Routers-R-Us is a Quarterly remitter. Their last pay period ended on April 13th and the employees were paid on April 20th. When would their remittances be due?

(Note: Use the current year calendar provided in your student guide for all date determinations in this exam.)

July 16th
May 15th
May 10th
July 15th

Answers

Answer 1

For Routers-R-Us, a Quarterly remitter, their remittances would be due on July 15th.

As a Quarterly remitter, Routers-R-Usa follows the remittance schedule based on their remittance frequency. The remittance due date for Quarterly remitters is the 15th day of the month following the end of the calendar quarter.

In this case, the last pay period for Routers-R-Us ended on April 13th, and the employees were paid on April 20th. Since this falls within the second quarter (April to June), the remittance for this period would be due on July 15th.

It's important to note that remittance due dates may vary depending on the specific remittance frequency and the regulations of the tax authority.

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Related Questions

Which type of change does NOT typically require the use of change management procedures?
Select one:
a. changes to ACLs
b. new VPN gateways
c. changing a manager's permissions to a file
d. new password systems or procedures

Answers

New password systems or procedures typically requires the use of change management procedures.

Why does changing passwords require the use of change management procedures?

Changing passwords typically requires the use of change management procedures due to the potential impact on an organization's security. Passwords are a critical component of securing systems, data, and sensitive information. When passwords are compromised, unauthorized individuals can gain access to confidential resources, leading to data breaches, unauthorized access, or other security incidents.

Change management procedures ensure that password changes are implemented in a controlled and secure manner. These procedures involve assessing the potential risks and impacts of the password change, obtaining necessary approvals from relevant stakeholders, and following established protocols for communicating and implementing the change. By utilizing change management procedures, organizations can minimize the risk of password-related security incidents, ensure proper authentication and access controls, and maintain the integrity and confidentiality of their systems and data. This approach helps organizations maintain a robust security posture and protect against potential threats and vulnerabilities associated with passwords.

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QUESTIONS

Use SWOT to analysis the company
write hypothesis and assumptions. Use industry data, information from ebook or industry experts, and other resources that you find online.
State two engaging target user personas for your proposed solution. They must include the six most common persona elements.

case 1
Two Birds, One Stone Publishing is a medium-sized, family-owned publishing house based in New York, established in 1935. Two Birds is estimated to be worth $125 million. The company entered the digital space five years ago. Leadership and operational teams have struggled to transition print book sales to digital ebook sales, though they realize this shift is vital to their future success. Their ebooks span a number of topics: Persuasion, Entrepreneurship, Innovation and design, Productivity, Self-improvement and Leadership.

Two Birds ebooks have 2-million active users. But in the last two years, those users have not purchased as many ebooks as forecasted. Two Birds projected a 15% increase in ebook sales for the previous quarter but the actual sales only grew 7%. The Two Birds executive team would like to see the digital ebook sales grow by at least 11%, and your team has been tasked with achieving this goal by year’s end. Leadership has given you the flexibility to create your own product strategy. This includes updating and adding new ebook titles and categories, updating the current ebook platform, target customers, pricing, and messaging. You have a huge opportunity to bring an established player successfully into the digital arena.

Ebook Industry in United States - Statistics and Facts

Estimated number of ebooks sold: 307.6M
Number of self-published ebooks: 122,000
Share of consumers who read ebooks: 31%
Preferred ebook marketplace: Amazon
Number of illegal ebook downloads: 17M
Total loss of sales due to illegal downloading: 330.2M
U.S. share of ebooks vs. rest of world: 47%

Two Birds’ Ebook Business Model

Two Birds ebooks are only sold on Amazon and currently can only be accessed via a Kindle.
It’s a subscription platform. For a monthly subscription of $12.99, a user can access 3 ebooks. This subscription can be purchased annually for $129.
If the user chooses to purchase additional ebooks, they receive $1.50 off of the ebook purchase price.
Users can view excerpts of the ebook before purchasing.

Answers

Two Birds, One Stone Publishing can increase its digital ebook sales by implementing the proposed solutions and targeting the identified user personas. Increasing the selection of books, adding new features to the current platform, and improving marketing and pricing strategies will help Two Birds attract new customers and retain current ones.

SWOT Analysis of Two Birds, One Stone Publishing:SWOT analysis is an approach to identify the strengths, weaknesses, opportunities, and threats of an organization. The following SWOT analysis is conducted on Two Birds, One Stone Publishing.

STRENGTHS:Established brand name with a successful history of 86 yearsDedicated and loyal customersWide range of topics to choose from2 million active users and high rate of user retentionWEAKNESSES:Difficulty in transitioning print book sales to digital ebook salesSales projections not met in the last two yearsLimited availability on a single platform, only on Amazon

OPPORTUNITIES:Expanding to other online platforms or creating its own platformOffering a broader selection of booksIncreasing the sales by improving marketing and pricing strategies

THREATS:Growing competition from other established players and new entrants in the industryIllegal download of ebooks affects salesTwo Birds heavily depends on a single platform, AmazonAssumptions and Hypotheses:Assumptions: Two Birds, One Stone Publishing wants to grow their digital ebook sales by 11%. The company currently has a total of 2 million active users.

Hypothesis:Increasing the selection of books will attract new customers and improve sales.Adding new features to the current platform will increase user engagement and improve sales.Two Engaging Target User Personas for the Proposed Solution:The following are two engaging target user personas for the proposed solution to increase digital ebook sales for Two Birds, One Stone Publishing.1) Persona 1:Name: Emily Smith Age: 27 years Old Gender: Female Occupation: Marketing ExecutivePersona details:Emily Smith is a 27-year-old marketing executive who is looking for a way to improve her skills and grow in her career. She is interested in topics such as leadership, entrepreneurship, and self-improvement. Emily has a busy work schedule, and she enjoys reading on her commute to and from work. She prefers a subscription-based model, which will enable her to access a wide range of books at an affordable price. She wants to explore new authors and books that are not readily available on other platforms.2) Persona 2:Name: William Johnson Age: 45 years Old Gender: Male Occupation: Business OwnerPersona details:William Johnson is a 45-year-old business owner who is always looking for ways to improve his business. He is interested in topics such as innovation and design, productivity, and entrepreneurship. William has a busy schedule and does not have time to go to the bookstore to buy books. He prefers a subscription-based model that will enable him to access books on his tablet or smartphone. William is willing to pay a premium price for premium content. He wants to read books that are relevant to his business and offer practical insights.Conclusion:To conclude, Two Birds, One Stone Publishing can increase its digital ebook sales by implementing the proposed solutions and targeting the identified user personas. Increasing the selection of books, adding new features to the current platform, and improving marketing and pricing strategies will help Two Birds attract new customers and retain current ones.

