Sierra Conpany is considering a long-term investment project called ZiP. ZIP. will require an itwestment of $261,120. It will have a useful life of four years and no salvage value. Annual cashinflows would increase by $174,080, and annual cash outflows would increase ty $89,216. The company's required rate of return is 12%. Calculate the internal rate of return on this project. (Round answer to 1 decimal place, eg. 12.4 %]
Identify whethet the project should be accepted or rejected.

Answers

Answer 1

The internal rate of return (IRR) is a measure used to evaluate the profitability of an investment project. To calculate the IRR for the ZiP project, we need to determine the discount rate that makes the net present value (NPV) of the project's cash flows equal to zero.

The investment cost for the ZiP project is $261,120, and it has a useful life of four years with no salvage value. The annual cash inflows would increase by $174,080, and the annual cash outflows would increase by $89,216. We'll calculate the NPV of these cash flows using a discount rate equal to the required rate of return of 12%.

By discounting the cash flows and calculating the NPV, we can determine the internal rate of return. If the NPV is positive, it means the project's IRR is higher than the required rate of return, indicating that the project should be accepted. Conversely, if the NPV is negative, the project's IRR is lower than the required rate of return, and it should be rejected.

The specific calculations for the NPV and IRR require more detailed calculations using the formula for present value and the discounted cash flow method.

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Related Questions

Jeff has been extremely aggressive since childhood. He pursues a career in boxing, which provides a socially acceptable channel to express his aggression. This scenario best illustrates the defense mechanism called

Answers

The scenario described best illustrates the defense mechanism called sublimation.

Sublimation is a psychological defense mechanism in which socially unacceptable impulses, such as aggression, are channeled into socially acceptable activities or outlets. In this case, Jeff's aggressive tendencies are redirected into the sport of boxing, which provides a legitimate and socially accepted avenue for expressing and channeling his aggression.

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Suppose you hold LLL employee stock options representing options to buy 10,700 shares of LLL stock. You wish to nedge your position by buying out options with three- month expirations and a 32742 strike orice. LLL accountants estimated the value of month exoirations and a $2742 strike orice. LLL accountants estimated the value of
these options using the black-scoles-Merton formula and the following assumptions:
S = current stock price = 87594
K = option strike price = $28.07
re ack-tree interest rate sos
0 = stock volatility = 0.28
T = time to expiration = 3.5 years How many put option contracts are required? Note that such a trade may not be
permitted oy the covenants of many ESO plans. even if the trade were permitted, it could
de considereo unencan

Answers

To hedge your position in LLL employee stock options, you would need to buy put options with a three-month expiration and a strike price of $32.74.

The value of these options can be estimated using the Black-Scholes-Merton formula, considering the current stock price, option strike price, risk-free interest rate, stock volatility, and time to expiration. The number of put option contracts required would depend on the number of shares represented by your employee stock options and the contract specifications.

To determine the number of put option contracts required for hedging, you would need to consider the number of shares represented by your LLL employee stock options. Since the question does not provide information about the number of shares per option contract, it is not possible to calculate the exact number of contracts needed. However, the calculation can be done by dividing the total number of shares (10,700) by the number of shares per option contract.

The value of the put options can be estimated using the Black-Scholes-Merton formula, which takes into account the current stock price (S), option strike price (K), risk-free interest rate (r), stock volatility (σ), and time to expiration (T). By plugging in the provided values, you can calculate the estimated value of each put option contract.

It's important to note that this trade may not be permitted by the covenants of many employee stock option (ESO) plans. Additionally, even if the trade were permitted, it should be considered carefully, taking into account factors such as potential restrictions, costs, and the overall investment strategy.

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Find the annual depreciation expenses for the following items: a) Original cost is $35,000 for an asset in the three-year class. b) Original cost is $70,000 for an asset in the five-year class.

Answers

a) The annual depreciation expense for the asset in the three-year class is $11,667.

b) The annual depreciation expense for the asset in the five-year class is $14,000.

Depreciation is the allocation of the cost of an asset over its useful life. The depreciation expense is spread evenly over the number of years the asset is expected to be used. To calculate the annual depreciation expense, we divide the original cost of the asset by its useful life in years.

a) For the asset in the three-year class with an original cost of $35,000, the annual depreciation expense would be $35,000 divided by 3 years, which equals $11,667.

b) For the asset in the five-year class with an original cost of $70,000, the annual depreciation expense would be $70,000 divided by 5 years, which equals $14,000.

In both cases, the depreciation expense is calculated by dividing the original cost by the useful life of the asset. This method allows for a systematic and consistent approach to allocating the cost of the asset over its expected lifespan.

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organizations usually use only one method for forecasting sales. T/F

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Sales forecasting is the process of predicting future sales levels for a particular product or service. Sales forecasts are usually derived using quantitative techniques such as predictive analysis, data mining, and machine learning, as well as subjective techniques such as expert judgment and past experience. There are various forecasting methods that businesses use for forecasting sales. Depending on the product, industry, and company needs, the most suitable approach can vary. Here are some common forecasting methods used for sales:

Qualitative forecasting methods, Combination forecasting method etc.

Therefore the statement "organizations usually use only one method for forecasting sales" is False.

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"1 What are the mission and vision of CUMC? How do they affect
Fung's decision?
2 Why did CUMC go out to tender for its 3PL in medical consumables
and pharmaceuticals?

Answers

1. The mission of CUMC (Columbia University Medical Center) is to advance the health of individuals and communities through innovative research, education, and patient care.

