You examine the balance sheet of a mutual fund and find that its year-end assets are 800 million. It paid the managers 5.5 million, had rent and miscellaneous costs totaling 2.25 million, and spent 2.25 million on advertising. The fund has 18.25 million shares outstanding. What is the fund's NAV per share? 35.95 43.29 33.68 39.09 41.39

Answers

Answer 1

The NAV per share is calculated by dividing the net assets of the fund by the number of shares outstanding. The net asset value (NAV) per share of the mutual fund is $39.09.

The NAV per share is calculated by dividing the net assets of the fund by the number of shares outstanding. In this case, the net assets of the fund are obtained by subtracting the expenses (management fees, rent, miscellaneous costs, and advertising expenses) from the total assets. The expenses amount to $5.5 million + $2.25 million + $2.25 million = $10 million. Therefore, the net assets of the fund are $800 million - $10 million = $790 million.

To calculate the NAV per share, we divide the net assets by the number of shares outstanding: $790 million / 18.25 million shares = $43.29 per share. Therefore, the NAV per share of the mutual fund is $43.29.

In summary, the net asset value (NAV) per share of the mutual fund is $39.09. This is calculated by subtracting the expenses from the total assets and then dividing the result by the number of shares outstanding. The net assets of the fund amount to $790 million, and with 18.25 million shares outstanding, the NAV per share is $43.29.

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Related Questions

4 Callahan Construction borrowed $2.6 million to finance the construction of an entertainment complex in a smart community development project. The company made "interest only" payments of $312,000 each year for 3 years and then repaid the principal in a single lump sum payment of $2.6 million. What was the interest rate on the loan?

Answers

After calculation, we know that the required interest rate on the loan is 5.09% (rounded to two decimal places) annually.

Given information: Callahan Construction borrowed $2.6 million to finance the construction of an entertainment complex in a smart community development project.

The company made "interest only" payments of $312,000 each year for 3 years and then repaid the principal in a single lump sum payment of $2.6 million.

The interest rate on the loan can be calculated as follows:

Interest Paid during the 3-year period = Total amount repaid - Original amount borrowed

[tex]= (3 × 312,000) - 2,600,000\\= 936,000 - 2,600,000\\= -1,664,000[/tex]

The interest paid during the three-year period was -$1,664,000.

Now, we have to calculate the interest rate on the loan using the formula given below:

[tex]Simple interest = (P × R × T) / 100,[/tex]

We need to calculate R, so we can use the formula as,

[tex]R = (100 × I) / (P × T)[/tex]

Substituting the given values in the above formula we get,

[tex]R = (100 × (-1,664,000)) / (2,600,000 × 3)\\= -5.09%[/tex]

Therefore, the interest rate on the loan is 5.09% (rounded to two decimal places) annually.

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When the actual rate of inflation exceeds the expected rate, the growth rate of output before expectations are updated can be lower than the Solow growth rate.

If the actual rate of inflation turns out to be higher than the expected rate of inflation, it can impact the growth rate of output before expectations are updated. When inflation is higher than expected, it can create uncertainty and disrupt economic decisions.

One possible scenario is that higher inflation erodes the purchasing power of consumers, leading to a decrease in consumer spending. This, in turn, can reduce business revenues and profits, causing firms to cut back on production and investment.

As a result, the growth rate of output may be lower than the Solow growth rate, option A.

Another scenario is that higher inflation can lead to an increase in interest rates, as central banks aim to control inflation. Higher interest rates can discourage borrowing and investment, leading to a slowdown in economic growth.

In this case, the growth rate of output may also be lower than the Solow growth rate.

In summary, when the actual rate of inflation exceeds the expected rate, the growth rate of output before expectations are updated can be lower than the Solow growth rate.

This is because higher inflation can reduce consumer spending and discourage investment, both of which can negatively impact economic growth.

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Comparative advantage Frances and Dmitri are partners at a management consulting firm. They are trying to determine which of them has a comparative adve creating the 25 slides required for a sales pitch to a prospective client. Frances can create 20 slides per hour. For other activities, she can bill clients $400 per hour. Frances's opportunity cost of creating slides is per slide. these facts, has a comparative advantage in creating slides. $20.00 arative advantage d Dmitri are partners at a management consulting firm. They are trying to determine which of them has a comparative adve in e 25 slides required for a sales pitch to a prospective client. n create 20 slides per hour. For other activities, she can bill clients $400 per hour. Frances's opportunity cost of creating slides is per slide. these facts, has a comparative advantage in creating slides. 10. Comparative advantage Frances and Dmitri are partners at a management consulting firm. They are trying to determine which of them has a comparative in creating the 25 slides required for a sales pitch to a prospective client. Frances can create 20 slides per hour. For other activities, she can bill clients $400 per hour. Frances's opportunity cost of creating slides is Dmitri's opp st of creating slides is 35% higher than Frances's. However, as the junior partner, his billing rate is 30% lower. Based on all of these facts, has a comparative advantage in creating slides.

Answers

Frances has a comparative advantage in creating slides. Comparative advantage refers to the ability to produce a good or service at a lower opportunity cost compared to someone else.

Frances can create 20 slides per hour, while Dmitri's opportunity cost of creating slides is 35% higher than Frances's. Additionally, Frances can bill clients $400 per hour for other activities, indicating a higher value for her time. On the other hand, Dmitri's billing rate is 30% lower as the junior partner.

Therefore, even though Dmitri's opportunity cost is higher, Frances's higher billing rate and lower opportunity cost give her the comparative advantage in creating slides.

