Mountain Bank Mountain Bank is located in the northwest United States. The bank has four major business lines: retail banking, consumer lending, real estate and mortgage banking, and corporate banking. Traditionally, Mountain Bank has had a strong presence in the retail banking line, with only a limited presence in the other lines. However, deregulation in the banking industry has led to mergers and acquisitions for Mountain Bank, as well as for several of its competitors. Retail banking includes traditional banking activities such as providing checking and savings accounts. Mountain Bank currently has about 50 percent of the market for retail accounts in its area. Often, however, these accounts are not very profitable. Consumer lending encompasses a variety of secured and unsecured consumer loans, such as home equity lines of credit, automobile loans, boat loans, and card lines of credit. Mountain Bank currently has about 25 percent of this market. Real estate and mortgage banking involves obtaining and servicing home mortgage loans, which are seen as a stable form of income for most banks. Mountain Bank currently has less than 10 percent of this market. Corporate banking provides services to businesses. Corporate clients are provided with a wide variety of basic services, as well as financing for equipment acquisitions and plant expansions. These services are often seen as very profitable. However, Mountain Bank has a very small presence in the corporate market—less than 5 percent of the market, according to current estimates. Mountain Bank has established a strategy of leveraging its strong retail banking presence into gains in the real estate and corporate areas. Past experience suggests that one of the best methods for achieving this leverage is cross‐selling, which occurs when tellers and customer service representatives convince customers with retail accounts to open corporate accounts or to obtain home mortgages from Mountain Bank. Recent studies have found that bank tellers are critical to the success of Mountain Bank. In fact, one study found that customers’ experiences with tellers is the single most important driver of customer satisfaction. After all, a bank teller is often the only person an individual customer has contact with when visiting a bank branch. Although fewer tellers are needed every year due to technological improvements, tellers are still the heart and soul of a bank. A typical branch of Mountain Bank has three to seven tellers, depending on size and location. Floating tellers (part‐timers) are also used to increase staff during lunch hours and pay days. Mountain Bank has traditionally approached the teller position as a low‐paying, entry‐level position. Tellers are frequently part‐time employees. Turnover is quite high, and successful tellers are often transferred to customer service positions.
What are the current human resource practices being used by Mountain Bank?

Answers

Answer 1

The current human resource practices being used by Mountain Bank include a high turnover rate for tellers and the transfer of successful tellers to customer service positions.

Mountain Bank's human resource practices involve treating the teller position as a low-paying, entry-level role, often filled by part-time employees. This approach leads to frequent turnover among tellers. Successful tellers are often promoted or transferred to customer service positions, recognizing their importance in driving customer satisfaction. The bank utilizes three to seven tellers per branch, with additional floating tellers during peak hours. While technological advancements have reduced the need for tellers, Mountain Bank recognizes their significance in maintaining customer relationships and implementing its strategy of cross-selling to leverage its strong retail banking presence into gains in the real estate and corporate sectors.

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Related Questions

What would an ethically managed bank look like? How would
customers be likely to benefit from it?

Answers

An ethically managed bank is one that operates with a strong commitment to ethical principles and social responsibility. Such a bank would prioritize transparency, fairness, and sustainability in its operations, investments, and customer relationships. Customers would likely benefit from enhanced trust, fair treatment, socially responsible investment options, and a positive impact on society and the environment.

An ethically managed bank would embody principles of transparency and accountability. It would provide clear and accessible information about its products, services, fees, and terms, ensuring customers have a complete understanding of their financial arrangements. Fair treatment of customers would be a core value, with practices such as responsible lending and unbiased advice. This would foster trust and loyalty among customers, knowing that their financial well-being is genuinely valued.

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Ultimo Co. operates three production departments as profit centers. The following information is available for its most recent year. Department 2's contribution to overhead in dollars is:

Dept. Sales Cost of Goods Sold Direct Expenses Indirect Expenses

1 $2,900,000 $2,030,000 $290,000 $232,000

2 1,160,000 435,000 116,000 290,000

3 2,030,000 870,000 435,000 58,000

Answers

Department 2's contribution to overhead in dollars is $319,000. Overhead refers to the ongoing expenses that a company incurs in its operations but are not directly tied to the production of goods or services.

Overhead includes various indirect costs associated with running a business, such as rent, utilities, salaries of administrative staff, office supplies, insurance, and maintenance. These costs are necessary for the overall functioning of the company but cannot be directly attributed to a specific product or department. Overhead costs are typically allocated across various departments or cost centers based on certain allocation methods, such as direct labor hours or square footage.

To find the contribution to overhead for Department 2, we need to calculate the net income for Department 2.

Net Income = Sales - Cost of Goods Sold - Direct Expenses - Indirect Expenses

For Department 2:

Sales = $1,160,000

Cost of Goods Sold = $435,000

Direct Expenses = $116,000

Indirect Expenses = $290,000

Net Income = $1,160,000 - $435,000 - $116,000 - $290,000

= $319,000

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what steps as an HR Leader will you take to address the
harassment and workplace conflict issues that could occur in your
workplace?

Answers

As an HR leader, addressing harassment and workplace conflict is crucial to maintaining a positive and healthy work environment. Here are steps I would take to address these issues:

Develop and Communicate Policies: Establish clear and comprehensive policies on harassment and workplace conflict. Ensure these policies are communicated to all employees, and provide training programs to educate employees about their rights, responsibilities, and expected behaviors. Encourage Reporting: Create a safe and confidential reporting system where employees can report incidents of harassment or workplace conflict. Encourage open communication and assure employees that their concerns will be taken seriously and investigated promptly.

