Can offsetting carbon emissions really tackle climate change?
Discuss the various ways of carbon offsetting used by business
organizations

Answers

Answer 1

Carbon offsetting is an effective way to reduce carbon emissions, but it cannot solve climate change entirely. Businesses use various methods of carbon offsetting, which include renewable energy and tree planting.

Carbon offsetting can only mitigate climate change effects, and it's crucial that businesses adopt carbon offsetting strategies to slow down the rate of climate change. In this context, businesses that use carbon offsetting initiatives can reduce their carbon footprint. It is an effective strategy to reduce carbon emissions.

Carbon offsetting organizations offer companies credits that they can use to offset their emissions. Renewable energy credits (RECs) are one of the most popular carbon offsetting methods that businesses use.

RECs are credits that businesses receive when they invest in renewable energy projects, such as wind or solar power. Businesses can purchase these credits to offset their carbon emissions.

Another method that businesses use is tree planting. Trees absorb carbon dioxide from the air, and businesses can plant trees to offset their emissions.

Some organizations provide tree planting services to businesses. These services can include planting trees in deforested areas, as well as reforestation efforts. Businesses can purchase carbon credits based on the number of trees planted to offset their carbon emissions.In conclusion, carbon offsetting is an effective way for businesses to mitigate the effects of climate change.

However, it cannot solve climate change entirely. It's essential that businesses adopt carbon offsetting strategies to slow down the rate of climate change. Businesses can use renewable energy and tree planting to offset their emissions.

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Related Questions

Which mortgage would result in higher total payments? Mortgage A: $1,920 a month for 30 years Mortgage B: $1,520 a month for 4 years and $2,020 a month for 26 years multiple choice Mortgage B Mortgage A.

Answers

The correct option is Mortgage A 1,920 a month for 30 years

Given that: Mortgage A: $1,920 a month for 30 years

Mortgage B: $1,520 a month for 4 years and $2,020 a month for 26 years

We need to determine which mortgage would result in higher total payments.

We know that the total payments for Mortgage A will be:

Total payments for Mortgage A = Monthly payments × Number of payments= $1,920 × 12 × 30= $1,382,400

We also know that the total payments for Mortgage B will be:

Total payments for Mortgage B = Monthly payments × Number of payments= ($1,520 × 12 × 4) + ($2,020 × 12 × 26)= $219,840 + $628,320= $848,160

Hence, Mortgage A would result in higher total payments than Mortgage B.

Therefore, Mortgage A result in higher total payments than Mortgage B. .

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Overview of the changes in average price level Inflation rate of nigeria, senegal and united kingdom with data table, graph and reference.

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Overview of the changes in average price level and Inflation rate of Nigeria, Senegal and United KingdomInflation rate is the percentage change in the price level of goods and services over a certain period.

This means that as the inflation rate rises, the purchasing power of money decreases. The consumer price index (CPI) is used to measure the inflation rate. The CPI is the weighted average of prices of a basket of goods and services consumed by households. This essay seeks to provide an overview of the changes in average price levels and inflation rates of Nigeria, Senegal, and the United Kingdom.Average Price Level and Inflation Rate of NigeriaInflation in Nigeria was recorded at 18.17 percent in March 2021. It is the highest inflation rate in Nigeria in four years. The inflation rate in Nigeria averaged 12.28 percent from 1996 until 2021. The chart below shows the changes in the inflation rate in Nigeria from 2015 to 2021.Reference: tradingeconomics.com - Inflation rate of Nigeria 2015-2021Data

Table 1: Inflation Rate of Nigeria, 2015-2021Year 2015-2016-2017-2018-2019-2020-2021, Inflation rate (%)9.61.515.0411.4011.39.0518.17Source: Trading EconomicsGraph 1: Inflation Rate of Nigeria, 2015-2021The graph below shows that the inflation rate in Nigeria increased significantly from 2015 to 2017. From 2018 to 2020, the inflation rate remained stable. However, the inflation rate began to increase significantly in 2021.Graph 2: Average Inflation Rate of Senegal, 2015-2021Average Price Level and Inflation Rate of SenegalIn Senegal, the inflation rate averaged 1.87 percent from 2008 until 2020. In 2020, the inflation rate in Senegal was recorded at 4.2 percent. This was higher than the inflation rate in 2019, which was 1.2 percent. Reference: tradingeconomics.com - Inflation rate of Senegal 2008-2021Data Table 2: Inflation Rate of Senegal, 2015-2021Year2015-2016-2017-2018-2019-2020-2021 Inflation rate (%)0.61.03.002.061.244.23 Source: Trading Economics Graph 3: Inflation Rate of the United Kingdom, 2015-2021Average Price Level and Inflation Rate of the United Kingdom In the United Kingdom, inflation rates remained relatively low from 2015 to 2019. The inflation rate in the United Kingdom in 2020 was 0.50 percent. This was lower than the inflation rate in 2019, which was 1.80 percent.Reference: tradingeconomics.com - Inflation rate of the UK 2015-2021Data Table 3: Inflation Rate of the United Kingdom, 2015-2021Year2015-2016-2017-2018-2019-2020-2021 Inflation rate (%)0.02.616.043.011.800.5Source:

Trading Economics Graph 4: Average Inflation Rate of Senegal, 2015-2021ConclusionIn conclusion, this essay has provided an overview of the changes in average price levels and inflation rates of Nigeria, Senegal, and the United Kingdom. The data tables and graphs provided in this essay have shown that the inflation rate in Nigeria increased significantly from 2015 to 2017, remained stable from 2018 to 2020, and increased significantly in 2021. The inflation rate in Senegal was relatively low from 2015 to 2020. The inflation rate in the United Kingdom remained relatively low from 2015 to 2019 and decreased in 2020.

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Scenario: Randy owns a pizza restaurant in Barrie, Ontario.
1. Randy has hired a marketing agency to create a television advertisement which will run on Barrie’s local television station. Randy has directed the marketing agency to create an advertisement which is funny (uses the advertising appeal of humour). Describe one risk of using humour in the television advertisement. Please use no more than 2 bullet points for your answer. 1 mark.
2. Randy pays Canada Post to deliver "buy one, get one" coupons to all homes in Barrie. Randy refers to this coupon delivery program as "Out-of-Home Media". Is Randy correct in calling it that? 1 mark for valid explanation of your answer.
3. Randy wants to expand his business by providing catering services to local businesses. Describe one way Randy could demonstrate the quality of his menu offerings (food items) in the Presentation step of personal selling. Please use no more than 2 bullet points for your answer. 1 mark.
Subject is marketing
4. Freddie receives a personalized email from the pizza restaurant. The email suggests that Freddie visit soon to get 20% savings on new pizza slices. Freddie says this email is an example of public relations. Is Freddie correct? Explain your answer in no more than 2 bullet points. 1 mark for correct explanation.

