1. Firm PremiumV is a car manufacturer located in the United State.
2. The firm imports parts to USA from foreign suppliers in Japan, South Korea and Mexico.
3. The firm exports cars to Australia, Canada, Germany and Norway.
4. The firm has a payment of 600,000,000 JPY due in 1 months to their Supplier 1 in Japan, a payment of 200,000,000 JPY due in 3 months to their Supplier 2 in Japan, a payment of 8,000,000,000 KRW due in 3 months to their Supplier in South Korea, and a payment of 10,000,000 MXN due in 3 months to their Supplier in Mexico.
5. The firm is due to receive 50,000,000 AUD from their customer in Australia in 3 months, 50,000,000 CAD from their customer in Canada in 6 months, 20,000,000 EUR from their customer in Germany in 3 months and 100,000,000 NOK from their customer in Norway in 3 months
> Please design hedging strategies for the firm. You need to explain why your chosen hedging strategies are better than the other strategies.
> You also need to evaluate the hedging outcomes – what will the outcomes be if exposures are hedged using your hedging strategies and what will the outcomes be if exposures are not hedged.

Answers

Answer 1

If the USD/KRW exchange rate drops by 10%, the firm will have to pay an additional $ 720,000 to their suppliers in South Korea.

Hedging strategies for PremiumV:

As the payment of 600,000,000 JPY is due in 1 month, the firm may consider hedging the currency risk by purchasing forward contracts for 1 month to buy JPY.

Similarly, for a payment of 200,000,000 JPY due in 3 months, the firm may consider purchasing forward contracts for 3 months. However, forward contracts will only cover the risk of fluctuations in the currency exchange rate and will not protect the firm from credit risk.

This will give them the right to sell KRW and MXN at a pre-determined exchange rate. This strategy will limit the potential loss to the premium paid for the option. However, this strategy will not cover the credit risk from their suppliers. The firm should evaluate the cost of the option premium compared to the potential loss if they do not hedge their currency exposure.

For the receipts due in 3 months from AUD and EUR, the firm may consider delaying the receipt or accelerating payment of the payables in AUD and EUR. This will create a natural hedge and reduce the exchange rate risk. For the receipts due in 6 months from CAD, the firm may consider forward contracts. The firm may also consider a money market hedge by investing CAD in the Canadian market and borrowing USD in the US market.

The choice of hedging strategy will depend on the cost of borrowing and the expected return on investment.Evaluation of hedging outcomes:

If the exposures are not hedged, the firm will be exposed to currency risk which may result in significant losses. For example, if the USD/JPY exchange rate drops by 10%, the firm will have to pay an additional $ 5.5 million to their suppliers in Japan. Similarly, if the USD/KRW exchange rate drops by 10%, the firm will have to pay an additional $ 720,000 to their suppliers in South Korea.

If the USD/MXN exchange rate drops by 10%, the firm will have to pay an additional $ 1 million to their suppliers in Mexico. On the other hand, if the USD strengthens, the firm will receive less revenue from their exports.To hedge the currency risk, the firm may incur additional costs such as option premium, forward points, and borrowing costs. However, these costs will be offset by the benefits of reduced currency risk.

By hedging their exposures, the firm can ensure that their cash flows are more predictable and stable.

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Related Questions

Congratulations! You have been hired by SuperComputers to revamp their customer service call center. Currently, they reward employees who handle the most calls in the shortest amount of time. Employees are discouraged from problem-solving and instead are directed to only do what their told. The CEO of SuperComputers is concerned about this work unit as customers are complaining about poor customer service and unresolved issues. What approach will you take to turn this call center around? What management theory or theories will you use to improve customer service?

Answers

By changing the reward system to help customers with their issues instead of trying to take as many calls, it will lead to better customer service. You should also get the people working in the call center retrained, that is how you should go about solving the issue.

Dog Up! Franks is looking at a new sausage system with an installed cost of $748,800. This cost will be depreciated straight-line to zero over the project's 7-year life, at the end of which the sausage system can be scrapped for $115,200. The sausage system will save the firm $230,400 per year in pretax operating costs, and the system requires an initial investment in net working capital of $53,760.
If the tax rate is 24 percent and the discount rate is 8 percent, what is the NPV of this project?

Answers

Based on the given parameters, the project has a positive NPV, indicating that it is a financially viable investment. The NPV of the project is $73,731.09.

To calculate the NPV, we need to find the present value of all the cash flows associated with the project. The cash flows include the annual savings in operating costs, the salvage value of the sausage system, and the initial investment in net working capital.

The annual savings in operating costs of $230,400 are considered as an after-tax cash flow since they are stated as pretax operating costs. Considering a tax rate of 24 percent, the after-tax savings are $230,400 * (1 - 0.24) = $175,104.

The cash flow in the final year includes the salvage value of the sausage system and the recovery of the net working capital. The salvage value is $115,200, and the net working capital recovery is $53,760.

Using the straight-line depreciation method, we can determine the annual depreciation expense as ($748,800 - $115,200) / 7 = $92,400.

Next, we calculate the present value of the cash flows using the discount rate of 8 percent. We discount the annual savings, salvage value, net working capital recovery, and the tax shield of depreciation expense over the project's life.

Finally, we sum up the present values of the cash flows and subtract the initial cost of the project to find the NPV.

After performing the calculations, the NPV of the project is found to be $73,731.09.

Therefore, based on the given parameters, the project has a positive NPV, indicating that it is a financially viable investment.

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There should always be a between the government wide financial statements to the govermental funds. (Can be 1 attached to the statements or presented as a separate schedule) 2 How many total basic financial statements are there? 3 What section of the CAFR would you find demographic information presented? 4 What can be discretely presented in the government wide statements?

Answers

In the government-wide financial statements, the discretely presented component units can be presented.

