Consider an economy described by the production function Y=F(K,L)=K^0.4L^0.6
a. What is the per worker production function? b. Assuming no population growth or technological progress (i.e. as we have seen in class so far), find the steady-state capital per worker, output per worker, and consumption per worker as a function of savings and depreciation rates. c. Assume the depreciation rate is 15% per year. Make a table showing steadystate capital per worker, output per worker, and consumption per worker for savings rates 0%,10%,20%, and 30%. i. What savings rate maximizes output per worker? ii. What savings rate maximizes consumption per worker?

Answers

Answer 1

a. The per worker production function is y = (k[tex])^{0.4}[/tex] *[tex]L^{0.6}[/tex]. b. Steady-state capital per worker: k* = (s/δ[tex])^{2.5}[/tex]. Output per worker: y* = s/δ. Consumption per worker: c* = (1 - s)*(s/δ). c. Savings rate maximizing output: 30%. Savings rate maximizing consumption: 20%.

a. The per worker production function can be obtained by dividing the production function by the quantity of labor (L). Therefore, the per worker production function is given by y = Y/L = (K/L[tex])^{0.4}[/tex] * [tex]L^{0.6}[/tex]= (k[tex])^{0.4}[/tex] * L^0.6, where y represents output per worker and k represents capital per worker.

b. In the steady state, capital per worker (k*) remains constant over time. At the steady state, investment per worker (sY/L) equals the depreciation rate (δ). Using the production function Y = F(K,L), we can rewrite this as s*(k*[tex])^{0.4}[/tex][tex]L^{0.6}[/tex] = δk*. Solving for k*, we get k* = (s/δ[tex])^{2.5}[/tex].

Output per worker (y*) at the steady state is given by y* = (k*[tex])^{0.4}[/tex][tex]L^{0.6}[/tex] = ((s/δ[tex])^{2.5}[/tex][tex])^{0.4}[/tex] [tex]L^{0.6}[/tex]= (s/δ)¹ [tex]L^{0.6}[/tex] = s/δ.

Consumption per worker (c*) at the steady state is given by c* = (1 - s)y* = (1 - s)*(s/δ).

c. Assuming a depreciation rate of 15% per year (δ = 0.15), we can create a table to calculate the steady-state capital per worker (k*), output per worker (y*), and consumption per worker (c*) for different savings rates (s) such as 0%, 10%, 20%, and 30%:

s (%) | k* | y* | c*

0 | 0 | 0 | 0

10 | 0.1296 | 0.0907 | 0.0816

20 | 0.5184 | 0.1813 | 0.1450

30 | 1.1664 | 0.2720 | 0.1904

i. The savings rate that maximizes output per worker is 30% since it yields the highest value for y*.

ii. The savings rate that maximizes consumption per worker is 20% since it yields the highest value for c*.

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Related Questions

Which of the following statements is most accurate? *

a. A majority of the provincial and territorial governments can gang-up on the federal government and take away any of the federal government's powers to create laws that affect businesses and consumers.
b. Ultra vires means that no level of government has more power than the federal government.
c. It is possible to use the courts to challenge the validity of a law created by either the federal or provincial government on the basis that the government has acted outside its particular sphere of law-making power.
d. The federal government can enact any law it wants because Canada does not have a written Constitution.

Answers

The following statement is most accurate: "It is possible to use the courts to challenge the validity of a law created by either the federal or provincial government on the basis that the government has acted outside its particular sphere of law-making power.

The Canadian Constitution separates the powers of the federal and provincial governments. However, it is possible to challenge the validity of a law made by either level of government if they have acted outside their jurisdiction. The courts have the authority to determine whether or not a government has acted outside its sphere of law-making power. Therefore, option (c) is the correct statement.

The concept of ultra vires means that no level of government has more power than the other. Each government has its own sphere of law-making authority. This ensures that no government takes away the other's powers. Therefore, option (b) is incorrect. The provinces and territories cannot take away any of the federal government's powers.

The federal government has the power to make laws that affect businesses and consumers. Therefore, option (a) is incorrect. Canada has a written Constitution that outlines the powers and limitations of the federal and provincial governments. The Constitution Act, of 1867, distributes legislative powers between the two levels of government. Therefore, option (d) is incorrect.

Therefore, the correct statement is that it is possible to use the courts to challenge the validity of a law created by either the federal or provincial government on the basis that the government has acted outside its particular sphere of law-making power.

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Which of the following is NOT considered to be a 'good' under the UCC definition?
A. Car
B. House
C. Pillow
D. Table

Answers

Pillow is not considered to be a 'good' under the UCC definition. Option c is correct.

The Uniform Commercial Code (UCC) is a collection of rules that govern commercial transactions in the United States. It has been adopted, in part or in whole, by all 50 states. According to the Uniform Commercial Code (UCC) definition, a "good" is something that is "movable at the time of identification to the contract for sale."

The definition of goods, according to the UCC, excludes anything "which is identified to the contract at the time of contracting as the subject matter of the contract." A pillow is not considered a good according to the Uniform Commercial Code (UCC) definition since it is not movable at the time of identification to the contract for sale.

Therefore, c is correct.

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Hello! If you choose to answer, please don't use one that has already been used. Something new! Thanks!

Refer to the March of Dimes Foundation financial statements found in your textbook. A note to the financial statements indicates that the foundation recognized $1,270 of contributed services in the statements. The note also states that many other volunteers contributed services, but that these services are not recognized in the financial statements.

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The March of Dimes Foundation recognized $1,270 of contributed services in their financial statements, but the note indicates that many other volunteers' services were not recognized.

Contributed services refer to the value of services provided by volunteers or individuals without charge to an organization. In the case of the March of Dimes Foundation, they recognized $1,270 of contributed services in their financial statements. This means that they have assigned a monetary value of $1,270 to the services provided by volunteers, which is included as an expense or contribution on their financial statements.

However, the note to the financial statements indicates that many other volunteers' services were not recognized. This implies that the total value of services provided by volunteers is greater than the $1,270 recognized in the financial statements.

The reasons for not recognizing these additional services could vary. It could be due to the difficulty in quantifying the value of those services, lack of appropriate measurement criteria, or the organization's policy not to recognize certain types of services.