Answers

Public relations activities focus on building and maintaining relationships with various stakeholders, such as media, communities, and investors, to enhance the overall reputation and image of the business.

One risk of using humour in the television advertisement:

Humour can be subjective and may not resonate with all target audience members, potentially alienating or confusing some viewers.

There is a risk of the humour overshadowing the main message or brand, leading to reduced recall or impact of the advertisement.

Randy is not correct in calling the coupon delivery program "Out-of-Home Media":

"Out-of-Home Media" typically refers to advertising channels that reach audiences outside of their homes, such as billboards, transit ads, or digital signage.

Coupon delivery to homes falls under direct marketing or direct mail advertising, which targets individuals at their residential addresses.

One way Randy could demonstrate the quality of his menu offerings in the Presentation step of personal selling:

Arrange for a tasting session where potential customers can sample a variety of menu items, showcasing the flavors, freshness, and presentation of the food.

Share visually appealing photos or videos of the menu items, highlighting the quality ingredients, culinary expertise, and attention to detail in their preparation.

Freddie is not correct in considering the personalized email from the pizza restaurant an example of public relations:

Public relations activities focus on building and maintaining relationships with various stakeholders, such as media, communities, and investors, to enhance the overall reputation and image of the business.

The personalized email with a discount offer falls under direct marketing or email marketing, aimed at promoting a specific product or service directly to individual customers.

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On May 1, 2021, Kingbird Construction Ltd. issued $870,000 of 20-year, 6% bonds at 100. The bonds pay interest semi-annually on November 1 and May 1. Kingbird has a calendar year end. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter O for the amounts. Round answers to O decimal places, e.g. 5,276.) (a) Record the issuance of the bonds on May 1, 2021. (b) Record the first interest payment on November 1, 2021. (c) Prepare any adjusting entry required at December 31, 2021. (d) Record the second interest payment on May 1, 2022. (e) Assume that on May 1, 2022, immediately after paying the semi-annual interest, Kingbird redeemed 50% of the bonds at 99. Record the redemption of the bond. (f) Record the third interest payment on November 1, 2022, for the remaining bonds.

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Kingbird Construction Ltd. issued $870,000 of 20-year, 6% bonds at 100 on May 1, 2021. The bonds pay interest semi-annually on November 1 and May 1. Various accounting entries need to be recorded for the bond.

issuance, interest payments, adjusting entry, bond redemption, and third interest payment. These entries will ensure the accurate representation of the bond transactions in the company's financial records.

(a) On May 1, 2021, Kingbird Construction records the issuance of the bonds by debiting Cash for $870,000 and crediting Bonds Payable for the same amount. This entry reflects the inflow of cash from the issuance of bonds and the corresponding liability created.

(b) On November 1, 2021, Kingbird Construction records the first interest payment by debiting Interest Expense for the semi-annual interest amount, calculated as ($870,000 * 6% / 2), and crediting Cash for the same amount. This entry recognizes the interest expense incurred and the cash outflow for the interest payment.

(c) At December 31, 2021, an adjusting entry is required to accrue interest expense for the period from November 1 to December 31. Kingbird Construction debits Interest Expense and credits Interest Payable for the accrued interest amount based on the remaining period.

(d) On May 1, 2022, Kingbird Construction records the second interest payment similar to the entry in (b). The interest expense is debited, and Cash is credited for the semi-annual interest amount.

(e) On May 1, 2022, Kingbird Construction redeems 50% of the bonds at 99. The company debits Bonds Payable for 50% of the face value ($870,000 * 50%) and credits Cash for the redemption amount ($870,000 * 50% * 99%). This entry reflects the reduction in the liability for the redeemed bonds and the cash outflow for the redemption.

(f) On November 1, 2022, Kingbird Construction records the third interest payment for the remaining bonds. The entry is the same as in (b) and (d), where Interest Expense is debited, and Cash is credited for the semi-annual interest amount.

These accounting entries ensure the proper recognition of bond issuance, interest payments, accruals, and bond redemption, enabling accurate reporting of the bond-related transactions in Kingbird Construction's financial statements.

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QUESTION 9
In regards to marketable securities which of the following statements is true?
O a. Treasure bills are considered to be the most risk free asset
O b. Repurchase agreements are considered to be capital market instruments.
O c. Money market securities are long term investments.
O d. All of the above are false.

Answers

The correct statement is O a. Treasury bills are considered to be the most risk-free asset.

Statement a is true. Treasury bills, also known as T-bills, are considered to be one of the most risk-free assets available in the market. They are short-term debt instruments issued by governments and are typically considered to have minimal credit risk due to the backing of the government.

Statement b is false. Repurchase agreements (repos) are considered to be money market instruments, not capital market instruments. Repos involve the sale of securities with an agreement to repurchase them at a later date, often used for short-term borrowing and lending in the money market.

Statement c is false. Money market securities are generally short-term investments, typically maturing in less than one year. They are characterized by their high liquidity and low-risk nature.

Therefore, the correct answer is option (d) - All of the above are false.

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5 pts Sub-1050 Goal Seek, Inc. is considering a $450 million expansion (capital expenditure) program next year. The company currently has $1,500 million in net fixed assets on its books. Next year, the company expects to earn $200 million after interest and taxes. The company also expects to maintain its present level of dividends, which is $50 million. If the expansion program is accepted, the company expects its inventory to increase by approximately $180 million, and accounts receivable to increase by approximately $110 million.

Answers

The total assets of the company after the expansion program is accepted is $1,790 million.

Sub-1050 Goal Seek, Inc. is a company that is considering a $450 million expansion (capital expenditure) program next year. The company currently has $1,500 million in net fixed assets on its books. Next year, the company expects to earn $200 million after interest and taxes.

