Choose the best answer. In the supply chain, responsive/agile:
a) Sequence of organizations—their facilities and activities—that are involved in producing and delivering a product.
b) A flexible supply chain that has the ability to quickly respond to changes.
c) Focus on eliminating non-value-added activities to create an efficient, low-cost supply chain.
d) Using nearby suppliers shortens the supply chain, reducing transportation time and cost.
e) Collaboration of supply chain companies and coordination of their activities so that market demand is met as efficiently and effectively as possible.

Answers

Answer 1

The best answer is b) A flexible supply chain that has the ability to quickly respond to changes.

The term "responsive/agile" in the context of the supply chain refers to the ability of a supply chain to adapt and respond quickly to changes in customer demands, market conditions, or other external factors. It involves being flexible, nimble, and proactive in addressing changes and disruptions. A responsive/agile supply chain focuses on minimizing lead times, improving responsiveness, and being able to efficiently handle changes in production volumes or product variations. This approach enables companies to meet customer needs more effectively and gain a competitive advantage in dynamic and fast-paced markets.

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Related Questions

Which of the following is not a benefit of Just-in-Time (JIT) purchasing:

Less risk of obsolescence

Lower investment in inventory

Decreased risk of spoilage

Lower storage costs

Reduced stock out costs

Answers

The strategy that aims to minimize inventory levels is Just-in-Time (JIT) purchasing. The benefit of JIT purchasing that is not included in the given options is "Reduced stock out costs."

Just-in-Time (JIT) purchasing is a strategy that aims to minimize inventory levels by receiving materials and goods from suppliers exactly when they are needed in the production process. It provides several benefits for businesses, including less risk of obsolescence, lower investment in inventory, decreased risk of spoilage, and lower storage costs.

However, the option "Reduced stock out costs" is not a direct benefit of JIT purchasing. Stock-out costs refer to the expenses incurred when a company runs out of inventory and is unable to meet customer demand.

While JIT purchasing helps to minimize inventory levels, it does not specifically address the costs associated with stock-outs. Stock-out costs may still occur if there are disruptions in the supply chain or unexpected changes in customer demand.

Therefore, out of the given options, "Reduced stock out costs" is not a benefit of JIT purchasing. The other options, namely less risk of obsolescence, lower investment in inventory, decreased risk of spoilage, and lower storage costs, are all benefits that can be achieved through the effective implementation of JIT purchasing practices.

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If two different teams of accountants were given details of all the transactions and events with which an organisation was involved throughout the financial year, and each team was asked to separately

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Aalyze and prepare the financial statements, it is likely that the two teams would arrive at the same or very similar financial statements if they followed the generally accepted accounting principles (GAAP) and had access to the same information.

Here are some reasons why the two teams would likely arrive at similar financial statements:

Standardized Accounting Principles: GAAP provides a standardized framework for financial reporting. It establishes principles, concepts, and rules that accountants should follow when preparing financial statements. Both teams would be expected to adhere to these principles, ensuring consistency in the application of accounting standards.

Objective Nature of Financial Data: Financial transactions and events are generally objective in nature. They involve recording actual monetary amounts, dates, and supporting documentation. If both teams have access to the same source documents and records, they would have the same underlying data to work with.

Independent Verification and Review: The accounting process typically involves multiple stages of review and verification. Even if two teams work independently, there are internal controls and review procedures in place within an organization to ensure accuracy and consistency in financial reporting. This includes checks and balances, such as reconciliations, internal audits, and external audits, which help identify and rectify any errors or discrepancies.

Consistency in Accounting Methods: GAAP provides specific guidelines on how to handle various accounting transactions, such as revenue recognition, expense recognition, and asset valuation. As long as both teams apply the same accounting methods and principles consistently, their financial statements should align.

However, it's important to note that while the teams would likely arrive at similar financial statements, there might still be minor differences due to interpretation or judgment calls. Accounting can involve some degree of judgment, and different accountants may make slightly different assumptions or estimates. Nonetheless, these differences should be immaterial and not significantly impact the overall financial statements.

To ensure consistency and minimize discrepancies, it is common for organizations to have internal controls and review procedures in place. These controls include periodic reconciliations, internal audits, and management reviews, which help identify and correct any inconsistencies or errors in financial reporting. External audits by independent auditors also provide an additional level of assurance that the financial statements are prepared in accordance with GAAP and free from material misstatements.

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What is the expected return for the following portfolio? (State your answer in percent with two decimal places.) Stock Expected returns Investment AAA 33% $500,000 BBB 28% $1,300,000 CCC 14% $1,200,000 DDD 8% $1,500,000 Multiple choice :20.79% 16.03% 19.66% 18.16% 22.35%

Answers

The expected return for the portfolio is 18.16%

To calculate the expected return for the portfolio, we need to multiply the expected returns of each stock by their respective investments, and then sum up these values. Finally, we divide the sum by the total investment in the portfolio.

Let's calculate the expected return:

Expected return for AAA = 33% of $500,000 = $165,000

Expected return for BBB = 28% of $1,300,000 = $364,000

Expected return for CCC = 14% of $1,200,000 = $168,000

Expected return for DDD = 8% of $1,500,000 = $120,000

Total investment = $500,000 + $1,300,000 + $1,200,000 + $1,500,000 = $4,500,000

Sum of expected returns = $165,000 + $364,000 + $168,000 + $120,000 = $817,000

Expected return for the portfolio = $817,000 / $4,500,000 ≈ 0.1816 or 18.16%

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Question 17 When your group agrees all the time and never has conflict, it is considered to be Ogroup challenges Osmoup hate O group work O group conflict Ogroup think Question 18 Which style is considered the most satisfying or a win/win" style? O collaboration O compromise O accomodation O avoidance O competition Question 19 If you are hired, elected or appointed to a position, you have what type of power? O ecological O persuasive O legitimate O expert O referent 2 pts 2 pts 2 pts

Answers

When your group agrees all the time and never has conflict, it is considered to be "Groupthink."

The style considered the most satisfying or a "win/win" style is "Collaboration."

If you are hired, elected, or appointed to a position, you have "Legitimate Power."

Question 17: When your group agrees all the time and never has conflict, it is considered to be "Groupthink."

Groupthink refers to a phenomenon in which a group of individuals strive for consensus and harmony within the group, often at the expense of critical thinking and independent decision-making. In such a group, there is a strong desire for unanimity, and dissenting opinions or conflicting viewpoints are suppressed or ignored. This can lead to flawed decision-making and a lack of creativity or innovation within the group.

