Finance was your favorite subject at Lambton College. After joining the labour force, you realized the value of your education from Lambton College, and now comes the time to apply this knowledge. You will utilize your knowledge of capital investments, credit planning, and finance, to recommend the best course of action for the company.
DRT Company is a newly established retailer in the local market. The company does not have any credit facilities and it is considering financing its operating cycle. Currently the company purchases supplies on credit from a major wholesaler. The company repays the credit after 15 days from the date of order placement (days payable outstanding). It takes around 22 days for the goods to reach the company, and on average, the inventory is stored for 20 days prior to its sale (days inventory outstanding). All of the company’s sales are on credit. Account’s receivables are usually collected within 60 days (days receivables outstanding). The company is willing to finance its operations.
Freight-in 22 days , inventory 20 days , sell on credit 20days
the company is negotiating with a local bank the following credit facilities:
• Line of Credit
• Revolving Loan (Account’s receivables discounting)
• Installment loan
need to
• Calculate the approximate Cash Conversion Cycle (CCC)
• Recommend the best credit facility, and explain why it appropriate, and why it should be selected.

Answers

Answer 1

Cash conversion cycle (CCC) is an essential metric that aids a firm in determining the amount of time it takes to transform its inventory to cash. It is a measure of the firm's capability to turn its commodity into cash and is commonly employed to assess the efficiency of a company's working capital management.

It provides insight into the company's liquidity position and can be used to determine the best credit facility to use for financing. CCC = DIO + DSO – DPO Where; DIO is Days Inventory Outstanding, DSO is Days Sales Outstanding, and DPO is Days Payable Outstanding Calculation of CCC for DRT Company:

DIO = Inventory / COGS x 365DIO = 20 / 80 x 365 = 91.25DSO = Accounts receivables / Average daily credit salesDSO = 60 / (365 / 360) = 59.18DPO = Payables / COGS x 365DPO = 15 / 80 x 365 = 68.44 CCC = 91.25 + 59.18 - 68.44 = 82.99 Days This implies that it takes DRT Company 82.99 days to transform its inventory to cash.Recommendation of the best credit facility for DRT Company:

Line of credit is a facility where the lender provides funds to the borrower, and the borrower can use the funds whenever they require them, as long as they do not surpass the credit limit. It's appropriate for a company like DRT Company, which is a newly established retailer with a liquidity problem.

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Related Questions

Describe the damage to Nestle’s reputation following the
decision to market infant formula in third-world countries.

Answers

Nestle's reputation suffered significantly due to the decision to market value by using infant formula in third-world countries.

The aggressive marketing practices employed by the company in these regions led to negative consequences, including damage to Nestle's reputation as well as health risks for infants.

Nestle faced allegations of unethical marketing and aggressive promotion of infant formula, which undermined breastfeeding practices and had adverse effects on the health of infants in developing countries. The company was accused of creating a false perception that formula feeding was superior to breastfeeding, targeting vulnerable populations with misleading advertising, and providing inadequate education on proper formula preparation and use.

The repercussions were severe, as Nestle faced boycotts, protests, and legal challenges from advocacy groups and concerned individuals. The company's reputation suffered due to the perception that it prioritized profit over the well-being of infants and their families. Nestle's actions drew widespread criticism from the international community, leading to increased scrutiny of its marketing practices and calls for stricter regulations in the infant formula industry.

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What is a writ of certiorari?
A friend the court brief filed by someone who is interested in the outcome of a case but is not directly involved
The principle by which courts reply on past decisions and their precedents when making decision in new cases
An opinion written by a justice who disagrees with the majority opinion os the Supreme Court
The lawyer who represents the federal government and argues some cases before the Supreme Court

Answers

A writ of certiorari is a legal order from a higher court to a lower court or tribunal requesting records or decisions of a particular case. A writ of certiorari is a mechanism through which the Supreme Court decides which cases to hear.

The Supreme Court has the authority to grant a writ of certiorari, which is a request for a lower court to provide records of a case so that the Supreme Court can determine whether to hear the case or not.

A friend the court brief filed by someone who is interested in the outcome of a case but is not directly involved - This is a friend of the court brief, also known as amicus curiae. This is a document filed by a person who is not a party to a particular lawsuit but has a strong interest in the case's outcome.The principle by which courts reply on past decisions and their precedents when making decisions in new cases - This is the doctrine of stare decisis.

This is the legal principle that courts use when deciding cases by following past decisions or precedents. An opinion written by a justice who disagrees with the majority opinion of the Supreme Court - This is a dissenting opinion. This is an opinion that a judge writes when he or she disagrees with the majority's opinion in a case.The lawyer who represents the federal government and argues some cases before the Supreme Court - This is the Solicitor General. This is the person who represents the federal government before the Supreme Court and argues cases.

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George is an accountant and registered for GST. In addition to his accounting practice George owns several residential investment properties. He rents a house, which has an old stable near the front of the property which has been converted into a bungalow, to Arthur, a solicitor. Arthur decides to hang his shingle from the outside of the bungalow and create a home office from which to run his small but growing tax law practice.
Discuss any ABN and GST implications for George and Arthur.

Answers

Both George and Arthur have ABN (Australian Business Number) and GST (Goods and Services Tax) implications based on their respective situations.

George:

As an accountant and property owner, George's accounting practice is considered a business activity. Therefore, he needs to have an ABN for his accounting practice and should register for GST if his annual turnover meets or exceeds the GST registration threshold (currently $75,000 in Australia). George would need to charge GST on his accounting services and remit the collected GST to the Australian Taxation Office (ATO) through regular GST reporting.

Regarding his residential investment properties, if George is renting them out as residential premises, they are generally exempt from GST. However, if he provides additional services or facilities (e.g., cleaning services, furnished accommodation) as part of the rental agreement, GST may apply to those specific services.

Arthur:

As a solicitor running his tax law practice from the converted bungalow, Arthur is also conducting a business activity. He will need to apply for an ABN and register for GST if his turnover meets or exceeds the GST registration threshold. Arthur should charge GST on his services and remit the collected GST to the ATO.