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Which of the following activities are assoclated with a company's financial reporting informnation system?
(1) Reporting internally on the cost of achieving the required level of quality in the company's products
(2) Reporting to the shareholders on the company's interim results
(3) Reporting to the regulator about the company's compliance with legislation
OA. (1) and (2) only
OB. (2) and (3) only
OC. (1) and (3) only
OD. (1), (2) and (3)

Which two cyber-attacks involve an attacker having unauthorised access to an organisation's computer systems and files?
DA. Ransomware
DB. Phishing
DC. Distributed denial of service (DDOS)
DD. Hacking
DE. Keylogging

Using conclusions based on a sample of data to infer information about the entire population from which it was drawn involves
A. exploratory data analysis
B. descriptive statistics
C. confirmatory data analysis
D. experimental statistics

Answers

The correct answers are: (1) and (3) only for the first question of the following activities are assoclated with company financial reporting information system

DD. Hacking and DE. Keylogging for the second question two cyber-attacks involve attacker having unauthorised access to computer systems and files

C. confirmatory data analysis for third question it was drawn involve.

An information system is a framework composed of people, processes, data, and technology used to collect, store, process, and disseminate information within an organization. It enables efficient management of data, supports decision-making processes, and facilitates communication and coordination across different departments or levels of an organization. Information systems can range from simple manual systems to complex computer-based systems, such as enterprise resource planning (ERP) or customer relationship management (CRM) systems.

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"state whether a firms interest burden-ratio will be higher or lower
if it pays more interest relative to ebit(earnings before interest
and taxes) and give the reason for your answer"

Answers

When a firm pays more interest relative to its EBIT, the interest burden-ratio will be higher. This can indicate a higher level of financial risk and may affect the firm's ability to generate profits and invest in growth opportunities.

A firm's interest burden-ratio will be higher if it pays more interest relative to EBIT (earnings before interest and taxes). This is because the interest burden-ratio measures the proportion of a firm's earnings that are used to pay interest on its debt.


If a firm's interest expenses increase, while its earnings remain the same, the ratio of interest payments to earnings will be higher. This indicates that a larger portion of the firm's earnings is going towards servicing its debt.


For example, let's say a company has an EBIT of $100,000 and pays $20,000 in interest. In this case, the interest burden-ratio would be 20% ($20,000 divided by $100,000). If the company's interest expenses increase to $30,000, while the EBIT remains the same, the interest burden-ratio would rise to 30% ($30,000 divided by $100,000).

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As an accountant with a high level of business knowledge, you are asked to join the board of a start-up company that plans to build an app to allow users to share personal health-related information, pictures, stories, and more. What industry should you look to for guidance on this company’s operations?

a.
Manufacturing.

b.
Technology.

c.
Banking and capital markets.

d.
Health care.

Answers

d. Health care. the health care industry would provide insights into user behavior, user needs, and industry trends that would be valuable for the start-up's success.

Given that the start-up company is focused on building an app for sharing personal health-related information, pictures, and stories, the most relevant industry to look for guidance on its operations would be the health care industry. Health care industry knowledge and expertise would be crucial in understanding the regulatory landscape, privacy and security requirements, ethical considerations, and best practices for handling personal health data. Additionally, the health care industry would provide insights into user behavior, user needs, and industry trends that would be valuable for the start-up's success.

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On January 4, 2021, Runyan Bakery paid $350 million for 10 million shares of Lavery Labeling Company common stock. The investment represents a 30% interest in the net assets of Lavery and gave Runyan the ability to exercise significant influence over Lavery's operations. Runyan received dividends of $3.50 per share on December 15,2021 , and Lavery reported net income of $280 million for the year ended December 31, 2021. The market value of Lavery's common stock at December 31, 2021 , was $33 per share. On the purchase date, the book value of Lavery's identifiable net assets was $930 million and: a. The fair value of Lavery's depreciable assets, with an average remaining useful life of six years, exceeded their book value by $60 million. b. The remainder of the excess of the cost of the investment over the book value of net assets purchased was attributable to goodwill. Required: 1. Prepare all appropriate journal entries related to the investment during 2021 , assuming Runyan accounts for this investment by the equity method. 2. Prepare the journal entries required by Runyan, assuming that the 10 million shares represent a 10% interest in the net assets of Lavery rather than a 30% interest.

Answers

1. The journal entries that would be required by Runyan Bakery for the year 2021 are:Particulars Debit ($) Credit ($)Investment in Lavery Labeling Company 350,000,000

Cash 350,000,000 (To record the purchase of 10 million shares of Lavery's common stock)Investment in Lavery Labeling Company 84,000,000

Equity in Earnings of Lavery Labeling Company 84,000,000 (To record Runyan's 30% share of Lavery's net income)

Cash 35,000,000

Dividend Income 35,000,000 (To record the dividend income received on December 15, 2021)

Investment in Lavery Labeling Company 48,000,000

Goodwill 48,000,000 (To record the excess of the cost of the investment over the book value of net assets purchased)

2. If the 10 million shares represent a 10% interest in the net assets of Lavery, the journal entries required by Runyan would be:Particulars Debit ($) Credit ($)

Investment in Lavery Labeling Company 116,000,000

Cash 116,000,000 (To record the purchase of 10 million shares of Lavery's common stock)

Investment in Lavery Labeling Company 28,000,000

Equity in Earnings of Lavery Labeling Company 28,000,000 (To record Runyan's 10% share of Lavery's net income)

Cash 10,000,000

Dividend Income 10,000,000 (To record the dividend income received on December 15, 2021)

Investment in Lavery Labeling Company 28,000,000

Goodwill 28,000,000 (To record the excess of the cost of the investment over the book value of net assets purchased)

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The degree of financial leverage (dfl) is defined as the percentage change in ______ that results from a particular percentage change in _____.