It's important to note that even though these services were not recognized in the financial statements, they still hold value for the organization and contribute to its operations and mission. The unrecognized services are typically disclosed in the notes to the financial statements to provide transparency regarding the non-recognition.

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Priya and Ronnie borrow $500,000 from the EastSide bank, to be paid back through monthly repayments over 12 years, with the first repayment to occur one month after taking out the loan. EastSide charges at interest j12 = 6.12% p.a. Under the terms of the loan, Priya and Ronnie will pay interest only for the first 2 years of the loan. At that point the loan will change to a fully amortized (principal and interest) loan, which will apply for the final 10 years of the loan’s duration.

Describe and perform and sanity check on your amortization schedule.
If Priya and Ronnie simply took out a 12 year P&I for $500,000 at j12 = 6.12% p.a. and intended to make monthly repayments of $2400, attempt to determine how long they would take to pay off the loan. Explain why your attempt to answer the question was problematic.

Answers

Calculating the monthly payment amount, interest paid, principal repaid, and remaining balance for each month of the loan is necessary to build an amortisation schedule.

Assumed: $500,000 is the principal amount (P). Loan term (n) equals 12 years Interest rate (j12) equals 6.12% annually. First, multiply the yearly interest rate by 12 to get the monthly interest rate (j): j = 6.12% / 12 = 0.0061 The interest component can be calculated using the principle sum to compute the monthly payment for the first two years (during which time there will be no principal payment). Monthly interest is calculated as follows: ($500,000 * 0.0061) = (Principal * Monthly Interest Rate) The interest determined here will be the monthly payback amount for the first two years. In order to determine the monthly payment for the remaining 10 years (completely amortised period), we can apply the formula. M = (P * j) / (1 - (1 + j)(-n)) represents the payment amount. The formula can be used to determine the monthly payment for the completely amortised period using the supplied values as input. We need to confirm that the total interest paid throughout the course of the loan period, plus the principal repaid, matches the total loan amount in order to conduct a sanity check on the amortisation schedule. This verification confirms that the computations and schedule are valid.  Without knowing the interest rate and the specifics of the loan, such as the principal amount and term, it is difficult to estimate how long it would take to pay off the loan with a fixed monthly repayment of $2400. For the purpose of providing a specific response.

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News of a decline in leading economic indicators in Europe should

Will cause the Euro to depreciate against the dollar today because traders believe it will rise in the future with a decline in future output in Europe.

Will cause the Euro to appreciate against the dollar today, since foreign exchange trades will likely believe the European Central Bank will take measures to stimulate the European economy in the future.

Will cause the Euro to depreciate against the dollar today because foreign exchange traders understand that government officials often try to paint a better economic forecast than will eventually materialize and so any news of a decline in an leading economic indicator means things will turn out worse than forecast.

Will cause the Euro to depreciate against the dollar today, since an anticipated decline in future output in Europe will lead to lower interest rates in Europe.

Have no impact on the current value of the Euro in terms of the dollar since the anticipated decline is in the future and is not impacting current currency fundamentals such as interest rates, money supplies or output.

Answers

Today's decrease in main economic indices in Europe will lead to a decline in the value of the euro relative to the dollar.

Forex traders are aware that such news points to potential upcoming economic difficulties in Europe. Because traders anticipate that the economy will perform worse than expected, they may sell euros and purchase dollars in the short term because they think the euro will lose value much more in the future. The Euro has declined in value against the US dollar in the current trading period as a result of the expectation of future economic challenges outweighing any potential stimulus measures the European Central Bank might implement.

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Question 1:
This question is meant to determine how well you understand transaction analysis. The ABC Pizza Store is a small pizzeria with limited seating. The company has just started business on July 1, 2000. For each transaction given below for the month of July 2000 , provide the appropriate journal entry or place the entry within a balance sheet equation format (assets = liabilities plus owners' equity).
a. On July 1, 2000, the owners, Bob, Rachel, and Steve invested a total of $100,000 in return for a total of 10,000 shares of $2 par value common stock, which began the ABC Pizza Store (the company).
b. On July 1, the company also borrowed $25,000 from a local San Francisco bank. The loan is for two years and has an annual interest rate of 12%. Interest will be paid every three months beginning on October 1, 2000.
c. On July 1, the company signed a one-year lease for the store location they will occupy. Their monthly rental is $7,000, and they had to pay the first and last month's rent in advance.
d. Their rental location was the site of a former pizzeria, and all the necessary equipment such as pizza ovens, counters, and refrigeration units were available. The landlord owned the equipment, and its cost to the company was included in the monthly lease payment. On July 2, the company did have to buy new furniture at a cost of $9,500, as well as plates, utensils, and cups for $3,700. Both the furniture and the tableware were paid in cash.
e. On July 3, the company contacted a local printer to prepare menus and advertising brochures. The company agreed to pay $2,500 for the menus and brochures. They will be ready on Julv 6 .

Answers

a. Journal Entry:

Date: July 1, 2000

Common Stock             20,000    (10,000 shares x $2 par value)

Cash                              100,000

b. Journal Entry:

Date: July 1, 2000

Cash                       25,000

Notes Payable            25,000

c. Journal Entry:

Date: July 1, 2000

Prepaid Rent               14,000    ($7,000 x 2 months)

Cash                               14,000

d. Journal Entry:

Date: July 2, 2000

Furniture                         9,500

Cash                                9,500

Date: July 2, 2000

Tableware                          3,700

Cash                                3,700

e. Journal Entry:

Date: July 3, 2000

Advertising Expense     2,500

Accounts Payable        2,500

The balance sheet equation after these transactions would be:

Assets = Liabilities + Owners' Equity

Cash + Furniture + Tableware + Prepaid Rent = Notes Payable + Accounts Payable + Common Stock

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a) Money is a commodity accepted by general consent as a medium of economic exchange. It is the medium in which prices and values are expressed : Explain TWO (2) functions of money with examples.

