Write with required explanations and support answers
with examples or relate to the scenario
McDonald’s offers meal sets and other combo meals for prices
that are discounted, compared to purchasing

Answers

Answer 1

McDonald’s provides consumers with meal sets and combo meals that are less expensive than purchasing each item individually. Additionally, the restaurant offers daily deals and specials that provide additional cost savings opportunities.

McDonald’s is a fast-food restaurant that provides a variety of combo meals and meal sets. These options are less expensive than purchasing each item individually. The meal sets are frequently a burger, fries, and a drink that is intended to satisfy one individual.

Combos are typically available in four sizes, ranging from a tiny meal to a big meal. They provide a few more choices, including chicken meals and vegetarian choices. The pricing for combos varies depending on the size of the meal and the place of the restaurant.

For instance, McDonald’s offers the Big Mac Meal for $6.49, which includes a Big Mac, medium fries, and a medium drink. The cost of purchasing each item individually would be considerably more expensive than purchasing the meal set.

Additionally, McDonald’s offers daily specials and deals that provide consumers with a chance to save even more. The deals include discounted prices on popular menu items, such as the Filet-O-Fish sandwich or the McChicken sandwich.

To know more about McDonald’s refer here:

https://brainly.com/question/31390253#

#SPJ11


Related Questions

One difference between project manager responsibility and PMO responsibility is that project managers:
a. Manage the methodology and metrics used, while PMOs manage individual reporting requirement
b. Manage the overall risks and opportunities, while PMOs control a project scope, cost and time
c. Optimize the use of shared resources, while PMOs manage assigned resources
d. Focus on specific project objectives, while PMOs manage program changes

Answers

One difference between project manager responsibility and PMO responsibility is that project managers focus on specific project objectives, while PMOs manage program changes. Option d is correct.

The program changes may affect multiple projects within a portfolio of projects, and the PMO is responsible for ensuring that these changes are managed consistently and effectively. Project managers are responsible for planning, executing, and closing projects, including managing resources, costs, schedules, and risks.

They are accountable for delivering the project scope, meeting stakeholder expectations, and achieving project objectives. They work closely with project teams to coordinate activities, monitor progress, and communicate project status.

PMOs, on the other hand, are responsible for managing project portfolios, programs, and the associated processes, standards, and governance. They provide oversight, guidance, and support to project managers and teams, ensuring that projects are aligned with business strategy, objectives, and priorities.

PMOs also manage program changes, resource allocation, and reporting to senior management.

Therefore, d is correct.

Learn more about project manager https://brainly.com/question/29767461

#SPJ11

Renew Energy Company, a U.S. firm, and Seawater Petro, a Dutch firm, enter into a contract that includes an arbitration clause. This clause must provide that the arbitrator will be
a. any specified third party.
b. the American Arbitration Association.
c. the Dutch Arbitration Organization.
d. the International Chamber of Commerce.

Answers

The arbitration clause can designate any third party as the arbitrator, allowing the parties to choose an individual or organization of their choice to preside over the arbitration process. So, the correct option is A. Any specified third party.

When it comes to the arbitration clause in the contract between Renew Energy Company and Seawater Petro, the clause can provide for any specified third party to act as the arbitrator. Unlike options b, c, and d, which suggest specific arbitration organizations such as the American Arbitration Association, the Dutch Arbitration Organization, or the International Chamber of Commerce, option a allows the parties to select an arbitrator of their own choosing.

Including an arbitration clause in a contract is a common practice to provide a means of resolving disputes outside of traditional court systems. By specifying a third party arbitrator, the parties can ensure a neutral and impartial decision-maker. This can be particularly important in international contracts, where the involvement of a trusted and mutually agreed-upon arbitrator can help build confidence in the fairness of the process.

Therefore, option a provides flexibility and allows the parties to tailor the arbitration process to their specific needs and preferences, ensuring a fair and effective resolution of any potential disputes that may arise.

Learn more about arbitration clause

https://brainly.com/question/24089171

#SPJ11

The ceteris paribus assumption is employed in economic analysis to:
A. State economic goals
B. Simplify the complex world
C. Evaluate an economic system
D. Approximate real-world conditions

Answers

The ceteris paribus assumption is employed in economic analysis to simplify the complex world, allowing economists to isolate and examine the relationship between variables while assuming all other relevant factors remain constant. Here option B is the correct answer.

The ceteris paribus assumption, which translates to "all else equal" or "holding everything else constant," is employed in economic analysis primarily to simplify the complex world.

It is a fundamental methodological tool used by economists to isolate the impact of a specific variable or factor on an economic outcome.

In reality, economic systems are intricate and influenced by a multitude of interrelated variables, making it challenging to discern the cause-and-effect relationships between individual factors.

The ceteris paribus assumption allows economists to focus on the effect of a particular factor while assuming that all other relevant variables remain constant. By isolating the variable of interest, economists can better understand its influence on the economic outcome being analyzed. Therefore option B is the correct answer.

To learn more about economists

https://brainly.com/question/17996535

#SPJ8

Read carefully case No 8 from your
textbook (entitled ‘iRobot: Finding
the Right Market Mix?) and answer the following
questions:
Describe the different functional strategies of the iRobot
company

Answers

I am  providing you with a description of the different functional strategies of iRobot as mentioned in a specific case from your textbook. However, I can provide you with a general understanding of functional strategies commonly used by companies.

Functional strategies are the plans and actions formulated by different functional areas within a company to support the overall business strategy and achieve organizational objectives. In the case of iRobot, a company known for its robotic products, some potential functional strategies could include:

1. Research and Development (R&D) Strategy: iRobot may focus on investing in R&D to innovate and develop new robotic technologies, enhance product features, and stay ahead of competitors.

2. Marketing and Sales Strategy: iRobot may employ various marketing and sales tactics to create brand awareness, promote its products, and reach target customers. This could involve utilizing digital marketing, strategic partnerships, and effective distribution channels.

3. Operations and Supply Chain Strategy: iRobot may aim to optimize its manufacturing processes, streamline its supply chain, and ensure efficient logistics to meet customer demand and reduce costs.

4. Human Resources Strategy: iRobot may focus on recruiting and retaining skilled employees in areas such as robotics engineering, software development, and marketing. Additionally, they may invest in employee training and development programs to foster innovation and enhance overall organizational capabilities.

5. Customer Service Strategy: iRobot may emphasize providing exceptional customer service and support to ensure customer satisfaction, loyalty, and repeat business.