Its vision is to be a global leader in healthcare and biomedical sciences. Fung's decision may be influenced by CUMC's mission and vision as they reflect the organization's commitment to excellence and cutting-edge healthcare, which could impact the selection of a reliable and efficient 3PL provider.

2. CUMC went out to tender for its 3PL in medical consumables and pharmaceuticals to ensure the selection of a qualified and cost-effective partner. Tendering allows CUMC to assess various providers, their capabilities, pricing, and quality of service. It promotes transparency, competition, and ultimately helps CUMC make an informed decision that aligns with its goals of providing high-quality healthcare while optimizing efficiency and cost-effectiveness.

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P7-2 Analyzing the Effects of Four Alternative Inventory Methods LO7-2

Kirtland Corporation uses a periodic inventory system. At the end of the annual accounting period, December 31, the accounting records for the most popular item in inventory showed the following:

Transactions Units Unit Cost
Beginning inventory, January 1 480 $3.00
Transactions during the year:
a. Purchase, January 30 380 4.20
b. Purchase, May 1 540 4.00
c. Sale ($5 each) (240)
d. Sale ($5 each) (780)

Required:

a. Compute the amount of goods available for sale.

Answers

The statement "P7-2 Analyzing the Effects of Four Alternative Inventory Methods LO7-2d. Sale ($5 each) (780)" is not enough to compute the amount of goods available for sale. It is important to have more details on the given information such as the beginning inventory, purchases, ending inventory, and the alternative inventory methods used.

These details are necessary to compute for the goods available for sale.Goods available for sale is computed by adding the beginning inventory and purchases. This amount is then adjusted based on the ending inventory at the end of the accounting period.

The formula for computing the goods available for sale is:Beginning inventory + Purchases - Ending inventory = Goods available for saleWithout additional details, it is impossible to compute for the goods available for sale. Please provide more information so that we can assist you better.

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Last year​ Baker-Huggy Inc. had fixed costs of ​$170000 and net operating income of ​$30000. If sales increase by ​18 percent, by how much will the​ firm's NOI​ increase? What would happen to the​ firm's NOI if sales decreased by ​22 percent?

If sales increase by ​18%, the change in the​ firm's NOI will be (a decrease or increase) of ______%.

Answers

If sales increase by 18%, the firm's NOI will increase by $5,400, and if sales decrease by 22%, the firm's NOI will decrease by $6,600.

Calculating the change in NOI for both scenarios:

NOI = Net Operating Income - Fixed Costs

1)

If sales increase by 18%:

Sales Increase = 18% = 0.18

Fixed costs = $170,000

Net Operating Income = $30,000

Calculating new net operating Income

= Net Operating Income + (Sales Increase x Net Operating Income)

= $30,000 + (0.18 x $30,000)

= $30,000 + $5,400

= $35,400

Calculating the change in NOI:

= New Net Operating Income - Net Operating Income

= $35,400 - $30,000

= $5,400

2. If sales decrease by 22%:

Sales Decrease = -22% = -0.22

Fixed costs = $170,000

Net Operating Income = $30,000

Calculating new net operating Income

= Net Operating Income + (Sales Increase x Net Operating Income)

= $30,000 + (-0.22 x $30,000)

= $30,000 - $6,600

= $23,400

Calculating the change in NOI:

= New Net Operating Income - Net Operating Income

= $23,400 - $30,000

= -$6,600

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For a price ceiling to have an impact on a market it: Select one: a. must be set above the equilibrium price. b. must be set below the equilibrium price. c. must be set at the equilibrium price. d. can lead more goods to be produced in a market.

Answers

For a price ceiling to have an impact on a market, it must be set below the equilibrium price. Therefore, option (b) is the correct answer. It aims to lower the price for consumers, but it can also lead to unintended consequences and market inefficiencies due to the resulting shortage.

A price ceiling is a government-imposed maximum price that can be charged for a good or service. When the price ceiling is set below the equilibrium price, it creates a shortage in the market. At the lower price, the quantity demanded by consumers exceeds the quantity supplied by producers, leading to excess demand or a shortage.

By setting the price ceiling below the equilibrium price, the government aims to make the good or service more affordable and accessible to consumers. However, this can create unintended consequences. The shortage resulting from the price ceiling may lead to various issues such as long waiting times, black markets, reduced quality, or reduced investment in production.

Therefore, a price ceiling must be set below the equilibrium price to have an impact on a market.

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If AB, Inc. had salaries payable of $9,000 at the end of last year, paid $27,000 cash for salaries this year, how would AB record the payment
a. Salary Expense 18,000
Salary Payable 9,000
Cash 27,000

b.Salary Expense 27,000
Cash 27,000

c. Salary Expense 27,000
Salary Payable 9,000
Cash 36,000

d. Salary Payable 27,000
Cash 27,000

e. Some other entry

Answers

The correct answer is: c. Salary Expense $27,000, Salary Payable $9,000, Cash $36,000.

When AB, Inc. pays $27,000 in cash for salaries, the entry to record the payment would be as follows:

Salary Expense $27,000

Salary Payable $9,000

Cash $36,000

Explanation:

Salary Expense is debited to recognize the expense of the salaries paid during the year, which is $27,000.

Salary Payable is credited with the amount of the unpaid salaries from the previous year, which is $9,000.

Cash is credited for the cash payment made in the current year, which is $36,000.

