For four years, Marty Campbell invested $7,000 each year in Harley-Davidson. The stock was selling for $74 in 2017, $76 in 2018, $57 in 2019, and $77 in 2020. a. What is Marty's total investment in Harley-Davidson? b. After four years, how many shares does Marty own? (Round your intermediate calculations and final answer to nearest whole number.) c. What is the average cost per share of Marty's investment? (Use the rounded number of shares computed in part b. Round your answer to 2 decimal places.)

Answers

Answer 1

Answer:

a. To find Marty's total investment in Harley-Davidson, we sum up the annual investments over the four-year period:

Total Investment = $7,000 + $7,000 + $7,000 + $7,000 = $28,000.

Explanation:

Therefore, Marty's total investment in Harley-Davidson is $28,000.

b. To calculate the number of shares Marty owns after four years, we divide the total investment by the price of the stock in each year and sum up the number of shares acquired:

Number of Shares = ($7,000 / $74) + ($7,000 / $76) + ($7,000 / $57) + ($7,000 / $77).

Number of Shares ≈ 94.59 + 92.11 + 122.81 + 90.91 ≈ 400.42.

Since shares cannot be in decimal form, we round the number to the nearest whole number. Therefore, Marty owns approximately 400 shares after four years.

c. The average cost per share of Marty's investment can be calculated by dividing the total investment by the number of shares:

Average Cost per Share = Total Investment / Number of Shares.

Average Cost per Share ≈ $28,000 / 400 ≈ $70.00 (rounded to 2 decimal places).

Therefore, the average cost per share of Marty's investment is approximately $70.00.

Learn more about the  Marty's investment Calculation here:

brainly.com/question/16627036

#SPJ11


Related Questions

approximately how many advertisements does the average person see each day?

Answers

The number of advertisements an average person sees each day can vary depending on various factors such as location, lifestyle, media consumption habits, and exposure to different advertising channels. While it is difficult to provide an exact number, it is estimated that the average person may encounter anywhere from 4,000 to 10,000 advertisements per day.

This estimate includes various forms of advertising encountered throughout the day, such as billboards, TV commercials, online ads, radio ads, print ads, sponsored social media posts, and more. The increasing prevalence of digital advertising and the widespread use of mobile devices have contributed to the rise in ad exposure.

It's important to note that the actual number of ads an individual sees can be influenced by factors like ad-blocking software, selective attention, and personal preferences. Additionally, different studies may report slightly different numbers based on their methodologies and data sources.

While the exact number of advertisements seen by the average person each day may vary, it is generally believed to be in the range of thousands.

Read more about exposed advertisements, visit:

brainly.com/question/14298670

#SPJ11

A company has a $40 million portfolio with a bota of 16. It would like to use futures contracts on the S&P 500 to change its risk. The index futures is Currently standing at 1100, and each contract is for delivery of $270 times the index. (a) What is the hedge that minimizes the risk? (b) What should the company do if it wants to reduce the beta of the portfolio to 0.67 (c) What does reducing the beta mean? (G) What should the company do if it wants to increase the bota of the portfolio to 1.97(e) What doon increasing the beta mean

Answers

The number of contracts that should be used to hedge the position and minimize the risk can be calculated by dividing the value of the portfolio by the value of each contract. This gives the number of contracts that the company needs to purchase to hedge its position.

Number of contracts = $40,000,000 / ($270 x 1100) = 131 contracts.(b) In order to reduce the beta of the portfolio to 0.67, the company should use the following equation: New Beta = Old Beta x Hedge RatioNew Beta = 16 x Hedge RatioNew Beta / 0.67 = 16Hedge Ratio = 16 / (0.67 x 16) = 1.79

This means that the company should purchase 1.79 times the number of contracts required to hedge its position to achieve a beta of 0.67.(c) Reducing the beta means reducing the systematic risk of the portfolio relative to the market. A beta of 1 means that the portfolio has the same risk as the market.

To know more about contracts visit:-

https://brainly.com/question/32149036

#SPJ11

Statement No. 1 An obligation which has for its object the delivery of a delimited generic" object may be lost by reason of fortuitous e3vent Statement No 2 There can be no delay in an obligation not to do. O Both statement are true O Both statements are false Statement No. 1 is true while statement No.2 is false O Statement No. 1 is false while statement No. 2 is true

Answers

The correct answer is Option D: Statement No. 1 is false while statement No. 2 is true.

Statement No. 1 and Statement No. 2 are two different statements, each of which is either true or false. Statement No. 1 is false, while statement No. 2 is true.Statement No. 1:An obligation that entails the delivery of a limited generic object cannot be forfeited due to an accidental event. This statement is false because if an accident happens, an obligation to deliver a particular item can be forfeited. Therefore, the statement is incorrect.Statement No. 2:In the absence of a promise to do, there can be no default. This statement is correct since an obligation not to do cannot be postponed. In the absence of an obligation to do, the event causing the default is no longer applicable. Therefore, the statement is accurate.The correct option is D: Statement No. 1 is false while statement No. 2 is true.

To know more about obligation, visit:

https://brainly.com/question/29437673

#SPJ11

Question 8 Sports Contracts

There are various specific sports-related clauses that exist within a contract. For example, the athlete can get a financial bonus in the event that spectators presence at events meets a minimum standard or average. This is known as the ___________ Clause. Blank 1

Question 10 Sports Torts

_____________ is the expression used to describe manner and method of reducing the likelihood of an injury in the context of sport. An organization must establish a safety checklist, evacuation plan, proper medical resources on-site, etc. ...Blank 1

Answers

The answers to the given question are as follows:

Question 8:

There are various specific sports-related clauses that exist within a contract. For example, the athlete can get a financial bonus in the event that spectators presence at events meets a minimum standard or average. This is known as the "attendance" Clause.

The attendance clause is designed to protect the team from incurring financial losses in case of low attendance during matches. It guarantees the team a minimum financial return for their investment in the sport.

Question 10:

"Risk management" is the expression used to describe the manner and method of reducing the likelihood of an injury in the context of sport. An organization must establish a safety checklist, evacuation plan, proper medical resources on-site, etc. to be able to address and manage any risks that might arise in the course of playing or watching sports.

Risk management includes identifying, analyzing, and evaluating the potential risks associated with an event or activity and implementing effective measures to reduce or mitigate those risks.

To know more about "Risk management"
https://brainly.com/question/27399555
#SPJ11

8: The athlete can get a financial bonus in the event that spectators' presence at events meets a minimum standard or average. This is known as the Attendance Clause.

10: Risk Management is the expression used to describe the manner and method of reducing the likelihood of injury in the context of sport.