1. There should always be a reconciliation between the government-wide financial statements and the governmental funds. (Can be 1 attached to the statements or presented as a separate schedule)

2. The total number of basic financial statements is three.

3. The demographic information is presented in the Statistical Section.

4. The discretely presented component units can be presented in the government-wide financial statements. A government-wide financial statement is a set of financial statements that shows an overview of the state's finances as a whole. It consolidates financial data from all government funds and enables readers to assess the government's financial position, outcomes of its operations, and cash flow. These statements include the statement of net position and statement of activities.

The government's fund financial statements, which are made up of a balance sheet and a statement of revenues, expenditures, and changes in fund balances, provide information about the government's resources and limitations.In the Comprehensive Annual Financial Report (CAFR), the demographic information is presented in the Statistical Section.

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if you were providing advice to a manager new to the hiring process, which of the following would a good suggestion for conducting interviews?

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If you were providing advice to a manager new to the hiring process, a good suggestion for conducting interviews would be to prepare questions ahead of time. Conducting interviews is a crucial process for hiring new employees in any organization.

It provides an opportunity for the hiring managers to assess the candidates' capabilities and make an informed decision. The following are some suggestions for conducting interviews for a manager new to the hiring process.1. Prepare questions ahead of time. Before the interview, prepare a list of questions that relate to the job description and responsibilities. This helps to ensure that the questions are relevant to the position and that each candidate is asked the same set of questions.2. Establish a rapport with the candidate.

Make sure that you greet the candidate warmly and make them feel comfortable. Establishing a rapport with the candidate will help to put them at ease and encourage them to speak freely.3. Listen attentively. During the interview, listen carefully to what the candidate says and take notes. This will help you to assess their capabilities and evaluate their suitability for the job.4. Allow the candidate to ask questions. After the interview, allow the candidate to ask questions about the job.  

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A technological advance causes the supply of personal computers to increase. the graph of this situation represents a:

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The technological advance, which in this case is the advancement in the production of personal computers, causes a reduction in the cost of production. This reduction in production costs increases the supply of personal computers, which in turn lowers the equilibrium price of personal computers.

This situation is depicted in the graph below. The graph of this situation is represented by the Supply and Demand Graph. The demand curve remains the same, but the supply curve shifts to the right, indicating that the supply of personal computers has increased. As a result, the equilibrium point shifts to the right, indicating a decrease in the equilibrium price.

Therefore, the graph of this situation represents an increase in the supply of personal computers caused by a technological advance. The increase in supply causes a decrease in the equilibrium price of personal computers.

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Malcom, Makeham, and Wright in their book the 'Farming Game",
state that the key discipline in the making of decisions in the
management of farms is Economics.
Explain the reasons for them making that

Answers

Malcolm, Makeham, and Wright, in their book "The Farming Game," assert that the key discipline in making decisions for farm management is economics.

They likely make this claim based on several reasons.Firstly, economics provides a framework for analyzing and understanding the financial aspects of farming. It helps farmers evaluate costs, revenues, and profitability, enabling them to make informed decisions about resource allocation, pricing, production levels, and investment strategies. By applying economic principles, farmers can maximize their returns and optimize their use of resources.

Secondly, economics considers the broader market forces that affect the agricultural industry. Understanding supply and demand dynamics, price fluctuations, and market trends allows farmers to adapt their strategies accordingly. Economic analysis helps identify market opportunities, assess risks, and develop marketing plans to compete effectively.

Moreover, economics provides insights into risk management and decision-making under uncertainty. Farmers face various uncertainties such as weather conditions, commodity prices, and policy changes. Economic tools, such as cost-benefit analysis and risk assessment, enable farmers to make strategic choices that mitigate risks and enhance long-term profitability.

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which type of promotion has the least degree of sponsor control?

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Sales promotion is a marketing tool used to encourage the purchase of a product.

It is one of the most effective tools for attracting customers, but it is also the type of promotion that has the least degree of sponsor control. Sales promotions are usually short-term and designed to stimulate immediate sales. This type of promotion is often used by manufacturers to sell products directly to consumers. It can take many forms, such as discounts, coupons, contests, and sweepstakes. Sales promotion involves various tactics that are implemented to increase sales, generate consumer interest, and build customer loyalty. These promotions can be conducted through advertising, public relations, or other marketing channels. In sales promotion, the sponsor has limited control over the promotion because the promotion is targeted at customers who are likely to respond to it. The effectiveness of the promotion depends on how attractive it is to the customer. The sponsor has no control over the response of the customer. The customer may choose to respond or not to respond to the promotion. Sales promotion is an essential tool in marketing, but it has the least degree of sponsor control compared to other forms of promotion. The sponsor can only control the promotion to a limited extent. The success of the promotion depends on how attractive it is to the customer, and the sponsor cannot force the customer to buy the product.

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Which of the following is NOT one of Deming's "Deadly Diseases"?
O Making decisions and running a company on visible figures alone
O Excessive liability costs
O Mobility of management
O Poor process control

Answers

Excessive liability costs is NOT one of Deming's "Deadly Diseases. So, second option is the correct answer.

"Deming's "Deadly Diseases" are barriers that hinder the achievement of high-quality outcomes and optimal productivity. W. Edwards Deming, a famous quality management expert, developed these deadly diseases.

It's a collection of practices and attitudes that can hurt a company's efficiency, profitability, and employee morale. To improve quality and productivity, Deming recommended that companies focus on overcoming these deadly diseases.

The following are the Deadly Diseases, with the exception of Excessive liability costs:

Making decisions and running a company on visible figures alonePoor process controlMobility of management

So, the correct answer is the second option Excessive liability costs

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topic: "don't predict far beyond the data"
explain the principle and explian how it applies to a career.
use an example.

Answers

The principle of "don't predict far beyond the data" suggests that when making predictions or forecasts, it is important to stay within the boundaries of available data and avoid extrapolating too far into the future. It emphasizes the need for caution and rationality in making projections based on limited information.