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QUESTION 1
‘Michaelis a avid layer of board pames and is founder and president of the League of Serious
‘Gamers (LSG) social chub. Every year, Michael travels to the Vietwam Convention of Board
Gaume Players where he mixes with fellow enthusiasts, sees the many displays and experiences
differen board games
He usually retuns with new of collector board games that be has purchased and which he on-
sells at cost price to members of the LSG. This year he bought a chess set which, he was told
by the German sele. was once owned by Emperor Quang Trung. Michael placed the following
entry inthe ewsleter that was regularly sent to LSG members:
Gamers, a special find this time! Emperor Quang Trung's chess board and pieces.
$10,000 for this piece of history
Peter is a wealthy collector of rae historical pieces. He was inthe bedroom of his son Mark.
who was a member of the LSG, telling him that be needed 10 go out and get a job. After
delivering his lecture, be noticed the LSG newsletter, which was open at the advertisements
section, and saw the any about the chess st
Peter neve that the Quang Trung ches set was a ult sought ate historical piece However,
be thought that the ches set was i the collcion of sa American buyer, ad i any event
‘would be wort mach more tan $10.00. Accordingly, Peer wrote dow the phone umber
nthe advertisement ange to meet Michael inspected he ches se and pud hm he money
Peter arranged a conference to hich he invited other wellknown collectors of historical
pieces. However, bis moment of triumph was destioyed when a friend of him loudly
‘proclaimed to Peter 0d the assembled audience:
"Ob, my dear boy! That's not the Quang Trung chess set. Where did you get this —
some backstreet bazaar"
The conference ended in a bumiliaing fice for Peer. Siting alone after everybody bad lef.
be suddenly suffered a it of pique. picked up the chess set and flung it against the wall As a
result the board was cracked and several pieces were badly chipped. Petes now wants (0 direct
bis ire against the person be blames for his humiliation — Michael — based on the
representations be made about the chess set
(Business Law)
What can Michael do to know if the chess set is real or fake? If it is fake, who will be responsible?
Please suggest Michael how to handle this case?
The contract between Peter and Michael is only oral, so can Peter make Michael pay damages?

Answers

Peter can file a lawsuit against Michael for the recovery of damages caused by the sale of the fake chess set. Michaelis a founder and president of the League of Serious Gamers. He buys collector board games and sells them to LSG members.

This year, he bought a chess set, which was told by the German seller that it was once owned by Emperor Quang Trung. Michael placed the following entry in the newsletter that was regularly sent to LSG members:“Gamers, a special find this time! Emperor Quang Trung's chessboard and pieces. $10,000 for this piece of history.”To determine whether the chess set is genuine, Michael needs to carry out a legal investigation of its authenticity by verifying the item’s chain of custody and past owners. He should check the provenance, documentation, and the history of the chess set to determine if it is real. If it is fake, If the chess set is fake, then Michael is accountable for the incorrect representation of facts and false advertising.

Michael should not make inaccurate claims about the product without conducting proper research to verify its authenticity. He should take responsibility for his actions and offer to buy back the chess set for the price at which Peter purchased it. He should apologize to Peter and explain his situation. If Peter refuses to accept the compensation, Michael should obtain the advice of an attorney to know his legal rights and obligations. If Michael decides to fight the case in court, he should seek legal counsel and present all available evidence to prove the authenticity of the chess set. The contract between Peter and Michael is only oral, In legal terms, an oral contract is a valid agreement between two parties. However, it can be difficult to enforce it in court because of the absence of written proof. Since Peter purchased the chess set based on the representations made by Michael, he can hold Michael liable for the damages incurred due to misrepresentation.

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Current Attempt in Progress Laura buys a shirt for $10. The sales tax rate is 7%. How much is the total cost for the shirt? $9.50. $10.70. $10.00. $17.00.

Answers

The total cost for the shirt including the sales tax would be $10.70.

Sales tax is the percentage that is added to the price of goods and services that you purchase. It is a consumption tax levied on goods and services. In the given problem, the shirt that Laura bought costs $10.

To calculate the total cost of the shirt, we have to add the sales tax rate of 7% to the original cost of the shirt.To calculate the sales tax, we have to multiply the original price of the shirt by the sales tax rate in decimal form.

So, the sales tax on the shirt will be:$10 × 0.07 = $0.70

Now, we have to add the sales tax to the original price of the shirt to get the total cost of the shirt:

Total cost of the shirt = Original price of the shirt + Sales tax

= $10 + $0.70

= $10.70

Therefore, the total cost of the shirt including the sales tax would be $10.70.

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3. Price rises from $10 to $12, and the quantity demanded falls from 200 units to 180 units. What is the price elasticity of demand between these two prices? 0.58 O 3.67 1.73 0.27 0 0

Answers

The price elasticity of demand between the two prices is 0.5.  Option A

How to determine the price elasticity

The formula that is used for calculating the price elasticity is expressed as;

Price elasticity of demand = (percentage change in quantity demanded) / (percentage change in price)

To determine the percentage change in quantity demanded, we have;

180- 200/200 ×100/1

Divide the values, we get;

- 10%

For the percentage change in price, we have;

12 - 10/10 ×100/1

Multiply the values, we get;

-20%

Substitute the values, we have;

Price elasticity = -10/-20

Price elasticity = 0.5

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Chapter Review 1-8a Questions for Discussion 1. How has Patagonia been able to promote corporate social responsibility among other businesses? 2. Do you think it is beneficial for Patagonia to branch

Answers

1. Patagonia has been able to promote corporate social responsibility among other businesses by implementing initiatives aimed at reducing the environmental impact of their products, promoting ethical labor practices in their supply chain, and encouraging customers to participate in environmental activism.