An attendance clause is a provision in a sports contract that allows an athlete to receive a financial bonus if the number of spectators at events meets a specific standard or average. This clause is common in sports contracts and is used to incentivize athletes to perform well in front of large crowds. An attendance clause is typically included in sports contracts to ensure that athletes are motivated to perform in front of large crowds. This clause helps teams attract more fans to games and increases revenue for the team. When more people attend games, the team makes more money, and athletes receive bonuses for their performance. An attendance clause is an essential component of sports contracts, and it helps ensure that teams and athletes are aligned in their goals to attract large crowds and perform well on the field. Risk management is the practice of identifying, assessing, and prioritizing risks that may affect an organization. In the context of sports, risk management involves identifying potential risks that may result in injuries to athletes, spectators, or others involved in sports events. A sports organization must establish a safety checklist, evacuation plan, proper medical resources on-site, etc., as part of its risk management strategy. This helps to reduce the likelihood of injuries and create a safer environment for athletes, spectators, and others involved in sports events. Risk management is critical in sports because it helps organizations reduce the potential for injuries and protect their athletes and others involved in sports events. By establishing a risk management strategy that includes safety checklists, evacuation plans, and other safety measures, organizations can reduce the likelihood of injuries and ensure that sports events are safe and enjoyable for everyone involved.

To know more about Risk Management, visit ;

https://brainly.com/question/28521655

#SPJ11

What is a process that could be improved by the application of a
shortest route linear programming model for the military? How could
this model improve production, profit, and/or efficiency?

Answers

One process that could be improved by the application of a shortest route linear programming model for the military is logistics planning and transportation. By using the model to determine the most efficient routes for transporting personnel, equipment, and supplies, the military can optimize resources, minimize travel time, and enhance overall efficiency. This can lead to cost savings, improved productivity, and better allocation of resources, ultimately enhancing the military's operational capabilities.

The shortest route linear programming model can improve production, profit, and efficiency by streamlining transportation operations. By identifying the shortest and most cost-effective routes, the military can reduce fuel consumption, minimize wear and tear on vehicles, and enhance delivery timelines. This can result in cost savings, increased operational efficiency, and improved overall effectiveness. Additionally, by optimizing transportation logistics, the military can better allocate resources, minimize bottlenecks, and improve the overall flow of goods and personnel.

In conclusion, the application of a shortest route linear programming model in military logistics planning and transportation can significantly improve production, profit, and efficiency. By optimizing routes, the military can enhance resource allocation, reduce costs, and improve operational effectiveness, ultimately contributing to better mission outcomes and overall success.

To know more about logistics planning and transportation, visit:-

https://brainly.com/question/31455091

#SPJ11

With respect to mezzanine-stage financing in venture capital investing and mezzanin financing of a leverage buyout: a) Mezzanine-stage financing refers to a type of security but mezzanine financing does b) Mezzanine financing refers to a type of security but mezzanine-stage financing does c) Both terms refer financing by issuance of securities that have both debt and equity characteristics.

Answers

Mezzanine-stage financing refers to a type of security but mezzanine financing does and Mezzanine financing refers to a type of security but mezzanine-stage financing does refer to financing by the issuance of securities that have both debt and equity characteristics. Option c is correct.

Both mezzanine-stage financing in venture capital investing and mezzanine financing of a leverage buyout involve the issuance of securities that possess features of both debt and equity. These types of financing sit between senior debt and equity in terms of their risk and priority of payment.

Mezzanine financing typically includes features such as convertible debt or preferred equity, allowing investors to participate in potential upside while also having a fixed income component. Mezzanine-stage financing in venture capital refers to a similar concept where investors provide financing with characteristics that lie between traditional debt and equity investments.

Therefore, c is correct.

Learn more about leverage buyout https://brainly.com/question/32375725

#SPJ11

Thomas is a graduate student who can afford only two varieties of food: canned beans and ramen noodles. If Thomas buys only one type of good he can afford either 100 packs of ramen noodles or 20 cans of beans. If the 10th pack of ramen yields Thomas a marginal utility of 20, what must be the marginal utility of the 6th can of beans for this to be the utility maximizing choice?

Answers

Thomas is maximizing his utility when the marginal utility of each good is equal. In this case, the marginal utility of the 10th pack of ramen is 20. Therefore, the marginal utility of the 6th can of beans must also be 20.

To determine the marginal utility of the 6th can of beans that would make it the utility-maximizing choice, we need to compare the marginal utility of the 6th can of beans with the marginal utility of the 10th pack of ramen noodles.

Let's assume the marginal utility of the 6th can of beans is represented by MUB (marginal utility of beans) and the marginal utility of the 10th pack of ramen noodles is represented by MUR (marginal utility of ramen noodles).

After comparing the total utility values of beans and ramen noodles, we can determine the marginal utility of the 6th can of beans (MUB) that makes it the utility-maximizing choice.

To learn more about marginal utility here brainly.com/question/30841513

#SPJ11

We will derive a two-state call option value in this problem. Data: Se = $160, X= $170, 1+/=110. The two possibilities for Sy are $190 and $110. The portfolio consists of 1 share of stock and 4 calls short.
Required:
a. The range of Sis $80 while that of C is $20 across the two states. What is the hedge ratio of the call? (Round your answer to 2 decimal places.)
Hedge ratio
b. Calculate the value of a call option on the stock with an exercise price of $170. (Do not use continuous compounding to calculate the present value of Xin this example, because the interest rate is quoted as an effective per-period rate.) (Do not round intermediate calculations. Round your answer to 2 decimal places.)
Call value

Answers

a. The hedge ratio of the call = (Change in the option price) / (Change in the stock price) = (C2 - C1) / (S2 - S1) = ($20 - $-20) / ($190 - $110) = 0.8.

b. Using the hedge ratio computed in part (a), the value of a call option on the stock with an exercise price of $170 can be calculated in both states. In the high state, the stock price is $190 and the call option would be exercised for a payoff of $20. In the low state, the stock price is $110 and the call option would not be exercised, giving a payoff of $0. Then, the expected call payoff is:

(0.5 × $20) + (0.5 × $0) = $10

The present value of the expected payoff using the effective interest rate is:

$10 / (1 + 1.1) = $4.54

Therefore, the value of the call option is $4.54.

If a customer owns 7% of a publicly traded company's stock and his spouse owns 6% and wants to sell her shares, which of the following statements is TRUE?

A)The spouse is not an affiliate and Rule 144 does not apply. B)The spouse is an affiliate and Rule 144 applies. C)The spouse is an affiliate and Rule 144 does not apply. D)The spouse is not an affiliate and Rule 144 applies.

Answers

If a customer owns 7% of a publicly traded company's stock and his spouse owns 6% and wants to sell her shares, the statement that is TRUE is: The spouse is an affiliate and Rule 144 applies.What is an Affiliate?Affiliate refers to a person or entity that controls or is controlled by another, or that is under common control with another person or entity.