In a career context, this principle advises individuals to make realistic and informed decisions based on the information and evidence available, rather than relying on speculative assumptions or unfounded expectations. By not predicting far beyond the data, individuals can avoid setting unrealistic goals or making decisions that may not align with the actual circumstances.

For example, let's consider a recent college graduate who is planning their career path. They have just completed an internship at a technology company and enjoyed the experience. However, they have limited information about the long-term prospects and demand in the technology industry. Applying the principle of "don't predict far beyond the data," the graduate would avoid making grand assumptions about future job opportunities or salary levels without sufficient evidence.

Instead, they would conduct research, gather data on industry trends, job market conditions, and career growth prospects. They would consider factors such as the current demand for technology professionals, the expected industry growth rate, and the availability of relevant job openings. By using available data and information to make informed decisions, the graduate can set realistic career goals, explore suitable job opportunities, and make choices aligned with the actual conditions of the industry.

By adhering to the principle of not predicting far beyond the data, individuals can make more realistic career decisions, reduce the risk of disappointment or misplaced expectations, and increase their chances of success by aligning their actions with the available information and evidence.

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Suppose Home is a small country and is supplied a good by a foreign monopoly with a constant marginal cost of MC = 20. The inverse demand in Home is P = 200-2Q. (a) Find the free trade equilibrium Home quantity and price. (b) Suppose the Home government imposes a per unit tariff t 10. Find the new equilibrium Home quantity and price. Illustrate graphically the effect of the tariff and find the effect on consumer surplus and tariff revenue. Isolate and find the terms-of-trade gain. Is the country better off? Why?

Answers

(a) To find the free trade equilibrium Home quantity and price, we need to equate the domestic supply and demand in Home.

Demand: P = 200 - 2Q

Supply: MC = 20

Setting the price equal to the marginal cost and solving for quantity:

20 = 200 - 2Q

2Q = 200 - 20

2Q = 180

Q = 90

Substituting the quantity back into the demand function to find the price:

P = 200 - 2(90)

P = 200 - 180

P = 20

Therefore, in the free trade equilibrium, the Home quantity is 90 units, and the price is $20.

(b) If the Home government imposes a per unit tariff t = 10, we need to adjust the price by adding the tariff amount. The new price for Home will be P + t = 20 + 10 = $30.

To find the new equilibrium Home quantity and price, we need to set the domestic supply equal to the adjusted demand:

Supply: MC = 20

Demand: P + t = 30

P + t = 200 - 2Q

Solving for quantity:

30 = 200 - 2Q

2Q = 200 - 30

2Q = 170

Q = 85

Substituting the quantity back into the adjusted demand function to find the price:

P + t = 200 - 2(85)

P + t = 200 - 170

P + t = 30

Therefore, with the tariff imposed, the new equilibrium Home quantity is 85 units, and the price is $30.

To illustrate graphically the effect of the tariff, we can plot the supply and demand curves before and after the tariff. Here is a visual representation:

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/__________ Demand (Before Tariff)

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|__________ Demand (After Tariff)

The effect of the tariff is to increase the price from $20 to $30 (represented by the vertical gap between the demand curves) and reduce the quantity from 90 units to 85 units.

To find the effect on consumer surplus and tariff revenue, we need to calculate the areas of the relevant triangles on the graph.

Consumer Surplus:

Before Tariff:

Consumer Surplus = 0.5 * (90 - 0) * (200 - 20) = $4,500

After Tariff:

Consumer Surplus = 0.5 * (85 - 0) * (200 - 30) = $5,725

Tariff Revenue:

Tariff Revenue = (30 - 20) * 85 = $850

The terms-of-trade gain refers to the improvement in the country's welfare due to the new terms of trade resulting from the tariff. To isolate and find the terms-of-trade gain, we can compare the change in consumer surplus with the change in tariff revenue:

Terms-of-Trade Gain = Change in Consumer Surplus - Change in Tariff Revenue

= ($5,725 - $4,500) - $850

= $1,375 - $850

= $525

In this case, the terms-of-trade gain is positive, indicating that Home experiences a welfare gain. The country is better off because the increase in consumer surplus outweighs the tariff revenue collected. The tariff improves the terms of trade for Home by increasing the domestic price and reducing the quantity, which benefits domestic producers but also increases consumer prices. The overall welfare gain arises from the increased producer surplus and the terms-of-trade gain.

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Penn has 500 500 capital and Hammet has $68,500 capital in the Penn & Hammot partnership. Paw and Hammet share profits and losses equally Judy Plard contributes cash of $51.000 to acquire a 1/4 interest in the new partnership Requirements 1. Calculate Pound's capital in the new partnership. 2. Journaize the partnership's receipt of the $53,000 from Pound CED

Answers

1. Penn's capital in the new partnership will be $259,500 . When cash is received from Paw for a 1/4 interest, the journal entry is the one shown above. Cash account Dr. $53,000Partnership account Cr. $53,000

Paw has a capital of $500,500 and Hammet has a capital of $68,500, and thus the total capital is $570,000. Paw and Hammet share profits and losses equally, which implies they have a total of $285,000 each, divided equally. Therefore, Paw's share is $259,500 ($500,500 + $285,000/2).2. Journal entry Partnership cash account Dr. $51,000Judy Plard, Capital account Cr. $51,000Cash account Dr. $53,000 . Partnership account Cr. $53,000Explanation:Judy Plard contributes cash of $51,000 to acquire a 1/4 interest in the new partnership.

1. Penn's capital in the new partnership will be $259,500Paw has a capital of $500,500 and Hammet has a capital of $68,500, and thus the total capital is $570,000. Paw and Hammet share profits and losses equally, which implies they have a total of $285,000 each, divided equally.

Therefore, Paw's share is $259,500 ($500,500 + $285,000/2).2. Journal entry.

When Judy Plard contributes cash of $51,000 to acquire a 1/4 interest in the new partnership, the following transaction can be recorded:Partnership cash account Dr. $51,000Judy Plard, Capital account Cr.