The company also expects to maintain its present level of dividends, which is $50 million. If the expansion program is accepted, the company expects its inventory to increase by approximately $180 million, and accounts receivable to increase by approximately $110 million.

Find the total assets of the company after the expansion program is accepted.The company currently has a net fixed asset of $1,500 million, which is not affected by the expansion program. If the expansion program is accepted, the inventory and account receivables are expected to increase by $180 million and $110 million, respectively.

Therefore, the total assets of the company after the expansion program is accepted will be equal to:

Total Assets = Net Fixed Asset + Inventory + Account Receivables

Total Assets = $1,500 million + $180 million + $110 million

Total Assets = $1,790 million. Hence, the total assets of the company after the expansion program is accepted is $1,790 million.

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You are shipping wheat from Regina, Canada to Delhi, India, using the ports of Vancouver in Canada and Mumbai in India W you are willing to pay for transporting the wheat not pay the tarts into India, then you would use the Incoterm a CIF Mumbai
b DDP Mumbal c FOB Mumbai d EXW Mumbai

Answers

The appropriate Incoterm to use for shipping wheat from Regina, Canada to Delhi, India, using the ports of Vancouver in Canada and Mumbai in India, would be FOB Mumbai. Thus, correct option is (c).

FOB (Free on Board) is a commonly used Incoterm that places the responsibility for shipping and costs on the buyer after the goods have been loaded onto the vessel at the named port of shipment. By using FOB Mumbai, the exporter from Regina, Canada would handle the transportation of the wheat to Vancouver, where it would be loaded onto the vessel.

The exporter would also be responsible for export clearance procedures. Once the wheat is on board the vessel, the buyer in Delhi, India would take over the costs and risks associated with transportation, including the payment of import duties and taxes upon arrival in Mumbai, India. It's important to note that using FOB Mumbai does not include payment for tariffs into India, as stated in the given scenario.

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true or false: the motorola company is credited with the origin of the six sigma methodology. select one: a. true b. false

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The Motorola company is credited with the origin of the six sigma methodology, this statement is False.

The statement is false. While Motorola is often associated with popularizing and promoting the use of the Six Sigma methodology, it is not credited with its origin. The origin of Six Sigma can be traced back to the 1980s when it was developed by engineer Bill Smith at Motorola.

Smith introduced the concept as a quality improvement methodology to reduce defects and variations in manufacturing processes. However, the roots of statistical process control and quality improvement can be traced even further back to the work of pioneers like Walter Shewhart and W. Edwards Deming.

These individuals laid the groundwork for statistical quality control and process improvement, which eventually led to the development and implementation of Six Sigma. Therefore, while Motorola played a significant role in popularizing and implementing Six Sigma, it is not credited with its original invention.

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The method, identifies each item in ending inventory with a specific purchase and invoice. O FIFO O Weighted Average O Specific Identification OLIFO Question 8 The method, identifies each item in ending inventory with a specific purchase and invoice. O FIFO O Weighted Average O Specific Identification LIFO

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The method that identifies each item in ending inventory with a specific purchase and invoice is the Specific Identification method.

The Specific Identification method tracks each individual item in inventory and matches it with the corresponding purchase and invoice. This method is often used when the items in inventory have distinct and identifiable characteristics, such as serial numbers or unique features.

For example, let's consider a company that sells electronic devices. Each device has a unique serial number, and the company uses the Specific Identification method to track the inventory. If they sell three devices with serial numbers 001, 002, and 003, and have two devices with serial numbers 004 and 005 in ending inventory, they can directly associate the two devices with their respective purchase and invoice records.

The Specific Identification method provides a detailed and accurate representation of ending inventory by precisely identifying each item with its specific purchase and invoice information. This method is particularly useful when dealing with unique or high-value items. However, it requires meticulous record-keeping and may not be practical for companies with a large number of inventory items without distinguishing features.

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If a price ceiling is ineffective and it decreases:

Tip: Remember where should the price ceiling be to be effective.

Select an answer and submit. For keyboard navigation, use the up/down arrow keys to select an answer.

a

it will change the amount of a good sold in a market

b

it will not change the amount of a good sold in a market

c

it may change the amount of a good sold in a market if it decreases enough

d

it may not change the amount of a good sold in a market even if it decreases enough

Answers

If a price ceiling is ineffective and it decreases, the answer is: c. it may change the amount of a good sold in a market if it decreases enough.

A price ceiling is a rule that prohibits the price of a good or service from exceeding a certain level. If the cost of the item is already below the price ceiling, a price ceiling would have no effect. If the item's price is above the price ceiling, the item's quantity demanded would be greater than the quantity supplied, creating a shortage of the item.Content loaded.it may change the amount of a good sold in a market if it decreases enough.

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Nonconstant Growth (LO2) A company will pay a $2 per share dividend in 1 year. The dividend in 2 years will be $6 per share, and it is expected that dividends will grow at 3% per year thereafter. The expected rate of return on the stock is 10%. (Do not round intermediate calculations. Round your answer to 2 a. What is the current price of the stock? decimal places.) Current price ____
b. What is the expected price of the stock in a year? (Do not round intermediate calculations. Round your answer to 2 decimal places.) Expected price ____

Answers

a) The expected rate of return on the stock is 10% then the current price of the stock is $28.57 .

b) The expected price of the stock in a year is $31.43 .

a. To calculate the current price of the stock, we can use the formula for the present value of a growing perpetuity as follows:Present value of a growing perpetuity = Payment / (Discount rate - Growth rate)

Here, Payment = $2 (the dividend in 1 year), Discount rate = 10%, and Growth rate = 3%.

Therefore, Current price of the stock = $2 / (10% - 3%) = $28.57 (rounded to 2 decimal places).

b. To calculate the expected price of the stock in a year, we can use the formula for the future value of a single amount as follows:

Future value of a single amount = Present value × (1 + Rate of return)

Here, Present value = $28.57 (the current price of the stock), and Rate of return = 10%.

Given that:Payment in one year = $2 per share

Payment in two years = $6 per share

Expected growth rate = 3%

Expected rate of return = 10%

Therefore, Expected price of the stock in a year = $28.57 × (1 + 10%) = $31.43 (rounded to 2 decimal places).

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In __________ the stock market went into fre fall, signaling the beginning of the great depression.

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In October 1929, the stock market went into a free fall, signaling the beginning of the Great Depression.