It is important for both George and Arthur to keep accurate records of their income, expenses, and GST transactions to comply with tax obligations and meet reporting requirements.

George, as an accountant and property owner, may need to register for GST for his accounting practice if his turnover exceeds the GST registration threshold. He should also be aware of potential GST implications if he provides additional services with his residential properties. Arthur, as a solicitor running his tax law practice from the converted bungalow, needs to have an ABN and register for GST if his turnover meets or exceeds the GST registration threshold. Both George and Arthur should comply with the GST regulations, charge GST on their taxable supplies, and fulfill their reporting and payment obligations to the ATO. It is advisable for them to seek professional advice to ensure compliance with Australian tax laws and regulations.

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The objective of this question is to help you develop a good understanding of how our capitalist system answers the 4 fundamental questions. In the discussion of the Market System, we talked about the characteristics of the Market system and 4 Fundamental Questions that every economic system must answer. Please use the material covered in the topic called The Market System - List and thoroughly and completely explain those 4 fundamental questions and how they are answered. All the necessary information is provided in the slides and the audio lectures. Be sure you provide thorough and complete explanations throughout. i. What will be produced? (include explanation of all the concepts presented under this topic). ii. How will the goods and services be produced? 1. Why must firms try to employ the most economically efficient production techniques? 2. For each of the following issues, please explain in detail, why they are important to a firm and how a firm might address each one (need to see the detail here): a. Optimal plant location b. Resource Prices c. Resource Productivity d. Transportation Costs - Who will get the goods and services? - How will the system accommodate change? Be thorough! read the slides and listen to the lecture, then start writing. - Characteristics of the Market system. i. Select any 5 of the characteristics of the Market system that we covered and explain each of them. Be thorough! ii. ii. Explain how each characteristic you selected impacts the 1% versus the 99%.

Answers

The market system is an economic system where the decisions regarding resources allocation and production are made by the interactions of the market participants.

1. What will be produced?

This question pertains to the decision about the type and quantity of goods and services that should be produced. In the capitalist system, it is determined by the customer’s preferences.

2. How will goods and services be produced?

The capitalist system relies on the efficiency of firms in the production of goods and services. The answer to this question determines the production methods and techniques employed in the production process. The most economically efficient production techniques must be adopted by the firms to minimize their production costs.

3. Who will get the goods and services?

This question relates to the distribution of goods and services to the market participants. In a capitalist system, it is based on the ability and willingness of individuals to buy the goods and services.

4. How will the system accommodate change?

The market system must be flexible to adjust to changes in demand and supply conditions. The price system is the mechanism through which the changes in demand and supply conditions are communicated to the market participants.

Characteristics of the Market System:

1. Private Property

2. Freedom of enterprise and choice

3. Self-interest

4. Competition

5. Markets and prices

The impact of the five characteristics of the Market System on the 1% versus the 99% is as follows:

Private property: The 1% have more property and assets than the 99%, giving them greater economic control.

Freedom of enterprise and choice: The 1% have more choices and greater control over business ventures, which allows them to manipulate the system to their advantage.

Self-interest: The 1% have greater economic power and influence than the 99%, enabling them to act more self-interestedly.

Competition: The 1% dominate the market and often engage in practices that stifle competition, leading to higher prices and lower-quality products.

Markets and prices: The 1% have greater access to financial markets and can use their wealth to influence prices and market conditions, giving them a further economic advantage.

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Consider a consumer with the utility function u(x₁, x_2) = ln(x₁) + x2 and the budget constraint P₁x₁+ P_2x_2 = m. Derive the consumer's demand functions for x₁, and x_2.

Answers

The consumer's demand functions for x₁ and x_2 can be derived using the utility maximization principle. By maximizing utility subject to the budget constraint, we can determine the optimal quantities of x₁ and x_2 that the consumer will demand.

The consumer's demand functions for x₁ and x_2 can be derived by maximizing utility subject to the budget constraint.

To derive the consumer's demand functions, we start by forming the Lagrangian function, which combines the utility function and the budget constraint. The Lagrangian function is L = ln(x₁) + x_2 + λ(P₁x₁ + P_2x_2 - m), where λ is the Lagrange multiplier.

Next, we take partial derivatives of the Lagrangian function with respect to x₁, x_2, and λ, and set them equal to zero. This allows us to solve for the optimal values of x₁ and x_2 that maximize utility and satisfy the budget constraint.

Taking the partial derivative with respect to x₁, we get: ∂L/∂x₁ = 1/x₁ + λP₁ = 0.

Taking the partial derivative with respect to x_2, we get: ∂L/∂x_2 = 1 + λP_2 = 0.

Solving these equations simultaneously with the budget constraint P₁x₁ + P_2x_2 = m, we can find the values of x₁ and x_2 that represent the consumer's demand functions.

Note: The Lagrange multiplier λ represents the marginal utility of income, and it helps determine how the consumer allocates their budget between the two goods.

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What is the current yield for a bond that has a coupon rate of 4.5% paid annually, a par value of $1000, and 20 years to maturity? Investors require a return of 5.9% from the bond. (Round to 100 th of a percent and enter as a percentage, e.g. 12.34% as 12.34)

Answers

Therefore, the current yield for a bond that has a coupon rate of 4.5%, paid annually, a par value of $1000, and 20 years to maturity with investors requiring a return of 5.9% is 3.81%.

The current yield for a bond that has a coupon rate of 4.5%, paid annually, a par value of $1000, and 20 years to maturity with investors requiring a return of 5.9% is 3.81%.

When we talk about bonds, there are several yield metrics to calculate the return of a bond investment. In this question, we are going to calculate the current yield. The Current yield is the return on investment of a bond based on the current market price, also known as the current market yield.

The formula for calculating current yield is given as:

Current Yield = Annual Interest Payment / Current Market Price

Let's calculate the annual interest payment, which can be derived as:

Annual Interest Payment = Coupon Rate * Par Value

Annual Interest Payment = 4.5% * $1000

Annual Interest Payment = $45

The current market price of the bond is not given in the question. However, we can calculate it by using the yield to maturity of 5.9%.

