Precision Cuts has a target debt-equity ratio of 48 . Its cost of equity is 16.4 percent, and its pretax cost of debt is 8.2 percent. If the tax rate is 21 percent, what is the company's WACC?
(A) 13.18%
(B) 12.84%
(C) 12.91%
(D) 11.72%
(E) 11.28%

Answers

Answer 1

(C) 12.91%. The weighted average cost of capital (WACC) for Precision Cuts is 12.91%

To calculate the WACC, we need to consider the weights of equity and debt in the company's capital structure. The target debt-equity ratio of 48 implies that for every 48 units of debt, the company has 100 units of equity.  First, we calculate the cost of equity using the formula: Cost of Equity = Risk-Free Rate + Beta * Equity Risk Premium. The pretax cost of debt is adjusted for taxes by multiplying it with (1 - Tax Rate). Then, we find the weights of equity and debt by dividing their respective values by the total capital structure. Finally, we use the formula for WACC: WACC = Weight of Equity * Cost of Equity + Weight of Debt * Cost of Debt. Calculating these values, the WACC of Precision Cuts is 12.91%.

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Related Questions

which of the following critical thinking errors is likely to occur among the subordinates if a leader is unethical?

Answers

If a leader is unethical, the critical thinking error of groupthink is likely to occur among the subordinates.

Groupthink is a situation in which individuals within a group agree to conform to one another's opinions rather than critically analyze different ideas. When the leader is unethical, he or she will exert a great deal of influence over the group's opinions and choices, resulting in groupthink. The group's judgments will be biased, and their evaluations will be flawed. As a result, the group will make bad decisions that could have significant consequences.Groupthink is fueled by a number of variables, including group size, time pressure, and a lack of information.

Leaders have the ability to minimize these variables by encouraging their subordinates to voice their opinions and openly debate ideas. Leaders should also promote diversity of thought and encourage their followers to consider multiple perspectives when making decisions. In addition, leaders should be aware of their own biases and work to minimize them, as this will encourage their followers to do the same.

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Project life cycles can be productives or adaptive. Within a project life cycle, there are generally one or more phases that are associated with the development of the product service, or result. These are called a
development life cycle. Development life cycles can be:
a. Predictive, iterative, additive, adaptive or a hybrid model
b. Adaptive, iterative, incremental, cumulative or a hybrid model
c. Predictive, iterative, incremental, adaptive or a hybrid model
d. Incremental, iterative, decremental, adaptive or a hybrid model

Answers

Within a project life cycle, the phases associated with the development of the product, service, or result are generally referred to as a development life cycle. Development life cycles can be predictive, iterative, incremental, adaptive, or a hybrid model. Therefore the correct option is c. Predictive, iterative, incremental, adaptive or a hybrid model

Development life cycles describe the approach taken to develop the product, service, or result within a project. There are different models or approaches that can be used, and they vary based on their characteristics and suitability for different types of projects. The options provided in the question are as follows:

a. Predictive, iterative, additive, adaptive, or a hybrid model: This option includes a mix of different development life cycle models. The predictive model emphasizes upfront planning and a sequential approach. The iterative model involves repeating cycles of development and feedback. The additive model refers to adding functionality in stages. The adaptive model focuses on embracing change and adjusting the project approach as needed. A hybrid model combines elements from different models to suit the specific project requirements.

b. Adaptive, iterative, incremental, cumulative, or a hybrid model: This option also includes a mix of different development life cycle models. The adaptive model emphasizes flexibility and responsiveness to changing requirements. The iterative model involves repeating cycles of development and refinement. The incremental model involves delivering the product or service in stages. The cumulative model emphasizes building upon previously completed work. A hybrid model combines elements from different models to suit the project's needs.

c. Predictive, iterative, incremental, adaptive, or a hybrid model: This option correctly captures the range of development life cycle models commonly used in projects. The predictive model follows a planned and sequential approach. The iterative model involves repeating cycles of development and refinement. The incremental model involves delivering the product or service in stages. The adaptive model focuses on embracing change and adjusting the project approach. A hybrid model combines elements from different models to create a customized approach.

d. Incremental, iterative, decremental, adaptive, or a hybrid model: This option includes some models that are not commonly used in project development. Incremental and iterative models are valid and widely recognized approaches, but decremental is not commonly used. The adaptive model and hybrid model are also appropriate choices.

In summary, the correct answer is option c, as it accurately represents the various development life cycle models commonly used in projects. These models provide different approaches to developing the product, service, or result and offer flexibility to adapt to project requirements and changes.

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When the price of a financial asset _____ its interest rate will _____.
a. rises; rise
b. falls; fall
c. falls; rise
d. rises; remain the same

Answers

Answer:

C. Falls;rise

Explanation:

Hope this helps

Suppose you haye accumulated $2.4,000 in credit card debt. If the interest rate on the credit card is 23.8% A AR compounded monthly, how many years will it take you to pay off this debt if you pay 5500 per month? (Answer to the nearest tenth of a year)

Answers

It will take approximately 4.95 years to pay off the debt if the individual makes monthly payments of $500.

To find the time to pay off the debt, we'll use the formula:

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

Where:

A = Accumulated amount (should be zero when the debt is paid off)

PV = Present value (debt amount) = $24,000

r = Monthly interest rate = 1.98333333333%

t = Time to pay off the debt (unknown)

PMT = Monthly payment = $500

Setting A = 0 and substituting the values into the formula, we have:

0 = $24,000(1 + 0.0198333333333)^t - $500 * [(1 + 0.0198333333333)^t - 1] / 0.0198333333333

Simplifying further:

0 = $24,000(1.0198333333333)^t - $500 * [(1.0198333333333)^t - 1] / 0.0198333333333

To solve for 't', we can use an iterative process or a financial calculator. The result is approximately t = 59.44 months.

Converting this to years:

Time to pay off the debt = 59.44 months / 12 = 4.95 years (to the nearest hundredth of a year)

Therefore, it will take approximately 4.95 years to pay off the debt if the individual makes monthly payments of $500.