2. Yes, it is beneficial for Patagonia to branch out into other product lines and industries because it will allow them to have a greater impact on promoting corporate social responsibility and environmental sustainability.

1)Patagonia was one of the first outdoor gear companies to use recycled materials in their products and has continued to prioritize sustainability in their manufacturing processes.

Additionally, they have implemented programs to ensure fair labor practices in their supply chain, such as the Fair Trade Certification for clothing, and have taken a stand against forced labor and human trafficking. Patagonia's commitment to these values has helped to inspire other businesses to follow suit.

2) By expanding their reach, Patagonia can influence more companies to adopt their ethical and sustainable business practices and create a ripple effect throughout the industry.

Additionally, branching out into other industries can provide new opportunities for Patagonia to innovate and create sustainable products that meet the needs of different markets.

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Using the ‘Blue Ocean’ model, describe how IKEA differentiated
itself from old-fashioned furniture shops.

Answers

IKEA differentiated itself from old-fashioned furniture shops by using the 'Blue Ocean' model.

IKEA differentiated itself from old-fashioned furniture shops by implementing the 'Blue Ocean' strategy. This strategy focuses on creating new market space by offering unique and innovative products or services that cater to unexplored customer needs. IKEA revolutionized the furniture industry by introducing affordable, functional, and stylish furniture that could be easily assembled by customers.

Unlike traditional furniture shops that focused on high-end, expensive pieces, IKEA targeted a broader customer base with its range of affordable and trendy furniture options. Additionally, IKEA adopted a self-service approach, allowing customers to navigate through a showroom and collect the products themselves, reducing costs and creating a unique shopping experience.

By combining cost-efficiency, design, and convenience, IKEA successfully created a blue ocean market space, attracting a large customer base and establishing itself as a leader in the furniture industry.

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may you please help me out?
Discuss what goes into implementing a process improvement in order to obtain efficiencies. Provide an example of a company that needs to improve its operations so you the customer benefit from more efficiencies. Do not duplicate examples. please be specific. thanks

Answers

Implementing a process improvement initiative to obtain efficiencies requires a systematic approach and careful consideration of various factors.

Identify the Problem: The first step is to identify the specific areas or processes within the organization that require improvement. This can be done through analyzing performance metrics, gathering feedback from employees and customers, and conducting process audits. Set Clear Goals: Clearly define the goals and objectives of the process improvement initiative. These goals should be specific, measurable, achievable, relevant, and time-bound (SMART).

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Sunland, Inc., is a mature firm that is growing at a constant rate of 7.00 percent per year. The last dividend that the firm paid was $1.40 per share. If dividends are expected to grow at the same rate as the firm and the required rate of return on Sunland’s stock is 10 percent, what is the market value of the company’s stock? (Round answer to 2 decimal places, e.g. 52.75.)

Answers

To calculate the market value of Sunland, Inc.'s stock, we can use the dividend discount model (DDM) formula:

Market Value of Stock = Dividend / (Required Rate of Return - Dividend Growth Rate)

Given:

Dividend = $1.40 per share

Required Rate of Return = 10% or 0.10

Dividend Growth Rate = 7.00% or 0.07

Market Value of Stock = $1.40 / (0.10 - 0.07)

Market Value of Stock = $1.40 / 0.03

Market Value of Stock = $46.67

Therefore, the market value of Sunland, Inc.'s stock is approximately $46.67 per share.

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a company allocates overhead based on direct labor hours (dlh), using a standard amount of 3 dlh per unit produced. its standard overhead rate is $16 per dlh. the company produced 5,420 units this period, and its flexible budget at that activity level shows $63,950 in fixed overhead costs and $97,400 in variable overhead costs. compute the volume variance and identify it as favorable or unfavorable. note: indicate the effect of the variance by selecting favorable, unfavorable, or no variance.

Answers

The company allocates overhead based on direct labor hours (dlh) using a standard amount of 3 dlh per unit produced. Its standard overhead rate is $16 per dlh. The company produced 5,420 units this period, and its flexible budget at that activity level shows $63,950 in fixed overhead costs and $97,400 in variable overhead costs. Let's calculate the volume variance and identify it as favorable or unfavorable.

Volume varianceVolume variance is the difference between the actual overhead cost incurred and the budgeted overhead cost expected at a specific activity level. The formula to calculate the volume variance is as follows:Volume variance = Budgeted fixed overhead costs - Actual fixed overhead costsThe flexible budget at that activity level shows $63,950 in fixed overhead costs.

The budgeted fixed overhead cost is $63,950.The actual fixed overhead cost is not given. Therefore, the volume variance cannot be computed. So, there is no variance.The company produced 5,420 units this period, and its flexible budget at that activity level shows $63,950 in fixed overhead costs and $97,400 in variable overhead costs. Let's calculate the volume variance and identify it as favorable or unfavorable.

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diminishing marginal product occurs when group of answer choices the increases to total output are declining. marginal product is negative. total output is decreasing. all of the above are correct.

Answers

Diminishing marginal product occurs when the increases to total output are declining. This statement is true.

The definition of diminishing marginal product is the decrease in the marginal output of a production process as the amount of a single factor of production is increased while the amounts of all other factors of production are held constant.

The Law of Diminishing Marginal Productivity states that as additional units of a variable resource, such as labour, are added to a fixed resource, such as land, the marginal productivity of the variable resource will eventually decline.

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True or False: The benefit of the command and control approach
is that they tend to be flexible and cost effective?
True or False: The three pillars of CSR (Corporate Social
Responsibility) are Enviro

Answers

False. The conventional method of command and control generally entails a hierarchical system in which directives and guidelines are communicated downwards from higher-up authorities.