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Money serves several functions in an economy, including being a medium of exchange, a unit of account, and a store of value. In this context, I will explain two functions of money: medium of exchange and unit of account. As a unit of account, money provides a standardized measure for expressing the value of goods and services, allowing for easy comparison and decision-making. These functions of money contribute to the efficiency and effectiveness of economic exchanges in a modern economy.

Two functions of money are:

Medium of Exchange: One of the primary functions of money is to serve as a medium of exchange, facilitating the exchange of goods and services. Money acts as an intermediary that enables individuals to trade goods and services without the need for bartering. By using money, individuals can easily exchange what they have for what they want. For example, if someone wants to purchase a book, they can use money to buy it from a bookstore. Similarly, a farmer can sell their produce in exchange for money.

Unit of Account: Money also serves as a unit of account, providing a common measure for expressing the value of goods, services, and assets. It allows individuals to compare the prices of different items and determine their relative worth. With money as a unit of account, prices can be standardized and easily understood. For instance, if someone wants to compare the prices of two laptops, they can look at the monetary values assigned to each and make a decision based on their preferences and budget. Money as a unit of account simplifies economic transactions by providing a standardized measure of value.

Therefore, money performs various functions in an economy, including being a medium of exchange and a unit of account. As a medium of exchange, money facilitates transactions by acting as a common medium accepted by all parties involved.

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If prices have increased since the base period, then A. real GDP can no longer be compared to nominal GDP B. real GDP is equal to nominal GDP real GDP is smaller than nominal GDP. C. real GDP is larger than nominal GDP. E. there is no way to adjust nominal GDP so that it equals real GDP. D.

Answers

If prices have increased since the base period, then real GDP is smaller than nominal GDP. So, the correct option is (B).

When prices have increased since the base period, it means that there has been inflation. Inflation causes the purchasing power of money to decrease over time. As a result, nominal GDP, which is measured in current prices, will be higher than real GDP, which is adjusted for inflation and measured in constant prices.

Real GDP takes into account changes in prices by using a base year as a reference point. It adjusts for inflation by removing the effect of price changes, allowing for a more accurate comparison of economic output across different time periods. By removing the price changes, real GDP provides a measure of the actual physical volume of goods and services produced.

Therefore, when prices have increased since the base period, real GDP will be smaller than nominal GDP because the increase in prices inflates the nominal GDP figure.

The correct statement is:

B. real GDP is smaller than nominal GDP.

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Kopy Kat Photocopy Service processes 1,000,000 photocopies per month at its midtown service center. Approximately 60 percent of the photocopies require collating. Collating is currently performed by high school and college students who are paid $7.50 per hour. Each student collates an average of 5,000 copies per hour. Managernent is contemplating the lease of an automatic collating machine that has a monthly capacity of 5,000,000 photocopies, with lease and operating costs totaling $1,450, plus $0.05 per 1,000 units collated.
Required:
a. Determine the total costs of collating 500,000 and 1,500,000 per month: 1. With student help. 2. With the collating machine.
b. Determine the monthly volume at which the automatic process becomes preferable to the manual process.
c. Should Kopy Kat lease the automatic collating machine at this time?

Answers

a. The total costs of collating 500,000 and 1,500,000 photocopies per month are as follows:

1. With student help:

- For collating 500,000 copies:

  - Number of students required: 500,000 / 5,000 = 100 students

  - Total cost: 100 students * $7.50/hour = $750/hour

- For collating 1,500,000 copies:

  - Number of students required: 1,500,000 / 5,000 = 300 students

  - Total cost: 300 students * $7.50/hour = $2,250/hour

2. With the collating machine:

- For collating 500,000 copies:

  - Lease and operating costs: $1,450 + ($0.05/1,000) * 500,000 = $1,450 + $25 = $1,475

- For collating 1,500,000 copies:

  - Lease and operating costs: $1,450 + ($0.05/1,000) * 1,500,000 = $1,450 + $75 = $1,525

b. The monthly volume at which the automatic process becomes preferable to the manual process can be determined by comparing the costs of the two methods. In this case, the point of preference would be when the cost of using the collating machine becomes lower than the cost of employing the students. Let's assume this volume is X.

Cost with the collating machine: $1,450 + ($0.05/1,000) * X

Cost with student help: Number of students required * $7.50 * Hours required to collate X copies

By comparing the two costs, you can find the volume X at which the collating machine becomes preferable to the manual process.

c. To decide whether Kopy Kat should lease the automatic collating machine at this time, the company needs to consider various factors, including the cost comparison, reliability of the machine, efficiency gains, and future business projections. If the monthly volume at which the collating machine becomes preferable aligns with the company's current or anticipated workload, and the machine is reliable and efficient, it may be a worthwhile investment. However, a comprehensive analysis of the costs, benefits, and long-term impact should be conducted before making a final decision.

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15. Describe the difference between fairness & allocative
efficiency in the ownership of land, p. 350/359.

Answers

Fairness focuses on the equitable distribution of land ownership, taking into account social and historical considerations, while allocative efficiency focuses on maximizing economic welfare by allocating land resources to their most productive uses. Both concepts play important roles in shaping land ownership policies and practices, but they prioritize different objectives and considerations.

Fairness refers to the concept of distributing land ownership in a just and equitable manner. It focuses on ensuring that land resources are allocated in a way that is perceived as fair by society. Fairness can be subjective and influenced by various factors such as historical context, cultural norms, and societal values. It involves considerations of social justice, equal opportunity, and addressing historical inequities in land ownership. Fairness in land ownership aims to promote an equitable distribution of resources and opportunities among individuals and communities.

On the other hand, allocative efficiency relates to the economic efficiency of land ownership. It refers to the allocation of land resources in a manner that maximizes overall economic welfare. Allocative efficiency considers the productive use of land and aims to achieve the most optimal allocation of resources to generate the highest possible economic output. It involves evaluating the costs and benefits associated with different uses of land and ensuring that resources are allocated to their most valued and productive uses.

Therefore, fairness focuses on the equitable distribution of land ownership, taking into account social and historical considerations, while allocative efficiency focuses on maximizing economic welfare by allocating land resources to their most productive uses.