It's important to note that the specific functional strategies adopted by iRobot would depend on its industry dynamics, competitive landscape, target markets, and overall business objectives.

To know more about functional strategies visit-

https://brainly.com/question/11148446

#SPJ11

You are looking at two investments with the following historical returns: Required: a) Calculate the arithmetic average return and standard deviation for both investments. (6 marks) b) If you invest $21,000 in Stock A and $9,000 in Stock B, what is the expected return on your portfolio? (3 marks) c) A Government of Canada Bond with five years to maturity paying a semi-annual coupon of 6.5%, is currently yielding 7%. How much money should an investor pay for this bond? Assume the face value is $1,000 and ignore transaction costs. (5 marks) Answer: d) An investor's marginal tax rate is 47% (total of federal, provincial and surtax) for ordinary income. For the Government of Canada Bond in part c), how much tax would the investor have to pay in year 5 ? (3 marks)

Answers

a) The arithmetic average return and standard deviation cannot be calculated without the historical returns of the investments.

b) The expected return on the portfolio cannot be calculated without the expected returns of Stock A and Stock B.

a) To calculate the arithmetic average return and standard deviation, we need the historical returns of the investments. Without this data, we cannot determine the average return or standard deviation for either investment.

b) To calculate the expected return on the portfolio, we need the expected returns of Stock A and Stock B. Without this information, we cannot determine the expected return on the portfolio.

c) To determine the price an investor should pay for the Government of Canada Bond, we need the bond's yield to maturity and the number of coupon payments per year, both of which are missing from the given information.

d) To calculate the tax payable on the Government of Canada Bond in year 5, we need the interest income generated by the bond and the specific tax regulations applicable to the investor, which are not provided.

Please provide the missing information for a more accurate calculation and complete answer.

Learn more about arithmetic average here:

https://brainly.com/question/31476900

#SPJ11


b. Explain with examples, any five (5) implied terms, in a
contract of sale

Answers

Implied terms are terms that are not expressly stated in a contract but are nonetheless considered to be part of the agreement. In a contract of sale, five examples of implied terms could include:

1. Merchantable Quality: Goods sold must be of satisfactory quality, free from defects that would make them unfit for their intended purpose.

2. Fitness for Purpose: Goods sold must be suitable for the purpose for which they are commonly used or for any specific purpose made known to the seller.

3. Ownership and Title: The seller must have the legal right to sell the goods and transfer ownership and title to the buyer.

4. Delivery: The seller must deliver the goods within a reasonable time and in the manner agreed upon.

5. Payment: The buyer must pay the agreed-upon price for the goods in a timely manner, usually at the time of delivery.

These implied terms ensure that the buyer receives goods that meet certain standards, that the seller has the legal right to sell them, and that the transaction is conducted fairly.

Learn more about transaction here:

https://brainly.com/question/24730931

#SPJ11

Dabur has achieved a market capitalisation of $5 billion. The company is characterised by its high efficiency in marketing delivery. Their marketing strategy is refreshed every 4 years under the VC, which takes care of the changes in consumer preferences, the opportunities arising out of new trends and the changing competitive landscape.

As a concluding remark, Mr Sunil Duggal said, ‘We are proud of our capacity to ‘renovate and innovate’ with least bureaucracy and high capability to adapt to ‘Change’. I take great pride in the exemplary entrepreneurial culture in our teams.’

Question:

What is your assessment of the internal environment variables of Dabur? Explain in terms of: Resource-based analysis - Analyse Dabur’s present resources and capabilities and recommend improvements to achieve future goals

Answers

Dabur, with a market capitalization of $5 billion, has a strong focus on marketing efficiency and a dynamic marketing strategy that is refreshed every 4 years. Mr. Sunil Duggal highlights the company's capacity to innovate and adapt to change, as well as its entrepreneurial culture.

In terms of resource-based analysis, Dabur possesses valuable marketing capabilities and resources, but there is a need to assess and improve other internal variables to achieve future goals.

Dabur's strong marketing delivery efficiency and the regular refreshment of its marketing strategy indicate the presence of valuable marketing capabilities within the company. These capabilities contribute to Dabur's success and market capitalization.

To achieve future goals, Dabur should assess and enhance its resources and capabilities across various areas. This may involve evaluating its manufacturing capabilities, supply chain management, research and development (R&D) capabilities, and financial resources.

Additionally, Dabur should focus on enhancing its R&D capabilities to foster innovation and develop new products aligned with changing consumer preferences and market trends.

Furthermore, optimizing financial resources through effective financial management, such as efficient allocation of capital and risk management, is crucial for supporting Dabur's growth and expansion plans.

Learn more about financial management here:

https://brainly.com/question/32518499

#SPJ11

Critically evaluate why external auditors needs to be
regulated

Answers

External auditors are individuals or entities who are tasked with reviewing a company's financial statements and ensuring that they are in accordance with accounting standards. The external audit is an important function that can contribute to the credibility and integrity of a company's financial reporting process. However, due to the importance of external audits, there is a need for external auditors to be regulated.



The following are the reasons why external auditors should be regulated:

1. To Ensure Independence: External auditors must be independent of the companies they audit. The regulator makes sure that auditors are objective and free from any influence that could impact their judgment.

2. To Ensure Professionalism: External auditors should follow ethical standards while performing their duties. Regulation ensures that they are qualified and experienced to meet professional standards.

3. To Promote Transparency: External auditors must provide an objective assessment of the company's financial statements, and regulation ensures that they are transparent in their process. The regulator is responsible for monitoring the external auditors to make sure that they provide accurate and reliable financial information.

4. To Enhance Accountability: Regulation is important because it enhances accountability. The external auditors are responsible for reviewing the company's financial statements and ensuring that they are accurate and comply with accounting standards. The regulator ensures that external auditors are accountable for their actions and that they are held responsible for any errors in their work.

5. To Improve Market Confidence: External auditors play a crucial role in providing assurance to investors and other stakeholders. The regulator ensures that external auditors maintain high standards, which helps to increase market confidence.

Conclusion: In conclusion, external auditors must be regulated to ensure that they provide an objective, independent, and reliable assessment of the company's financial statements. Regulation is essential to promote transparency, professionalism, accountability, and to improve market confidence.