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Pettans Ltd is a public-listed company. As at 1 January2019, the company has an issued share capital of 3,000,000 ordinary shares. On 1 March 2019, Pettans Ltd announced a 1 for 5 bonus issues and on 1 October, Pettans Ltd issued additional 500,000 ordinary shares as its full market price.
Required
i) Calculate the number of shares to be used in the calculation of restated basic EPS for the year to 31 December 2019.
ii) Calculate the weighted average number of ordinary shares to be used in the calculation of basic EPS for the year to 31 December 2020
iii) IAS33(earnings per share), applies to companies whose ordinary shares are publicly traded. Explain the importance attached to earnings per share(EPS)
iv) Briefly discuss how basic EPS differ from diluted EPS

Answers

Restated basic EPS for 2019: 3,600,000 shares. Weighted average shares for basic EPS in 2020 vary by time periods. EPS informs profitability per share and aids investor decisions. Basic EPS excludes potential dilution, while diluted EPS considers convertible securities.

i) To calculate the number of shares to be used in the calculation of restated basic EPS for the year to 31 December 2019, we need to consider the bonus issue. A 1 for 5 bonus issue means that for every 5 existing shares, shareholders receive an additional share. Therefore, the number of bonus shares issued would be 1/5th of the existing shares.

Number of bonus shares = 3,000,000 / 5 = 600,000 shares

The total number of shares to be used in the calculation of restated basic EPS for the year to 31 December 2019 would be the sum of the existing shares and the bonus shares:

Total shares = Existing shares + Bonus shares = 3,000,000 + 600,000 = 3,600,000 shares

ii) To calculate the weighted average number of ordinary shares to be used in the calculation of basic EPS for the year to 31 December 2020, we need to consider the shares issued on 1 October. The weighted average number of shares takes into account the number of shares outstanding during different periods of the year.

Assuming the shares issued on 1 October were outstanding for the entire year, we calculate the weighted average number of shares as follows:

Weighted average shares = (Number of shares for the full year * Days) + (Number of shares issued * Days)

Number of shares for the full year = 3,600,000 (from part i)

Number of shares issued = 500,000

Days for the full year = 365

Days for the shares issued = 92 (from 1 October to 31 December)

Weighted average shares = (3,600,000 * 365) + (500,000 * 92) / 365

iii) IAS 33 (earnings per share) is an accounting standard that applies to companies whose ordinary shares are publicly traded. EPS is an important financial measure as it provides information about the profitability of a company on a per-share basis. It is widely used by investors, analysts, and stakeholders to assess a company's financial performance and profitability relative to the number of shares outstanding.

EPS is considered important because it helps investors compare the earnings generated by a company on a per-share basis, regardless of the company's size or capital structure. It enables investors to evaluate the relative profitability of different companies and make informed investment decisions.

iv) Basic EPS represents earnings per share calculated based on the number of ordinary shares outstanding. It does not consider the potential impact of dilutive securities, such as stock options or convertible bonds, that could increase the number of shares in the future. Diluted EPS, on the other hand, takes into account the potential dilution of earnings from the potential conversion of these securities into ordinary shares.

Diluted EPS provides a more conservative measure of earnings per share as it reflects the potential dilution of existing shareholders' ownership interests. It is important to disclose both basic and diluted EPS to provide a comprehensive view of a company's earnings potential and to assist investors in assessing the potential impact of dilutive securities on future earnings per share.

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Complete the statement that best describes the deduction for attorney fees and court costs associated with certain unlawful discrimination . The deduction is

A. Not limited to any income received from the actions

B. Limited to income received from punitive damages

C. Limited to income received from actual damages

D. Limited to gross income received from the actions

Answers

The deduction for attorney fees and court costs associated with certain unlawful discrimination is limited to income received from the actions.

When it comes to deductions for attorney fees and court costs related to unlawful discrimination cases, the deduction is generally limited to the income received as a result of those actions. This means that only the income specifically associated with the discrimination, such as damages awarded, can be used to offset the attorney fees and court costs for tax deduction purposes. It is important to note that the specific rules and limitations surrounding deductions for attorney fees and court costs can vary, so it is advisable to consult a tax professional or refer to the latest tax regulations for accurate guidance.

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2. A portfolio has an expected rate of return of 0.15 and a standard deviation of 0.15. The risk-free rate is 6%. An investor has the following utility function: U=E(r)−(A/2)s2.
.Which value of A makes this investor indifferent between the risky portfolio and the risk-free asset? 0.06=0.15−A/2(0.15) 2 0.06−0.15=−A/2(0.0225) , −0.09=−0.01125A
A=8
U=0.15−8/2(0.15)
2 =6%

Answers

Answer:

The correct value of A that makes the investor indifferent between the risky portfolio and the risk-free asset is 8.

Explanation:

Given the utility function U = E(r) - (A/2)s^2, where E(r) is the expected rate of return, s is the standard deviation, and A is a constant representing the investor's risk aversion.

Using the equation 0.06 = 0.15 - A/2(0.15)^2, we can solve for A.

0.06 - 0.15 = -A/2(0.0225)

-0.09 = -0.01125A

A = 8

Therefore, when the value of A is 8, the investor is indifferent between the risky portfolio and the risk-free asset.

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Briefly discuss risk-neutral valuation in the context of options
pricing.

Answers

Risk-neutral valuation is a concept used in financial mathematics to determine the fair value of options and other derivative securities. It is based on the assumption that market participants are risk-neutral, meaning they do not consider the risk associated with an investment but only focus on expected returns.

In the context of options pricing, risk-neutral valuation is accomplished by pricing options using a risk-neutral probability distribution. The underlying principle is that if markets were truly risk-neutral, the expected return of any investment would be equal to the risk-free rate of return.

The key idea behind risk-neutral valuation is to replicate the payoffs of an option using a combination of the underlying asset and a risk-free investment (usually a bond). This replicating portfolio is constructed in such a way that its value matches the value of the option under all possible scenarios. By equating the value of the option to the value of the replicating portfolio, the fair price of the option can be determined.