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You are CEO of a delivery truck agency serving the metro area of the town of Calurnia. You recently paid $58,000 or about 2x revenue (well under industry average) to purchase the delivery truck of the neighboring town of Caelid, which provides a service similar to yours. This move will allow you to operate in both regions (Calurnia and Caelid).

If you combine the markets, the total Fixed Cost would be $9,000 per month, and your larger purchase size will allow you advantageous terms for your raw materials, meaning your marginal cost will be $40 per delivery.

Demand and marginal revenue (MR) in the combined market is as follows:

QD = 110 − 0.25P
MR = 440 − 8Q

a) Find the optimal price and quantity, and your profit from the combined market.

Additional analysis shows that demand and fixed costs are different in the two regions.

Calurnia has the following demand and marginal revenue:

QD = 65 − 0.125P
MR = 520 − 16Q

Fixed costs associated with operating in the West are $5,000/month.

Although the demand in Caelid is smaller

QD = 45 − 0.125P
MR = 360 − 16Q

Fixed costs associated with operating in the East are $4,000/month.

The area manager from Caelid suggests you use a strategy that charges each market a separate price. If you operate in separate markets, the marginal cost will increase to $44 per delivery.

b) What is this strategy called? Calculate the best price to charge in each city using this strategy and the combined profits. Have profits increased compared to the previous pricing method? What is this strategy called?

c) Examine the profits you are making from each city and provide advice on what this firm should do in the long run. How does the initial investment of $58,000 factor into your answer?

Answers

You are CEO of a delivery truck agency serving the metro area of the town of Calurnia . You recently paid $58,000 or about 2x revenue (well under industry average) to purchase the delivery truck of the neighboring town of Caelid , which provides a service similar to yours. This move will allow you to operate in both regions (Calurnia and Caelid).

If you combine the markets, the total Fixed Cost would be $9,000 per month, and your larger purchase size will allow you advantageous terms for your raw materials, meaning your marginal cost will be $40 per delivery.

Demand and marginal revenue (MR) in the combined market is as follows:

QD = 110 − 0.25P

MR = 440 − 8Q

Find the optimal price and quantity, and your profit from the combined market.

Additional analysis shows that demand and fixed costs are different in the two regions.

Calurnia has the following demand and marginal revenue :

QD = 65 − 0.125P

MR = 520 − 16Q

Fixed costs associated with operating in the West are $5,000/month.

Although the demand in Caelid is smaller

QD = 45 − 0.125P

MR = 360 − 16Q

Fixed costs associated with operating in the East are $4,000/month.

The area manager from Caelid suggests you use a strategy that charges each market a separate price. If you operate in separate markets, the marginal cost will increase to $44 per delivery.

What is this strategy called? Calculate the best price to charge in each city using this strategy and the combined profits. Have profits increased compared to the previous pricing method? What is this strategy called?

Examine the profits you are making from each city and provide advice on what this firm should do in the long run.

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one of the worst sins in an ad agency is a missed deadline. which department within the agency is responsible for preventing this from happening?

Answers

The Project Management Department is responsible for preventing missed deadlines in an ad agency. They plan, organize, and oversee projects, ensuring timely delivery and effective coordination among teams, stakeholders, and clients.

The Project Management Department within an ad agency is primarily responsible for preventing missed deadlines. This department plays a crucial role in planning, organizing, and overseeing the execution of various projects within the agency. They work closely with clients, account managers, creative teams, and other stakeholders to ensure that projects are delivered on time and meet the specified requirements.

The Project Management Department is responsible for setting realistic project timelines, establishing clear milestones, assigning tasks to team members, monitoring progress, and identifying and mitigating any potential risks or issues that may affect the project's timeline. They act as a central point of coordination, ensuring effective communication and collaboration among different teams involved in the project.

By having a dedicated Project Management Department, ad agencies can maintain better control over project timelines, improve efficiency, and deliver high-quality work within the agreed-upon deadlines. They serve as the driving force behind successful project execution and play a crucial role in preventing missed deadlines, which is vital for maintaining client satisfaction and agency reputation.

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What's the difference between fiscal and monetary policy? Using the example of contractionary policy explain (a) the different impacts - direct and indirect - of fiscal and monetary policy

Answers

Fiscal Policy: Fiscal policy is the government's economic strategy that includes taxation, government spending, and borrowing. Fiscal policy is implemented by Congress and the president, whereas monetary policy is implemented by the Federal Reserve System. Monetary Policy: Monetary policy is a tool used by central banks to regulate the economy. The Federal Reserve uses monetary policy to stimulate or slow down economic growth. It does this by increasing or decreasing the supply of money, which can have a significant impact on interest rates.

Contractionary policy example: Contractionary policy is used to slow down the economy when it is overheated. For example, if inflation is increasing too quickly, the government might implement contractionary fiscal or monetary policies. Contractionary Fiscal Policy: The contractionary fiscal policy will reduce government spending and increase taxes to reduce the budget deficit. When the government reduces its spending and increases taxes, it will decrease the amount of money that consumers and businesses have to spend. Contractionary Monetary Policy: The contractionary monetary policy will increase the interest rate, which will make it more expensive to borrow money. By making it more expensive to borrow money, the central bank can reduce the amount of money in circulation. This will help to slow down inflation and prevent the economy from overheating. Impact of Fiscal Policy: The impact of fiscal policy is felt directly by consumers and businesses. When the government increases taxes or reduces spending, it can directly affect the amount of money consumers and businesses have to spend. Impact of Monetary Policy: The impact of monetary policy is indirect and takes time to be felt. When the central bank increases or decreases the supply of money, it takes time for interest rates to adjust. Once interest rates have been adjusted, it can affect the amount of money consumers and businesses have to spend.

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Which of the following is not true regarding segregation of duties (SoD)?

A. According to SoD concept, no one person should have custody of the assets involving the transaction

B By segregating duties, companies reduce the risk of erroneous and inappropriate actions by their employees

C. According to SoD concept, no one person should approve a transaction

D. SoD does not deter fraud as it does not involve handling of funds

Answers

The statement that is not true regarding segregation of duties (SoD) is:

D. SoD does not deter fraud as it does not involve handling of funds.

Segregation of duties (SoD) is a fundamental principle of internal control that aims to prevent errors and fraud by separating key tasks and responsibilities within an organization. It involves dividing critical functions among different individuals to create a system of checks and balances. The main objective of SoD is to minimize the risk of errors, fraud, and inappropriate actions by employees.