We can use the financial calculator or excel to get the current market price, but for this, we are going to use a financial calculator.

The current market price of the bond can be calculated as:

PMT = -$45;

FV = $1000;

N = 20*1;

i = 5.9% / 1;

Then PV = $857.14

The current yield can now be calculated using the formula mentioned above.

Current Yield = Annual Interest Payment / Current Market Price

Current Yield = $45 / $857.14

Current Yield = 0.05247 or 5.247%

Now, let's round the current yield to the nearest hundredth of a percent, as mentioned in the question.

Current Yield = 5.25%

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As a portfolio manager, your objective is to minimize risk: min1 112+22 2[ ] while maintaining a particular level of expected return: 11 + 22 = 0 where 0 ≤ ≤ 1 for = 1, 2 You do this by optimally choosing the portfolio weights on the two assets, 1 and 2. This is a two asset portfolio (i.e., the portfolio weights sum to one) where the returns of the two assets are denoted by 1 and 2, respectively. The expected returns of this portfolio is 0. The parameters 12 and 2 are the variances of asset 1 and asset 2, respectively. Using the Lagrange Multiplier method, find the excess risk in your portfolio for a 1 % increase in portfolio expected return if the parameters take the following values: • 12 =36 and 2 =4. • 1 = 8% • 2 = 2% • 0 = 6%

Answers

The excess risk in the portfolio for a 1% increase in portfolio expected return can be found using the Lagrange Multiplier method. Given the parameters: σ₁² = 36, σ₂² = 4, μ₁ = 8%, μ₂ = 2%, and μ₀ = 6%, the excess risk can be calculated.

To find the excess risk, we can use the Lagrange Multiplier method. The Lagrangian function is defined as L = μ₀ - λ(μ₁ - μ₀) - λ(μ₂ - μ₀) + λ₁(σ₁² - σ²) + λ₂(σ₂² - σ²), where λ, λ₁, and λ₂ are Lagrange multipliers. Taking the partial derivatives of L with respect to σ², λ, λ₁, and λ₂ and equating them to zero, we can solve for the values of λ, λ₁, and λ₂. Then, substituting these values back into the Lagrangian function, we can find the excess risk by differentiating L with respect to μ₀ and multiplying it by -1. This will give us the excess risk in the portfolio for a 1% increase in portfolio expected return.

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Scenario 1 Let market demand for domestic workers be represented by Ep = 1,000 - 50w where Epis domestic labor demanded and w is the hourly wage. Refer to Scenario 1. Suppose instead the domestic labor supply is represented by Es = 87w- 750. Now, suppose that 99 immigrants that are perfect substitutes for native workers enter the market and their labor supply is perfectly inelastic. Hint: perfectly inelastic supply means that even if wage is $0.01, all workers with perfectly inelastic supply are willing to work. Another hint: Native workers do not have perfectly inelastic supply. It might help to draw on a supply and demand diagram how the total labor supply curve (which includes both natives and immigrants) might look like now that there are 99 additional workers with perfectly inelastic supply. What is the equilibrium wage for all workers in this market after the immigrants enter (round to the hundredth of a dollar)?

Answers

Answer:  the equilibrium wage for all workers in this market after the immigrants enter is approximately $12.05 per hour

Explanation:

To determine the equilibrium wage for all workers in the market after the immigrants enter, we need to find the point where the total labor supply and labor demand intersect. Let's first calculate the new total labor supply curve.

The domestic labor supply is represented by Es = 87w - 750. With the entry of 99 immigrants with perfectly inelastic supply, we can add their labor supply to the domestic labor supply:

Total labor supply = Es (domestic labor supply) + 99 (number of immigrants with perfectly inelastic supply)

Total labor supply = 87w - 750 + 99

Total labor supply = 87w - 651

Now, we can set the total labor supply equal to the labor demand to find the equilibrium wage:

87w - 651 = 1,000 - 50w

Combining like terms:

137w = 1,651

Dividing both sides by 137:

w ≈ 12.05

Osprey sports stocks everything that a musky fisherman could want in the Great North Woods. A particular musky lure has been very popular with local fisherman as well as those who buy lures on the internet from Osprey Sports. The cost to place orders with the supplier is $40/order; the demand averages 5 lures per day, with a standard deviation of 1 lure; and the inventory holding cost is $1.00/lure/year. The lead time from the supplier is 9 days, with a standard deviation of 3 days. It is important to maintain a 97% cycle-service level to properly balance service with inventory holding costs. Osprey Sports is open 350 days a year to allow the owners the opportunity to fish for muskies during the prime season. The owners want to use a continuous review inventory system for this item.
What order quantity should be used?
What reorder point should be used?
What is the total cost for this inventory system?

Answers

Order quantity, reorder point, and total cost for the inventory system at Osprey Sports depend on various factors like order cost, demand rate, holding cost, lead time, and the desired service level.

Osprey Sports should calculate the order quantity using the Economic Order Quantity (EOQ) formula: EOQ = √(2DS/H), where D is demand, S is the order cost, and H is the holding cost. Reorder point (ROP) can be calculated considering service level and lead time demand variability: ROP = daily demand x lead time + z-score (for desired service level) x standard deviation of lead time demand. Lastly, the total cost of the inventory system is computed by adding up the ordering cost, holding cost, and shortage cost if any. Note that these answers are theoretical; in practice, the calculations would depend on the actual values and might need adjustments considering real-world conditions.

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on december 1, 2024, the company received $8,700 in cash for december, january, and february rent. deferred rent revenue was credited. prepare the necessary adjusting entry on december 31, 2024.

Answers

This entry remaining portion of the deferred rent revenue will be recognized as earned in the subsequent months of January and February.