To implement risk-neutral valuation, the risk-neutral probability distribution is derived by adjusting the real-world probabilities of different scenarios based on the risk-free rate. This means that the probabilities assigned to different outcomes are modified to reflect the expected returns of a risk-free investment rather than the actual probabilities of those outcomes occurring.

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Barce Company has provided the following information for one of its products for each hour of production:

Actual velocity: 250 units (per hour)

Move time: 5 minutes

Inspection time: 10 minutes

Rework time: 5 minutes

What is the Manufacturing Cycle Efficiency (MCE)? SHOW SOLUTION

Answers

To calculate the Manufacturing Cycle Efficiency (MCE), we need to determine the total productive time and the total cycle time.

Manufacturing Cycle Efficiency (MCE) is a performance metric used to assess the efficiency and effectiveness of a manufacturing process. It measures the proportion of time that value-added activities are being performed during the manufacturing cycle compared to the total time taken for the entire cycle, including both value-added and non-value-added activities.

By analyzing and improving the MCE, manufacturers can identify areas of waste, reduce non-value-added activities (such as waiting, transportation, inspection, etc.), optimize processes, and increase productivity. This, in turn, can lead to cost reductions, improved lead times, enhanced customer satisfaction, and overall operational efficiency.

Total Productive Time:

The total productive time is the time spent on actual production without any non-value-added activities such as move time, inspection time, and rework time.

Given information:

Move time: 5 minutes

Inspection time: 10 minutes

Rework time: 5 minutes

Total non-value-added time = Move time + Inspection time + Rework time

= 5 minutes + 10 minutes + 5 minutes

= 20 minutes

Total productive time = Total time per hour - Total non-value-added time

= 60 minutes - 20 minutes

= 40 minutes

Total Cycle Time:

The total cycle time is the time required to complete one cycle of production, including both value-added and non-value-added activities.

Given information:

Actual velocity: 250 units per hour

Total cycle time = Total productive time per unit × Actual velocity

= 40 minutes per unit × 250 units per hour

= 10,000 minutes per hour

Manufacturing Cycle Efficiency (MCE):

MCE is the ratio of total productive time to total cycle time, expressed as a percentage.

MCE = (Total productive time / Total cycle time) × 100

= (40 minutes / 10,000 minutes) × 100

= 0.4%

The Manufacturing Cycle Efficiency (MCE) for the given information is 0.4%.

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Business Law
What is the importance of the postal rule?
Group of answer choices
It is a general rule on the communication of an offer.
It affects the validity of communication of acceptance.
It affects the sufficiency of consideration in a contract.
It sets out the rules governing the type of agreements between contracting parties.

Answers

The importance of the postal rule lies in its impact on the communication of an offer and the validity of acceptance in contract law.  So, correct options are A and B.

The postal rule is a legal principle that states that an acceptance of an offer is deemed effective as soon as it is properly posted, regardless of when it is received by the offeror. This rule applies when the parties have contemplated postal communication as a means of acceptance.

The postal rule is significant because it provides certainty and convenience in contractual arrangements. It allows parties to rely on the moment of posting as the moment of acceptance, eliminating the need for actual receipt by the offeror. This is particularly relevant in long-distance or international transactions where postal communication is commonly used.

Furthermore, the postal rule affects the timing and formation of a contract. Once the acceptance is posted, the offeror is bound by the contract, even if the acceptance is lost or delayed in transit. This rule protects the offeree by preventing the offeror from revoking the offer after the acceptance has been posted.

In summary, the postal rule is important as it establishes a clear rule for the communication and timing of acceptance in contractual relationships, providing certainty and protection to both parties involved.

So, correct options are A and B.

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Developing New Products / Services What are the characteristics of successful new products and services? Describe the new product / service development process.

Answers

Successful new products and services are customer-centric, offering unique value propositions that align with market trends. They go through a well-executed development process that incorporates stages from idea generation to launch.

By understanding customer needs, differentiating from competitors, and effectively managing the development process, organizations can increase their chances of creating successful new products and services that drive growth and profitability.

Successful new products and services share several key characteristics, including meeting customer needs, offering a unique value proposition, being aligned with market trends, and having a well-executed development process.

1) Meeting customer needs: Successful products and services address a specific customer need or solve a problem. They provide solutions that customers find valuable and are willing to pay for.

2) Unique value proposition: Successful offerings differentiate themselves from competitors by providing a unique value proposition. This can be achieved through innovative features, superior quality, enhanced convenience, or improved performance.

3) Market alignment: Successful products and services are aligned with market trends and preferences. They anticipate and capitalize on changing customer demands, industry shifts, and emerging technologies.

4) Well-executed development process: The new product/service development process involves several stages, including idea generation, concept development, market research, product design, testing, and launch. Successful products and services undergo a well-structured and rigorous development process, ensuring efficient resource allocation, effective project management, and timely market entry.

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Your paper must be a minimum of 5 FULL paragraphs that include the following:

1.) Write two paragraphs regarding your overview of Stanley/Black and Decker as the merged company headquartered in CT.

2.) Write two paragraphs regarding your impression of the market model you feel the formed company fits into.(Black and Decker and Stanley Works completed their merger in 2010)...please detail and support your impression using Economic terminology that we have learned throughout the semester.

3.) Write one paragraph on the merger/acquisition and how Antitrust may have played into the company decision along with Horizontal vs. Vertical Mergers.

4.) The success or otherwise of the company in current Economic times in one paragraph.

REQUIREMENTS: NO plagiarism and please add 3 different sources! ANSWER ALL QUESTIONS! PLEASE AND THANK YOU!

Answers

Stanley Black & Decker is a merged company headquartered in Connecticut. The company was formed in 2010 through the merger of two well-established companies, Black & Decker and Stanley Works.

As a leading provider of tools, security solutions, and industrial products, Stanley Black & Decker has a strong presence in the global market. With a diverse portfolio of brands and a wide range of products, the company serves both professional and consumer markets.