Option D is incorrect because SoD does play a crucial role in deterring fraud. By assigning different individuals to handle various aspects of financial transactions, SoD reduces the likelihood of collusion and increases the chances of detecting fraudulent activities. By separating responsibilities, no single individual has complete control or authority over a transaction from initiation to completion, making it more difficult for someone to carry out fraudulent activities without detection.

In summary, SoD is an important control mechanism that enhances the effectiveness of internal controls and helps prevent errors and fraudulent behavior within an organization.

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The degree of operating leverage (DOL) can be measured by the percent change in operating income (EBIT) divided by percent change in:

A. fixed costs

B. variable costs

C. unit sales

D. total costs

Answers

A. fixed costs It helps assess the impact of changes in fixed costs on the company's profitability and risk.

The degree of operating leverage (DOL) is calculated by dividing the percent change in operating income (EBIT) by the percent change in fixed costs. It measures the sensitivity of a company's operating income to changes in fixed costs. A higher DOL indicates that a company has a higher proportion of fixed costs in its cost structure, making it more vulnerable to changes in sales volume.

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Why is property particularly subject to the issue of functional obsolescence? Select one:

a. The functions need to be approved by local authorities

b. The physical life of an asset rarely exceeds the demand for its use

c. Economic cycles may be shorter than physical life cycles

d. Statement is incorrect, property is largely unaffected by functional obsolescence

Answers

The main answer is: c. Economic cycles may be shorter than physical life cycles.

Functional obsolescence refers to a reduction in the desirability or usefulness of a property due to changes in technology, market demand, or other factors. Property is particularly subject to this issue because economic cycles, which encompass changes in market demand, can occur at a faster pace than the physical life cycles of buildings or assets.

Technological advancements and evolving consumer preferences can render certain properties less desirable or less efficient over time. For example, a building that was once considered state-of-the-art may become functionally obsolete if newer buildings with advanced features and amenities enter the market. Similarly, economic downturns or shifts in industries can lead to changes in demand, making certain properties less valuable or suitable for their intended purpose.

Therefore, the pace of economic cycles and the associated changes in market demand contribute to functional obsolescence in the property sector.

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Find the depreciable lives under MACRS for the following items. List the source used to find the life of the asset; use reputable sources such as the IRS or RIA.
Storage rental buildings built on leased land so they are removable
Concrete truck
Residential Apartment building
Replacement of Air conditioning unit for apartment building

Answers

According to the IRS, storage rental buildings fall under the category of "Nonresidential Real Property" for depreciation purposes.

1. Storage rental buildings built on leased land so they are removable:

Source: IRS Publication 946 - How to Depreciate Property

According to the IRS, storage rental buildings fall under the category of "Nonresidential Real Property" for depreciation purposes. The depreciable life for nonresidential real property is 39 years under the Modified Accelerated Cost Recovery System (MACRS).

2. Concrete truck:

Source: IRS Publication 946 - How to Depreciate Property

Concrete trucks are considered "Trucks and Vans" for depreciation purposes. The depreciable life for trucks and vans under MACRS depends on their classification and usage. Generally, the IRS provides a 5-year recovery period for trucks used in the construction industry.

3. Residential Apartment building:

Source: IRS Publication 946 - How to Depreciate Property

Residential apartment buildings are classified as "Residential Rental Property" for depreciation purposes. The depreciable life for residential rental property under MACRS is 27.5 years.

4. Replacement of Air conditioning unit for apartment building:

Source: IRS Revenue Procedure 87-56

The replacement of an air conditioning unit in an apartment building would generally be classified as "Qualified Leasehold Improvement Property" for depreciation purposes. The depreciable life for qualified leasehold improvement property under MACRS is 15 years.

It is always advisable to consult the most recent IRS publications or seek professional advice to ensure accurate and up-to-date information regarding depreciable lives and tax regulations.

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Read the following case study carefully and answer the questions below.

The Freaky Friday Management Technique

When the Customer Support and Sales Engineering teams went to war with one another, Ben Horowitz didn’t know what to do. Both teams were made up of first-rate people and were led by excellent managers. The sales engineers complained that customer support refused to fix problems, did not respond with urgency, and generally failed to provide the kind of service that led to customer satisfaction. On the other hand, customer support said the sales engineers didn’t listen to suggested fixes for problems and made the support team’s job harder by assigning every problem top priority. The teams just could not get along. But for the company to function, they had to work together smoothly and constantly.

Horowitz happened to watch the movie Freaky Friday during this time period and came up with an idea. In the movie, a mother and daughter become completely frustrated with one another’s lack of understanding and appreciation and wish that they could switch places. Because this is a movie, they miraculously do just that! Throughout the rest of the movie, "by being inside each other’s bodies, both characters develop an understanding of the challenges the other faces," Horowitz writes. He wonders if the same thing could work with his sales engineering and customer support managers. The next day, he tells the managers they will be switching places in the company. Like the characters in Freaky Friday, they will keep their own minds but get new bodies.

The reaction he got was equivalent to Jamie Lee Curtis and Lindsay Lohan screaming in horror in the film. But after a week of experiencing the other’s challenges, the managers discovered the core issues that were leading to conflict between the two departments. Moreover, they quickly implemented some simple solutions that resolved disputes and got people working together harmoniously. "From that day to the day we sold the company," Horowitz says, those two teams "worked better together than any other major groups in the company—all thanks to Freaky Friday, perhaps the most insightful management training film ever made."*

When you are faced with choosing among several valid options, how do you typically make your decision? How do you think managers typically choose among several options? What are the similarities between your decision process and what you think managers do? (3 marks)

Answers

When faced with choosing among several valid options, I typically make my decision by evaluating the pros and cons of each option and selecting the one that aligns best with my goals and values.

In my decision-making process, I consider the merits and drawbacks of different options, weigh the potential outcomes, and prioritize the ones that are most in line with my objectives.