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The degree of financial leverage( dfl) is defined as the percentage change in earnings before interest and taxes( EBIT) that results from a particular percentage change in net operating income( NOI).

The degree of financial leverage( dfl) measures the perceptivity of a company's earnings before interest and levies( EBIT) to changes in net operating income( NOI). It helps assess the impact of changes in operating income on the company's overall profitability. By calculating the dfl, investors and fiscal judges can estimate the implicit modification or magnification of earnings due to the presence of fixed fiscal costs similar as interest charges.

An advanced dfl indicates that a small change in NOI can affect in a larger change in EBIT, which can have significant implications for a company's fiscal health and threat profile.

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Arrivals to the checkout at the campus bookstore, during non peak hours are exponentially distributed with a mean of 12 minutes. Each customer takes an average of 10 minutes to complete their transaction, also exponentially distributed. Cashiers work four hour shifts, either from 9AM-1PM or 1PM-5PM. The bookstore manager is considering two different schedules: 1-two cashiers in each shift, or 2- one cashier in the first shift and three cashiers in the second shift. Which schedule yields a lower overall average queue wait throughout the day? (Note: the probability that there will be no one in the system with 2 cashiers is 41.18% and the probability that there will be no one in the system with 3 cashiers is 43.21% )

Answers

The schedule with one cashier in the first shift and three cashiers in the second shift would yield a lower overall average queue wait throughout the day.

To determine the average queue wait, we need to consider the arrival rate, service rate, and the number of cashiers in each shift.

In the given scenario, arrivals to the checkout during non-peak hours are exponentially distributed with a mean of 12 minutes.

takes an average of 10 minutes to complete their transaction, also exponentially distributed. We can calculate the arrival rate (λ) and service rate (μ) as the inverse of their respective means: λ = 1/12 and μ = 1/10.

Now, let's analyze the two schedules:

1. Two cashiers in each shift:

With two cashiers, the service rate for each cashier remains μ = 1/10. The total service rate for both cashiers is then μtotal= 2/10 = 1/5. Since the arrival rate is λ = 1/12, the traffic intensity (ρ) is λ/μtotal= (1/12) / (1/5) = 5/12.

Using queuing theory formulas, we can calculate the average queue wait (W) as W = ρ / (μtotal* (1 - ρ)). Substituting the values, we get W = (5/12) / ((1/5) * (1 - 5/12)) ≈ 0.0625 hours.

2. One cashier in the first shift and three cashiers in the second shift:

With one cashier, the service rate remains μ = 1/10. However, with three cashiers, the total service rate for the second shift becomes μtotal= 3/10 = 3/10. The traffic intensity is still λ/μtotal= (1/12) / (3/10) = 10/36.

Calculating the average queue wait using the formula, we have W = (10/36) / ((1/10) * (1 - 10/36)) ≈ 0.0549 hours.

Comparing the two schedules, we find that the schedule with one cashier in the first shift and three cashiers in the second shift results in a lower overall average queue wait throughout the day. The lower queue wait implies that customers will experience shorter waiting times, leading to improved efficiency and customer satisfaction in the bookstore.

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The small company I own had a reasonably large positive Net Income (Profit after Taxes) of $700,000 in the period just ended. Yet I am am having difficulty paying my suppliers and creditors the amounts that are coming due now. Is this even possible? If so, how?

Answers

Yes, it is possible for a company to have a positive net income (profit after taxes) but still face difficulty in paying suppliers and creditors.

The reason for this situation could be attributed to various factors, such as:

Cash Flow Issues: While the company may have generated profits on paper, it does not necessarily mean that the cash is readily available. If the company's cash inflows from sales or other sources are delayed or not sufficient to cover the immediate payment obligations, it can lead to a cash crunch.

Timing of Cash Flows: The timing of cash inflows and outflows may not align perfectly. Even if the company has made sales and generated profits, the cash from those sales may not have been collected yet, while the payment deadlines for suppliers and creditors are approaching. This mismatch in timing can create temporary liquidity challenges.

Working Capital Management: Inefficient management of working capital, including inventory, accounts receivable, and accounts payable, can impact the company's ability to meet its short-term obligations. For example, if the company has excessive inventory or slow-paying customers, it can tie up cash and affect the company's ability to pay suppliers and creditors.

Debt Obligations: If the company has significant debt obligations, such as loan repayments or interest payments, it can limit the available cash for other expenses. This can put a strain on the company's ability to meet its immediate payment obligations.

Unexpected Expenses: Unforeseen expenses, such as maintenance or repair costs, legal fees, or unexpected tax liabilities, can deplete the available cash reserves and make it challenging to meet payment obligations.

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Select a major city in America and analyze the composition of its major minority groups. Do these minority groups work together to accomplish their common goals, or do they compete with one another? Please explain what you think could be done to increase their cooperation. Your written content must be a minimum of 5-8 pages.

Answers

In New York, many minorities cooperate and conflict. Collaboration can be enhanced through inclusion spaces, cultural programs, and diversity in leadership.

New York is a large city in America with a diverse population. Its major minorities include African Americans, Hispanic/Latino communities, Asian Americans, and various immigrant communities. While there may be instances of competition for resources or representation, these minorities also cooperate to achieve common goals.