By recording the entry in this manner, the Salary Payable account is reduced by $9,000 to reflect the payment made, and the remaining $18,000 of the Salary Expense is recognized as an expense for the current year. The Cash account is credited for the total cash payment of $36,000.

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Toys Ahoy! has 1,070 action figures in inventory that cost $6.35 per unit to produce. Due to changing consumer preferences, the sales department is having great difficulty selling the action figures, and Toys Ahoy! must choose between two options. Option 1-scrap (dispose of) the action figures at a total cost of $1070 (for transportation and landfill fees); Option 2-rework all of the action figures, at a total cost of $1453 in labor and materials, and sell them to a local toy store for a total of $879. Question: What is the value of reworking the action figures and selling them to the toy store?

Answers

The value of reworking the action figures and selling them to the toy store is -$574, which indicates a loss.

The value of reworking the action figures and selling them to the toy store can be determined by comparing the total cost of reworking the figures and the revenue generated from selling them.

In this case, the total cost of reworking the action figures is $1453, and the revenue from selling them to the toy store is $879. To calculate the value, we subtract the total cost from the revenue.

Value = Revenue - Total Cost

Value = $879 - $1453

Value = -$574

The value of reworking the action figures and selling them to the toy store is -$574, which indicates a loss. This means that the cost of reworking the figures exceeds the revenue generated from selling them. In this situation, choosing Option 2 would result in a negative financial outcome for Toys Ahoy!.

The negative value suggests that it would be more financially beneficial for Toys Ahoy! to choose Option 1 and scrap the action figures. By disposing of the action figures, the company would incur a total cost of $1070, but this cost is lower than the loss incurred from reworking and selling the figures. Therefore, from a financial perspective, it would be more prudent for Toys Ahoy! to opt for Option 1 and minimize their losses.

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1. Explain how to use the free cash flow valuation model to find the price per share of common equity.

Answers

The free cash flow valuation model is used to determine the price per share of common equity. It involves calculating the present value of future free cash flows generated by a company and dividing it by the number of outstanding shares to derive the price per share.

The free cash flow valuation model is a widely used method to estimate the intrinsic value of a company's common equity. It focuses on the cash flows available to equity shareholders after accounting for capital expenditures and working capital requirements. The steps to use this model are as follows:

1. Calculate the Free Cash Flow (FCF): Determine the free cash flow generated by the company, which is the cash left after deducting capital expenditures and changes in working capital from the operating cash flow.

2. Estimate the Future Free Cash Flows: Forecast the company's future free cash flows over a specific time horizon, usually five to ten years. This can be done by analyzing historical performance, industry trends, and the company's competitive position.

3. Determine the Terminal Value: Estimate the value of the company beyond the forecast period by applying a suitable valuation multiple, such as the price-to-earnings (P/E) ratio or price-to-free cash flow (P/FCF) ratio.

4. Discount the Cash Flows: Calculate the present value of the forecasted free cash flows and the terminal value by applying an appropriate discount rate, typically the company's cost of capital.

5. Divide by Outstanding Shares: Divide the total present value of the cash flows by the number of outstanding shares to obtain the price per share of common equity.

It's important to note that the free cash flow valuation model relies on several assumptions and requires careful analysis of the company's financials and future prospects. It is also subject to market uncertainties and investor sentiment. Therefore, it's advisable to use this model in conjunction with other valuation approaches and consider a range of scenarios to arrive at a more comprehensive assessment of the stock's value.

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applied statistics and the sas programming language 5th edition ebook

Answers

Applied Statistics and the SAS Programming Language is a book written by Ronald Cody and Jeffrey Smith.

This book, fifth edition, is a comprehensive guide that teaches applied statistics, SAS programming language, and the SAS system. The Applied Statistics and the SAS Programming Language 5th edition eBook is suitable for students or professionals who want to learn and master applied statistics and SAS programming. The book also has a comprehensive chapter on graphics and data visualization.

The Applied Statistics and the SAS Programming Language 5th edition eBook covers the following topics:Introduction to the SAS SystemGetting Data into SASManipulating Data with SASDescriptive StatisticsInferential StatisticsGraphics and Data VisualizationRegression AnalysisAnalysis of VarianceAnalysis of Categorical DataModel Building with Regression

Analysis of Variance for Several FactorsMultivariate Statistical TechniquesClassification ProceduresSurvival AnalysisMany textbooks focus on theory rather than on practical applications. However, this book focuses on both, providing users with a thorough understanding of the theory and its practical applications.

Additionally, the book has numerous examples to help users comprehend the concept and apply them in real-world situations.

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Which level of management that creates standing plans, single-use plans and operational plans?
O top manager
O middle manager
O lower manager
O non-managerial personnel

Answers

Middle managers

Middle managers are responsible for creating standing plans, single-use plans, and operational plans. Standing plans are designed to be used repeatedly and include policies, procedures, and rules that guide organizational activities. Single-use plans are developed for specific, one-time events or unique situations. Operational plans are detailed plans that outline the specific actions and tasks required to achieve short-term goals and objectives. Middle managers are involved in translating the strategic decisions made by top managers into actionable plans at the operational level. They play a crucial role in implementing and coordinating the day-to-day activities of their respective departments or units within an organization.

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when a firm's total revenue exceeds all its economic costs

Answers

True, The firm is earning an economic profit when a firm's total revenue is greater than its total economic costs.