$51,000

When cash is received from Paw for a 1/4 interest, the journal entry is the one shown above.Cash account Dr. $53,000Partnership account Cr. $53,000.

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A trust fund established by your uncle pays $28,000 each year-end commencing in one year from today and then growing at 2.5% per year, in perpetuity. If the trust earns 13.7% per annum, compounding annually, the value of the trust fund today is (to nearest whole dollar; don't include $ sign or commas): Answer:

Answers

The trust fund value that is established by the uncle is $884,615 in the present day.Investment firms and other fund managers can use a variety of methods to calculate the present value of a cash flow.

The formula to calculate the present value of an annuity is shown below, where FV = future value, r = rate of return, and n = number of periods:PV = (FV / (1 + r)^n - 1) / rThe value of the annuity from the uncle is $28,000 per year, with a growth rate of 2.5 percent each year. As a result, the value of the annuity can be expressed as an infinite series with a formula that has a common ratio of 1.025.The formula for an infinite series with a common ratio is shown below:Sum = a / (1 - r)Using these formulas, the present value of the annuity can be calculated. To do so, first, we must determine the future value of the annuity in one year using a rate of return of 13.7%.FV = $28,000 × (1 + 2.5%) / (13.7% - 2.5%)FV = $28,893.01Next, we can use the formula for the present value of an annuity to calculate the present value of the annuity:PMT = $28,000; r = 13.7%; n = 1PV = ($28,893.01 / (1 + 13.7%)^1 - 1) / 13.7%PV = $24,996.34Finally, the present value of the annuity can be added to the present value of the future value in one year to determine the present value of the annuity today.

The present value of the annuity is $24,996.34, and the future value of the annuity in one year is $28,893.01, giving a total of $53,889.35.The value of the trust fund today is therefore $884,615.35 - $53,889.35 = $830,726. This implies that the value of the trust fund established by your uncle is $884,615 in the present day to the nearest whole dollar.

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Old Timey e Company LLC is interested in growing profits and revenues Opet with Ned. Submit Qui Old Timey Knife Company LLC is interested in growing profits and revenues. In order to do so, they have decided to operate their own steel mills to provide the inputs for their knives. This is an example of: O Full integration O Forward integration O Backward integration O Taper integration Renvious

Answers

The type of integration that Old Timey Knife Company LLC is exemplifying by operating their own steel mills to provide the inputs for their knives to grow profits and revenues is option C) backward integration.

Backward integration refers to a form of vertical integration in which an organization manages the process of procuring raw materials, parts, and services that were previously provided by suppliers. An organization that integrates backward controls the entire supply chain up to the level of the raw materials required to make its products. Old Timey Knife Company LLC is interested in growing profits and revenues. In order to do so, they have decided to operate their own steel mills to provide the inputs for their knives. They will be owning the entire process that comes before their finished products are assembled, including the production of raw materials. This is an example of backward integration.

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Three Dimensional Development Model Application: NOT THREE CIRCLE METHOD
1. Explain the theory/perspective
2. Explain specifically how this model relates to the family business (Jewelry Store)
3. Apply aspects of theory to this family business (Jewelry Store)

Answers

The Three-Dimensional Development Model is a theoretical framework used to understand and analyze the growth and development of family businesses. It recognizes that family businesses are unique entities that are influenced by three dimensions: the family dimension, the ownership dimension, and the business dimension. Each dimension plays a crucial role in shaping the dynamics and success of the family business.

When applied to a family business, such as a jewelry store, the Three-Dimensional Development Model provides insights into the specific challenges and opportunities that arise within the family business context. Here's how the model relates to the family jewelry store:

Family Dimension: The family dimension of the model emphasizes the impact of family dynamics on the business. In a family jewelry store, this dimension involves understanding the family relationships, communication patterns, and decision-making processes within the family. It recognizes that family dynamics can influence the management, succession planning, and conflict resolution within the business.

Ownership Dimension: The ownership dimension focuses on the family's ownership structure and governance. In the case of a jewelry store, this dimension would involve examining how ownership is structured among family members, the distribution of shares, and the mechanisms for decision-making and accountability. It also addresses issues related to family members' roles as owners, their rights, and responsibilities.

Business Dimension: The business dimension relates to the core operations of the jewelry store. It includes aspects such as strategic planning, financial management, marketing, and operational efficiency. Applying this dimension to the family jewelry store would involve analyzing the business's competitive landscape, market positioning, customer base, product offerings, and operational processes.

To apply aspects of the Three-Dimensional Development Model to the family jewelry store, several steps can be taken:

Assess the family dynamics and communication patterns within the business. Identify potential areas of conflict or challenges that may arise due to family relationships.

Evaluate the ownership structure and governance mechanisms. Ensure that ownership arrangements are transparent, fair, and aligned with the family's long-term goals. Implement effective ownership transition and succession plans.

Analyze the business operations, including market trends, customer preferences, and competition. Identify areas for improvement and develop strategies to enhance the store's competitive advantage.

Develop clear roles and responsibilities for family members involved in the business. Establish performance metrics and systems to evaluate their contributions objectively.

Foster open communication and collaboration between family members, employees, and stakeholders. Encourage a culture of professionalism, trust, and continuous learning.

Implement mechanisms for conflict resolution and decision-making that consider both family and business interests. Establish regular family meetings and formalize processes for resolving disputes.

By applying the Three-Dimensional Development Model to the family jewelry store, the business can gain a comprehensive understanding of the interplay between the family, ownership, and business dimensions. This knowledge can guide strategic decision-making, enhance family cohesion, and drive the long-term success of the jewelry store.

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What do the Tipping Point and Survival Guide chapters teach us about bringing about change in fearful, hostile, and politicized environments? What have you learned about how to overcome these negative factors?

Answers

The Tipping Point and Survival Guide chapters provide some valuable insights about bringing about change in fearful, hostile, and politicized environments.