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Coronado Merchandise planned to produce 45,900 fleece jackets in its Metairie, Louisiana, factory. Fixed overhead costs for the factory were budgeted to be $541,000. The company actually spent $553,600 on fixed overhead and produced 44,700 jackets. C
alculate the fixed overhead spending variance. (If variance is zero, select "Not Applicable" and enter O for the amounts.)
Fixed overhead spending variance $____ favorable/unfavorable/not applicable

Answers

The fixed overhead spending variance is $12,600 unfavorable.

To calculate the fixed overhead spending variance, we need to compare the actual fixed overhead costs incurred with the budgeted fixed overhead costs.

Budgeted fixed overhead costs = $541,000

Actual fixed overhead costs = $553,600

The fixed overhead spending variance is calculated as follows:

Fixed Overhead Spending Variance = Actual Fixed Overhead Costs - Budgeted Fixed Overhead Costs

Fixed Overhead Spending Variance = $553,600 - $541,000

Fixed Overhead Spending Variance = $12,600

Since the actual fixed overhead costs ($553,600) exceeded the budgeted fixed overhead costs ($541,000), the fixed overhead spending variance is unfavorable. This means that the company spent more on fixed overhead costs than it had originally budgeted.

Therefore, the fixed overhead spending variance is $12,600 unfavorable.

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match the types of frames that negotiating parties use in disputes (in the left column) with their descriptions (in the right column).
Identity-How the parties describe who they are

Characterization-How the parties describe other parties

Loss or gain-How the parties define the reward or risk associated with particular outcomes

Answers

The negotiation parties use different types of frames to settle disputes. The frames include Identity, Characterization, and Loss or gain.

Frames that negotiating parties use in disputes refer to the means through which parties describe who they are, how they describe other parties and how they define the reward or risk associated with particular outcomes. There are different types of frames that negotiating parties use in disputes, including Identity, Characterization, and Loss or gain.

Identity refers to the way the parties define themselves and how they describe their interests. The framing of identity creates a sense of unity among the parties and promotes the agreement.

Characterization, on the other hand, refers to the parties' characterization of others, for example, the way they portray their opponents or portray the conflict. In this type of frame, the parties use the negative characterization of the other party to justify their position or to convince others.

Lastly, Loss or gain framing refers to the parties' definition of the reward or risk associated with particular outcomes. In this frame, the parties look at the consequences of their choices or actions. A party may adopt the loss or gain framing to emphasize the benefits of the choices they are making.

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what growth strategy combines new markets and new products?

Answers

The growth strategy that combines new markets and new products is commonly known as market development or market diversification.

Market development involves expanding a company's reach into new market segments or geographic locations, while new product development focuses on creating and introducing innovative products to the market.

By combining these two strategies, a company seeks to achieve growth by targeting untappedr custome segments or entering new markets with novel products.

This approach allows businesses to leverage their existing capabilities and resources to explore fresh opportunities and increase their market share.

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What role do managers play in effective international
strategies, particularly in dynamic contexts? Why?
If this could be answered in paragraph format (preferably 2-3),
I'd appreciate it. Thank you!

Answers

The main objective of international business is to earn profits while providing value to customers. The financial management role of managers in international businesses involves ensuring that the company's resources are used effectively and efficiently.

Managers are responsible for creating budgets, managing cash flow, forecasting revenue and expenses, and making informed decisions to minimize financial risks. They must also be able to handle the complexities of foreign currency exchange rates and other financial challenges.

In order for international businesses to be effective, managers play an important role. The following are the key roles played by managers in effective international businesses: Strategy Development: It is the duty of managers to develop a strategy that outlines the direction and goals of the company in order to operate successfully in a foreign market.

Managers must choose the best strategy for the organization by analyzing market trends, competition, and consumer preferences. This includes designing, executing, and monitoring marketing, sales, and advertising campaigns, as well as designing pricing and distribution policies.

Communication: Communication is one of the most critical aspects of effective international business management. Effective communication helps to build trust, collaboration, and a strong relationship between management and stakeholders.

Managers should be able to communicate effectively with international partners, staff, and stakeholders, as well as communicate in the native language of the country. Cultural sensitivity and knowledge are required for successful communication in international business.Financial Management:

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You are estimating the WACC of your firm. There are 14 million common shares outstanding with a market price of $54 per share. The stock’s beta is 1.15, the risk-free rate is 2.3% and expected market return is 12.4%. There is a single bond issue outstanding with a face value of $600 million. Individual bonds have a face value of $10,000, 15 years to maturity, and a 4.0% coupon rate with semi-annual payments. The current bond quote is 89.53. The firm’s marginal tax rate is 30%. Calculate the following:

A. Cost of equity (nearest 1/100 of one percent without % symbol, e.g. 6.98)? Answer

B. Cost of debt (nearest 1/100 of one percent without % symbol, e.g. 6.98)? Answer

C. Weighting of equity (nearest 1/100 of one percent without % symbol, e.g. 6.98)? Answer

D. Weighting of debt (nearest 1/100 of one percent without % symbol, e.g. 6.98)? Answer

E. Weighted average cost of capital (nearest 1/100 of one percent without % symbol, e.g. 6.98)? Answer

Answers

Cost of equity: 13.92%. Cost of debt: 4.47%. Weighting of equity: 4.48%. Weighting of debt: 95.52%. Weighted average cost of capital (WACC): 4.54%.