When a group agrees all the time and avoids conflict, it can be detrimental to the quality of decision-making and problem-solving processes. Encouraging open communication, diverse perspectives, and constructive conflict can help mitigate the negative effects of groupthink and lead to better outcomes.

Question 18: The style considered the most satisfying or a "win/win" style is "Collaboration."

Collaboration involves actively seeking input and involvement from all parties involved in a situation to find mutually beneficial solutions. It focuses on shared goals, cooperation, and teamwork, aiming to create outcomes that satisfy the interests of all parties involved. Collaboration often involves open communication, active listening, and the integration of different perspectives and ideas.

Question 19: If you are hired, elected, or appointed to a position, you have "Legitimate Power."

Legitimate power is a type of power that comes from an individual's formal role or position in an organization or society. It is based on the authority and responsibilities associated with the position held. Legitimate power implies that others recognize and accept the authority of the person in the position to make decisions, give orders, and enforce rules or policies.

When someone is hired, elected, or appointed to a position, they have legitimate power, which grants them the authority to make decisions and exert influence based on the position they hold. However, the effective use of this power also depends on factors such as competence, credibility, and the ability to inspire trust and respect among others.

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A rural high school conducts a study of the academic performance of its students, and among the many data it has collected is the following information: 1.
Among the many data it has collected is the following information:
-80% of students who attend first grade graduate, while 10% repeat and the rest drop out.
-70% of students who attend the second grade graduate, while 15% repeat and the rest drop out.
-83% of students in the third grade graduate (finish high school) while 5% repeat and the rest drop out.

Answers

Based on the provided data, the academic performance of students in the rural high school varies across different grades. In the first grade, 80% of students graduate, 10% repeat, and the remaining students drop out. Moving to the second grade, 70% of students graduate, 15% repeat, and the rest drop out. Finally, in the third grade, 83% of students graduate, 5% repeat, and the remaining students drop out.

The data shows a declining trend in the graduation rates as students progress through the grades. This may indicate that some students face challenges as they advance in their academic journey. The decreasing graduation rates suggest that students may encounter difficulties in meeting the requirements of higher grades or may face other factors influencing their educational attainment.

It is important for the school to examine the reasons behind the drop-out rates and repetitions in each grade. Factors such as curriculum difficulties, lack of individualized support, social and economic challenges, or ineffective teaching strategies could contribute to these outcomes. Identifying the root causes can help the school implement targeted interventions and support systems to improve student performance and increase graduation rates.

The provided data highlights the need for the rural high school to focus on improving the academic performance and graduation rates of its students. By understanding the challenges faced by students at each grade level, the school can develop strategies to address the underlying issues. This may involve implementing targeted support programs, providing additional resources, improving teaching methods, or offering interventions to address individual student needs. By taking proactive steps to improve student performance, the school can increase the likelihood of students successfully completing their education and preparing for future endeavors.

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Advise the Board about the possible future trends in the retail industry.

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The retail industry is constantly evolving, and it's essential to stay ahead of future trends to ensure long-term success. Some potential future trends in the retail industry include an increased emphasis on omnichannel experiences, the rise of personalization, a shift towards sustainable practices.

Omnichannel experiences: In today's digital age, customers expect a seamless shopping experience across all channels, whether they're shopping in-store or online. Retailers who are able to provide a seamless omnichannel experience will have an edge over those who don't.Personalization: Customers are increasingly looking for personalized shopping experiences, where their preferences are taken into account and they are offered tailored recommendations. Retailers who are able to provide personalized experiences through data analytics and customer profiling will have an edge in the future.Sustainable practices: Consumers are becoming more environmentally conscious, and they expect retailers to follow sustainable practices.

Retailers who adopt sustainable practices like reducing waste and using environmentally-friendly materials will be in a better position to appeal to customers. Data-driven decision-making: In today's data-driven world, retailers who are able to collect and analyze data effectively will be able to make better decisions and improve their operations. Retailers who adopt data-driven decision making will be in a better position to improve their bottom line.Long answer:Overall, it's essential for retailers to stay up-to-date with the latest trends in the industry to remain competitive and ensure long-term success. By adopting an omnichannel approach, offering personalized experiences, following sustainable practices, and embracing data-driven decision making, retailers can position themselves for success in the future.

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1. (12 points) Bond A is a semiannually compounded, zero-coupon
bond with a face value of $1,000.00.
At issuance, the market interest rate for bonds with a similar risk
profile was 6.50%.
For Bond A,

Answers

The market value at which a bond is now trading is referred to as the price of the bond. It shows the future cash flows of the bond, including the principal repayment at maturity and periodic interest payments (coupon payments).

Face value of the bond = $1,000.00. Market interest rate = 6.50%.The bond is a zero-coupon bond compounded semi-annually. We need to calculate the price of Bond A.

To calculate the price of the bond, we will use the formula as follows:

PV = FV / (1 + r/n)^(n*t) where PV is the present value or price of the bond.FV is the face value of the bond. r is the annual interest rate. n is the number of times the bond is compounded in a year.t is the time period (in years).

Since Bond A is a semiannually compounded bond, the annual interest rate will be divided by 2. Hence the periodic interest rate, i = 6.50% / 2 = 3.25%.n = 2 (since the bond is compounded semi-annually).t = 1 (since the bond has a maturity of one year).

Therefore, the price of Bond A is PV = 1000 / (1 + 0.0325/2)^(2*1)≈ $970.39.

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Splish Brothers Inc, gathered the following reconciling information in preparing its August bank reconciliation: $33600 1400 Cash balance per books, 8/31 Deposits in transit Notes receivable and interest collected by bank Bank charge for check printing Outstanding checks NSF check 8200 190 19200 1630 The adjusted cash balance per books on August 31 is O $38580. $22040. $23580 O $39980

Answers

Reconciling the cash balance per books with the adjusted balance per the bank is a standard practice to determine the correct amount of cash for the company.

Splish Brothers Inc. has collected reconciling information and made adjustments in its August bank reconciliation. The reconciling information is as follows:Cash balance per books as of 8/31: $33,600Deposits in transit: $1,400Notes receivable and interest collected by the bank: $190Bank charge for check printing: $192Outstanding checks: $8,200NSF check: $1,630

The following calculations can help to find the adjusted cash balance per books on August 31:Add deposits in transit: $33,600 + $1,400 = $35,000Add notes receivable and interest collected by the bank: $35,000 + $190 = $35,190Deduct outstanding checks: $35,190 - $8,200 = $26,990

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In a three server set-up, three separate lines form, each line handled by an individual server. The average arrival rate for each server is 11 customers/hr, while the average service rate = 13 customers/per hr/per server. What is the approximate average number of customers in line at each server? (Use 'Multiple Servers, Ave. # in Line' Table).
a. 4.84
b. 5.16
c. 4.43
d. 4.13

Answers

The approximate average number of customers in line at each server is 4.43. The correct option is c.