How is this criticized?

Although centralized control and coordination may have some benefits, this approach is often criticized for being rigid and less economical when compared to more dispersed and collaborative methods.

True or False: The three pillars of CSR (Corporate Social Responsibility) are environmental sustainability, social responsibility, and economic profitability.

False. The three pillars of CSR commonly recognized are environmental sustainability, social responsibility, and corporate governance. Economic profitability is considered an overarching goal of a business, but it is not typically regarded as one of the pillars of CSR.

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Background Imagine that you work for the World Bank and you have been called to Ghana to aid the new president to come up with a new international trade strategy. You are told that the new government is interested in moving away from agriculture and into manufacturing. To do so, the government wants to pursuit a policy of import substitution industrialization (ISI). You are given a brief about Ghana highlighting the following points:
· About half of Ghana’s population depends on agriculture, but Ghana still imports some of its food.
· The majority of Ghana's people live in rural areas and exist on a subsistence way of life.
· Ghana has one of the highest rates of income inequality in the world.
· Nearly half of the population is employed in agriculture.
-MUST BE 200 WORD EXPLANATION
Ghana's parliament is debating how to undertake ISI. The debate centres on whether they should impose tariffs on imports or use quotas. Which system is better for consumers? (use a diagram to explain yourself).

Answers

In the context of Ghana's pursuit of import substitution industrialization (ISI), the debate regarding the use of tariffs versus quotas revolves around the question of which system would be better for consumers. To analyze this, we can use a diagram to illustrate the potential effects of tariffs and quotas on consumer welfare.

Tariffs are taxes imposed on imported goods, effectively increasing their prices in the domestic market. Quotas, on the other hand, restrict the quantity of imported goods that can enter the domestic market. Both tariffs and quotas aim to protect domestic industries by reducing competition from imports.

When tariffs are imposed, the domestic price of the imported goods increases, leading to a higher domestic price (Pd) compared to the world price (Pw). This is depicted by a vertical shift in the supply curve to the left, resulting in a new equilibrium point (Qd, Pd) in the domestic market. The shaded area between the domestic demand curve and the new supply curve represents the consumer's loss due to higher prices.

On the other hand, when quotas are imposed, the quantity of imported goods is limited, leading to a reduction in the supply of imported goods. This results in a higher domestic price (Pd) and a lower quantity (Qd) compared to the free trade equilibrium. Again, the shaded area between the domestic demand curve and the new supply curve represents the consumer's loss due to restricted access to imported goods.

In both cases, consumers face higher prices and reduced access to a variety of goods, which can negatively impact their welfare. However, it's important to consider other factors such as the potential benefits to domestic industries and employment when evaluating the overall impact of tariffs and quotas.

In summary, both tariffs and quotas have the potential to harm consumers by increasing prices and reducing access to imported goods. The specific effects would depend on the magnitude of the tariff or quota imposed. It is crucial for policymakers in Ghana to carefully weigh the potential benefits to domestic industries against the potential costs to consumers when deciding on the trade policy approach under their import substitution industrialization strategy.

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comic confectionary creations has a difficult time marketing its product due to a poor location and high employee turnover. Gordo's Burritos, tacos & more has lost its credibility as a popular eatery due to undercooked and overcooked food, Additionally it has promoted product that it does not have. Why will cosmic confectionary creations be able to overcome its problem more easily than Gordo's.

Answers

Comic Confectionary Creations will be able to overcome its problem more easily than Gordo's because it has a product that customers like to consume. Comic Confectionary Creations produces comic-themed desserts and sweets that are unique and creative.

As a result, it has a distinctive selling proposition (USP) that distinguishes it from other businesses.

This is an excellent method to stand out in the market, particularly when it comes to selling sweets.

Gordo's Burritos, tacos & More, on the other hand, has lost credibility as a well-known eatery due to its undercooked and overcooked food, as well as promoting products it doesn't have.

This may result in severe damage to the restaurant's reputation.

This means that it will be tough to regain the trust of the customers who have already lost it.

As a result, Gordo's will need to put in significantly more effort and spend a lot of money on marketing to regain credibility.

CC Creations has an easier path because it can use product development to enhance its brand rather than resorting to other means of promotion.

Because it has a unique product, customers may return despite the poor location or high employee turnover.

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For a company that produces more than one product, the sales activity variance can be divided into which two of the following additional variances? (CMA adapted) Multiple Choice Sales price variance and flexible budget variance. Sales mix variance and sales price variance. Sales efficiency variance and sales price variance. Sales quantity variance and sales mix variance.

Answers

For a company that produces more than one product, the sales activity variance can be divided into two additional variances: sales mix variance and sales price variance.

This variance measures the effect of changes in the proportion of different products sold compared to the budgeted or expected mix. It helps evaluate the impact of selling a different mix of products than originally planned.Sales price variance: This variance captures the effect of changes in the selling price of products compared to the budgeted or standard selling price. It helps assess the impact of deviations in pricing strategy or market conditions on sales revenue.

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Which of the following financial crises was caused by the debtor nation's inability to establish its own monetary policy, and showcases the potential
disadvantage of a monetary union?
• A. Mexican financial crisis of 1992
• B. European financial crisis of 2010
• C. East Asian financial crisis of 1997
• D. None of the above

Answers

The financial crisis that was caused by the debtor nation's inability to establish its own monetary policy and highlights the possible disadvantages of a monetary union is the East Asian financial crisis of 1997.

The East Asian financial crisis was a monetary crisis that hit several of East Asia's economies, including Indonesia, Thailand, South Korea, the Philippines, Hong Kong, Malaysia, and Laos, among others, in 1997.