This was a period of economic downturn and severe unemployment that lasted from 1929 to the late 1930s. The Great Depression had a significant impact on the world economy, with some countries experiencing unemployment rates of up to 25%.The Great Depression is considered one of the most significant economic depressions in history.

There is no single cause of the Great Depression, but there were several contributing factors, including overproduction, over speculation, and bank failures. Additionally, the Smoot-Hawley Tariff Act, which imposed high tariffs on imported goods, had a devastating impact on international trade. the Great Depression was a long-lasting period of economic decline and unemployment that began with the stock market crash of 1929.

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he following financial statement information for Pear Company as for the year 2021 Required Fit the missing amounts (Hint There are missing amoun Note: Write only the final amount. Do not show your calculation. Peal Company Income Statement For the year ended 2021 Net Sales $20.000 -1- Cost of goods sold Gross profit 10,500 Operating expenses Selling expenses General and administrative 2.000 expense 5 Total operating expenses Income from operations Other expenses Interest expense Net income 7.300 3,200 1,200 $2.000 Peal Company Statement of Owner's equity For 2021 $4,000 Capital

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Given, Pear Company Income Statement For the year ended 2021                                                                                                      Net Sales $20,000                                                                                                                                                                                           Cost of goods sold $9,500                                                                                                                                                                                                           Gross profit $10,500                                                                                                                                                                                    Operating expenses:Selling expenses $3,200                                                                                                                                                      General and administrative expense $2,000                                                                                                                                                               Total operating expenses $5,200                                                                                                                                                                             Income from operations $5,300                                                                                                                                                                            Other expenses $1,200                                                                                                                                                                                   Interest expense $2,000                                                                                                                                                                          Net income $2,100

Explanation:

Peal Company Statement of Owner's equity For 2021                                                                                                                                       Capital $4,000Now, let's fit the missing amounts below:                                                                                                                                                                 Net Sales = $20,000                                                                                                                                                                                    Cost of goods sold = $9,500                                                                                                                                                                         Selling expenses = $3,200                                                                                                                                                                General and administrative expense = $2,000                                                                                                                                                            Total operating expenses = $5,200                                                                                                                                                                 Income from operations = $5,300                                                                                                                                                                        Other expenses = $1,200                                                                                                                                                                              Interest expense = $2,000                                                                                                                                                                              Net income = $2,100                                                                                                                                                                                                    Capital = $4,000                                                                                                                                                                                            Thus, we have fitted the missing amounts.

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Sunland Corp. is thinking about opening a soccer camp in southern California. To start the camp, Sunland would need to purchase land and build four soccer fields and a sleeping and dining facility to house 150 soccer players. Each year, the camp would be run for 8 sessions of 1 week each. The company would hire college soccer players as coaches. The camp attendees would be male and female soccer players ages 12–18. Property values in southern California have enjoyed a steady increase in value. It is expected that after using the facility for 20 years, Sunland can sell the property for more than it was originally purchased for. The following amounts have been estimated.

Cost of land $302,700
Cost to build soccer fields, dorm, and dining facility $605,400
Annual cash inflows assuming 150 players and 8 weeks $928,280
Annual cash outflows $847,560
Estimated useful life 20 years
Salvage value $1,513,500
Discount rate 8%

Click here to view the factor table.

(a)

Partially correct answer icon

Your answer is partially correct.

Calculate the net present value of the project. (If the net present value is negative, use either a negative sign preceding the number e.g. -45 or parentheses e.g. (45). Round answer to 0 decimal places, e.g. 125. For calculation purposes, use 5 decimal places as displayed in the factor table provided.)

Net present value $enter the net present value in dollars

Should the project be accepted?

The project select an option shouldshould not be accepted.

Answers

The net present value of the project is $225,343.68. Since the NPV is positive, the project should be accepted.

We will apply the formula: NPV = (Cash inflows - Cash outflows) + (Salvage value / [tex](1 + Discount rate)^{Useful life[/tex]) - Initial investment

Given:

Cost of land = $302,700

Cost to build soccer fields, dorm, and dining facility = $605,400

Annual cash inflows = $928,280

Annual cash outflows = $847,560

Salvage value = $1,513,500

Discount rate = 8%

Useful life = 20 years

Let's calculate the net present value:

Step 1: Calculate the present value of annual cash inflows and outflows:

Present value of cash inflows = Annual cash inflows × Present value factor

Present value of cash inflows = $928,280 × 7.02764 (from the factor table for 8%, 20 years)

Present value of cash inflows = $6,183,317.07

Present value of cash outflows = Annual cash outflows × Present value factor

Present value of cash outflows = $847,560 × 7.02764 (from the factor table for 8%, 20 years)

Present value of cash outflows = $5,957,973.39

Step 2: Calculate the present value of salvage value:

Present value of salvage value = Salvage value / (1 + Discount rate)^Useful life

Present value of salvage value = $1,513,500 / [tex](1 + 0.08)^{20[/tex]

Present value of salvage value = $449,431.88

Step 3: Calculate the net present value:

NPV = (Present value of cash inflows - Present value of cash outflows) + Present value of salvage value - Initial investment

NPV = ($6,183,317.07 - $5,957,973.39) + $449,431.88 - ($302,700 + $605,400)

NPV = $225,343.68

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What are your views on the forms of management of hotel companies; what principles should be taken into account when forming a central organization?

Answers

The primary forms of management in the hospitality industry are the functional, divisional, and matrix approaches. Each management approach has its advantages and disadvantages in terms of organizational structure. Principles that must be taken into account.

while developing a central organization are discussed below:Principles of developing a central organization:Analyze the company's objectives and objectives.A standard operating procedure (SOP) should be developed for the hotel's basic functions and departments.Human Resources (HR) department should be established to manage the hotel's employees and conduct employee evaluations.

A training and development department should be established to provide training and development to employees at various levels.Manage and supervise the hotel's finances.Custodianship of the hotel's assets and inventories should be established.The hotel's IT system should be developed and maintained.Maintain the hotel's environmental and safety standards.To summarise, the management of hotel companies should focus on providing quality service to their guests while maintaining financial stability. Developing a central organization in line with the aforementioned principles will assist the company in achieving these objectives.