The company makes an economic profit when total sales surpass both explicit and hidden costs. Accounting profit is higher than economic profit. The economic cost is the sum of all losses involving items that have been valued by a single person. The economic cost is primarily used by economists as a tool to assess the wisdom of one course of action vs another. The amount of total revenue over entire costs constitutes economic profit. Economic profit is the surplus profit that the business owner obtains over the bare minimum necessary (the usual profit) by the owner of the company to remain in the specific business.

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Complete question:

When a firm's total revenue is greater than its total economic costs, the firm is earning an economic profit.

True/false

Transactions; financial statements On April 1, 20Y8, Maria Adams established Custom Realty. Maria completed the following transactions during the month of April: Opened a business bank account with a deposit of $31,000 in exchange for common stock. Purchased supplies on account, $3,100. Paid creditor on account, $1,960. Earned sales commissions, receiving cash, $31,650. Paid rent on office and equipment for the month, $6,200. Paid dividends, $10,000. Paid automobile expenses for month, $2,980, and miscellaneous expenses, $1,420. Paid office salaries, $3,730. Determined that the cost of supplies on hand was $1,040; therefore, the cost of supplies used was $2,060. Required: Question Content Area 1. Indicate the effect of each transaction and the balances after each transaction. For those boxes in which no entry is required, leave the box blank. If required, enter negative values as negative numbers using a minus sign.

Answers

The effect of each transaction and the balances after each transaction are as follows:

1. Opened a business bank account with a deposit of $31,000 in exchange for common stock:

  - Cash increases by $31,000.

  - Common stock increases by $31,000.

2. Purchased supplies on account, $3,100:

  - Supplies increase by $3,100.

  - Accounts payable increases by $3,100.

3. Paid creditor on account, $1,960:

  - Accounts payable decreases by $1,960.

  - Cash decreases by $1,960.

4. Earned sales commissions, receiving cash, $31,650:

  - Cash increases by $31,650.

  - Sales commissions revenue increases by $31,650.

5. Paid rent on office and equipment for the month, $6,200:

  - Rent expense increases by $6,200.

  - Cash decreases by $6,200.

6. Paid dividends, $10,000:

  - Dividends increase by $10,000.

  - Cash decreases by $10,000.

7. Paid automobile expenses for the month, $2,980, and miscellaneous expenses, $1,420:

  - Automobile expenses increase by $2,980.

  - Miscellaneous expenses increase by $1,420.

  - Cash decreases by $4,400.

8. Paid office salaries, $3,730:

  - Salaries expense increases by $3,730.

  - Cash decreases by $3,730.

9. Determined that the cost of supplies on hand was $1,040; therefore, the cost of supplies used was $2,060:

  - Supplies decrease by $2,060.

  - Supplies expense increases by $2,060.

Balances after each transaction:

- Cash: $9,750 ($31,000 - $1,960 + $31,650 - $6,200 - $10,000 - $4,400 - $3,730)

- Common stock: $31,000

- Supplies: $1,040 ($3,100 - $2,060)

- Accounts payable: $1,140 ($3,100 - $1,960)

- Sales commissions revenue: $31,650

- Rent expense: $6,200

- Dividends: $10,000

- Automobile expenses: $2,980

- Miscellaneous expenses: $1,420

- Salaries expense: $3,730

The main answer provides a summary of the effect of each transaction and the resulting balances after each transaction. It shows how each transaction impacts specific accounts, such as cash, common stock, supplies, accounts payable, revenue, and expenses.

The balances are updated based on the changes caused by each transaction, reflecting the overall financial position of the company after each event.

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b) The following information is for a proposed project that will provide the capability to produce a specialized product estimated to have a short market(sales) life: - A new product purchase that cost RM210,000 and transportation cost is RM 15,000 - Annual revenue is RM47,000 and annual maintenance expenses are RM12,000. - No salvage values - The project asset class is 00.26 - Refer to Appendix for MACRS Class Lives respectively. (i) Determine the Alternative Depreciation System (ADS) depreciation deductions, before taxes cash flow, taxable income, cash flow for income taxes and after-tax cash flow for this system, if an effective income tax rate of 35% is used by the company. (7 marks)

Answers

To calculate the Alternative Depreciation System (ADS) depreciation deductions, before taxes cash flow.

Step 4: Calculate the cash flow for income taxes by multiplying the taxable income by the effective income tax rate. Step 5: Calculate the after-tax cash flow by subtracting the cash flow for income taxes from the before-tax cash flow. Given information: New product purchase cost: RM 210,000 Transportation cost: RM 15,000 Annual revenue: RM 47,000 Annual maintenance expenses: RM 12,000 The ADS depreciation method uses the MACRS class lives. Since the asset class is 00.26, we refer to the Appendix for MACRS Class Lives and find that the class life for 00.26 is 7 years.

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Put Option A has strike price 32. Put option B is identical except that it has a strike price 34. Which of the following statements is true?
a. Impossible to tell with the information given.
b. Both will trade at the same premium
c. Option B is more expensive
d. Option A is more expensive

Answers

d. Option A is more expensive.

The statement that Option A is more expensive is true. In options trading, the premium of an option is influenced by several factors, including the strike price. Generally, as the strike price of a put option decreases (moves closer to the current market price of the underlying asset), the premium tends to increase.

In this case, Option A has a lower strike price of 32, while Option B has a higher strike price of 34.

Since Option A is closer to the current market price, it has a higher likelihood of being in the money (where the underlying asset's price is lower than the strike price) compared to Option B. As a result, Option A carries a higher intrinsic value and, therefore, will have a higher premium than Option B.