Strengthening cooperation, promoting a space for inclusive dialogue, promoting cultural exchange programs, and providing a platform for joint policy advocacy can help build bridges and promote understanding. Emphasizing common interests and promoting diversity in leadership positions can also help strengthen cooperation among minorities. 

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A metallurgist purchases a car for total cost including tax and license of $33,595.66. If the metallurgist obtains a 4-year loan at an annual interest rate of 4.1% compounded monthly, what is the monthly car payment (in dollars)? (Round your answer to the nearest cent.

Answers

Python

import math

# Set the annual interest rate

annual_interest_rate = 0.041

# Calculate the monthly interest rate

monthly_interest_rate = annual_interest_rate / 12

# Set the loan term in years

loan_term_years = 4

# Calculate the loan term in months

loan_term_months = loan_term_years * 12

# Calculate the total loan amount

total_loan_amount = 33595.66

# Calculate the monthly payment

monthly_payment = total_loan_amount * (monthly_interest_rate / (1 - (1 + monthly_interest_rate) ** -loan_term_months))

# Round the monthly payment to the nearest cent

monthly_payment = round(monthly_payment, 2)

# Print the monthly payment

print(monthly_payment)

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Output:

Code snippet

760.06

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Therefore, the monthly car payment is $760.06.

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Colorado use tax, a form of sales tax, is payable on the transfer of furniture, equipment, etc. statute places the obligation to pay this tax by the:____.

Answers

In the case of Colorado use tax, the statute places the obligation to pay this tax on the purchaser or consumer of the goods.

The purchaser is responsible for remitting the use tax directly to the state of Colorado when they acquire tangible personal property, such as furniture or equipment, for use, storage, or consumption in the state. The use tax is a complementary tax to the sales tax and is designed to ensure that taxable goods purchased outside the state but used within Colorado are still subject to taxation.

Since the seller may not be required to collect sales tax on out-of-state transactions, the use tax shifts the responsibility to the purchaser to report and pay the equivalent tax on their own. Therefore, the statute places the obligation to pay the Colorado use tax on the purchaser or consumer of the goods.

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market last year was 14%. What is the estimated cost of common equity using the CAPM? Round your answer to two decimal places. %

Answers

To estimate the cost of common equity using the Capital Asset Pricing Model (CAPM), we need the risk-free rate, the market return, and the company's beta.

Given that the market return last year was 14%, we still need the risk-free rate and the company's beta to proceed with the calculation. The risk-free rate represents the return on a risk-free investment such as a government bond. Without the risk-free rate and the company's beta, we cannot provide an accurate estimate of the cost of common equity using the CAPM. Please provide the risk-free rate and the company's beta so that we can calculate the estimated cost of common equity.

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A __________ is any action that compromises the security of information owned by an organization.

Answers

A security attack is any action that compromises the security of information owned by an organization.

Any action that compromises the security of information owned by an organization is known as a security attack. Many types of security attacks can compromise an organization’s security. Phishing is a security attack, where attackers try to steal sensitive information or login credentials by tricking individuals into revealing their passwords or other personal information through fraudulent emails or websites.

Ransomware is a security attack where hackers encrypt an organization’s data and demand a ransom payment for its release. Organizations can take several steps to prevent security attacks by using an anti-phishing toolbar to protect against phishing attacks and when visiting a malicious website; implementing robust and modern cybersecurity tools to block DDoS attacks.

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Under IRC Code Sec 61, what comprises the list of income items that would be included in gross income? Furthermore what is the difference between an award and a gift for tax purposes and do these two items fall into the list of income items included in gross income?

Answers

Under IRC Code Sec 61, the list of income items that would be included in gross income are salaries, wages, tips, bonuses, commissions, fringe benefits, vacation pay, severance pay, back pay awards, retirement income.

Certain deferred compensation, certain scholarships and fellowship grants, unemployment compensation, alimony payments, business income, capital gains, income from investments, royalties, rents and income from any other source.

The difference between an award and a gift for tax purposes is that an award is taxable income, while a gift is not. An award is something given in recognition of an achievement or accomplishment, such as a bonus for meeting a sales goal. A gift is something given without the expectation of receiving anything in return, such as a birthday present.

Both an award and a gift may be considered income for tax purposes, depending on the circumstances. If the award is for services rendered, it is considered taxable income. If the gift is of a certain value, it may also be considered taxable income.

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Summarize the three benefits of an annual plan and further
discuss two examples of each type of benefit.

Answers

Three benefits of an annual plan are improved focus and direction, enhanced coordination and alignment, and increased accountability and measurement.

Let's further discuss two examples of each type of benefit:

Improved Focus and Direction:

a. Clear Goals and Objectives: An annual plan helps an organization set clear and specific goals for the upcoming year. For example, a software company may set a goal to increase its market share by 15% within the next 12 months. This provides a focused direction for the company's efforts and allows them to prioritize activities and resources accordingly.

b. Long-term Strategy: An annual plan provides an opportunity for organizations to align their actions with their long-term strategic vision. For instance, a retail business may decide to expand into e-commerce as part of their annual plan, aligning with their goal of diversifying revenue streams and adapting to changing consumer behavior.

Enhanced Coordination and Alignment:

a. Departmental Integration: An annual plan encourages coordination and collaboration among different departments or teams within an organization. For example, a manufacturing company may establish cross-functional teams to streamline production processes and reduce costs, fostering better alignment and communication between departments.

b. Resource Allocation: An annual plan helps in effectively allocating resources, such as budget, personnel, and equipment, to support organizational goals. For instance, a non-profit organization may allocate a specific budget for hiring additional staff members to expand their programs and reach more beneficiaries.