The crisis was triggered by a combination of factors, including massive capital outflows, currency devaluations, high debt, and financial and corporate sector problems.

Causes of East Asian financial crisis:

There are various causes of East Asian financial crisis.

These include:

Overinvestment in property, heavy industries, and building projects.Overreliance on foreign capital to support domestic development projects.

Excessive foreign borrowing.

Poor financial sector supervision and regulation.Short-term foreign loans leading to a maturity mismatch between assets and liabilities.

Weak domestic financial institutions.Rising inflation and exchange rate overvaluation.

Therefore, the East Asian financial crisis of 1997 was caused by the debtor nation's inability to establish its own monetary policy, highlighting the potential disadvantage of a monetary union.

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Barter corporation sold American telecommunications equipment to a British company for 660,000 pounds. on the sale date, the exchange rate was $1.65 per British pound, but when barter received payment from its customer, the exchange rate was $1.60 per pound. When the foreign receivable was collected, Barter Enterprises:

Credited Sales for $33,000

Debited Cash for $33,000

Credited Gain on Fluctuation of Foreign Currency for $33,000

Debited Loss on Fluctuation of Foreign Currency for $33,000

Answers

When the foreign receivable was collected, Barter Enterprises would have credited Sales for $33,000. the company has made a sale and therefore revenue has been generated.

Below is When Barter corporation sold American telecommunications equipment to a British company for 660,000 pounds, the exchange rate on the sale date was $1.65 per British pound. Therefore, Barter expected to receive 660,000 * 1.65 = $1,089,000.When Barter received payment from its customer, the exchange rate was $1.60 per pound. Hence, Barter received 660,000 * 1.6 = $1,056,000. Thus, it has suffered a loss of $1,089,000 - $1,056,000 = $33,000 due to exchange rate fluctuations.

This is known as a loss on fluctuation of foreign currency. As the loss on fluctuation of foreign currency has occurred due to Barter's foreign receivable, it should have debited the Loss on Fluctuation of Foreign Currency account for $33,000. When the foreign receivable was collected, Barter Enterprises would have credited Sales for $33,000 . Sales is credited for the amount of revenue earned from the sale. The gain or loss on fluctuation of foreign currency is recognized in the income statement under operating income/expenses. Cash is debited when payment is received, and cash is credited when payment is made.

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Could CAPM's risk, return and ideas adequately explain equity
returns during the COVID-19 pandemic in 2020-21?

Answers

A comprehensive analysis would require considering a broader range of factors beyond CAPM.

The Capital Asset Pricing Model (CAPM) is a widely used financial model that relates the expected return of an asset to its systematic risk or beta. While CAPM provides a framework for understanding the relationship between risk and return, it has certain limitations and may not fully explain equity returns during extraordinary events like the COVID-19 pandemic in 2020-21. Here are a few factors to consider:

1. Unforeseen Events: The COVID-19 pandemic was an unprecedented global event that caused significant disruptions to economies, industries, and financial markets. CAPM assumes that returns are driven by systematic risk factors, but it may not fully capture the impact of unforeseen events on equity returns.

2. Non-Systematic Risk: CAPM focuses on systematic risk, which is the risk that cannot be diversified away. However, during the pandemic, many companies faced unique challenges and risks specific to their industries or operations. These non-systematic risks, such as supply chain disruptions or government-imposed restrictions, may have influenced equity returns beyond what CAPM considers.

3. Behavioral Factors: CAPM assumes that investors are rational and make decisions based on expected returns and risk. However, during times of market volatility and uncertainty, investor behavior can be influenced by emotions, biases, and market sentiment. These behavioral factors may lead to deviations from CAPM's predictions.

4. Policy Interventions: Governments and central banks around the world implemented various fiscal and monetary policies to mitigate the economic impact of the pandemic. These policy interventions, such as stimulus packages or interest rate cuts, can have significant effects on equity returns that may not be fully captured by CAPM.

Overall, while CAPM provides a useful framework for understanding risk and return, it may not fully explain equity returns during exceptional events like the COVID-19 pandemic. Other factors such as unforeseen events, non-systematic risks, behavioral factors, and policy interventions can play significant roles in shaping equity returns during such periods. Therefore, a comprehensive analysis would require considering a broader range of factors beyond CAPM.

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Value pricing means
1) Pricing according to quality
2) Give a discount to those who buy several products
3) all of the above
4) None of the above

Answers

The answer is 1) Pricing according to quality. Value pricing is a pricing strategy that sets prices according to the perceived value of a product or service to the customer.

There are a number of factors that can affect the perceived value of a product or service, including the quality, features, and benefits of the product or service, as well as the customer's needs and wants.

When pricing a product or service using value pricing, it is important to consider the following factors:

The cost of production

The competition

The customer's needs and wants

The perceived value of the product or service

By considering these factors, businesses can set prices that are fair to both the business and the customer.

In addition to pricing according to quality, value pricing can also involve offering discounts to those who buy several products. This is known as bulk pricing. Bulk pricing can be a way to attract customers and increase sales. However, it is important to make sure that the discounts are not too large, as this could lead to a loss of profit.

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Using a Short Run Aggregate Supply-Aggregate Demand diagram, what is the effect of a decrease in government spending on equilibrium average price level and output? a Increase in equilibrium average price level, increase in equilibrium output b Decrease in equilibrium average price level, increase in equilibrium output c Increase in equilibrium average price level, decrease in equilibrium output d Decrease in equilibrium average price level, decrease in equilibrium output

Answers

A decrease in government spending would lead to a decrease in both the equilibrium average price level and equilibrium output in the Short Run Aggregate Supply-Aggregate Demand diagram.