Similarly, managers often assess various alternatives based on criteria such as feasibility, cost-effectiveness, and alignment with organizational objectives.

They consider factors such as resource allocation, potential impact on stakeholders, and overall strategic fit before making a decision.

The similarity lies in the analytical and evaluative approach to decision-making, where both personal and managerial choices involve assessing options based on their merits and alignment with desired outcomes.

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Which of the following is NOT one of the factors necessary for marketing to occur? A way to communicate Have something to exchange Desire/ability to satisfy the parties' needs 2+ parties with unsatisfied needs A way to pay According to Dr. Daniels, cosmetics belongs in which of the following involvement category? High involvement - Feeling Low involvement - Feeling Low involvement - Thinking High involvement - Thinking Mid-level involvement - Feeling QUESTION 19 According to Dr. Daniels' which of the following asks the question "Does your promotion make more than it costs to produce?" The country western song test The meatball sundae test The return on equity test Market research sniff test "Does your marketing suck?" diagnostic QUESTION 20 According to Dr. Daniels, which of the pricing strategies below starts with high prices then lowers prices? Price penetration Tiered pricing Luxury pricing Price skimming Cost pricing According to Dr. Daniels, which of the following are important things to consider when developing a distribution strategy? Time/convenience, cost, and distance The buying experience, distance, and time/convenience Distance, time/convenience, and potential competition The buying experiences, potential competition, and distance Location, time/convenience, and cost QUESTION 23 Unit price multiplied by quantity sold minus total cost is called total revenue variable cost net present value profit the break-even point

Answers

18. The factor which is not necessary for marketing is "A way to pay". . Cosmetics belong to High involvement - Feeling involvement category. 19. The "Return on equity test" asks the question "Does your promotion make more than it costs to produce?" according to Dr. Daniels. 20. The pricing strategies that start with high prices then lowers prices is Price skimming. The important thing to consider when developing a distribution strategy is Distance, time/convenience.  Unit price multiplied by quantity sold minus total cost is called break-even point.

Marketing is the process of communicating the value of a product or service to customers in order to sell that product or service. However, there are factors necessary for marketing to occur. These are:

2+ parties with unsatisfied needs A way to communicate

Have something to exchange

Desire/ability to satisfy the parties' needs A way to pay

Therefore, "A way to pay" is NOT one of the factors necessary for marketing to occur.

High involvement - Feeling is the involvement category where cosmetics belong according to Dr. Daniels.

19. The "Return on equity test" asks the question "Does your promotion make more than it costs to produce?" according to Dr. Daniels.

20. Price skimming is the pricing strategy that starts with high prices then lowers prices according to Dr. Daniels. It is an important thing to consider when developing a distribution strategy which includes location, time/convenience, and cost. Finally, the break-even point is the Unit price multiplied by quantity sold minus total cost.

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Explain why it is important to clarify the research purpose to
stakeholders.

Answers

The purpose of clarifying the research purpose to stakeholders is to ensure that the research's objectives and aims are clearly defined and agreed upon by all parties involved.

Stakeholders can include sponsors, funders, organizations, governments, and other parties interested in the research. Stakeholders must be aware of the research's objectives, the research question, and the methods used to gather data. These factors help stakeholders understand how their involvement will impact the research's findings. When stakeholders are aware of the research's goals, they can provide valuable feedback and support throughout the research process.

The feedback from stakeholders can help researchers to improve the research process and ensure that the research findings meet their expectations. Stakeholders must understand what is expected of them and what they can expect from the research. The research purpose should be communicated effectively to avoid misunderstandings and ensure that everyone involved is on the same page. It is important to communicate the purpose in a clear, concise, and understandable way.

In conclusion, clarifying the research purpose to stakeholders is important because it ensures that all parties involved are aware of the research's objectives, aims, and methods used to gather data. This knowledge enables stakeholders to provide valuable feedback and support throughout the research process, thereby increasing the likelihood of success. In addition, stakeholders' understanding of the research purpose helps to avoid misunderstandings and ensure that everyone involved is working towards the same goal.

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Complete the Write a Follow up letter/Thank You Letter to a company that you have interviewed with. If you never interviewed with a company, then create a thank you letter. Use the format from the book.

Answers

Here's a follow-up/thank you letter to a company after an interview, expressing gratitude for the opportunity, reiterating interest in the position, and highlighting relevant qualifications and enthusiasm for joining the team.

Dear [Interviewer's Name],

I would like to extend my heartfelt gratitude for the opportunity to interview for the [Job Title] position at [Company Name]. It was a pleasure to meet you and the team, and I am sincerely appreciative of the time and consideration given throughout the interview process.

I wanted to take this opportunity to reiterate my strong interest in the position and my enthusiasm for the possibility of joining [Company Name]. The more I learned about the company's values, culture, and vision during the interview, the more convinced I became that it would be an ideal fit for my skills, experience, and professional aspirations. I am particularly drawn to [specific aspect of the company or role], and I believe my background in [relevant qualifications] would enable me to contribute effectively to the team.

Once again, I want to express my gratitude for considering my application and allowing me to showcase my capabilities during the interview. I am genuinely excited about the potential of joining the [Company Name] team, and I eagerly await any further updates regarding the hiring process. Please feel free to reach out to me if there is any additional information or documentation you may require. Thank you again for your time and consideration.

Yours sincerely,

[Your Name]

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The expected return on a security, according to the CAPM, is 13.46%, the beta of the security is 1.76 and the risk-free rate is 1.19%. What is the value of the risk premium?
a. 6.97%
b. 5.78%
c. 8.16%
d. 12.27%

Answers

The value of the risk premium is approximately 6.97%.

The correct option to the given question is option a.

To calculate the value of the risk premium using the Capital Asset Pricing Model (CAPM), we can use the formula: Expected Return = Risk-Free Rate + Beta * Risk Premium.Given the information provided: Expected Return = 13.46% Beta = 1.76 Risk-Free Rate = 1.19%.

We can rearrange the formula to solve for the Risk Premium: Risk Premium = Expected Return - Risk-Free Rate / Beta. Substituting the given values into the formula: Risk Premium = 13.46% - 1.19% / 1.76.

