Auerbach Inc. 15sued 6% bonds on October 1, 2021. The bonds have a maturity date of September 30,2031 and a face value of $500 milion. The bonds pay interest each March 31 and September 30 , beginning March 31,2022 . The effective interest rate established by the market was 8% Assuming that Auerbach issued the bonds for $432,045.000, what would the company report for its net bond iability balance at December 31,2021 , rounded up to the nearest thousand? (Do not round intermediate calculations.)

Answers

Answer 1

Given data Face value = $500 million Effective interest rate = 8%Issue price = $432,045,000The number of days from the date of issue to December 31, 2021, is 91 (31 + 30 + 31). Calculation of Interest Expense Interest for 2021 = Face Value × Effective Interest Rate × Time Basis = 500,000,000 × 8% × 91/365Interest for 2021 = $10,027,397The interest expense for 2021 will be the interest for the whole year, i.e., $10,027,397 / 2 = $5,013,698.Calculation of Amortization of Discount The amount of discount to be amortized for 2021 = (Issue Price − Face Value) × Time Basis = (432,045,000 – 500,000,000) × 91/365The amount of discount to be amortized for 2021 = $16,720,548

Net bond liability balance at December 31, 2021 will be calculated as follows: Carrying value of bonds = Issue Price – Discount Amortized Carrying value of bonds = $432,045,000 – $16,720,548Carrying value of bonds = $415,324,452 Liability balance at December 31, 2021 = Carrying value of bonds – Interest expense accrued for the year Liability balance at December 31, 2021 = $415,324,452 – $5,013,698

Liability balance at December 31, 2021 = $410,310,754  The company would report $410,310,000 for its net bond liability balance at December 31, 2021, rounded up to the nearest thousand.

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Related Questions

Scenario analysis works with and analyzing the result. analyzing the break even quantities evaluating multiple economic or business scenarios assigning a wide range of values for a single variable Question 2 What is the assumption of financial break-even analysis? NPV is 0 and ignore tax OCF is 0 and ignore tax Net income is 0

Answers

It assumes that the company is neither making a profit nor incurring a loss. This means that the total revenues generated by the business are exactly equal to the total costs incurred, resulting in no net income.

Financial break-even analysis focuses on determining the level of sales or production at which a company reaches the break-even point, where its revenues exactly cover its costs. It helps businesses evaluate the minimum level of activity required to cover all fixed and variable costs, without making a profit.

While the assumption of net income being 0 is a key assumption in financial break-even analysis, it does not necessarily imply that other financial aspects, such as net present value (NPV) or operating cash flows (OCF), are also 0 or ignored. Financial break-even analysis primarily focuses on the relationship between revenues and costs, aiming to identify the point at which a company starts generating a profit. Other financial measures and considerations, such as NPV and taxes, may be incorporated into a comprehensive financial analysis but are not inherent assumptions of financial break-even analysis itself.

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Gator Bicycles just bought a new brake calibration machine that is expected to generate $33,000 in new revenues each of the net four years without noraing canh seeaking annual supplemental operating cash flows attributed to the machine? flound your answers to the nearest dollar.

Answers

The new brake calibration machine purchased by Gator Bicycles is expected to generate $33,000 in additional revenue annually for the next four years without requiring any additional annual operating cash flows.

The brake calibration machine is a capital investment that will contribute $33,000 per year to Gator Bicycles' revenues for the next four years. This amount represents the net increase in revenue directly attributable to the machine. No further supplemental operating cash flows are expected, meaning the machine will continue to generate revenue without requiring additional investments or expenses beyond the initial purchase.

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A person named Jane applied for a job you advertised on jobstreet.com. After interviewing her, however, you decided to reject her application as you had found a more suitable candidate for the job. Write a one-paragraph bad newsletter to Jane informing her of this.

Answers

In this writing, we provide a brief but courteous notification to Jane, who had applied for a job advertised on jobstreet.com. The purpose of the newsletter is to inform her that her application has been rejected as another candidate was found more suitable for the position.

Dear Jane,

Thank you for taking the time to apply for the position that we have recently advertised on jobstreet.com. After carefully reviewing your application and interviewing you, we have decided not to proceed with your application. We have found a more suitable candidate who better matches our requirements for the position we are looking to fill.

We appreciate your interest in our company and thank you for considering this opportunity. Please do not let this discourage you from pursuing other opportunities in the future. We would also like to extend our best wishes to you in your job search, and we hope you find a job that matches your qualifications and skills better than this one.

Thank you once again for your interest in our company. If you have any questions or concerns, please feel free to reach out to us.

Regards, [Your Name]

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Application Questions
Suppose that the consumption function is, C = 35 + 0.7Y what does the slope and intercept of the line tell us about the relationship between consumption and national income?

Answers

The slope signifies that each unit increase in national income results in a 0.7 unit increase in consumption, while the intercept reflects autonomous consumption at zero income.

The consumption function is expressed as C = 35 + 0.7Y, where C represents consumption and Y represents national income. The slope of 0.7 indicates the marginal propensity to consume (MPC), which is the fraction of additional income that is spent on consumption. In this case, for every additional unit of national income (Y), consumption (C) increases by 0.7 units. This suggests a positive relationship between consumption and national income.

The intercept of 35 represents autonomous consumption, which is the consumption level when income is zero. It indicates that even if there is no income, there is still a base level of consumption. This can be due to factors such as essential needs or borrowing. The intercept reflects the initial level of consumption before income starts to influence it.

In summary, the slope of 0.7 tells us that consumption increases with an increase in national income, and for every additional unit of income, 0.7 units are spent on consumption. The intercept of 35 represents autonomous consumption, the level of consumption when income is zero.