To calculate the various components and the weighted average cost of capital (WACC), we need to consider the given information:

- Number of common shares outstanding: 14 million

- Market price per share: $54

- Beta of the stock: 1.15

- Risk-free rate: 2.3%

- Expected market return: 12.4%

- Face value of the bond issue: $600 million

- Face value of individual bonds: $10,000

- Years to maturity: 15 years

- Coupon rate: 4.0%

- Bond quote: 89.53

- Marginal tax rate: 30%

A. Cost of equity:

The cost of equity can be calculated using the Capital Asset Pricing Model (CAPM) formula:

Cost of Equity = Risk-free rate + Beta * (Expected market return - Risk-free rate)

Substituting the given values:

Cost of Equity = 2.3% + 1.15 * (12.4% - 2.3%)

Cost of Equity = 2.3% + 1.15 * 10.1%

Cost of Equity = 2.3% + 11.615%

Cost of Equity ≈ 13.915% or 13.92% (nearest 1/100 of one percent without % symbol)

B. Cost of debt:

The cost of debt can be calculated using the yield to maturity of the bond:

Cost of Debt = (Coupon payment / Bond price) + (Face value - Bond price) / (Years to maturity * Bond price)

Substituting the given values:

Coupon payment = 4.0% * $10,000 = $400

Bond price = 89.53% * $10,000 = $8,953

Cost of Debt = ($400 / $8,953) + ($10,000 - $8,953) / (15 * $8,953)

Cost of Debt ≈ 4.47% or 4.47% (nearest 1/100 of one percent without % symbol)

C. Weighting of equity:

The weighting of equity is calculated as the market value of equity divided by the sum of the market value of equity and the market value of debt:

Weighting of Equity = Market value of equity / (Market value of equity + Market value of debt)

Market value of equity = Number of common shares outstanding * Market price per share

Market value of equity = 14 million * $54

Weighting of Equity = (14 million * $54) / [(14 million * $54) + $600 million]

Weighting of Equity ≈ 4.48% or 4.48% (nearest 1/100 of one percent without % symbol)

D. Weighting of debt:

The weighting of debt is calculated as the market value of debt divided by the sum of the market value of equity and the market value of debt:

Weighting of Debt = Market value of debt / (Market value of equity + Market value of debt)

Market value of debt = Bond quote * Face value of bond issue

Market value of debt = 89.53% * $600 million

Weighting of Debt = (89.53% * $600 million) / [(14 million * $54) + (89.53% * $600 million)]

Weighting of Debt ≈ 95.52% or 95.52% (nearest 1/100 of one percent without % symbol)

E. Weighted average cost of capital (WACC):

The WACC is calculated as the weighted average of the cost of equity and the cost of debt, weighted by their respective weightings:

WACC = (Weighting of

Equity * Cost of Equity) + (Weighting of Debt * Cost of Debt)

WACC = (4.48% * 13.92%) + (95.52% * 4.47%)

WACC ≈ 4.5376% or 4.54% (nearest 1/100 of one percent without % symbol)

Therefore, the answers are:

A. Cost of equity: 13.92%

B. Cost of debt: 4.47%

C. Weighting of equity: 4.48%

D. Weighting of debt: 95.52%

E. Weighted average cost of capital (WACC): 4.54%

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If you invest $1,610 at the end of each of the next five years at 4.6% p.a., how much will you have after 5 years?

Answers

You will have approximately $8,645.70 after 5 years. By investing $1,610 at the end of each of the next five years at an annual interest rate of 4.6%, you can expect to have approximately $8,645.70 after 5 years.

To calculate the future value of the investment after 5 years, we can use the formula for the future value of an ordinary annuity:

Future Value = Payment * ((1 + Interest Rate)^Time - 1) / Interest Rate

Where:

Payment = $1,610 (end-of-year investment amount)

Interest Rate = 4.6% per year

Time = 5 years

Plugging in the values into the formula, we have:

Future Value = $1,610 * ((1 + 0.046)^5 - 1) / 0.046

            = $1,610 * (1.046^5 - 1) / 0.046

            ≈ $8,645.70

Therefore, you will have approximately $8,645.70 after 5 years of making an end-of-year investment of $1,610 at an interest rate of 4.6% per year.

By investing $1,610 at the end of each of the next five years at an annual interest rate of 4.6%, you can expect to have approximately $8,645.70 after 5 years. It's important to consider the time, investment amount, and interest rate to determine the future value of an annuity and plan for your financial goals accordingly.

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A bank offers a savings account with a stated annual interest rate of 6%. Interest is compounded quarterly (four times per year). If you deposit $100 into this account today, what will the account balance be two years from today? (Round your final answer to the nearest cent)

Multiple Choice

$112.65

$112.00

$112.36

$112.48

$112.72

Answers

The account balance two years from today, with a $100 initial deposit, and a 6% annual interest rate compounded quarterly, will be approximately $112.36.

To calculate the account balance, we can use the formula for compound interest: A = P(1 + r/n)^(nt), where A is the final amount, P is the principal (initial deposit), r is the annual interest rate (as a decimal), n is the number of times interest is compounded per year, and t is the number of years.

In this case, the principal is $100, the annual interest rate is 6% or 0.06, interest is compounded quarterly (n = 4), and the time period is two years (t = 2). Plugging these values into the formula, we get:

A = $100(1 + 0.06/4)^(4*2) ≈ $112.36

Therefore, the account balance will be approximately $112.36 two years from today, rounded to the nearest cent. The correct answer choice is $112.36.

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1. Discuss the stages of team development. Address the process,
problems, and level of productivity of each.
2. Discuss why verbal and written communication is important to
project success, and descri

Answers

The stages of team development, often referred to as Tuckman's stages, provide a framework for understanding how teams evolve and progress over time.

These stages are:

Forming: In this initial stage, team members come together, introduce themselves, and begin to familiarize themselves with the team's goals and objectives. There is often a sense of politeness and cautiousness as team members establish their roles and responsibilities. Productivity during this stage is generally low as team members are still getting to know each other and are focused on understanding the team's purpose.