To prepare the necessary adjusting entry on December 31, 2024, you would need to recognize the portion of the deferred rent revenue that has been earned for the month of December.
The adjusting entry would be as follows:
Debit: Deferred Rent Revenue - December ($8,700/3 = $2,900)
Credit: Rent Revenue - December ($2,900)
This entry recognizes $2,900 of the deferred rent revenue as earned for the month of December. The remaining portion of the deferred rent revenue will be recognized as earned in the subsequent months of January and February.

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16. In the equation I‚/Y, = a¸ –Ú(R₁ −7), if ō is close to zero, investment: is not very sensitive to real interest rate changes. is very sensitive to changes in the marginal product of capital. is very sensitive to real interest rate changes. is sensitive to tax rate changes. does not depend upon the real interest rate. a. b. C. d. e.

Answers

In the equation[tex]I‚/Y, = a¸ –Ú(R₁ −[/tex]7), if ō is close to zero, investment: is not very sensitive to real interest rate changes.In the given equation,[tex]I‚/Y, = a¸ –Ú(R₁ −7),[/tex]If ō is close to zero, then the investment is not very sensitive to real interest rate changes.

Thus, the answer is option (a). The given equation represents the investment, which is a function of the real interest rate. Where, I denotes the investment, Y represents the level of output in the economy, R₁ is the real interest rate, and ō is a parameter.If the value of ō is very low, then the investment will not be very sensitive to changes in the real interest rate. Conversely, if the value of ō is high, then the investment will be more sensitive to changes in the real interest rate.

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Suppose I have two equities, X and Y, that each have mean excess returns of µX and µY respectively, and the
standard deviations of their excess returns are σX and σY respectively. In addition, suppose that they are perfectly negatively correlated so rhoXY = −1. Show that it is possible to have a zero variance portfolio.

Answers

A zero variance portfolio is a portfolio that has no variance or standard deviation, meaning that its expected returns and risks are the same regardless of the securities held in the portfolio.

The most basic way to construct a zero variance portfolio is to take two assets with perfect negative correlation that are allocated in proportions equal to their weightings in the portfolio. In the case of two equities, X and Y, if they are assumed to have zero correlation then their returns will vary with changes in the market independently of each other.

The portfolio mean return of a perfectly negatively correlated portfolio is equal to the weighted average of the two securities’ mean returns, and the portfolio variance is equal to the sum of the variances of each security’s excess return. If we assume that the portfolio is equally weighted in both securities and that the two assets have perfect negative correlation, then the portfolio variance will be zero.

For our two equities, X and Y, if their mean returns and standard deviations are given, then we know the portfolio return and variance. We can find the optimal portfolio weights in order to achieve a zero variance portfolio. To do this we use the equation of the portfolio variance (σP^2)=x^2+y^2−2xy, where xy is the correlation coefficient. Setting the portfolio variance to zero, we can solve for the optimal portfolio weights in each security. For example, if x=1, y=2, and xy=−1, then the optimal portfolio weights of each security would be x=y=1/2, resulting in a zero variance portfolio.

A zero variance portfolio is a theoretically interesting concept because it provides an optimal portfolio of risk and return. For two equities with perfect negative correlation, it is possible to construct a portfolio that has maximum return for no additional risk.

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Which of the following statements about South African taxation is NOT correct?
a. Tax revenue collection during the COVID-19 hard lockdowns of March and April 2020 exceeded that from March and April 2021.
b. Small businesses received government financial support
c. Small businesses struggled to generate revenue and thus submitted lower returns to taxation authorities
d. Value-added tax (VAT) and customs revenue estimates were much lower during the hard lockdown period than in prior years

Answers

The following statement about South African taxation which is NOT correct is: a. Tax revenue collection during the COVID-19 hard lockdowns of March and April 2020 exceeded that from March and April 2021.

Among the given options, option (a) is the statement that is not correct. This is because the opposite is the case. In South Africa, the tax revenue collection during the COVID-19 hard lockdowns of March and April 2021 exceeded that from March and April 2020.

Due to the coronavirus pandemic, many economies were affected and South Africa is no exception. The government of South Africa had to offer financial assistance to small businesses so they can keep their doors open, during the lockdown period. Many businesses could not generate enough revenue to survive and hence submitted lower returns to taxation authorities. Value-added tax (VAT) and customs revenue estimates were much lower during the hard lockdown period than in prior years.

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The sources for international law include all of the following
EXCEPT:
a.
international customs
b.
treaties
c.
international organizations
d.
U.S Supreme Court decisions

Answers

U.S. Supreme Court decisions are not sources of international law. International law primarily derives from international customs, treaties, and international organizations. Here option D is the correct answer.

The sources for international law include international customs, treaties, and international organizations. However, U.S. Supreme Court decisions are not considered a direct source of international law.

While the U.S. Supreme Court plays a significant role in interpreting and applying domestic law within the United States, its decisions are generally binding within the U.S. legal system and do not automatically create or modify international legal obligations.

International law primarily derives from customary practices among nations, which have evolved over time and gained acceptance through consistent and widespread state practice.

Treaties are another crucial source of international law, as they are formal agreements between states that establish rights, obligations, and regulations among the parties involved.

International organizations, such as the United Nations, also contribute to the development and interpretation of international law through their activities, resolutions, and conventions.

In summary, U.S. Supreme Court decisions, while influential within the United States, are not considered a direct source of international law, which is predominantly shaped by international customs, treaties, and the work of international organizations.

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In a cash against documents transaction:
The draft is payable on presentation to the drawer by the remitting bank.
The draft is payable on presentation to the drawee by the presenting bank.
The draft is payable on presentation to the drawee by the remitting bank.
The draft is payable on presentation to the drawer by the presenting bank.

Answers

The correct statement in a cash against documents transaction is:

The draft is payable on presentation to the drawer by the presenting bank.

In a cash against documents transaction, the presenting bank is responsible for presenting the draft to the drawer (the party who issued the draft) in exchange for payment. The drawer is required to make the payment upon presentation of the draft by the presenting bank.

In a cash against documents transaction, the draft refers to a written order or demand for payment issued by the drawer (the party who initiates the transaction) to the drawee (the party who owes the payment). The purpose of this transaction is to ensure that the payment is made before the documents related to the transaction are released.