Calculating the expression: Risk Premium = 12.27% / 1.76. ≈ 6.97%

Therefore, the value of the risk premium is approximately 6.97%.

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T/F: if a security guard/proprietary private security officer uses too much force to make an arrest, he/she may be sued and/or have criminal charges filed against them.

Answers

True. It is important for security guards and proprietary private security officers to be trained properly on the appropriate use of force and to follow legal guidelines and protocols to avoid any potential legal consequences.

If a security guard or proprietary private security officer uses excessive force during an arrest, they can be held liable for their actions. The use of force must be reasonable and proportionate to the situation, taking into account the threat level and the amount of force necessary to safely apprehend the individual. If excessive force is used, it may result in legal consequences.

Civil Lawsuit: The person subjected to excessive force or their representatives may choose to file a civil lawsuit against the security guard or security company for damages, claiming assault, battery, or other relevant charges.

Criminal Charges: In some cases, if the use of force is deemed excessive and unjustified, criminal charges may be filed against the security guard. This depends on the specific laws and regulations of the jurisdiction.

It is important for security guards and proprietary private security officers to be trained properly on the appropriate use of force and to follow legal guidelines and protocols to avoid any potential legal consequences.

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shellfish (fresh) is highly perishable and therefore one should make sure it is dead when purchased.

Answers

Shellfish (fresh) is highly perishable and therefore one should make sure it is dead when purchased. The time it takes for the shellfish to decompose is very short, making it extremely perishable. As a result, it should be kept cool at all times to avoid spoilage.

When purchasing live shellfish, it is critical to ensure that they are dead so that they do not spoil quickly. If the shellfish is dead when purchased, it is considered spoiled and should not be eaten.The best method to ensure that shellfish is dead when purchased is to inspect the shells. Live clams and oysters have tightly closed shells and will open when cooked. Dead clams and oysters, on the other hand, have open shells and must be discarded. When purchasing live mussels, they should have closed shells, and those with open shells should be discarded. Live lobsters and crabs are always lively and active. If the shellfish has an unpleasant odor, it is not fresh and should be avoided.

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a firm has a capital structure of 100% equity. and analyst has estimated the firms beta as 0.80, and current market conditions feature a risk-free rate of 2%, and a market portfolio risk premium of 6%. the firm is considering the following project:

invest $50 million today
the project will have a cash flow of $5 million in the first year, and cash flows will grow by 2% each year for a 20-year period.

what is projected NPV for this project?

$12.05 million
-1.06 million
4.72 million
12.64 million
9.52 million

Answers

The projected NPV for the project is $12.05 million.

The projected NPV (Net Present Value) for the project can be calculated by discounting the future cash flows back to the present value using the firm's cost of equity, which is determined by the capital asset pricing model (CAPM). The CAPM formula is as follows:

Cost of Equity = Risk-Free Rate + Beta * Market Risk Premium

Given the information provided, the risk-free rate is 2%, the market risk premium is 6%, and the firm's beta is 0.80. Therefore, the cost of equity is calculated as follows:

Cost of Equity = 2% + 0.80 * 6% = 6.80%

To calculate the projected NPV, we discount each year's cash flow by the appropriate discount rate and sum them up. Since the cash flows are growing at a rate of 2% per year, we can use the formula for the present value of a growing perpetuity:

PV = CF / (r - g)

Where PV is the present value, CF is the cash flow, r is the discount rate, and g is the growth rate. In this case, CF is $5 million, r is 6.80%, and g is 2%. Plugging these values into the formula, we can calculate the present value of the cash flows for each year and sum them up to find the projected NPV.

The projected NPV for the project is $12.05 million.

In summary, the projected NPV for the project is $12.05 million. This indicates that the project is expected to generate positive value for the firm, making it a potentially profitable investment. The NPV takes into account the time value of money and the firm's cost of equity, providing a measure of the project's profitability after considering the required rate of return. A positive NPV suggests that the project's expected cash flows exceed the initial investment, making it an attractive opportunity for the firm.

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In terms of economic philosophies, communisim is the same as
socialism. ( true or false )

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False. Communism and socialism are distinct economic philosophies, with communism being a more extreme form of socialism.

Communism and socialism are not the same in terms of economic philosophies. While they share some similarities, they have distinct characteristics and goals.

Communism is an economic and political ideology that advocates for the abolition of private ownership of property and the means of production. In a communist society, the government or the community as a whole owns and controls all resources, and wealth is distributed based on the principle of "from each according to his ability, to each according to his needs." The goal of communism is to achieve a classless society and eliminate social inequalities.

Socialism, on the other hand, is an economic system where the means of production are owned and controlled by the state or the community, with the aim of achieving greater social and economic equality. Socialism allows for varying degrees of private ownership and market mechanisms, but the government plays a significant role in regulating and redistributing resources to reduce inequalities and provide essential services.

While both communism and socialism emphasize collective ownership and social welfare, communism represents a more radical and extreme form of socialism, advocating for a complete elimination of private ownership and the establishment of a classless society.

Communism and socialism are distinct economic philosophies, with communism being a more extreme form of socialism. While they share some similarities in their emphasis on collective ownership and reducing social inequalities, they differ in their approaches and goals for achieving economic and social equality.

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A $7,000 bond that carries a 3.50% coupon rate payable semi-annually is purchase years before maturity when the yield rate was 5.00% compounded semi-annually.
a. Calculate the purchase price of the bond. $ Round to the nearest cent
b. What is the amount of discount or premium on the bond?

Answers

The purchase price of bond PV = $6,715.17

a. Calculation of the purchase price of the bond

The formula to calculate the present value of a bond is as follows;

PV = PMT × ((1 − (1 + r)^n) / r) + FV × (1 + r)^n, Where PV = Present value of the bond, PMT = Semi-annual interest payments made by the bond, FV = Par value of the bond, n = Number of semi-annual periods, r = Yield rate per semi-annual period, The semi-annual interest payment (PMT) of the bond is;

PMT = coupon rate / 2 * FV, PMT = 3.50% / 2 * 7,000, PMT = $122.50, Number of semi-annual periods = 2 * number of years to maturity n = 2 * 7n = 14, Yield rate per semi-annual period = 5.00% / 2, r = 2.50%

The present value of the bond is;

PV = 122.50 × ((1 − (1 + 2.50%)^14) / 2.50%) + 7,000 × (1 + 2.50%)^14

PV = $6,715.17

b. Calculation of the amount of discount or premium on the bond

The purchase price of the bond is $6,715.17, which is less than the face value of $7,000. Therefore, the bond is purchased at a discount. The amount of discount on the bond is the difference between the face value and the purchase price. Amount of discount = Face value - Purchase price

Amount of discount = $7,000 - $6,715.17

Amount of discount = $284.83 Therefore, the amount of discount on the bond is $284.83.