The merger between Black & Decker and Stanley Works created a market model that can be characterized as an oligopoly. An oligopoly is a market structure where a few large firms dominate the industry. In this case, Stanley Black & Decker, along with a few other major competitors, holds significant market power in the tools and security solutions industry. This allows the company to influence prices and competition within the market.

The formation of Stanley Black & Decker may have been subject to scrutiny by antitrust authorities due to the potential for reduced competition in the tools and security solutions industry. Antitrust regulations aim to prevent anti-competitive behavior and protect consumers' interests. The merger can be classified as a horizontal merger, as it involved the combination of two companies operating in the same industry and at the same level of the production chain. Horizontal mergers can raise concerns about reduced competition and market concentration. However, if the merger results in cost savings, improved efficiency, or enhanced innovation, it may be viewed more favorably by antitrust authorities.

In terms of the company's success in current economic times, Stanley Black & Decker has demonstrated resilience and adaptability. The company has a strong global presence and diversified product portfolio, which helps mitigate risks associated with economic fluctuations. Additionally, the demand for tools, security solutions, and industrial products remains relatively stable, driven by ongoing construction activities, maintenance needs, and security requirements. However, external factors such as global economic conditions and competitive pressures can still impact the company's performance.

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Most hotel management seeks out more properties to operate as a way to grow its market share. This is also critical for its global branding effort. Describe the six (6) major factors that determine how the hotel chain decides on expanding overseas. You may choose a foreign market that the hotel of your choice has a presence to provide as context. Example hotel : Shangri-La

Answers

The decision to expand overseas for a hotel chain like Shangri-La is influenced by factors like economic and political stability, cultural compatibility, legal and regulatory environment and competition.

When considering overseas expansion, a hotel chain like Shangri-La evaluates the market demand and potential in the target country. This includes analyzing factors such as tourism trends, market size, and growth prospects to ensure a viable customer base. Economic and political stability is crucial as it impacts investment risks and long-term profitability. Cultural compatibility is another important factor, as understanding and adapting to local customs and preferences are essential for delivering a personalized guest experience.

The legal and regulatory environment plays a vital role, encompassing areas such as property ownership laws, labor regulations, and tax policies. The competitive landscape is assessed to gauge the level of competition and identify unique positioning strategies. Additionally, the hotel chain considers its brand positioning and recognition in the foreign market, evaluating if its brand values align with the target market's expectations.

By carefully evaluating these factors, the hotel chain can make informed decisions about expanding into a foreign market, ensuring a higher chance of success and sustainable growth while effectively establishing its global branding efforts.

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What forms of organizational politics have you observed in the workplace (this can be a current or previous workplace or one that you have researched)?
What are examples (both positive and negative) "organizational politics?"
What can future leaders do to keep employees from using politics as justification of the cause of the problem, when the fault does not rest with politics?

Answers

Various forms of organizational politics observed in the workplace include favoritism, information hoarding, power struggles, and undermining colleagues.

Organizational politics can have both positive and negative aspects. Positive examples include building relationships.

Future leaders can take several steps to prevent employees from using politics as a justification for problems when politics is not the root cause.

Organizational politics can manifest in different ways within a workplace. Favoritism is when certain individuals receive preferential treatment or opportunities based on personal relationships rather than merit. Information hoarding occurs when individuals withhold or selectively share information to gain advantage or maintain control.

Future leaders can create a transparent and open communication culture within the organization. This means encouraging employees to express their concerns and opinions freely, and actively listening to their perspectives. By promoting open dialogue, leaders can help employees understand that political factors may not always be the underlying cause of problems.

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You operate a brewery that produces craft beer locally. You have a significant number of competitors in your market, but each brewery is trying to differentiate its product, so the market is monopolistically competitive. You really don’t have the time or resources to do a market study for the purpose of determining the best price to charge per glass of your beer. You do, however, subscribe to a trade publication for craft breweries and they recently estimated the price elasticity of demand for craft beer to be about −1.8. After looking at your records, your best guess is that each additional glass of beer you produce adds $1.25 to you costs of operation. How can you use this information to your advantage? (Note: The more specific your answer the more points you get.)

Answers

You can use this information to optimize your pricing strategy in a monopolistically competitive market. By understanding the responsiveness of demand to price changes, you can make informed decisions to maximize your profit.

The price elasticity of demand (-1.8) indicates that a 1% increase in the price of craft beer will result in approximately a 1.8% decrease in quantity demanded. This suggests that demand for craft beer is relatively elastic, meaning consumers are responsive to changes in price.

To use this information to your advantage, you can consider the following steps:

1. Calculate the optimal price: Using the elasticity estimate, you can determine the optimal price that maximizes your revenue. In monopolistically competitive markets, firms often set prices above marginal cost but below the point of unitary elasticity. This helps capture additional profit while still appealing to consumers.

2. Consider cost implications: Evaluate the additional cost of production per glass, which is $1.25 in this case. This cost should be factored into your pricing decision to ensure that the price covers your expenses and allows for a reasonable profit margin.

3. Monitor market response: Adjust the price of your craft beer and monitor the market response. If you find that demand is highly sensitive to price changes, you can experiment with different price points to find the optimal balance between maximizing revenue and maintaining a competitive position.

4. Differentiate your product: Since the craft beer market is monopolistically competitive, focus on differentiating your product from competitors. Emphasize unique features, quality, and branding to create customer loyalty and reduce price sensitivity.

By using the price elasticity of demand and cost information, you can make informed decisions regarding pricing, ensuring that you maximize your profit while remaining competitive in the monopolistically competitive market of craft beer.

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Data
(£)
Cost of motor car
5.500
Trade-in price after two years or 60 000 miles is expected to be 1 500
Maintenance-six-monthly service costing
60
Spares/replacement parts, per 1000 miles 20 Vehicle licence, per annum
80
Insurance, per annum
150 Tyre replacements after 25 000 miles, four at £37.50 each
Petrol, per gallon
1.90
Average mileage from one gallon is 25 miles.
From the above data, you are required:
To prepare a schedule to be presented to management showing for the mileages of 5000, 10 000, 15 000 and
30 000 miles per annum:
1 total variable cost;
2 total fixed cost;
3 total cost;
4 variable cost per mile (in pence to nearest penny);
5 fixed cost per mile (in pence to nearest penny);
6 total cost per mile (in pence to nearest penny).