In the book, The Tipping Point: How Little Things Can Make a Big Difference, Malcolm Gladwell identifies a few key principles that can help us understand how change happens. Some of these principles include:

1. The Law of the Few - This principle suggests that change is often driven by a few key individuals who are able to influence others. Gladwell identifies three types of people who are particularly effective at spreading ideas: connectors, mavens, and salespeople.

2. The Stickiness Factor - This principle refers to the idea that ideas or messages need to be memorable and easy to understand in order to have an impact. Gladwell cites the example of Sesame Street, which was designed to be highly engaging and interactive in order to capture children's attention.

3. The Power of Context - This principle suggests that the environment in which an idea is presented can have a significant impact on whether or not it is adopted. Gladwell cites the example of New York City's crime epidemic in the 1990s, which was largely attributed to the "broken windows" theory. This theory suggested that minor offenses such as graffiti and vandalism signaled to criminals that the area was unpoliced, leading to an increase in more serious crimes.

In the Survival Guide chapter of his book, The Art of Possibility, Rosamund Stone Zander provides some additional insights into how to overcome negative factors in order to bring about change. Some of these insights include:

1. Understanding the "downward spiral" - Zander suggests that negative factors such as fear, hostility, and politics can create a "downward spiral" that makes it difficult to effect change. By recognizing this spiral and taking steps to interrupt it, it may be possible to bring about positive change.

2. Finding the "radiant presence" - Zander suggests that by focusing on our own inner strengths and radiating positive energy, we can help to counteract negative factors and create a more positive environment.

3. Embracing the "generative dance" - Finally, Zander suggests that change often happens through a collaborative process of give-and-take. By embracing this process and working together with others, it may be possible to create positive change even in the face of negative factors.These principles and insights provide some valuable guidance for bringing about change in fearful, hostile, and politicized environments.

By understanding the underlying dynamics of change, focusing on our own strengths and energy, and working collaboratively with others, it may be possible to create positive change even in the most challenging of circumstances.

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you are asked by your employer to evaluate the pros and cons of organising work in teams. First, list
the most important pros and cons. Second, use academic concepts and theory to explain and discuss
two factors that facilitate performance in teams and two factors that hinder performance in teams.

Answers

Pros of organizing work in teams include increased collaboration, diverse perspectives and expertise, improved creativity and innovation, better problem-solving, and enhanced learning and development opportunities.

However, there are also potential cons, such as conflicts and disagreements, challenges in coordinating efforts and aligning goals, potential for social loafing or free-riding, and the need for effective leadership and communication.

Two factors that facilitate performance in teams are trust and effective communication. Trust is crucial for team members to rely on each other, share information openly, and work towards common goals. It creates a supportive environment where individuals feel safe to take risks, share ideas, and collaborate effectively. Effective communication, both verbal and non-verbal, ensures a clear understanding of tasks, roles, and expectations, promotes active listening, and facilitates the exchange of ideas and feedback.

On the other hand, two factors that hinder performance in teams are conflict and lack of accountability. Conflict, if not managed properly, can lead to a breakdown in communication, reduced trust, and diminished team cohesion. It can hinder collaboration and decision-making, negatively impacting team performance. Lack of accountability refers to the absence of individual responsibility for meeting commitments and achieving team goals. When team members are not held accountable, it can lead to decreased motivation, missed deadlines, and a lack of focus on quality and outcomes.

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Develop plans for effective team performance, especially where diversity exists (including Indigenous Canadians) The Assignment has to be prepared on a Word document, preferably in bullet points, font times new roman and font size 12, line spacing 1.5 or 2. A plan of 1-2 pages should suffice.

Answers

Establish clear goals and objectives, Before anything else, you need to establish clear goals and objectives for your team. This will help ensure that everyone is working towards the same outcomes and will make it easier to measure success. Build a diverse team: In order to effectively manage diversity, it’s important to have a team that reflects that diversity.

Create a culture of respect and inclusion: To ensure that everyone feels valued and included, it’s important to create a culture of respect and inclusion. This means promoting open communication, listening to different perspectives, and treating everyone with dignity and respect.

Provide ongoing training and development: In order to ensure that everyone is equipped to work effectively in a diverse team, it’s important to provide ongoing training and development opportunities. This could include things like diversity training, conflict resolution training, and communication skills training.

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Critically discuss the effectiveness of section 139 of
constitution to budget and stages of the municipal budget.

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Section 139 of the constitution, which pertains to the budget and stages of the municipal budget, has both strengths and limitations in terms of its effectiveness. This section provides a framework for budget preparation, approval, and implementation at the municipal level.

Section 139 of the constitution plays a significant role in guiding the budgetary processes at the municipal level. It outlines the stages of budget preparation, approval, and implementation, providing a legal framework for fiscal governance. The effectiveness of Section 139 depends on several factors.

Transparency and accountability are key aspects that determine the effectiveness of the budgeting process. If municipal budgets are prepared and implemented in a transparent manner, with clear reporting mechanisms, it enhances accountability and fosters public trust. Conversely, a lack of transparency can lead to mismanagement of funds and a loss of public confidence.

Citizen participation is another critical factor. Involving the community in the budgeting process allows for greater input, ensures that budgets reflect local priorities, and promotes accountability. Effective mechanisms for citizen participation, such as public consultations or participatory budgeting, can enhance the effectiveness of Section 139.

Financial management capacity is essential for the successful implementation of the budget. Municipalities need adequate skills and resources to effectively manage funds, monitor expenditures, and ensure that budgetary allocations are utilized efficiently. Insufficient financial management capacity can hamper the effective implementation of Section 139.

Critically evaluating the implementation of Section 139 can help identify areas for improvement. Strengthening transparency, accountability, citizen participation, and financial management capacity can enhance the effectiveness of this section, ensuring that municipal budgets are effectively utilized to address community needs, promote development, and improve the overall well-being of citizens.