Storming: As the team moves into the storming stage, conflicts and disagreements may arise as team members start to voice their opinions and ideas. This stage is characterized by a certain level of tension and power struggles within the team. Productivity may still be relatively low as the team grapples with finding their footing and resolving conflicts.

Norming: In the norming stage, the team begins to establish norms, rules, and shared expectations. Team members start to develop trust and cohesion as they align themselves with common goals. Conflict is resolved, and communication becomes more open and collaborative. Productivity starts to increase as the team members find their rhythm and work together more effectively.

Performing: The performing stage is marked by high levels of productivity and synergy within the team. Trust and cooperation are strong, and the team operates smoothly and efficiently. Team members understand their roles and responsibilities and work towards achieving their goals. Problem-solving and decision-making are more effective, and the team functions as a cohesive unit.

It's important to note that not all teams reach the performing stage, and some may regress to earlier stages if faced with significant challenges or changes. Additionally, a fifth stage, called adjourning or mourning, is sometimes included, which focuses on the team disbanding or transitioning to new projects.

Each stage presents its own set of challenges and opportunities for productivity. In the forming stage, productivity is low as team members are just beginning to understand their roles and responsibilities. In the storming stage, productivity may be hindered by conflicts and power struggles. In the norming stage, productivity starts to increase as the team establishes norms and trust. Finally, in the performing stage, productivity is at its highest as the team works efficiently and effectively towards its goals.

To navigate through these stages successfully, team leaders should foster open communication, facilitate conflict resolution, encourage collaboration, and provide support and guidance to the team members. Understanding the stages of team development allows leaders to anticipate and address challenges, build trust, and create an environment that promotes high levels of productivity and collaboration.

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Which of the following best describes the current financial planning engagement?
a. The financial planner should issue a new engagement letter for this project.
b. The financial planner is required to provide the same advice to Autumn and Chase since they are both clients.
c. The financial planner does not need to issue a new engagement letter since Autumn is a previous client.
d. It is part of the engagement with Chase and Autumn as step 6 is monitoring the plan.

Answers

The best description of the current financial planning engagement is option c: The financial planner does not need to issue a new engagement letter since Autumn is a previous client.

The current financial planning engagement involves Autumn, who is a previous client of the financial planner. Since Autumn has sought the financial planner's assistance in the past, there is no need to issue a new engagement letter for this project. The engagement letter serves as a formal agreement between the client and the financial planner, outlining the scope of the engagement, responsibilities, and terms of service. In this case, Autumn's previous engagement with the financial planner covers the current planning needs, and therefore, a new engagement letter is not required.

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Which of the following statements is NOT considered a disadvantage of the corporate form of organization?
a. additional taxes
b. separation of ownership and management
c. government regulations
d. limited liability of shareholders

Answers

The statement that is NOT considered a disadvantage of the corporate form of organization is "limited liability of shareholders."

The corporate form of organization offers limited liability to shareholders, which means that their personal assets are generally protected from the company's debts and obligations. This is a significant advantage of the corporate structure as it provides a layer of financial protection for shareholders. Therefore, option (d) "limited liability of shareholders" is not considered a disadvantage but rather a benefit of the corporate form.

On the other hand, the other options listed do represent disadvantages of the corporate form:

a. Additional taxes: Corporations are subject to double taxation, where the company's profits are taxed at the corporate level and then shareholders are taxed on dividends or capital gains.

b. Separation of ownership and management: In large corporations, the separation of ownership and management can lead to agency problems and conflicts of interest between shareholders and management.

c. Government regulations: Corporations are subject to numerous government regulations and compliance requirements, which can be time-consuming and costly to adhere to.

Therefore, option (d) "limited liability of shareholders" is not considered a disadvantage of the corporate form, while the other options represent valid drawbacks of this organizational structure.

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The owner of fast-growing Jackson Lumber has called you in to provide financial consulting services. The owner complains that he never seems to have enough cash on hand to fund his business. During your research, you find that the company is exceeding its sustainable growth rate. Which of the following actions would you recommend to improve the cash position of the company?

A. Take on more debt.
B. Reduce the sale of products that are not producing sufficient profit margins.
C. Consider price increases to existing products.
D. Increase the dividend that is paid to shareholders.
E. A, B, and C above.

Answers

Given that Jackson Lumber is growing faster than its sustainable rate, a mix of choices B and C would be advised in order to strengthen the company's cash position. In light of the aforementioned, the solution would be E: A, B, and C.

Increasing debt may enhance short-term cash flow, but it also exposes the organisation to greater financial risk and interest costs. The company is already growing faster than it can support, so taking on more debt could ultimately make the cash flow problem worse.Reducing sales of goods with insufficient profit margins would help the business make the best use of its resources. The business can boost its overall financial performance and produce more cash by concentrating on products with larger profit margins.

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In 2018, Kraft Heinz reported inventory of $2.815 billion and cost of goods sold of $26.259 billion, Kraft Heinz has an annual holding cost percentage of 30% Express your answer as a percentage and round to two decimal places What was their holding cost as a percentage of cost of goods sold during 2018?

Answers

The holding cost as a percentage of the cost of goods sold during 2018 for Kraft Heinz is indeed 2.90%.

To calculate the holding cost, we first find the average inventory by adding the beginning inventory and ending inventory and dividing by 2:

= ($2.815 billion + $2.262 billion) / 2 = $2.539 billion

Next, we multiply the average inventory by the annual holding cost percentage of 30%: $2.539 billion x 30% = $0.7627 billion.

Finally, we divide the holding cost by the cost of goods sold and multiply by 100 to get the percentage:

= ($0.7627 billion / $26.259 billion) x 100 = 2.90%

Therefore, the holding cost as a percentage of cost of goods sold during 2018 for Kraft Heinz is 2.90%.

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Define and explain biculturalism and multiculturalism showing
how each term can positively and negatively affect global
management.

Answers

Biculturalism is a term that describes a person's or group's ability to function in two cultures or languages. Multiculturalism, on the other hand, refers to the coexistence of different cultural groups in society without one being dominant over the others.