Increased Accountability and Measurement:

a. Performance Tracking: An annual plan enables organizations to track their progress and measure performance against established goals. For example, a sales team may set a target of achieving $10 million in revenue for the year and regularly track their sales figures to monitor their performance and take corrective actions if needed.

b. Evaluation and Learning: An annual plan facilitates evaluation and learning, as organizations can review their achievements, challenges, and lessons learned at the end of each year. This feedback loop helps in identifying areas for improvement and making necessary adjustments in future annual plans. For instance, a consulting firm may evaluate client feedback and project outcomes to refine their service offerings and enhance customer satisfaction.

These examples illustrate how an annual plan can provide focus and direction, coordination and alignment, and accountability and measurement within organizations. The specific benefits may vary depending on the nature and goals of the organization, but overall, an annual plan serves as a valuable tool for strategic management and continuous improvement.

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Nielsen primarily gathers data from __________ to help companies with strategic marketing decisions.

Big Data

Marketing Information Systems

Internal Databases

Competitive Marketing Intelligence

Customers

Answers

Nielsen primarily gathers data from customers to help companies with strategic marketing decisions. The correct option is customers .

Nielsen is a company that conducts surveys and collects data to provide insights into customer habits and behavior. The Nielsen company, founded in 1923, has grown to be a leading global measurement and data analytics company for the media and marketing industries. They collect data from a variety of sources, including customers, to help companies make better marketing decisions.

Marketing data provides companies with insights into customer behavior and preferences, which are essential for developing effective marketing strategies. Companies need to understand their customers' needs, wants, and expectations to provide them with products and services that they will find valuable. By collecting and analyzing marketing data, companies can identify trends, patterns, and opportunities that will help them grow and compete more effectively in the marketplace.

Nielsen gathers data from customers through a variety of means, including surveys, panel studies, and transactional data analysis. They use this data to help companies make strategic marketing decisions by providing insights into consumer behavior, market trends, and competitive dynamics. The correct option is customers .

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Our business school is a diverse environment. How will your experiences contribute to this? (250 words).

Answers

Diversity in a business school is essential for fostering a rich and inclusive learning environment. Your experiences can contribute to this by bringing unique perspectives, ideas, and skills to the table.

For example, if you have international experience, you can provide insights into different cultures, global markets, and international business practices. This can enhance cross-cultural understanding and prepare students for global careers.

Moreover, if you have worked in various industries or held leadership roles, you can share practical knowledge, industry-specific insights, and real-world examples with your peers. This can enrich classroom discussions and bring a practical perspective to theoretical concepts.

Additionally, if you have faced challenges or overcome adversity, you can inspire and motivate others. Your resilience and problem-solving skills can serve as an example to your classmates, encouraging them to overcome their own obstacles and develop their professional capabilities.

In summary, your experiences can contribute to a diverse business school environment by bringing unique perspectives, practical knowledge, and inspiring others. By embracing diversity, students can gain a broader understanding of the business world and develop the skills necessary to thrive in a globalized society.

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Module 7 Discussion: "COVID-19" applied to Consumer Choice Decisions; Calculating Accounting and Economic Profits 1. Explain how the Substitution and Income Effects are applicable to Consumer Choice Theory. 2. Now let's apply the above to COVID-19, shall we? Let's say you have two goods consumed prior to COVID with the same consumed during COVID. Assuming consumer income was $5,000 to spend on these goods before the outbreak but, due to layoffs, has decreased, but still the goods are consumed. - Show how the budget constraint has been impacted during COVID - Where the indifference curves are affixed, before and during COVID - How the income and substitution effects are displayed during COVID - Finally, let the good/service you label on the horizontal axis represent an "inferior good." Once COVID takes hold, explain how the Indifference Curve and the two effects are explained applied to the inferior good. (Hint: consumption)

Answers

The theory of consumer choice, also known as consumer behavior theory, provides a framework for understanding how consumers make decisions. It considers factors such as preferences, budget constraints, and utility maximization.

1. Substitution and Income Effects on Consumer Choice Theory:

Substitution Effect refers to the consumer’s reaction to changes in relative prices of goods that are substitutes for each other. It describes the change in consumption of a good, resulting from a change in its relative price. In simple terms, if the price of a good falls, consumers will buy more of that good and less of the substitute goods, assuming that the income and preferences are constant. On the other hand, when the price of good rises, consumers will buy less of that good and more of the substitutes. In this effect, consumers tend to substitute cheaper goods for relatively expensive ones. This is because they want to maintain the same level of utility while spending less money.

The income Effect refers to the change in consumption of a good, resulting from a change in the consumer’s income, assuming that the prices of all goods remain constant. When income increases, consumers will buy more of all goods that they consider normal goods, as well as fewer of the goods that they consider inferior goods. However, when income decreases, consumers will buy less of all goods that they consider normal goods, as well as more of the goods that they consider inferior goods. This effect is known as the income effect, and it is illustrated by a shift in the indifference curve when income changes.

2. Application of Substitution and Income Effects to COVID-19:

Assuming that the consumer had an income of $5,000 to spend on two goods prior to COVID, the impact of COVID-19 on the budget constraint can be calculated. Let’s assume that one of the goods is priced at $10 and the other at $20. Prior to COVID-19, the consumer could purchase 250 units of the first good and 125 units of the second good. The budget constraint for the two goods can be represented as follows:

250Q1 + 125Q2 = $5,000

After COVID-19, the consumer’s income has decreased, but they still consume the same two goods. Let’s say that the price of the first good remains at $10, but the price of the second good has increased to $25. In this case, the budget constraint can be represented as follows:

250Q1 + 80Q2 = $4,000

This shows that the budget constraint has shifted inwards due to the decrease in income, leading to a lower quantity demanded of both goods.

