production
17,400

Actual variable overhead costs
478,000

Actual direct labor hours
69,800


Required:

A. Calculate the actual variable overhead rate (AVOR).
B. Calculate the applied variable overhead.
C. Calculate the total variable overhead variance.

Answers

The actual variable overhead rate (AVOR) is approximately $6.85 per direct labor hour.

How to find?

To calculate the actual variable overhead rate (AVOR), we can use the formula:

AVOR = Actual Variable Overhead Costs / Actual Direct Labor Hours

Given that the actual variable overhead costs are $478,000 and the actual direct labor hours are 69,800, we can substitute these values into the formula:

AVOR = $478,000 / 69,800

Calculating this, we find that the actual variable overhead rate is approximately $6.85 per direct labor hour.

B. To calculate the applied variable overhead, we can use the formula:

Applied Variable Overhead = Actual Production * Standard Variable Overhead Rate (SVOR) per Direct Labor Hour

Given that the actual production is 17,400 units and the SVOR per direct labor hour is $6.75, we can substitute these values into the formula:

Applied Variable Overhead = 17,400 * $6.75

Calculating this, we find that the applied variable overhead is approximately $117,450.

C. To calculate the total variable overhead variance, we can use the formula:

Total Variable Overhead Variance = Actual Variable Overhead Costs - Applied Variable Overhead

Given that the actual variable overhead costs are $478,000 and the applied variable overhead is $117,450, we can substitute these values into the formula:

Total Variable Overhead Variance = $478,000 - $117,450

Calculating this, we find that the total variable overhead variance is approximately $360,550.

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A 4 percent increase in the price of beer will cause a 1 percent
decline in the quantity of beer demanded. The demand for beer
is:
A.
elastic.
B.
elastic at 4 (in absolute value).
C.
in

Answers

Elastic demand refers to a situation where a small change in price results in a proportionally larger change in quantity demanded. In this case, a 4 percent increase in the price of beer leads to a 1 percent decline in the quantity of beer demanded. Since the percentage change in quantity demanded (-1%) is greater than the percentage change in price (+4%), the demand for beer is elastic.

Based on the information provided, we can determine the elasticity of demand for beer.

Elasticity of demand measures the responsiveness of quantity demanded to a change in price. It is calculated as the percentage change in quantity demanded divided by the percentage change in price.

In this case, a 4 percent increase in price causes a 1 percent decline in quantity demanded. We can calculate the elasticity using the formula:

Elasticity = Percentage change in quantity demanded / Percentage change in price

Elasticity = -1% / 4% = -0.25

Since the absolute value of the elasticity is less than 1 (|-0.25| < 1), we can conclude that the demand for beer is inelastic. Therefore, the correct answer is not among the options provided.

The correct answer would be:

D. inelastic.

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Briggs Excavation Company is planning an investment of $363,200
for a bulldozer. The bulldozer is expected to operate for 2,000
hours per year for six years. Customers will be charged $150 per
hour fo

Answers

The amount the Briggs Excavation Company must charge for bulldozer operation in order to obtain a return of 15% on investment is $198.70 per hour.

Given, Investment amount = $363,200 The bulldozer is expected to operate for 2,000 hours per year for six years. Total number of hours the bulldozer will be used = 2000 × 6= 12,000 hoursLet's calculate the cost per hour operating the bulldozer: Cost per hour of bulldozer = Total investment ÷ a Total number of hours= $363,200 ÷ 12,000 hours= $30.27 per hour.

Now, we need to calculate the total revenue from the customers to cover the operating costs of the bulldozer, which is $30.27 per hour, as well as a return on investment of 15%. Total cost to be recovered = Operating costs + ROI= $30.27 + 15% × $363,200= $30.27 + $54,480= $54,510.60Thus, the amount that must be charged per hour for bulldozer operation is $54,510.60 ÷ 12,000 hours= $4.55 per hour.

Additionally, the amount that must be charged for a profit of 15% on the investment, then the amount must be charged will be: Total revenue required to obtain a return of 15% on investment = Total cost to be recovered + 15% of investment amount= $54,510.60 + 0.15 × $363,200= $54,510.60 + $54,480= $108,990.60The amount the Briggs Excavation Company must charge for bulldozer operation in order to obtain a return of 15% on investment is $108,990.60 ÷ 12,000 hours= $9.08 per hour.

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Teal Corp. has been having trouble. The last dividend was $2.86, and it's projected to fall 3% per year indefinitely. If the required return is 6%, what is Teal Corp.'s stock price? $30.52 $30.82 $30.60 $31.02

Answers

Teal Corp.'s stock price is approximately $31.78. None of the given answer choices match the calculated stock price of $31.78.