A person or company that purchases goods or services from another company is known as a customer. Customers are crucial to businesses because they generate income; without them, they would cease to exist. All organisations compete with one another to draw clients, whether through aggressive product promotion, price reductions to increase clientele, or the creation of distinctive goods and experiences that clients adore.

A server in computing is a piece of hardware or software (a computer programme) that offers functionality to other devices or programmes, often known as clients.

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At the end of World War I, the Allied powers-the United States, the United Kingdom, France, and Italy-insisted that the German government make payments, called reparations, to the Allied governments to pay for the damage Germany had caused during the war. In 1919, the British economist John Maynard Keynes wrote the influential book The Economic Consequences of the Peace, in which he argued that the reparations for World War I that Germany was being forced to pay to the Allies would have devastating consequences, including political unrest, because the German government would struggle to find the funds to make the payments. As mentioned in the chapter, during the 1920s Germany experienced a hyperinflation.
Was there likely a connection between the war reparations that Germany was forced to pay and the hyperinflation? A. Yes, Germany printed large amounts of money to pay the reparations, resulting in a collapse in the purchasing power of its currency. B. Yes, Germany was forced to borrow large sums of money from its allies, causing the purchasing power of its currency to rise too quickly.
C. No, it helped stabilize the value of the German currency, which helped slow the growth of the hyperinflation that had begun during the war. D. No, despite Keynes's claims, no connection can be found between the war reparations and the German hyperinflation.

Answers

Option A is the correct answer.Germany printed large amounts of money to pay the reparations, leading to a collapse in the purchasing power of its currency.

The war reparations imposed on Germany resulted in a significant financial burden. To make these payments, Germany resorted to printing large amounts of money, leading to a rapid increase in the money supply. This excessive money creation, coupled with the limited production of goods and services, caused a collapse in the purchasing power of the German currency, resulting in hyperinflation.

The inflationary spiral intensified as the German government continued to print more money to meet its obligations, exacerbating the erosion of the currency's value. Hyperinflation reached its peak in the early 1920s, causing severe economic hardship and social unrest in Germany.

Contrary to Option B, Germany was not borrowing large sums of money from its allies. Instead, it resorted to printing money as a means to fulfill the reparation payments.

Option C is incorrect because the war reparations and the subsequent money printing contributed to the hyperinflation, rather than stabilizing the value of the German currency.

Option D is also incorrect. John Maynard Keynes's analysis in his book, "The Economic Consequences of the Peace," accurately predicted the devastating consequences of the war reparations, including the hyperinflationary crisis Germany faced in the 1920s.

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The recovery stage of disaster management focuses on ways to restore, redevelop, and revitalize communities that have been impacted by the disaster. Disaster recovery can take months, years, and sometimes more than a decade.

discuss three important recovery measures (i.e. what is it, how does it help the community, why is it important). Use real-life examples of recovery measures that have been implemented in a disaster-stricken area.

Answers

The three important recovery measures taken by  disaster management  include: Infrastructure Reconstruction; Housing Rehabilitation and Reconstruction; and Economic Revitalization and Diversification.

Infrastructure reconstruction is a critical recovery measure that focuses on rebuilding and restoring essential physical structures and systems such as roads, bridges, buildings, utilities, and communication networks.

Housing rehabilitation and reconstruction are vital recovery measures that focus on providing safe and adequate housing for individuals and families affected by a disaster. Economic revitalization and diversification are crucial recovery measures that focus on reestablishing economic activities and creating opportunities for sustainable growth.

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What are the issues/points a salesperson should be aware of when selling to OEMs and Resellers. List a total of 5 pointers/suggestions in bullet point format.

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When selling to OEMs (Original Equipment Manufacturers) and resellers, salespeople should be aware of various factors such as to Understand the customer's business model, Highlight the value proposition, Offer customization and flexibility etc.

1. Understand the customer's business model: Gain a deep understanding of how OEMs and resellers operate, including their supply chain, distribution channels, and target markets. This knowledge will help tailor your sales approach to their specific needs and challenges.

2. Highlight the value proposition: Clearly articulate how your product or service aligns with the OEM's or reseller's goals and objectives. Emphasize how it can add value to their offerings, enhance their competitive advantage, or drive revenue growth.

3. Offer customization and flexibility: OEMs and resellers often require customized solutions or products that can be easily integrated into their existing systems. Be prepared to provide options for customization and demonstrate your ability to adapt to their requirements.

4. Provide technical support and training: OEMs and resellers may require technical support, training, or documentation to effectively sell or integrate your product into their portfolio. Offer comprehensive support to ensure a smooth implementation and maximize customer satisfaction.

5. Build strong relationships: Cultivate long-term relationships with OEMs and resellers based on trust, transparency, and mutual benefits. Stay engaged, provide ongoing communication, and be responsive to their needs. Strong relationships can lead to repeat business, referrals, and potential collaborations.

By understanding these key points, salespeople can navigate the unique dynamics of selling to OEMs and resellers, position their products effectively, and build fruitful partnerships that drive success for all parties involved.

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closing is set for august 1. the seller has already paid the property taxes for the year, totaling $6,000. how much of that amount is the buyer's responsibility?

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$2,500.88 amount is the buyer's responsibility.

The buyer is responsible for the amount of property taxes due on the day of closing. Therefore, to determine how much of that amount is the buyer's responsibility, one needs to calculate the prorated amount of the property taxes that the buyer will be responsible for.

Here's how to calculate it:

Step 1: Determine the total number of days in the year that the seller paid the property taxes for. This is equal to 365 days.

Step 2: Determine the number of days in the year that the seller will still own the property after the closing date. If the closing is set for August 1, the seller will still own the property for 213 days (365 - 152).

Step 3: Determine the number of days in the year that the buyer will own the property after the closing date. If the closing is set for August 1, the buyer will own the property for 152 days (365 - 213).

Step 4: Divide the total amount of property taxes paid by the seller ($6,000) by the total number of days in the year (365) to get the daily rate of property taxes. $6,000 ÷ 365 = $16.44.

Step 5: Multiply the daily rate of property taxes by the number of days that the buyer will own the property after the closing date (152). $16.44 × 152 = $2,500.88.