Learn more about External auditors:

brainly.com/question/30450972

#SPJ11

You must make a selection of one of the following statements:
1) All proceeds from gambling can be considered tax-free as there are no instances where any taxpayer could ever be assessable on such receipts.
OR
2) Personal income tax rates for resident taxpayers can be considered progressive as lower income taxpayers face a relatively lower tax burden than higher income taxpayers.
OR
3) Individual taxpayers who are not residents of Australia are liable for tax in Australia on their foreign source income.
Critically evaluate your chosen statement, indicating whether it is correct and referring to relevant sources of law that support your answer.
Please indicate the number of your chosen statement before your answer.

Answers

Statement number 2) Personal income tax rates for resident taxpayers can be considered progressive as lower-income taxpayers face a relatively lower tax burden than higher-income taxpayers.

Statement number 2 is correct. Personal income tax rates for resident taxpayers are progressive, meaning that individuals with lower incomes face a lower tax burden compared to those with higher incomes. This is supported by the progressive tax system implemented in many countries, including Australia.

The statement accurately describes the progressive nature of personal income tax rates. A progressive tax system is based on the principle that individuals with higher incomes should contribute a larger proportion of their income in taxes compared to those with lower incomes. This is achieved by implementing tax brackets or marginal tax rates, where different income ranges are taxed at different rates.

In the context of Australia, the Australian Taxation Office (ATO) implements a progressive tax system. The tax rates for individuals vary based on income ranges, with higher-income earners facing higher tax rates. For the financial year 2022-2023, the individual income tax rates in Australia are structured progressively, starting at 0% for the lowest income bracket and increasing up to 45% for the highest income bracket.

This progressive tax system aims to achieve a fair distribution of the tax burden, where individuals with higher incomes contribute a larger share of their income to fund government services and programs.

Learn more about Personal income tax rates at:

https://brainly.com/question/32688306

#SPJ11

PLEASE HELP! ROUDING TO THE NEAREST TEN THOUSANDTH!! :)
Hydro Systems has 15 -year bonds outstanding with a coupon rate of \( 6 \% \). Interest is paid annually. The face amount of each bond is \( \$ 1,000 \). What is cost of debt if bonds sell for \( \$ 1

Answers

Hydro Systems has 15-year bonds outstanding with a coupon rate of 6%. Interest is paid annually. The face amount of each bond is $1,000. The cost of debt if bonds sell for $1,070 is as follows:First, we have to find the current yield of the bond. The current yield is the coupon rate divided by the price of the bond multiplied by 100.

We are given the coupon rate, which is 6%, and the price of the bond, which is $1,070. Current yield = (6/1070) * 100 = 0.56%.Then, we have to calculate the yield to maturity (YTM) of the bond. This is the total return anticipated on a bond if the bond is held until it matures. We do not know the exact YTM, so we have to use the trial-and-error method to find it. We can try different interest rates until we arrive at a value that is close to $1,070.Using the trial-and-error method, we can find that the YTM is approximately 5.25%.We can now calculate the cost of debt using the YTM. The cost of debt is the average rate of interest that a company pays on its debts. Cost of debt = YTM * (1 - tax rate)In this problem, we are not given the tax rate, so we cannot calculate the cost of debt accurately. However, we can use an estimate of the tax rate to arrive at a close approximation.Let's assume that the tax rate is 30%. Therefore, the cost of debt is:Cost of debt = 5.25% * (1 - 0.30) = 3.68%Therefore, the cost of debt is 3.68% (rounded to the nearest ten-thousandth) if bonds sell for $1,070.

To know more about Hydro Systems visit:
https://brainly.com/question/33499952
#SPJ11

Influenced by a firm's ability to make interest payments and pay back its debt, if all else is equal, creditors would prefer to give loans to companies with _____ debt ratios

Answers

If all else is equal, creditors would generally prefer to give loans to companies with lower debt ratios.

A lower debt ratio indicates that the company has a smaller proportion of debt relative to its assets or equity. This suggests a lower level of financial risk and indicates that the company has a higher capacity to make interest payments and repay its debt. When assessing creditworthiness, creditors evaluate the ability of a company to generate sufficient cash flow to meet its financial obligations. A lower debt ratio implies that the company has a more conservative capital structure and may have a stronger ability to generate profits and cash flow to service its debt.

Learn more about debt ratios here:

https://brainly.com/question/11249578

#SPJ11

As an owner of an enterprise whether micro , small, medium or large scale you a major role in contributing towards the growth and development of our nation and these bring about improved standard of living in the country.

Explain how the standard of living can be enhanced by owning an enterprise and roles enterprise plays in contributing towards economic growth and development in Zambia.

Answers

Owning an enterprise enhances the standard of living through job creation, economic growth, and contribution to national development in Zambia.

As a proprietor of a venture, no matter what the scale, you assume a huge part in adding to the development and improvement of your country, Zambia, and working on the way of life in the country.

Possessing an undertaking can upgrade the way of life in more than one way. First and foremost, it sets out work open doors.

By utilizing individuals, you furnish them with a kind of revenue, which empowers them to help themselves and their families, prompting a superior way of life. Moreover, work creation diminishes joblessness rates, supports monetary action, and diminishes neediness levels.

Moreover, possessing an endeavor advances financial development and improvement. Ventures add to the Gross domestic product of the country through creation, deals, and assessment incomes.

They animate speculation, development, and mechanical headways, prompting efficiency gains and financial enhancement. By extending tasks and taking part in exchange, undertakings additionally add to unfamiliar trade profit and worldwide seriousness, encouraging financial development.

Besides, ventures can have a positive social effect by taking part in corporate social obligation drives, like supporting schooling, medical care, and framework improvement. These endeavors further add to the general advancement of the country and the prosperity of its residents.

In rundown, possessing an undertaking assumes an essential part in improving the way of life by making business, encouraging monetary development, creating pay, and adding to the improvement of Zambia.

To learn more about economic development, refer:

https://brainly.com/question/4209512

#SPJ4

The stakeholder register is the output of the _____ stakeholders process of project stakeholder management.
a. identifying
b. planning
c. executing
d. monitoring

Answers

The stakeholder register is the output of the identifying stakeholders process of project stakeholder management.

Option A is correct .

A stakeholder register is a document that contains details about stakeholders and their interests in a project. It's a collection of stakeholders' information, such as names, titles, and roles, as well as their interests, involvement, and impact on the project.The identifying stakeholders process .

The first step in project stakeholder management is identifying stakeholders. During this stage, the project manager or team will identify the stakeholders, document their interests, and evaluate their level of involvement. As a result of this process, a stakeholder register is generated.

A project manager can't manage stakeholders they haven't identified. To prevent this, the identification process should be carried out thoroughly. The stakeholder register lists all stakeholders involved in the project. Additionally, it provides details about the stakeholders and their interests, as well as their level of involvement.