The correct statement states that the draft is payable on presentation to the drawer by the presenting bank. Here's an explanation of how this process works:

1. The remitting bank, which is typically the bank of the seller or exporter, sends the draft along with other relevant documents to the presenting bank. These documents could include invoices, bills of lading, or other shipping documents.

2. The presenting bank acts as an intermediary and presents the draft to the drawer, who is the party responsible for making the payment. The presenting bank may be the bank of the buyer or importer.

3. Upon presentation of the draft, the drawer is obligated to make the payment to the presenting bank. The presenting bank verifies the draft and collects the payment from the drawer.

4. Once the payment is received, the presenting bank releases the documents to the drawer, allowing them to take possession of the goods or complete the transaction.

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A soft drink maker wants to expand into a neighboring country. They want the product bottled in that country to avoid political issues and to enhance the local image of the product. They have identified two options for the expansion. The first is to build a highly automated plant. The economies of scale would allow them to produce a can of soda for $0.04 and the distribution costs would be $0.02 per can. This facility would cost $1 million per year in fixed costs. The second option would be to build a semi-automated plant that would cost $650,000 per year in fixed costs. However, the cost to produce a can would be $0.07 and the distribution cost would be $0.04 per can.
a) Over what range of products would each plant be preferred?
b) Suppose the company believes that the demand would be 6,000,000 cans per year. Suppose all costs except the variable cost (sum of the production and distribution costs) for the semi- automated process are certain and cannot change. What would the variable cost (the sum of the production and distribution cost) per can for the semi-automated process have to be so that the soft drinker maker is indifferent between the two types of plants?

Answers

The variable cost per can for the semi-automated process would need to be lower than $0.15 in order to be preferred over the highly automated plant.

a) To determine the range of product quantities for each plant to be preferred, we need to compare the total costs for each option. Let's denote x as the number of cans produced.

For the highly automated plant:

Total cost = Fixed costs + (Production cost per can + Distribution cost per can) * x

Total cost = $1,000,000 + ($0.04 + $0.02) * x

Total cost = $1,000,000 + $0.06x

For the semi-automated plant:

Total cost = Fixed costs + (Production cost per can + Distribution cost per can) * x

Total cost = $650,000 + ($0.07 + $0.04) * x

Total cost = $650,000 + $0.11x

To find the range of product quantities for each plant to be preferred, we need to find the point where the total costs are equal:

$1,000,000 + $0.06x = $650,000 + $0.11x

Simplifying the equation, we get:

$0.05x = $350,000

x = 7,000,000 cans

Therefore, the highly automated plant would be preferred for producing up to 7,000,000 cans, while the semi-automated plant would be preferred for quantities beyond that.

b) If the company believes the demand is 6,000,000 cans per year and wants to determine the variable cost per can for the semi-automated process to be indifferent between the two plants, we can set up the equation:

$1,000,000 + ($0.06 * 6,000,000) = $650,000 + (Variable cost per can + $0.04) * 6,000,000

Simplifying the equation, we get:

$1,360,000 = $650,000 + $0.15 * 6,000,000

$1,360,000 = $650,000 + $900,000

$1,360,000 - $650,000 = $900,000

$710,000 = $900,000

Since $710,000 is less than $900,000, it is not possible for the soft drink maker to be indifferent between the two types of plants. The variable cost per can for the semi-automated process would need to be lower than $0.15 in order to be preferred over the highly automated plant.

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Six Sigma Lean
Objectives of the Improvement phase of the DMAIC roadmap are ... (select the best statement):
Brainstorm ideas to solve the statistical problem, pilot and implement a solution.
Identify a solution, evaluate risks, pilot & implement a solution.
Identify & prioritize possible solutions, evaluate & mitigate risks, pilot & implement.
Identify all possible solutions, implement solutions & record the risk.
After improving a risk identified in a Failure Mode Effect Analysis (FMEA), which component of the risk priority number (RPN) usually does not change?
Source
Detection
Occurrence
Severity

Answers

After improving a risk identified in a Failure Mode Effect Analysis (FMEA), the severity component of the risk priority number (RPN) usually does not change.

The RPN is calculated by multiplying the three components: severity, occurrence, and detection. When a risk has been addressed and mitigated, the severity of the potential failure mode is typically reduced or eliminated. However, the occurrence and detection components may change as a result of the improvement actions taken.

The severity reflects the impact or seriousness of the potential failure mode, and unless the nature of the failure mode itself changes, the severity rating is unlikely to be affected by the improvement efforts.

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The past five monthly returns for Kohls are 3.78 percent, 4.22 percent, -1.92 percent, 19.37 percent, and -2.80 percent. What is the average monthly return? (Round your answer to 3 decimal places.) Av

Answers

The average monthly return of Kohls is 4.53 percent (rounded to 3 decimal places).

To determine the average monthly return of Kohls given the following data 3.78 percent, 4.22 percent, -1.92 percent, 19.37 percent, and -2.80 percent, we'll need to use the formula for calculating the arithmetic mean.

The arithmetic mean is the value obtained by adding up all the data points and dividing the sum by the total number of data points. The formula for arithmetic mean is given as:

Arithmetic mean = Sum of all values / Total number of values

To calculate the average monthly return, we'll substitute the values into the formula for calculating the arithmetic mean. For the given data:

Total number of values, n = 5

Sum of all values = 3.78 + 4.22 - 1.92 + 19.37 - 2.80

= 22.65

Average monthly return = Sum of all values / Total number of values

= 22.65 / 5

= 4.53

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What is the expansionary and contractionary fiscal policy for
the truck driving industry?
Subject is macroeconomics

Answers

Expansionary fiscal policy for the truck driving industry includes increased government spending, tax cuts, and subsidies/grants. Contractionary fiscal policy involves decreased government spending, tax increases, and reduction in subsidies/grants.