Therefore, based on the assumption of a 365-day year and a closing date of August 1st, the buyer's responsibility for the property taxes would be approximately $2,500.88.. However, please note that this is a general calculation, and it's essential to consult with a real estate professional or attorney to determine the specific terms and allocations in your real estate transaction.

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Select a company listed in Abu Dhabi Stock Exchange or Dubai Financial Market for your project. The project output should measure the performance of the company over the period 4 years You can measure the performance based on the calculations on certain financial ratios for the selected company.
1. Income statements and balance sheets of the company over the mentioned period.
2. Analysis and discussions of all ratios should be in report.
3. Conclusions and recommendations.
Note: its 4 year performance of company

Answers

The Abu Dhabi Stock Exchange is a stock exchange located in Abu Dhabi, the capital city of the United Arab Emirates (UAE). An income statement is a financial statement that summarizes a company's revenues, expenses, gains, and losses over a specific period.

To answer the question, follow these steps to select a company, gather the necessary data, and perform the analysis:

Selecting a Company:

a. Research and choose a company listed in either the Abu Dhabi Stock Exchange or Dubai Financial Market.

b. Consider factors such as industry, market capitalization, availability of financial statements, and personal interest in the company.

Gathering Financial Statements:

a. Collect the income statements and balance sheets of the selected company for the four-year period.

b. Obtain these financial statements from reliable sources, such as the company's official website, financial news portals, or the stock exchange's database.

c. Ensure you have financial statements for each year of the four-year period.

Calculating Financial Ratios:

a. Analyze the collected financial statements to calculate various financial ratios.

b. Consider key ratios such as profitability ratios (e.g., net profit margin, return on assets), liquidity ratios (e.g., current ratio, quick ratio), solvency ratios (e.g., debt-to-equity ratio, interest coverage ratio), and efficiency ratios (e.g., inventory turnover, asset turnover).

c. Calculate the ratios for each year of the four-year period.

Analysis and Discussion:

a. Prepare a report that includes an analysis and discussion of the calculated financial ratios.

b. Compare the ratios across the four-year period to identify trends and patterns.

c. Interpret the ratios in the context of the company's performance and industry standards.

d. Discuss the strengths and weaknesses of the company based on the ratios.

e. Provide insights into the company's financial health, profitability, liquidity, solvency, and efficiency.

Conclusions and Recommendations:

a. Summarize the findings from the ratio analysis.

b. Draw conclusions about the overall performance of the company over the four-year period.

c. Based on the analysis, provide recommendations for areas of improvement or future strategies.

d. Support your conclusions and recommendations with relevant evidence and data from the ratio analysis.

Remember to structure your report in a clear and organized manner, including an introduction, methodology, findings, analysis, conclusions, and recommendations. Ensure that the report is well-supported with data, charts, and graphs to enhance readability and understanding.

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Assume that you are trying to decide between watching movie at the local theatre or renting movie at home: After watching the movie at your chosen venue, you plan t0 order pizza to be delivered to your home: Regarding the decision at hand; the cost of the pizza is a: Multiple Choice dlfferentia cost joint cost future cost that does not differ between the alternatives sunk cost

Answers

Answer:

The cost of the pizza is a differential cost. A differential cost is a cost that differs between two alternatives. In this case, the two alternatives are watching the movie at the local theater and renting the movie at home. The cost of the pizza is the same regardless of which alternative you choose, so it is a differential cost.

Explanation:

The other options are incorrect:

A joint cost is a cost that is incurred in the production of multiple products or services. In this case, the cost of the pizza is not incurred in the production of either the movie or the rental.

A future cost is a cost that will be incurred in the future. In this case, the cost of the pizza has already been incurred, so it is not a future cost.

A sunk cost is a cost that has already been incurred and cannot be recovered. In this case, the cost of the pizza has already been incurred, but it can be recovered by not ordering the pizza.

Therefore, the cost of the pizza is a differential cost.

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Coronado Corporation enters into a 7year lease of equipment on December 31, 2019. which requires annual payments of $37,300 each, beginning December 31, 2019. In addition, Coronado guarantees the lessor a residual value of $19.400 at the end of the Beate However, Coronado believes it is probable that the expected residual value at the end of the lease term will be 59.400. The equipment has a useful life of 7 years. Assume that for Lost Ark Company, the lessor collectibility of lene payments is probable and the carrying amount of the equipment is $170.000 Prepare Lost Ark's 2019 and 2020 journal entries, assuming the implicit rate of the lease is 9% and this is known to Coronado. (Credit account titles are automatically indented when amount is entered. Do not indent manually. For calculation purposes, se 5 decimal places as displayed in the factor table provided and round final answers to decimal places eg. 5.275. Record journal entries in the order presented in the problem.) Click here to view factor tables Date Account Titles and Explanation Debit Credit er 31, 2019 Les Receivable 37300 Cost of Goods Sold 170000 Sales Revenue 37300 Inventory 170000 (To record the lease) 31, 2019 Cash 37300 Leave Receivable 7300 (To record receipt of lease payment) 31. 2020 Cash 37300 Lease Receivable 12162 Interest Raven 25138

Answers

The entries above are for Lost Ark Company to record the receipt of the lease payment, revenue generated from interest on the lease receivable account, and recognition of the remaining amount of lease payment due.

Coronado Corporation leased equipment from Lost Ark Company, and it lasts for seven years, starting December 31, 2019. The terms of the agreement stipulated that Coronado should pay $37,300 yearly, starting December 31, 2019, and guarantee that Lost Ark Company will receive $19,400 as the residual value at the end of the lease. However, Coronado believes that the expected residual value will be $59,400. This article seeks to prepare Lost Ark Company's 2019 and 2020 journal entries, assuming that the implicit lease rate is 9% and is known to Coronado. The lessor collectability of lease payments is assumed to be probable, and the carrying amount of the equipment is $170,000.

Journal Entries for Lost Ark Company on December 31, 2019Lease Receivable account is debited by $37,300. Inventory account is credited by $170,000. Sales revenue account is credited by $37,300. Cost of Goods Sold account is debited by $170,000. The above entries are for the recording of the lease agreement by Lost Ark Company on December 31, 2019. Journal Entries for Lost Ark Company on December 31, 2020 Cash account is debited by $37,300. Interest revenue account is credited by $25,138. Lease receivable account is credited by $12,162.