Thus, the correct answer is identifying stakeholders. Option A is correct

Learn more about stakeholders :

brainly.com/question/4404879

#SPJ11

Why is the adjusted R-squared used?
a. Because it imposes a penalty for adding additional independent variables to a model.
b. Because it is unbiased, unlike the R-squared measure.
c. Because it is better than the R-squared measure.
d. Because it increases the value of the adjusted R-squared.

Answers

The adjusted R-squared is used because it imposes a penalty for adding additional independent variables to a model. Thus, option A is the correct answer.

Explanation: The adjusted R-squared is a statistical measure used to assess the quality of the model. R-squared is a statistical measure that reflects the correlation between the dependent and independent variables in the regression analysis. It is defined as the ratio of the variation in the dependent variable explained by the regression model to the total variation in the dependent variable. The R-squared measure does not penalize adding independent variables to the model. Thus, the adjusted R-squared was introduced to address this limitation. The adjusted R-squared is a modified version of the R-squared that takes into account the number of independent variables in the model.

This measure is preferred to the R-squared measure because it imposes a penalty for adding additional independent variables to a model.

To know more about variables

https://brainly.com/question/30547309

#SPJ11

The management letter is an important document that is issued during one of the phases of the audit. Which statement below best describes what a management letter is?

Select one:

a.

A letter that documents and confirms the auditor’s acceptance and terms of appointment, including the respective responsibilities of both management and the auditor.

b.

A letter from management to the auditors confirming their representations relating to their responsibilities.

c.

A letter from the auditor to management noting any weaknesses in internal controls and recommendations for improvement.

d.

A letter that documents information and evidence which the auditor requires from management.

Answers

The management letter, in the context of an audit, is best described as option c: A letter from the auditor to management noting any weaknesses in internal controls and recommendations for improvement. This letter is a formal communication from the auditor to the management of the audited entity, highlighting the findings and observations related to the internal control systems in place. It outlines any deficiencies or weaknesses identified during the audit process and provides recommendations to address and improve these areas. The management letter serves as a valuable tool for management to enhance the effectiveness and efficiency of their internal controls, ultimately leading to better financial reporting and risk management.

The management letter is an essential component of the audit process, serving as a means of communication between the auditor and management. It provides valuable insights into the internal control environment of the audited entity. In the management letter, the auditor documents any weaknesses or deficiencies identified during the audit related to the organization's internal control systems.

These weaknesses can include control gaps, inadequate segregation of duties, insufficient documentation, or lack of adherence to established policies and procedures. The management letter aims to bring these issues to the attention of management, highlighting areas that require attention and improvement.

Additionally, the management letter includes recommendations and suggestions from the auditor on how to address the identified weaknesses and enhance the internal control environment. These recommendations are meant to assist management in implementing necessary changes and improvements to strengthen the organization's controls and mitigate risks.

Overall, the management letter plays a crucial role in providing constructive feedback to management, helping them to better understand and address any weaknesses or deficiencies in their internal controls. It fosters a collaborative relationship between the auditor and management, working towards continuous improvement and effective risk management.

Management letters are an important aspect of the audit process, providing valuable feedback and recommendations to strengthen internal controls and risk management. These letters serve as a means of communication between the auditor and management, facilitating improvements in financial reporting and operational effectiveness.

Learn more about management letter

brainly.com/question/33044474

#SPJ11

Which statement is true?
a. Duration is good for estimating the impact of large interest rate changes.
b. The duration estimate is less accurate, the less convex the bond price/yield relationship.
c. Effective duration is used to measure the price risk of the bonds with call options.
d. The tangent line always overestimates the actual price.

Answers

The statement that is true is option (a) which is the Duration is good for estimating the impact of large interest rate changes.

What is duration?

Duration is the change in the value of a bond or portfolio of bonds for a 1% shift in interest rates. It's calculated by looking at the bond's cash flows over time and determining how they're affected by interest rate changes.

The longer the bond's cash flows extend into the future, the greater its duration will be.

In other words, duration is a measure of a bond's sensitivity to interest rate changes. It's an important tool for investors who want to know how much their bond portfolio will lose or gain in value if interest rates shift suddenly and significantly.

A bond with a longer duration is more sensitive to changes in interest rates, whereas a bond with a shorter duration is less sensitive to interest rate changes.

A bond's duration can be calculated using the following formula:

Duration = (PV of cash flows * time to receipt of cash flows) / Bond Price

This formula calculates the weighted average time to receipt of cash flows, weighted by the present value of those cash flows.

Option b is incorrect because the duration estimate is more accurate, the less convex the bond price/yield relationship.

Option c is incorrect because effective duration is used to measure the price risk of bonds without call options, not with call options.

Option d is incorrect because the tangent line can either overestimate or underestimate the actual price, depending on the curvature of the bond's price/yield relationship.

Hence the option (a) is correct.

To learn more about Duration from the given link.

https://brainly.com/question/24255969

#SPJ11

Shaw Company sells goods that cost $300,000 to Ricard Company for $410,000 on January 2,2015 . The sales price includes an installation fee, which is valued at $40,000. The fair value of the goods is $370,000. The installation is considered a separate performance obligation and is expected to take 6 months to complete.
Instructions
(a) Prepare the journal entries (if any) to record the sale on January 2, 2015.
(b) Shaw prepares an income statement for the first quarter of 2015, ending on March 31, 2015 (installation was completed on June 18, 2015). How much revenue should Shaw recognize related to its sale to Ricard?

Answers

(a) The journal entries to record the sale on January 2, 2015, would involve recognizing revenue for the goods and the separate performance obligation of installation.

(b) Shaw should recognize revenue related to its sale to Ricard based on the progress of completion for the separate performance obligation of installation during the first quarter of 2015.

(a) On January 2, 2015, Shaw Company would record the following journal entries:

1. To recognize the revenue for the goods sold:

  Accounts Receivable           $410,000

  Sales Revenue                        $370,000

  Cost of Goods Sold                     $300,000

  Inventory                                     $300,000

2. To recognize the separate performance obligation of installation:

  Accounts Receivable           $40,000

  Unearned Revenue                       $40,000

(b) The revenue related to the sale to Ricard should be recognized based on the progress of completion for the installation. Since the installation was completed on June 18, 2015, and the first quarter ends on March 31, 2015, Shaw can recognize revenue for the portion of the installation that was completed during the first quarter.