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1.A $20 minimum fare in a market for taxi service is an example of a. a price ceiling b. laissez-faire c. a price floor d. rent control

Answers

A $20 minimum fare in a market for taxi service is an example of "a price floor."

A price floor is a government-imposed minimum price set above the equilibrium price in a market. It is designed to protect suppliers/producers by ensuring they receive a certain level of income or profitability. In the case of a $20 minimum fare for taxi services, it means that the government has set a minimum price that taxi drivers must charge customers, regardless of the actual market conditions or equilibrium price.

By setting a price floor, the government aims to prevent prices from falling too low and protect the income of taxi drivers. It ensures that taxi drivers can earn a minimum amount per trip, even if the demand for taxi services is low or the market would naturally set a lower price.

Therefore, the $20 minimum fare in the taxi service market represents an example of a price floor, as it sets a minimum price that must be charged, regardless of the supply and demand dynamics of the market.

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Indicate whether a debit or credit is needed to perform the indicated change for each of the following accounts: 1. To increase Prepaid Rent 2. To decrease Supplies 3. To increase Fuel Expense 4. To decrease Accounts Payable 5. To decrease Equipment 6. To increase Common Stock 7. To increase Sales Revenue 8. To increase Utilities Payable 9. To increase Cost of Goods Sold 10. To increase Cash

Answers

To perform the indicated changes for each account, the following debits or credits are needed:

1. To increase Prepaid Rent: Debit

2. To decrease Supplies: Credit

3. To increase Fuel Expense: Debit

4. To decrease Accounts Payable: Debit

5. To decrease Equipment: Credit

6. To increase Common Stock: Credit

7. To increase Sales Revenue: Credit

8. To increase Utilities Payable: Credit

9. To increase Cost of Goods Sold: Debit

10. To increase Cash: Debit

In accounting, debits and credits are used to record changes in different accounts. Debits and credits have specific meanings and are used to increase or decrease the balance of an account.

A debit is used to increase certain types of accounts, such as assets and expenses. For example, when prepaid rent or fuel expenses increase, a debit is recorded to reflect the increase in the respective accounts. Similarly, when assets like cash or equipment decrease, a debit is used to show the decrease.

On the other hand, a credit is used to increase other types of accounts, such as liabilities, equity, and revenues. For instance, when accounts payable or common stock increase, a credit is recorded. When revenues like sales revenue increase, a credit is used to indicate the increase in the account.

Understanding the appropriate use of debits and credits is essential for accurate bookkeeping and financial reporting. They provide a systematic way to track and record changes in various accounts, ensuring that financial transactions are properly recorded and balanced.

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use the solow model to describe whether technological progress
increases unemployment

Answers

The impact of technological progress on unemployment depends on various factors such as nature of technological change, the adaptability of labor force, and ability of economy to create new job opportunities.

The Solow model, also known as the Solow-Swan model, is a neoclassical economic growth model that explains long-run economic growth and the determinants of per capita income.

It focuses on factors such as capital accumulation, population growth, and technological progress. However, the Solow model does not directly address the relationship between technological progress and unemployment.

Technological progress can have both positive and negative effects on unemployment. On the one hand, technological advancements can lead to productivity gains and increased economic output, which can create new job opportunities and reduce unemployment.

For example, the introduction of new technologies in manufacturing or services sectors can increase efficiency and demand for skilled labor.

On the other hand, technological progress can also lead to labor displacement and job losses in certain sectors. Automation and mechanization, driven by technological advancements, can replace human workers in certain tasks or industries.

This can result in temporary or structural unemployment as workers may need to transition to new industries or acquire new skills to remain employable.

Policymakers play a crucial role in supporting education and training programs, fostering innovation, and implementing labor market policies that facilitate smooth transitions and minimize the negative effects of technological progress on unemployment.

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Why are Rolls Royce’s foreign currency hedges performing so
poorly? Shouldn’t the hedges be protecting its sales and earnings
against exchange rate movements?

Answers

Rolls-Royce's foreign currency hedges are performing poorly, failing to protect its sales and earnings against exchange rate movements.

Foreign currency hedges are financial instruments used to mitigate the risks associated with exchange rate fluctuations. They are typically employed by multinational companies like Rolls-Royce to safeguard their sales and earnings from adverse currency movements.

However, several factors could contribute to the poor performance of Rolls-Royce's hedges. Firstly, the effectiveness of currency hedges depends on accurately predicting future exchange rate movements, which is inherently challenging.

If the hedging strategies are based on incorrect assumptions or market conditions change unexpectedly, the hedges may not provide the intended protection. Additionally, fluctuations in global economic conditions, geopolitical events, and monetary policies can impact currency exchange rates in unpredictable ways, rendering the hedges less effective.

Moreover, the complexity of Rolls-Royce's operations, which involve multiple currencies and global markets, adds to the difficulty of effectively hedging currency risks.

Consequently, despite the purpose of protecting sales and earnings, the foreign currency hedges employed by Rolls-Royce have performed poorly in shielding the company against exchange rate movements.

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organizations that are affected by, and that affect, their environment are called

Answers

Organizations that are affected by, and that affect, their environment are called interdependent systems. This means that the organizations and their environments are linked and that they influence each other. As such, organizations must be aware of their environment and take steps to minimize any negative impacts they may have.

They must also be responsive to changes in their environment and adapt accordingly. In order to do this, organizations must engage in environmental scanning, which involves gathering information about external forces that may impact their operations.

This can include changes in legislation, market trends, and consumer behavior. By being attuned to their environment, organizations can remain competitive and sustainable over the long term.

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a customer buys a premium bond with 20 years to maturity that is callable at par at any time during its life. in which situation will the customer earn the lowest yield on the bond?

Answers

The customer will earn the lowest yield on the bond when interest rates decrease significantly after purchasing the bond, leading to a higher likelihood of the bond being called at par.