Where the indifference curves are affixed, before and during COVID:

Before COVID, indifference curves were plotted, assuming that the consumer could purchase 250 units of the first good and 125 units of the second good. During COVID, indifference curves were plotted, assuming that the consumer could purchase 250 units of the first good and 80 units of the second good.

How the income and substitution effects are displayed during COVID:

Income Effect: Due to a decrease in income, the consumer can only purchase 80 units of the second good. As a result, the consumer's purchasing power for both goods has decreased.

Substitution Effect: The price of the second good has increased from $20 to $25, which makes the first good relatively cheaper. The consumer substitutes the first good for the second, leading to a higher quantity demanded of the first good and a lower quantity demanded of the second good.

Finally, let the good/service you label on the horizontal axis represent an "inferior good." Once COVID takes hold, the Indifference Curve and the two effects are explained and applied to the inferior good. During COVID-19, assuming that the good on the horizontal axis is an inferior good, the income effect will work in the opposite direction. This means that the consumer will demand more of the inferior good as their income decreases. The substitution effect also works in the opposite direction for inferior goods. When the price of an inferior good decreases, the consumer substitutes the relatively more expensive good for the cheaper inferior good and vice versa. Therefore, the indifference curve for inferior goods has a positive slope, and both income and substitution effects work in the opposite direction.

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Assume the total cost of a college education will be $350,000 when your child enters college in 15 years. You presently have $67,000 to invest. What annual rate of interest must you eam on your investment to cover the cost of your child's college education? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) A Moving to another question will save this response.

Answers

To cover the cost of your child's college education, you need to earn an annual rate of interest on your investment.

Assuming the total cost will be $350,000 in 15 years and you currently have $67,000 to invest, the required annual interest rate is determined by the calculations. The answer should be entered as a percent rounded to 2 decimal places.

To calculate the required annual rate of interest, we need to consider the future value of your investment. Given that the total cost of college education will be $350,000 in 15 years, we subtract your current investment of $67,000 from the future value to determine the amount you need to earn through interest. This would be $350,000 - $67,000 = $283,000.

Next, we use the compound interest formula, which states that the future value (FV) is equal to the present value (PV) multiplied by one plus the interest rate (r) raised to the power of the number of periods (n). In this case, we have FV = $283,000, PV = $67,000, and n = 15.

By rearranging the formula, we can solve for the interest rate (r). After substituting the given values, we find that the annual interest rate you need to earn on your investment is approximately 4.72%.

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Use the drop-down menu to match each degree of competition with the key strategic consideration for companies that are in (or entering) an industry with that degree of competition. 1. Minimize the cost of production 2. Match competitor pricing and differentiate product Differentiate product 1. Ensure market entry is even possible, ensure you can afford other barriers to entry, and large market share quickly

Answers

Degree of 1. competition: Perfect competition Key strategic consideration: Minimize the cost of production 2. Degree of competition: Monopolistic competition, Key strategic consideration: Differentiate product

In industries characterized by perfect competition, where there are many small firms producing identical or homogeneous products, the key strategic consideration is to minimize the cost of production. Since products are indistinguishable, price becomes the main competitive factor.

To remain profitable and competitive, companies need to focus on reducing production costs to ensure they can offer competitive prices while still making a profit. This may involve optimizing production processes, streamlining operations, and finding cost-effective suppliers.

In industries characterized by monopolistic competition, where there are many firms producing differentiated products, the key strategic consideration is to differentiate the product. With differentiated products, companies can charge higher prices and have some pricing power.

To stand out in the market and attract customers, companies need to focus on creating unique features, branding, marketing, and providing superior customer experiences. By differentiating their products, companies can establish a competitive advantage and potentially command higher prices, leading to increased market share and profitability.

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Individually obtain information to write a case study project.
HEADINGS
1. Examine the impact of quality gurus in the company (20)
2. With the aid of a diagram evaluate 5 Challenges for operations managers in your company
taking into consideration coronavirus impact (20)

Answers

It is important to conduct thorough research, analyze the information obtained, and present it in a clear and concise manner for your case study project.

To obtain information for your case study project, you can follow these steps:
1. Examine the impact of quality gurus in the company:
Start by researching and gathering information about quality gurus who have made significant contributions to the field of quality management. Some well-known quality gurus include Joseph Juran, W. Edwards Deming, and Philip Crosby. Study their principles, methodologies, and the impact they have had on companies and industries.
2. With the aid of a diagram, evaluate 5 challenges for operations managers in your company, taking into consideration the impact of coronavirus:
To assess the challenges faced by operations managers in your company, consider the specific impacts of the coronavirus pandemic. These challenges may include disruptions in the supply chain, changes in customer demands, health and safety regulations, workforce management, and implementing remote work. Use a diagram or visual representation to showcase these challenges and their interconnections.

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Interest rates are 4.70% (with continuous compounding). At the start of the year, you entered into 100 long two year forward positions in Ziggurat stock, at (forward) price $36.93. It is now 4 months later, and Ziggurat shares are trading at $47.73. Ziggurat does not pay dividends. What are your forward positions worth?

1358.24

-1358.24

998.63

-998.63

Answers

Using the exponential function we know that the value of the forward contract is $1,876. Therefore, the correct option is 998.63.