Answers

Here is the requested schedule:

Mileage per Annum Total Variable Cost (£) Total Fixed Cost (£) Total Cost (£) Variable Cost per Mile (pence) Fixed Cost per Mile (pence) Total Cost per Mile (pence)

5,000 160 230 390 0.8 1.15 1.95

10,000 320 230 550 0.8 0.55 1.35

15,000 480 230 710 0.8 0.38 1.20

30,000 960 230 1,190 0.8 0.19 0.80

To calculate the values in the schedule:

Total Variable Cost: The cost of maintenance, spares/replacement parts, tyre replacements, and petrol expenses.

Total Fixed Cost: The sum of vehicle license, insurance, and tyre replacements.

Total Cost: The sum of the total variable cost and total fixed cost.

Variable Cost per Mile: Total variable cost divided by the annual mileage in miles.

Fixed Cost per Mile: Total fixed cost divided by the annual mileage in miles.

Total Cost per Mile: Total cost divided by the annual mileage in miles.

All values are rounded to the nearest penny (pence) as specified.

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Research about Starbucks and connect it with the CSR Carolls Pyramid
- Give a small introduction on the CSR Carolls Pyramid
- List out atleast 5 points for the of each the responsibility
- Provide example

Answers

Starbucks demonstrates a commitment to each level of social  responsibility outlined in Carroll's Pyramid.

Introduction:

Carroll's Pyramid of Corporate Social Responsibility is a framework that outlines four levels of responsibilities that companies should consider: economic, legal, ethical, and philanthropic. Each level represents a different aspect of a company's obligations towards society. By examining Starbucks' practices, we can connect them to each level of responsibility outlined in Carroll's Pyramid.

Responsibilities within Carroll's Pyramid and Examples for Starbucks:

1. Economic Responsibility:

- Generate profits and provide a return to shareholders: Starbucks has consistently delivered strong financial performance, achieving revenue growth and profitability. This enables the company to reinvest in its business and reward its shareholders.

- Create job opportunities and contribute to economic growth: Starbucks operates thousands of stores worldwide, employing hundreds of thousands of individuals, contributing to job creation, and stimulating local economies.

2. Legal Responsibility:

- Comply with laws and regulations: Starbucks adheres to various laws and regulations governing labor, product safety, and environmental standards in the countries where it operates. For instance, the company ensures compliance with employment laws and regulations to protect the rights of its employees.

3. Ethical Responsibility:

- Conduct business with integrity and fairness: Starbucks has a strong commitment to ethical sourcing and ensuring fair trade practices. The company works directly with coffee farmers, promoting sustainable farming practices and providing fair wages to improve the livelihoods of farmers in developing countries.

- Embrace diversity and promote inclusivity: Starbucks has implemented initiatives to foster a diverse and inclusive workplace. They have made efforts to address unconscious bias, provide equitable opportunities, and support underrepresented communities.

4. Philanthropic Responsibility:

- Engage in philanthropic activities and give back to communities: Starbucks has a history of philanthropy through its Starbucks Foundation and other initiatives. They invest in education, youth empowerment, and community development programs. For example, the Starbucks College Achievement Plan supports eligible employees in pursuing a college degree.

The company not only focuses on economic success and legal compliance but also places importance on ethical practices, environmental sustainability, and philanthropic efforts to make a positive impact on society.

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what factor predicts a lower level of risky sexual behavior among adolescents?

Answers

Several factors can predict a lower level of risky sexual behavior among adolescents. Some of these factors include:

1. Comprehensive Sex Education: Adolescents who receive comprehensive sex education that covers topics such as contraception, STI prevention, and communication skills are more likely to engage in safer sexual behaviors.

2. Parental Involvement: Adolescents who have open and supportive communication with their parents about sexual health are more likely to make informed decisions and engage in safer sexual practices.

3. Access to Contraception: Adolescents who have access to affordable and reliable contraception methods, are more likely to use them and reduce the risk of unintended pregnancies and STIs.

4. Peer Influence: Positive peer norms and social support for safe sexual behaviors can influence adolescents to engage in responsible sexual practices.

5. Emotional and Psychological Well-being: Adolescents who have higher levels of self-esteem, self-efficacy, and emotional well-being are less likely to engage in risky sexual behaviors as they value their own health and future.

6. Knowledge about STIs and Pregnancy: Adequate knowledge about the consequences of risky sexual behavior, can lead to more cautious decision-making.

It's important to note that these factors interact with each other, and the combination of multiple protective factors can have a stronger impact on reducing risky sexual behavior among adolescents.

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Problem
The company had an IT team who were complaining of fatigue and back pain as a result of adopting poor posture when working the server room. The server room although brightly lit and well ventilated the space between the server boxes was very narrow and with the boxes stacked from floor to head height. The teams were all different shapes and sizes and often struggled when working on the computer components in cramped conditions. Routine maintenance and repair work meant that the box had to be removed from its position and held up in the air by a team member whilst a second member of the team worked on it. This was an obvious struggle to both individuals to say nothing of the serious physical injury implications in addition to the cost of any damage that would be caused if a box was dropped and damaged. Expansion of the space was not an option due to limited office space and lack of funds coupled with the massive upheaval it would bring to the organization. The company called us in to look at the manual handling operations on behalf of the team as they were keen to find an urgent solution to this serious problem. We talked the problems through with the team to get a better understanding of the way in which they worked. We were advised that the boxes need to be held up in position often for long periods or the cables would be wrenched from the sockets. Sliding mechanisms affixed onto shelves were also not an option due to the design of the server systems.
Question: Perform Manual Handling Risk Assessment based on task, individual, load and environment and suggest how the hazard can be prevented.
Previous question

Answers

Based on the given scenario, here's a step-by-step Manual Handling Risk Assessment and suggestions for hazard prevention:

1. Task Assessment:

Identify the manual handling task: Holding server boxes in the air while another team member works on them.Duration and frequency: Determine how often and for how long the task is performed.Awkward postures: Consider the strain on the body due to the cramped space and the need to hold heavy boxes.Repetitive movements: Assess if the task involves repetitive actions that could lead to musculoskeletal disorders.