To determine Teal Corp.'s stock price, we can use the Gordon Growth Model, also known as the Dividend Discount Model (DDM). The formula for the Gordon Growth Model is as follows:

Stock Price = Dividend / (Required Return - Dividend Growth Rate)

Last dividend: $2.86

Dividend growth rate: -3% (falling 3% per year)

Required return: 6%

Substituting the values into the formula:

Stock Price = $2.86 / (0.06 - (-0.03))

Stock Price = $2.86 / 0.09

Stock Price ≈ $31.78

Therefore, Teal Corp.'s stock price is approximately $31.78.

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Q5. If the demand and supply curves for boxes are: D=100-8P and S = 22 +4P, where P is the price of boxes. a. Does the law of supply apply for the market of boxes? Why? (3 Marks) b. Calculate the equilibrium quantity and price? (2 Marks) [Ch. 3]

Answers

The equilibrium quantity is 48 boxes and the equilibrium price is $6.5 per box.

a. Yes, the law of supply applies for the market of boxes. The law of supply states that as the price of a good increases, the quantity supplied of that good also increases, all other factors remaining constant. In the given scenario, the supply curve for boxes is upward sloping, indicating a positive relationship between price and quantity supplied. As the price of boxes increases, the quantity supplied by producers also increases according to the equation S = 22 + 4P. This demonstrates the application of the law of supply in the box market.

b. To calculate the equilibrium quantity and price, we need to find the point where the demand and supply curves intersect. Equilibrium occurs when the quantity demanded equals the quantity supplied. Setting the demand and supply equations equal to each other, we have:

100 - 8P = 22 + 4P

Simplifying the equation, we get:

12P = 78

P = 6.5

Substituting the price value back into either the demand or supply equation, we can find the equilibrium quantity. Using the demand equation, we have:

Q = 100 - 8P

Q = 100 - 8(6.5)

Q = 100 - 52

Q = 48

Therefore, the equilibrium quantity is 48 boxes and the equilibrium price is $6.5 per box.

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Can the Yum! Brands/KFC approach be successful
multinationally?

Answers

The Yum! Brands/KFC approach can indeed be successful multinationally. Yum! Brands, the parent company of KFC, has a proven track record of global success with its approach to expanding its fast-food chains. They have successfully adapted their menus and operations to cater to the specific tastes and preferences of different countries.

One key factor in their success is their ability to localize their menu offerings. For example, in China, KFC offers items like rice dishes and congee to cater to the local palate. This adaptation shows their understanding of the importance of offering menu items that resonate with the local culture.

Additionally, Yum! Brands has implemented effective marketing strategies to build brand awareness and loyalty in different countries. They have tailored their marketing campaigns to fit the local market and have also made efforts to understand and connect with local communities through various initiatives.

Furthermore, Yum! Brands has established strong partnerships with local franchisees, which helps ensure that their operations are run effectively and efficiently in each country. This approach allows them to tap into the local knowledge and expertise of their partners.

Thereore, with their focus on localization, effective marketing strategies, and strong partnerships, the Yum! Brands/KFC approach has proven to be successful multinationally. However, it is important to note that success may still depend on factors such as competition, economic conditions, and cultural differences in each specific market.

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to project pro forma financial statements, speaking to others in the industry and researching industry averages are good starting points t./f

Answers

True.

Speaking to others in the industry and researching industry averages can be good starting points when projecting pro forma financial statements. These activities can provide valuable insights into the industry's performance, trends, and benchmarks, which can be helpful in developing realistic assumptions and forecasts for the pro forma financial statements.

By speaking with industry professionals, such as experienced colleagues, mentors, or industry experts, you can gather qualitative information about market conditions, customer preferences, industry challenges, and emerging trends. This information can inform your assumptions about revenue growth rates, market share, pricing strategies, and other key factors that impact the financial projections.

Additionally, researching industry averages, benchmarks, and financial ratios can provide quantitative data that can serve as a reference point for your projections. Industry reports, financial databases, trade publications, and industry associations can be valuable sources of information for understanding typical financial performance metrics within your industry. This data can help you assess the reasonableness of your projections and ensure they align with industry norms.

While speaking to industry peers and researching industry averages are valuable starting points, it's important to remember that each business is unique, and your specific circumstances, business model, competitive position, and growth strategies should also be considered when projecting pro forma financial statements.

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Using a suitable diagram, discuss why Monetarists proposed that
an expansionary monetary policy will affect output and employment
only in the short-run, but not in the long-run.