I'm updating my resume and one of duties from my internship was reaching out to mental health professionals to see if they would volunteer their time with the program I'm assisting. How would I put that in a short sentence in a professional way? This one: "reaching out to mental health professionals to see if they would volunteer their time."

Answers

"Engaged in proactive outreach to mental health professionals, seeking their voluntary participation in the program."

The suggested sentence, "Engaged in proactive outreach to mental health professionals, seeking their voluntary participation in the program," conveys the responsibility you had during your internship. Here's a breakdown of the sentence:

1. "Engaged in proactive outreach": This phrase highlights your active involvement and initiative in reaching out to mental health professionals. It implies that you took the initiative to establish communication with these professionals.

2. "to mental health professionals": This specifies the target audience or group of individuals you were contacting. It clarifies that your outreach efforts were directed towards professionals in the mental health field.

3. "seeking their voluntary participation": This conveys the purpose of your outreach. It explains that your goal was to gauge the interest and willingness of these professionals to offer their time voluntarily for the program.

4. "in the program": This specifies the context or program in which you were involved. It provides a brief reference to the program without going into excessive detail.

Overall, the sentence demonstrates your proactive approach in reaching out to mental health professionals and highlights your responsibility in seeking their voluntary participation in the program.

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A person borrows $280 from a payday loan company, pays $30 interest for two weeks. this would result in an annual interest rate of approximately ___ percent. ignore compounding.

Answers

A person takes out a payday loan of $280 and repays it with $30 in interest over two weeks. An annual interest rate of about 279 percent would come from this.

We will first calculate the number of weeks which is

52 weeks / 2 = 26 because we have been given interest for two weeks.

Now, we will calculate annual interest which is

Annual interest = weeks × interest for two weeks

= 26 × $30

= $780 annual interest;

Now we, will calculate annual interest rate which is

Annual interest rate = annual interest / loan amount

= $780 / $280

= 2.79

= 279%

The annual rate of return on a financial instrument, presuming annual compounding has been applied, is known as the effective interest rate. It is employed to compare rates for various compounding times.

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Guide to History & Current Use
• Describe significant findings that prompted the All criteria are All criteria are 2 criteria fully met 1 criteria fully met Criteria not present
development of the technology. described described concisely
•Discuss the history and current use of the comprehensively with but not technology in healthcare, consideration of comprehensively.
• Describe three goals of this technology's alternate Some elements of
implementation. perspectives or alternate

Answers

Technology has played an important role in transforming the healthcare sector. One of the technologies that have revolutionized the healthcare sector is Electronic Health Records (EHRs).

Guide to History and Current Use of EHRs:Significant Findings that prompted the development of EHRs: The Institute of Medicine (IOM) published a report called “To Err is Human,” which concluded that up to 98,000 individuals die every year due to preventable errors in healthcare. This report led to the development of EHRs to minimize medical errors and improve patient outcomes. Another significant finding that prompted the development of EHRs was the need to replace paper-based records, which were slow and required extensive storage space.History and Current Use of EHRs in healthcare: EHRs were first introduced in the 1960s, but their use became widespread in the 2000s.

EHRs are now used globally in both private and public healthcare systems. EHRs provide clinicians with up-to-date patient data that can be used to improve patient care. They have also enabled healthcare providers to improve patient engagement, reduce medical errors, increase efficiency and productivity, and reduce healthcare costs.

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Using your organization or any organization you are familiar with, assess how inventory affects return on assets.Using your organization or any organization you are familiar with, assess how inventory affects return on assets. [1000 words]

Answers

Inventory is an essential part of an organization, and it has a significant impact on the return on assets of the organization.

What  does it entail?

It is an asset that is held by the organization to meet the demand of the customer in a timely and efficient manner. However, holding too much inventory for a long time can affect the return on assets negatively, while holding too little inventory can impact customer satisfaction and sales.

Walmart is a multinational retail corporation that operates a chain of hypermarkets, discount department stores, and grocery stores. The company deals with a vast array of products, from apparel to electronics, household goods, and groceries.Walmart has managed to maintain its position in the market as the largest retail store in the world through effective inventory management. Walmart's inventory turnover rate is one of the highest in the retail industry, which has contributed significantly to its high return on assets.Inventory turnover measures how often a company's inventory is sold and replaced over a specific period. Walmart has maintained a high inventory turnover rate, which implies that the company efficiently manages its inventory levels. By ensuring that products move off the shelves quickly, Walmart can replace inventory promptly with new stock, reducing the risk of obsolescence, spoilage, or damage to goods. As a result, Walmart's return on assets is high, and the company has managed to maintain its profitability over the years.

To summarize, effective inventory management is essential for any organization's success, and it has a significant impact on return on assets.

Holding too much inventory can result in a decline in profits, while holding too little inventory can lead to loss of sales and customer dissatisfaction.

Therefore, organizations must maintain optimal inventory levels to ensure they are meeting customer demand while still maximizing their profits.

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Need the excel graph. Go to the FRED database: download All Employees, Total Nonfarm (need to multiply by 1000) and GDP (multiply by 1 billion). Calculate labor productivity per employee. Plot the data and explain what you are observing. Is labor productivity the same across time? During what time periods labor productivity increases or decreases? (no more than 200 words) (Period: 1960s to 2021).

Answers

Here is the answer to the given problem:

First, we will download the data from FRED database and then use the formula to calculate the labor productivity per employee.

After calculating the productivity per employee, we will plot the data and then discuss the observations.

What is labor productivity?

Labor productivity is calculated by measuring the amount of output produced by a worker in a unit of time. It is used to measure the efficiency of the economy and the productivity of the workforce.

Steps to download data and calculate labor productivity:

. Go to the FRED database

. Download the data for "All Employees, Total Nonfarm" (multiply by 1000) and GDP (multiply by 1 billion)

. Enter the formula to calculate labor productivity per employee (LPPE) as: LPPE = GDP / (Total Employees x 1000)

. Plot the data and explain observations

Observations and interpretations:

Looking at the graph, we can see that labor productivity has increased over time, especially in the 1990s and 2000s. It seems to have plateaued in recent years, but remains at a high level.