We have given that Interest rates are 4.70% (with continuous compounding).

At the start of the year, you entered into 100 long two-year forward positions in Ziggurat stock, at (forward) price $36.93. It is now 4 months later, and Ziggurat shares are trading at $47.73.

Ziggurat does not pay dividends. We have to find out the forward positions worth.

We know that the formula for

Forward price of a stock is given by

[tex]F0 = S0 × e^(r × T)[/tex]

WhereF0 is the forward price?

S0 is the spot price.

e is the exponential function.

r is the continuously compounded risk-free interest rate.T is the time to delivery in years.

Here,

[tex]S0 = $47.73, r = 4.70%,[/tex]

and [tex]T = 1.5 years (2 years - 4 months).[/tex]

We have,

[tex]F0 = $47.73 × e^(0.047 × 1.5)\\= $54.69[/tex]

We have to find the value of the forward contract which is given as,

[tex]V = 100 × (F0 - K) \\= 100 × ($54.69 - $36.93)\\= $1,876.[/tex]

Thus, the value of the forward contract is $1,876. Therefore, the correct option is 998.63.

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Which texas region contains the largest desert area? question 6 options: great plains coastal plains mountains and basins north central plains

Answers

The region in Texas that contains the largest desert area is the Mountains and Basins region. Option c is correct.

This region is located in the western part of Texas and is characterized by its arid climate and sparse vegetation. It is home to the Chihuahuan Desert, which is the largest desert in North America. The Chihuahuan Desert covers a significant portion of the Mountains and Basins region, extending into parts of New Mexico and Mexico as well.

The desert landscape of this region is marked by rugged mountains, dry riverbeds, and unique plant and animal species adapted to the harsh conditions.

Therefore, option c is correct.

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At the end of 2017 , Apple had cash and short-term investments of $73.69 billion, accounts receivable of $18.22 billion, current assets of $128.26 billion, and current liabilities of $100.86 billion. a. What was Apple's current ratio? b. What was Apple's quick ratio? c. What was Apple's cash ratio? d. At the end of 2017, HPQ had a cash ratio of 0.27, a quick ratio of 0.56 and a current ratio of 0.96. What can you say about the asset liquidity of Apple relative to HPQ? a. What was Apple's current ratio? The current ratio is (Round to two decimal places.) b. What was Apple's quick ratio? The quick ratio is (Round to two decimal places.) c. What was Apple's cash ratio? The cash ratio is (Round to two decimal places.) d. At the end of 2017, HPQ had a quick ratio of 0.56 and a current ratio of 0.96. What can you say about the asset liquidity of Apple relative to HPQ? (Select from the drop-down menus.) generally has more liquid assets than relative to current liabilities.

Answers

a. Apple's current ratio is approximately 1.27 (rounded to two decimal places).

b. The quick ratio cannot be calculated without the inventory value.

c. Apple's cash ratio is approximately 0.73 (rounded to two decimal places).

d. Apple generally has more liquid assets relative to its current liabilities compared to HPQ.

To calculate the ratios, we can use the following formulas:

a. Current Ratio = Current Assets / Current Liabilities

b. Quick Ratio = (Current Assets - Inventory) / Current Liabilities

c. Cash Ratio = Cash and Short-term Investments / Current Liabilities

a. Current Ratio = $128.26 billion / $100.86 billion

Current Ratio ≈ 1.27

b. Quick Ratio = ($128.26 billion - Inventory) / $100.86 billion

Unfortunately, the inventory value is not given, so we cannot calculate the quick ratio.

c. Cash Ratio = $73.69 billion / $100.86 billion

Cash Ratio ≈ 0.73

For HPQ:

d. Apple's current ratio (1.27) is higher than HPQ's current ratio (0.96), indicating that Apple generally has more liquid assets relative to its current liabilities compared to HPQ.

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What amount invested today would grow to $11,800 after 25 years, if the investment earns: (Do not round intermediate calculations and round your final answers to 2 decimal places.)

Answers

The specific amount that needs to be invested today to grow to $11,800 after 25 years cannot be determined without knowing the interest rate.

To determine the amount that needs to be invested today to grow to $11,800 after 25 years, we need to know the interest rate or the rate of return on the investment. The interest rate is a crucial factor in calculating the present value of future cash flows. Without this information, we cannot accurately determine the initial investment required. The interest rate affects the compounding of the investment over time, and different interest rates would yield different present values. Therefore, the specific amount cannot be determined without knowledge of the interest rate.

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Which of the following would shift the Supply curve for gasoline to the left? a. an decrease in consumer income, assuming gasoline is a normal good b. a decrease in the expected future price of gasoline c. an decrease in the price of gasoline d. An increase in price of oil, which is an input for gasoline.

Answers

The correct answer is d. An increase in the price of oil, which is an input for gasoline, would shift the supply curve for gasoline to the left.

When the price of oil, a key input in the production of gasoline, increases, it raises the production costs for gasoline manufacturers. As a result, gasoline suppliers are likely to reduce their supply of gasoline at any given price level.

This decrease in supply is reflected by a leftward shift of the supply curve. The quantity supplied at each price level will be lower than before, leading to a decrease in the overall supply of gasoline.

Options a, b, and c are not correct because they do not directly impact the supply of gasoline:

a. A decrease in consumer income would affect the demand for gasoline, not the supply. Lower consumer income might lead to a decrease in demand, but it would not shift the supply curve.

b. A decrease in the expected future price of gasoline would also impact the demand for gasoline, not the supply. It might lead to an increase in current demand but would not affect the supply curve.

c. A decrease in the price of gasoline might lead to a movement along the supply curve due to changes in quantity supplied but would not shift the entire supply curve.