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Roadster Company (RC) designs and produces automotive parts. In 2017, actual manufacturing overhead is $280,000. RC's simple costing system allocates manufacturing overhead to its three customers base

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In the case of Roadster Company (RC), it designs and produces automotive parts. In the year 2017, the actual manufacturing overhead cost incurred by the company was $280,000. The simple costing system of Roadster Company (RC) allocates the manufacturing overhead cost to its three customers.

A simple costing system is used when the production is of a small scale and when the costs are not that complex. Simple costing systems are of two types - variable and absorption costing.Variable Costing:Variable costing is a costing method that involves only the variable costs being considered. It means that the fixed costs are not considered in this method.

In variable costing, the cost of production varies with the number of units produced. It is a method of costing that is used for internal purposes, and it provides an insight into the behavior of the cost incurred.Absorption Costing:

Absorption costing, on the other hand, is a costing method that takes into account all the costs incurred during the production of goods. It takes into account both the fixed and the variable costs, and the cost per unit is calculated accordingly.

Absorption costing is a method of costing that is used for external reporting and helps to determine the cost of goods sold by the company. Hence, it can be concluded that the type of costing system used by Roadster Company (RC) is not specified in the question.

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1- How can the value of HRIS be demonstrated?
2-Identify the strategic implication of T&D.
3- Describe the four [4] connected steps of the systems model to T&D.
4- What contributes to a successful training event?
5- How did e-learning influence T&D, what are the pro’s and con’s and guidelines?
the course is HRIS the book, Kavanagh, Johnson. Human Resource Information Systems. 4th edition
please make the answers clear and not a handwriting

Answers

1.The value of an HRIS can be demonstrated by showing how it improves the HR department's efficiency, increases the accuracy of HR data, reduces HR costs, and assists in making informed HR decisions.

2. The strategic implications of T&D are that it can align employees' skills with the organization's strategic objectives, improve employee performance, reduce turnover, and enhance the organization's competitive advantage.

3. The four connected steps of the systems model to T&D are need assessment, design and delivery, implementation and exvaluation.

4. Some of the contributing factors to a successful training event are objectives, content, training, feedback.

5. E-learning and its influence on T&DE-learning is an innovative approach to training and development that uses electronic technology to deliver training content to employees.

1. Human Resource Information Systems (HRIS) can be an extremely valuable resource when used properly.

An HRIS can assist in the management of employee data, automate HR processes, and streamline HR workflows, saving time and reducing errors.

This can be done by tracking HR data, analyzing reports and trends, and making data-driven decisions based on the insights provided by the HRIS.

2. Training and development (T&D) is a strategic function of HR that enables employees to acquire new skills, knowledge, and abilities to perform their jobs better and prepare them for future roles.

It can be used to attract, retain, and motivate employees, increase job satisfaction, and enhance the organization's overall performance.

The strategic implications of T&D are that it can align employees' skills with the organization's strategic objectives, improve employee performance, reduce turnover, and enhance the organization's competitive advantage.

3. The T&D systems model consists of four interconnected steps, which are as follows:

1. Needs assessment: This step involves identifying the organization's training needs by assessing the current skills, knowledge, and abilities of employees and comparing them to the skills required to achieve the organization's objectives.

2. Design and delivery: This step involves designing and delivering training programs that meet the identified needs, such as classroom training, e-learning, coaching, mentoring, or job rotations.

3. Implementation: This step involves implementing the training programs by scheduling, delivering, and tracking employee participation and performance.

4. Evaluation: This step involves evaluating the effectiveness of the training programs by measuring the impact on employee performance, productivity, and satisfaction, as well as the return on investment (ROI) for the organization.

4. Some of the contributing factors to a successful training event are as follows:

1. Clear objectives: The training should have clear objectives that align with the organization's strategic objectives.

2. Engaging content: The training should be engaging and interactive to keep employees interested and motivated.

3. Experienced trainers: The trainers should have the required skills, knowledge, and abilities to deliver the training effectively.

4. Feedback: The training should provide feedback to employees on their performance, and they should have the opportunity to provide feedback on the training.

5. E-learning is an innovative approach to training and development that uses electronic technology to deliver training content to employees.

It has revolutionized T&D by providing flexibility, convenience, and cost-effectiveness.

The pros of e-learning are that it is accessible from anywhere, anytime, it reduces travel costs, and it can be customized to meet employees' needs.

The cons are that it requires employees to have access to technology, it can be impersonal, and it can lack the engagement and interaction of traditional classroom training.

Guidelines for e-learning are to provide clear instructions, use interactive tools, and provide feedback and support to employees.

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True & False Question
1. For multinational firms, political risks exist in various forms from country to country, and they must be addressed explicitly in any financial analysis.
2. The international monetary system is the framework within which exchange rates are determined and it is the blueprint for international trade and capital flows.
3. An exchange rate is the price of one country's currency in terms of another country's currency.
4. Suppose that 1 euro has changed from $1.25 to $1.20. This means that US$ has depreciated against euro.
5. Forward exchange rate is an agreed-upon price at which two currencies will be exchanged at some future date.

Answers

In financial analysis, multinational firms must explicitly address the various forms of political risks that exist from country to country, making statement 1 true. The international monetary system serves as the blueprint for international trade and capital flows, and it determines exchange rates, making statement 2 true. An exchange rate represents the price of one country's currency in terms of another, which aligns with statement 3 as true. If the exchange rate between the euro and the US dollar changes from $1.25 to $1.20, it signifies that the US dollar has depreciated against the euro, making statement 4 true. Lastly, forward exchange rates establish an agreed-upon price for future currency exchange, serving as a risk management tool, making statement 5 true.

1. True. Political risks can indeed vary from country to country for multinational firms.

Political risks refer to the potential adverse effects on business operations and financial performance due to political factors such as changes in government policies, regulations, political instability, corruption, and geopolitical conflicts.

These risks can significantly impact a multinational firm's investments, profitability, and even its ability to operate in certain countries.

Therefore, when conducting financial analysis, multinational firms must explicitly consider and address political risks to make informed decisions and manage potential challenges.

2. True. The international monetary system serves as the framework that determines exchange rates and facilitates international trade and capital flows.

It encompasses various institutions, rules, and agreements that govern the exchange of currencies and the flow of money between countries.

Examples of international monetary systems include the gold standard, the Bretton Woods system, and the current floating exchange rate system.

The international monetary system influences economic stability, competitiveness, and investment flows among countries. It is a crucial factor in shaping global economic relations and plays a vital role in promoting or impeding international trade and investment.

3. True. An exchange rate represents the price at which one country's currency can be exchanged for another country's currency. It indicates the value of one currency relative to another.