It's important to note that other factors, such as the time to expiration, implied volatility, and interest rates, can also influence the premium of options. However, based solely on the information given in the question, Option A is expected to be more expensive than Option B.

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Read the extract below and answer the questions that follow. ChemLee Manufacturing is a chemical manufacturing firm that produces and supplies various chemical substances. ChemLee Manufacturing employs 300 employees. However, the labour turnover rate experienced by ChemLee Manufacturing has escalated substantially over the years. This has compromised ChemLee’s ability to ensure efficient service delivery to its clients. As a consultant, you have been assigned to investigate the causes of labour turnover for ChemLee Manufacturing. You are also required to develop suitable strategies and resolutions for ChemLee Manufacturing.
1.1 Develop an appropriate title for the research study above.
1.2 Discuss the various steps in the research process that you would undertake.
1.3 Explain which research paradigm would be the most appropriate. Substantiate your answer.
1.4 Discuss the most suitable Research strategies to be used. Justify your answer.
1.5 Provide two (2) questions you would include on the research instrument.
1.6 Discuss the three (3) possible data collection methods that could be used for the study.

Answers

1.1 Title: "Causes of Labour Turnover and Strategies for Efficient Service Delivery at ChemLee Manufacturing"

1.2 Steps: Define problem, review literature, formulate questions/objectives, design methodology, collect data, analyze data, interpret results, draw conclusions/recommendations, report research.

1.3 Research Paradigm: Interpretivist paradigm for understanding subjective experiences and social context.

1.4 Research Strategies: Surveys, interviews, document analysis for comprehensive data collection.

1.5 Example Questions: 1) Factors influencing decision to leave, ranked by importance. 2) Recommendations to reduce turnover and improve service delivery.

1.6 Data Collection Methods: Surveys (quantitative), interviews (qualitative), focus groups (group discussions).

The various steps in the research process that would be undertaken are as follows:

Defining the research problem: Clearly identifying and understanding the issue at hand, which is the escalating labour turnover rate at ChemLee Manufacturing and its impact on service delivery.Reviewing existing literature: Conducting a thorough review of relevant literature and research studies on labour turnover in the manufacturing industry, examining factors contributing to high turnover rates, and exploring strategies to address the issue.Formulating research questions and objectives: Developing specific research questions and objectives that guide the investigation and provide a clear focus for the study.Designing the research methodology: Determining the most appropriate research approach, data collection methods, and sampling techniques based on the research objectives and available resources.Collecting data: Gathering relevant data through surveys, interviews, or other suitable methods to obtain insights into the causes of labour turnover and potential solutions.Analyzing data: Applying appropriate statistical or qualitative analysis techniques to examine the collected data and identify patterns, trends, and relationships.Interpreting results: Drawing meaningful conclusions from the data analysis and linking them to the research questions and objectives.Drawing conclusions and making recommendations: Summarizing the findings, discussing their implications, and providing recommendations for ChemLee Manufacturing to address the labour turnover issue and improve service delivery.Reporting and disseminating the research: Preparing a comprehensive research report that documents the entire study and communicates the findings, conclusions, and recommendations to relevant stakeholders.

The most appropriate research paradigm for this study would be the interpretivist paradigm. This paradigm emphasizes understanding the subjective experiences and interpretations of individuals within their social context. In the case of investigating the causes of labour turnover, it is important to delve into the perceptions, motivations, and experiences of the employees at ChemLee Manufacturing to gain a comprehensive understanding of the problem.

The most suitable research strategies to be used for this study would include:

Surveys: Conducting surveys among the employees of ChemLee Manufacturing to gather quantitative data on their reasons for leaving the company, their satisfaction levels, and their perceptions of the work environment. Surveys can provide a broad overview and allow for statistical analysis.Interviews: Conducting in-depth interviews with current and former employees, managers, and human resources personnel to gain qualitative insights into the factors contributing to labour turnover. Interviews provide an opportunity to explore personal experiences, motivations, and opinions in more depth.Document analysis: Reviewing internal company documents such as employee records, performance evaluations, exit interviews, and policies to gather additional information on the turnover rates, patterns, and any existing initiatives or policies aimed at retention.

Two questions that could be included on the research instrument are:

What factors do you believe contributed to your decision to leave ChemLee Manufacturing? In your opinion, what specific measures or strategies could ChemLee Manufacturing implement to reduce the turnover rate and improve service delivery?

The three possible data collection methods that could be used for the study are:

Surveys: Surveys can be conducted using online or paper-based questionnaires, allowing a large number of employees to participate. Interviews: In-depth interviews can be conducted with a smaller sample of employees, managers, and human resources personnel. Focus groups: Focus groups can be organized to bring together a small group of employees who have experienced or observed high turnover.

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which of the following best expresses fixed asset turnover?A. Current assets/Fixed assets

B. Revenue/Fixed assets

C. Fixed assets/Total return to shareholders

D. Fixed assets/Current liabilities

Answers

The statement that best expresses fixed asset turnover is B. Revenue/Fixed assets

Fixed asset turnover is a financial ratio that measures the efficiency and utilization of a company's fixed assets in generating revenue. It helps assess how effectively a company is using its fixed assets to generate sales.

The formula for fixed asset turnover is:

Fixed Asset Turnover = Revenue / Average Fixed Assets

Option B, "Revenue/Fixed assets," best expresses fixed asset turnover. This ratio calculates the company's revenue divided by the average value of its fixed assets. Revenue represents the top line of a company's income statement, while fixed assets include long-term assets such as property, plant, and equipment.