Option B is correct

An affiliate is generally an entity in which a company holds less than 50% of the voting power. Affiliate's transactions with the parent corporation, including buying and selling securities, are strictly regulated by the SEC. For the purposes of Rule 144, an affiliate is defined as a person or entity that controls or is controlled by the issuer, or that is under common control with the issuer.

What is Rule 144?Rule 144 is a set of regulations governing the sale of restricted securities, which are securities that were purchased or acquired in a private transaction, typically from the company. It governs the amount of securities that can be sold within a specified period and requires the filing of a registration statement with the SEC. Rule 144 defines how, when, and to whom shares may be sold. Rule 144 also defines an affiliate of the issuing company.

To know more about company's stock visit:-

https://brainly.com/question/29757308

#SPJ11

If the share markets are totally efficient, the best ordinary
share strategy to take is:
Select one:
a.
a passive strategy.
b.
an active timing strategy.
c.
technical charting.
d.
to avoid shares and

Answers

The best ordinary share strategy to adopt in a completely efficient share market. The options provided are a) a passive strategy, b) an active timing strategy, c) technical charting, and d) avoiding shares altogether.

In a completely efficient share market, where all available information is already reflected in stock prices, it becomes challenging to consistently outperform the market through active strategies. Option a) suggests a passive strategy, such as index investing, which involves holding a diversified portfolio that mirrors the performance of a market index.

This approach recognizes that attempting to beat the market through active stock selection and timing is unlikely to yield superior results in an efficient market. By opting for a passive strategy, investors can minimize transaction costs and achieve returns that align with the overall market. Therefore, the best ordinary share strategy in a completely efficient market would be a passive strategy (option a).

to learn more about share strategy click here; brainly.com/question/31805602

#SPJ11

Which of the following orders becomes a market order as soon as the security touches or passes a specific price? O Stop order O Market order O Limit order
O Stop-Limit Order

Answers

The order that becomes a market order as soon as the security touches or passes a specific price is Stop order.

An order is an instruction that an investor sends to their broker to buy or sell a financial instrument, such as stocks, at a specific price and under specific conditions. A stop order is an order that is placed with a broker to sell a security once it hits a certain price level, which is frequently known as the stop price. Once the stop price has been reached, the order becomes a market order, and the broker will attempt to execute the order as soon as possible at the best available market price.

When the market reaches or exceeds the specified stop price, stop orders are utilized to minimize losses or to safeguard profits on long or short positions. Stop orders can be used to open positions, but they are most often used to close positions. A limit order is an order placed with a brokerage to buy or sell a certain number of shares at a specified price or better. It is comparable to a stop order in that it specifies a price level, but it does not trigger a sale order when that price is reached. A market order is an order to buy or sell a security at the current market price. It is the most basic kind of trade order, as it does not include any restrictions on the trade's price or timing. As a result, the order will be executed promptly and at the best possible market price.

Learn more about the brokerage:

https://brainly.com/question/14898119

#SPJ11

The demand for subassembly S is 150 units in week 7. Each unit of S requires 1 unit of T and 1 unit of U. Each unit of T requires 1 unit of V, 2 units of W, and 1 unit of X. Finally, each unit of U requires 1 unit of Y and 2 units of Z. One firm manufactures all items. It takes 2 weeks to make S, 2 weeks to make T, 2 weeks to make U, 1 week to make V, 2 weeks to make W. 1 week to make X, 2 weeks to make Y, and 1 week to make Z. Click the icon to view the product structure and the time-phased product structure. Construct a gross material requirements plan (type 0 if the input box is not used). Week Х tem 1 2 3 4 Lead Time (weeks) 5 6 7 S Gross reg Order release 2 T e product structure. Gross reg The time-phased product structure. Order release 2 U Gross reg S T Order release 2. 2 o ou (1) V (1) Gross reg Order release 2 U 1 PINK & W w Gross reg W (2) X (1) Y (1) Z(2) 6 7 Order release 2. 5 Time in weeks х Gross req Order release 1 Y Gross req Order release

Answers

The total requirement for W is 600, which is calculated by multiplying the requirement of 150 units of S by the 2 units of W needed to produce each unit of S.

Given the following: The demand for subassembly S is 150 units in week 7. Each unit of S requires 1 unit of T and 1 unit of U. Each unit of T requires 1 unit of V, 2 units of W, and 1 unit of X. Finally, each unit of U requires 1 unit of Y and 2 units of Z. One firm manufactures all items. It takes 2 weeks to make S, 2 weeks to make T, 2 weeks to make U, 1 week to make V, 2 weeks to make W. 1 week to make X, 2 weeks to make Y, and 1 week to make Z.To construct a gross material requirements plan, the lead time for each item must be considered. S is the final product, and it takes two weeks to make it. The materials needed to make S are T and U, and it takes two weeks to make each of these materials. T requires V, W, and X to make it; W requires P and W to make it, X requires 1 week to produce it, while V requires one week to make it. U, on the other hand, requires Y and Z, and it takes two weeks to produce it. Y and Z require one week and two weeks to produce, respectively. With the above information, we can construct a gross material requirements plan for the items. Here is a table showing the quantity of each item needed to satisfy the demand for 150 units of S in week 7.Week 7: Item Quantity Total requirement ST150150T150150V150150W300600X150150U150150Y300600Z6001200

The total quantity of each item is calculated by multiplying the requirements of the final product by the quantity needed to produce each item. For example, the total requirement for W is 600, which is calculated by multiplying the requirement of 150 units of S by the 2 units of W needed to produce each unit of S.

To know more about demand visit:

https://brainly.com/question/30402955

#SPJ11

The demand curve and marginal revenue curve for red herrings are given as follows: Q=250-5P MR = 50-0.4Q Refer to Scenario 3. Compared to a competitive red herring industry, the monopolistic red herring industry OA. produces less output at a lower price. B. produces more output at a higher price. C. produces more output at a lower price. OD. produces less output at a higher price. OE. There is not enough information to relate the monopolistic red herring industry to a competitive industry.

Answers

option A is the correct answer.

Compared to a competitive red herring industry, the monopolistic red herring industry produces less output at a lower price.

The reason is that in the monopolistic red herring industry, there are lesser players or sellers.

Thus, they have control over the price and quantity of output produced. The demand curve and marginal revenue curve for red herrings are given as follows:

Q = 250 - 5PMR = 50 - 0.4Q

We can see that in the given demand curve, the price is inversely proportional to the quantity demanded. If the price is increased, the quantity demanded will decrease and vice versa.

Marginal revenue (MR) is the additional revenue earned per unit of output sold.