Labor productivity was highest in the late 1990s and early 2000s. This was due to technological advances and increased investment in capital.

As the economy grew, firms invested more in technology and infrastructure, which allowed them to produce more with fewer workers. This led to an increase in labor productivity.

However, during the 1970s and early 1980s, labor productivity growth slowed down. This was due to the oil crisis and inflation, which led to a decline in investment and a decrease in productivity. It took time for the economy to recover, and labor productivity did not start to increase again until the mid-1980s.

Labor productivity is not the same across time. It is affected by many factors, such as technology, investment, and changes in the economy. The graph shows that labor productivity has increased over time, but there have been periods of slower growth or decline.

Overall, however, labor productivity has increased steadily since the 1980s, and remains at a high level today.

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pls
help
What is the effective annual rate of interest if $1100.00 grows to $1400.00 in five years compounded monthly? Question 4 01 14 SOB The effective annual rate of interest as a percent is %. (Round the f

Answers

The effective annual rate of interest is approximately 6.6651%.

To calculate the effective annual rate of interest, we can use the formula:

Effective Annual Rate (EAR) = (1 + (Nominal Interest Rate / Number of Compounding Periods))^Number of Compounding Periods - 1

In this case, the nominal interest rate is unknown, but we can find it by rearranging the formula to solve for it. Let's assume the nominal interest rate is denoted as r.

$1100.00 grows to $1400.00 in five years compounded monthly, so we can set up the equation:

$1100.00 * (1 + r/12)^(12*5) = $1400.00

Simplifying the equation:

(1 + r/12)^60 = 1400/1100

(1 + r/12)^60 = 1.272727

Taking the 60th root of both sides:

1 + r/12 = (1.272727)^(1/60)

1 + r/12 = 1.005401

Subtracting 1 from both sides:

r/12 = 1.005401 - 1

r/12 = 0.005401

Multiplying both sides by 12:

r = 0.064812

Now we have the nominal interest rate, r, which is approximately 0.064812.

To calculate the effective annual rate (EAR), we can substitute this value into the earlier formula:

EAR = (1 + (0.064812 / 12))^12 - 1

EAR = 0.066651

Therefore, the effective annual rate of interest is approximately 6.6651%.

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Cox Electric makes electronic components and has estimated the following for a new design of one of its products: Fixed Cost =$19,000 Material cost per unit =$0.15 Labor cost per unit =$0.10 Revenue per unit =$0.65 Production Volume =12,000 revenue, and answer the following questions. yielding a profit of zero. Vary production volume from 5,000 to 50,000 in increments of 5,000 . In which interval of production volume does breakeven occur? to units

Answers

Breakeven is the point at which the total cost equals the total revenue. It is the stage at which a company does not suffer any losses and starts making profits. The break-even point (BEP) is calculated by dividing the total fixed costs by the contribution margin per unit.

Cox Electric produces electronic components, and it has anticipated the following figures for one of its products' new designs: Fixed Cost = $19,000Material cost per unit

= $0.15Labor cost per unit

= $0.10Revenue per unit

= $0.65Production Volume

= 12,000We can now determine the contribution margin per unit. The contribution margin is the profit made from selling one unit of the product after the variable expenses are deducted from the sales revenue .Variables costs per unit = material cost per unit + labor cost per unit= $0.15 + $0.10

= $0.25Contribution margin per unit

= Revenue per unit - variable cost per unit

= $0.65 - $0.25

= $0.4Now we can calculate the BEP using the formula :BEP

= Fixed cost/ Contribution margin per unit = $19,000/ $0.4

= 47,500 units Now that we have found the BEP, we will need to determine the interval of production volumes that yields breakeven. The question asks for production volumes between 5,000 and 50,000 in increments of 5,000.

Let's make a table to list all the production volumes in the given range and calculate the profit for each one. The profit will be zero when the BEP is reached. We will then compare the profit before and after the BEP. That will indicate where the interval of the BEP lies.

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Nesmith Corporation's outstanding bonds have a $1,000 par value, an 11% semiannual coupon, 15 years to maturity, and a 14% YTM. What is the bond's price? Round your answer to the nearest cent. $ Iampton Industries had $36,000 in cash at year-end 2020 and $20,000 in cash at year-end 2021 . The firm invested in property, plant, and equipment totaling $290,000− the najority having a useful life greater than 20 years and falling under the alternative depreciation system. Cash flow from financing activities totaled +$100,000. Round your nswers to the nearest dollar, if necessary. a. What was the cash flow from operating activities? Cash outflow, if any, should be indicated by a minus sign. $ b. If accruals increased by $35,000, receivables and inventories increased by $75,000, and depreciation and amortization totaled $17,000, what was the firm's income? $

Answers

The firm's income is $268,000 because, Net Income = Cash Flow from Operating Activities - Non-Cash Expenses + Changes in Working Capital

a. To calculate the bond's price, we can use the formula for the present value of a bond. The formula is:

Price = (C / 2) * (1 - (1 / (1 + YTM / 2)^(2 * n))) / (YTM / 2) + (M / (1 + YTM / 2)^(2 * n))

Where:
C = Coupon payment per period = $1,000 * 11% / 2 = $55
YTM = Yield to maturity = 14% / 2 = 7%
n = Number of periods = 15 years * 2 = 30 periods
M = Par value = $1,000

Plugging the values into the formula:

Price = ($55 / 2) * (1 - (1 / (1 + 7% / 2)^(2 * 30))) / (7% / 2) + ($1,000 / (1 + 7% / 2)^(2 * 30))

Using a financial calculator or spreadsheet, we find that the bond's price is approximately $902.69.

b. To calculate the cash flow from operating activities, we need to consider the changes in working capital and the non-cash expenses. The formula for cash flow from operating activities is:

Cash Flow from Operating Activities = Net Income + Non-Cash Expenses - Changes in Working Capital

Given the information provided, we have:
Non-Cash Expenses = Depreciation and Amortization = $17,000
Changes in Working Capital = Increase in Accruals + Increase in Receivables + Increase in Inventories = $35,000 + $75,000 + $75,000 = $185,000

We need to solve for Net Income:
Net Income = Cash Flow from Operating Activities - Non-Cash Expenses + Changes in Working Capital
Net Income = $100,000 - $17,000 + $185,000
Net Income = $268,000

Therefore, the firm's income is $268,000.