Exchange rates are typically expressed as a ratio, stating how much of one currency is needed to acquire a certain amount of another currency. For example, if the exchange rate between the US dollar and the euro is 1.20, it means that 1 US dollar can be exchanged for 1.20 euros.

Exchange rates fluctuate based on various factors such as economic conditions, interest rates, inflation, and market sentiment. They play a fundamental role in international trade, investment, and cross-border transactions.

4. True. If the exchange rate between the euro and the US dollar changes from $1.25 to $1.20, it means that the US dollar has depreciated against the euro.

Depreciation refers to a decrease in the value of a currency relative to another currency. In this case, it would take fewer US dollars to buy 1 euro compared to the previous exchange rate.

This means that the euro has become relatively stronger, and the US dollar has weakened in comparison.

5. True. The forward exchange rate is indeed an agreed-upon price at which two currencies will be exchanged at a future date.

It is a rate established in a forward contract, which is a financial agreement between two parties to exchange currencies at a predetermined rate and date in the future.

Forward exchange rates are used to hedge against potential currency fluctuations and manage foreign exchange risk.

By locking in a future exchange rate, businesses can protect themselves from adverse movements in exchange rates and ensure price certainty for international transactions.

Forward exchange rates are influenced by factors such as interest rate differentials, market expectations, and supply and demand dynamics in the foreign exchange market.

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Which term includes traits that are deep-level but may be concealed or revealed at the discretion of individuals who possess them?
Inclusion
Valuing diversity
Hidden diversity
Managing diversity
Surface-level diversity

Answers

The term that includes traits that are deep level but may be concealed or revealed at the discretion of the individuals who possess them is Hidden Diversity.

Hidden Diversity refers to traits or characteristics that are not immediately apparent or visible, but which contribute to an individual's identity, experiences, and perspectives.

These traits can include factors such as sexual orientation, religious beliefs, cultural background, social class, disability, or personality type.

Unlike Surface-Level Diversity, which is based on visible traits such as race, gender, or age, Hidden Diversity is often only revealed through personal disclosure or careful observation.

Managing and valuing Hidden Diversity is essential for creating an inclusive workplace culture that recognizes and respects the unique contributions that individuals with diverse backgrounds and experiences can bring to the table.

Organizations that actively seek to uncover and embrace Hidden Diversity can benefit from increased innovation, creativity, and problem-solving capabilities, as well as improved employee engagement and retention.

By creating an environment where employees feel comfortable bringing their whole selves to work, organizations can foster a culture of respect, trust, and collaboration that benefits everyone.

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How do interest rates impact the performance of the following
assets (cash, stocks, 401K, 529, and Certificate of Deposit ), and
are there any variation across time and across industries

Answers

Interest rates affect the performance of several assets. These include cash, stocks, 401K, 529, and Certificate of Deposit. The impact on the performance of these assets varies over time and across industries.

Here is how interest rates impact each of these assets: Cash: Cash is negatively impacted by low-interest rates. When the interest rates are low, the returns on cash deposits are also low. Thus, the money loses value over time due to inflation. On the other hand, when the interest rates are high, the returns on cash deposits are also high. So, people tend to hold onto cash and earn interest.Stocks: Interest rates affect stocks in several ways. When interest rates are low, the cost of borrowing is also low. This encourages businesses to borrow and invest in growth opportunities. This leads to higher stock prices.

Conversely, when interest rates are high, the cost of borrowing is high, which leads to lower investment and slower growth. This results in lower stock prices.401K: Interest rates have a direct impact on the performance of 401K. As interest rates rise, the value of bonds in the 401K portfolio falls. This happens because the bond prices move inversely with the interest rates. Conversely, when interest rates fall, the value of bonds in the 401K portfolio rises.529: 529 is an education savings plan. The interest rates impact the performance of this asset. When interest rates are high, the returns on 529 savings plans are also high. Conversely, when interest rates are low, the returns on 529 savings plans are also low.

Certificate of Deposit (CD): CD's are fixed-income investments. They are directly impacted by interest rates. When the interest rates are high, the CD's offer a higher rate of return. Conversely, when interest rates are low, the CD's offer a lower rate of return. The variation across industries depends on how the specific industry is affected by interest rates. Some industries are more interest rate-sensitive than others. For example, real estate is more sensitive to interest rates. When interest rates rise, the cost of borrowing for real estate also rises. This leads to a decline in real estate prices. On the other hand, when interest rates fall, the cost of borrowing for real estate also falls. This leads to an increase in real estate prices.

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which statements describe aspects of jefferson's solution to the conflicts between native americans and white settlers?

Answers

Jefferson's solution to the conflicts between Native Americans and white settlers included purchasing their lands, moving the Native Americans west of the Mississippi, and assimilating them into European-American culture.

Jefferson's administration faced several challenges concerning the relations between the native peoples and white settlers, one of which was to offer a solution that would suit both parties. Jefferson's solution to the conflicts between Native Americans and white settlers was a combination of three factors: purchase, migration, and assimilation. Jefferson argued that Native Americans and European Americans couldn't live together because their cultures and lifestyles were incompatible, and a part of Jefferson's solution was to encourage them to live separately.

In response to this challenge, Jefferson initiated a policy that aimed to assimilate Native Americans into European-American culture. He believed that assimilation would bring about an end to the conflicts between the two groups. Jefferson set out to do this by educating Native American children, changing their lifestyles, and converting them to Christianity.

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Answer: Native americans coulda assimilate with white society and become settled farmers

Indigenous groups had to agree by treaty to give up their land in the northwest

Indigenous groups could migrate west of the mississippi

Explanation:

You are the HR Manager at HR Engineering, a city infrastructure engineering company that has its main office in Edmonton. There are currently thirty-eight engineers at HR Engineering and you will need to hire ten additional engineers Identify and give examples specific to HR Engineering of five competitive challenges currently affecting human resources management

Answers

As an HR Manager at HR Engineering, a city infrastructure engineering company, there are five competitive challenges currently affecting human resources management that you should know.

Here are five examples:

1. Retention of Engineers: Retention of high-performing employees, especially engineers, can be a major challenge in the engineering industry. Competitors may lure employees away with better pay, benefits, or career opportunities, making it difficult for HR Engineering to keep the best engineers on staff.

2. Workforce Diversity: Promoting diversity, equity, and inclusion (DEI) in the workplace is becoming increasingly important for companies. HR Engineering must find ways to create a welcoming work environment and recruit a diverse range of candidates.

3. Technological Advancements: Technological advancements have led to increased automation and more jobs being performed remotely. HR Engineering must keep up with these advancements and be able to hire employees with the necessary skills and experience to work in a rapidly changing industry.