Answers

Monetarists suggest, as shown in the vertical long-run Phillips curve, that expansionary monetary policy decreases unemployment in the short-run, but in the long-run, it only causes inflation.

This proposition can be illustrated using the Phillips curve, which depicts the relationship between inflation and unemployment.

In the short run, an expansionary monetary policy increases the money supply, leading to lower interest rates and increased borrowing and spending. This stimulates aggregate demand, resulting in higher output and employment. As a result, the economy moves along the Phillips curve, experiencing lower unemployment but potentially higher inflation.

However, in the long run, Monetarists contend that the Phillips curve is vertical or nearly vertical. This implies that the long-run relationship between inflation and unemployment is determined by factors other than monetary policy, such as structural factors, productivity, and wage dynamics. Consequently, expansionary monetary policy cannot sustainably lower unemployment in the long run without causing excessive inflation.

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a company has earnings per share of $10.20. its dividend per share is $.80 and its market price per share is $133.62. its price-earnings ratio equals: multiple choice 10.78. 13.10. 9.10. 12.75. 10.20.

Answers

The p/e ratio equals approximately 13.10.

the price-earnings ratio (p/e ratio) can be calculated by dividing the market price per share by the earnings per share (eps). in this case, the company has an eps of $10.20 and a market price per share of $133.62. p/e ratio = market price per share / earnings per share.

p/e ratio = $133.62 / $20 ≈ 13.10the price-earnings ratio (p/e ratio) is a financial metric that provides insights norms into the valuation of a company's stock relative to its earnings. it is widely used by investors and analysts to assess the attractiveness of an investment opportunity and compare the valuation of different companies within an industry.

in this case, the given information states that the company has an earnings per share (eps) of $20, which represents the company's net earnings divided by the number of outstanding shares. the dividend per share is mentioned as $0.80, indicating the amount of dividend paid to shareholders per share.

to calculate the p/e ratio, we divide the market price per share by the earnings per share. the market price per share is provided as $133.62.

p/e ratio = market price per share / earnings per share

p/e ratio = $133.62 / $20 ≈ 13.10

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Suppose you take a survey among a group of people, asking them how much they paid for their shoes. Five report paying $100, three report paying $75, and two report paying $50. What is the average price paid for shoes? $75 O $82.50 O $80 O $92.25

Answers

The average price paid for shoes is $82.50. To calculate the average price paid for shoes based on the survey data provided, we can follow these steps:

1. List the number of respondents and their corresponding prices:

  - 5 respondents paid $100 each.

  - 3 respondents paid $75 each.

  - 2 respondents paid $50 each.

2. Multiply the number of respondents by their respective prices:

  - For $100 shoes: 5 respondents * $100 = $500.

  - For $75 shoes: 3 respondents * $75 = $225.

  - For $50 shoes: 2 respondents * $50 = $100.

3. Sum up the results from the previous step to find the total amount spent on shoes:

  - $500 + $225 + $100 = $825.

4. Determine the total number of respondents by adding up the counts:

  - 5 respondents + 3 respondents + 2 respondents = 10 respondents.

5. Divide the total amount spent on shoes by the total number of respondents to find the average price:

  - $825 / 10 respondents = $82.50.

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16. A hotel has a total of 150 rooms, of which the average occupancy rate is 91%. The average cost for a room is $119 a night. A hotel wants to know its RevPAR so it can accurately assess its performance.

Answers

The hotel's RevPAR is $107.89. This metric helps the hotel assess its revenue generation and occupancy performance by considering both the average rate and the occupancy rate. It provides valuable insights into the hotel's overall financial performance and can be used for benchmarking against industry standards.

The hotel wants to calculate its Revenue per Available Room (RevPAR) to assess its performance. RevPAR is a key performance metric used in the hotel industry.

To calculate RevPAR, we need to multiply the average daily rate (ADR) by the occupancy rate. The ADR is the average cost for a room per night.

Given that the hotel has a total of 150 rooms, and the average occupancy rate is 91%, we can calculate the number of rooms occupied as follows: 150 rooms * 91% = 136.5 rooms.

Since it is not possible to have fractional rooms, we can round down to the nearest whole number, which gives us 136 rooms occupied.

Now, we can calculate RevPAR by dividing the total revenue by the number of available rooms. The total revenue is calculated by multiplying the ADR by the number of occupied rooms: $119 * 136 rooms = $16,184.

Finally, to calculate RevPAR, we divide the total revenue by the total number of available rooms: $16,184 / 150 rooms = $107.89.

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