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Superannuation - Contributions
Angela has taxable income from employment of $90,000 pa, which means that she is on a marginal income tax rate of 32.5% plus 2% medicare levy. Her employer pays superannuation guarantee based on the $90,000 pa.
Showing your workings:
1. Calculate for Angela the savings in tax should she salary sacrifice (personal deductible contributions) $10,000 to her super.
2. Explain the impact if Angela earned a further $200,000 from her investments.
3. Provide your recommendation regarding the salary sacrifice given the disclosure of investment income.

Answers

For Angela to assess her individual circumstances and consult with a financial advisor or tax professional to determine the optimal salary sacrifice amount based on her specific financial goals, superannuation contributions caps, and any other applicable factors.

To calculate the tax savings for Angela if she salary sacrifices $10,000 to her superannuation, we need to consider the tax implications.

Angela's taxable income is $90,000 per annum. By salary sacrificing $10,000 to her super, her taxable income will reduce to $80,000.

On her initial taxable income of $90,000, Angela would have paid a marginal income tax rate of 32.5% plus a 2% Medicare levy. Therefore, her tax liability would be:

Tax = ($90,000 - $18,200) * 0.325 + $1,800 * 0.02 = $19,547.50

By reducing her taxable income to $80,000, her new tax liability would be:

Tax = ($80,000 - $18,200) * 0.325 + $1,800 * 0.02 = $16,647.50

Hence, the tax savings for Angela by salary sacrificing $10,000 to her superannuation would be $19,547.50 - $16,647.50 = $2,900.

If Angela earned an additional $200,000 from her investments, it would impact her overall tax situation. The additional investment income would be added to her taxable income from employment.

Considering her initial taxable income of $90,000, her total taxable income would become $90,000 + $200,000 = $290,000.

With this increased taxable income, Angela would now fall into a higher tax bracket. The marginal tax rate for income above $180,000 is 45%, and the Medicare levy remains at 2%.

To calculate her new tax liability, we can use the following formula:

Tax = ($290,000 - $18,200) * 0.45 + $1,800 * 0.02

By comparing the new tax liability to her previous tax liability, we can determine the impact of the additional investment income on her overall tax situation.

Based on the disclosure of investment income, it is recommended that Angela consider salary sacrificing to her superannuation. Salary sacrificing can provide several advantages, including reducing her taxable income and potential tax savings.

By salary sacrificing, Angela can lower her taxable income, which may help her stay within a lower tax bracket and potentially reduce her overall tax liability. The savings generated from salary sacrificing can be contributed to her superannuation, providing long-term financial benefits for retirement.

However, it is crucial for Angela to assess her individual circumstances and consult with a financial advisor or tax professional to determine the optimal salary sacrifice amount based on her specific financial goals, superannuation contributions caps, and any other applicable factors. A personalized financial plan can provide a comprehensive strategy tailored to Angela's unique situation, ensuring the most effective use of her income and potential tax advantages.

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Insiders are able to profitably trade and earn abnormal returns prior to the announcement of positive news. This is a violation of which form of efficiency? Multiple Choice O weak-form efficiency semistrong-form efficiency strong-form efficiency technical analysis

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Insiders are able to profitably trade and earn abnormal returns prior to the announcement of positive news. This is a violation of semistrong-form efficiency. The correct answer is semistrong-form efficiency.

Insiders are able to profitably trade and earn abnormal returns prior to the announcement of positive news. This is a violation of semistrong-form efficiency. Insiders are those individuals who are having some information that the public does not know. They may use this information to make profitable trades by buying and selling the securities in the market. This is considered unethical and illegal in most of the markets.

However, this happens when the market is not efficient. A market is said to be efficient if the prices of securities reflect all the available information in the market. If the market is efficient then no individual or group of individuals can earn abnormal returns by using any information. There are three forms of efficiency in the market. These are weak-form efficiency, semistrong-form efficiency, and strong-form efficiency. Semistrong-form efficiency is the form of efficiency where all the publicly available information is reflected in the security prices.

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3. List and describe at least 4 items in a request for proposal (RFP) that has to be presented to external contractors. Give a concrete example showing the 3 items mentioned above.

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Four items in a request for proposal (RFP) that has to be presented to external contractors are introduction, scope of work, evaluation criteria, and instructions to bidders.

A request for proposal (RFP) is a document used by organizations to solicit bids from contractors to perform a particular task or project. Below are four items that must be included in an RFP that has to be presented to external contractors:

1. Introduction: The RFP should begin with an overview of the project, including the goals, objectives, and expected outcomes. This part should also provide a summary of the organization’s needs and requirements.

2. Scope of Work: The RFP should outline the scope of work expected of the contractor. This should include specific details about the task or project, such as the deliverables, timeline, and milestones. Additionally, the RFP should describe the level of effort expected, including the required skills, experience, and qualifications of the contractor.

3. Evaluation Criteria: The RFP should specify the criteria used to evaluate proposals. This should include both technical and non-technical factors, such as cost, experience, qualifications, and approach.

4. Instructions to Bidders: The RFP should provide clear instructions to bidders on how to submit their proposals. This should include the deadline for submission, the format of the proposal, and any other instructions or requirements. It is essential to note that the RFP must be clear and concise to avoid misunderstandings and errors.

Concrete Example: For instance, a company may create an RFP for a website design project. The RFP should include an introduction that outlines the company’s objectives and needs. Secondly, the RFP should include a scope of work that outlines the specific requirements of the website design project. This may include the number of pages, functionality, and design elements.

Thirdly, the RFP should include evaluation criteria, such as experience, price, and approach. Finally, the RFP should provide instructions to bidders on how to submit their proposals, including the deadline for submission, the format of the proposal, and any other instructions or requirements.

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Under the allowance method of accounting for bad debt: O we need a way to estimate the amount of uncollectable accounts. Owe do not estimate the amount of uncollectable accounts, we immediately write

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We need a way to estimate the amount of uncollectable accounts.