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What is the benefit of using stories to frame informative and positive business messages?
enables audience to put facts into context
projects an image of generosity
negates potential for customer complaints
eliminates audience

Answers

Stories are incredibly powerful communication tools, as they not only entertain us but also help us remember things. There are several benefits to using stories to frame informative and positive business messages, which are discussed below: Benefits of using stories to frame informative and positive business messages:

1. Enables audience to put facts into context: Stories provide context, making it easier for the audience to understand and remember the facts presented. Because a story has a beginning, middle, and end, it assists the audience in seeing the significance of the information they are receiving.

2. Projects an image of generosity: People like to do business with organizations that appear to care about their customers and are generous. A well-crafted narrative that emphasizes the company's culture of giving may help to portray a company in a more positive light.

3. Negates potential for customer complaints: Storytelling has the potential to be a strong and effective customer relations tool. By telling stories, businesses can convey their commitment to their customers, which is a surefire approach to make them feel valued and heard.

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Compute the cost of the ending inventory under the average-cost method, assuming there are 360 units on hand. (Round answer to o decimal places, e. G. 1,250. ) The cost of the ending inventory =_____

Answers

The cost of the ending inventory under the average-cost method, with 360 units on hand, cannot be determined without additional information.

To calculate the cost of the ending inventory using the average-cost method, we need to know the cost per unit of the inventory items. The average-cost method assumes that the cost of each unit in inventory is the average cost of all units available for sale.

Without knowing the cost per unit, it is not possible to determine the cost of the ending inventory. Once the cost per unit is known, we can multiply it by the number of units in the ending inventory to calculate the total cost.

Please provide the cost per unit to compute the cost of the ending inventory accurately.

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Select the correct statement: A conjunction fallacy is a multiplicative process in which a sequence of successful probabilities are multiplied. Adjustment, with anchoring, leads to overestimation of probabilities of success. Conjunction fallacies lead to anchoring. All the statements here are correct. When asked to multiply a series of numbers together, people often multiply the first few numbers and then extrapolate

Answers

The first statement is the best one out of all. The correct statement is "Adjustment, with anchoring, leads to overestimation of probabilities of success." A conjunction fallacy is a reasoning error in which people overestimate the likelihood of an event occurring by assuming that a series of events will occur together rather than independently.

A conjunction fallacy is a multiplicative process in which a sequence of successful probabilities are multiplied. People tend to believe that the more specific a scenario is, the more likely it is to happen. The use of heuristics, or mental shortcuts, is what leads to conjunction fallacies. Anchoring, which is an adjustment bias, is one of these shortcuts. Adjustment, with anchoring, leads to overestimation of probabilities of success. People tend to rely too heavily on the first piece of information they receive, known as the anchor, when estimating probabilities. As a result, their subsequent judgments are skewed in the direction of the anchor. Conjunction fallacies are frequently used in situations involving the legal system, such as when jurors are asked to assess the likelihood that a defendant committed a specific crime. These errors can also be found in the business world, such as when investors evaluate the possibility of a company's stock price rising to a certain level.

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How does the interaction cross-section for each process depend on the atomic number of the interaction Explain and compare the development of Latino communities in Florida and New York by commenting on the experiences of Cubans, Puerto Ricans, and Dominicans.First, discuss the formation of the Cuban American community in South Florida in the 70s, focusing on three elements: economic success, the process of naturalization, and participation in domestic politics.Then, explain the patterns of settlement and community building of Puerto Ricans and Dominicans in New York, and analyze the economic, social, and cultural dimensions of these communities.Finally, reflect on points of comparison/contrast between Cubans, Puerto Ricans, and Dominicans.Refer to class discussion and reading such as "Havana USA," "Settlement Patterns," and "From the Burro to the Subway."INSTRUCTIONS:* Structure your answer as follows:one introductory paragraph where you mention how the Latino migrations produce new communities in the United States, and that you will focus on the Cuban American community formed in Florida, and the Puerto Rican and Dominican communities of New York.one paragraph where you discuss how the Cuban American community developed in Florida, focusing on: their economic success, their process of naturalization, and their participation in local politics.one paragraph where you comment on: a) the settlements patterns and community development of Puerto Ricans in New York (focus on "colonias," the development of the commercial and professional sector, and the role of Spanish language and culture); b) the rise of a Dominican community in New York and the notions of citizenship and race that they bring back to the Dominican Republic.one final paragraph where you reflect on points of comparison/contrast between Cubans, Puerto Ricans, and Dominicans. Write a Persuasive Essay : Should mask mandatesbe enforced during times of disease outbreak, such as COVID 19? 1. An electric fan is turned off, and its angular velocity decreases uniformly from 600 rev/min to 200 rev/min in 4.00 s. Find the angular acceleration of electric fan in 4.00 minutes. Big Boomers makes custom clubs for golfers. Most of the work is done by hand and with small tools used by craftsmen. Customers are quoted a price in advance of their clubs being manufactured. To produce clubs at a profit, management must have a thorough understanding of product costs. Jeff Ranck, manager of the business, is using direct labor hours as the activity base for allocating overhead costs. He estimated the following amounts at the beginning of 2022:Estimated total overhead . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . $180,000Estimated direct labor hours . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 15,000 hoursThe following information is available for job number 17, which was started and completed in February 2022: Direct materials used $1000 Direct labor used $600 (corresponding to 10 direct labor hours)Prepare journal entries to:a. Record all the manufacturing costs charged to job 17.b. Record the completion of job 17.c. Record the cash sale of job 17 in its entirety at a selling price of 120% of its manufacturing cost. Record in a separate entry the related cost of goods sold.