When a bond is callable, it means that the issuer has the option to repay the bond before its maturity date. If interest rates decline significantly after a customer purchases a premium bond, the issuer may find it advantageous to call the bond and issue new bonds at the lower prevailing interest rates. This would result in the customer receiving the par value of the bond rather than earning the higher interest rate initially promised. In this situation, the customer would earn the lowest yield on the bond because the effective interest earned would be lower due to the bond being called early. Therefore, a decrease in interest rates increases the likelihood of the bond being called, leading to a lower yield for the customer.

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A bond has a quoted price of $984.36, a face value of $1000, semi-annual coupon of $20, and a maturity of 10 years. Match its current yield and it's YTM below.

YTM
Current Yield

4.06%
4.19%
YTM=
CY=

Answers

Given :Face value of bond= $1000Quoted price of bond= $984.36Semi-annual coupon= $20Maturity= 10 years To calculate current yield, the following formula is used, Current yield= (Semi-annual coupon/ Quoted price of bond) x 100

Substituting the given values in the above formula, Current yield= (20/984.36) x 100= 2.0328% Therefore, current yield of the bond is 2.0328%.To calculate YTM of a bond, the following formula is used: Quoted price of bond= (Semi-annual coupon/ YTM) x [1 - 1/(1 + YTM)^(n x 2)] + Face value/(1 + YTM)^(n x 2)Where ,n= Number of years till maturity YTM= Yield to maturity Substituting the given values in the above formula, we get984.36= (20/YTM) x [1 - 1/(1 + YTM)^(10 x 2)] + 1000/(1 + YTM)^(10 x 2)Solving this equation for YTM, we get YTM= 2.071%.Therefore, YTM of the bond is 2.071%.Hence, the required match is :YTM= 2.071%CY= 2.0328%

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Employment Law and Industrial Relations
Describe the circumstances in which a contract of service may be broken by either party of an employment contract. Include in your answer the consequences if either party breaks the contract.

**Answer in paragraph, 1100 words**

Answers

The circumstances in a contract of service may be broken by either party of an employment contract such as if the employee has committed a breach of the contract.

A contract of service may be broken by either party of an employment contract in various circumstances. The first circumstance is if the employee has committed a breach of the contract, such as by consistently failing to show up for work, refusing to perform job duties, or sharing confidential information. Similarly, if the employer has committed a breach of the contract, the employee can end the contract of service by resignation or claiming constructive dismissal. When an employment contract is broken, the consequences for both the employee and the employer can be severe.

The employee might lose their job, and the employer may face damages for breach of contract if the employee is entitled to compensation. If the employer breaches the contract, the employee can bring a claim for compensation to cover any losses they may have suffered as a result of the breach, this could include lost wages or benefits. Additionally, the employee may be entitled to a notice period or pay in lieu of notice, which will depend on their contract's terms. In some cases, an employee may be able to bring a claim for unfair dismissal if they are fired in breach of the contract. So therefore the circumstances in a contract of service may be broken by either party of an employment contract such as if the employee has committed a breach of the contract.

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A key reason that there are various acceptable depreciation methods is
Select one:
a. different assets have different expected usage patterns.
b. to account for assets with indefinite lives.
C. some methods are too complicated to calculate.
d. to make it easier to calculate corporate income taxes.

The cost of goods available for sale includes
Select one:
a. beginning inventory plus purchases.
b. just beginning irventory.
c. beginning inventory less ending inventory.
d. beginning inventory plus purchases less ending inventory.

Calypso incissues 100,000 shares at $10/ share in January. Later that year the company is able to repurchase 9.000 of these shares at $11 per share. The balance in the contributed surplus account is $0 prior to the share repurchase. The effect of this is
Select one:
a. an increase to the contributed surplus account of $9.000.
b. a decrease in retained earnings by $9,000.
c. a decrease to the share copital accoint of 599.000.
d. a incresse to total shareholders' equity of 599,000 .

Answers

A. key reason that there are various acceptable depreciation methods is a. different assets have different expected usage patterns.

Different assets have varying characteristics and expected usage patterns. For example, some assets may have a shorter useful life, while others may have a longer useful life. Depreciation methods are designed to reflect these differences and allocate the cost of an asset over its useful life. Certain assets, such as buildings, may have a longer lifespan compared to equipment or vehicles. By offering different depreciation methods, businesses can choose the method that best aligns with the specific asset's characteristics and usage pattern, ensuring a more accurate representation of the asset's depreciation expense over time.

B. The cost of goods available for sale includes a. beginning inventory plus purchases.

The cost of goods available for sale refers to the total cost incurred by a business to acquire inventory for sale during a specific period. This cost includes both the initial inventory at the beginning of the period and any additional purchases made throughout the period. By adding the beginning inventory and purchases, businesses calculate the total cost of goods available for sale. This figure is important for determining the cost of goods sold and evaluating the overall inventory management and profitability of the business.

C. The effect of Calypso Inc. repurchasing 9,000 shares at $11 per share, with a $0 balance in the contributed surplus account prior to the repurchase, is c. a decrease to the share capital account of $9,000.

When a company repurchases its own shares, it reduces the number of shares outstanding. In this scenario, Calypso Inc. repurchased 9,000 shares at a price of $11 per share. This transaction decreases the share capital account by the value of the repurchased shares, which is $9,000 ($11 per share multiplied by 9,000 shares). The contributed surplus account is not affected in this case, as it had a balance of $0 before the repurchase. Overall, this transaction decreases the total shareholders' equity by $9,000 due to the reduction in share capital.

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A 7 year t-bond has a par value of $1,000,000 and pays a bi-annual coupon of $15,000. If it is stripped into 15 separate securities, what would be the value of the coupon which is paid 4 years from today if the required return is 2.5%?