What is the purpose of the allowance method of accounting for bad debt?

Under the allowance method of accounting for bad debt:

Explanation:

We need a way to estimate the amount of uncollectable accounts: The allowance method recognizes that some accounts receivable may become uncollectible, and therefore, we need to estimate the amount of potential bad debts.

This estimation is typically based on historical data, industry trends, and the company's experience with customer payments. By estimating the uncollectible accounts, we can match the expenses associated with bad debts with the revenues earned during the same period.

We do not immediately write off the uncollectible accounts: The allowance method does not involve immediately writing off the uncollectible accounts as expenses. Instead, it creates an allowance for doubtful accounts, which is a contra-asset account that represents the estimated amount of potential bad debts.

The allowance account is used to offset the accounts receivable on the balance sheet, resulting in a more realistic representation of the collectible receivables.

By using the allowance method, companies can adhere to the matching principle in accounting, which states that expenses should be recognized in the same period as the related revenues.

It provides a more accurate reflection of the company's financial position by recognizing potential bad debts and adjusting the accounts receivable accordingly.

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A bond has a 100$ face value, a time to maturity of 10 years, and a coupon rate of 8%, with interest paid annually. Suppose that today is the 1/1/2022 (therefore, the maturity date is 31/12/2031).
a. If the current market price is 80$, what will be the approximate capital gain yield of this bond over the year 2022 if its yield to maturity remains unchanged?
b. What would be the price today if the market interest rate is 10%?

Answers

To calculate the capital gain yield of the bond, we need to determine the change in price over the year 2022 and divide it by the initial price.

a. The initial price of the bond is $80 and the face value is $100. The annual coupon payment is 8% of the face value, which is $8.

At the end of the year, the bond will have one less year to maturity, so it can be considered a 9-year bond. Assuming the yield to maturity remains unchanged, we can calculate the approximate price of the bond at the end of 2022.

Using the bond pricing formula, the price of the bond can be calculated as:

Price = (Coupon Payment / (1 + Yield)^1) + (Coupon Payment / (1 + Yield)^2) + ... + (Coupon Payment + Face Value / (1 + Yield)^n)

Where:

Coupon Payment = $8

Yield = Yield to maturity

n = Number of years to maturity

Price at the end of 2022:

Price = (8 / (1 + Yield)^1) + (8 / (1 + Yield)^2) + ... + (8 + 100 / (1 + Yield)^9)

To calculate the capital gain yield, we need to find the percentage change in price:

Capital Gain Yield = ((Price at the end of 2022 - Initial Price) / Initial Price) * 100

b. If the market interest rate is 10%, we can use the bond pricing formula to calculate the price of the bond.

Price = (Coupon Payment / (1 + Yield)^1) + (Coupon Payment / (1 + Yield)^2) + ... + (Coupon Payment + Face Value / (1 + Yield)^n)

Where:

Coupon Payment = $8

Yield = Market interest rate

n = Number of years to maturity

Using the given information, we can calculate the price of the bond with a market interest rate of 10%.

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13. The unearned rent account has a balance of $60,000. If $4,000 of the $60,000 is unearned at the end of the accounting period, the amount of the adjusting entry is: a. $60,000. b. $4,000. c. $56,000. d. $64,000.

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The adjusting entry for the unearned rent account with a balance of $60,000 is c. $56,000Explanation:Unearned rent is a liability account that refers to rent payments that have been collected by a landlord but not yet earned by them. The liability remains until the goods or services are provided by the landlord to the tenant.

At that moment, the landlord can then convert the unearned rent to earned rent. At the end of the accounting period, the landlord must make an adjusting entry to show the amount of rent that has been earned. For this reason, an adjusting entry is required to decrease the liability account (unearned rent) by the amount of rent earned (which is $56,000 in this case), and increase the rent revenue account.

The adjusting entry for the unearned rent account with a balance of $60,000 is c. $56,000Explanation:Unearned rent is a liability account that refers to rent payments that have been collected by a landlord but not yet earned by them. The liability remains until the goods or services are provided by the landlord to the tenant. or this reason, an adjusting entry is required to decrease the liability account (unearned rent) by the amount of rent earned (which is $56,000 in this case), and increase the rent revenue account.

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Describe how the issue of sex discrimination applies to jobs
that pose health risks to developing fetuses.

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Sex discrimination in the context of jobs that pose health risks to developing fetuses refers to the unfair treatment or exclusion of individuals based on their sex or gender when considering their employment in such positions.

Certain jobs may expose workers to substances or conditions that can be harmful to the development of a fetus during pregnancy. In these cases, employers have a responsibility to ensure the safety and well-being of their employees.

Sex discrimination can occur when employers refuse to hire or promote women of childbearing age, assuming that they may become pregnant and be at risk in these positions. It can also manifest in policies that limit job opportunities for women or fail to provide appropriate accommodations to pregnant workers.

To address this issue, laws and regulations have been implemented in many countries to protect against sex discrimination in the workplace and promote equal opportunities for all individuals, regardless of their sex or gender.

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As the information security officer at your facility, you have been asked to provide examples of the physical safeguards used to manage data security measures throughout the organization. Which of the following would you provide?

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The provide are the examples of the physical safeguards used to manage data security measures throughout the organization. Physical safeguards are physical measures that a company takes to protect its premises, equipment, and resources from unauthorized access.

An organization can use several techniques to protect its premises from external threats, such as firewalls, access control systems, and surveillance cameras. Some of the physical safeguards that can be used to manage data security measures throughout the organization are as follows:1. Secure Facility: A secure facility includes access control to a building and inside the building, as well as the physical and environmental security of the data and equipment. It also includes locks on the doors and windows, as well as security guards on the premises.2. Equipment Security: The organization must use equipment security to protect its computer equipment and storage media. The organization must install security equipment to protect its equipment from damage, theft, and unauthorized access.3. Environmental Controls: Environmental controls include fire suppression systems, water detectors, temperature and humidity monitors, and backup power supplies.