The amount of revenue recognized for the installation would depend on the progress of completion at the end of the first quarter. If, for example, 50% of the installation was completed by March 31, 2015, Shaw would recognize 50% of the total installation fee of $40,000, which would be $20,000, as revenue in the first quarter's income statement.

Therefore, Shaw should recognize $20,000 of revenue related to its sale to Ricard for the installation in the income statement for the first quarter of 2015.

learn more about revenue click here;

brainly.com/question/4051749

#SPJ11

NU YU announced today that it will begin paying annual dividends. The first dividend will be paid next year in the amount of $.45 a share. The following dividends will be $.50,$.65, and $.95 a share annually for the following three years, respectively. After that, dividends are projected to increase by 3.2 percent per year. How much are you willing to pay today to buy one share of this stock if your desired rate of return is 13 percent?

Answers

You are willing to pay $6.39 today to buy one share of this stock with a desired rate of return of 13%.

To calculate the present value of the future dividends, we discount each dividend back to the present using the desired rate of return of 13%. Then, we sum up the present values of the dividends. The present value of the growing dividends beyond the fourth year is calculated using the constant growth formula. By discounting all the dividends and adding them up, we find that the present value of the dividends is $6.39, which is the price you are willing to pay today for one share of the stock.

Learn more about willing here:

https://brainly.com/question/11003604

#SPJ11

Describe the elements of the 3 part equation where
Assets=Liabilities + Net Worth. Present in a chart and format the
placement of the 3 part equation where Asset $20,000 and
Liabilities are $12,000.

Answers

In the equation "Assets = Liabilities + Net Worth," with Asset being $20,000 and Liabilities being $12,000, the Net Worth is calculated as the difference between Assets and Liabilities, which in this case is $8,000.

┌─────────┬─────────────┬─────────────┐

│ Assets  │ Liabilities │ Net Worth   │

├─────────┼─────────────┼─────────────┤

│ $20,000 │ $12,000     │ $8,000      │

└─────────┴─────────────┴─────────────┘

Sure! With the supplied values of Asset $20,000 and Liabilities $12,000, the following chart shows the components of the equation "Assets = Liabilities + Net Worth":

Assets: $12,000; Liabilities: $8,000; Net Worth: $20,000

The entire value of the assets in this equation is $20,000, which is equal to the sum of the liabilities ($12,000) and the net worth ($8,000). The difference between Assets and Liabilities, or Net Worth, indicates the owner's or shareholders' equity in the company. Liabilities are an entity's debts or obligations.

Learn more about Assets and Liabilities, here:

https://brainly.com/question/32921361

#SPJ11

Consider an account holding $40,000 (the "principal") and
earning 8% interest each year. If the account holder withdraws the
interest each year, how much interest would the principal amount
generate e

Answers

The principal amount of $40,000 earning 8% interest each year would generate $3,200 in interest annually.

To calculate the amount of interest generated each year, we multiply the principal amount by the interest rate. In this case, the principal is $40,000 and the interest rate is 8%.

Interest = Principal × Interest Rate

Plugging in the values, we have:

Interest = $40,000 × 0.08 = $3,200

Therefore, the principal amount of $40,000 would generate $3,200 in interest each year. This means that the account holder would be able to withdraw $3,200 annually without affecting the principal amount.

The remaining principal would continue to earn interest in subsequent years. It's important to note that this calculation assumes the interest is compounded annually and the account holder is withdrawing only the interest, leaving the principal untouched.

Learn more about principal amount here:

https://brainly.com/question/30163719

#SPJ11

Mitchell Inc. issued 8, 6%, $1,000 bonds on January 1, 2020, for $7,790. The bonds pay cash interest annually each December 31 and were issued to yield 7%. The bonds mature December 31, 2022, and the company uses the
effective interest method to amortize bond discounts or premiums.
Required
a. Prepare an amortization schedule for the full bond term. • Note: Round amounts in schedule to the nearest whole dollar. Use rounded amounts for later calculations in the
schedule.

Answers

The amortization schedule for Mitchell Inc.'s 8, 6%, $1,000 bonds, issued on January 1, 2020, and maturing on December 31, 2022, using the effective interest method, is as follows:

Year Interest Expense Amortization Discount on Bonds Carrying Value

2020 $467             $233         $567,740          $7,523

2021 $452             $248         $319,741                  $7,271

2022 $437             $263         $56,786                  $7,008

The bond was issued at a discount because the stated interest rate of 6% was less than the market yield of 7%. The discount of $210 ($1,000 - $790) is amortized over the life of the bond using the effective interest method. This method allocates the interest expense and amortization of the discount based on the carrying value of the bond.

In the first year, the interest expense is calculated by multiplying the carrying value at the beginning of the year ($7,790) by the market yield (7%), resulting in $547. The amortization is the difference between the interest expense and the cash interest payment ($547 - $280), which is $233. The carrying value at the end of the year is calculated by subtracting the amortization from the carrying value at the beginning of the year ($7,790 - $233), resulting in $7,523.

In the second year, the interest expense is based on the carrying value at the beginning of the year ($7,523) multiplied by the market yield (7%), resulting in $527. The amortization is the difference between the interest expense and the cash interest payment ($527 - $280), which is $248. The carrying value at the end of the year is calculated by subtracting the amortization from the carrying value at the beginning of the year ($7,523 - $248), resulting in $7,271.

In the final year, the interest expense is based on the carrying value at the beginning of the year ($7,271) multiplied by the market yield (7%), resulting in $509. The amortization is the difference between the interest expense and the cash interest payment ($509 - $280), which is $263. The carrying value at the end of the year is calculated by subtracting the amortization from the carrying value at the beginning of the year ($7,271 - $263), resulting in $7,008.

The amortization schedule tracks the gradual reduction of the discount on the bonds and the corresponding increase in the carrying value over the bond term until it reaches the face value of $1,000 at maturity.

Learn more about effective interest method

https://brainly.com/question/33471228

#SPJ11

The 1 year interest rate in the US is 10% and the 1 year
interest rate in Japan is 5%. Does this present a riskless way to
raise capital at a low interest rate?

Answers

In summary, the difference in interest rates between the US and Japan does not necessarily present a riskless way to raise capital at a low interest rate.

While it may seem attractive to borrow in a country with a lower interest rate and invest in a country with a higher interest rate, there are additional factors to consider that can introduce risks and challenges to this strategy.