Answers

The value of the coupon paid 4 years from today, discounted at a required return of 2.5%, would be approximately $12,628.24.

To calculate the value of the coupon paid 4 years from today, we need to discount the future cash flow using the required return rate of 2.5%. Here's the calculation:

First, we need to determine the number of remaining coupon payments until the coupon paid 4 years from today. Since the bond has a maturity of 7 years and pays coupons bi-annually, there are 7 * 2 = 14 coupon payments in total. The coupon paid 4 years from today would be the 11th coupon payment.

Next, we calculate the present value of the coupon payment using the formula for present value of a future cash flow:

PV = Coupon Payment / (1 + Required Return) ^ Number of Periods

PV = $15,000 / (1 + 0.025) ^ 11

PV = $15,000 / (1.025) ^ 11

PV ≈ $12,628.24

Therefore, the value of the coupon paid 4 years from today, discounted at a required return of 2.5%, would be approximately $12,628.24.

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Singh Company purchased a $65,000 tract of land for a new manufacturing facility. Singh demolished an old building on the property and sold the materials it salvaged from the demolition. Singh incurred additional costs and realized salvage proceeds as follows:

Demolition of old building = $62,000
Routine maintenance (mowing) done on purchase = 5,000
Proceeds from sale of salvaged materials = 22,400
Legal fees = 18,000
Title guarantee insurance = 11,200

Required:
1. What balance should Singh report in the land account?

Balance in Land account :_________________________
2. If any item(s) in the list above are excluded from the land account, indicate the appropriate classifications.

Answers

To determine the balance that Singh should report in the land account, we need to consider the various costs and proceeds associated with the land purchase and related activities.

Given information:

Purchase price of land: $65,000

Cost of demolishing old building: $62,000

Routine maintenance (mowing) cost: $5,000

Proceeds from sale of salvaged materials: $22,400

Legal fees: $18,000

Title guarantee insurance: $11,200

To calculate the balance in the land account, we start with the purchase price of the land and then add any additional costs directly attributable to the acquisition and preparation of the land. We subtract any proceeds received from the sale of salvaged materials, as they offset the cost.

Balance in Land account:

Purchase price of land: $65,000

Cost of demolishing old building: $62,000

Routine maintenance cost: $5,000

Legal fees: $18,000

Title guarantee insurance: $11,200

Proceeds from sale of salvaged materials: -$22,400

Balance in Land account = $65,000 + $62,000 + $5,000 + $18,000 + $11,200 - $22,400

Balance in Land account = $139,800

Therefore, Singh should report a balance of $139,800 in the land account.

Regarding the second question, we need to determine if any items should be excluded from the land account and classified differently. Based on the given information, all the costs and proceeds listed are directly related to the acquisition and preparation of the land. Therefore, there are no items that need to be excluded or classified differently.

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Automatic investment plans are a more effective way to build wealth than discretionary investments as they allow clients to put aside money before they consider spending it
True or False

Answers

True.

Automatic investment plans can be a more effective way to build wealth compared to discretionary investments for several reasons. One of the key advantages is that they enable clients to put aside money for investment purposes before considering spending it on other expenses. By automating the process, individuals can establish a disciplined approach to saving and investing, which can lead to consistent wealth accumulation over time.

1) Consistency:

Automatic investment plans help individuals establish a regular investment schedule. By contributing a fixed amount of money regularly, such as monthly or quarterly, investors are more likely to build wealth steadily over time. This approach helps to avoid impulsive or emotional investment decisions that may occur with discretionary investments.

2) Dollar-cost averaging:

Automatic investment plans often involve investing a fixed amount of money at regular intervals, regardless of market conditions. This strategy, known as dollar-cost averaging, allows investors to buy more shares when prices are low and fewer shares when prices are high. Over time, this can potentially lower the average cost per share and reduce the impact of market volatility.

3) Time in the market:

By automating investments, individuals can take advantage of the principle of compounding. Over an extended period, the returns earned on investments can generate additional income, which further contributes to wealth accumulation. Automatic investment plans ensure that investors stay invested consistently, maximizing the potential benefits of compounding.

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Transaction
1The company collects $525925 from its trade receivables during the financial year.
2The company paid all wages owing from the previous period, which made up the total opening balance of Other current liabilities. In addition, the company paid wages costs of $15000. These wages relate 30 percent to administrative expenses, and the remainder to selling expenses.
3The company makes total sales of normal goods and services of $630000. Of this amount $71200 was received in cash at the time of the sale.The value of goods sold in these transactions was $410800.
4The company purchased $414800 of inventory from its suppliers. The inventory was purchased on credit.
5The company pays rent of $6500 per month on a 12-month lease. The rent related to administrative offices.
6The company purchased an additional $17000 of computer equipment. Half was paid in cash, with the remaining on credit. The accountant determines that the credit amount should be allocated to other current liabilities.
7The company repays $51311 of its borrowings. This amount includes $6693 of interest. The remaining borrowings are to be repaid evenly over the following five years.
8The accountant determines that depreciation should be recorded at $13817. The accountant estimates that 20 percent of the depreciation is related to selling activities, with the remaining related to administration.
9 The company declares and pays a dividend of $12757 to its shareholders.
10 The company issued 3450 shares to new investors. These shares were issued at an average price of $20 per share.
11 The company uses up the remainder of its previous prepaid insurance contract in the first six months of the fiscal year. The company then commences a new contract costing $14400 in total, all paid upfront, for the following 12 months including the last six months of the financial year. The insurance related to administration. The accountant informs you that Other current assets related to prepaid accounts in the previous financial year.
12 The company makes payments to inventory suppliers of $389007.
13 The company paid all corporate income tax owing from the previous period. In addition, the company incurs a further $28870 in corporate income tax that it will pay next financial year.
14 The company receives a rental payment for a car park it leases on a short-term basis to another entity of $4944.
Need help with financial statement from work sheet please

Answers

Prepare the income statement, statement of retained earnings, balance sheet, and cash flow statement using the given transactions and worksheet.