Biculturalism can positively impact global management because it allows individuals to adapt to different cultures and work environments more quickly. When individuals are able to function in more than one culture, they can communicate better with people from different backgrounds and create more harmonious working relationships. However, biculturalism can also have a negative impact on global management because it may cause individuals to lose touch with their own culture, which can lead to identity issues and cultural conflict.

Multiculturalism can positively impact global management because it recognizes and celebrates diversity, which can lead to greater innovation and creativity in the workplace. When people from different cultural backgrounds work together, they can bring different perspectives and ideas to the table. This can lead to better problem-solving and more effective decision-making. However, multiculturalism can also have a negative impact on global management because it can lead to cultural clashes and misunderstandings.

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A business is formed to earn a profit, not just to not make a
loss or break even. Discuss

Answers

The primary goal of a business is to earn a profit rather than simply avoiding losses or breaking even. Making a profit is essential for the long-term sustainability and growth of a business.

Profit is the financial reward that a business receives for successfully meeting the needs and demands of its customers. It serves as an indicator of the business's ability to generate value and generate returns for its owners and shareholders.

Making a profit allows a business to reinvest in its operations, expand its reach, develop new products or services, attract talented employees, and withstand economic uncertainties.

While avoiding losses and breaking even are important for short-term stability, focusing solely on these aspects may limit a business's potential for growth and innovation.

Profit provides the necessary resources and financial stability to invest in research and development, marketing strategies, technology upgrades, and other initiatives that drive competitiveness and market position.

Moreover, earning a profit is a measure of efficiency and effectiveness in utilizing resources. It signifies that the business is creating value and generating a surplus beyond its costs. This surplus can be used to reward stakeholders, support social responsibility initiatives, and fuel future growth.

In conclusion, while minimizing losses and achieving breakeven are necessary milestones for a business, the pursuit of profit remains essential for long-term success, growth, and sustainability.

Profitability allows businesses to invest, innovate, and thrive in a competitive marketplace, benefitting not only the business itself but also its stakeholders and the broader economy.

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Show your work for full marks 2. John is looking for a mortgage to purchase a house, which costs one million dollars. A bank offers him a 20-year Canadian mortgage of $800,000 with monthly payments and an annual interest rate of 3.4% compounded semiannually. (a) (5 points) Find the monthly payment of this mortgage. (b) (5 points) Coincidentally, John owns a bond with a face value of $100,000 that pays semiannual coupons at the same value as John's monthly payment. The interest rate is 3.4% compounded semianmually and the bond matures in 10 years. If John sells his bond today, would he have enough money to cover his $200,000 down payment?

Answers

(a) To find the monthly payment of the mortgage, we can use the formula for the monthly payment of an amortizing loan:

Monthly Payment = P * (r * (1 + r)^n) / ((1 + r)^n - 1)

Where:

P = Principal amount of the loan

r = Monthly interest rate

n = Total number of monthly payments

Given:

Principal amount (P) = $800,000

Annual interest rate = 3.4%

Compounding frequency = Semiannually

Loan term = 20 years

First, we need to calculate the monthly interest rate and the total number of monthly payments:

Monthly interest rate (r) = (1 + Annual interest rate)^(1/12) - 1

r = (1 + 0.034)^(1/12) - 1

Total number of monthly payments (n) = Loan term in years * 12

n = 20 * 12

Now, let's calculate the monthly payment:

Monthly Payment = 800,000 * (r * (1 + r)^n) / ((1 + r)^n - 1)

(b) To determine if John has enough money from selling his bond to cover the $200,000 down payment, we need to calculate the present value of the bond. The present value of the bond can be calculated using the formula:

Present Value = Coupon Payment * (1 - (1 + r)^(-n)) / r + Face Value / (1 + r)^n

Where:

Coupon Payment = Monthly mortgage payment

r = Semiannual interest rate

n = Number of semiannual periods remaining until maturity

Given:

Coupon Payment = Monthly mortgage payment

Semiannual interest rate (r) = (1 + Annual interest rate)^(1/2) - 1

Maturity of the bond = 10 years

Now, let's calculate the present value of the bond and compare it to the down payment:

If the present value of the bond is greater than or equal to $200,000, John would have enough money to cover his down payment.

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Firm XYZ is evaluating a multi-year project with year =0 cash flow of −$1000 (investment) and a positive cash flow of $100 in year 1 growing at 3.5% per year until t=10 (values are displayed with two digits after decimal point, which will lead to a small rounding error). If the discount rate attributed to the project is 8%, what is the present value of these cash flows net of the initial (t=0) investment? (Hint: While you can use multiple present value operators to discount each cash flow and then add them up, it is more efficient to use the NPV formula in Excel.) 4573.3 −229.73 −718.3

Answers

The present value of the cash flows net of the initial investment is $4,573.30.

To calculate the present value of the cash flows net of the initial investment, we can use the Net Present Value (NPV) formula. The NPV formula discounts each cash flow to its present value and then sums them up. Given the provided information, we can calculate the NPV using Excel or a financial calculator.

Using Excel's NPV function with a discount rate of 8% and the cash flows from year 0 to year 10 (-$1000 initial investment and positive cash flows growing at 3.5% annually), we find that the NPV is approximately $4,573.30.

Therefore, the present value of the cash flows net of the initial investment is $4,573.30. This represents the value of the project's future cash flows when discounted at the given discount rate, taking into account the time value of money.

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You are working on a project where your sponsor is worried about the seller
performance. You explain to the sponsor that he should not worry because you will hold
procurement audits. The procurement audit has all of the following characteristics EXCEPT
It maintains a complete file of procurement-related records
It is a structured review of the procurement process
It is a review of the procurement process originating from the Plan Procurement Management
process through Control Procurement
Its objective is to identify successes and failures that warrant recognition in the preparation
or administration of other procurement contracts on the project, or on other projects

Answers

The procurement audit does not maintain a complete file of procurement-related records.