In this case, we can see that the marginal revenue (MR) decreases as the quantity demanded (Q) increases. Hence, the monopolistic red herring industry produces less output at a lower price. The above-mentioned answer is in accordance with option A - "produces less output at a lower price".

To know more about the Marginal revenue (MR), click here;

https://brainly.com/question/31987047

#SPJ11

Given the following information, calculate the influence of a 5% savings in materials costs on total assets. Current assets: $60,000,000 Inventory: 50% of current assets Current total assets $61,250,000 $64,312,500 $62,750,000 $59,750,000 $58,250,000

Answers

To calculate the influence of a 5% savings in materials costs on total assets, we need to determine the impact on inventory and subsequently total assets.

Calculate the value of the current inventory:

Inventory = 50% of current assets = 0.5 * $60,000,000 = $30,000,000

Determine the savings in materials costs:

Savings = 5% of the current inventory = 0.05 * $30,000,000 = $1,500,000

Calculate the new value of the inventory with the savings:

New inventory = Current inventory - Savings = $30,000,000 - $1,500,000 = $28,500,000

Calculate the new total assets by adjusting the inventory value:

New total assets = Current total assets - Current inventory + New inventory

First iteration:

New total assets = $61,250,000 - $30,000,000 + $28,500,000 = $59,750,000

Second iteration:

New total assets = $64,312,500 - $30,000,000 + $28,500,000 = $62,812,500

Third iteration:

New total assets = $62,750,000 - $30,000,000 + $28,500,000 = $61,250,000

Fourth iteration:

New total assets = $59,750,000 - $30,000,000 + $28,500,000 = $58,250,000

Fifth iteration:

New total assets = $58,250,000 - $30,000,000 + $28,500,000 = $56,750,000

Therefore, the influence of a 5% savings in materials costs on total assets is as follows:

$59,750,000, $62,812,500, $61,250,000, $58,250,000, $56,750,000.

To know more about assets visit:

https://brainly.com/question/11556132

#SPJ11

1. Barnes & Noble is a company in transition in terms of financial performance. Go to their website to get these answers.

2. Scroll to the bottom of the page. Under B&N Services, click "Investor Relations." At the bottom of the Investor Relations page, click on "Stock Quotes." What is the current stock price? How does it compare to the 52-week high and low?

Answers

Barnes & Noble is a company that is currently going through a financial transition. The company website provides a lot of useful information for investors, including their current stock price and comparison to the 52-week high and low. By visiting the Barnes & Noble website, investors can see how the company is performing financially and make informed investment decisions. To get this information, follow these steps:1. Go to the Barnes & Noble website.

2. Scroll to the bottom of the page and look for the "B&N Services" section.3. Click on "Investor Relations" to go to the Investor Relations page.4. Scroll down to the bottom of the Investor Relations page and click on "Stock Quotes."5. On the Stock Quotes page, you will see the current stock price for Barnes & Noble. You can compare this to the 52-week high and low to see how the stock is performing over time.Overall, it is important for investors to stay informed about the financial performance of companies they are interested in investing in. The Barnes & Noble website provides a lot of useful information for investors, including the current stock price and comparison to the 52-week high and low. By staying informed about financial performance, investors can make better investment decisions.

To know more about Investor Relations visit:

https://brainly.com/question/30639871

#SPJ11

If WalMart's (ticker: WMT) current PE ratio is 10.4x and the
big-box retailer industry average PE ratio is 31.5x, is WalMart's
stock currently considered cheaper, or more expensive, than its
peers?

Answers

Walmart's stock is less expensive than its peers. Walmart has a lower P/E ratio of 10.4x than the average of 31.5x, meaning that Walmart's stock is less expensive than its peers.

PE ratio can be defined as the price-to-earnings ratio, which is used to evaluate a company's current market price against its earnings per share (EPS). A low PE ratio can indicate an undervalued company. In the context of the given question, if WalMart's current PE ratio is 10.4x and the big-box retailer industry average PE ratio is 31.5x, WalMart's stock is currently considered cheaper than its peers.

The price-earnings (P/E) ratio measures a company's stock price compared to its earnings. This ratio compares the market value of a company's stock to its earnings. A lower P/E ratio indicates that the market values the company's earnings less than a higher P/E ratio. When compared to the big-box retailer industry average, Walmart has a lower P/E ratio of 10.4x than the average of 31.5x, meaning that Walmart's stock is less expensive than its peers as of now.

Learn more about the stock:

https://brainly.com/question/26128641

#SPJ11

a(n) is a legal entity, created by the state, whose assets and liabilities are separate from its owners. group of answer choices proprietorship unlimited partnership strategic group general partnership corporation

Answers

The term that refers to a legal entity, created by the state, whose assets and liabilities are separate from its owners is corporation.What is a Corporation A corporation is a legal entity or business that is separate from its owners and formed by state law.

It has its rights, privileges, and liabilities distinct from its owners or members.Corporations are viewed as separate legal entities from their owners. As a result, the corporation is solely responsible for the company's debts and obligations, and its shareholders are not personally liable for the company's debts beyond the amount they have invested.The shareholders elect a board of directors to run the corporation, and these directors are in charge of managing the corporation's affairs and making critical business decisions.

A corporation is a legal entity or business that is separate from its owners and formed by state law. liable for the company's debts beyond the amount they have invested.The shareholders elect a board of directors to run the corporation, and these directors are in charge of managing the corporation's affairs and making critical business decisions. A corporation is a legal entity or business that is separate from its owners and formed by state law.

To Know more about business  Visit:

https://brainly.com/question/15826679

#SPJ11

According to the theory of comparative advantage, the primary reason countries gain from trade with each other is that a trade allows more goods to be produced where labor is cheapest b trade creates jobs c trade promotes globalization d trade allows more goods to be produced from existing resources

Answers

According to the theory of comparative advantage, the primary reason countries gain from trade with each other is that trade allows more goods to be produced from existing resources.

The theory of comparative advantage, developed by economist David Ricardo, states that countries should specialize in producing goods and services in which they have a lower opportunity cost compared to other countries. The opportunity cost is the cost of forgoing the production of one good in order to produce another.

By specializing in the production of goods and services in which they have a comparative advantage, countries can increase their overall output and efficiency. This leads to an expansion in the total amount of goods and services available for consumption.

Trade allows countries to exchange their specialized products with each other. When countries engage in trade, they can import goods and services that they do not produce efficiently, while exporting goods and services in which they have a comparative advantage. As a result, both importing and exporting countries can benefit by obtaining a wider variety of goods and services at lower prices.

To learn more about trade here brainly.com/question/1578270

#SPJ11

Calculate the monthly
payment for a $330,000 home. Thenew
owner has made a $70,000 down payment and plans to finance over 30 years at the current
fixed rate of 7%.