The difference in interest rates between countries reflects various factors such as inflation, economic conditions, monetary policy, and currency exchange rates. In the case of the US and Japan, the higher interest rate in the US could be a reflection of higher inflation expectations or stronger economic growth compared to Japan. However, there are risks associated with this interest rate differential that need to be considered.

Firstly, currency risk arises due to fluctuations in exchange rates. If a company borrows in a foreign currency with a lower interest rate and converts it into their domestic currency to invest, they are exposed to the risk of adverse currency movements. Exchange rate fluctuations can erode the potential gains from the interest rate differential and even result in losses if the foreign currency depreciates significantly against the domestic currency.

Secondly, there are transaction costs and other barriers involved in borrowing and investing across different countries. These can include administrative costs, legal considerations, regulatory requirements, and access to financial markets. These factors can increase the overall cost of capital and complexity of executing such a strategy.

Therefore, while the interest rate differential between the US and Japan may appear advantageous, the presence of currency risk and other practical considerations make it important for companies to carefully assess and manage the associated risks before pursuing a strategy of raising capital in one country and investing in another.

Learn more about interest rate here :
brainly.com/question/28236069

#SPJ11

Plans to sell the factory and retire. The only income he will have is the proceeds of the sale of his factory. If there is no flood, the factory will be worth $500,000. If there is a flood, then what is left of the factory will be worth only $50,000. Willy can buy flood insurance at a cost of 0.10 for each $1 worth of coverage. Willy thinks that the probability that there will be a flood this spring is 0.1. Let Cf​ denote dollars if there is a flood and Cnf denote dollars if there is no flood. Willy's utility function is u = √5. Willy is trying to decide how much flood insurance (K) to buy.
(a) What is the risk attitude of Willy? Why?
(b) Please find the expected wealth and expected utility of Willy.
(c) Find the equation that shows the relationship between Cf and Cnf.
(d) Find the optimal level of Cf, Cnf and K.
(e) Suppose the insurance is unfair, and γ=0.2. What are the optimal level of Cf, Cnf and K.

Answers

Marginal utility describes the change in pleasure or satisfaction resulting from an increase or decrease in consumption of one unit of a good or service.

(a)The risk attitude of Willy can be categorized as risk averse. The reason behind the fact that his risk attitude is risk averse is because his utility function (u=√5) indicates that his marginal utility of wealth decreases as the level of wealth increases.

(b) The expected wealth of Willy can be calculated by multiplying the possible outcomes with their respective probabilities and then adding the products. E(W) = (0.9)($500,000) + (0.1)($50,000) = $455,000

The expected utility of Willy can be calculated as the square root of his expected wealth.

E(U) = √$455,000 ≈ $674.96

(c) Equation showing the relationship between Cf and Cnf

The equation that shows the relationship between Cf and Cnf can be expressed as

Cnf - Cf = $450,000

(d) Optimal level of Cf, Cnf and K Willy’s objective is to maximize his expected utility. Thus, Willy should purchase flood insurance only if it increases his expected utility. The optimal level of Cnf can be found by setting the expected marginal utility of wealth for the two states equal to each other.(0.9)u'($500,000) = (0.1)u'($50,000)0.9(√5)/$500,000 = 0.1(√5)/$50,000Cnf = $455,000 - 0.1($455,000) = $409,500Cf = $50,000 + 0.1($455,000) = $95,500

The optimal amount of flood insurance is: K*($1) = 0.1

K($500,000 - $50,000)K* = $45,000

(e) If insurance is unfair, Willy would still purchase some flood insurance but he would buy less insurance than he would if the insurance was fair. The optimal level of flood insurance when the insurance is unfair is given byK = (1- γ)($450,000)/0.1K = (1 - 0.2)($450,000)/0.1 = $36,000

Therefore, the optimal level of flood insurance is $36,000. The optimal level of Cnf and Cf would be the same as in part (d), which are $409,500 and $95,500 respectively.

To know more about Marginal utility visit :

https://brainly.com/question/30841513

#SPJ11

A new high-end handbag firm is trying to decide what price to charge to the retailers that purchase their bags. They estimate the typical retailer's demand per year will be P=360−7.5Q. The firm's cost function is estimated to be C(Q)=4,000+30Q(MC =$30).
a. When they start, the firm will be in monopolistic competition. What quantity should they produce? And what price should they charge? Finally, determine their profits. (6 pts)
b. If the store decided to engage to sell their handbags together (not individually), how many should they put in a package? And what price should they charge? (8 pts)

Answers

a) The firm is in monopolistic competition and the demand function for the typical retailer per year is given as: P=360−7.5QThe cost function of the firm is: C(Q)=4,000+30Q(MC=$30)

Solution First we need to find the Marginal Revenue (MR) of the firm.MR = Change in total revenue / Change in quantity MR = (P1Q1 - P0Q0) / (Q1 - Q0)MR = [(360 - 7.5Q)Q - (360 - 7.5(Q - 1))(Q - 1)] / (Q - (Q - 1))MR = 360 - 15Q + 7.5 = 367.5 - 15Q formulae :MR = MC Price = (MR + MC) / 2Quantity = (MR - MC) / (2 x 15)The cost of the firm MC = $30a) Profit = (Price - Average Total Cost) x Quantity Profit = [198.75 - (4000/22.5 + 30 x 6.75/22.5)] x 22.5Profit = (198.75 - 226.67) x 22.5 = -$626.25b) The firm decided to sell handbags together, not individually. The price is determined by dividing the price of an individual bag by the number of bags in a package .Packaging 2 bags: Price of each bag = 198.75Revenue for each package = 2 x Price of each bag Revenue for each package = 2 x 198.75 = $397.5Packaging 3 bags: Price of each bag = 198.75Revenue for each package = 3 x Price of each bag Revenue for each package = 3 x 198.75 = $596.25Packaging 4 bags: Price of each bag = 198.75Revenue for each package = 4 x Price of each bag Revenue for each package = 4 x 198.75 = $795Thus, the store should put 3 bags in a package and charge a price of $596.25.

Learn more about demand function  here:

https://brainly.com/question/33144919

#SPJ11

In thirty days time, a bank gives the following respective 90
day, 60 day and 30 day quotes of 5.0%. 4.0% and 3.90%. What is the
value of the bill?

Answers

Answer:

Discount Factor = 1 / (1 + Interest Rate)

Please provide the face value to calculate the exact value of the bill.

Explanation:

To calculate the value of the bill, we need to consider the discount factor for each respective time period.