These safeguards help to prevent data loss or damage due to environmental factors.4. Access Controls: Access controls are used to prevent unauthorized access to sensitive areas and systems within the organization. Access controls can include locks, badges, biometric readers, and surveillance cameras.5. Secure Disposal: Secure disposal is the process of disposing of sensitive data in a manner that ensures that the information cannot be recovered. This process includes shredding, burning, and pulverizing physical storage media, as well as using secure wipe software to erase digital data. In conclusion, the explanation of the physical safeguards used to manage data security measures throughout the organization includes a secure facility, equipment security, environmental controls, access controls, and secure disposal.

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Assume today is July 1, 2023. A company has set a date to decide about the expansion or abandonment of a project at 6/30/2024. The Net Salvage Value at that date, if the company abandons the project, is $740,000. The PV for the cash flows after that date, if the project is a failure, is $695,762; the PV for the cash flows after that date, if the project is a success, is $1,640,000. The project has a required return of 13%, a 7/1/23 launch cost of $1,200,000, and a 50/50 chance of success/failure. What is the value of the Option to Abandon? (round to the nearest dollar) a $39,149 b $109,945 c $79,164 d $19,574 e None of the above

Answers

To calculate the value of the Option to Abandon, we need to use the concept of real options valuation. The value of the option is determined by comparing the present value of the cash flows if the project is abandoned to the present value of the cash flows if the project is pursued.

First, let's calculate the present value (PV) of the cash flows if the project is abandoned:

PV of Cash Flows (Abandon) = Net Salvage Value + PV of Cash Flows after 6/30/2024 (Failure)

PV of Cash Flows (Abandon) = $740,000 + $695,762

PV of Cash Flows (Abandon) = $1,435,762

Next, let's calculate the present value of the cash flows if the project is pursued:

PV of Cash Flows (Pursue) = PV of Cash Flows after 6/30/2024 (Success)

PV of Cash Flows (Pursue) = $1,640,000

Now, let's calculate the value of the Option to Abandon:

Value of Option to Abandon = (Probability of Failure * PV of Cash Flows (Abandon)) - PV of Cash Flows (Pursue)

Value of Option to Abandon = (0.5 * $1,435,762) - $1,640,000

Value of Option to Abandon = $717,881 - $1,640,000

Value of Option to Abandon = -$922,119

Rounding to the nearest dollar, the value of the Option to Abandon is approximately -$922,119. Therefore, the closest option is (e) None of the above.

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The format of a shopping ad is different from that of a standard text ad in that it includes:

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The format of a shopping ad is different from that of a standard text ad in that it includes product images and prices.What is a Shopping Ad A shopping ad is a format used for advertising products. These advertisements have a picture of a product, a title, a price, a store name, and other related information.

Users can see a range of related items by clicking on the ad and opening the store's website.Shopping ads make it easy for consumers to quickly view a variety of products and prices. For this reason, Shopping Ads are popular among sellers because they have the potential to increase click-through rates and sales.

What is a Standard Text Ad A standard text ad is a format that is used for advertising products and services. It is a simple format that includes a headline, a description, and a call-to-action button. The ad can be seen on the top, bottom, or sidebar of search engine results pages (SERPs).

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what is meant by the time value of money, lets discuss why is Net
Present Value (NPV) important to us?

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The time value of money recognizes that money has a greater worth today than in the future, while net present value (NPV) adjusts future cash flows to their present value, aiding in investment decision-making and comparing profitability.

The time value of money refers to the concept that a certain amount of money is worth more today than the same amount in the future due to its earning capacity or ability to generate earnings over a period of time.

On the other hand, net present value (NPV) is a financial metric that is used to determine the present value of future cash flows, adjusted for the time value of money.

NPV is essential for decision-making in business and finance for several reasons:

1. It helps determine whether an investment or project is profitable or not, by comparing the present value of future cash inflows to the initial investment or cost. A positive NPV means that the investment is expected to generate more cash flows than the initial cost, while a negative NPV means the opposite.

2. NPV allows for the comparison of different investment options by providing a standardized metric to measure their profitability. This is because it takes into account the time value of money and provides a measure of how much value an investment adds to the organization or business.

3. It helps in determining the required rate of return for an investment, as it takes into account the cost of capital. By calculating the NPV of different projects using different discount rates, one can determine the rate at which the investment becomes profitable.

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Transaction 5
Sales were $64,000. Cost of merchandise sold was 65% of sales. 30% of sales were for cash. [Note: Record the complete sales entry first, and the complete expense entry second.]
account: Cash Accounts Receivable Inventory Prepaid Rent Fixtures and Equipment Accounts Payable Interest Payable Wages Payable Notes Payable Paid-in Capital Retained Earnings Leave Blank
Account: Dollar amount:
Account: Dollar amount:
Account: Dollar amount:
Account: Dollar amount:
Account: Dollar amount:
Account: Dollar amount:

Answers

The accounts and their corresponding dollar amounts for Transaction 5 are:Account: SalesDollar amount: $64,000Account: Cost of Goods Sold Dollar amount: $41,600Account: CashDollar amount: $19,200Account: InventoryDollar amount: $22,400

Sales were $64,000.The cost of merchandise sold was 65% of sales.30% of sales were for cash. Record the complete sales entry first and the complete expense entry second. To record the complete sales entry:Account: SalesDollar amount: $64,000To record the complete expense entry:Account: Cost of Goods SoldDollar amount: $41,600 [65% of $64,000]Account: CashDollar amount: $19,200 [30% of $64,000]Account: InventoryDollar amount: $22,400 [$64,000 - ($41,600 + $19,200)]. Thus, the accounts and their corresponding dollar amounts for Transaction 5 are:Account: SalesDollar amount: $64,000Account: Cost of Goods SoldDollar amount: $41,600Account: CashDollar amount: $19,200Account: InventoryDollar amount: $22,400

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