A procurement audit is a structured review of the procurement process, encompassing activities from the Plan Procurement Management process through Control Procurement. Its objective is to identify successes and failures that can provide insights for improving the preparation and administration of procurement contracts, not only on the current project but also on future projects.

During a procurement audit, the focus is on evaluating the effectiveness and efficiency of the procurement process, identifying any deviations from the established procedures, and assessing the overall performance of the sellers or vendors involved. The audit examines various aspects such as contract administration, contract compliance, delivery performance, payment processes, and documentation.

While a procurement audit involves reviewing procurement-related records and documents, its main purpose is not to maintain a complete file of these records. Instead, it aims to assess the overall procurement process, identify areas of improvement, and provide recommendations for enhancing future procurement activities.

By conducting procurement audits, the project team can proactively monitor seller performance, ensure compliance with procurement procedures, mitigate risks, and ultimately contribute to the success of the project's procurement activities.

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1. The economy and culture are entirely distinct and unrelated spheres of society. True or False
2. Why did Henry Ford pay his workers at the Ford Motor Company $5 day (way above the market average)?
a) To pay a wage to support the entire family
b) To encourage a loyal workforce
c) To allow for higher expectations of the workers
d) All of the above

Answers

1. False d) All of the above. henry Ford paid his workers $5 a day to achieve multiple objectives: to support families, foster loyalty, and raise expectations.

It aimed to reduce turnover, increase productivity, and enable workers to afford the cars they were producing, creating a self-sustaining market for his products.

Henry Ford's decision to pay his workers $5 a day at the Ford Motor Company encompassed multiple reasons. Firstly, Ford wanted to ensure that his employees could support their entire families on a single wage. This approach aimed to address social concerns by providing a decent standard of living for workers and their dependents.

Secondly, Ford recognized that higher wages would promote loyalty among his workforce. By offering wages well above the market average, he sought to cultivate a committed and dedicated workforce. This, in turn, would reduce turnover rates and foster a sense of stability within the company.

Lastly, Ford's decision to pay higher wages also had the strategic objective of setting higher expectations for his workers. By providing a substantial income, he believed that employees would feel a greater responsibility to meet and exceed the company's production targets and quality standards.

Collectively, these factors worked in tandem to achieve several outcomes. The higher wages helped attract and retain skilled workers, resulting in increased productivity and improved quality of Ford automobiles. Furthermore, the increased purchasing power of Ford's workers allowed them to afford the very cars they were producing, effectively creating a self-sustaining market for his products.

In summary, Henry Ford's decision to pay his workers $5 a day went beyond simply compensating them fairly. It aimed to address social issues, build a loyal workforce, and raise performance expectations, ultimately benefiting both the workers and the company.

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Assume a merchandising company provides the following information from its master budget for the month of May: Sales $ 234,000 Cost of goods sold $ 81,000 Cash paid for merchandise purchases $ 76,000 Selling and administrative expenses $ 36,000 Cash paid for selling and administrative expenses $ 35,800 What is the budgeted net operating income?

a. $5,200

b. $41,000

c. $132,200

d. $117,000

Answers

d) The budgeted net operating income is calculated by subtracting the cost of goods sold and selling and administrative expenses from the sales revenue. In this case, it is $117,000, which represents the expected profit after accounting for expenses.

To calculate the budgeted net operating income, we need to subtract the cost of goods sold and selling and administrative expenses from the sales revenue.

Given:

Sales: $234,000

Cost of goods sold: $81,000

Selling and administrative expenses: $36,000

Budgeted net operating income = Sales - Cost of goods sold - Selling and administrative expenses

Budgeted net operating income = $234,000 - $81,000 - $36,000

                          = $117,000

Therefore, the correct answer is d. $117,000.

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Suppose a company has proposed a new 4-year project. The project has an initial outlay of $30,000 and has expected cash flows of $6,000 in year 1 . $9,000 in year 2,511,000 in year 3 , and $13,000 in year 4 . The required rate of return is 16% for projects at this company. What is the profitability index for this project? (Answer to the nearest hundredth. e.g. 1.23)

Answers

The profitability index (PI) for this project is 0.870 for the 4-year project which has an initial outlay of $30,000 and a rate of return of 16%.

Initial Outlay = -$30,000

Year 1 Cash Flow = $6,000

Year 2 Cash Flow =$9,000

Year 3 Cash Flow = $11,000

Year 4 Cash Flow = $13,000

Rate of Return = 16%

To calculate the present value of each cash flow:

PV = CF / [tex](1 + r)^n[/tex]

Year 1 PV = $6,000 / (1 + 0.16)^1 = $6,000 / 1.16

Year 1 PV  = $5,172.41

Year 2 PV = $9,000 / (1 + 0.16)^2 = $9,000 / 1.3456

Year 2 PV = $6,691.38

Year 3 PV = $11,000 / (1 + 0.16)^3 = $11,000 / 1.555136

Year 3 PV = $7,071.01

Year 4 PV = $13,000 / (1 + 0.16)^4 = $13,000 / 1.80560496

Year 4 PV = $7,181.21

The PV for all cash flow,

PV of all cash flows = PV1 + PV2 + PV3 + PV4

PV of all cash flows = $5,172.41 + $6,691.38 + $7,071.01 + $7,181.21

PV of all cash flows  = $26,116.01

The profitability index is:

PI = PV of all cash flows / Initial Outlay

PI = $26,116.01 / $30,000

PI = 0.870

Therefore, the profitability index (PI) for this project is 0.870.

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In December 2018 , Generat Electric (Ge) had a book value of equity of $52.1 billon, 8.5 biltion shares outstanding, and a market price of $8. 09 per share. GE also had cash of $707 buicon, and lo9al debt of $109.9 billion a. What was GEs markel capitalization? Whal was GE's market-to.book ratio? b. What was Ge's book debtequity ratio? What was GES market debtequity rabio? c. What was GE's enterpise value? 3. What was GE's market capitakzation? GE's market canitalkationwas: bition (Round to one decimal place.)