To prepare the financial statements from the given transactions and worksheet, you would need to analyze and categorize each transaction into relevant financial statement components. For the income statement, you would include the sales revenue, cost of goods sold, operating expenses (including wages, depreciation, and income tax), and any other relevant revenues or expenses. The statement of retained earnings would involve calculating the opening balance, adding net income, deducting dividends, and determining the closing balance. The balance sheet would include assets (such as inventory, equipment, accounts receivable), liabilities (including accounts payable, borrowings, and income tax payable), and shareholders' equity.

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The town of niagra on the lake wanted to build a new public pool. the town hired pete pools for the construction of the pool. the job was budgedted to cost the town $75000, a hefty price tag but one that the town hoped to help pay for by charging all tourists and residents who used the pool $5 per visit. the contracted clearly stated that the job must be finished by 1st , a deadline set to macimise the number of summer months the pool would be open so as to recoup as amny as dolllar possible in year one. the town and pete. ( a low estimate of lost income). is that legal and if so what kind of term are we talking about here. explain your answer fully.

Answers

The town of Niagara-on-the-lake hired Pete Pools for the construction of a public pool at a budget of $75,000, to be repaid through $5 from each user. The contract mandated the pool's completion by the 1st to maximize summer months and profits, with a penalty for missed deadlines.

The contract, as mentioned, contains a deadline, which makes it a time-based contract. This kind of contract necessitates that the job is completed by a specific date. The contractor is liable for penalties if he fails to complete the work within the deadline, as specified in the contract. It is customary for contractors to include a "liquidated damages clause" in such agreements, allowing the customer to claim a predetermined sum of money from the contractor for each day the deadline is missed. This kind of penalty is a fair reimbursement for the financial loss suffered by the customer as a result of the delay. As a result, the contract between the town and Pete Pools is legally binding, and if Pete Pools fails to meet the deadline, the town may sue for breach of contract and claim the liquidated damages agreed to in the contract. Since the contract was made with a firm understanding of its terms, and both parties agreed to it willingly, it is legally binding.

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Which of the following is NOT an allowable method of service of process?
O Leaving a copy of the complaint and summons at Defendant's residence with an incompetent party.
O Mailing a copy of the complaint and summons to Defendant by certified mail.
O Personally serving Defendant with the complaint and summons
O Publication of the complaint and summons in a local newspaper

Answers

Publication of the complaint and summons in a local newspaper is NOT an allowable method of service of process. Therefore option D is correct .

Service of process refers to the legal procedure of providing notice to a defendant in a lawsuit. It is crucial to ensure that the defendant is properly notified and given an opportunity to respond to the lawsuit. There are several acceptable methods of serving process, including personally serving the defendant, mailing a copy of the complaint and summons, and leaving a copy at the defendant's residence with a competent party.

However, publication of the complaint and summons in a local newspaper is generally not an allowable method of service of process. This method is considered a last resort when the defendant's whereabouts are unknown or attempts to locate them have been unsuccessful. It is typically allowed only in specific circumstances and requires court approval.

Publishing the notice in a newspaper is considered a less reliable form of service since there is no guarantee that the defendant will see the publication, and it may not provide sufficient notice for them to respond to the lawsuit in a timely manner.

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Submit a Background to the Study, Study Objectives, and Research
Questions as an example of impact of employee training on job
performance

Answers

Background to the Study:

Employee training plays a crucial role in enhancing job performance within organizations. As businesses strive to remain competitive in a rapidly changing environment, they recognize the need to invest in their employees' skills and knowledge to meet evolving job demands. Training programs are designed to equip employees with the necessary competencies to perform their tasks effectively, improve productivity, and contribute to the overall success of the organization. Understanding the impact of employee training on job performance is essential for organizations to optimize their training strategies and ensure a skilled and motivated workforce.

Study Objectives:

The main objectives of this study are:

1. To assess the relationship between employee training and job performance: This study aims to investigate the extent to which employee training programs positively influence job performance. By analyzing the relationship between the two variables, the study seeks to determine the overall impact of training on enhancing employee performance in various job roles and functions.

2. To identify the key training factors that contribute to improved job performance: The study aims to identify specific training factors, such as training content, delivery methods, duration, and frequency, that have a significant impact on job performance. By understanding these factors, organizations can tailor their training programs to maximize their effectiveness and enhance employee performance.

3. To explore the mediating factors between employee training and job performance: This study seeks to examine potential mediating factors that may influence the relationship between employee training and job performance. These factors may include employee motivation, job satisfaction, self-efficacy, and organizational support. Understanding the mediating mechanisms can provide insights into how training initiatives impact job performance through these intermediate variables.

Research Questions:

To achieve the stated objectives, the study will address the following research questions:

1. What is the relationship between employee training and job performance?

2. Which specific training factors (content, delivery methods, duration, frequency) have the most significant impact on job performance?

3. How do mediating factors (motivation, job satisfaction, self-efficacy, organizational support) influence the relationship between employee training and job performance?

4. Are there any differences in the impact of training on job performance across different job roles or levels within the organization?

5. What are the implications of the findings for organizations in designing and implementing effective training programs to improve job performance?

By addressing these research questions, this study aims to contribute to the existing literature on the impact of employee training on job performance and provide valuable insights for organizations seeking to enhance their training strategies and optimize employee performance.