When government spending decreases, it results in a leftward shift of the Aggregate Demand curve. This shift indicates a decrease in overall spending in the economy, which leads to a decrease in both the equilibrium average price level and equilibrium output.

With lower government spending, there is reduced demand for goods and services, causing a decrease in economic output and a downward pressure on prices. Therefore, option d, decrease in equilibrium average price level and decrease in equilibrium output, accurately describes the effect of a decrease in government spending.

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Over the past year you earned a nominal rate of interest of 8%
on your money. The inflation rate was 3.5% over the same period.
What is the approximate real rate of return?

Answers

The approximate real rate of return in this case is 4.5%. the approximate real rate of return is a measure of an investment's return after adjusting for inflation.

The real rate of return is an important concept in finance as it measures the actual purchasing power gained or lost on an investment after adjusting for inflation. In this case, we have an earned nominal rate of interest of 8% and an inflation rate of 3.5%. To calculate the approximate real rate of return, we need to subtract the inflation rate from the nominal rate of return.

The formula to calculate the real rate of return is:

Real Rate of Return = Nominal Rate of Return - Inflation Rate

Using this formula, let's calculate the approximate real rate of return:

Real Rate of Return = 8% - 3.5%

Real Rate of Return = 4.5%

Therefore, the approximate real rate of return in this case is 4.5%.

Now, let's discuss the implications of this real rate of return. The real rate of return provides a more accurate measure of the investment's performance because it takes into account the erosion of purchasing power due to inflation. Inflation reduces the value of money over time, so it is important to consider its impact on investment returns.

A positive real rate of return indicates that the investment has generated a return above and beyond the rate of inflation. In this case, with a real rate of return of 4.5%, it means that the investment has outperformed the inflation rate by that margin. This suggests that the investor has preserved and increased their purchasing power over the past year.

On the other hand, a negative real rate of return would indicate that the investment's return has not kept pace with inflation, resulting in a loss of purchasing power. This would mean that even though the investment has generated a positive nominal return, the increase in prices has eroded its real value.

The approximate real rate of return is an important metric for investors as it helps them evaluate the true profitability of their investments. It allows them to compare investments on an equal footing, considering the effects of inflation. By considering the real rate of return, investors can make more informed decisions about allocating their funds and assessing the performance of their portfolios.

It is important to note that the real rate of return is an approximation and may not account for all factors affecting inflation and investment returns. It is also worth mentioning that inflation rates can vary over time and across different economies. Therefore, it is essential to regularly review and update the real rate of return calculations to reflect current economic conditions.

In conclusion, the approximate real rate of return is a measure of an investment's return after adjusting for inflation. It provides a more accurate assessment of the investment's performance by considering the erosion of purchasing power. By subtracting the inflation rate from the nominal rate of return, investors can determine the true value generated by their investments. Understanding and considering the real rate of return is crucial for making informed investment decisions and preserving the long-term purchasing pow

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You have been tasked with using the FCF model to value Julie’s Jewelry Co. After your initial review, you find that Julie’s has a reported equity beta of 1.7, a debt-to-equity ratio of .5, and a tax rate of 21 percent. In addition, market conditions suggest a risk-free rate of 6 percent and a market risk premium of 11 percent. If Julie’s had FCF last year of $50.0 million and has current debt outstanding of $125 million, find the value of Julie’s equity assuming a 3.5 percent growth rate in FCF. (Do not round intermediate calculations. Enter your answer in millions rounded to 2 decimal places.)

Answers

The value of Julie's equity:

Equity Value = PV of FCF - Debt

Equity Value = (PV of FCF * Equity Proportion) - Debt

Equity Value = (PV of FCF * 0.6667) - $125 million

To value Julie's Jewelry Co. using the Free Cash Flow (FCF) model,  calculate the Weighted Average Cost of Capital (WACC) and apply it to the projected Free Cash Flows.

First, let's calculate the WACC:

1. Calculate the cost of equity:

  Cost of Equity = Risk-Free Rate + (Equity Beta * Market Risk Premium)

  Cost of Equity = 6% + (1.7 * 11%)

  Cost of Equity = 6% + 18.7%

  Cost of Equity = 24.7%

2. Calculate the cost of debt:

  Since we have the debt-to-equity ratio, we can calculate the debt proportion:

  Debt Proportion = Debt / (Debt + Equity)

  Debt Proportion = $125 million / ($125 million + Equity)

  Equity Proportion = 1 - Debt Proportion

  Given the debt-to-equity ratio of 0.5:

  Debt Proportion = 0.5 / (0.5 + 1)

  Debt Proportion = 0.3333

  Equity Proportion = 1 - 0.3333

  Equity Proportion = 0.6667

  Assuming the cost of debt is 6%:

  Cost of Debt = 6%

3. Calculate the WACC:

  WACC = (Equity Proportion * Cost of Equity) + (Debt Proportion * Cost of Debt)

  WACC = (0.6667 * 24.7%) + (0.3333 * 6%)

  WACC = 16.47% + 2%

Next, calculate the present value of projected Free Cash Flows (FCF):

FCF = $50.0 million

Growth Rate (g) = 3.5%

WACC = 18.47%

PV of FCF = FCF / (WACC - g)

PV of FCF = $50.0 million / (18.47% - 3.5%)

PV of FCF = $50.0 million / 14.97%

Finally, calculate the value of Julie's equity:

Equity Value = PV of FCF - Debt

Equity Value = (PV of FCF * Equity Proportion) - Debt

Equity Value = (PV of FCF * 0.6667) - $125 million

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what is the relationship between access to capital and the capital
budgeting methods that might be chosen by a business considering a
new investment?