By dividing revenue by fixed assets, the ratio indicates how many dollars of revenue are generated for each dollar of fixed assets employed. A higher fixed asset turnover ratio indicates that the company is generating more sales per unit of fixed assets, which suggests better efficiency and utilization of those assets.

Options A, C, and D do not accurately represent fixed asset turnover. Option A divides current assets (short-term assets) by fixed assets, which is not a relevant ratio for measuring fixed asset turnover. Option C divides fixed assets by the total return to shareholders, which is unrelated to assessing asset efficiency. Option D divides fixed assets by current liabilities, which is a measure of liquidity rather than fixed asset turnover.

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Archen Division of Animo Inc makes and sells only one product. Annual data on the Archen Division's single product follow: Unit selling price of 950 , Unit variable cost of P30, Total fixed costs of P200,000. Archen's average operating assets amount to P750,000 and the minimum required rate of return is 12%. Suppose the manager of Archen desires a residual income of P45,000. In order to achieve this goal, Archen must sell how many units per year?
a 19,500 units
b 16,750 units
c 18,250 units
d 14,500 units

Answers

Archen Division must sell approximately 149 units per year to achieve the desired residual income of P45,000.

To calculate the number of units Archen Division must sell per year to achieve a desired residual income of P45,000, we can use the formula for residual income:

Residual Income = Operating Income - (Minimum Required Rate of Return × Average Operating Assets)

In this case, the operating income can be calculated as the difference between total sales revenue and total variable costs.

Operating Income = (Unit Selling Price × Number of Units Sold) - (Unit Variable Cost × Number of Units Sold)

We can set up the equation to solve for the number of units:

P45,000 = [(P950 × Number of Units) - (P30 × Number of Units)] - (0.12 × P750,000)

Simplifying the equation:

P45,000 = P920 × Number of Units - P9 × Number of Units - P90,000

Combining like terms:

P45,000 = P910 × Number of Units - P90,000

Rearranging the equation:

P910 × Number of Units = P135,000

Solving for the number of units:

Number of Units = P135,000 / P910

Number of Units ≈ 148.35

Since we can't sell a fractional number of units, we need to round up to the nearest whole number.

Number of Units = 149 units

Therefore, Archen Division must sell approximately 149 units per year to achieve the desired residual income of P45,000.

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Example: A new process for a manufacturing process will have a first cost of $55,000 with annual costs of $38,000. Extra income associated with the new process is expected to be $62,000 per year. What is the payback period at i = 12% per year?

a) 2.29

b) 3.00

c) 6.00

d) 2.14

Answers

The payback period at an interest rate of 12% per year is approximately 2.29 years. The correct option is (a) 2.29.

To calculate the payback period, we need to determine the time it takes for the accumulated savings (extra income) to recover the initial investment cost. Here's how we can calculate it:

1. Calculate the annual net cash flows: Subtract the annual costs from the extra income associated with the new process: Annual Net Cash Flow = Extra Income - Annual Costs Annual Net Cash Flow = $62,000 - $38,000 Annual Net Cash Flow = $24,000

2. Divide the initial cost by the annual net cash flow to find the payback period: Payback Period = Initial Cost / Annual Net Cash Flow Payback Period = $55,000 / $24,000 Payback Period ≈ 2.29 years

Therefore, the payback period at an interest rate of 12% per year is approximately 2.29 years. The correct answer is option (a) 2.29.

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What are the implications of having a TFR that is below replacement rate? Some view this as a positive and some view it as a negative. Explain.

Answers

It can lead to economic challenges, an aging population, and a declining workforce, but it can also bring environmental benefits and alleviate pressure on resources.

A TFR below the replacement rate, which is typically around 2.1 births per woman, means that the population is not replacing itself. This can have economic implications as it leads to a decline in the working-age population and an increase in the proportion of elderly individuals. With fewer young people entering the workforce, there may be a shortage of labor, reduced productivity, and increased dependency ratios, putting strain on social security systems and public finances.

On the positive side, a declining population can also have environmental benefits. It reduces the pressure on natural resources, lowers energy consumption, and contributes to a more sustainable society. A smaller population size can lead to less congestion, reduced housing demands, and improved quality of life.

Different perspectives on a low TFR arise from the varying impacts it has on different aspects of society. While it may bring challenges in terms of economic growth and labor force dynamics, it can also provide opportunities for sustainability and resource conservation. The overall assessment of a low TFR depends on the specific context, policy goals, and priorities of each society.

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the categories for people-based services include __________.

Answers

The categories for people-based services include healthcare, education, personal training, beauty and wellness, hospitality, customer service, and various professional services such as legal, accounting, and consulting.

People-based services encompass a range of industries where human interaction is essential. Healthcare involves medical professionals providing care to patients. Education includes teachers and instructors guiding students' learning. Personal training focuses on fitness coaches helping individuals achieve their fitness goals. Beauty and wellness involve professionals providing services like hairstyling, spa treatments, and massages. Hospitality encompasses hotel staff and other service providers ensuring a pleasant experience for guests. Customer service involves representatives assisting customers with inquiries and issues. Finally, professional services include experts in fields like law, accounting, and consulting, offering their expertise and advice to clients.