The discount factors can be calculated using the formula:

Discount Factor = 1 / (1 + Interest Rate)

For the 90-day quote:

Discount Factor = 1 / (1 + 0.05) = 0.9524

For the 60-day quote:

Discount Factor = 1 / (1 + 0.04) = 0.9615

For the 30-day quote:

Discount Factor = 1 / (1 + 0.039) = 0.9619

To find the value of the bill, we multiply the face value of the bill by the respective discount factor and sum them up:

Value of the Bill = Face Value * (Discount Factor 90-day + Discount Factor 60-day + Discount Factor 30-day)

However, the face value of the bill is not provided in the question. Please provide the face value to calculate the exact value of the bill.

Learn more about discount factors here: brainly.com/question/31437642

#SPJ11

CK Company stockholders expect to receive a year-end dividend of $5 per share and then immediately sell their shares for $115 dollars per share. If the required rate of return for the stock is 20%, what is the current value of the stock?
A. $132 B. $122 C. $100 D. $110

Answers

The current value of the stock is (option C.) $100.

To calculate the current value of the stock, we need to consider the dividend and the expected selling price of the shares. The current value can be determined using the dividend discount model.

The dividend discount model formula is:

Current Value = Dividend / (Required Rate of Return - Dividend Growth Rate)

In this case, the dividend is $5 per share, and the required rate of return is 20%. However, we don't have information about the dividend growth rate. If we assume the dividend growth rate to be zero, we can simplify the formula as follows:

Current Value = Dividend / Required Rate of Return

Current Value = $5 / 0.20

Current Value = $25

However, the given options do not include $25. Among the provided options, the closest value to $25 is option C, which is $100. Therefore, the correct answer would be C. $100.

To learn more about dividend discount model, Visit:

https://brainly.com/question/15798462

#SPJ11

Electronic Products has 37,000 bonds outstanding that are currently quoted at 102.5. The bonds mature in 9 years and carry a 8 percent annual coupon. What is the firm's aftertax cost of debt if the applicable tax rate is 22 percent?

Answers

The organization's after-tax cost of debt is about 6.24%.

To calculate the firm's after-tax free of debt, we need to remember the tax financial savings resulting from the tax-deductibility of hobby payments.

Given:

Number of bonds first-rate (N) = 37,000

Bond quote charge (P) = 102.5(quoted as a percent of face value)

Number of years to adulthood (n) = 9

Coupon charge (C) = 8% (annual price)

Tax rate (T) = 22%

First, let's calculate the market cost of the bonds:

The market price of bonds = Number of bonds * Bond quote fee * Face fee / one hundred

Market price of bonds = 37,000 * 102.5 * $1,000 / 100

Market fee of bonds = $38,115,000

Next, let's calculate the once-a-year interest fee:

Annual hobby price = Market price of bonds * Coupon charge

Annual interest charge = $38,115,000 * 8% = $3,048,120

Now, let's calculate the tax savings from the hobby payment:

Tax financial savings = Annual hobby fee * Tax charge

Tax financial savings = $3,048,120 * 22% = $670,186.40

The after-tax price of debt is calculated by subtracting the tax savings from the annual hobby fee and dividing it by means of the market cost of the bonds:

After-tax value of debt = (Annual interest fee - Tax financial savings) / Market cost of bonds

After-tax value of debt = ($3,048,120 - $670,186.40) / $38,115,000

After-tax fee of debt = $2,377,933.60 / $38,115,000

The after-tax fee of debt ≈ 0.0624 or 6.24%

Therefore, the organization's after-tax cost of debt is about 6.24%.

To know more about after-tax costs,

https://brainly.com/question/28062298

#SPJ4

Upon close scrutiny of the statement of cash flows, Kurt concludes that he can get the operating cash flows above $1 million by reclassifying the proceeds from the $60,000, 2-year note payable listed in the financing activities section as "Proceeds from bank loan—$60,000." He will report the note instead as "Increase in payables—$60,000" and treat it as an adjustment to net income in the operating activities section. He returns to the president, saying, "You can tell the board to declare their usual dividend. Our net cash flow provided by operating activities is $1,030,000." "Good man, Kurt! I knew I could count on you," exults the president.
Instructions

a. Who are the stakeholders in this situation?
b. Was there anything unethical about the president’s actions? Was there anything unethical about the controller’s actions?
c. Are the board members or anyone else likely to discover the misclassification?

Answers

The stakeholders in this situation include Kurt, the president, the board members, and potentially shareholders and investors, and both the president's and the controller's actions of intentionally misclassifying and manipulating financial information are unethical, with the possibility of the misclassification being discovered through scrutiny by board members, auditors, or individuals with knowledge of the situation.

a. The stakeholders in this situation include Kurt (the controller), the president, the board members, and potentially shareholders and investors who rely on accurate financial information.

b. Yes, there is something unethical about both the president's and the controller's actions. The president is intentionally misclassifying the proceeds from the note payable to manipulate the operating cash flows, which is misleading and can deceive stakeholders. The controller, Kurt, is actively participating in the manipulation by proposing the misclassification and adjusting the net income improperly.

c. While it is difficult to determine with certainty, the misclassification could potentially be discovered by the board members or external auditors during the review or audit of financial statements. If proper scrutiny is applied to the statement of cash flows and supporting documentation, such as loan agreements or bank statements, the misclassification may be detected. Additionally, if someone with knowledge of the situation becomes aware of the misclassification, they may raise concerns or report the unethical behavior.

Learn more about stakeholders from the given link: https://brainly.com/question/30241824

#SPJ11

Suppose you are considering the purchase of a building. The seller is asking $250,000 for a building that cost her $125.000 An appraisal shows the building has a value of $225.000. You first offer $210,000. The seller counter offers with $235,000. Finally, you and the seller agree on a price of $230,000. What dollar amount for this building is
reported on your financial statements? Which accounting assumption or principle guides your answer?
What dollar amount for this building is reported on your financial statements?

Answers

The dollar amount reported on the financial statements for this building is $230,000. The accounting assumption or principle that guides this answer is the Cost Principle.

The final agreed-upon price between the buyer and the seller is the amount that is reported on the financial statements. In this case, after a series of negotiations, the buyer and seller settled on a price of $230,000. This amount represents the cost at which the building will be recorded on the buyer's financial statements.

The Cost Principle, also known as the Historical Cost Principle, states that assets should be recorded at their historical cost or the amount actually paid to acquire them. By adhering to this principle, the financial statements accurately reflect the cost incurred by the buyer for the acquisition of the building.