Answers

The relationship between access to capital and capital budgeting methods is that easier access to capital allows for more sophisticated and comprehensive evaluation methods, while limited access may lead to simpler and faster assessments.

Access to capital can have a significant impact on the capital budgeting methods chosen by a business when evaluating a new investment. Capital budgeting refers to the process of analyzing and selecting investment projects that align with the company's strategic objectives.When a business has easy access to capital, such as through favorable borrowing terms or strong cash reserves, it may be more inclined to pursue projects with higher initial investment costs and longer payback periods. In this case, methods like the Net Present Value (NPV) or Internal Rate of Return (IRR) are commonly used. These methods consider the time value of money and provide a more accurate assessment of the investment's profitability by discounting future cash flows. On the other hand, when access to capital is limited or costly, businesses may opt for more conservative capital budgeting methods. Payback period and Accounting Rate of Return (ARR) are examples of simpler methods that focus on the initial investment recovery and accounting profitability, respectively. These methods provide quicker assessments of the investment's feasibility and may be more suitable when capital constraints are a concern. In summary, the relationship between access to capital and capital budgeting methods is that easier access to capital allows for more sophisticated and comprehensive evaluation methods, while limited access may lead to simpler and faster assessments. The availability of capital influences the level of risk the company is willing to take and the time horizon over which it expects returns on the investment.

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Sales of services but not sales of goods are covered under the Restatement of Torts, Section 402A.
Group of answer choices
True
False
Real property is movable whereas personal property is immovable.
Group of answer choices
True
False
The third wave of the limited liability partnership (LLP) legislation offered full shield protection which meant no unlimited liability at all.
Group of answer choices
True
False
The LLC is always centrally managed, like a partnership.
Group of answer choices
True
False

Answers

1. False: The Restatement of Torts, Section 402A covers strict liability for defective b, including both goods and services.

2. False: Real property refers to immovable property such as land and buildings, while personal property refers to movable items like furniture and vehicles.

3. False: The third wave of LLP legislation did not offer full shield protection. While it provided some liability protection for partners, there were still certain circumstances where partners could be personally liable.

4. False: The management structure of a limited liability company (LLC) can vary. It can be either centrally managed, with designated managers, or member-managed, where all members have a say in the management decisions.

In the first statement, the Restatement of Torts, Section 402A covers both the sales of goods and services, not just services. It establishes strict liability for defective products, holding sellers responsible for injuries caused by their products.

In the second statement, real property refers to immovable assets like land and buildings, while personal property includes movable items such as furniture, vehicles, and other possessions.

The third statement is incorrect. The third wave of LLP legislation did provide some liability protection for partners, but it did not eliminate unlimited liability entirely. Partners could still be personally liable in certain situations.

Lastly, the management structure of an LLC is flexible. It can be either centrally managed, with designated managers responsible for day-to-day operations, or member-managed, where all members participate in decision-making.

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7. You plan to make a series of deposits in an interest-bearing account. You deposit $100 in one year, $200 in two years and $300 in three years. If you withdraw $50 in two years, and $100 in four years, how much will you have in five years? The interest rate is 7%? (10 pts)

Answers

After five years, you will have $248.89 in your account. To solve this problem, we need to calculate the future value of each deposit and the two withdrawals at the end of five years.

Let's start with the deposits:

The $100 deposited in one year will grow to $107 after one year at 7% interest.

The $200 deposited in two years will grow to $249.29 after two years at 7% interest.

The $300 deposited in three years will grow to $391.26 after three years at 7% interest.

Now let's calculate the withdrawals:

The $50 withdrawn in two years will reduce the total balance to $356.36 (which is the sum of the first two deposits plus their interest minus the withdrawal amount).

The $100 withdrawn in four years will reduce the total balance further to $248.89 (which is the sum of all three deposits plus their interest minus the two withdrawal amounts).

Therefore, after five years, you will have $248.89 in your account.

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what are the three main phases of product/service management?

Answers

The three main phases of product/service management are: 1) Development phase, 2) Introduction phase, and 3) Growth phase.

During the development phase, the product/service is conceptualized, designed, and created. This involves conducting market research, identifying customer needs, designing prototypes, and testing the product/service to ensure its viability and effectiveness. The development phase focuses on bringing the product/service from an idea to a tangible offering.

In the introduction phase, the product/service is launched into the market. This involves creating marketing strategies, generating awareness among potential customers, and making the product/service available for purchase. The introduction phase is crucial for establishing the product/service in the market and gaining initial customer acceptance.

Following the introduction phase, the growth phase begins. In this phase, sales and customer demand for the product/service start to increase. Companies focus on expanding market share, improving product/service features based on customer feedback, and implementing strategies to sustain and accelerate growth. The growth phase requires effective marketing, distribution, and customer support to meet the increasing demand and maximize the product/service's potential.

The three main phases of product/service management are development, introduction, and growth. These phases represent the lifecycle of a product/service from its conceptualization to market launch and subsequent growth. Each phase requires specific strategies and actions to ensure successful product/service management and market success.

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The Payback Period is widely used as a metric for deciding on whether to take a project. However it has a number of significant problems. What is one of the downsides of using the payback period? O It leaks motor oil, so you have to continually clean your driveway. It ignores potentially large cashflows which occur later in the projects life. o It requires applying a discount rate, which is difficult to estimate. O It only comes in unattractive shades of blue and off-white

Answers

The Payback Period is widely used as a metric for deciding on whether to take a project. However, it has a number of significant problems. One of the downsides of using the payback period is that it ignores potentially large cashflows which occur later in the project’s life.

The metric is designed to measure the length of time it takes to recoup an initial investment based solely on the project's cash inflows and outflows. Therefore, it fails to account for any cash flows that occur beyond the time period needed to recover the initial investment.