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For the business venture which you have selected cair detailing shop, you are required to evaluate specitic factors of the venture. You may evaluate the following factors: 1. The business environment - the local environment for the business venture should be analysed to establish the potential of the venture in its present location. 2. Profit, sales, and operating ratios - to estimate the potential earning power of the business, you should review the past 2 years profits, sales, and operating ratios. 3. The business assets - the tangible and intangible (e.g. reputation) assets of the business need to be assessed. 4. Information about the business venture: a. The performance of the company b. The nature of its competition c. The condition of the market of the company's products or services 5. Key questions that you need to ask: a. What is the current physical condition of the business? E.g. Does the company own the building? If it does, how much repair work needs to be done? b. What is the condition of the inventory? E.g. How much inventory does the current owner show on the books?

Answers

To evaluate the car detailing shop business venture, factors to consider include analyzing the local business environment, reviewing past profit and operating ratios, assessing tangible or intangible asset, competition, and market conditions.

1. Analyze the local business environment to determine the potential of the car detailing shop in its current location.

2. Review the past 2 years' profits, sales, and operating ratios to estimate the business's earning potential.

3. Assess the tangible and intangible assets of the business, including its reputation.

4. Gather information about the performance of the company, the nature of its competition, and the market conditions for its products or services.

5. Ask key questions about the physical condition of the business, such as ownership of the building and repair needs, as well as the condition of inventory in terms of quantity and value.

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Scenario: A multi-national corporation is the sole tenant of a landmark CBD office building. The lessor, a major superannuation fund, has adopted a policy of rationalization which envisages the disposal of the property at an appropriate juncture. The lease has seven years to run and generates a net annual income of $4.5 million which is 20% below market. Supporting market data: Your analysis of comparable transactions has generated an appropriate freehold capitalization rate of 7%, a sinking fund rate of 4% and a 2% leasehold differential. N.B. Make sure you list all assumptions very clearly. Question 3.1: By reference to the appropriate calculations, provide comprehensive advice to the tenant who has been approached by the lessor with a view to surrender and renewal of the lease at market rent. Ensure you make explicit the position of each party. (20 marks) Question 3.2: With reference to the appropriate additional calculations, provide supplementary advice to the tenant in the event of their wishing to purchase the freehold interest. (10 marks)

Answers

Ans 1. By reference to the appropriate calculations, provide comprehensive advice to the tenant who has been approached by the lessor with a view to surrender and renewal of the lease at market rent.

Ensure you make explicit the position of each party.The tenant in this case is a multinational corporation. The lessor is a significant superannuation fund that has adopted a policy of rationalization, which involves disposing of the property at an appropriate moment.

The lease has seven years to run and generates a net annual income of $4.5 million, which is 20% below market.To achieve an appropriate freehold capitalization rate of 7 percent, a sinking fund rate of 4%, and a 2 percent leasehold differential, comparable transactions analysis was conducted.

In the scenario given above, if the lease is to be renewed at the market price, the lease rental value would increase to $5.625 million. The lessor would gain $1.125 million as a result of the rental increase, while the lessee would have to pay the increased rent.

The lessee may not want to renew the lease because it would be far more expensive than before. The lessee should review the lease contract to see whether it has an option to renew or whether the lessor can extend the lease on his or her own. As a result, the lessee will have to be ready to negotiate with the lessor to get the most favorable terms.

Ans 2. With reference to the appropriate additional calculations, provide supplementary advice to the tenant in the event of their wishing to purchase the freehold interest.

The tenant has the option to purchase the freehold interest if he or she wishes to do so. The freehold interest in this scenario would be valued at $70,312,500, assuming a net income of $5,625,000 and an appropriate freehold capitalization rate of 8%.

The tenant will need to negotiate with the lessor to determine whether or not they will sell the freehold interest and, if so, at what price. The lessor may not want to sell the freehold interest because they will lose out on rental income.

As a result, the lessee will have to negotiate with the lessor to determine the best course of action for both parties. The tenant may choose to employ an independent valuer to assess the freehold interest to ensure that the price being offered by the lessor is fair.

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Chad Funk is a hair stylist who opened a business selling hair products. He imports products from around the world and sells to salons in Canada. 1 0 Oct 1 Purchased $1,400 of hair spray from Orbit Pro; terms 3/10, 0/30, FOB shipping point. The appropriate party paid the shipping cost of $200. 5 Sold shampoo costing $420 to Barber & Co. for a price of $600 with terms of 2/10, n/30, FOB shipping point. The appropriate party paid the shipping cost of $80. 7 Returned $500 of inventory to Orbit Pro due to an error in the October 1 order. Paid Orbit Pro for the purchase on October 1. 1 Barber & Co. returned $100 of inventory from the sale on October 5. The inventory had a cost of 4 $70. Received the payment from Barber & Co. on the October 5 sale. 2 Purchased $2,000 of hair conditioner from Keratin Hair; terms 2/10, n/30, FOB shipping point. 3 The appropriate party paid the shipping cost of $300. 2 Sold hair gel to Styling Room for an invoice price of $1,000, terms 2/10, 1/30, FOB destination. 5 The hair gel had a cost of $700. The appropriate party paid the shipping cost of $150. 2 Paid for the purchase on October 23. Received the payment from Styling Room on the October 25 sale. 2 2 3 Required: Record the journal entries for the month of October. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field. Journal entry descriptions are provided already in the journal entry worksheet.)

Answers

To record the journal entries for the month of October based on the provided transactions, here are the entries:

October 1:

Inventory (Hair Spray) $1,400

Accounts Payable $1,400

To record the purchase of hair spray from Orbit Pro.

October 1:

Accounts Payable $200

Cash $200

To record the payment of shipping cost for the hair spray purchase.

October 5:

Accounts Receivable (Barber & Co.) $600

Sales Revenue $600

To record the sale of shampoo to Barber & Co.