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Assume the following: Consider the following demand and supply functions for Headphones Qd = 24 – 4p and Qs = -6 + 6p Where, Qd = quantity of headphones demanded Qs = quantity of headphones supplied; P = price of headphones Use the information above to answer the following questions: a) Draw the demand and supply function for headphones using a rough scale and showing the appropriate intercepts for the price and quantity axis for the two functions (excluding the quantity axis intercept for the supply function) (0.5 marks x 2 = 1 mark) b) Calculate the equilibrium price and quantity in this market. Show workings (0.5 marks x 2 = 1 mark which includes showing workings).

Answers

The quantities demanded and supplied are represented by Q d = 24 – 4p and Qs = -6 + 6p respectively, where P represents the price of headphones.

a) To plot the demand and supply functions for headphones, the formula is Qd = 24 – 4p and Qs = -6 + 6p respectively. Taking 6 as a scale, the intercepts for both price and quantity axis can be found.

They are as follows:• At P = 0, Qd = 24 and Qs = -6.• At Q = 0, P = 6 and Qs = 0.• At Q = 0, P = 6 and Qd = 24.

The graph of demand and supply functions for headphones using a rough scale is given below:

b) To find the equilibrium price and quantity, set

Qd = Qs.

Qd = Qs

24 – 4p = -6 + 6p

30 = 10p

P = $3

Equilibrium price = $3

Using the demand function to find equilibrium quantity:

Qd = 24 – 4p

Qd = 24 – 4(3)

Qd = 12

Equilibrium quantity = 12The equilibrium price in this market is $3 and the equilibrium quantity is 12.

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A teacher makes all of the following statements to herself. Which is the best indicator that there is high teacher efficacy?
A) "I’m quite able to help these students learn this algebra unit."
B) "I have spent 10 minutes on this lecture, so it’s time to move on to the next task in this lesson."
C) "My students believe that I am a good teacher."
D) "My students seem to be especially good at monitoring their own learning."

Answers

The best indicator that there is high teacher efficacy is statement A) I m quite able to help these students learn this algebra unit. Teacher efficacy refers to a teacher's belief in their ability to positively impact.

Student learning outcomes. It involves having confidence in one's teaching skills, instructional strategies, and the belief that students can succeed under their guidance. Statement A reflects a strong sense of self-efficacy as the teacher expresses confidence in her ability to facilitate student learning in a specific subject, algebra. While statements B and C may indicate organizational skills and positive student perception, respectively, they do not directly address the teacher's belief in her own efficacy. Statement D suggests that students are actively engaged in monitoring their own learning, which could be influenced by effective teaching practices, but it does not directly reflect the teacher's self-perception of efficacy.

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Bruce is a transvestite who works for northern bell phone company. One day when Bruce exits from the ladies' room, he is warned by Red to use the men's room. Bruce refuses and he is fired. How would you advise Bruce to pursue this manner?

Answers

Bruce should document everything, consult with an attorney, and file a complaint with the EEOC to pursue his case against Northern Bell.

I would advise Bruce to pursue this matter in the following way:

1. Document everything. Bruce should keep a record of all interactions with Red and Northern Bell, including the date, time, and content of the interactions. He should also keep copies of any documents related to the matter, such as his employment contract, the company's bathroom policy, and any correspondence with the company.

2. Consult with an attorney. An attorney can advise Bruce on his legal rights and options. The attorney can also help Bruce file a complaint with the Equal Employment Opportunity Commission (EEOC) or another government agency.

3. File a complaint with the EEOC. The EEOC is a federal agency that enforces civil rights laws, including laws that prohibit discrimination on the basis of sex. Bruce can file a complaint with the EEOC online or by mail.

4. Seek mediation. Mediation is a process in which a neutral third party helps the parties involved in a dispute reach a resolution. Mediation can be a helpful way to resolve a dispute without going to court.

5. File a lawsuit. If Bruce is unable to resolve the matter through mediation, he may be able to file a lawsuit against Northern Bell. A lawsuit can be a lengthy and expensive process, but it can also be a way to obtain justice.

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Can you estimate what the annual rate of return would be to grow
$5000 into $20 million in 51 years? Show the Cash Flow Table and
Diagram (20% or 100%)

Answers

An estimated annual rate of return of approximately 17.3033% would be required to grow $5000 into $20 million in 51 years.

To calculate the annual rate of return needed to grow $5000 into $20 million in 51 years, we can use the compound interest formula:

Future Value = Present Value * (1 + Rate)^Time

Where:

Future Value = $20 million

Present Value = $5000

Rate = Annual rate of return

Time = 51 years

Let's solve for the rate:

$20 million = $5000 * (1 + Rate)^51

Dividing both sides of the equation by $5000:

4000 = (1 + Rate)^51

Taking the 51st root of both sides:

(1 + Rate) = 4000^(1/51)

Subtracting 1 from both sides:

Rate = 4000^(1/51) - 1

Now, let's calculate the rate:

Rate = 1.173033 - 1

        ≈ 0.173033

To convert this into a percentage, we multiply by 100:

Rate ≈ 0.173033 * 100

        ≈ 17.3033%

Therefore, an estimated annual rate of return of approximately 17.3033% would be required to grow $5000 into $20 million in 51 years.

Now, let's create the Cash Flow Table and Diagram:

Cash Flow Table:

Year  | Cash Flow

0       | -$5000

1        | ?

2       | ?

...       | ...

51      | $20,000,000

To fill in the missing cash flows, we can use the compound interest formula:

Future Value = Present Value * (1 + Rate)^Time

Cash Flow Diagram:

        0               1            2                         51

   -$5000         ?            ?                  $20,000,000

                         |             |                             |

                         |             |                             |

            <---------------------|------------------------>

        Growth period (51 years)

Please note that the actual amounts in the cash flow table and diagram may vary depending on the compounding frequency and other factors.