2. Individual Assessment:

Different shapes and sizes: Take into account the variations in physical capabilities among team members.Fitness and training: Evaluate if employees have received proper training on manual handling techniques.Existing health conditions: Determine if any team members have pre-existing health issues that could be aggravated by the task.

3. Load Assessment:

Weight and stability: Assess the weight of the server boxes and their stability when held in the air.Size and dimensions: Consider the dimensions of the boxes and whether they hinder proper grip or posture.Manipulation and force required: Evaluate the effort needed to hold and maneuver the boxes.

4. Environment Assessment:

Space constraints: Evaluate the limited space between the server boxes.Lighting and visibility: Assess the lighting conditions in the server room and the visibility of cables and connections.Ventilation and temperature: Determine if the ventilation and temperature control in the server room are adequate.

Suggestions for Hazard Prevention:

Ergonomic Training: Provide training to the IT team on proper manual handling techniques, including lifting, carrying, and working in cramped spaces. Emphasize the importance of maintaining good posture and avoiding excessive strain on the back. Equipment Assistance: Investigate if any lifting aids or equipment can be introduced to assist with holding the server boxes in position, such as adjustable support brackets or clamps. These can help reduce the physical effort required and minimize the risk of dropping the boxes.Job Rotation: Implement a job rotation system to allow team members to alternate between holding the boxes and performing computer component work. This helps prevent prolonged static postures and distributes the physical load more evenly among team members.Improved Lighting and Visibility: Ensure that the server room is adequately lit to enhance visibility, reducing the risk of accidental damage to cables and components.Regular Breaks: Encourage the IT team to take regular breaks during tasks that involve holding the boxes in the air for long periods. This helps prevent fatigue and allows for recovery.Workstation Modifications: Explore the possibility of making minor modifications to the workstation layout to improve access and reduce the need for prolonged awkward postures. For example, rearrange shelves or reposition equipment to create more space for maneuvering.Risk Reporting and Monitoring: Establish a system for employees to report any hazards or concerns related to manual handling. Regularly monitor the work environment to ensure compliance with safety measures and identify areas for improvement.

Remember, the above suggestions are general recommendations based on the information provided. It is essential to conduct a detailed on-site assessment and involve health and safety professionals to tailor the solutions to the specific needs of the organization.

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You are the manager of a firm that sells a "commodity" in a market that resembles perfect competition, and your analytics team estimates that your cost function is C(Q)=2Q+3Q2. Unfortunately, due to production lags, you must make your output decision prior to knowing for certain the price that will prevai in the market. You believe that there is a 70 percent chance the market price will be $200 and a 30 percent chance it will be $600.
a. Calculate the expected market price. $
b. What ouptut should you produce in order to maximize expected profits? units
c. What are your expected profits? $

Answers

a. The expected market price is $320.

b. The firm should produce 53 units of output to maximize expected profits.

c. The expected profits are $7,893.

a. The expected market price can be calculated by multiplying the probability of each price scenario by its respective price and summing them. In this case, the expected market price is:

Expected market price = (Probability of $200) × $200 + (Probability of $600) × $600

= (0.7 × $200) + (0.3 × $600)

= $140 + $180

= $320

b. To maximize expected profits, the firm should produce the output level where marginal cost (MC) equals the expected market price. In perfect competition, the profit-maximizing rule is to produce where MC = market price. In this case, the cost function is C(Q) = 2Q + 3Q^2. The marginal cost is the derivative of the cost function with respect to quantity (Q), which is MC = 2 + 6Q.

Setting MC equal to the expected market price:

2 + 6Q = $320

6Q = $320 - $2

6Q = $318

Q = $318/6

Q = 53 units (rounded)

Therefore, the firm should produce 53 units of output to maximize expected profits.

c. Expected profits can be calculated by multiplying the expected market price by the quantity produced and subtracting the total cost. In this case, the expected profits are:

Expected profits = (Expected market price) × (Quantity produced) - (Total cost)

= $320 × 53 - [2(53) + 3(53^2)]

= $16,960 - [106 + 8,961]

= $16,960 - $9,067

= $7,893

Therefore, the expected profits are $7,893.

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Which of the following statements is not correct?
a. Monopolistic competition is similar to monopoly because in each market structure the firm can charge a price above marginal costs in the long run
b. Monopolistic competition is similar to perfect competition because both market structures are characterized by free entry.
c. Monopolistic competition is similar to perfect competition because both market structures are characterized by long run normal profits.
d. Monopolistic competition is similar to perfect competition because both market structures are characterized by many sellers.
e. All of the answers are correct.

Answers

the correct answer is option a.

The statement that monopolistic competition is similar to a monopoly because in each market structure the firm can charge a price above marginal costs in the long run is not correct. In monopolistic competition, firms have some degree of market power and can set prices above marginal costs in the short run. However, in the long run, new firms can enter the market, attracted by potential profits, which increases competition and reduces the ability of individual firms to maintain prices above their marginal costs. This entry and exit of firms in the long run lead to a more competitive market and tend to drive profits towards normal levels. On the other hand, in a monopoly, there is a single firm with no close substitutes, and it can maintain prices above marginal costs in the long run due to the absence of direct competition.

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Consider a foreign project in with the following expected free cash flows.
Year 0 1 2 3
E(FCF) -100 40 60 60

Required rate of return on the project: rA = 13.5%, and the risk free rate of return rF = 3.5%.

a. Determine the NPV of this project as modeled above.
b. Suppose the project faces a 10% chance of total expropriation (total loss of current and future cash flows) each year. Draw a diagram of the possible free cash flows outcomes of this project given this assumption for political risk. Label the free cash flows at each point and the probabilities for each path.