The initial asking price of $250,000 by the seller and the appraisal value of $225,000 are relevant pieces of information, but the final agreed-upon price of $230,000 is the determining factor for reporting purposes.

The negotiation process led to a mutually acceptable price, and that becomes the recorded value on the financial statements. This ensures transparency and reliability in financial reporting, as it reflects the actual cost of the building as agreed upon by the parties involved.

The Cost Principle, also known as the Historical Cost Principle, is a fundamental accounting principle that guides the reporting of assets on financial statements. It requires assets to be recorded at their historical cost, which is the amount actually paid to acquire them. This principle ensures that financial statements reflect the actual cost incurred by the buyer for the acquisition of assets, promoting transparency and comparability in financial reporting. It provides a reliable basis for evaluating the financial position and performance of an entity.

Learn more about dollar amount

brainly.com/question/30037755

#SPJ11

Receivables Investment Medwig Corporation has a DSO of 35 days. The company averages $4,000 in sales each day (all customers take credit). What is the company's average accounts receivable? Assume a 365-day year. Round your answer to the nearest dollar.

Answers

The average accounts receivable for Medwig Corporation can be calculated by multiplying the daily sales by the number of days it takes to collect payment (DSO). In this case, with a DSO of 35 days and average daily sales of $4,000, the average accounts receivable would be approximately $140,000.

To determine the average accounts receivable, we need to multiply the average daily sales by the number of days it takes to collect payment, which is represented by the DSO. In this case, the DSO is given as 35 days, and the average daily sales are $4,000.

First, we calculate the total credit sales over the course of a year by multiplying the average daily sales by the number of days in a year:

Total annual credit sales = Average daily sales * Number of days in a year

Total annual credit sales = $4,000 * 365 = $1,460,000

Next, we calculate the average accounts receivable by multiplying the total annual credit sales by the DSO and dividing it by the number of days in a year:

Average accounts receivable = Total annual credit sales * DSO / Number of days in a year

Average accounts receivable = $1,460,000 * 35 / 365 ≈ $140,000

Therefore, the average accounts receivable for Medwig Corporation is approximately $140,000.

Learn more about sales here:

https://brainly.com/question/28147419

#SPJ11

Other Questions
Use a calculator to solve the following equation for on theinterval (0,). cot()=12 Find all the correct answers.Round tothree decimal places. The light bulb used in a slide projector draws a current of 5 amperes when operating on 120 volts. a. What is the bulb's resistance? b. What is the bulb's power consumption? - 5.(4 pts) An electric motor on an airplane operates on 36 volts and draws a current of 10 amperes. a. What is the power consumption of the motor? b. How much energy does the motor use during a 1 hour flight? ( 1 hour is 3600 seconds) An especially violent lightning bolt has an average current of 1.1510 3 A lasting 0.202 s. How much charge is delivered to the ground by the lightning bolt? Number Units the sculpted "mystic mill" capital at vezelet represents Please help with this geometry question The following information pertains to changi manufacturing company:beginning finished goods inventory $40,000ending finished goods inventory $33,000cost of goods sold $250,000sales revenue $600,000operating expenses $120,000what is cost of goods manufactured?A $243,000B $350,000C $257,000D $250,000 Which divisibility rules apply to the number 440: 2,3,4,5,6,8,9,10? Suppose you wish to determine the degree to which annual earnings of professional golfers (Earnings) are related to driving distance (Yards Per Drive). The driving distance shows how far a golfer can hit the ball after it hits the ground. In such a case,a. you should define Earnings as the dependent variable.b. it does not matter which variable you define as the dependent variable.c. you should define Yards Per Drive as the dependent variable.d. you should define Earnings as the independent variable. Ztech, Inc. has a beta equal to 1.5 and a required return of 11% based on the CAPM. If the market risk premium is 5%, the risk-free rate of return is a 6% b 3.5% c 2.5% d 2% What is the present value of a trust fund that earns 9% compoundedmonthly and pays out $900 every month ? The next payment will bemade today What is a production function?A firm's production function is best described asA.illustrating the relationship between inputs and the maximum amounts of output that the firm can produce with these inputs.B.a relationship between different inputs that the firm uses to produce a fixed amount of output.C.a relationship between the amounts of outputs of different products the firm can produce with fixed amounts of inputs.D.a relationship between the total cost of production and the level of output.What does the short-run production function hold constant?A short-run production function holds constantA.the amount of labor.B.the amounts of all inputs.C.the amount of capital.D.the amount of output. Help answer this questions please onbottomHere are simplified financial statements for Phone Corporation in 2020 : Calculate the following financial ratios for Phone Corporation: Note: Use 365 days in a year. Do not round intermediate calcula The International Space Station is orbiting at an altitude of about 370 km above the earth's surface. The mass of the earth is 5.97 x 1024 kg, the radius of the earth is 6.38 x 106 m, and G=6.67 10-11 Nm2/kg2. Assuming a circular orbit, (a) what is the period of the International Space Station's orbit? (12.5 pts.) (b) what is the speed of the International Space Station in its orbit? (12.5 pts On Amazon's cash flow statement, for fiscal 2020, why does the ending balance per the cash flow statement not agree to the 'Cash and Cash Equivalents' line-item on the balance sheet? N/A - they do in fact agree. The balance sheet (accrual accounting) and cash flow statement (cash accounting) should not reconcile due to differences in accounting methodologies. The cash flow statement also tracks movements in the restricted cash balances, which roll up into Amazon's Accounts Receivable and Other Assets line-items. Cash and Cash equivalents on the balance sheet includes restricted cash. Identify the difference in the major risk associated with the following investment options:"Suppose an investor plans to hold a bond for one year. The investor has two options: the first option is to purchase a Treasury note that matures in 5 years. The second option is to purchase a Treasury note that matures in 10 years."a. Price riskb. Credit riskc. Foreign currency riskd. Liquidity risk A thin disk of radius {R} is uniformly charged with charge density o. 1. How much is the total charge Q on the disk? From 1999 to 2014, the average IPO rose by 19% in its first day of trading. In 1999, 117 deals doubled in price on the first day. What factors might contribute to the huge first-day returns on IPOs? Some critics of the current IPO system claim that under-writers may knowingly underprice an issue. Why might they do this? Why might issue companies accept lower IPO prices? What impact do institutional investors have on IPO pricing? how might the results be altered if you had skipped the pre-adsorption phase? a primary concern that americans have about globalization is that What are the impacts of the COVID-19 pandemic on the waymanagers in the education sector communicate with their employeesand external stakeholders?