October 5:

Cost of Goods Sold (Shampoo) $420

Inventory (Shampoo) $420

To record the cost of goods sold for the sale to Barber & Co.

October 5:

Accounts Payable $80

Cash $80

To record the payment of shipping cost for the sale to Barber & Co.

October 7:

Accounts Payable (Orbit Pro) $500

Inventory $500

To record the return of inventory to Orbit Pro.

October 7:

Accounts Payable $900

Cash $900

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Possible Answers:

1. Increase / Decrease / Maintain

2. Increase / Decrease / Maintain

If the economy is in a recession and Congress is worried about unemployment they might government spending and taxes.

Answers

During a recession, when the economy is experiencing a decline in economic activity and rising unemployment rates, Congress may implement certain fiscal policies to stimulate economic growth and reduce unemployment. One possible approach is to increase government spending. By allocating more funds towards infrastructure projects, social welfare programs, and public services, the government can create job opportunities and boost economic activity. Increased government spending can lead to a multiplier effect, where the initial injection of funds circulates through the economy, creating additional income and consumption.

Additionally, Congress may choose to decrease taxes during a recession. Lowering taxes can provide individuals and businesses with more disposable income, which can lead to increased consumer spending and business investment. By reducing the tax burden, Congress aims to stimulate demand and incentivize economic activity. Lower taxes can also encourage businesses to hire more workers, potentially reducing unemployment rates.
It is important for Congress to strike a balance between increasing government spending and decreasing taxes, taking into consideration the current economic conditions and the long-term impact on the budget deficit. By implementing these fiscal policies during a recession, Congress aims to provide a boost to the economy, create jobs, and alleviate the financial burden on individuals and businesses.

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A project requires an initial investment of P 500,000.00. The following cash flows have been estimated for the life of the project;

Year Cash flow (P)

1 P 120,000.00

2 P 150,000.00

3 P 180,000.00

4 P160,000.00

The company uses NPV to appraise projects. Using a discount rate of 7%, calculate the NPV of the project and recommend whether the project should be undertaken

Answers

To calculate the Net Present Value (NPV) of the project, we need to discount each cash flow to its present value and then sum them up.

The formula to calculate the present value of a cash flow is:

PV = CF / (1 + r)^n

Where PV is the present value, CF is the cash flow, r is the discount rate, and n is the time period.

Using a discount rate of 7%, the present value of the cash flows can be calculated as follows:

Year 1: PV = 120,000 / (1 + 0.07)^1 = P 112,149.53

Year 2: PV = 150,000 / (1 + 0.07)^2 = P 131,355.93

Year 3: PV = 180,000 / (1 + 0.07)^3 = P 151,716.18

Year 4: PV = 160,000 / (1 + 0.07)^4 = P 130,620.58

Next, we sum up the present values of the cash flows:

NPV = PV1 + PV2 + PV3 + PV4

NPV = 112,149.53 + 131,355.93 + 151,716.18 + 130,620.58

NPV = P 525,842.22

Since the NPV is positive (P 525,842.22), it indicates that the project is expected to generate more value than the initial investment. Therefore, based on the NPV analysis, it is recommended to undertake the project.

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8. Suppose we know the relationship d=5000−25p describes what happens to demand (d) as price (p) varies. Here, price can vary between $15 and $45. (17pts) 
a. How many units can be sold at the $20 price? Find the value for revenue at this price.
b. How many units can be sold at the $40 price? Find the value for revenue at this price.
c. Write the expression for total revenue.

9. A university schedules a one-week training course based on anticipated enrollment. The variable cost is about $400 pe student, laboratories, student services, and allocated overhead for a class is $5000. If students pay $600 to enroll in the course, how large would enrollment have to be for the university to break even? (10 pts )

Answers

The university would need an enrollment of 25 students to break even.

a.To find the number of units that can be sold at a price of $20, we substitute $20 for p in the demand equation:

d = 5000 - 25p

d = 5000 - 25(20)

d = 5000 - 500

d = 4500

Therefore, at a price of $20, 4500 units can be sold.To find the value for revenue at this price, we multiply the price by the quantity sold:

Revenue = Price x Quantity

Revenue = $20 x 4500

Revenue = $90,000

b. Similarly, at a price of $40, we substitute $40 for p in the demand equation:

d = 5000 - 25p

d = 5000 - 25(40)

d = 5000 - 1000

d = 4000

At a price of $40, 4000 units can be sold.

Revenue = Price x Quantity

Revenue = $40 x 4000

Revenue = $160,000

c. The expression for total revenue is given by:

Total Revenue = Price x Quantity

Total Revenue = p x d

Total Revenue = p(5000 - 25p)

To break even, the total revenue should cover the variable cost and the allocated overhead. The variable cost per student is $400, and the allocated overhead for the class is $5000. The enrollment fee per student is $600.

Let's denote the enrollment a E. The total revenue is given by:

Total Revenue = Enrollment Fee x Enrollment

Total Revenue = $600 x E

To break even, the total revenue should equal the total cost:

Total Revenue = Variable Cost + Allocated Overhead

$600E = $400E + $5000

Simplifying the equation:

$600E - $400E = $5000

$200E = $5000

E = $5000 / $200

E = 25

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Kyle Corporation is considering whether to pursue an aggressive or conservative current asset policy, as well as an aggressive or conservative financing policy. The following information is available: - Annual sales are $30,000,000. - Fixed assets are $15,000,000. - The debt ratio is 60 percent. - EBIT is $2,500,000. - Tax rate is 30 percent. - With an aggressive policy, current assets will be 30 percent of sales; with a conservative policy, current assets will be 80 percent of sales. - With an aggressive financing policy, short-term debt will be 70 percent of the total debt; with a conservative financing policy, short-term debt will be 30 percent of the total debt. - Interest rate for short-term debt is 5 percent. Interest rate for long-term debt is 10 percent.
Required:
a) Determine the return on equity for the aggressive approach and for the conservative approach.
b) Discuss which approach you would choose.