Answers

The monthly payment for a $330,000 home with a $70,000 down payment and a 30-year loan term at a fixed rate of 7% is $1,690.43.

To calculate the monthly payment for a $330,000 home, with a down payment of $70,000, and financing over 30 years at the current fixed rate of 7%, the following steps should be followed:

Step 1: Determine the principal amount. The principal amount is calculated by subtracting the down payment from the home cost.P = $330,000 - $70,000P = $260,000

Step 2: Determine the monthly interest rate. The monthly interest rate can be determined by dividing the annual interest rate by 12. Interest rate = 7% / 100 = 0.07. Monthly interest rate = 0.07 / 12 = 0.0058

Step 3: Determine the number of payments over the loan term. The number of payments over the 30-year loan term is calculated by multiplying the number of years by 12.N = 30 years × 12 = 360 payments

Step 4: Calculate the monthly payment using the formula. The formula for calculating the monthly payment on a mortgage is:

PMT = P [ r(1 + r)^n ] / [ (1 + r)^n - 1 ] Where, PMT is the monthly payment, P is the principal amount, r is the monthly interest rate, and n is the number of payments.

PMT = $260,000 [ 0.0058(1 + 0.0058)^360 ] / [ (1 + 0.0058)^360 - 1 ]PMT = $1,690.43

The monthly payment for a $330,000 home with a $70,000 down payment and a 30-year loan term at a fixed rate of 7% is $1,690.43.

Learn more about PMT:

https://brainly.com/question/30545567

#SPJ11

Which of the following about big push strategy is NOT true? ( ) A Most investment is done by government. B most investment went to heavy industry C most investment wen to up-stream industry D most investment went to light industry

Answers

The statement that is NOT true about the big push strategy is: D most investment went to light industry.

What is the Big Push Strategy?

The Big Push Strategy is an economic theory that implies that countries can achieve a higher level of industrialization by investing extensively in a particular industry. For instance, a country could put in a lot of money and resources into developing its steel or automobile industry. This will ultimately trigger a chain reaction that will stimulate other industries, such as logistics, technology, raw materials, and many others.

What are the Characteristics of the Big Push Strategy?

The Big Push Strategy has some characteristics, including:

The strategy requires a massive investment in one particular industry. This investment is not carried out by individuals but the government.Investment is focused on heavy industries that form the core of the economy.Upstream industries like raw material production and transportation are invested as much as heavy industries.

The strategy encourages a self-sustaining mechanism where economic growth will be self-sustaining with little or no help from outside forces.In conclusion, most investment went to heavy and up-stream industry in the big push strategy, with the goal of making them self-sustaining, and it is not true that most investment went to light industry.

To know more about economic please visit:

https://brainly.com/question/14355320

#SPJ11

In which way can an assignment problem be defined: a. a special case of transportation problem. b. a problem where all variables are either 0 or 1. c. a problem where all right-hand side values are equal to 1. d. All of the above. 2- In using the criterion of realism (Hurwicz criterion), the coefficient of realism(a): a. Is the probability of a good state of nature. b. Describes the degree of optimism of the decision maker. c. Describe the degree of pessimism of the decision maker. d. Is usually less than 1

Answers

1. An assignment problem can be defined as a special case of the transportation problem, where all variables are either 0 or 1, and all right-hand side values are equal to 1. The correct answer is (d). 2. The coefficient of realism describes the degree of pessimism of the decision maker when using the criterion of realism. The correct answer is (c).

An assignment problem can be defined in multiple ways. Firstly, it is considered a special case of the transportation problem, as it involves allocating resources from sources to destinations. Secondly, all variables in an assignment problem are typically restricted to binary values (0 or 1), indicating assignment or non-assignment. Lastly, the right-hand side values in an assignment problem are often equal to 1, representing the requirement of exactly one assignment per source or destination. The correct answer is (d).

In the context of the Hurwicz criterion and the criterion of realism, the coefficient of realism (a) reflects the decision maker's degree of pessimism. It describes the preference for the worst possible outcome, indicating a cautious approach to decision-making. The coefficient of realism is usually less than 1, as it represents a reduced level of optimism and an emphasis on potential negative consequences. By considering this coefficient, decision makers can weigh the potential risks and pessimistic outcomes when evaluating alternatives and making choices. The correct answer is (c).

To know more about criterion, here

https://brainly.com/question/30928123

#SPJ4

--The complete question is, a. a special case of transportation problem.

b. a problem where all variables are either 0 or 1.

c. a problem where all right-hand side values are equal to 1.

d. All of the above.

2- In using the criterion of realism (Hurwicz criterion), the coefficient of realism(a):

a. Is the probability of a good state of nature.

b. Describes the degree of optimism of the decision maker.

c. Describe the degree of pessimism of the decision maker.

d. Is usually less than 1--

"A firm’s FCFF is R8.1. The firm’s FCFF is expected to grow at
18.8 % for two years and then grow at a constant annual rate of 3.3
% thereafter. If the tax rate is 35% and the firm’s WACC is 16.5"

Answers

The firm's FCFF (Free Cash Flow to Firm) is projected to be R8.1 initially and will grow at different rates over time.

To calculate the firm's FCFF (Free Cash Flow to Firm), we can use the following formula:

FCFF = (1 - Tax Rate) * (NOPAT - Net Investment in Operating Capital) + Depreciation * (Tax Rate)

Given FCFF = R8.1 and the growth rates, we can determine the future FCFF using the following steps:

By applying these calculations and considering the tax rate of 35% and WACC of 16.5%, the projected FCFF values can be determined.

Given FCFF = R8.1, we need to calculate the FCFF at the end of year two:

FCFF2 = FCFF1 * (1 + Growth Rate)

= R8.1 * (1 + 18.8%)

= R9.63

Next, we calculate the FCFF at the end of year three and beyond, assuming a constant growth rate of 3.3%:

FCFF3 = FCFF2 * (1 + Growth Rate)

= R9.63 * (1 + 3.3%)

= R9.95

FCFF4 = FCFF3 * (1 + Growth Rate)

= R9.95 * (1 + 3.3%)

= R10.27

To learn more about FCFF follow the link:

https://brainly.com/question/15866253

#SPJ4

In our revamped model: Y = Co + C₁(Y-t) +lo+1₁(Y)-13(1) + G Which part would represent businesses expanding their product lines during a particularly strong economy? C1(Y-t) O 10 13(1) O 11(Y)

Answers

In the given model, the term C1(Y-t) represents businesses expanding their product lines during a particularly strong economy.The given model: Y = Co + C₁(Y-t) +lo+1₁(Y)-13(1) + GIn the above model,Y = national income (total output).