The values provided here are based on the assumption of annual compounding.

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The master budget of Rondelli Company shows that the planned activity level for next year is expected to be 50,000 machine hours. At this level of activity, the following manufacturing overhead costs are expected: A flexible budget for a level of activity of 60,000 machine hours would show total manufacturing overhead costs of a) $908,000. A flexible budget for a level of activity of 60,000 machine hours would show total manufacturing overhead costs of a) $908,000. b) $988,000. c) $840,000. d) $1,008,000.

Answers

The answer to this question is option (b) $988,000.A flexible budget shows manufacturing costs for a range of activity levels. The actual cost of production for a given level of production may be compared to the flexible budget for that level of production to determine if production expenses are in line with expectations.

The fixed and variable manufacturing overhead costs can be found using the following formulas;Fixed manufacturing overhead cost for the planned activity level = Total fixed manufacturing overhead costs / Planned activity level.Variable manufacturing overhead cost per unit of activity = Total variable manufacturing overhead costs / Planned activity level.

Then, the total manufacturing overhead cost for any level of activity can be determined using the following formula;Total manufacturing overhead cost = Total fixed manufacturing overhead cost + (Variable manufacturing overhead cost per unit of activity × Level of activity).

At the planned activity level of 50,000 machine hours, the total manufacturing overhead cost for Rondelli Company is unknown. However, once the fixed and variable manufacturing overhead costs are calculated, a flexible budget for the planned activity level of 60,000 machine hours can be prepared using the above formula.

So, the total manufacturing overhead costs at 60,000 machine hours activity level is $988,000.The answer is b.

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Why do property owners request a Land Information Memorandum? Select one:

a. To be better informed on any matters arising from the Local Authority in relation to a land parcel

b. To comply with the Local Government Act

c. They are required to under the Land Transfer Act

d. To undertake a rating valuation

Answers

Property owners request a Land Information Memorandum (LIM) to be better informed on any matters arising from the Local Authority in relation to a land parcel. Option a is correct.

A LIM is a report prepared by the council that gives information about any recorded or known features of the land or associated with it, such as:

Planning informationRestricted land informationHazardous substancesRating informationBuilding consents, and etc.

LIM helps the purchaser to avoid any unnecessary risks related to the property they are buying. It’s important to note that the LIM report is a guide only and it’s not a certificate of title.

Therefore, a is correct.

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The operating budget of the Red Rose company is given below. Sales \$425000 Fixed costs \$122000 Variable costs $255000 Total costs $377000 Net Income $53000 Sales dollars at capacity: $531,250. Calculate the break-even point (i) in dollars; (ii) as a percent of capacity a. $305,000,57.41% b. 57.41%,$305,000 c. $30500,57.41%

Answers

The break-even point by the sales is $305,000 in dollars and 57.41% as a percentage of capacity. A is the correct option.

The break-even point for the Red Rose company can be calculated in dollars and as a percentage of capacity. Given the sales, fixed costs, variable costs, total costs, and net income, we need to determine the break-even point to identify the level of sales needed to cover all costs and achieve zero net income.

The break-even point can be calculated using the formula:

Break-even point (in dollars) = Fixed costs / Contribution margin

The contribution margin is calculated by subtracting the variable costs from the sales:

Contribution margin = Sales - Variable costs

Using the given values:

Contribution margin = $425,000 - $255,000 = $170,000

Now, we can calculate the break-even point:

Break-even point (in dollars) = $122,000 / $170,000 = $305,000

Therefore, the break-even point in dollars is $305,000.

To calculate the break-even point as a percentage of capacity, we divide the break-even point by the sales at capacity and multiply by 100:

Break-even point (as a percent of capacity) = ($305,000 / $531,250) x 100 = 57.41

Therefore, option (a) is the correct answer.

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forum you need to: (1) Explain why/how corporate political speech should be limited. (2) Explain why/how corporate political speech should be unlimited. To complete this assignment, you MUST read and incorporate the following.parts of our state and federal constitutions: to all citizens, or corporations." A mining company is considering a new project. Because the mine has received a permit, the project would be legal; but it would cause significant harm to a nearby river. The firm could spend an additional $10.33 million at Year 0 to mitigate the environmental Problem, but it would not be required to do so. Developing the mine (without mitigation) would require an initial outlay of $63 million, and the expected cash inflows would be $21 million per year for 5 years. If the firm does invest in mitigation, the annual inflows would be $22 million. The risk-adjusted WACC is 11%. a. Calculate the NPV and IRR with mitigation. Enter your answer for NPV in millions. For example, an answer of $10,550,000 should be entered as 10.55. Do not round intermediate calculations. Round your answers to two decimal places. NPV: $ ....... million. IRR : ........ %Calculate the NPV and IRR without mitigation. Enter your answer for NPV in millions. For example, an answer of $10,550,000 should be entered as 10.55. Do not round intermediate calculations. Round your answers to two decimal places. NPV: $ ...... million IRR: ........ % Treating circulatory disease: Angioplasty is a medical procedure in which an obstructed blood vessel is widened. In some cases, a wire mesh tube, called a stent, is placed in the vessel to help it remain open. A study was conducted to compare the effectiveness of a bare metal stent with one that has been coated with a drug designed to prevent reblocking of the vessel. A total of 5314 patients received bare metal stents, and of these, 832 needed treatment for reblocking within a year. 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