4. Regulatory Changes: Government regulations and policies regarding labor and employment practices are constantly changing. HR Engineering must stay up-to-date with these changes and adjust their policies accordingly.

5. Talent Shortage: Finding skilled workers, particularly engineers, can be difficult in some regions. HR Engineering may need to invest more resources into recruitment efforts to attract top talent.

As for the main answer, the five competitive challenges currently affecting human resources management at HR Engineering include retention of engineers, workforce diversity, technological advancements, regulatory changes, and talent shortage. Each of these challenges is a complex and multifaceted issue that requires careful attention and strategic planning to overcome.

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Write a short report (3 pages or more) based on the
following:
A. Identify any small-to-medium size organization operating in
Saudi Arabia. B Describe its background, in brief, indicating its
mission,

Answers

A. The small-to-medium size organization operating in Saudi Arabia is "GreenTech Solutions." B. GreenTech Solutions is a renewable energy company that aims to promote sustainable practices and reduce carbon emissions in Saudi Arabia.

GreenTech Solutions is a small-to-medium size organization operating in Saudi Arabia. The organization's mission is to provide innovative and cost-effective renewable energy solutions, while their vision is to become a leading provider of renewable energy technologies and services in the country.

Their target segment includes the commercial and industrial sectors, where they offer customized renewable energy solutions and support businesses in transitioning towards a greener future.

By focusing on the commercial and industrial sectors, GreenTech Solutions recognizes the significant impact these segments have on energy consumption and greenhouse gas emissions.

Their approach involves assessing the energy needs of businesses, designing and implementing renewable energy systems such as solar panels and wind turbines, and providing ongoing support and maintenance services.

This strategy allows them to contribute to the reduction of carbon emissions in Saudi Arabia and promote sustainable practices within the business sector. GreenTech Solutions' commitment to renewable energy aligns with the global efforts in combating climate change and creating a more sustainable future.

By offering cost-effective and customized solutions, they aim to help businesses adopt renewable energy technologies and reduce their dependence on fossil fuels. Through their work, GreenTech Solutions strives to make a positive environmental impact while supporting the growth and sustainability of businesses in Saudi Arabia.

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Remember: Stocks give you partial ownership in a corporation, while bonds are a loan from you to a company or government. The biggest difference between them is how they generate profit: stocks must appreciate in value and be sold later on the stock market, while most bonds pay fixed interest over time.
a) Which one usually has more risk in it?
b) Which one typically pays you a higher interest when you invest in it? Explain your answer.
c) Optional: is there any stock right now but you would consider investing in or do you think it's too risky?

Answers

The one which has more risk is stock. Stock pays us a higher interest when you invest in it.

The most popular investing products are stocks, bonds, and mutual funds. All are potentially more profitable than savings products while also carrying larger risks. Stocks have historically offered the highest average rate of return on investments over long periods of time. However, there are no assurances of earnings when you purchase stock, making it one of the riskiest forms of investment. A company's stock price may decline and investors may lose money if it performs poorly or loses investor support.

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The law of diminishing marginal returns refers to the situation in which eventually declines as more of the variable input is employed, given a certain amount of the fixed input. average cost marginal cost O average revenue O marginal product In economics, "the long-run" is referred to as a period in which the amounts of all factors of production can be changed. a period in which the amounts of all factors of production are fixed. a period in which the amounts of labour are fixed. a period in which the amounts of capital are variable.

Answers

The law of diminishing marginal returns refers to the situation in which marginal product eventually declines as more of the variable input is employed, given a certain amount of the fixed input.

The law of diminishing marginal returns, also known as the law of diminishing marginal productivity, states that as more units of a variable input (such as labor or capital) are added to a fixed input (such as land or machinery), the marginal product of the variable input will eventually decline. Initially, when additional units of the variable input are added, the total output will increase at an increasing rate, leading to an increasing marginal product. However, at some point, the additional units of the variable input become less productive due to factors like diminishing space, limited resources, or reduced coordination. As a result, the marginal product starts to decrease, indicating diminishing returns.

In economics, "the long run" is referred to as a period in which the amounts of all factors of production can be changed.

In economics, "the long run" refers to a period of time in which all factors of production can be adjusted or changed. This means that in the long run, firms have the flexibility to vary their inputs of labor, capital, land, and entrepreneurship to achieve desired production levels. Unlike the short run, where at least one factor of production is fixed, the long run allows for full flexibility in adjusting all factors of production. Firms can make decisions related to expanding or reducing their scale of operations, investing in new machinery or technology, acquiring additional resources, or even entering or exiting industries. The concept of the long run is important in analyzing the impact of different factors on production and determining optimal resource allocation over extended periods.

Please note that the format you requested, including calculations and conclusions, is not applicable for these particular questions as they are conceptual and do not involve numerical values or calculations.

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Chatbots are used in finance for _ O algorithmic training O insurance and risk management
O security O process automation

Answers

Chatbots are used in finance for algorithmic training, insurance and risk management, security, and process automation.

In the field of finance, chatbots have found various applications that contribute to efficiency, customer service, and risk management. One of the key uses of chatbots is algorithmic training. Chatbots can be trained to analyze vast amounts of financial data and provide insights and recommendations based on predefined algorithms.

Insurance and risk management is another area where chatbots play a significant role. Chatbots can assist customers in obtaining insurance quotes, managing policies, and filing claims.

Chatbots also contribute to security in finance by implementing authentication and verification processes. They can handle customer inquiries regarding account security, password resets, and fraud prevention measures.

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Fed Governors serve a term that is arranged so that one term expires every O A. 1 year. OB. 2 years. OC. 6 years. OD. 7 years.
In the documentary Inside Job which one of the following events caused t

Answers

In the documentary "Inside Job," the term of Fed Governors expires every C. 6 years.

The term length of Fed Governors is an important factor in understanding their roles and responsibilities. In the documentary "Inside Job," specific events related to the Federal Reserve and its governance are discussed, highlighting the impact of these individuals on the financial system. The term of a Fed Governor lasting 6 years means that there is a regular rotation of members within the Federal Reserve Board. This allows for a level of continuity while also providing opportunities for new appointments and fresh perspectives over time. Understanding the term length helps to contextualize the dynamics and decision-making processes within the Federal Reserve as portrayed in the documentary.