Co = autonomous expenditure.C₁(Y-t) = marginal propensity to consume (MPC) times disposable income (Y-t), where t is the tax rate.lo = investment.autonomous expenditure = Co + Io.1₁(Y) = (1 - t) × autonomous expenditure.13(1) = the sum of three items: government spending (G), net exports (NX), and taxes (tY).Thus, the term C1(Y-t) represents businesses expanding their product lines during a particularly strong economy. If the economy is growing, people have more disposable income to spend, which will encourage businesses to expand their product lines and increase production. In such cases, businesses will spend more on investing in the production of new goods and services. This increased investment will be reflected in the above model as C1(Y-t)

To know more about model visit;

brainly.com/question/32196451

#SPJ11

What concept allows a firm in shifting from forecasting future requirements towards accommodating customers on a rapid order-to-shipment basis, meanwhile the firm can increase its ability to satisfy customer requirements in a timely manner as well as reduce inventory to anticipate customer requirements? (2 mark)

Answers

The concept that allows a firm to shift from forecasting future requirements to accommodating customers on a rapid order-to-shipment basis, while increasing its ability to satisfy customer requirements in a timely manner and reducing inventory, is known as the Just-in-Time (JIT) system.

The Just-in-Time system is a production and inventory management approach that focuses on producing and delivering goods or services at the exact time they are needed, neither too early nor too late. This concept aims to eliminate waste, reduce lead times, and increase efficiency throughout the supply chain.

By implementing the JIT system, a firm can respond quickly to customer orders and adapt production levels accordingly, resulting in reduced inventory levels and associated costs. It allows the firm to avoid the risks and costs associated with excess inventory and improves its ability to meet customer demands promptly. The JIT system emphasizes close coordination and collaboration with suppliers and customers to ensure a smooth flow of materials and products, enabling the firm to be more responsive and flexible in meeting customer requirements.

To learn more about Just-in-Time click here

brainly.com/question/29335221

#SPJ11

Why is Leadership Rounding incorporated in the healthcare
setting?

Answers

The aim of Leadership Rounding with patients and families is to understand their healthcare experience from their perspective by having personal conversations with them.

Leadership rounding is a procedure in which executives (such as administrators, department heads, and nurse managers) meet with staff members and residents face-to-face to discuss care and services offered by the company, including Quality Assurance & Performance Improvement (QAPI) initiatives.

Improved healthcare results and patient experiences, higher levels of staff loyalty and satisfaction, the ability to recruit and retain talent, a recognized culture of continuous improvement, and increased employee engagement are just a few of the advantages of leadership rounding for an organization.

A manager intentionally "makes the rounds" of all of his or her staff on a regular basis as part of the leadership practice known as rounding. This happens either semi-annually, quarterly, or monthly, depending on the department. A manager converses, listens, and asks questions while rounding.

Learn more about Leadership Rounding here:

https://brainly.com/question/30999464

#SPJ1

(1) An auditor must maintain company secrets and would face imprisonment for disclosing a company's confidential information. (ii) The Board of Directors has authority to dismiss an auditor on the grounds of dishonesty and incompetence. (iii) The auditor is charged with constant oversight of the company's business operations and financial standing. (iv) The limitation period for bringing a criminal case against an auditor is one year from the date the offence was committed. Which of the above statement(s) is incorrect? a. (ii) and (iv) Ob(i) only O (iii) only Od(i) and (iii) d.

Answers

Option (iv) is incorrect.The incorrect statement among the given statement is option (iv) The limitation period for bringing a criminal case against an auditor is one year from the date the offence was committed.

The given statements are:An auditor must maintain company secrets and would face imprisonment for disclosing a company's confidential information.The Board of Directors has authority to dismiss an auditor on the grounds of dishonesty and incompetence.The auditor is charged with constant oversight of the company's business operations and financial standing.The limitation period for bringing a criminal case against an auditor is one year from the date the offence was committed.

The statements are discussing the responsibilities and limitations of an auditor and their actions regarding the company they are associated with. Statement 1 states that auditors must maintain company secrets and any form of disclosure of a company's confidential information may result in imprisonment.Statement 2 states that the Board of Directors have the power to dismiss an auditor if they are found to be incompetent or dishonest.

To know more about auditor visit:

https://brainly.com/question/32632603

#SPJ11

Consider a consol paying $7235 dollars annually when the yield is 4.5 percent. Which of the following is closest to the market price of the consol? Group of answer choices a $161,000 b $76,000 c $33,000
d $69,000

Answers

We are given a consol that pays $7235 annually with a yield of 4.5 percent. The closest option to the market price of the consol is $161,000

The market price of a consol can be calculated by dividing the annual payment by the yield. In this case, dividing $7235 by 0.045 (4.5 percent as a decimal) gives us approximately $161,000. Therefore, the closest option to the market price of the consol is $161,000 (option a). This calculation is based on the assumption that the consol is perpetuity, meaning it pays the same amount indefinitely. The market price represents the present value of the perpetuity's cash flows.

To learn more about perpetuity, refer:

brainly.com/question/14773442

#SPJ11

What are the Cultural practices in organization of Grenada?
Write a paragraph with citations please include refernces

Answers

"Grenada, a Caribbean island nation known for its vibrant culture, has several cultural practices that are prevalent in organizational settings. One such practice is the emphasis on personal relationships and social connections within the workplace."

In Grenadian organizations, building strong interpersonal relationships is highly valued, and colleagues often take the time to socialize and get to know each other beyond their professional roles. This practice fosters a sense of camaraderie and teamwork, promoting collaboration and a positive work environment (Green, 2019).

Another notable cultural practice in Grenadian organizations is the respect for hierarchy and authority. Grenada has a hierarchical society, and this hierarchical structure extends to the workplace. Employees typically show deference to their superiors and follow established protocols and procedures. Decision-making often rests with those in positions of authority, and employees are expected to adhere to their instructions and guidance (Central Intelligence Agency, 2021).

Additionally, Grenadian organizations often prioritize work-life balance and leisure time. The concept of "liming" is deeply ingrained in Grenadian culture, referring to the practice of socializing and relaxing with friends and colleagues. This cultural practice is often incorporated into the workplace, where employees may take breaks together, engage in informal conversations, or participate in leisure activities during off-hours. This emphasis on leisure and relaxation helps create a harmonious work environment and contributes to overall employee well-being (The World Bank Group, 2021).

In conclusion, the cultural practices in the organizational setting of Grenada reflect the country's emphasis on personal relationships, respect for hierarchy, and the importance of work-life balance. These practices contribute to a positive and collaborative work environment, where colleagues support and engage with each other, adhere to established structures, and prioritize leisure time for overall well-being.