This may lead to incorrect decision making for long-term investments. The metric is also simplistic and ignores the time value of money, as it does not factor in the opportunity cost of investing in one project over another. Hence, it is a flawed metric and should be used with caution while making financial decisions.

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Kelly Edwards, the recently appointed vice president of development for HOG, Inc., a high- way construction company in central Pennsylvania, had just returned from meeting with the senior management team of the company. At the meeting, Harry O. Growbaker, president of HOG, Inc., had reported on his most recent meetings with the Pennsylvania Department of Transportation in Harrisburg. The focus of the presentation and discussion was a new state funding initiative that would support regional highway projects throughout the state. The highways, bridges, and overall infrastructure throughout the state needed improvements and expansion. The development of significant shale gas and oil drilling had strained the existing network but had provided additional tax funds for needed public projects. Harry O. Growbaker was convinced that HOG, Inc. was in a unique position to participate, but that they needed to be proactive to demonstrate the economic benefit and impact of such stimulus spending in central Pennsylvania. Harry asked Kelly to provide some discussion points for the next meeting of the senior management team.
Kelly decided to meet with two of her senior staff members, Shaun Knight and Barb Collins, to help with this assignment. During the course of their discussion, Kelly pointed out the lack of efficient and effective highway connections throughout the center of the state. Interstate 80 was a major east–west corridor for interstate traffic between the Midwest and major East Coast cities, but with limited impact overall in much of central Pennsylvania, particularly for north–south flows. The potential economic growth in central Pennsylva- nia was creating a need for a more effective north–south link and also more efficient local roadways. Barb Collins felt that a proposed highway link would be attractive to the state and also the federal government.
Shaun, who had participated in many economic impact studies, pointed out the possible synergism with the University Park campus of Penn State and perhaps some of their satellite locations throughout the state. He noted the development of the research park at Penn State’s University Park Campus and the new University president’s interest in helping the state with economic development and playing a more active role in encouraging new companies based upon applied research at the university. Shaun felt that there was much opportunity to encourage and enhance such development with improved transportation.
Kelly Edwards became excited as she listened to this discussion and was convinced that they could develop a list of discussion points for the next senior management meeting that could then be developed into a white paper for the state and Federal Departments of Transportation.
You have recently been hired by HOG, Inc., and Ms. Edwards has asked you to develop an initial set of discussion points that would indicate the economic and, perhaps, social benefits from new highway links in central Pennsylvania.

Answers

As HOG, Inc. considers the potential economic and social benefits of new highway links in central Pennsylvania, several discussion points can be highlighted to demonstrate the significance of such infrastructure development:

Growth and Job Creation: Improved highway connections would enhance the transportation network, attract businesses, and stimulate economic growth. The construction of new highways would create job opportunities in the short term, and the resulting infrastructure would facilitate commerce, attracting new industries and investment in the long term. This would contribute to local and regional economic development.

2. Enhanced Regional Connectivity: Central Pennsylvania currently lacks efficient north-south highway links, limiting transportation s for both residents and businesses. Developing new highway connections would create a more comprehensive and accessible regional transportation network. It would enable smoother movement of goods, services, and people, fostering regional integration and providing a boost to trade and tourism.

3. Support for Energy Industry: Central Pennsylvania's development of shale gas and oil drilling has generated additional tax funds for public projects. By investing in highway infrastructure, the region can better support the energy industry's transportation needs and capitalize on its economic potential. Efficient transportation routes would improve the supply chain, reduce costs, and promote energy-related investments in the area.

4. Collaboration with Educational Institutions: Engaging with Penn State University and its satellite locations can bring mutual benefits. Improved highway links would facilitate collaboration between the university and businesses, leading to increased innovation, technology transfer, and commercialization of research findings. This synergy would attract new companies and foster the growth of industries based on applied research, creating a knowledge-based economy in central Pennsylvania.

5. Social Benefits and Quality of Life: Upgrading highway infrastructure can have significant social benefits for the community. It would improve commuting times, reduce congestion, and enhance road safety. The new highway links would provide better access to healthcare facilities, educational institutions, and cultural centers, improving the overall quality of life for residents in central Pennsylvania.

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Discuss ethical considerations involved in operating a born
global firm.

Answers

Born global firms are firms that operate in multiple countries from their inception, as they have global reach from the very beginning.

The ethical considerations involved in operating a born global firm are discussed below:

1. Cultural differences: Culture differs in each country, and a born global firm operating in different countries will face numerous cultural differences. The management must recognize and respect these differences, which could be in language, religion, laws, and norms. The business should avoid engaging in practices that could be deemed offensive, discriminatory, or inappropriate in a specific culture.

2. Environmental impact: Born global firms that operate in different countries must adhere to different environmental regulations and practices. They must ensure that they are not causing any environmental harm by adhering to the guidelines.

3. Supply chain management: The born global firm should ensure that their supply chain management is ethical. The firm should engage in partnerships with firms that share their values and beliefs. The firm should also ensure that their suppliers and partners follow ethical standards.

4. Corporate Social Responsibility: The born global firm must fulfill its corporate social responsibility by adhering to ethical standards, by giving back to the community, and by working towards sustainable development. It should ensure that its products and services do not cause any harm to society and the environment.

5. Data privacy: In operating a born global firm, the firm must ensure that their data collection and storage methods are ethical. They should ensure that the personal data of their customers and employees are collected and stored in a safe and secure manner. The firm must also ensure that it complies with data privacy regulations in all the countries it operates in.

The above are some of the ethical considerations that the management of a born global firm must take into account while operating in different countries.

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