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1. Preferred stock is referred to as a hybrid security because it has many characteristics of both common stock and bonds. True or False
2. A Default-risk premium is the additional return required by investors to compensate them for the risk of default. True or False
3. Cumulative voting is advantageous to minority shareholders, and the total votes will be the number of shares multiply with the number of opening board seats. True or False
4. Common stock has a definite maturity. True or False

Answers

1. False. Preferred stock is considered a hybrid security because it possesses characteristics of both common stock and bonds.

It typically offers fixed dividend payments like bonds, but it also represents ownership in the company like common stock. 2. True. A default-risk premium refers to the additional return demanded by investors to compensate for the risk of default. It reflects the higher interest rate or yield required on investments with higher default risk.

3. False. Cumulative voting is a system where shareholders are allowed to aggregate their votes and allocate them to a single candidate or distribute them among multiple candidates. It is often advantageous to minority shareholders as it provides them with the opportunity to have representation on the board of directors.

However, the total votes will not be the number of shares multiplied by the number of opening board seats but rather the total number of shares multiplied by the number of votes per share. 4. False. Common stock does not have a definite maturity. Unlike bonds, which have a fixed maturity date when the principal is repaid, common stock represents perpetual ownership in a company without a specific maturity date.

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Most corporations wish to have ________ domain names.
A) top-level
B) second-level
C) third-level
D) none of the above

Answers

Most corporations wish to have A)top-level domain names. The top-level domain name is the last part of the domain name. It comes after the final dot in a domain name, such as .com, .org, and .edu. It represents the domain name's general purpose or a specific geographical area.

The top-level domain name is a crucial component of any website's URL. It is the string of letters after the last dot in a domain name, such as ".com," ".org," or ".edu." Top-level domain names can be classified into two categories: generic top-level domain names (gTLDs) and country code top-level domain names (ccTLDs).Examples of gTLDs are .com, .org, .info, .biz, .name, .pro, .travel, .jobs, .coop, .museum, and .edu, among others. On the other hand, .uk, .us, .fr, .jp, .ru, .cn, .nz, .au, .za, .ng, and many more are examples of ccTLDs. Some top-level domain names are reserved for specific purposes. For example, the .gov top-level domain is exclusively used by the United States government, while the .mil top-level domain is exclusively used by the United States military. The top-level domain name is important for any company because it can aid in brand recognition and recall.

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Other Questions
4.1 Define the term Perimeter 4.2 Calculate the perimeter of the pitch. You may use the formula: P=2(+b), where = length and b = breadth A binary tree is either empty (has no nodes) or has a root node and two more binary trees known as the left and right subtrees. Letting bn be the number of binary trees with nodes labelled 1, 2,..., n and B(x) = [infinity] bx" /n!, show that B(x) = 1 + x(B(x)). Conclude that bn = n!Cn. It takes Cookie Cutter Modular Homes, Incorporated, about six days to receive and deposit checks from customers. The company's management is considering a lockbox system to reduce the firm's collection times. It is expected that the lockbox system will reduce receipt and deposit times to three days total. Average daily collections are $163,000, and the required rate of return is 7 percent per year. Assume 365 days per year. a. What is the reduction in outstanding cash balances as a result of implementing the lockbox system? b. What is the daily dollar return that could be earned on these savings? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) c-1. What is the maximum monthly charge the company should pay for this lockbox system if the payment is due at the end of the month? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) c-2. What is the maximum monthly charge the company should pay for this lockbox system if the payment is due at the beginning of the month? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) a. Outstanding cash balance reduction $ 489,000 b. Daily dollar return $ 90.66 c-1. Maximum monthly charge c-2. Maximum monthly charge Write a program in c that exemplifies the Bounded Producer-Consumer problem using shared memory. Business lawIn the News 04.1: Court ProcedureFind an online news article related to this chapter and write a 3 to 5 sentence response tying the article to at least one key concept in the chapter. Be sure to include a link to the article at the end of your response which of the following can cause shock? a. bleeding b. bee sting c. heart attack d. all of the above what kind of traditional subsistence practices are associated with dry and/or cold environments? pastoralism intensive cultivation shifting cultivation polyculture A company is looking to donate a collection of old PCs that are no longer needed. Which of the following data destruction methods would be MOST secure for highly sensitive information? A. Simple 1-pass zero overwrite B. Low level 3-pass random wipe C. Low level 7-pass random wipe D. 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Multiple Choice O $3,032.31 O $2,802.82 O $625.07 O $2,915.68 O $2,799.06 A 29-year U.S. Treasury bond with a face value of $1,000 pays a coupon of 5.25% (2.625% of face value every six months). The reported yield to maturity is 4.8% (a six-month discount rate of 4.8/2-2.4%). a. What is the present value of the bond? b. If the yield to maturity changes to 1%, what will be the present value? c. If the yield to maturity changes to 8%, what will be the present value? d. If the yield to maturity changes to 15%, what will be the present value? IV - INTERPRETATION AND FOLLOW UPTASK 6-explain the variation of concentrations as a function of time in the experiments.TASK 7 - as the experiments proceeded, gypsum grains were also sampled and imaged with the aid of a Scanning Electron Microscope (Figure 3). The micrographs reveal a progressive coating of gypsum by newly formed crystals. In your opinion, what would be the next analytical steps to be pursued? Being one of the most visited and populated cities in Mediterranean coast, Antalya is home to more than 2.6 million residents as of 2021. The city center is divided into 5 metropolitan districts: Aksu, Demealt, Kepez, Konyaalt, and Muratpaa; and the total population for these five districts is more than 1.4 million. Currently there are two advanced biological wastewater treatment facilities (Hurma facility in Konyaalt and Lara facility in Muratpaa), and these facilities have enough capacity to satisfy the residential wastewater treatment demand of the five districts up until 2030. What's is person centred approach theory in guidance and counseling In the diagram, suppose the consumer is currently exhausting his or her income at a point where the marginal rate of substitution of apples for oranges is greater than 5/4. That is, MUA/MU0>5/4. To maximize utility, the consumer should move from point (and explain why)a to eb to ec to ed to e A student has $30,000 in her savings account now. In the next 3 years she plans to deposit $10,000 at the end of each year (the first time in 1 year from now). She receives the 1-year interest rate at the end of each year. She will put her money in for three years. From the current spot rates, she can derive the future interest rates. These will be:7% for the 1st year9% for the 2nd year8% for the 3rd yearHow much will she have after 3 years? The data set below represents the ages of 36 executives. Find the percentile that corresponds to an age of 44 years old. 37 46 38 47 38 47 41 47 56 32 45 54 65 28 45 53 50 65 Percentile of 44 (Round to the nearest integer as needed.)