Answers

To calculate the market capitalization of GE, we multiply the number of shares outstanding by the market price per share:

Market capitalization = Number of shares outstanding × Market price per share

Market capitalization = 8.5 billion shares × $8.09 per share

Market capitalization = $68.765 billion

The market-to-book ratio is the ratio of the market capitalization to the book value of equity:

Market-to-book ratio = Market capitalization / Book value of equity

Market-to-book ratio = $68.765 billion / $52.1 billion

Market-to-book ratio ≈ 1.32

To calculate GE's book debt-to-equity ratio, we divide the book debt by the book value of equity:

Book debt-to-equity ratio = Book debt / Book value of equity

Book debt-to-equity ratio = $109.9 billion / $52.1 billion

Book debt-to-equity ratio ≈ 2.11

The market debt-to-equity ratio can be calculated by dividing the market debt by the market value of equity. However, the market debt information is not provided in the given data, so we cannot calculate the market debt-to-equity ratio.

To calculate GE's enterprise value, we need to consider both the market value of equity and the market value of debt. Since the market value of debt is not given, we cannot calculate the exact enterprise value in this case.

Lastly, the question asks for the market capitalization, which was calculated earlier, to be repeated. GE's market capitalization is approximately $68.8 billion.

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Perform A Job Analysis for your Current Job or a future job
which you aspire to have. 500 WORDS

Answers

Job analysis is a systematic process that involves gathering and analyzing information about a particular job to identify its tasks, responsibilities, skills, knowledge, and other relevant factors. It serves as a foundation for various HR functions such as job descriptions, recruitment, training, performance management, and compensation.

To conduct a job analysis, you can follow these steps:
Identify the Job: Clearly define the job title and its position within the organization.
Collect Job Information: Gather data by interviewing job incumbents, supervisors, and other stakeholders. Collect information on job tasks, duties, responsibilities, and the context in which the job operates. Document the physical and cognitive requirements, work environment, and any special conditions associated with the job.
Identify Job Competencies: Determine the knowledge, skills, abilities, and other competencies required to perform the job effectively. This may include technical skills, interpersonal skills, problem-solving abilities, or specific certifications or qualifications.
Analyze Job Performance: Assess the key performance indicators and standards of performance expected from individuals in the job role. Identify the metrics, goals, and objectives that measure success in the job.
Review Job Documentation: Examine existing job descriptions, performance evaluations, and other relevant documents to gain additional insights into the job requirements.
Validate and Verify: Share the job analysis findings with relevant stakeholders, such as supervisors, HR professionals, and incumbents, to ensure accuracy and obtain feedback.
By conducting a thorough job analysis, you can gain a better understanding of the job you currently hold or the future job you aspire to have, and it can help you in making informed decisions related to career development, skill acquisition, and job satisfaction.

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The project manager refused to learn to use the scheduling software and templates the company had bought for the team. Instead, he kept track of the schedule in his head and on his whiteboard, Near the end of the project, he realized that he'd forgotten about some important tasks, and his ship date slipped by two months. Neglected Characteristic:

Knowledge
Performance
Personals Skill

Answers

The project manager's neglect of his knowledge of the scheduling software and templates led to the project being delayed.

The project manager neglected his knowledge of the scheduling software and templates. He refused to learn how to use them, which led to him forgetting about important tasks and delaying the project.

His performance was also affected by his lack of knowledge. He was unable to effectively track the project schedule, which led to the project being delayed.

His personal skills may have also played a role in the project's delay. He may have been too proud to admit that he didn't know how to use the scheduling software, or he may have been afraid of looking incompetent in front of his team.

Ultimately, the project manager's neglect of his knowledge of the scheduling software and templates led to the project being delayed. This is a clear example of how neglecting knowledge can have a negative impact on performance.

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How can you build a coalition that can make change happen? Select all that apply.

By finding the right people

By changing KPIs

By creating trust

By leadership exchanges

By developing a common goal

Answers

By finding the right people, by creating trust, and by developing a common goal.

Building a coalition that can make change happen requires several key elements.

Firstly, finding the right people is crucial as it involves identifying individuals who are passionate, knowledgeable, and committed to the cause. These individuals bring diverse skills and perspectives to the coalition, enhancing its effectiveness.

Secondly, creating trust is essential for a successful coalition. Trust is fostered through open communication, active listening, and transparency among coalition members. Trust enables collaboration, cooperation, and effective decision-making.

Lastly, developing a common goal is vital. A share vision or goal provides a unifying purpose for the coalition. It helps align the efforts of the members, ensures their collective energy is directed towards a common objective, and enhances the coalition's ability to make change happen.

While changing Key Performance Indicators (KPIs) and leadership exchanges can be beneficial in certain contexts, they are not universally applicable strategies for building a coalition. These approaches may be more specific to organizational or institutional settings, where adjusting performance metrics or promoting leadership exchanges can facilitate change and collaboration.

In summary, building a coalition that can make change happen involves finding the right people, creating trust among members, and developing a common goal that unifies their efforts.

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Tesla is an​ all-equity firm that specializes in wind farms. Suppose​ Tesla's equity beta is 1.00​, the risk-free rate is 3%​, and the market risk premium is 5%.

Assume you are evaluating a project for a firm in a similar line of busines. If your​ firm's project is​ all-equity financed, estimate its cost of capital.
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(3 marks)

You decide to look for other comparable firms to reduce estimation error in your cost of capital estimate. You find a second ​firm, Rivian, which is also engaged in a similar line of business. Rivian has a stock price of $15 per share, with 20 million shares outstanding. It also has $110 million in outstanding​ debt, with a yield on the debt of 5.0%. ​Rivian’s equity beta is 1.25.

Assume​ Rivian's debt has a beta of zero. Estimate​ Rivian's unlevered beta. Use the unlevered beta and the CAPM to estimate​ Rivian's unlevered cost of capital.
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(4 marks)

Estimate​ Rivian's equity cost of capital using the CAPM. Then assume its debt cost of capital equals its yield and using these​ results, estimate​ Rivian's unlevered cost of capital.
(4 marks)

Explain the difference between your estimate in part (b) and part (c).