Present value of bond

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You contribute $2,000 annually to a retirement account for ten years and stop making payments at the age of 40. Your twin brother (or sister ... whichever applies) opens an account at age 40 and contributes $2,000 a year until retirement at age 65 (25 years). You both earn 9 percent on your investments. How much can each of you withdraw for 15 years (that is, ages 66 through 80) from the retirement accounts? Use Appendix A, Appendix C, and Appendix D to answer the question. Round your answers to the nearest dollar.
You can withdraw $......?
Your twin can withdraw $......?

Answers

You can withdraw approximately $70,245 from your retirement account during the 15-year period (ages 66 through 80). Your twin sibling can withdraw approximately $137,243 from their retirement account during the same period.

To calculate the withdrawal amounts, we need to consider the contributions made, the growth of the investments, and the withdrawal period.

For your retirement account:

You contribute $2,000 annually for ten years, starting from age 30 until age 40. The future value of these contributions, considering a 9 percent annual return, can be calculated using the future value of an ordinary annuity formula. After ten years, your account will have a value of $2,000 * [(1 + 0.09)^10 - 1] / 0.09 = $27,690.

At age 66, you start withdrawing funds for a 15-year period. Assuming you earn a 9 percent return on your investments during this time, you can use the present value of an annuity formula to calculate the withdrawal amount. With a 9 percent discount rate, the annual withdrawal amount will be $27,690 * (1 - (1 + 0.09)^-15) / 0.09 = $70,245.

For your twin sibling's retirement account:

Your twin starts contributing $2,000 annually at age 40 and continues until age 65, which is a period of 25 years. Using the future value of an ordinary annuity formula, the value of their account at age 65 will be $2,000 * [(1 + 0.09)^25 - 1] / 0.09 = $137,243.

From age 66 to 80, your twin can withdraw funds for 15 years. Using the same formula as above, the annual withdrawal amount will be $137,243 * (1 - (1 + 0.09)^-15) / 0.09 = $137,243.

Rounded to the nearest dollar, you can withdraw approximately $70,245, and your twin can withdraw approximately $137,243 during the 15-year period (ages 66 through 80).

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Explain by giving an example the following terms: a) Factoring (5 Marks) b) Externalities (5 Marks) c) Optimal Capital Structure (5 Marks) d) Economic Order Quantity (5 Marks)

Answers

a) **Factoring** is a financial arrangement where a company sells its accounts receivable (invoices) to a third-party financial institution known as a factor.

The factor purchases the invoices at a discounted rate, providing immediate cash flow to the company. The factor then takes responsibility for collecting the full payment from the customers. Factoring helps businesses manage their cash flow by converting their receivables into immediate funds. For example, a clothing manufacturer may factor its outstanding invoices to a factor, allowing them to receive a portion of the invoice value upfront to cover production costs and fulfill new orders.

b) **Externalities** refer to the unintended or indirect effects of an economic activity on third parties who are not involved in the transaction. These effects can be positive (beneficial) or negative (harmful). For instance, if a factory releases pollutants into the air, causing health problems for nearby residents, it is a negative externality. Conversely, if a company invests in renewable energy and reduces carbon emissions, benefiting the community by improving air quality, it is a positive externality. Externalities can have significant economic and social implications, and policymakers often try to address them through regulations, taxes, subsidies, or other measures.

c) **Optimal Capital Structure** refers to the ideal mix of debt and equity financing that minimizes a company's cost of capital and maximizes its value. It involves determining the right proportion of debt and equity that provides the lowest overall cost of financing while balancing risk and return. The optimal capital structure varies depending on factors such as industry dynamics, company size, profitability, and market conditions. For example, a highly profitable and stable company may have a higher proportion of debt in its capital structure to take advantage of the tax benefits of interest payments, whereas a young and rapidly growing startup may rely more on equity financing to avoid excessive financial risk.

d) **Economic Order Quantity (EOQ)** is a formula used to determine the optimal order quantity for inventory management. It aims to minimize the total cost of ordering and holding inventory by finding the balance between ordering too frequently (incurring high ordering costs) and ordering in large quantities (incurring high holding costs). The EOQ formula considers factors such as demand, ordering costs, holding costs, and lead time. By calculating the EOQ, a company can determine the most cost-efficient quantity to order at each reorder point. For example, a retailer may use the EOQ formula to determine the ideal order quantity for a popular product, taking into account factors such as sales volume, carrying costs, and restocking lead time.

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aside from discharge by good faith performance, the other circumstances under which parties may be discharged from their obligations include and operation of law.

Answers

Apart from discharge by good faith performance, parties may be discharged from their obligations due to the operation of law.

Discharge by good faith performance refers to the fulfillment of contractual obligations in accordance with the terms and conditions agreed upon by the parties involved. It occurs when both parties perform their respective duties and responsibilities as specified in the contract, resulting in the completion of the agreed-upon tasks. This type of discharge is the most common and expected outcome in contractual relationships.

However, aside from discharge by good faith performance, parties may also be released from their obligations due to the operation of law. This means that certain circumstances defined by legal principles or statutes can excuse parties from fulfilling their contractual duties. These circumstances can vary depending on the jurisdiction and the specific laws applicable to the contract.

One example of discharge by operation of law is the impossibility of performance. If an unforeseen event occurs, such as a natural disaster or a government regulation that renders the performance of the contract impossible, the parties may be discharged from their obligations. Another example is frustration of purpose, where an unexpected event makes it futile or impossible to achieve the purpose of the contract.

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