Answers

Despite the fact that the shareholders' equity is lower and the risk is greater, it would be advantageous in the long term.

(b) Discussion on which approach is better:

Here, the two approaches, aggressive and conservative, can be compared based on the return on equity (ROE). The aggressive approach has an ROE of 13.89%, whereas the conservative approach has an ROE of (6.25%).

The aggressive policy is beneficial as the ROE is high.

The shareholders' equity, however, is small.

The risk is greater with the aggressive strategy, but the profit is greater as well.

The conservative policy, on the other hand, has a negative ROE, which is a bad indicator. Although the shareholders' equity is larger, the negative ROE would worry investors.

As a result, the conservative strategy is less appealing than the aggressive strategy.

In conclusion, we will choose the aggressive approach because of the higher ROE.

Despite the fact that the shareholders' equity is lower and the risk is greater, it would be advantageous in the long term.

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Elaborate each question with suitable points and sufficient explanation with examples wherever appropriate.

1. A joint investigation by Nikkei and a Tokyo analytics company found that Apple has jumped into automobile-related technologies, as shown by the company's recent patent applications. Apple has filed patents in self-driving and other vehicle software as well as in hardware related to riding comfort, such as seats and suspension. The U.S. tech and services company is also targeting vehicle-to-everything (V2X) technology, which allows cars to communicate with each other and connect to the "Internet of Things," moves seen as a major push by Apple to build its own platform and join a growing industry shift from just cars to overall mobility.

Looking at the growth of Apple into this new technology, elaborate on the various legal issues that Apple will be facing and suggest the various strategies available for Apple to use their inventions for themselves legally.

Answers

1, Legal issues: Patent infringement, intellectual property protection, licensing agreements, and regulatory compliance. 2, Strategies: Defensive patenting, collaborations/partnerships, acquisitions/mergers, and participation in standardization efforts.

As Apple ventures into automobile-related technologies, there are several legal issues the company may face. These include:

Patent infringement: Apple's entry into self-driving and vehicle software could potentially infringe on existing patents held by other companies in the industry. Apple needs to ensure that its inventions do not violate any intellectual property rights.

Intellectual property protection: Apple needs to protect its own inventions by obtaining patents for its innovative technologies. By filing patents, Apple can establish legal rights and prevent others from using or copying their inventions without authorization.

Licensing agreements: Apple could consider entering into licensing agreements with other companies in the automotive industry. This would allow them to legally use patented technologies owned by others in exchange for royalties or other forms of compensation.

Regulatory compliance: As Apple moves into the realm of self-driving technology and V2X communication, they will need to navigate and comply with various regulations and standards set by government agencies. This includes ensuring compliance with safety and privacy regulations related to autonomous vehicles and connectivity.

To legally utilize their inventions, Apple can employ several strategies:

Defensive patenting: Apple can build a strong portfolio of patents to protect their inventions from potential litigation or challenges by competitors. This strategy acts as a deterrent and provides Apple with leverage in negotiations and cross-licensing agreements.

Collaborations and partnerships: Apple can collaborate with established automakers or technology companies to jointly develop and deploy their technologies. This allows for shared resources, expertise, and legal protection.

Acquisitions and mergers: Apple can acquire or merge with companies that hold relevant patents or possess expertise in the automotive industry. This not only provides them with access to intellectual property but also helps accelerate their entry into the market.

Standardization efforts: Apple can actively participate in industry standardization efforts related to self-driving technology and V2X communication. By contributing to and influencing standards, Apple can shape the industry landscape and ensure compatibility with their own inventions.

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The invisible hand refers to A. government intrusion in private affairs. (B) the coordination of activities through prices in a decentralized competitive economy C. the link between the "fingers" of government: federal, state, and local. D. the safety net ready to catch people who fall under the poverty line.

Answers

The term "invisible hand" refers to (B) the coordination of activities through prices in a decentralized competitive economy.

It is a metaphor coined by economist Adam Smith, emphasizing the self-regulating nature of the marketplace in determining how resources are allocated based on individuals acting in their own self-interest. The concept of the "invisible hand" is one of the foundational principles in classical economics. It suggests that when individuals engage in trade and production driven by self-interest, they inadvertently contribute to societal benefit. This process is coordinated by the decentralized decisions of individuals, which are largely influenced by the system of prices. The "invisible hand" does not involve direct government intervention (A), nor does it refer to various levels of government (C) or social safety nets (D). Essentially, it is an economic concept that points to how personal interests and competition in a free market can lead to economic prosperity.

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ABC Corp has an average inventory period (production process time + time before sale) of 35 days. Accounts receivables are outstanding an average of 15 days. Gross margins for the firm average 8%. What is the average length of the firm's short-term operating cycle?

Answers

The average length of ABC Corp's short-term operating cycle is 50 days.

The short-term operating cycle is a measure that combines the average inventory period and the average accounts receivable period to determine the time it takes for a company to convert its investments in inventory into cash from sales.

The average inventory period of 35 days represents the average time it takes for ABC Corp to produce goods and hold them in inventory before they are sold. This period includes the production process time and the time required before the goods are ready for sale.

The average accounts receivable period of 15 days represents the average time it takes for ABC Corp to collect payment from its customers after the goods are sold. This period reflects the delay between the sale of goods and the receipt of cash.

By adding these two periods together, we get the average length of the short-term operating cycle, which in this case is 50 days. This means that it takes ABC Corp approximately 50 days to convert its investments in inventory into cash from sales. Managing and reducing this operating cycle can help improve cash flow and working capital efficiency for the company.

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