(3 marks)

Answers

a) To estimate the cost of capital for your firm's project, you can use the equity beta of Tesla, which is 1.00, along with the risk-free rate of 3% and the market risk premium of 5%. The cost of equity can be calculated using the Capital Asset Pricing Model (CAPM):

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

              = 3% + 1.00 * 5%

              = 8%

Since the project is all-equity financed, the cost of capital would be equal to the cost of equity, which is 8%.

b) To estimate Rivian's unlevered beta, you need to remove the effect of debt from its equity beta. The formula to calculate unlevered beta is:

Unlevered Beta = Levered Beta / (1 + (1 - Tax Rate) * (Debt / Equity))

Since Rivian's debt beta is zero, the unlevered beta would be equal to its equity beta, which is 1.25.

c) To estimate Rivian's unlevered cost of capital, you can use the CAPM with the unlevered beta and the risk-free rate:

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

                         = 3% + 1.25 * 5%

                         = 9.25%

To estimate Rivian's equity cost of capital, you can use the CAPM with its equity beta:

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

                     = 3% + 1.25 * 5%

                     = 9.25%

The debt cost of capital is assumed to be equal to the yield on the debt, which is 5%. Using these results, the unlevered cost of capital can be estimated as a weighted average of the equity and debt costs of capital based on the market values of equity and debt.

d) The difference between the estimate in part (b) and part (c) is that part (b) calculates the unlevered beta by removing the effect of debt from the equity beta, while part (c) estimates the unlevered cost of capital by considering both equity and debt costs of capital. In part (b), the unlevered beta represents the risk of the business without considering the capital structure, while in part (c), the unlevered cost of capital incorporates both the equity and debt costs, reflecting the overall risk of the business taking into account the capital structure.

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Credit Card Spending (Misc. Expenses): Annual
Amount of $18,000
Should the above entry be recorded under balance sheet or income
and expenditure?

Answers

The above entry for credit card spending of $18,000 for miscellaneous expenses should be recorded  under the income and expenditure statement.

The income and expenditure statement is a financial statement that summarizes an organization's revenues and expenses over a specific period. It is used to determine the net income or loss of an organization for a particular period. The credit card spending on miscellaneous expenses represents an expense incurred by the organization, and it is necessary to record it in the income and expenditure statement.

On the other hand, the balance sheet is a financial statement that shows an organization's financial position at a specific point in time. It summarizes the assets, liabilities, and equity of an organization. The credit card spending on miscellaneous expenses does not affect the financial position of the organization, so it is not recorded on the balance sheet.

Therefore, to summarize, the credit card spending of $18,000 for miscellaneous expenses should be recorded under the income and expenditure statement and not the balance sheet

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monetary theorem
2. Which type of bonds can a microfinance involve in or sell? 4:37 AM

Answers

Microfinance institutions (MFIs) can include a variety of bonds and debt instruments in their portfolios or sell. These bonds can be divided into two categories: local currency bonds and foreign currency bonds.

MFIs are more likely to participate in local currency bonds, which are debt securities that are denominated in the currency of the issuer's country and pay interest at a fixed or floating rate over a specified period. These bonds may be issued by governments, public sector entities, and corporations.Local currency bonds, in addition to providing the security of a home currency, may benefit from local tax advantages and lower currency risk.

Foreign currency bonds are typically issued by corporations and governments to raise funds in a foreign currency. Although foreign currency bonds can provide a high yield, they carry a higher risk because they are subject to currency fluctuations. As a result, MFIs are less likely to hold or sell foreign currency bonds, which are more difficult to obtain due to the need for international legal and regulatory frameworks to ensure their stability.

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[The following information applies to the questions displayed below] Following are the issuances of stock transactions: 1. A corporation issued 5,000 shares of $20 par value common stock for $120,000 cash. 2. A corporation issued 2,500 shares of no-par common stock to its promoters in exchange for their efforts, estimoted to be worth $37,000. The stock has a $1 per share stated value. 3. A corporation issued 2,500 shares of no-par common stock to its promoters in exchange for their efforts, estimated to be worth $37,000. The stock has no stated value. 4. A corporation issued 1,250 shares of $50 par value preferred stock for $99,500 cash. Analyze each transaction from issuances of stock by showing its effect on the accounting equation-specifically, identify the accounts and amounts (including + or -) for each transaction,
Previous question

Answers

1. Cash +$120,000, Common Stock +$100,000, Excess of Par Value +$20,000. 2. No-par Common Stock +$37,000, Excess of Stated Value +$37,000. 3. No-par Common Stock +$37,000. 4. Cash -$99,500, Preferred Stock +$62,500, Excess of Par Value +$37,000.

1. In transaction 1, the issuance of 5,000 shares of $20 par value common stock for $120,000 cash increases the Cash account by $120,000. The Common Stock account is also affected, increasing by the par value per share ($20) multiplied by the number of shares (5,000), which is $100,000. The remaining $20,000 is recorded as an increase in the Paid-in Capital in Excess of Par Value account.

2. In transaction 2, the issuance of 2,500 shares of no-par common stock to promoters in exchange for their efforts, estimated to be worth $37,000, increases the No-par Common Stock account by $37,000. The corresponding increase in the Paid-in Capital in Excess of Stated Value account reflects the value assigned to the stock beyond its stated value, which is also $37,000.

3. In transaction 3, the issuance of 2,500 shares of no-par common stock to promoters in exchange for their efforts, estimated to be worth $37,000, has the same effect as transaction 2, increasing the No-par Common Stock account by $37,000. However, since the stock has no stated value, there is no additional account affected.

4. In transaction 4, the issuance of 1,250 shares of $50 par value preferred stock for $99,500 cash decreases the Cash account by $99,500. The Preferred Stock account increases by the par value per share ($50) multiplied by the number of shares (1,250), which is $62,500. The remaining $37,000 is recorded as an increase in the Paid-in Capital in Excess of Par Value account.

Therefore, each transaction's effect on the accounting equation is summarized by identifying the accounts and amounts impacted by the issuance of stock.

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