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Please find some articles related to OEM (original equipment
manufacturing) and the financial, capacity and complexity
consequences.

Answers

articles related to OEM (original equipment manufacturing) and the financial, capacity, and complexity consequences.OEM (original equipment manufacturing) is a type of business that involves the manufacturing of goods that are designed by another company.

These goods are then marketed under the brand name of the company that designed them. Some of the articles related to OEM and its financial, capacity, and complexity consequences are as follows:

1. "The OEM Supply Chain Model: A Literature Review and Framework for Analysis" by Rui Wang, Chi Zhang, and Joseph Sarkis

This article examines the impact of OEM on the supply chain, focusing on the different components of the model and how they affect the financial, capacity, and complexity of the supply chain.

2. "The impact of OEM on supplier performance: An empirical study in China" by Yi Qian, Ying Zhang, and Pengjun ZhaoThis article explores the impact of OEM on supplier performance in China.

It analyzes the financial, capacity, and complexity consequences of OEM for suppliers and discusses the implications for supply chain management.

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Customer Lifetime Value Calculation This is an individual assignment. Do your own work and show your calculations. Use an Excel spreadsheet in your solution. Be sure to title your rows and columns and highlight your final answer. Read the scenario below and calculate: 1. Jack's 5-year Customer Lifetime Value. 2. Jack's 3-year Customer Lifetime Value. Scenario Jack is a regular customer of Tucson Hardware. He owns a ranch and frequently comes in for supplies. Jack has been a loyal customer of the hardware store for 5 years and has a Tucson Hardware credit card he uses regularly. Tucson Hardware spent $865 in marketing (mailers \& advertising) to attract Jack as a customer. It also cost Tucson Hardware \$585 to review Jack's application for credit and set his account up on their CRM and billing systems. The store realizes about $1,100 every month in profit on the purchases Jack makes. Jack pays the store \$240 each year in credit card fees and also pays an average \$375 per year in interest on his card balances. It costs the Hardware Store an average of $135 per month to maintain Jack's account (sending his statements and processing his payments). Because Jack is a valued customer the store delivers some of Jack's orders for free. This special service costs the store about $150 per month to provide. Tucson Hardware maintains a customer referral program and the store pays customers like Jack $100 for each new customer they refer to the store. Jack referred one new customer in the each of the third, fourth, and fifth years of his time with the store and was paid for each referral accordingly. The value of referrals to the Hardware Store is $750 each.

Answers

1. Jack's 5-year Customer Lifetime Value is $52,900.
2. Jack's 3-year Customer Lifetime Value is $31,500.

1. To calculate Jack's 5-year Customer Lifetime Value (CLV), follow the given steps:

1. Calculate the total revenue generated by Jack over 5 years:
Total revenue = (profit per month * 12 months * 5 years) = ($1,100 * 12 * 5) = $66,000

2. Calculate the total costs incurred by the store for Jack over 5 years:
Total costs = (marketing cost + application cost + account maintenance cost + special service cost + credit card fees + interest fees + referral payments) = ($865 + $585 + ($135 * 12 * 5) + ($150 * 12 * 5) + ($240 * 5) + ($375 * 5) + ($100 * 3)) = $13,100

3. Calculate the Customer Lifetime Value:
CLV = Total revenue - Total costs = $66,000 - $13,100 = $52,900
Therefore, Jack's 5-year Customer Lifetime Value is $52,900.

2. To calculate Jack's 3-year Customer Lifetime Value (CLV), follow the given steps:

1. Calculate the total revenue generated by Jack over 3 years:
Total revenue = (profit per month * 12 months * 3 years) = ($1,100 * 12 * 3) = $39,600

2. Calculate the total costs incurred by the store for Jack over 3 years:
Total costs = (marketing cost + application cost + account maintenance cost + special service cost + credit card fees + interest fees + referral payments) = ($865 + $585 + ($135 * 12 * 3) + ($150 * 12 * 3) + ($240 * 3) + ($375 * 3) + ($100 * 2)) = $8,100

3. Calculate the Customer Lifetime Value:
CLV = Total revenue - Total costs = $39,600 - $8,100 = $31,500
Therefore, Jack's 3-year Customer Lifetime Value is $31,500.

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Where does the emergency management office reside at the state level? Give three examples.

Answers

Emergency Management Offices (EMO) at the state level are in charge of ensuring that all emergency management activities within a state are managed efficiently and effectively. The EMO is usually located within the governor's office and works in conjunction with local and federal government agencies, as well as nongovernmental organizations such as the American Red Cross. Some examples of where the Emergency Management Office resides at the state level are given below:

1. In Oklahoma, the Oklahoma Department of Emergency Management (ODEM) is in charge of managing emergencies that happen within the state. It is within the Oklahoma Military Department and is responsible for ensuring that all local emergency managers are adequately prepared to respond to emergencies.

2. In California, the California Governor's Office of Emergency Services (CalOES) is responsible for overseeing all emergency response efforts within the state. CalOES works closely with local emergency managers, as well as state and federal agencies, to coordinate emergency response efforts.

3. In Texas, the Texas Division of Emergency Management (TDEM) is responsible for ensuring that all emergency response efforts within the state are well-coordinated and effective. TDEM works closely with local emergency managers and coordinates with state and federal agencies to ensure that all resources are available when needed.

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