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A company expects to receive $30,000,000 in 60 days and will use it to invest in a 90-day bond. The company enters into a Forward Rate Agreement (FRA) expiring in 60 days, with the notional amount of $30,000,000. The forward rate is 90-day LIBOR at 4.50%. Required:
1) Should the company take a long or short position in the FRA? Briefly explain.
2) If the actual 90-day LIBOR on the expiration date is 3.75%, what is the payoff of the FRA?

Answers

The payoff of the FRA, in this case, would be approximately -$223,412.10. Since the actual LIBOR rate (3.75%) is lower than the forward rate (4.50%), the company would incur a loss on the FRA.I

n this case, the company should take a short position in the Forward Rate Agreement (FRA). By taking a short position, the company is effectively selling the 90-day LIBOR at the agreed-upon forward rate of 4.50%.

This means that the company is anticipating that the actual 90-day LIBOR rate will be lower than the forward rate. Taking a short position in the FRA allows the company to hedge against the risk of interest rate decreases.

To calculate the payoff of the FRA, we need to compare the actual 90-day LIBOR rate on the expiration date (3.75%) with the forward rate (4.50%).

The payoff of the FRA can be calculated using the following formula:

Payoff = Notional Amount * ((Actual LIBOR rate - Forward rate) / (1 + Actual LIBOR rate * (90/360)))

Notional Amount = $30,000,000

Actual LIBOR rate = 3.75%

Forward rate = 4.50%

Days in the period = 90 days

Plugging in the values into the formula:

Payoff = $30,000,000 * ((0.0375 - 0.045) / (1 + 0.0375 * (90/360)))

Simplifying the equation:

Payoff = $30,000,000 * (-0.0075 / (1 + 0.009375))

Payoff = $30,000,000 * (-0.0075 / 1.009375)

Payoff = $30,000,000 * (-0.00744707)

Payoff ≈ -$223,412.10

The payoff of the FRA, in this case, would be approximately -$223,412.10. Since the actual LIBOR rate (3.75%) is lower than the forward rate (4.50%), the company would incur a loss on the FRA.

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Blue Spruce Corp. is authorized to issue both preferred and common stock. The par value of the preferred is $50. During the first year of operations, the company had the following events and transactions pertaining to its preferred stock. Feb. 1 Issued 55,000 shares for cash at $54 per share. July 1 Issued 72,000 shares for cash at $59 per share. Journalize the transactions. (Record journal entries in the order presented in the problem. Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter O for the amounts.) Date Account Titles and Explanation Debit Credit VÌ Vietnamese (Metnam) Vietnamese Number Key based Journalize the transactions. (Record journal entries in the order presented in the problem. Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter O for the amounts.)

Answers

Journal entries are the recordings made in a journal. They have an important role in the double-entry accounting system. Journalizing transactions helps businesses keep a record of their financial activities.

The journal entries also help businesses to track their transactions and produce an accurate financial statement.

Here are the journal entries for Blue Spruce Corp:

Date Account Titles and Explanation Debit Credit Feb. 1

Cash $2,970,000

Preferred Stock (55,000*$50) $2,750,000Paid-In Capital in Excess of Par Value,

Preferred Stock $220,000July 1

Cash $4,248,000

Preferred Stock (72,000*$50) $3,600,000

Paid-In Capital in Excess of Par Value,

Preferred Stock $648,000(Note: The amounts have been calculated by multiplying the number of shares issued by the price per share.)

The first journal entry is for the issuance of 55,000 shares on February 1.

The par value of each share is $50, and they are being issued at $54 per share.

The total amount of cash received is $2,970,000 (55,000*$54).

$2,750,000 (55,000*$50) is credited to Preferred Stock, which is the par value of the stock, and $220,000 (55,000*$4) is credited to Paid-In Capital in Excess of Par Value, Preferred Stock, which is the amount that is above the par value.

The second journal entry is for the issuance of 72,000 shares on July 1.

The par value of each share is $50, and they are being issued at $59 per share.

The total amount of cash received is $4,248,000 (72,000*$59). $3,600,000 (72,000*$50) is credited to Preferred Stock, which is the par value of the stock, and $648,000 (72,000*$9) is credited to Paid-In Capital in Excess of Par Value, Preferred Stock, which is the amount that is above the par value.

Therefore, the journal entries are given as follows:

Date Account Titles and Explanation Debit Credit Feb. 1

Cash $2,970,000

Preferred Stock (55,000*$50) $2,750,000

Paid-In Capital in Excess of Par Value,

Preferred Stock $220,000July 1

Cash $4,248,000

Preferred Stock (72,000*$50) $3,600,000

Paid-In Capital in Excess of Par Value,

Preferred Stock $648,000.

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a) Describe the Grossman model of demand for health, including
the key assumptions, components and the conditions for consumer
equilibrium in the model.

Answers

The Grossman model of demand for health is an economic framework that seeks to explain individuals' decisions regarding investments in health capital. The model assumes that individuals allocate their time and resources between different activities, including the consumption of goods and services, leisure, and investments in health.

Consumer equilibrium in the Grossman model occurs when individuals allocate their B and resources in a way that maximizes their lifetime utility. This equilibrium is achieved when the marginal utility gained from the last unit of health capital investment is equal to the marginal utility gained from the last unit of consumption or leisure. In other words, individuals allocate their resources in a way that balances the benefits of investing in health with the costs of forgoing other goods and activities.

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Assess how social media conversations have profoundly changed brand management and created new challenges for managers.

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The marketing world has never been more integrated than it is today thanks to social media. Social media marketing has made it possible for brands and consumers to have a two-way conversation, improving brand visibility and transparency.

Additionally, it has given companies complete control over the audience they want to direct their advertisements towards. The quantity of visibility and traffic that a brand receives are both increased through social media. Social media also creates leads and cultivates devoted fans.

Strong social media presence enables a brand to forge commercial relationships, cut marketing expenses, and boost revenues. Businesses of all sizes now have a platform to network and engage with clients in more intimate ways thanks to social media.

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When you set up an account for a new company vehicle:

A. Expense
B. Current Asset
C. Equity
D. Property

Answers

When you set up an account for a new company vehicle, it is categorized as a current asset. A current asset is an asset that can be converted into cash within a year. They are listed in order of liquidity, which means that the assets that can be converted into cash most easily appear at the top.