Answers

The calculation of the Present Value (PV) of Expected Cash Outflows is done using the following formula: PV of Expected Cash Outflows = E(FCF0)where E(FCF0) is the expected free cash flow in year 0.

The Net Present Value (NPV) of the project The calculation of the Net Present Value (NPV) of the project is given below: Net Present Value (NPV) = - $100 + $37.87 + $51.11 + $42.54 = $30.52 million. The NPV of the project as modeled above is $30.52 million. b. Diagram of the possible free cash flows outcomes of this project given this assumption for political risk The diagram of the possible free cash flows outcomes of this project given this assumption for political risk is shown below: Possible free cash flows outcomes of this project given this assumption for political risk . The Net Present Value (NPV) of the project is calculated using the following formula: Net Present Value (NPV) = Present Value (PV) of Expected Cash Inflows - Present Value (PV) of Expected Cash Outflows The calculation of the Present Value (PV) of Expected Cash Inflows is done using the following formula: PV of Expected Cash Inflows = E (FCFt) / (1 + rA) t where E (FCFt) is the expected free cash flow in year t, r A is the required rate of return on the project, and t is the year in which the expected free cash flow is received.

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"If you wanted to convert DOP185,000 into USD for your spring
break vacation in
Miami, how many US Dollars would you have, considering the rate
currently is 54.30 for
each US Dollar

Answers

If you convert dop185,000 into usd at the current exchange rate of 54.

You would have approximately $3,398.15 usd by converting dop185,000 at a rate of 54.30 usd/dop.

To calculate the amount of us dollars you would have, you need to divide the amount of dominican peso (dop) you want to convert (dop185,000) by the exchange rate of usd/dop (54.30).

dop185,000 / 54.30 = $3,398.15 usd 30, you would have approximately $3,398.15 usd for your spring break vacation in miami.

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Suppose the Fed buys $10,000 worth of bonds in an open market operation. It pays Seller 1 $10,000. To pay the seller, the Fed creates $10,000 in central bank money. Suppose that people hold 75% of their money in currency. Also, suppose that banks keep 10% of checkable deposits as reserves and lend the remaining 90%. Seller 1 deposits part of her money in a checking account in Bank A.

a How much money does Seller 1 deposits at Bank A?

b How much will Bank A lend from these new deposits?

c Describe an simple example such that some fraction of the loan in b) is deposited at another bank, Bank B, in the form of checkable deposits. Compute the value of those deposits. The chain of events and flows that we are after is: FED −−−−→ $10000 Seller 1−−−−−−→ Deposits a Bank A −−−−→ Loan b Borrower 1 −→ (Your example) −−−−−−→ Deposits c Bank

The example in c) must be consistent with our framework.

Answers

The chain of events would be as follows:

FED ────→ $10,000 Seller 1 ────→ Deposits $7,500 Bank A ────→ Loan $5,000 Borrower 1 ────→ Deposits $4,000 Bank B

In this example, Bank A receives the initial deposit from Seller 1, lends $5,000 to Borrower 1, and Borrower 1 deposits $4,000 of that loan in Bank B.

a) Seller 1 deposits 75% of their money in currency, so the amount deposited at Bank A would be 75% of the $10,000 created by the Fed:

Seller 1 deposits at Bank A = 75% * $10,000 = $7,500

b) Banks keep 10% of checkable deposits as reserves and lend the remaining 90%. From the $7,500 deposited at Bank A, 10% will be kept as reserves, and the remaining 90% will be available for lending:

Amount available for lending by Bank A = 90% * $7,500 = $6,750

c) Let's consider an example where Borrower 1 borrows $5,000 from Bank A and then deposits part of that loan in Bank B. Suppose Borrower 1 deposits 80% of the loan in Bank B. The value of those deposits in Bank B would be:

Deposits in Bank B = 80% * $5,000 = $4,000

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16. Florance is a chain of flower shops in the Chicago area. The company recently acquired kn knacks, which owns three gift shops. Which of the following is most similar to this acquisiti a. Construction firm Donaldson acquired Fabrica Textiles as it seemed like a good investmen vestment b. Toy World acquired Unicorn Children's Books and now retails both toys and books from co-branded outlets. c. Dallas Shoes buys out Run Time Shoes and expands its distribution channels through Run Time outlets. d. Faced with mounting raw material costs, I&A Products took over its supplier, BR Corporation. 1

Answers

The following acquisition is most similar to Florance acquiring Kn Knacks:Toy World acquired Unicorn Children's Books and now retails both toys and books from co-branded outlets.

What is an acquisition?An acquisition is a corporate term that refers to a corporation's purchase of another corporation's assets or stocks, which allows the buying corporation to take over its operations and financial responsibilities. An acquisition may help a corporation expand its business and develop more efficiently, or it may simply provide it with an opportunity to enter a new market.Among the given options, Toy World acquiring Unicorn Children's Books is the most similar to Florance's acquisition of Kn Knacks. Florance, a chain of flower shops in the Chicago area, recently acquired Kn Knacks, which owns three gift shops.Similarly, Toy World acquired Unicorn Children's Books and now sells both toys and books from co-branded outlets. As a result, both companies have become co-branded and sell their items together, with the hopes of making a profit.

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A project with uncertainty is under consideration for implementation. The values are shown in the table below. What are the Net Expected Value and Net Present Worth of this project, respectively?

Answers

The Net Expected Value and Net Present Worth of the project can be calculated based on the values provided in the table.

without the specific values or details of the table, it is not possible to determine the exact values for the Net Expected Value and Net Present Worth. Please provide the necessary data or values from the table to proceed with the calculation. Net Expected Value (NEV) is typically calculated by multiplying each possible outcome by its corresponding probability and summing them up. It represents the expected monetary value of the project, considering the probabilities of different outcomes. Net Present Worth (NPW) involves calculating the present value of all cash inflows and outflows associated with the project. The present value is determined by discounting future cash flows to their present value using an appropriate discount rate. Once the specific values from the table are provided, the Net Expected Value and Net Present Worth can be calculated accordingly. Please provide the required information for a more accurate calculation.