To know more about Grenada organization visit:

https://brainly.com/question/28191082

#SPJ11

Kramer co has net income (34%) tax rate of 1,500,00 for 2023 and an average number of shares outstanding during the year of 600,000 shares. The corporation issued 1,900,000 par value of 10 year 8.4% convertible bonds of January 1, 2021 at par. the convertible bonds are convertible to 70,000 shares of common stock. Compute BPS and diluted EPS.

Answers

Basic earnings per share (BPS) is calculated by dividing net income by the weighted average number of outstanding common shares during the year.

Diluted earnings per share (DPS) considers all potential dilutive securities. When a company has dilutive securities, its DPS is less than its BPS. The formula to compute basic earnings per share is as follows: Basic EPS = (Net income - Preferred dividends) / Weighted average common shares outstanding during the period Where, Net income is $1,500,000.

The formula to compute Diluted Earnings per share is as follows: Diluted EPS = (Net Income - Preferred Dividends + Convertible Preferred Dividends) / (Weighted Average Shares + Weighted Average of Potential Common Shares)In this problem, only convertible bonds are there to compute diluted EPS Convertible Bonds is 1,900,000 and convertible to 70,000 shares of common stock (Bond to stock conversion ratio = 1,900,000 / 70,000 = 27.14)

To know more about Basic earnings per share (BPS) visit:

https://brainly.com/question/32346841

#SPJ11

Contractionary Monetary Policy Assume that the economy is currently in short run equilibrium but experiencing an inflationary gap. 1. Graphically illustrate the problem 2. Identify the combination of monetary policies that the Federal Reserve would pursue to correct problem 3. Graphically illustrate and explain how these monetary policies affect (1) the Market for Reserves, (2) the Market for M1, and (3) the Market for Real Goods and Services (AD- AS) 4. Make sure that you identify the Fed's goals/objectives and also graphically illustrate the solution.

Answers

1. Graphical illustration of the problemThe economy is experiencing inflationary gap, therefore, the equilibrium point of the economy is above the potential GDP as shown in the following diagram;

2. Combination of monetary policies that the Federal Reserve would pursue to correct the problem. The Federal Reserve will pursue contractionary monetary policies to correct the inflationary gap problem. They will increase the reserve requirements, increase the discount rate, and decrease the money supply to reduce inflationary pressure in the economy.

3. The impact of monetary policies on the Market for Reserves, the Market for M1, and the Market for Real Goods and Services (AD- AS) are illustrated and explained below;(1) The Market for Reserves: the increase in reserve requirements by the Fed will lead to a decrease in the excess reserves available to banks, thus reducing the amount of money that can be created through the money multiplier effect. This will shift the supply curve for reserves to the left, as shown in the following diagram;(2) The Market for M1: the contractionary monetary policies will also lead to a decrease in the money supply. The decrease in the money supply will lead to an increase in the interest rate which will decrease the quantity of money demanded. This will shift the demand curve for M1 to the left, as shown in the following diagram;(3) The Market for Real Goods and Services (AD-AS): The decrease in the money supply and the increase in the interest rate will lead to a decrease in aggregate demand (AD) which will lead to a decrease in output (real GDP) and decrease in the price level. This will shift the aggregate demand curve (AD) to the left as shown in the following diagram;

4. The Fed's objectives are to stabilize the economy and maintain price stability. By implementing contractionary monetary policies, the Fed is able to reduce inflationary pressure and maintain price stability in the economy. The graphical representation of the solution to the inflationary gap is shown in the following diagram.

To know more about GDP visit:

https://brainly.com/question/31197617

#SPJ11

Other Questions
You are considering an investment that will cost $15,000 and generate returns of $4,000 at the end of year 1, $5,000 at the end of year 2, $6,000 at the end of year 3 and $3,000 at the end of year 4.Calculate the NPV of the investment using a cost of capital of j1=8.0%. Round your answer to the nearest dollar. What is the accumulated value of $200 invested for 12 years at 2.3% p.a. compounded (a) annually? (b) semi-annually? (c) quarterly? (d) monthly? (a) The accumulated value is $ (Round the final answer to the nearest cent as needed. Round all intermediate values to six decimal places as needed.) (b) The accumulated value is $ (Round the final answer to the nearest cent as needed. Round all intermediate values to six decimal places as needed.) (c) The accumulated value is $ (Round the final answer to the nearest cent as needed. Round all intermediate values to six decimal places as needed.) (d) The accumulated value is $ (Round the final answer to the nearest cent as needed. Round all intermediate values to six decimal places as needed.) please helpFind the (least squares) linear regression equation that best fits the data in the table. x y 2.5 78 6.5 51 7 50 9 11 15.5 16.5 17 19 -22 If a value is negative, enter as a negative number in the box Venus Apparel, a student-run clothing company based out of Queen's University, has the following financial information as of June 30, 2022, the ending of their fiscal year. Cash ending balance is $45,000 Buildings & Equipment ending balance is $105,846Accounts Receivables ending balance is $15,000 Common Shares ending balance is $150,000 Inventory ending balance is $30,000Land ending balance is $278,193 Accounts Payable ending balance is $14,000 Retained Earnings ending balance is $155,039 Buildings & Equipment Accumulated Depreciation ending balance is $47,000Wages Payable ending balance is $7,000Short-Term Debt ending balance is $10,000 Taxes Payable ending balance is $5,000 Long-Term Mortgage ending balance is $48,500 10-Year Bond ending balance is $25,500 Interest Payable ending balance is $12,000 Additional note: Annual sales for the company is $250,000 a) Prepare a Balance Sheet for the company as of fiscal year end June 30, 2022. Ensure you categorize your accounts into Current and Non-Current Assets/Liabilities, and Shareholders' Equity. (6 marks) b) Calculate the day's receivables, debt to equity and the quick ratio for the company. How do each of these ratios help you understand a different part of the company, and what do they tell you? (6 marks) Ernest Ernest is seeking advice regarding the sale of his business and the tax consequences of an employment package. Sole traders business: Ernest has run his own business for over 20 years as a self-employed dentist. He has always prepared accounts to 30 September each year and having reviewed the file you note he has transitional overlap relief of 20,000 available. His tax adjusted trading profits each year are in the region of 100,000. Ernest will make up his final set of accounts to the year ending 30 September 2020 when he will cease trading, following the sale of his whole business to another dentist, triggering a capital gain of 300,000. Employment Contract: After selling the business Ernest plans to accept a job as an employee in a local dental hospital. He has been offered a remuneration package as follows:i) He will be paid a salary of 5,000 per monthii) He will be provided with a fully expensed i-phoneiii) He will be eligible for an interest free loan of up to 4,000 iv) He will qualify for free private medical insurance for himself and his family Having never been employed before, Ernest is unsure of how his salary and benefits in the remuneration package will be taxed.Requirement:a) Explain the tax implications of ceasing to trade and explain how the capital gain upon sale of the dentistry business will be taxed. (6 marks)b) Advise Ernest of the tax implications of the remuneration package. Laptops are a necessity in Todays time, whether you use it to complete your studies on Varsity or for using it as your multipurpose companion when performing your "hotshot" job in the corporate domain. There are a variety of brands and offerings for your needs, accommodating your own budget. Apple is a luxury brand adored by many, that offers performance. Acer usually falls in the affordable and versatile range, and finally Samsung which is a well-known brand do not have a large customer base.Discuss trends that Apple, Acer and Samsung are facing and how they will be impacted by these longer-term trends in supply chain management. Your discussion should relate to the major trends in supply chain management and their impact from a strategic perspective on operations and supply chain management. (15 Marks) What is the difference between transpiration and evaporation? O Transpiration occurs in plants, while evaporation from water surfaces. Evaporation occurs in plants, while transpiration is from water surfaces. Both are the same processes. Question 12 (1 point) Which of the following is NOT an example of agricultural pollution? O bacteria from livestock and food processing wastes excess salts released from soils of irrigated croplands fertilizers and pesticides released into local waterways runoff of toxic chemicals from a mining operation Question 13 (1 point) What percentage of Earth's surface is covered by the ocean? O 65% 96.5% 71% 55% Question 14 (1 point) The numbers of protons in an atom describes the atom's Atomic Mass Atomic Number Atomic Attributes Atomic Weight Question 15 (1 point) Water is highly cohesive, which means that: water molecules stick to themselves. water molecules stick to the molecules of other substances. O water molcules dissolve other substances quickly. water molecules have slightly charged ends. The tail of a comet is produced by _________ and includes two portions: _________O spacefriction; the gast and ion tailsO water erosion; the wave and dust tailsO turbulence; the magnetic and gravimetric tailsO the solar wind; the gas and dust tailsO magnetic spalding: the ionic and rocky tails In order to justify a defense of self-defense, you must have abelief that you are in danger. The belief you have must be:Subjective (Honest)Objective (Reasonable)Both Craigmont Company's direct materials costs are $4.500.000, its direct labor costs total $8.350,000, and its factory overhead costs total $6.350,000 its conversion costs total Mutiple Choice $12.850,00 Question oneModern workplaces are becoming challenging for everyone, especially for managers. Discuss anyfour challenges, managers face in the 21st -century business environment.Expected word count: 150 wordsQuestion twoOrganisational values and culture play a very important role in any business, what do you understandby organisational culture. Choose your workplace or any other Organisation you are familiar with,what are their values.Expected word count: 150 wordsQuestion threeWhy do managers fail to delegate responsibilities? You may discuss it from your own workplacespoint of view, or search about a business you have an interest in. List and discuss a minimum of fivereasons.Expected word count: 150 wordQuestion fourAfter covid 19, many teams are working virtually, how would you build a high-performing virtual team,discuss five techniques.Expected word count: 150 words The table to the right shows hypothetical values, in billions of dollars Use the table to calculate the M1 and M2 money supply for each year. (Enter your responses rounded to the nearest dollar) 2009 2010 2011 2012 Total M1 Total M2 Calculate the growth rates of the M1 and M2 money supply from the previous year. (Enter your responses rounded to one decimal place. Use a minus sign to enter negative numbers.) 2010 2011 2012 M1 Growth rate M2 Growth rate Why are the growth rates of M1 and M2 so different? OA. The M2 monetary aggregate is usually more volatile than M1; therefore, M2 is rising much more rapidly B. The components of M2 are rising much more rapidly compared to the components of M1. OC. The components of M1 are rising much more rapidly compared to the components of M2 OD. The M2 monetary aggregate includes all the components of M1, and it always rises more rapidly than Mt. A Currency B. Money market mutual fund shares C. Saving account deposits D Money market deposit accounts E Demand and checkable deposits F Small-denomination time deposits G Traveler's checks H 3-month Treasury 2009 2010 2011 2012 920 926 932 900 676 681 679 688 5,300 5,560 5.768 5.905 1,210 1,241 1,270 1.325 980 952 960 073 861 1,123 1,566 830 5 1.990 2.378 5 43 2440 2,506 the consumer price index (cpi) is a measure of the: fatigue, irritability, and difficulty sustaining attention are all symptoms of ____. Commercial mortgage backed securities (CMBS)backed by government-sponsored enterprises(GSEs) consist entirely of mortgages from which ofthe following property types?retailindustrialmultifamilyoffice which component of the oracle cloud infrastucre identiy and access management service can be used for controlling access to resources for authentuicated pricakpls TOMS Shoes (www.tomsshoes.com) was founded in 2006 on a simple premise: with every pair you purchase, TOMS will give a pair of new shoes to a child in need. One for one. Using the purchasing power of individuals to benefit the greater good is what were all about. In 2006 Blake Mycoskie, an American traveller went to Argentina and found that many children there had no shoes to protect their feet. Wanting to help, he created TOMS Shoes, a company that would match every pair of shoes purchased with a pair of new shoes given to a child in need. One for One. Blake returned to Argentina with a group of family, friends and staff later that year with 10,000 pairs of shoes made possible by caring TOMS customers. In developing countries wearing shoes prevents feet from getting cuts and sores on unsafe roads and from contaminated soil. Not only are these injuries painful, they are also dangerous when wounds become infected. The leading cause of disease in developing countries is soil-transmitted parasites which penetrate the skin through open sores. Wearing shoes can prevent this and ultimately the risk of amputation. Since the beginning in 2006, TOMS has given over 400,000 pairs of shoes to children in need through the One for One model. Because of your support, in 2008 TOMS plans to give over 300,000 pairs of shoes to children in need around the world. TOMS is built on the loyalty of customers who choose a better tomorrow with every purchase. TOMS has one of the coolest internship programmes in the country, according to Inc. Magazine. Many of those passionate interns stay with TOMS and become hard-working, full-time employees. Toms Shoes HQ is in Santa Monica, California1. What would be the key barriers in the early days of internationalization if TOMS Shoes decided to expand to Europe?2. What have been the driving forces (motives) for the early internationalization of TOMS Shoes? (Chapter 10 LOTF) How has Jack set up his side of the island? (3 details about his part) i.box-1-100w-1/2hrs find the kwh The Fed's Policies under Volcker In the years 1979 to 1982, under the leadership of Paul Volcker, the Fed adopted a tight money policy to reduce the nation's inflation rate. When the Fed adopted its tight money policy under Volcker's leadership, which curve shifted in the aggregate supply - aggregate demand model, and which way did it shift? Choose one answer below: O The aggregate demand curve shifted to the left. O The aggregate demand curve shifted to the right. O The aggregate supply curve shifted to the left. The aggregate supply curve shifted to the right