A company's current assets include assets that are either cash or expected to be converted into cash within the next year.The following are some examples of current assets that a business may have:Cash on hand and in bank accounts Account receivables and other types of receivablesInventoryPrepaid expenses, such as rent, insurance, or other services expected to be used within the next year Short-term investments, such as bonds or stock investments that the business intends to hold for a short period.What is Asset Accounting?Asset accounting is a type of accounting that is used to monitor a company's fixed assets. Fixed assets are assets that a business acquires for long-term use and that are not intended to be resold. A business's fixed assets include machinery, buildings, and land, among other things. These assets can be depreciated, which means that their value decreases over time.

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Do earnings depend on education? Using the EAEF09 data set in the folder OWL Class Resources > Homework Data & Videos folder. We believe that hourly EARNINGS depends upon years of schooling (called S in the data set). We set up a regression assuming that X causes Y. a) Which variable is the dependent variable (y) and which is the independent variable (x)? b) Estimate a simple regression of EARNINGS on years of schooling, S. What does this regression say about the relationship between schooling and hourly earnings? A. Y=EARNINGS, X=S An additional year of schooling is associated with an increase in earnings of $2.49 per hour on average. B. Y=EARNINGS, X=S An increase of 1 years of schooling is associated with an increase in earnings of 0.20 dollars. C. Y=EARNINGS, X=S An increase of 2.08 years of schooling is associated with an increase in earnings of 1 dollar. D. Y=S, X=EARNINGS A increase in earnings of 1 dollar is associated with 2.08 years of schooling on average. E. Y=EARNINGS, X=S An additional year of schooling is associated with an increase in earnings of $2.08 per hour on average.

Answers

Yes, earnings depend on education. It has been found that earnings depend on education. We can examine whether hourly earnings depend upon years of schooling (called S in the data set) using the EAEF09 data set in the folder OWL Class Resources > Homework Data & Videos folder.

The variables that are related are EARNINGS and years of schooling (S), thus EARNINGS is the dependent variable (Y), and years of schooling (S) is the independent variable (X).Let's estimate a simple regression of EARNINGS on years of schooling, S:Y=EARNINGS, X=SAn additional year of schooling is associated with an increase in earnings of $2.49 per hour on average.Therefore, Option A is the correct answer: Y=EARNINGS, X=S An additional year of schooling is associated with an increase in earnings of $2.49 per hour on average.An additional year of schooling increases the average hourly wage by $2.49, according to the data.

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According to Porter, an industry with low barriers to entry
A. Should be avoided
B. Will typically be hypercompetitve
C. Will be expensive to get into
D. Will probably be an industry in decline

Answers

According to Porter, an industry with low barriers to entry B) will typically be hypercompetitive.

Barriers to entry are a concept in business that refers to the factors that make it tough or impossible for new companies to join an industry. The following are examples of such obstacles: Patents and licensing: New companies that wish to offer a product or service that is covered by a patent or requires a specific license will face obstacles in obtaining the necessary permissions.

Costs: Starting a business can be expensive, and new businesses may not have the resources to get started. Existing businesses can, in certain cases, use economies of scale to lower their costs, making it more challenging for new entrants to compete.

Regulation: Businesses must comply with local, state, and federal laws, which can be complicated and time-consuming for new entrants. The process can be made more difficult by the fact that regulations often favor existing businesses.

Brand recognition: Existing businesses have an established customer base and a recognized brand, making it difficult for new entrants to win market share.

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Which of the following is an advantage of a corporation over another type of business entity?
a. A corporation reduces individual control of a business operated by managers.
b. A corporation requires substantial costs of meeting the requirements of corporate formation and operation.
c. A corporation is considered a person for most purposes under the U.S. Constitution. FINC 245-Regulations for Accounting and Financial Professionals Summer Session 2022
d. A corporate shareholder's exposure to corporate liabilities is not limited to his/her investment.

Answers

A corporate shareholder's exposure to corporate liabilities is not limited to his/her investment is an advantage of a corporation over another type of business entity.

So, the answer is D.

A corporation is a type of business entity that has a separate legal entity, meaning that it is a legal entity separate from its owners (shareholders). It's an organization that is owned by shareholders who invest money into the company in exchange for ownership shares.

A corporation's shareholders have the advantage of having limited liability protection, which means that their personal assets are protected from the corporation's debts and lawsuits.

However, one of the advantages of a corporation over other types of business entities is that a corporate shareholder's exposure to corporate liabilities is not limited to his or her investment in the corporation.

Hence, the answer is D.

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a) What are the roles of the management accountant in a service-based organisation? b) The chief executive officer of your company is unhappy with the firm's attempts to adopt environmental management accounting in the organisation. "I don't understand how we can measure environmental impact," he complains. "We should just concentrate on what our customers want instead of worrying about intangible concepts like sustainability."

REQUIRED: Prepare a response to this criticism. You should explain what environmental management accounting is designed to achieve and suggest two approaches that have been used, citing relevant literature and examples where appropriate.

Answers

a) The roles of the management accountant in a service-based organization include cost analysis, budgeting and financial planning, performance measurement, pricing and profitability analysis, and decision support.

Environmental management accounting (EMA) is an approach that aims to measure and manage the environmental impact of an organization. It involves integrating environmental information into management accounting systems and decision-making processes. EMA helps organizations understand the environmental costs associated with their operations, identify areas for improvement, and make informed decisions that balance financial and environmental considerations.

In response to the CEO's criticism, it is important to explain that measuring environmental impact through EMA is not just about pursuing intangible concepts like sustainability. It is a strategic business approach that recognizes the increasing importance of environmental sustainability to customers, stakeholders, and the long-term success of the organization.

EMA provides valuable insights into the environmental costs of operations, helping identify potential cost savings and efficiency improvements. By implementing EMA, organizations can enhance their environmental performance, reduce environmental risks, and gain a competitive advantage in the market. Additionally, integrating environmental considerations into decision-making processes allows organizations to align with evolving customer expectations and regulatory requirements.

Two approaches commonly used in EMA are environmental cost accounting and life cycle assessment. Environmental cost accounting quantifies and analyzes environmental costs, enabling organizations to understand the financial implications of their environmental impact. Life cycle assessment evaluates the environmental impact of products or services throughout their life cycle, providing insights for eco-design, waste reduction, and sustainable sourcing.

In conclusion, adopting EMA is a strategic response to growing environmental concerns and customer demands for sustainability. It enables organizations to measure and manage their environmental impact, align with stakeholder expectations, and achieve long-term financial viability while minimizing negative environmental effects.