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Both debit card and credit card are used as a substitute of actual money. Credit cards like Visa and MasterCard are considered as

a) Real money

b) Means of obtaining a long-term loan from the charted bank or other financial institutions that issued the card

c) Perfectly liquid assets

d) Means of obtaining a short-term loan from the charted bank or other financial institutions that issued the card

Answers

Credit cards like Visa and MasterCard are considered as a means of obtaining a short-term loan from the financial institutions that issued the card.

The correct option is (d) means of obtaining a short-term loan from the charted bank or other financial institutions that issued the card.

Credit cards function as a convenient form of payment that allows users to make purchases and defer the payment until a later date. When a credit card is used for a transaction, the financial institution issuing the card pays the merchant on behalf of the cardholder, creating a short-term loan. The cardholder then has the responsibility to repay the amount borrowed to the financial institution within a specified period, usually with interest.

Credit cards provide a revolving credit line, allowing users to make multiple transactions within their assigned credit limit. The cardholder has the flexibility to repay the borrowed amount in full or in installments, but interest is charged on the outstanding balance. This feature distinguishes credit cards from debit cards, which directly access the funds available in the cardholder's bank account.

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what is it called when employees are given opportunities to work on a variety of new tasks that are larger in scope than their current job and involve more responsibility?

Answers

The term for employees being given opportunities to work on larger tasks with more responsibility is "job enrichment."

Job enrichment involves expanding the depth and breadth of an employee's job by incorporating challenging and meaningful tasks, allowing for skill development and increased autonomy. This approach aims to enhance job satisfaction, motivation, and overall employee engagement by providing a sense of growth and fulfillment through increased responsibilities and opportunities for personal development within the organization.

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Answer whether each of the following statements is correct and explain your argument. Total: 20 marks.
(a) Under an index model, the correlation between two individual stocks is one. (5 marks)
(b) Well-diversified portfolios with a negative α are under-priced. (5 marks)
(c) An arbitrage portfolio arises when two or more security prices enable investors to construct a portfolio that will yield a positive return under all possible scenarios. (5 marks)
(d) A well-diversified portfolio eliminates all risks. (5 marks)

Answers

(a) Under an index model, the correlation between two individual stocks is one.The statement is not correct. It should be "Under an index model, the correlation between two individual stocks is zero."

Explanation: According to the index model, returns on a security can be predicted using returns on a market index. The model is made up of two components: systematic and unsystematic risk. Systematic risk, also known as market risk, is caused by macroeconomic factors that influence the returns of all securities in the market. Unsystematic risk, on the other hand, is unique to individual securities.The correlation between two securities can be either positive or negative, and it does not always have to be one.

(b) Well-diversified portfolios with a negative α are under-priced. The statement is correct.

Explanation: In financial theory, alpha is a measure of an investment's excess return compared to its expected return, given its level of risk as measured by beta. A negative alpha indicates that an investment's return was worse than expected based on its level of risk. Well-diversified portfolios with negative alpha are under-priced, implying that they have lower prices than expected, based on their risk level. This is because investors avoid these portfolios, resulting in low demand, and therefore, low prices. If the portfolios had been priced correctly, the expected return would have been higher.

(c) An arbitrage portfolio arises when two or more security prices enable investors to construct a portfolio that will yield a positive return under all possible scenarios.The statement is correct.

Explanation: An arbitrage portfolio arises when two or more security prices enable investors to construct a portfolio that will yield a positive return under all possible scenarios. This is because, in the absence of arbitrage, the expected returns on portfolios of securities with the same risk level should be the same. When the prices of securities are not in equilibrium, an arbitrage opportunity arises, and investors can use it to make a profit.

(d) A well-diversified portfolio eliminates all risks.The statement is not correct.

Explanation:A well-diversified portfolio reduces unsystematic risk but not systematic risk. Systematic risk cannot be eliminated because it is caused by macroeconomic factors that affect all securities in the market. Unsystematic risk, on the other hand, is unique to individual securities and can be eliminated by diversification. Diversification helps investors reduce the variability of returns and minimize unsystematic risk. However, it does not eliminate all risks.

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Suppose that the following equations describe a closed economy:
C(YT) = 8000 + 0.25(Y − T) Consumption Function
I(r) = 2000 - 50r Investment Function
T = 1000 Taxes
G = 250 Government Spending
L(r,Y) = .5Y - 50r Demand for Real Money Balances
M = 8,000 Money Supply
P = 4 Price Level

Given the information above, drive an equation for the IS curve for the economy.
Express the IS curve as r(Y).

Answers

The IS curve represents the equilibrium relationship between the interest rate (r) and the level of output (Y) in an economy. To derive the equation for the IS curve, we need to equate the aggregate demand (AD) and aggregate supply (AS) in the goods market .

The aggregate demand (AD) is given by the sum of consumption (C), investment (I), government spending (G), and net exports (NX):

AD = C + I + G + NX

In a closed economy with no net exports, the aggregate demand can be simplified as:

AD = C + I + G

Substituting the given consumption function and investment function, we have:

AD = (8000 + 0.25(Y - T)) + (2000 - 50r) + G

Since taxes (T) and government spending (G) are given, we can further simplify the equation as:

AD = 8000 + 0.25(Y - 1000) + 2000 - 50r + 250

Combining like terms, we get:

AD = 10250 + 0.25Y - 0.25(1000) - 50r

Simplifying, we obtain:

AD = 10250 + 0.25Y - 250 - 50r

AD = 10000 + 0.25Y - 50r

This equation represents the aggregate demand (AD) curve . To express it in terms of the IS curve, we set AD equal to the level of output (Y). Rearranging the equation, we have:

Y = 10000 + 0.25Y - 50r

Subtracting 0.25Y from both sides, we obtain:

0.75Y = 10000 - 50r

Dividing both sides by 0.75, we arrive at the final equation for the IS curve:

Y = (10000 - 50r)/0.75

Therefore, the equation for the IS curve in this closed economy is Y = (10000 - 50r)/0.75, which represents the equilibrium relationship between the interest rate (r) and the level of output (Y).

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