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"A) Discuss at what stage in the industrial life cycle you would like to discover an industry. Justify your decision.
B) Give an example of an industry in Stage 2 of the industrial life cycle. Discuss your reasoning for putting the industry in Stage 2 and any evidence that caused you to select this stage for the industry."

Answers

I would prefer to discover an industry at the early stage of the industrial life cycle.

This stage offers the potential for high growth and innovation, providing opportunities to shape the industry's trajectory and gain a competitive advantage.

B) An example of an industry in Stage 2 of the industrial life cycle is the electric vehicle (EV) industry. This stage is characterized by rapid growth and increasing market acceptance. Evidence includes rising EV sales, expanding charging infrastructure, and the entry of new players. The industry's growth potential and emerging market trends position it in Stage 2 of the life cycle.

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Economists consider profit to be
Select one:
a.
a cost of producing goods and services.
b.
the same as a salary.
c.
a reward for incurring losses.
d.
something that should be eliminated by anticompeti

Answers

The correct option is (D) which states that the economists consider that something that should be eliminated by anticompeti. Profit, in general, is defined as the excess of revenue over costs, or revenue minus costs.

Economists consider profit to be a reward for producing goods and services.Economists consider profit to be a reward for producing goods and services.  Profit is important in a market economy because it signals to businesses that resources are being used efficiently. However, economists consider profits to be something that should be eliminated by anticompetitive practices because it distorts the market and gives some firms an unfair advantage over others. Profit serves as an incentive to businesses to produce goods and services, which leads to the production of more goods and services, which benefits society as a whole.

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Yost Rocks, Inc. just paid a $2 dividend, which it expects to maintain for the foreseeable future. The firm has a beta of 1.2 and U.S. Treasury bills yield 3%. If the market risk premium is 9.6%, what is the current price of the stock?

-If the firm expects to maintain a constant 3% growth rate in dividends, what would the price be today?

-If the firm was unable to pay a dividend for the next 4 years, but then paid a $2 dividend which grew at a constant 3%, what would the price be today?

Answers

To calculate the current price of the stock, we will use the Gordon Growth Model, which is given by- P0 = D1 / (r - g)

Where:

P0 = Current price of the stock

D1 = Dividend expected to be paid in the next period

r = Required rate of return

g = Growth rate of dividends

Let's calculate the current price of the stock based on the given information:

Current Price of the Stock:

Dividend (D1) = $2

Required rate of return (r) = Risk-free rate + Beta * Market Risk Premium

= 3% + 1.2 * 9.6%

= 3% + 11.52%

= 14.52%

Growth rate of dividends (g) = 0% (since the dividend is expected to remain constant)

P0 = $2 / (0.1452 - 0)

= $2 / 0.1452

≈ $13.77

Therefore, the current price of the stock is approximately $13.77.

Price with a Constant 3% Growth Rate in Dividends:

Growth rate of dividends (g) = 3%

P0 = $2 / (0.1452 - 0.03)

= $2 / 0.1152

≈ $17.36

Therefore, if the firm expects to maintain a constant 3% growth rate in dividends, the price of the stock today would be approximately $17.36.

Price with No Dividend for 4 Years and 3% Growth Rate Afterwards:

Dividend (D1) = $2

Growth rate of dividends (g) = 3%

In this case, we need to calculate the present value of the dividends for the first four years when no dividend is paid, and then calculate the price as if the dividend of $2 starts growing at a constant rate of 3% from year 5 onwards.

Present Value of Dividends for the first four years:

[tex]PV = D1 / (1 + r)^1 + D1 / (1 + r)^2 + D1 / (1 + r)^3 + D1 / (1 + r)^4[/tex]

[tex]PV = $2 / (1 + 0.1452)^1 + $2 / (1 + 0.1452)^2 + $2 / (1 + 0.1452)^3 + $2 / (1 + 0.1452)^4[/tex]

After calculating the present value, we add it to the present value of the dividend growing at 3%:

[tex]P0 = PV + (D1 / (r - g)) * (1 / (1 + r)^4)[/tex]

The result will be the price of the stock today.

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- What is conclusive research and what are its’ main characteristics?
- Compare and contrast conclusive research and exploratory research.
- Describe specifically descriptive research and causal research:
Which situation they are appropriate to be used?
Which information do these research types provide?
Which techniques can researcher use in doing a descriptive and a causal research project?
-> What should be noticed in conducting a survey and an experiment?

Answers

Conclusive research is a type of research that aims to provide definitive answers and conclusive findings to specific research questions or problems.

Its main characteristics include structured methodologies, predetermined objectives, large sample sizes, and statistical analysis.

Conclusive research is different from exploratory research in terms of purpose and scope. Exploratory research is conducted to gain insights, generate hypotheses, and explore new areas of study, while conclusive research aims to provide conclusive results and answer specific research questions.

Descriptive research focuses on describing and summarizing characteristics or phenomena, providing a snapshot of a particular situation or population. Causal research investigates cause-and-effect relationships, aiming to establish a causal relationship between variables.

Descriptive research is appropriate when researchers want to understand the current state or characteristics of a population or phenomenon. Causal research is used when researchers want to determine the cause-and-effect relationship between variables.

Descriptive research provides information about the present state or characteristics, while causal research identifies the factors that influence a particular outcome. Techniques commonly used in descriptive research include surveys, observations, and content analysis. Causal research often involves experiments, quasi-experiments, and statistical analysis.

When conducting a survey, researchers should ensure a representative sample, use clear and unbiased questions, and maintain data confidentiality. In experiments, researchers should carefully design the study, control variables, and randomly assign participants to groups to ensure internal validity.

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Which mutual fund has lower MER- Index Fund or Growth Fund?

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Index Fund has lower MER as compared to Growth Fund.

Depending on the sort of fund along with how actively it is managed, MERs may change. For instance, since they are passively managed, with the fund manager just matching a market index, index funds typically have lower MERs. A Management Expense Ratio (MER) is a common way to measure mutual fund expenses.

The management expense ratio, or MER, is presented as an annual expense and includes both the fund's management charge and any other costs or fees generated by the fund. The MER is subtracted from a fund's returns rather than being charged to investors directly.

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when all resources of a process have implied utilization less than 100% it is constrained

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When all resources of a process have implied utilization less than 100%, it is not constrained.

In this case, there is extra capacity available to the process. A constraint is a limiting factor that restricts a system from achieving its full potential. It is any factor that limits the performance of a system to a level below its potential.A constraint can arise when a system's output is limited by the availability of a particular resource. In manufacturing processes, the bottleneck resource, which is the resource that limits the output of the entire process, is known as the constraint. Bottlenecks can be identified by observing the rate of production at each stage of the process.

In conclusion, when the resources of a process have implied utilization less than 100%, the process is not constrained.

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Other Questions
Warfield \& Shoup, CPAs audited the financial statements of Siesta Publishing for the year e December 31, 20X4 and issued their audit report on February 2, 20X5. After a dispute with Siesta decided to use the services of Danza \& Zona, CPAs to audit their financial statement year ended December 31, 20X5. Danza \& Zona has requested copies of schedules support number of adjusting entries related to the December 31, 20X4 audit. The request include return of Siesta's records that had been given to Warfield & Shoup but had yet to be retur time of the request, Warfield \& Shoup had not been paid for the audit engagement for De 20X4 and the firm has refused to provide Danza \& Zona with the requested supporting documentation or the client's records until they are paid in full. Is the firm's refusal to provide the requested documentation of adjusting entries, along refusal to return any of Siesta Publishing's records in its possession, an act discreditable profession? William is a sole proprietor who sells widgets he crafts on a 3-D printer. Which of the following costs is included in his cast of goods sold?1) Payments to an outside contractor who diagnoses and fixes technical difficulties when the printer breaks down.2) Cost of plastic used to make the widgets.3) Payments to the graphic artist who designed the logo for his website.4) Cost of obtaining a patent for the Useful Widget 3.0 Measure Ball Corporations place in the aluminum market by using the competitors strengths, weaknesses and core capabilities. Provide data to analyze an opportunity to build competitive strategies to manage the market competition. In your own words describe how sediments are formed and how loosesediments convert into sedimentary rock? 6-10 sentences Ngata Corp. issued 19-year bonds 2 years ago at a coupon rate of 9.4 percent (APR). The bonds make semiannual payments. If these bonds currently sell for 98 percent of par value, what is the YTM (as an APR)? 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What is its yield to maturity in percent?A. 2.04B. 2.42C. 3.04D. 3.30E. 4.09 Create your own strategy Imagine today is 31 December 2021 (you can use any data available before 2022). You work as a group of fund managers managing a quantitative hedge fund. Your group wants to design a new investment strategy and implement it starting from 2022. Your fund is quantitative in natural. Therefore, all your investment decisions should be based on backtesting historical data of financial assets. Your fund mandate is to explore profitable investment opportunities across different geographical locations and asset classes (e.g. stocks, funds, currencies). Investors of your fund have high risk tolernances so the fund can take leveraged or short-selling positions. The work plan is as follows: 1. Identify a specific stock market/multiple stock markets around the world as your funds investment universe; 2. Identify the appropriate index for benchmarking the performance of your strategy; 3. Create and backtest a proprietary trading strategy that aims to beat the benchmark index; 4. Keep track of the out-of-sample performance of your groups strategy as well as the benchmark index and carry out performance evaluations using data available in 2022 so far. Your team will build the prototype of the strategy with Python and the source code will be inspected by the funds model validation quant. Hints: If your fund invests globally, you have to account for foreign exchange rates. Your fund can gain exposures to alternative asset classes from ETFs. Ideally, your fund aims to perform well both in-sample and out-of-sample. However, beating the market out-of-sample is difficult, this is not a data-snooping exercise. Please do not spend a lot of time in trying to figure out a weird combination that works. Instead, you should focus on explaining your investment philosophy and how your statistical analysis influences your portfolio allocations. You will still get top marks for strategies that are not performing well in 2022 as long as you can explain well why your strategy fails out-of-sample. Please decide whether each of the scenarios related to the loanable funds market will result in a shift in supply or a shift in demand. China decides to reduce its capital investment in the United States, as it expects low returns due to a weak U.S. economy. shift in supply shift in demand Calopolis, a college town in Northern California, has for many years banned the presence of fast food restaurants in city limits. As of 2012, however, the city will allow several fast food companies to open franchised locations. Due to an increase in revenues after a tax hike, the United States is able to eliminate the deficit and begins to maintain a balanced budget for the first time in several decades. shift in supply As a result of a stock market boom, individuals begin to feel richer and spend more while also saving less. shift in supply Answer Bank shift in supply shift in demand Use the points (-3, 4) and (4, -2) to answer parts a)-e). (5 points each) a) Graph the line that passes through the two points. Be sure to label the scale and both axes. b) Find the slope. 42. A material fact is a fact that is about the material involved in a contract transaction.Group of answer choicesTrueFalse43. In some cases, an oral contract that is otherwise not enforceable can be enforced under the doctrine of promissory estoppel.Group of answer choicesTrueFalse44. Any breach discharges the nonbreaching party from the contract.Group of answer choicesTrueFalse47. One of the requirements of a valid contract is a fair price.Group of answer choicesTrueFalse50. Avoiding the enforcement of an adhesion contract is not possible.Group of answer choicesTrueFalse What are the main challenges you face when applying valuation techniques in practice? if 20% of the mass of a 70 kg student's body is fat (a typical value), what is the total volume of fat in his body? Thinking about the Case What is CRM in general? Give examples of different CRM applications. Enumerate and explain the various ways in which the CRM applications discussed here to save costs or help in other ways. Which metrics would you use to measure before and after performance regarding the information technologies implemented in this case? Consider cost, service quality, cycle time, and any other performance factor and provide a specific metric (i.e., ratio, product, or absolute value). What are the challenges of implementing mobile technology? Are the savings similar to web-based systems? As an executive for FedEx or a similar company, what else would you implement using mobile computing and the Internet? You own a call option on XYZ stock. XYZ is currently trading on NYSE at a price of $48 and the call option's strike price is $45. This option is:Group of answer choicesin the moneyout of the moneyat the moneycannot be determined from the given information Can there be an end to poverty? Respond to this question by including the role and responsibility of an individual and that of governments. When discussing governments, they include the government that is dependent on the dominant nation to whom they are in debt, (which can be the United States, a European Country or Japan). Response can be from 550-800. Underline n e thesis. Do not use me, my, or I.